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Deposits (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2023
Jun. 30, 2023
Jun. 30, 2022
Dec. 31, 2022
Deposits Disclosure [Line Items]        
Time Deposits, $250,000 or More $ 2,430,000,000 $ 2,430,000,000   $ 2,390,000,000
Brokered deposits 2,280,000,000 2,280,000,000   1,180,000,000
Noninterest bearing 4,229,247,000 4,229,247,000   4,849,493,000
Money market and NOW accounts 4,188,584,000 4,188,584,000   5,615,784,000
Savings deposits 224,495,000 224,495,000   283,464,000
Time deposits 6,977,026,000 6,977,026,000   4,990,060,000
Total deposits $ 15,619,352,000 $ 15,619,352,000   $ 15,738,801,000
Percent of total deposit balance, by type 100.00% 100.00%   100.00%
Net change in deposits $ (119,400,000) $ (119,449,000) $ (10,820,000)  
Increase (Decrease) in Deposits, Percentage   (0.80%)    
Money market and NOW accounts        
Deposits Disclosure [Line Items]        
Brokered deposits $ 70,000,000 $ 70,000,000   $ 70,200,000
Percent of total deposit balance, by type 27.00% 27.00%   36.00%
Time deposit accounts        
Deposits Disclosure [Line Items]        
Brokered deposits $ 2,210,000,000 $ 2,210,000,000   $ 1,110,000,000
Noninterest Bearing Demand Deposits        
Deposits Disclosure [Line Items]        
Percent of total deposit balance, by type 27.00% 27.00%   31.00%
Savings Deposits        
Deposits Disclosure [Line Items]        
Percent of total deposit balance, by type 1.00% 1.00%   2.00%
Bank Time Deposits        
Deposits Disclosure [Line Items]        
Percent of total deposit balance, by type 45.00% 45.00%   31.00%
California State Treasurer        
Deposits Disclosure [Line Items]        
Time Deposits, $250,000 or More $ 300,000,000 $ 300,000,000   $ 300,000,000
Required eligible collateral pledge on outstanding deposits, minimum percentage 110.00% 110.00%    
Securities pledged as collateral $ 332,600,000 $ 332,600,000   $ 348,000,000