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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2024
Deposits.  
Summary of deposits

Year Ended December 31, 

2024

2023

Weighted

Weighted

Average

Average

(Dollars in thousands)

    

Rate

Liability

    

Rate

Liability

Savings (1)

 

2.98

%  

$

1,927,909

 

3.67

%  

$

2,335,490

CDs

 

3.73

 

1,069,081

 

4.43

 

1,607,683

Money market

 

3.01

 

4,198,784

 

3.46

 

3,125,996

Interest-bearing checking

 

1.92

 

1,079,823

 

0.77

 

515,987

Non-interest-bearing checking (1)

 

 

3,410,544

 

 

2,945,499

Total

 

2.09

%  

$

11,686,141

 

2.56

%  

$

10,530,655

(1)Includes mortgage escrow deposits.
Summary of scheduled maturities of CDs outstanding

Maturing

Weighted Average

(Dollars in thousands)

    

Balance

    

Interest Rate

2025

    

$

873,750

3.91

%

2026

 

75,616

2.53

2027

 

12,401

1.44

2028

 

103,163

3.50

2029

 

4,139

0.36

2030 and beyond

 

12

1.34

Total

$

1,069,081

3.73

%