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9. Deposits
6 Months Ended
Jun. 30, 2013
Deposits  
Deposits

The following is a summary of interest bearing deposits by type as of June 30, 2013 and 2012 and December 31, 2012:

 

   June 30,  December 31,  June 30,
Dollars in thousands  2013  2012  2012
 Demand deposits, interest bearing  $187,244   $175,706   $164,868 
 Savings deposits   196,069    193,039    204,509 
 Time deposits   562,703    557,788    536,121 
 Total  $946,016   $926,533   $905,498 

  

Included in time deposits are deposits acquired through a third party (“brokered deposits”) totaling $192.1 million, $190.4 million and $181.6 million at June 30, 2013, December 31, 2012, and June 30, 2012, respectively.

 

A summary of the scheduled maturities for all time deposits as of June 30, 2013 is as follows:

 

Dollars in thousands   
 Six month period ending December 31, 2013  $143,414 
 Year ending December 31, 2014   146,390 
 Year ending December 31, 2015   65,071 
 Year ending December 31, 2016   81,241 
 Year ending December 31, 2017   29,175 
 Thereafter   97,412 
   $562,703 

  

The following is a summary of the maturity distribution of all certificates of deposit in denominations of $100,000 or more as of June 30, 2013:

 

Dollars in thousands  Amount  Percent
 Three months or less  $49,489    12.0%
 Three through six months   46,871    11.4%
 Six through twelve months   61,195    14.9%
 Over twelve months   253,549    61.7%
 Total  $411,104    100.0%