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Deposits
12 Months Ended
Dec. 31, 2023
Deposits  
Deposits

Note 9—Deposits

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

December 31,

 

(Dollars in thousands)

2023

2022

 

Noninterest-bearing checking

$

10,649,274

$

13,168,656

Interest-bearing checking

7,978,799

8,955,519

Savings

2,632,212

3,464,351

Money market

11,538,671

8,342,111

Time deposits

4,249,953

2,419,986

Total deposits

$

37,048,909

$

36,350,623

At December 31, 2023 and 2022, the Company had $927.2 million and $487.2 million in certificates of deposits greater than $250,000, respectively.

At December 31, 2023, the scheduled maturities of time deposits (includes $4.6 million of other time deposits) of all denominations are as follow:

(Dollars in thousands)

    

    

 

Year ended December 31:

2024

$

3,910,857

2025

 

241,279

2026

 

47,855

2027

 

30,510

2028

 

17,212

Thereafter

 

2,240

$

4,249,953