Huntington National Bank 2012 Annual Report Download - page 71

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63
The following tables reflect contractual maturities of other domestic time deposits of $250,000 or more and brokered deposits and
negotiable CDs as well as other domestic time deposits of $100,000 or more and brokered deposits and negotiable CDs at December
31, 2012.
Table 27 - Maturity Schedule of time deposits, brokered deposits, and negotiable CDs
December 31, 2012
3 Months 3 Months 6 Months 12 Months
(dollar amounts in millions) or Less to 6 Months to 12 Months or More Total
Other domestic time deposits of $250,000 or more and brokered deposits and
negotiable CDs $ 275 $ 687 $ 452 $ 534 $ 1,948
Other domestic time deposits of $100,000 or more and brokered deposits and
negotiable CDs $ 296 $ 709 $ 477 $ 560 $ 2,042
The following table reflects deposit composition detail for each of the last five years:
Table 28 - Deposit Composition
At December 31,
(dollar amounts in millions) 2012 2011 2010 2009 2008
By Type
Demand deposits - noninterest-
bearing $12,600 27 % $ 11,158 26 %$7,217 17 % $ 6,907 17 % $5,477 14 %
Demand deposits - interest-bearing 6,218 13 5,722 13 5,469 13 5,890 15 4,083 11
Money market deposits 14,691 32 13,117 30 13,410 32 9,485 23 5,182 14
Savings and other domestic deposits 5,002 11 4,698 11 4,643 11 4,652 11 4,930 13
Core certificates of deposit 5,516 12 6,513 15 8,525 20 10,453 26 12,856 34
Total core deposits 44,027 95 41,208 95 39,264 93 37,387 92 32,528 86
Other domestic deposits of $250,000
or more 354 1 390 1 675 2 652 2 1,328 3
Brokered deposits and negotiable CDs 1,594 3 1,321 3 1,532 4 2,098 5 3,354 9
Deposits in foreign offices 278 1 361 1 383 1 357 1 733 2
Total deposits $46,253 100 % $ 43,280 100 %$41,854 100 % $ 40,494 100 % $37,943 100 %
Total core deposits:
Commercial $18,358 42 % $ 16,366 40 % $ 12,476 32 % $ 11,368 30 % $ 7,971 25 %
Personal 25,669 58 24,842 60 26,788 68 26,019 70 24,557 75
Total core deposits $44,027 100 % $ 41,208 100 %$39,264 100 % $ 37,387 100 % $32,528 100 %