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Deposits (Tables)
12 Months Ended
Dec. 31, 2023
DEPOSIT ACCOUNTS  
Schedule of Deposit Liabilities, Type
The following table presents the composition of the Company’s deposits as of December 31, 2023 and 2022:
December 31,
($ in thousands)20232022
Deposits:
Noninterest-bearing demand$15,539,872 $21,051,090 
Interest-bearing checking7,558,908 6,672,165 
Money market13,108,727 12,265,024 
Savings:
Domestic office1,638,916 2,425,784 
Foreign office202,551 223,253 
Time deposits (1):
Domestic office16,037,287 11,878,734 
Foreign office2,006,177 1,451,799 
Total deposits$56,092,438 $55,967,849 
(1)The aggregate amount of time deposits that met or exceeded the deposit insurance limit was $13.6 billion and $10.6 billion as of December 31, 2023 and 2022, respectively.
Schedule of Time Deposit Maturities
The following table presents the scheduled maturities of time deposits for the five years succeeding December 31, 2023:
($ in thousands)Amount
2024$17,580,178 
2025134,264 
2026186,448 
2027139,279 
20283,295 
Total$18,043,464