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DUE TO DEPOSITORS (Details) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2013
Dec. 31, 2012
Deposits [Abstract]    
Savings accounts $ 376,900 $ 371,792
Certificates of deposit ("CDs") 828,409 891,975
Money market accounts 1,040,079 961,359
Interest bearing checking accounts 87,301 95,159
Non-interest bearing checking accounts 174,457 159,144
Total deposits 2,507,146 2,479,429
Weighted Average Rate Domestic Deposit Liabilities [Abstract]    
Savings accounts (in hundredths) 0.05% 0.15%
Certificates of deposit ("CDs") (in hundredths) 1.55% 1.68%
Money market accounts (in hundredths) 0.50% 0.57%
Interest bearing checking accounts (in hundredths) 0.08% 0.16%
Effective cost on noninterest bearing accounts (in hundredths) 0.00% 0.00%
TOTAL (in hundredths) 0.73% 0.86%
Maturities of Time Deposits [Abstract]    
2014 426,186  
2015 190,436  
2016 43,295  
2017 53,285  
2018 93,519  
2019 and beyond 21,688  
TOTAL 828,409  
Weighted Average Rate of Time Deposits [Abstract]    
2014 1.17%  
2015 1.70%  
2016 1.91%  
2017 2.17%  
2018 2.25%  
2019 and beyond 1.88%  
TOTAL 1.54% [1]  
Weighted average cost of CDs, inclusive of their contractual compounding of interest (in hundredths) 1.55%  
Aggregate amount of CDs $100,000 or More $ 354,545 $ 371,697
[1] The weighted average cost of CDs, inclusive of their contractual compounding of interest, was 1.55% at December 31, 2013.