| Schedule of Deposits Composition |
The composition of deposits is shown below. Average balances represent year-to-date averages.
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June 30, 2026 |
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December 31, 2025 |
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Balance |
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Average Balance |
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Balance |
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Average Balance |
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(Dollars in Thousands) |
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Non-interest-bearing transaction accounts |
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$ |
420,556 |
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$ |
421,518 |
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|
$ |
378,770 |
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$ |
419,691 |
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Interest-bearing transaction accounts |
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1,297,353 |
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1,250,191 |
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1,103,696 |
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1,018,736 |
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Money market accounts |
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936,914 |
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|
928,183 |
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|
905,773 |
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|
856,554 |
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Certificates of deposit |
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|
222,852 |
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|
254,467 |
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|
284,764 |
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|
|
236,848 |
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Wholesale deposits |
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|
714,490 |
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|
|
636,186 |
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|
707,412 |
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|
|
737,253 |
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Total deposits |
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$ |
3,592,165 |
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$ |
3,490,545 |
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$ |
3,380,415 |
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$ |
3,269,082 |
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| Time Deposit by Maturity |
A summary of annual maturities of core and wholesale certificates of deposit at June 30, 2026 is as follows:
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(In Thousands) |
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Maturities during the year ended December 31, |
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2026 |
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$ |
339,269 |
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2027 |
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|
151,499 |
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2028 |
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|
55,384 |
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2029 |
|
|
30,894 |
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2030 |
|
|
34,017 |
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Thereafter |
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|
1,022 |
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$ |
612,085 |
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