XML 126 R107.htm IDEA: XBRL DOCUMENT v2.4.0.8
Note 10: Deposits: Schedule of Deposit Liabilities (Details) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
Deposits $ 3,201,728 $ 2,808,626
Non-Interest Bearing Demand Deposits
   
Deposits 550,976 522,805
Interest Bearing Demand And Savings Deposits
   
Deposits 1,539,672 [1] 1,291,879 [1]
Total Deposits
   
Deposits 3,201,728 2,808,626
Bank Time Deposits | 0.00% - 0.99%
   
Deposits 771,460 669,698
Bank Time Deposits | 1.00% - 1.99%
   
Deposits 253,663 251,118
Bank Time Deposits | 2.00% - 2.99%
   
Deposits 73,469 61,042
Bank Time Deposits | 3.00% - 3.99%
   
Deposits 10,266 9,413
Bank Time Deposits | 4.00% - 4.99%
   
Deposits 1,793 1,852
Bank Time Deposits | 5% and above
   
Deposits 429 819
Bank Time Deposits | Total Time Deposits
   
Deposits $ 1,111,080 [2] $ 993,942 [2]
[1] (0.20% - 0.20%)
[2] (0.80% - 0.69%)