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Deposits
12 Months Ended
Dec. 31, 2022
Deposit Liabilities [Abstract]  
Deposits Deposits
The following table summarizes deposits by type:
At December 31,
(In thousands)20222021
Non-interest-bearing:
Demand$12,974,975 $7,060,488 
Interest-bearing:
Health savings accounts7,944,892 7,397,582 
Checking9,237,529 4,182,497 
Money market11,062,652 3,718,953 
Savings8,673,343 5,689,739 
Time deposits4,160,949 1,797,770 
Total interest-bearing41,079,365 22,786,541 
Total deposits$54,054,340 $29,847,029 
Time deposits, money market, and interest-bearing checking obtained through brokers$1,964,873 $120,392 
Aggregate amount of time deposit accounts that exceeded the FDIC limit1,894,950 256,522 
Demand deposit overdrafts reclassified as loan balances8,721 1,577 
The following table summarizes the scheduled maturities of time deposits:
(In thousands)At December 31, 2022
2023$3,754,386 
2024181,790 
2025129,775 
202655,102 
202739,896 
Thereafter— 
Total time deposits$4,160,949