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Deposits
6 Months Ended
Jun. 30, 2019
Banking and Thrift [Abstract]  
Deposits
A summary of deposits by type follows:
(In thousands)
At June 30,
2019

At December 31,
2018
Non-interest-bearing:
 
 
 
Demand
$
4,174,806

 
$
4,162,446

Interest-bearing:
 
 
 
Health savings accounts
6,212,372

 
5,740,601

Checking
2,636,109

 
2,518,472

Money market
2,073,006

 
2,100,084

Savings
4,169,492

 
4,140,696

Time deposits
3,332,993

 
3,196,546

Total interest-bearing
$
18,423,972

 
$
17,696,399

Total deposits
$
22,598,778

 
$
21,858,845

 
 
 
 
Time deposits and interest-bearing checking, included in above balances, obtained through brokers
$
700,315

 
$
869,003

Time deposits, included in above balance, that exceed the FDIC limit
701,839

 
555,949

Deposit overdrafts reclassified as loan balances
1,114

 
2,245


The scheduled maturities of time deposits are as follows:
(In thousands)
At June 30,
2019
Remainder of 2019
$
1,967,980

2020
961,586

2021
300,299

2022
65,878

2023
29,139

Thereafter
8,111

Total time deposits
$
3,332,993