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Deposits (Tables)
12 Months Ended
Dec. 31, 2024
Banking and Thrift, Interest [Abstract]  
Schedule of the Company’s Deposits
The following table provides a summary of the Company’s deposits as of the dates indicated:
As of December 31,
20242023
(In thousands)
Demand$5,992,082 $5,162,218 
Interest checking accounts4,606,250 3,737,361 
Savings accounts1,620,602 1,323,126 
Money market investment5,736,362 4,664,475 
Certificates of deposit3,336,323 2,709,037 
Total deposits$21,291,619 $17,596,217 
Schedule of Certificate of Deposits Maturities
The following table summarizes certificate of deposits by maturity at December 31, 2024:
BalancePercentage of Total
Year(Dollars in thousands)
2025$3,299,740 98.8 %
202627,311 0.8 %
20275,578 0.2 %
20281,673 0.1 %
20292,003 0.1 %
Thereafter18 0.0 %
Total certificates of deposit$3,336,323 100.0 %