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Deposits
12 Months Ended
Dec. 31, 2024
Deposits [Abstract]  
Deposits Deposits
Year-end deposits were as follows:
20242023
Non-interest-bearing demand deposits$14,441,820 $14,926,094 
Interest-bearing deposits:
Savings and interest checking10,310,942 10,512,637 
Money market accounts11,568,254 10,997,279 
Time accounts6,401,732 5,484,558 
Total interest-bearing deposits28,280,928 26,994,474 
Total deposits$42,722,748 $41,920,568 
The following table presents additional information about our year-end deposits:
20242023
Deposits from foreign sources (primarily Mexico)$1,219,463 $1,061,701 
Non-interest-bearing public funds deposits759,819 675,016 
Interest-bearing public funds deposits625,104 630,455 
Total deposits not covered by deposit insurance22,972,618 22,393,786 
Time deposits not covered by deposit insurance2,744,112 2,339,716 
Deposits from certain directors, executive officers and their affiliates121,113 115,798 
Scheduled maturities of time deposits at December 31, 2024 were as follows:
2025$6,214,390 
202617,636 
2027169,706 
$6,401,732 
Scheduled maturities of time deposits not covered by deposit insurance at December 31, 2024, were as follows:
Due within 3 months or less$2,500,536 
Due after 3 months and within 6 months91,140 
Due after 6 months and within 12 months107,808 
Due after 12 months44,628 
$2,744,112