Federal Reserve Economic Data

Release Tables

Assets and Liabilities of FDIC-Insured Commercial Banks and Savings Institutions


The Quarterly Banking Profile is a quarterly publication that provides the earliest comprehensive summary of financial results for all FDIC-insured institutions.

See Notes to Users at https://www.fdic.gov/analysis/quarterly-banking-profile/qbp/timeseries/qbpnot.pdf for more information.


   

Please select a date range

    Q1 1984    
 
 
    Q3 2025
Name Period Value Preceding
Period
Year Ago
from Period
Units
Number of Institutions Reporting
Q3 2025 4,379 Number of Institutions 4,421 Number of Institutions 4,517 Number of Institutions Number of Institutions
Total Employees (Full-Time Equivalent)
Q3 2025 2,047,338 Number 2,061,785 Number 2,054,997 Number Number
Total Assets
Q3 2025 25,113,207.971 Millions of U.S. Dollars 24,988,637.582 Millions of U.S. Dollars 24,212,100.156 Millions of U.S. Dollars Mil. of U.S. $
Loans Secured by Real Estate
Q3 2025 6,086,982.968 Millions of U.S. Dollars 6,056,891.465 Millions of U.S. Dollars 5,999,354.613 Millions of U.S. Dollars Mil. of U.S. $
1-4 Family Residential Mortgages
Q3 2025 2,630,839.008 Millions of U.S. Dollars 2,620,926.422 Millions of U.S. Dollars 2,595,389.855 Millions of U.S. Dollars Mil. of U.S. $
Nonfarm Nonresidential
Q3 2025 1,879,923.614 Millions of U.S. Dollars 1,866,059.401 Millions of U.S. Dollars 1,839,933.494 Millions of U.S. Dollars Mil. of U.S. $
Construction and Development
Q3 2025 462,984.251 Millions of U.S. Dollars 469,063.282 Millions of U.S. Dollars 490,691.005 Millions of U.S. Dollars Mil. of U.S. $
Home Equity Lines
Q3 2025 294,661.152 Millions of U.S. Dollars 289,771.178 Millions of U.S. Dollars 277,139.641 Millions of U.S. Dollars Mil. of U.S. $
Multifamily Residential Real Estate
Q3 2025 650,911.718 Millions of U.S. Dollars 644,498.438 Millions of U.S. Dollars 629,696.092 Millions of U.S. Dollars Mil. of U.S. $
Farmland
Q3 2025 120,135.981 Millions of U.S. Dollars 118,987.052 Millions of U.S. Dollars 117,919.318 Millions of U.S. Dollars Mil. of U.S. $
Real Estate Loans in Foreign Offices
Q3 2025 47,527.244 Millions of U.S. Dollars 47,585.692 Millions of U.S. Dollars 48,585.208 Millions of U.S. Dollars Mil. of U.S. $
Commercial and Industrial Loans
Q3 2025 2,375,822.772 Millions of U.S. Dollars 2,382,394.750 Millions of U.S. Dollars 2,496,851.549 Millions of U.S. Dollars Mil. of U.S. $
Loans to Individuals
Q3 2025 2,029,013.426 Millions of U.S. Dollars 2,005,110.882 Millions of U.S. Dollars 2,127,392.576 Millions of U.S. Dollars Mil. of U.S. $
Credit Cards
Q3 2025 1,151,167.512 Millions of U.S. Dollars 1,141,109.656 Millions of U.S. Dollars 1,115,934.365 Millions of U.S. Dollars Mil. of U.S. $
Other Loans to Individuals
Q3 2025 877,845.914 Millions of U.S. Dollars 864,001.226 Millions of U.S. Dollars 1,011,458.211 Millions of U.S. Dollars Mil. of U.S. $
Auto Loans
Q3 2025 530,076.979 Millions of U.S. Dollars 522,524.984 Millions of U.S. Dollars 518,014.632 Millions of U.S. Dollars Mil. of U.S. $
Farm Loans
