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Deposits (Tables)
6 Months Ended
Jun. 30, 2023
Disclosure Text Block [Abstract]  
Deposit Liabilities, Type
Deposits were as follows:
June 30,
2023
December 31,
2022
Non-interest-bearing demand deposits$14,904,614 $17,598,234 
Interest-bearing deposits:
Savings and interest checking10,540,458 12,333,675 
Money market accounts11,026,368 12,227,247 
Time accounts4,229,390 1,795,040 
Total interest-bearing deposits25,796,216 26,355,962 
Total deposits$40,700,830 $43,954,196 
Additional Information About Corporation's Deposits
The table below presents additional information about our deposits. Public funds in excess of deposit insurance limits are included in the totals for deposits not covered by insurance; however, such deposits are generally fully collateralized by securities.
June 30,
2023
December 31,
2022
Deposits from foreign sources (primarily Mexico)$1,036,777 $1,048,943 
Non-interest-bearing public funds deposits447,194 788,040 
Interest-bearing public funds deposits696,521 758,761 
Total deposits not covered by deposit insurance20,630,167 23,839,797 
Time deposits not covered by deposit insurance1,670,388 430,128