Summary of Deposit Balances |
Peoples’ deposit balances were comprised of the following: | | | | | | | | | (Dollars in thousands) | June 30, 2025 | December 31, 2024 | Retail certificates of deposits ("CDs"): | | | $100 or more | $ | 1,150,434 | | $ | 1,092,261 | | Less than $100 | 854,888 | | 829,154 | | Total Retail CDs | 2,005,322 | | 1,921,415 | | Interest-bearing deposit accounts | 1,058,910 | | 1,085,152 | | Savings accounts | 889,872 | | 866,959 | | Money market deposit accounts | 927,543 | | 878,254 | | Governmental deposit accounts | 781,949 | | 775,782 | | | | | Brokered CDs | 442,788 | | 554,982 | | Total interest-bearing deposits | 6,106,384 | | 6,082,544 | | Non-interest-bearing deposits | 1,530,824 | | 1,507,661 | | Total deposits | $ | 7,637,208 | | $ | 7,590,205 | |
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Summary of Time Deposit Maturities |
Uninsured time deposits are broken out below by time remaining until maturity. | | | | | | | | | | (Dollars in thousands) | June 30, 2025 | December 31, 2024 | | 3 months or less | $ | 129,425 | | $ | 180,405 | | | Over 3 to 6 months | 146,293 | | 127,329 | | | Over 6 to 12 months | 151,721 | | 91,197 | | | Over 12 months | 21,930 | | 18,044 | | | Total | $ | 449,369 | | $ | 416,975 | | | The contractual maturities of CDs for each of the next five years, including the remainder of 2025, and thereafter are as follows: | | | | | | | | | | | | (Dollars in thousands) | Retail | Brokered | Total | Remaining six months ending December 31, 2025 | $ | 1,254,611 | | $ | 276,589 | | $ | 1,531,200 | | Year ending December 31, 2026 | 712,691 | | 16,391 | | 729,082 | | Year ending December 31, 2027 | 23,144 | | 82,449 | | 105,593 | | Year ending December 31, 2028 | 7,074 | | 21,526 | | 28,600 | | Year ending December 31, 2029 | 5,331 | | 45,833 | | 51,164 | | Thereafter | 2,471 | | — | | 2,471 | | Total CDs | $ | 2,005,322 | | $ | 442,788 | | $ | 2,448,110 | |
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