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Deposits
12 Months Ended
Dec. 31, 2013
Deposits  
Deposits

Note 9—Deposits

        The Company's total deposits are comprised of the following:

 
  December 31,  
(Dollars in thousands)
  2013   2012  

Certificates of deposit

  $ 1,525,567   $ 1,064,141  

Interest-bearing demand deposits

    2,893,646     1,910,374  

Non-interest bearing demand deposits

    1,487,798     982,046  

Savings deposits

    647,648     341,103  

Other time deposits

    838     779  
           

Total deposits

  $ 6,555,497   $ 4,298,443  
           
           

        The aggregate amounts of time deposits in denominations of $100,000 or more at December 31, 2013, and 2012, were $662.7 million and $464.6 million, respectively. In July of 2010, the Dodd-Frank Wall Street Reform and Consumer Protection Act permanently increased the insurance limit on deposit accounts from $100,000 to $250,000. At December 31, 2013, and 2012, the Company had $166.1 million and $129.6 million in certificates of deposits greater than $250,000, respectively. At December 31, 2013 and 2012, the Company had $1.2 million and $13.0 million, respectively, in traditional, out-of-market brokered deposits.

        At December 31, 2013, the scheduled maturities of time deposits (includes $838,000 of other time deposits) of all denominations are as follows:

(Dollars in thousands)

       

Years ending December 31:

       

2014

  $ 1,000,230  

2015

    224,858  

2016

    177,237  

2017

    69,437  

2018

    46,307  

Thereafter

    8,336  
       

 

  $ 1,526,405