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Deposits (Tables)
9 Months Ended
Sep. 30, 2024
Deposits [Abstract]  
Schedule of Deposit Liabilities, Type
Deposits consisted of the following as of September 30, 2024 and December 31, 2023:
(Dollars in thousands)September 30, 2024% of Total DepositsDecember 31, 2023% of Total Deposits
Noninterest-bearing demand deposits$791,980 16.8 %$801,312 18.4 %
Interest-bearing demand deposits1,098,658 23.4 %947,372 21.8 %
Money market925,399 19.7 %850,674 19.6 %
Savings264,726 5.6 %288,404 6.6 %
Total demand and savings 3,080,763 65.5 %2,887,762 66.4 %
Time1,626,001 34.5 %1,458,450 33.6 %
Total deposits$4,706,764 100.0 %$4,346,212 100.0 %
Overdrafts$128 0.00 %$315 0.01 %
Schedule of Time Deposits By Maturity Date Table
The scheduled maturities of time deposits at September 30, 2024 were as follows:
Time Deposits
(In thousands)Less than $250,000$250,000 or more
Maturing in 2024$543,695 $193,278 
Maturing in 2025580,141 213,497 
Maturing in 202649,155 7,741 
Maturing in 202719,627 1,210 
Maturing in 20289,772 264 
Maturing thereafter7,329 292 
$1,209,719 $416,282