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Deposits (Tables)
6 Months Ended
Jun. 30, 2011
Deposits and Bank Regulatory Capital [Abstract]  
Summary of interest-bearing deposits
                 
    June 30,
    December 31,
 
    2011     2010  
    ($ in thousands)  
 
Interest-bearing deposits:
               
Money market
  $ 243,419     $ 236,811  
Savings
    821,059       694,157  
Certificates of deposit
    3,721,312       3,690,305  
                 
Total interest-bearing deposits
  $ 4,785,790     $ 4,621,273  
                 
Certificates of deposit detailed by maturity
         
Maturing by:
       
June 30, 2012
  $ 3,015,421  
June 30, 2013
    599,159  
June 30, 2014
    21,121  
June 30, 2015
    47,349  
June 30, 2016
    38,262  
         
Total
  $ 3,721,312  
         
Interest expense on deposits
                                 
    Three Months Ended
    Six Months Ended
 
    June 30,     June 30,  
    2011     2010     2011     2010  
    ($ in thousands)  
 
Savings and money market
  $ 2,095     $ 2,179     $ 4,039     $ 4,444  
Certificates of deposit
    11,364       13,164       22,859       27,310  
Fees for early withdrawal
    (61 )     (64 )     (117 )     (117 )
                                 
Total interest expense on deposits
  $ 13,398     $ 15,279     $ 26,781     $ 31,637