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Deposits (Tables)
12 Months Ended
Dec. 31, 2013
Banking and Thrift [Abstract]  
Summary Of Deposits
A summary of deposits by type follows:
 
At December 31,
(In thousands)
2013
 
2012
Non-interest-bearing:
 
 
 
Demand
$
3,128,152

 
$
2,881,131

Interest-bearing:
 
 
 
Checking
1,934,291

 
1,810,040

Health savings accounts
1,533,310

 
1,269,727

Money market
2,167,593

 
2,205,072

Savings
3,863,930

 
3,819,713

Time deposits
2,227,144

 
2,545,152

Total interest-bearing
11,726,268

 
11,649,704

Total deposits
$
14,854,420

 
$
14,530,835

 
 
 
 
Demand deposit overdrafts reclassified as loan balances
$
1,455

 
$
1,654

Scheduled Maturities Of Time Deposits
At December 31, 2013, the scheduled maturities of time deposits (certificates of deposit and brokered deposits) are as follows:
(In thousands)
 
Years ending December 31:
 
2014
$
1,345,729

2015
446,234

2016
216,865

2017
71,997

2018
145,007

Thereafter
1,312

Total time deposits
$
2,227,144

Additional Information Of Deposits
The following table presents additional information about the Company’s brokered deposits:
 
At December 31,
(In thousands)
2013
 
2012
Interest-bearing checking obtained through brokers
$
57,817

 
$
43,693

Time deposits obtained through brokers
148,117

 
126,299

Total brokered deposits
$
205,934

 
$
169,992