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Deposits
12 Months Ended
Dec. 31, 2011
Bank Deposits [Abstract]  
Deposits
11.  Deposits
 
Major classifications of deposits are categorized as follows:

(in thousands)
December 31
 
2011
  
2010
 
Noninterest bearing deposits
 $584,735  $525,478 
NOW accounts
  19,113   33,641 
Money market deposits
  556,765   450,289 
Savings
  264,271   229,466 
Certificates of deposit and other time deposits of $100,000 or more
  693,655   653,629 
Certificates of deposit and other time deposits less than $100,000
  759,820   813,614 
Total deposits
 $2,878,359  $2,706,117 

Interest expense on deposits is categorized as follows:

(in thousands)
 
2011
  
2010
  
2009
 
Savings, NOW, and money market accounts
 $2,824  $3,074  $4,002 
Certificates of deposit and other time deposits of $100,000 or more
  8,778   11,695   15,059 
Certificates of deposit and other time deposits less than $100,000
  9,680   14,383   20,732 
Total interest expense on deposits
 $21,282  $29,152  $39,793 

Maturities of certificates of deposits and other time deposits are presented below:

   
Maturities by Period at December 31, 2011
 
(in thousands)
 
Total
  
Within 1 Year
  
2 Years
  
3 Years
  
4 Years
  
5 Years
  
After 5 Years
 
Certificates of deposit and other time deposits of $100,000 or more
 $693,655  $627,864  $38,073  $11,880  $3,882  $11,761  $195 
Certificates of deposit and other time deposits less than $100,000
  759,820   682,731   48,064   14,127   4,901   8,930   1,067 
Total maturities
 $1,453,475  $1,310,595  $86,137  $26,007  $8,783  $20,691  $1,262