| Schedule of Deposit Liabilities |
Deposits consisted of the following at June 30, 2026 and December 31, 2025 (in thousands): | | | | | | | | | | | | | | | | | June 30, 2026 | | | | December 31, 2025 | | Non-interest-bearing accounts | $ | 4,542,942 | | | | | $ | 4,489,839 | | | | | Interest-bearing checking | 2,623,149 | | | | | 2,609,080 | | | | | Regular savings accounts | 3,853,612 | | | | | 3,723,922 | | | | | Money market accounts | 1,296,869 | | | | | 1,388,001 | | | | | Total interest-bearing transaction and savings accounts | 7,773,630 | | | | | 7,721,003 | | | | | Certificates of deposit: | | | | | | | | | Certificates of deposit greater than or equal to $250,000 | 516,042 | | | | | 528,102 | | | | | Certificates of deposit less than $250,000 | 956,979 | | | | | 1,004,202 | | | | | Total certificates of deposit | 1,473,021 | | | | | 1,532,304 | | | | | Total deposits | $ | 13,789,593 | | | | | $ | 13,743,146 | | | | | Included in total deposits: | | | | | | | | | Public fund transaction and savings accounts | $ | 413,173 | | | | | $ | 373,529 | | | | | Public fund interest-bearing certificates | 34,794 | | | | | 34,431 | | | | | Total public deposits | $ | 447,967 | | | | | $ | 407,960 | | | | | Total brokered certificates of deposit | $ | — | | | | | $ | 50,002 | | | |
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| Maturities of Certificates of Deposit |
Scheduled maturities and weighted average interest rates of certificates of deposit at June 30, 2026, are as follows (dollars in thousands): | | | | | | | | | | | | | June 30, 2026 | | Amount | | Weighted Average Rate | | Maturing in one year or less | $ | 1,433,276 | | | 3.04 | % | | Maturing after one year through two years | 28,945 | | | 2.07 | | | Maturing after two years through three years | 6,651 | | | 0.63 | | | Maturing after three years through four years | 1,750 | | | 0.91 | | | Maturing after four years through five years | 1,991 | | | 0.64 | | | Maturing after five years | 408 | | | 0.52 | | | Total certificates of deposit | $ | 1,473,021 | | | 3.01 | % |
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