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Deposits
6 Months Ended
Jun. 30, 2014
Notes to Financial Statements [Abstract]  
Deposit Liabilities Disclosures [Text Block]

Note 17 Deposits

Total interest bearing deposits as of the end of the periods presented consisted of:

(In thousands)June 30, 2014December 31, 2013
Savings accounts$ 7,536,527$ 6,839,126
NOW, money market and other interest bearing demand deposits  4,029,167  5,637,985
Total savings, NOW, money market and other interest bearing demand deposits  11,565,694  12,477,111
Certificates of deposit:    
 Under $100,000  4,651,190  5,101,711
 $100,000 and over  3,017,583  3,209,641
Total certificates of deposit  7,668,773  8,311,352
Total interest bearing deposits$ 19,234,467$ 20,788,463
Deposits from discontinued operations are presented as part of " Liabilities from Discontinued Operations" in the Consolidated Statement of Condition. Refer to Note 3 to the consolidated financial statements for further information on the discontinued operations.

A summary of certificates of deposit by maturity at June 30, 2014 follows:

 

(In thousands)  
2014$ 3,892,291
2015  1,671,312
2016  753,965
2017  563,469
2018  399,040
2019 and thereafter  388,696
Total certificates of deposit$ 7,668,773

At June 30, 2014, the Corporation had brokered deposits amounting to $ 2.4 billion (December 31, 2013 - $ 2.4 billion).

The aggregate amount of overdrafts in demand deposit accounts that were reclassified to loans was $9 million at June 30, 2014 (December 31, 2013 - $10 million).