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CUSTOMER DEPOSIT ACCOUNTS (Tables)
12 Months Ended
Dec. 31, 2014
CUSTOMER DEPOSIT ACCOUNTS  
Summary of customer deposit account balances
 
December 31,
 
2014
2013
 
(In thousands)
Noninterest-bearing demand
$
7,381,030

$
5,821,899

Interest-bearing checking
2,545,618

1,749,479

Money market accounts
6,318,120

5,653,412

Savings deposits
1,651,267

1,363,780

Total core deposits
17,896,035

14,588,570

Time deposits:
 

 

Less than $100,000
1,662,046

1,678,850

$100,000 or greater
4,450,693

4,145,498

Total time deposits
6,112,739

5,824,348

Total deposits
$
24,008,774

$
20,412,918

 
Scheduled maturities of time deposits
$100,000 or
Greater
Less Than
$100,000
Total
 
(In thousands)
2015
$
3,513,958

$
1,397,648

$
4,911,606

2016
318,791

164,061

482,852

2017
189,195

44,944

234,139

2018
168,252

34,579

202,831

2019
142,492

20,782

163,274

Thereafter
118,005

32

118,037

Total
$
4,450,693

$
1,662,046

$
6,112,739