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Deposits (Tables)
12 Months Ended
Dec. 31, 2020
Deposits  
Schedule of Deposit Liabilities

Weighted Average

    

Interest Rate

    

2020

    

2019

(In Thousands, Except Interest Rates)

Noninterest-bearing accounts

 

$

984,798

$

687,068

Interest-bearing checking and savings accounts

 

0.22% and 0.55%

  

 

2,141,313

 

1,551,929

 

 

3,126,111

2,238,997

Certificate accounts

 

0% - 0.99%

 

803,737

 

122,649

 

1% - 1.99%

 

425,061

 

523,816

 

2% - 2.99%

 

143,417

 

1,053,914

 

3% - 3.99%

 

18,148

 

19,849

 

4% and above

 

429

 

881

 

 

1,390,792

1,721,109

 

$

4,516,903

$

3,960,106

Schedule of Maturities of certificates of deposit

    

Retail

    

Brokered

    

Total

(In Thousands)

2021

$

995,934

$

91,345

$

1,087,279

2022

 

175,913

 

13,751

 

189,664

2023

 

30,898

 

42,448

 

73,346

2024

 

14,647

 

11,200

 

25,847

2025

 

13,743

 

 

13,743

Thereafter

 

913

 

 

913

$

1,232,048

$

158,744

$

1,390,792

Schedule of Interest Expense on Deposit Liabilities

2020

2019

2018

(In Thousands)

Checking and savings accounts

$

7,096

$

7,971

$

5,982

Certificate accounts

 

25,453

 

37,723

 

22,149

Early withdrawal penalties

 

(118)

 

(124)

 

(174)

$

32,431

$

45,570

$

27,957