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Deposits
6 Months Ended
Jun. 30, 2023
Deposit Liabilities [Abstract]  
Deposits Deposits
The following table summarizes deposits by type:
(In thousands)At June 30,
2023
At December 31,
2022
Non-interest-bearing:
Demand$11,157,390 $12,974,975 
Interest-bearing:
Health savings accounts8,206,844 7,944,892 
Checking8,775,975 9,237,529 
Money market16,189,678 11,062,652 
Savings7,131,587 8,673,343 
Time deposits7,286,058 4,160,949 
Total interest-bearing$47,590,142 $41,079,365 
Total deposits$58,747,532 $54,054,340 
Time deposits, money market, and interest-bearing checking obtained through brokers (1)
$3,234,854 $1,964,873 
Aggregate amount of time deposit accounts that exceeded the FDIC limit3,553,953 1,894,950 
Demand deposit overdrafts reclassified as loan balances9,312 8,721 
(1)Excludes $4.3 billion of money market sweep deposits received through interLINK at June 30, 2023.
The following table summarizes the scheduled maturities of time deposits:
(In thousands)At June 30,
2023
Remainder of 2023$4,189,693 
20242,859,064 
2025134,973 
202653,889 
202735,600 
Thereafter12,839 
Total time deposits$7,286,058