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Deposits (Tables)
12 Months Ended
Dec. 31, 2016
Deposits [Abstract]  
Schedule of Deposits
Year-end deposits were as follows:
 
2016
 
2015
Non-interest-bearing demand deposits:
 
 
 
Commercial and individual
$
9,670,989

 
$
9,251,463

Correspondent banks
280,751

 
378,930

Public funds
561,629

 
639,840

Total non-interest-bearing demand deposits
10,513,369

 
10,270,233

Interest-bearing deposits:
 
 
 
Private accounts:
 
 
 
Savings and interest checking
6,436,065

 
5,149,905

Money market accounts
7,486,431

 
7,536,998

Time accounts of $100,000 or more
460,028

 
420,697

Time accounts under $100,000
338,714

 
405,726

Total private accounts
14,721,238

 
13,513,326

Public funds:
 
 
 
Savings and interest checking
446,872

 
420,324

Money market accounts
113,669

 
93,969

Time accounts of $100,000 or more
15,748

 
44,941

Time accounts under $100,000
679

 
802

Total public funds
576,968

 
560,036

Total interest-bearing deposits
15,298,206

 
14,073,362

Total deposits
$
25,811,575

 
$
24,343,595

Additional Information About Corporation's Deposits
The following table presents additional information about our year-end deposits:
 
2016
 
2015
Deposits from the Certificate of Deposit Account Registry Service (CDARS)
$

 
$
2,615

Deposits from the Promontory Interfinancial Network Insured Cash Sweep Service (acquired in the acquisition of WNB)

 
7,440

Deposits from foreign sources (primarily Mexico)
776,003

 
747,008

Deposits not covered by deposit insurance
12,889,047

 
11,953,367

Deposits from certain directors, executive officers and their affiliates
199,969

 
218,095

Scheduled Maturities of Time Deposits
Scheduled maturities of time deposits, including both private and public funds, at December 31, 2016 were as follows:
2017
$
679,586

2018
135,524

2019
59

2020

2021

 
$
815,169

Scheduled Maturities of Time Deposits in Amounts of $100,000 or More
Scheduled maturities of time deposits in amounts of $100,000 or more, including both private and public funds, at December 31, 2016, were as follows:
Due within 3 months or less
$
154,513

Due after 3 months and within 6 months
80,461

Due after 6 months and within 12 months
157,772

Due after 12 months
83,030

 
$
475,776