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Note 10: Deposits: Schedule of Deposit Liabilities (Details) - USD ($)
Sep. 30, 2015
Dec. 31, 2014
Deposits $ 3,246,740,000 $ 2,990,840,000
Non-Interest Bearing Demand Deposits    
Deposits 539,919 518,266
Interest Bearing Demand and Savings Deposits    
Deposits [1] 1,409,949 1,375,100
Total Deposits    
Deposits 3,246,740 2,990,840
Bank Time Deposits | 0.00% - 0.99%    
Deposits 914,635 798,932
Bank Time Deposits | 1.00% - 1.99%    
Deposits 336,226 227,476
Bank Time Deposits | 2.00% - 2.99%    
Deposits 42,953 61,146
Bank Time Deposits | 3.00% - 3.99%    
Deposits 1,401 8,065
Bank Time Deposits | 4.00% - 4.99%    
Deposits 1,364 1,435
Bank Time Deposits | 5.00% and above    
Deposits 293 420
Bank Time Deposits | Total Time Deposits    
Deposits [2] $ 1,296,872 $ 1,097,474
[1] (0.23% - 0.19%)
[2] (0.82% - 0.78%)