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Deposits (Tables)
12 Months Ended
Dec. 31, 2015
Deposits [Abstract]  
Summary of Deposits
The following is a summary of deposits at December 31, 2015 and 2014:
(Dollars in thousands)
 
2015
 
2014
Balance:
 
 
 
 
Non-interest bearing
 
$
4,836,420

 
$
3,518,685

NOW and interest bearing demand deposits
 
2,390,217

 
2,236,089

Wealth management deposits
 
1,643,653

 
1,226,916

Money market
 
4,041,300

 
3,651,467

Savings
 
1,723,367

 
1,508,877

Time certificates of deposit
 
4,004,677

 
4,139,810

Total deposits
 
$
18,639,634

 
$
16,281,844

Mix:
 
 
 
 
Non-interest bearing
 
26
%
 
22
%
NOW and interest bearing demand deposits
 
13

 
14

Wealth management deposits
 
9

 
8

Money market
 
22

 
22

Savings
 
9

 
9

Time certificates of deposit
 
21

 
25

Total deposits
 
100
%
 
100
%
Schedule of Maturities of Time Certificates of Deposit
The scheduled maturities of time certificates of deposit at December 31, 2015 and 2014 are as follows:
(Dollars in thousands)
 
2015
 
2014
Due within one year
 
$
2,851,153

 
$
2,722,029

Due in one to two years
 
846,107

 
1,009,936

Due in two to three years
 
148,199

 
247,418

Due in three to four years
 
85,169

 
86,884

Due in four to five years
 
73,440

 
69,360

Due after five years
 
609

 
4,183

Total time certificate of deposits
 
$
4,004,677

 
$
4,139,810

Schedule of Maturities of Time Deposits Over One Hundred Thousand Dollars
The following table sets forth the scheduled maturities of time deposits in denominations of $100,000 or more at December 31, 2015 and 2014:
(Dollars in thousands)
 
2015
 
2014
Maturing within three months
 
$
535,459

 
$
612,936

After three but within six months
 
434,591

 
466,203

After six but within 12 months
 
900,156

 
711,361

After 12 months
 
709,376

 
925,921

Total
 
$
2,579,582

 
$
2,716,421