Q3 2025 88,569.120 Millions of U.S. Dollars 86,387.414 Millions of U.S. Dollars 85,018.707 Millions of U.S. Dollars Mil. of U.S. $
Loans to Depository Institutions
Q3 2025 60,706.921 Millions of U.S. Dollars 58,995.994 Millions of U.S. Dollars 55,192.813 Millions of U.S. Dollars Mil. of U.S. $
Loans to Foreign Governments and Official Institutions
Q3 2025 10,654.156 Millions of U.S. Dollars 9,084.038 Millions of U.S. Dollars 7,024.995 Millions of U.S. Dollars Mil. of U.S. $
Obligations of States and Political Subdivisions in the U.S.
Q3 2025 191,346.297 Millions of U.S. Dollars 190,364.379 Millions of U.S. Dollars 191,662.294 Millions of U.S. Dollars Mil. of U.S. $
Other Loans
Q3 2025 2,245,916.896 Millions of U.S. Dollars 2,142,417.184 Millions of U.S. Dollars 1,539,325.951 Millions of U.S. Dollars Mil. of U.S. $
Acceptances of Other Banks
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Lease Financing Receivables
Q3 2025 121,531.426 Millions of U.S. Dollars 120,053.944 Millions of U.S. Dollars 118,717.190 Millions of U.S. Dollars Mil. of U.S. $
Gross Total Loans and Leases
Q3 2025 13,210,544.044 Millions of U.S. Dollars 13,051,700.076 Millions of U.S. Dollars 12,620,540.678 Millions of U.S. Dollars Mil. of U.S. $
Less: Unearned Income
Q3 2025 822.967 Millions of U.S. Dollars 958.315 Millions of U.S. Dollars 655.223 Millions of U.S. Dollars Mil. of U.S. $
Total Loans and Leases
Q3 2025 13,209,721.077 Millions of U.S. Dollars 13,050,741.761 Millions of U.S. Dollars 12,619,885.455 Millions of U.S. Dollars Mil. of U.S. $
Less: Reserve for Losses
Q3 2025 224,494.271 Millions of U.S. Dollars 224,322.147 Millions of U.S. Dollars 222,671.992 Millions of U.S. Dollars Mil. of U.S. $
Net Loans and Leases
Q3 2025 12,985,226.806 Millions of U.S. Dollars 12,826,419.614 Millions of U.S. Dollars 12,397,213.463 Millions of U.S. Dollars Mil. of U.S. $
Securities
Q3 2025 5,741,042.007 Millions of U.S. Dollars 5,682,023.542 Millions of U.S. Dollars 5,563,686.845 Millions of U.S. Dollars Mil. of U.S. $
Available for Sale (Fair Value)
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Held to Maturity (Amortized Cost)
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
U.S. Treasury Securities
Q3 2025 1,606,900.752 Millions of U.S. Dollars 1,547,405.014 Millions of U.S. Dollars 1,422,926.817 Millions of U.S. Dollars Mil. of U.S. $
Mortgage-Backed Securities
Q3 2025 2,998,779.429 Millions of U.S. Dollars 3,000,046.752 Millions of U.S. Dollars 2,977,377.796 Millions of U.S. Dollars Mil. of U.S. $
State and Municipal Securities
Q3 2025 295,877.470 Millions of U.S. Dollars 294,504.701 Millions of U.S. Dollars 310,456.414 Millions of U.S. Dollars Mil. of U.S. $
Equity Securities
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Cash and Due from Depository Institutions
Q3 2025 2,523,979.982 Millions of U.S. Dollars 2,664,223.504 Millions of U.S. Dollars 2,697,898.507 Millions of U.S. Dollars Mil. of U.S. $
Federal Funds Sold and Reverse Repurchase Agreements
Q3 2025 730,279.264 Millions of U.S. Dollars 764,783.660 Millions of U.S. Dollars 744,787.864 Millions of U.S. Dollars Mil. of U.S. $
