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Deposits (Tables)
12 Months Ended
Dec. 31, 2018
Banking and Thrift [Abstract]  
Deposits
 
 
December 31

2018
 
 
December 31

2017
 
Noninterest-bearing demand deposits
 
$
642,129
 
 
$
601,805
 
Interest-bearing demand deposits
 
 
864,026
 
 
 
909,638
 
Money market (variable rate)
 
 
420,123
 
 
 
378,108
 
Savings deposits
 
 
400,187
 
 
 
424,500
 
Certificates of deposit of $250,000 or more
 
 
371,824
 
 
 
130,585
 
Other certificates and time deposits
 
 
441,087
 
 
 
436,367
 
Total deposits
 
$
3,139,376
 
 
$
2,881,003
 
Certificates and Other Time Deposits for Both Retail and Brokered
 
Certificates and other time deposits for both retail and brokered maturing in years ending December 31 are as follows:
 
 
 
Retail
 
 
Brokered
 
 
Total
 
2019
 
$
498,382
 
 
$
27,565
 
 
$
525,947
 
2020
 
 
112,944
 
 
 
24,530
 
 
 
137,474
 
2021
 
 
48,422
 
 
 
20,535
 
 
 
68,957
 
2022
 
 
16,029
 
 
 
15,256
 
 
 
31,285
 
2023
 
 
14,052
 
 
 
16,698
 
 
 
30,750
 
Thereafter
 
 
18,498
 
 
 
 
 
 
18,498
 
 
 
$
708,327
 
 
$
104,584
 
 
$
812,911