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Deposits (Tables)
12 Months Ended
Dec. 31, 2022
Deposits [Abstract]  
Schedule of deposits
 December 31, 2022December 31, 2021Change
 Amount% of TotalAmount% of Total$%
 (Dollars in thousands)
Noninterest demand deposits$2,099,464 35.5 %$2,343,909 36.7 %$(244,445)(10.4)%
Interest bearing demand deposits1,830,727 30.9 1,946,605 30.4 (115,878)(6.0)
Money market accounts1,063,243 17.9 1,120,174 17.5 (56,931)(5.1)
Savings accounts623,833 10.5 640,763 10.0 (16,930)(2.6)
Total non-maturity deposits5,617,267 94.8 6,051,451 94.6 (434,184)(7.2)
Certificates of deposit307,573 5.2 342,839 5.4 (35,266)(10.3)
Total deposits$5,924,840 100.0 %$6,394,290 100.0 %$(469,450)(7.3)%
Schedule of interest expense, by category Interest expense, by category, for the periods indicated:
 Year Ended December 31,
 202220212020
 (In thousands)
Interest bearing demand deposits$3,239 $2,497 $3,234 
Money market accounts1,745 1,485 2,830 
Savings accounts381 367 527 
Certificates of deposit1,407 1,811 5,674 
Total interest expense$6,772 $6,160 $12,265 
Schedule of maturities of certificates of deposit
Scheduled maturities of certificates of deposit for future years as of December 31, 2022 are as follows, in thousands:
2023$270,575 
202415,913 
20254,948 
20264,894 
2023$270,575 
202711,243 
Total$307,573