Bank Premises and Fixed Assets
Q3 2025 202,082.890 Millions of U.S. Dollars 200,900.114 Millions of U.S. Dollars 195,732.163 Millions of U.S. Dollars Mil. of U.S. $
Other Real Estate Owned
Q3 2025 4,170.214 Millions of U.S. Dollars 4,106.646 Millions of U.S. Dollars 3,403.057 Millions of U.S. Dollars Mil. of U.S. $
Trading Account Assets
Q3 2025 1,216,964.482 Millions of U.S. Dollars 1,153,166.212 Millions of U.S. Dollars 1,001,021.233 Millions of U.S. Dollars Mil. of U.S. $
Intangible Assets
Q3 2025 445,004.000 Millions of U.S. Dollars 444,790.024 Millions of U.S. Dollars 416,702.002 Millions of U.S. Dollars Mil. of U.S. $
Goodwill
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Other Assets
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Total Liabilities and Capital
Q3 2025 25,113,207.971 Millions of U.S. Dollars 24,988,637.582 Millions of U.S. Dollars 24,212,100.156 Millions of U.S. Dollars Mil. of U.S. $
Deposits
Q3 2025 19,749,838.331 Millions of U.S. Dollars 19,663,931.252 Millions of U.S. Dollars 19,066,306.024 Millions of U.S. Dollars Mil. of U.S. $
Foreign Office Deposits
Q3 2025 1,630,454.797 Millions of U.S. Dollars 1,633,985.751 Millions of U.S. Dollars 1,533,168.461 Millions of U.S. Dollars Mil. of U.S. $
Domestic Office Deposits
Q3 2025 18,119,383.534 Millions of U.S. Dollars 18,029,945.501 Millions of U.S. Dollars 17,533,137.563 Millions of U.S. Dollars Mil. of U.S. $
Interest-Bearing Deposits
Q3 2025 14,238,803.017 Millions of U.S. Dollars 14,148,635.739 Millions of U.S. Dollars 13,667,680.582 Millions of U.S. Dollars Mil. of U.S. $
Noninterest-Bearing Deposits
Q3 2025 3,880,580.512 Millions of U.S. Dollars 3,881,309.766 Millions of U.S. Dollars 3,865,456.980 Millions of U.S. Dollars Mil. of U.S. $
Estimated Insured Deposits
Q3 2025 10,662,204.232 Millions of U.S. Dollars 10,656,249.480 Millions of U.S. Dollars 10,596,042.978 Millions of U.S. Dollars Mil. of U.S. $
Time Deposits
Q3 2025 2,885,389.466 Millions of U.S. Dollars 2,880,850.587 Millions of U.S. Dollars 3,008,959.041 Millions of U.S. Dollars Mil. of U.S. $
Brokered Deposits
Q3 2025 1,220,337.079 Millions of U.S. Dollars 1,227,670.467 Millions of U.S. Dollars 1,283,306.478 Millions of U.S. Dollars Mil. of U.S. $
Federal Funds Purchased and Repurchase Agreements
Q3 2025 558,516.335 Millions of U.S. Dollars 565,140.333 Millions of U.S. Dollars 463,486.493 Millions of U.S. Dollars Mil. of U.S. $
FHLB Advances
Q3 2025 430,681.477 Millions of U.S. Dollars 477,959.754 Millions of U.S. Dollars 510,604.507 Millions of U.S. Dollars Mil. of U.S. $
Other Borrowed Money
Q3 2025 737,962.675 Millions of U.S. Dollars 702,410.991 Millions of U.S. Dollars 723,551.710 Millions of U.S. Dollars Mil. of U.S. $
Banks Liability on Acceptances
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Subordinated Debt
Q3 2025 47,092.556 Millions of U.S. Dollars 48,737.954 Millions of U.S. Dollars 56,257.865 Millions of U.S. Dollars Mil. of U.S. $
Trading Account Liabilities
Q3 2025 339,601.643 Millions of U.S. Dollars 348,232.308 Millions of U.S. Dollars 288,595.211 Millions of U.S. Dollars Mil. of U.S. $
