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Deposits
12 Months Ended
Dec. 31, 2018
Deposits [Abstract]  
Deposits
Deposits

The following is a summary of scheduled maturities of CDs as of December 31, 2018:
 
Retail
 
Brokered
 
Total
2019
$
250,838

 
$
210,369

 
$
461,207

2020
116,397

 
7,000

 
123,397

2021
35,235

 

 
35,235

2022
20,045

 

 
20,045

2023
15,368

 

 
15,368

Thereafter
6,029

 

 
6,029

Total
$
443,912

 
$
217,369

 
$
661,281



CDs issued in amounts that meet or exceed the FDIC insurance limit of $250,000 totaled $111.1 million and $137.1 million at December 31, 2018 and 2017, respectively.

At December 31, 2018 and 2017, the Company, in the normal course of business, had deposits from certain officers, directors, and their associated companies totaling $16.2 million and $14.9 million, respectively.

The Company has pledged assets as collateral covering certain deposits in the amount of $443.1 million and $434.6 million at December 31, 2018 and 2017, respectively.

The amount of overdraft deposits that were reclassified as loans at December 31, 2018 and 2017 was $1.1 million and $897,000, respectively.