| Deposits |
Note 9: Deposits Deposits were comprised of the following at March 31, 2026 and December 31, 2025: | | | | | | | | | | | | | | March 31, 2026 | | December 31, 2025 | | | | (In thousands) | Noninterest-bearing deposits | | | | | | | Core demand deposits | | $ | 501,864 | | $ | 604,081 | | | | | | | | Interest-bearing deposits | | | | | | | Demand deposits: | | | | | | | Core demand deposits | | | 6,949,611 | | | 6,207,814 | Brokered demand deposits | | | 301,111 | | | 600,000 | Total interest-earning demand deposits | | | 7,250,722 | | | 6,807,814 | Money market/savings deposits: | | | | | | | Core money market/savings deposits | | | 3,872,344 | | | 3,566,523 | Brokered money market/savings deposits | | | 200,867 | | | 201,010 | Total money market/savings deposits | | | 4,073,211 | | | 3,767,533 | Certificates of deposit: | | | | | | | Core certificates of deposits | | | 741,452 | | | 905,448 | Brokered certificates of deposits | | | 384,504 | | | 956,316 | Total certificates of deposits | | | 1,125,956 | | | 1,861,764 | Total interest-bearing deposits | | | 12,449,889 | | | 12,437,111 | Total deposits | | $ | 12,951,753 | | $ | 13,041,192 | | | | | | | | Total core deposits | | $ | 12,065,271 | | $ | 11,283,866 | Total brokered deposits | | $ | 886,482 | | $ | 1,757,326 | Total deposits | | $ | 12,951,753 | | $ | 13,041,192 |
Maturities for certificates of deposit are as follows: | | | | | | March 31, 2026 | | | (In thousands) | Due within one year | | $ | 1,078,802 | Due in one year to two years | | | 39,872 | Due in two years to three years | | | 7,282 | Due in three years to four years | | | — | Due in four years to five years | | | — | Due in five years to six years | | | — | | | $ | 1,125,956 |
Certificates of deposit of $250,000 or more totaled $431.8 million and $497.5 million at March 31, 2026 and December 31, 2025, respectively.
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