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Deposits
12 Months Ended
Jun. 30, 2024
Deposits [Abstract]  
Deposits Deposits
Deposits at June 30, 2024 and 2023 are summarized as follows:
June 30,
20242023
BalanceWeighted
Average
Interest Rate
BalanceWeighted
Average
Interest Rate
(Dollars in Thousands)
Non-interest-bearing demand$598,366 0.00 %$609,999 0.00 %
Interest-bearing demand2,308,915 3.06 2,252,912 2.43 
Savings643,481 0.80 748,721 0.48 
Certificates of deposits1,607,361 4.39 2,017,551 3.02 
Total deposits$5,158,123 2.84 %$5,629,183 2.12 %
Brokered deposits at June 30, 2024 and 2023 are summarized as follows:
June 30,
20242023
BalanceWeighted
Average
Interest Rate
BalanceWeighted
Average
Interest Rate
(Dollars in Thousands)
Certificates of deposits$408,234 5.30 %$635,314 4.28 %
Total brokered deposits$408,234 5.30 %$635,314 4.28 %
A summary of certificates of deposit by maturity at June 30, 2024 follows:
June 30,
2024
(In Thousands)
One year or less$1,487,483 
After one year to two years94,013 
After two years to three years12,349 
After three years to four years5,672 
After four years to five years2,454 
After five years5,390 
Total certificates of deposit$1,607,361 
Certificates of deposit with balances of $250,000 or more at June 30, 2024 and 2023, totaled approximately $633.0 million and $883.7 million, respectively. The Bank’s deposits are insurable to applicable limits by the FDIC.