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Deposits
12 Months Ended
Dec. 31, 2011
Deposits [Abstract]  
Deposits

NOTE 8: Deposits

A summary of deposits by type follows:

 

      At December 31,  
(In thousands)    2011      2010  

Non-interest bearing:

     

Demand

   $ 2,473,693       $ 2,216,987   

Interest-bearing:

     

Checking

     1,551,105         1,350,929   

Health savings accounts

     1,027,415         843,310   

Money market

     2,021,056         2,460,918   

Savings

     3,748,121         3,586,732   

Time deposits

     2,834,635         3,149,909   
                   

Total interest-bearing

     11,182,332         11,391,798   
                   

Total deposits

   $ 13,656,025       $ 13,608,785   
                   

Demand deposit overdrafts of $1.5 million were reclassified as loan balances at December 31, 2011 and 2010.

At December 31, 2011, the scheduled maturities of time deposits (certificates of deposit and brokered deposits) were as follows:

 

(In thousands)        

Years ending December 31:

  

2012

   $ 1,439,834   

2013

     727,870   

2014

     197,524   

2015

     305,709   

2016

     162,356   

Thereafter

     1,342   
          

Total time deposits

   $ 2,834,635   
          

Time deposits with a denomination of $100 thousand or more amounted to $1.0 billion, or 7.2% of total deposits, and $1.0 billion, or 7.7% of total deposits, at December 31, 2011 and 2010, respectively.

The following table presents additional information about the Company's deposits:

 

 

   At December 31,  
(In thousands)    2011      2010  

Interest-bearing checking obtained through brokers

   $ 33,632       $ 24,644   

Time deposits obtained through brokers

     119,052         78,879   
                   

Total brokered deposits

   $ 152,684       $ 103,523