Annual report pursuant to Section 13 and 15(d)

Deposits (Tables)

v3.10.0.1
Deposits (Tables)
12 Months Ended
Dec. 31, 2018
Banking and Thrift [Abstract]  
Scheduled Maturities of Time Deposits
At December 31, 2018, the scheduled maturities of time deposits are as follows:
Year Ending December 31,
Time
Deposits of
$250,000
or More
 
Other
Time
Deposits
 
Total
 
(in thousands)
2019
$
276,799

 
$
1,162,302

 
$
1,439,101

2020
10,128

 
251,241

 
261,369

2021
911

 
95,964

 
96,875

2022

 
1,464

 
1,464

2023
775

 
1,917

 
2,692

Total
$
288,613

 
$
1,512,888

 
$
1,801,501

Summary of Interest Expense on Deposits
A summary of interest expense on deposits was as follows for the periods indicated:
 
Year Ended December 31,
 
2018
 
2017
 
2016
 
(in thousands)
Demand – interest-bearing
$
106

 
$
74

 
$
75

Money market and savings
16,182

 
12,515

 
6,470

Time deposits of $100,000 or more
24,309

 
10,471

 
6,605

Other time deposits
2,483

 
3,029

 
3,420

Total interest expense on deposits
$
43,080

 
$
26,089

 
$
16,570