Deposit Composition
|
Demand Deposits
|
152,161
|
43,157
|
All NOW & ATS Accounts
|
148,095
|
33,821
|
Money Market Deposit Accounts
|
221,045
|
989,684
|
Other Nontransaction Savings
|
123,578
|
127,531
|
Time Deposits At Or Below Insurance Limit
|
488,475
|
142,560
|
Fully Insured Brokered Deposits
|
92,002
|
188,790
|
Time Deposits Above Insurance Limit
|
115,747
|
55,571
|
Total Deposits in Foreign Offices
|
—
|
—
|
Core Deposits
|
1,041,352
|
260,101
|
Deposit Composition Ratios
|
Demand Deposits as a percent of Average Assets
|
7.687
|
10.172
|
All NOW & ATS Accounts as a percent of Average Assets
|
6.816
|
10.925
|
Money Market Deposit Accounts as a percent of Average Assets
|
10.763
|
10.842
|
Other Savings Deposits as a percent of Average Assets
|
5.974
|
15.199
|
Time Deposits At or Below Insurance Limit as a percent of Average Assets
|
22.857
|
25.129
|
Core Deposits as a percent of Average Assets
|
49.637
|
69.388
|
Fully Insured Brokered Deposits as a percent of Average Assets
|
4.459
|
7.022
|
Time Deposits Above Insurance Limit as a percent of Average Assets
|
6.156
|
9.908
|
Deposits in Foreign Offices as a percent of Average Assets
|
—
|
—
|