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Deposits (Tables)
12 Months Ended
Dec. 31, 2015
Deposits [Abstract]  
Schedule of Deposits by Type [Table Text Block]
Deposits are summarized as follows:
 
December 31,
2015
 
2014
(In thousands)
Demand deposits (non-interest bearing)
$
1,689,604

 
$
1,418,426

NOW (1)
588,337

 
549,320

Savings
72,336

 
71,367

Money market (1)
3,105,172

 
2,816,928

Certificates of deposit under $100,000 (1)
173,011

 
185,721

Certificates of deposit $100,000 or greater
411,977

 
412,117

Total
$
6,040,437

 
$
5,453,879

___________________
(1)
Includes brokered deposits.
Banking and Thrift Disclosure [Text Block]
Certificates of deposit had the following schedule of maturities:
 
December 31,
2015
 
2014
(In thousands)
Less than 3 months remaining
$
192,702

 
$
171,157

3 to 6 months remaining
136,635

 
126,109

6 to 12 months remaining
111,674

 
121,654

1 to 3 years remaining
120,939

 
120,701

3 to 5 years remaining
22,035

 
41,706

More than 5 years remaining
1,003

 
16,511

Total
$
584,988

 
$
597,838