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Deposits (Tables)
12 Months Ended
Dec. 31, 2018
Deposits [Abstract]  
Schedule of deposits
Deposits consisted of the following: 
 
 
December 31, 2018
 
December 31, 2017
 
 
Amount
 
Percent
 
Amount
 
Percent
 
 
(Dollars in thousands)
Noninterest demand deposits
 
$
1,362,268

 
30.7
%
 
$
944,791

 
27.8
%
Interest bearing demand deposits
 
1,317,513

 
29.7

 
1,051,752

 
31.1

Money market accounts
 
765,316

 
17.3

 
499,618

 
14.7

Savings accounts
 
520,413

 
11.8

 
498,501

 
14.7

Total non-maturity deposits
 
3,965,510

 
89.5

 
2,994,662

 
88.3

Certificate of deposit accounts
 
466,892

 
10.5

 
398,398

 
11.7

Total deposits
 
$
4,432,402

 
100.0
%
 
$
3,393,060

 
100.0
%
Schedule of interest expense, by category
Interest expense, by category, was as follows:
 
 
Year Ended December 31,
 
 
2018
 
2017
 
2016
 
 
(In thousands)
Interest bearing demand deposits
 
$
2,728

 
$
1,812

 
$
1,569

Money market accounts
 
1,654

 
682

 
749

Savings accounts
 
2,056

 
1,311

 
756

Certificate of deposit accounts
 
3,959

 
2,244

 
1,936

 
 
$
10,397

 
$
6,049

 
$
5,010

Schedule of maturities of certificates of deposit
Scheduled maturities of certificates of deposit for future years are as follows:
 
 
Year Ending December 31,
 
 
(In thousands)
2019
 
$
313,830

2020
 
93,675

2021
 
14,608

2022
 
24,914

2023
 
19,847

Thereafter
 
18

 
 
$
466,892