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Deposits
3 Months Ended
Mar. 31, 2015
Deposits [Abstract]  
Deposits
 DEPOSITS

The following is a summary of interest bearing deposits by type as of March 31, 2015 and 2014 and December 31, 2014:
Dollars in thousands
 
March 31,
2015
 
December 31,
2014
 
March 31,
2014
Demand deposits, interest bearing
 
$
196,606

 
$
204,030

 
$
195,898

Savings deposits
 
257,687

 
253,578

 
228,854

Time deposits
 
486,966

 
488,279

 
528,433

Total
 
$
941,259

 
$
945,887

 
$
953,185



Included in time deposits are deposits acquired through a third party (“brokered deposits”) totaling $139.5 million, $146.9 million and $160.4 million at March 31, 2015, December 31, 2014, and March 31, 2014, respectively.

A summary of the scheduled maturities for all time deposits as of March 31, 2015 is as follows:
Dollars in thousands
 
Nine month period ending December 31, 2015
$
143,413

Year ending December 31, 2016
144,477

Year ending December 31, 2017
57,461

Year ending December 31, 2018
46,888

Year ending December 31, 2019
35,457

Thereafter
59,270

Total
$
486,966



The following is a summary of the maturity distribution of all certificates of deposit in denominations of $100,000 or more as of March 31, 2015:
Dollars in thousands
Amount
 
Percent
Three months or less
$
42,686

 
11.9
%
Three through six months
25,577

 
7.1
%
Six through twelve months
58,303

 
16.3
%
Over twelve months
232,072

 
64.7
%
Total
$
358,638

 
100.00
%