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Deposits (Tables)
12 Months Ended
Dec. 31, 2011
Deposits [Abstract]  
Summary Of Deposits
      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   
                   
Scheduled Maturities Of Time Deposits
(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   
          
Schedule Of Additional Information About 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