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Deposits (Tables)
12 Months Ended
Dec. 31, 2021
Deposits [Abstract]  
Schedule of deposits
Deposits consisted of the following: 
 December 31, 2021December 31, 2020
 AmountPercentAmountPercent
 (Dollars in thousands)
Noninterest demand deposits$2,330,956 36.5 %$1,980,531 35.4 %
Interest bearing demand deposits1,946,605 30.5 1,716,123 30.7 
Money market accounts1,120,174 17.6 962,983 17.2 
Savings accounts640,763 10.0 538,819 9.6 
Total non-maturity deposits6,038,498 94.6 5,198,456 92.9 
Certificates of deposit342,839 5.4 399,534 7.1 
Total deposits$6,381,337 100.0 %$5,597,990 100.0 %
Schedule of interest expense, by category
Interest expense, by category, was as follows:
 Year Ended December 31,
 202120202019
 (In thousands)
Interest bearing demand deposits$2,497 $3,234 $3,940 
Money market accounts1,485 2,830 2,754 
Savings accounts367 527 2,634 
Certificates of deposit1,811 5,674 7,021 
Total interest expense$6,160 $12,265 $16,349 
Schedule of maturities of certificates of deposit
Scheduled maturities of certificates of deposit for future years as of December 31, 2021 are as follows, in thousands:
2022$290,497 
202332,608 
20249,072 
20254,531 
20266,131 
Total$342,839