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Deposits (Tables)
3 Months Ended
Mar. 31, 2025
Banking and Thrift, Other Disclosure [Abstract]  
Summary of Deposit Balances
Peoples’ deposit balances were comprised of the following:
(Dollars in thousands)March 31, 2025December 31, 2024
Retail certificates of deposits ("CDs"):  
$100 or more$1,122,896 $1,092,261 
Less than $100843,082 829,154 
Total Retail CDs1,965,978 1,921,415 
Interest-bearing deposit accounts1,086,112 1,085,152 
Savings accounts895,677 866,959 
Money market deposit accounts967,331 878,254 
Governmental deposit accounts834,409 775,782 
Brokered CDs458,957 554,982 
Total interest-bearing deposits6,208,464 6,082,544 
Non-interest-bearing deposits1,526,285 1,507,661 
Total deposits$7,734,749 $7,590,205 
Summary of Time Deposit Maturities
Uninsured time deposits are broken out below by time remaining until maturity.
(Dollars in thousands)March 31, 2025December 31, 2024
3 months or less$144,606 $180,405 
Over 3 to 6 months118,957 127,329 
Over 6 to 12 months117,076 91,197 
Over 12 months45,048 18,044 
Total$425,687 $416,975 
    
The contractual maturities of CDs for each of the next five years, including the remainder of 2025, and thereafter are as follows:
(Dollars in thousands)RetailBrokeredTotal
Remaining nine months ending December 31, 2025$1,492,301 $292,800 $1,785,101 
Year ending December 31, 2026436,648 16,379 453,027 
Year ending December 31, 202723,223 82,419 105,642 
Year ending December 31, 20286,973 21,526 28,499 
Year ending December 31, 20295,660 45,833 51,493 
Thereafter1,173 — 1,173 
Total CDs$1,965,978 $458,957 $2,424,935