| Schedule of Deposit Liabilities, Type |
Deposits consisted of the following as of June 30, 2026 and December 31, 2025: | | | | | | | | | | | | | | | | | | | | | | | | | (Dollars in thousands) | June 30, 2026 | | % of Total Deposits | | December 31, 2025 | | % of Total Deposits | | Noninterest-bearing demand deposits | $ | 973,371 | | | 16.4 | % | | $ | 834,013 | | | 16.0 | % | | Interest-bearing demand deposits | 1,607,406 | | | 27.0 | % | | 1,278,940 | | | 24.5 | % | | Money market | 1,264,632 | | | 21.2 | % | | 1,226,171 | | | 23.5 | % | | Savings | 427,538 | | | 7.2 | % | | 324,064 | | | 6.2 | % | | Total demand and savings | 4,272,947 | | | 71.8 | % | | 3,663,188 | | | 70.2 | % | | Time | 1,680,350 | | | 28.2 | % | | 1,551,475 | | | 29.8 | % | | Total deposits | $ | 5,953,297 | | | 100.0 | % | | $ | 5,214,663 | | | 100.0 | % | | | | | | | | | | | | | | | | |
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| Schedule of Time Deposits By Maturity Date Table |
The scheduled maturities of time deposits at June 30, 2026 were as follows: | | | | | | | | | | | | | Time Deposits | | (In thousands) | Less than $250,000 | | $250,000 or more | | Maturing in 2026 | $ | 857,160 | | | $ | 331,069 | | | Maturing in 2027 | 333,182 | | | 82,218 | | | Maturing in 2028 | 36,193 | | | 5,920 | | | Maturing in 2029 | 16,625 | | | 889 | | | Maturing in 2030 | 6,991 | | | 686 | | | Maturing thereafter | 8,249 | | | 1,168 | | | $ | 1,258,400 | | | $ | 421,950 | |
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