Deposit Composition
|
Demand Deposits
|
19,063,000
|
15,241
|
All NOW & ATS Accounts
|
3,542,000
|
13,315
|
Money Market Deposit Accounts
|
83,413,000
|
93,718
|
Other Nontransaction Savings
|
6,073,000
|
19,640
|
Time Deposits At Or Below Insurance Limit
|
10,383,000
|
38,154
|
Fully Insured Brokered Deposits
|
1,288,000
|
77,049
|
Time Deposits Above Insurance Limit
|
6,334,000
|
23,330
|
Total Deposits in Foreign Offices
|
12,280,000
|
—
|
Core Deposits
|
121,186,000
|
109,546
|
Deposit Composition Ratios
|
Demand Deposits as a percent of Average Assets
|
7.868
|
10.012
|
All NOW & ATS Accounts as a percent of Average Assets
|
1.327
|
10.467
|
Money Market Deposit Accounts as a percent of Average Assets
|
32.172
|
12.699
|
Other Savings Deposits as a percent of Average Assets
|
2.458
|
11.907
|
Time Deposits At or Below Insurance Limit as a percent of Average Assets
|
4.275
|
26.967
|
Core Deposits as a percent of Average Assets
|
47.583
|
71.458
|
Fully Insured Brokered Deposits as a percent of Average Assets
|
.516
|
7.816
|
Time Deposits Above Insurance Limit as a percent of Average Assets
|
2.562
|
11.913
|
Deposits in Foreign Offices as a percent of Average Assets
|
7.507
|
—
|