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Deposits (Tables)
12 Months Ended
Dec. 31, 2023
Deposits [Abstract]  
Schedule of Deposits
The following is a summary of deposits at December 31, 2023 and 2022:
(Dollars in thousands)
20232022
Balance:
Non-interest bearing$10,420,401 $12,668,160 
NOW and interest-bearing demand deposits5,797,649 5,591,986 
Wealth management deposits1,614,499 2,463,833 
Money market15,149,215 12,886,795 
Savings5,790,334 4,556,635 
Time certificates of deposit6,625,072 4,735,135 
Total deposits
$45,397,170 $42,902,544 
Mix:
Non-interest bearing23 %30 %
NOW and interest-bearing demand deposits13 13 
Wealth management deposits4 
Money market33 30 
Savings13 11 
Time certificates of deposit14 11 
Total deposits
100 %100 %
Schedule of Maturities of Time Certificates of Deposit
The scheduled maturities of time certificates of deposit at December 31, 2023 and 2022 are as follows:
(In thousands)
20232022
Due within one year$5,994,905 $3,627,816 
Due in one to two years558,387 887,886 
Due in two to three years42,559 193,581 
Due in three to four years16,251 13,431 
Due in four to five years12,966 12,319 
Due after five years4 102 
Total time certificate of deposits
$6,625,072 $4,735,135 
Schedule of Maturities of Uninsured Deposits Exceeding FDIC Insurance $250,000 Limit
The following table sets forth the scheduled maturities of uninsured deposits, specifically the portion of deposit balances in excess of the FDIC insurance limit of $250,000, at December 31, 2023 and 2022:
(In thousands)
20232022
Maturing within three months$315,495 $518,457 
After three but within six months327,183 421,242 
After six but within 12 months466,699 232,120 
After 12 months73,534 165,353 
Total
$1,182,911 $1,337,172