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Deposits (Tables)
12 Months Ended
Dec. 31, 2025
Deposits [Abstract]  
Schedule of Deposits
A summary of deposits follows:
 December 31, 2025December 31, 2024
 AmountWeighted
Average
Rate
AmountWeighted
Average
Rate
 (Dollars in Thousands)
Demand checking accounts$4,032,529 — %$1,692,394 — %
NOW accounts1,445,894 0.88 %617,246 0.57 %
Savings accounts2,954,029 1.82 %1,721,247 4.40 %
Money market accounts (Non-payroll)4,636,548 2.62 %2,116,360 2.58 %
Total core deposit accounts13,069,000 2.06 %6,147,247 2.18 %
Certificate of deposit accounts maturing:    
Within six months$2,983,888 3.64 %$1,287,280 4.48 %
After six months but within 1 year872,307 3.48 %492,098 4.06 %
After 1 year but within 2 years266,649 3.27 %78,153 3.34 %
After 2 years but within 3 years21,781 2.06 %13,188 2.13 %
After 3 years but within 4 years5,512 0.79 %12,028 3.27 %
After 4 years but within 5 years6,137 0.47 %2,498 1.16 %
5+ Years266 0.49 %199 0.50 %
Total certificate of deposit accounts4,156,540 3.56 %1,885,444 4.30 %
Payroll deposits (1)
1,878,758 3.42 %— — %
Brokered deposit accounts410,359 4.13 %868,953 4.42 %
Total deposits$19,514,657 2.06 %$8,901,644 2.85 %
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(1) Payroll deposits are included in money market accounts in the accompanying consolidated balance sheets.
Schedule of Interest Expense on Deposit Balances
Interest expense on deposit balances is summarized as follows:
 Year Ended December 31,
 202520242023
 (In Thousands)
Interest-bearing deposits:   
NOW accounts$6,778 $4,543 $4,275 
Savings accounts48,502 46,220 27,974 
Money market accounts88,055 60,796 58,153 
Certificate of deposit accounts102,424 76,134 44,122 
Brokered deposit accounts34,741 45,270 41,141 
Total interest-bearing deposits$280,500 $232,963 $175,665