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Note 7 - Deposits
3 Months Ended
Mar. 31, 2019
Notes to Financial Statements  
Deposit Liabilities Disclosures [Text Block]
(
7
)
Deposits
 
The composition of the Bank’s deposits follows:
 
 
 
(In thousands)
 
March 31, 2019
   
December 31, 2018
 
                 
Non-interest bearing demand deposits
  $
698,783
    $
711,023
 
                 
Interest bearing deposits:
               
Interest bearing demand
   
847,240
     
892,867
 
Savings
   
160,988
     
155,007
 
Money market
   
689,085
     
688,744
 
                 
Time deposits of $250 or more
   
54,479
     
55,182
 
Other time deposits (1)
   
301,965
     
291,533
 
Total time deposits
   
356,444
     
346,715
 
                 
Total interest bearing deposits
   
2,053,757
     
2,083,333
 
                 
Total deposits
  $
2,752,540
    $
2,794,356
 
 
 
 
(
1
)
Includes
$
29.8
million in brokered deposits as of both
March 31, 2019
and
December 31, 2018.
 
 
 
Maturities of time deposits of
$250,000
or more, outstanding at
March 31, 2019,
are summarized as follows:
 
(In thousands)
 
Amount
 
         
3 months or less
  $
8,750
 
Over 3 months through 6 months
   
6,320
 
Over 6 months through 12 months
   
9,862
 
Over 1 year through 3 years
   
28,054
 
Over 3 years
   
1,493
 
Total time deposits of $250 or more
  $
54,479