Annual report pursuant to Section 13 and 15(d)

Note 7 - Deposits

v3.10.0.1
Note 7 - Deposits
12 Months Ended
Dec. 31, 2018
Notes to Financial Statements  
Deposit Liabilities Disclosures [Text Block]
NOTE
7.
DEPOSITS
 
Deposits at
December 31, 2018
and
2017
were as follows:
 
    December 31,
    2018   2017
    (In Thousands)
Noninterest-bearing demand   $
1,557,341
    $
1,440,326
 
Interest-bearing checking    
4,624,909
     
4,029,147
 
Savings    
53,880
     
50,959
 
Time deposits, $250,000 and under    
257,925
     
228,540
 
Time deposits, over $250,000    
421,653
     
342,702
 
    $
6,915,708
    $
6,091,674
 
 
The scheduled maturities of time deposits at
December 31, 2018
were as follows:
 
    (In Thousands)
2019   $
386,936
 
2020    
126,817
 
2021    
60,246
 
2022    
34,950
 
2023    
70,580
 
Thereafter    
49
 
Total   $
679,578
 
 
At
December 31, 2018
and
2017,
overdraft deposits reclassified to loans were
$10.9
million and
$1.7
million, respectively.