Other Liabilities
Q3 2025 669,852.689 Millions of U.S. Dollars 645,885.931 Millions of U.S. Dollars 664,082.727 Millions of U.S. Dollars Mil. of U.S. $
Total Liabilities
Q3 2025 22,533,545.706 Millions of U.S. Dollars 22,452,298.523 Millions of U.S. Dollars 21,772,884.537 Millions of U.S. Dollars Mil. of U.S. $
Total Equity Capital
Q3 2025 2,579,662.265 Millions of U.S. Dollars 2,536,339.059 Millions of U.S. Dollars 2,439,215.619 Millions of U.S. Dollars Mil. of U.S. $
Total Bank Equity Capital
Q3 2025 2,576,936.034 Millions of U.S. Dollars 2,533,561.150 Millions of U.S. Dollars 2,436,809.313 Millions of U.S. Dollars Mil. of U.S. $
Perpetual Preferred Stock
Q3 2025 7,243.067 Millions of U.S. Dollars 7,296.627 Millions of U.S. Dollars 7,708.427 Millions of U.S. Dollars Mil. of U.S. $
Common Stock
Q3 2025 41,665.974 Millions of U.S. Dollars 41,802.356 Millions of U.S. Dollars 41,308.636 Millions of U.S. Dollars Mil. of U.S. $
Surplus
Q3 2025 1,510,644.261 Millions of U.S. Dollars 1,506,766.316 Millions of U.S. Dollars 1,453,736.633 Millions of U.S. Dollars Mil. of U.S. $
Undivided Profits
Q3 2025 1,178,962.461 Millions of U.S. Dollars 1,163,453.490 Millions of U.S. Dollars 1,125,207.349 Millions of U.S. Dollars Mil. of U.S. $
Foreign Currency Translation Adjustment
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Cumulative Other Comprehensive Income
Q3 2025 -160,789.110 Millions of U.S. Dollars -184,964.889 Millions of U.S. Dollars -190,460.461 Millions of U.S. Dollars Mil. of U.S. $
Net Unrealized Gains/Losses on A-F-S Securities
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Tier 1 Leverage Capital (PCA Definition)
Q3 2025 2,294,894.64700 Millions of U.S. Dollars 2,270,983.01800 Millions of U.S. Dollars 2,216,317.72300 Millions of U.S. Dollars Mil. of U.S. $
Tier 1 Risk Based Capital (PCA Definition)
Q3 2025 2,294,894.64700 Millions of U.S. Dollars 2,270,983.01800 Millions of U.S. Dollars 2,216,317.72300 Millions of U.S. Dollars Mil. of U.S. $
Total Risk Based Capital (PCA Definition)
Q3 2025 2,386,199.96800 Millions of U.S. Dollars 2,364,705.71000 Millions of U.S. Dollars 2,318,753.01900 Millions of U.S. Dollars Mil. of U.S. $
Loans and Leases 30-89 Days Past Due
Q3 2025 71,562.065 Millions of U.S. Dollars 70,390.069 Millions of U.S. Dollars 73,673.718 Millions of U.S. Dollars Mil. of U.S. $
Loans and Leases 90 Days or More Past Due
Q3 2025 36,680.676 Millions of U.S. Dollars 36,929.956 Millions of U.S. Dollars 37,457.980 Millions of U.S. Dollars Mil. of U.S. $
Loans and Leases in Nonaccrual Status
Q3 2025 89,142.557 Millions of U.S. Dollars 88,141.568 Millions of U.S. Dollars 83,039.502 Millions of U.S. Dollars Mil. of U.S. $
Restructured and Current Loans and Leases
Q3 2025 54,273.777 Millions of U.S. Dollars 57,550.895 Millions of U.S. Dollars 47,894.326 Millions of U.S. Dollars Mil. of U.S. $
Income Earned, Not Collected on Loans
Q3 2025 100,198.683 Millions of U.S. Dollars 96,646.410 Millions of U.S. Dollars 97,718.277 Millions of U.S. Dollars Mil. of U.S. $
Loans and Leases in Foreign Offices
Q3 2025 589,788.139 Millions of U.S. Dollars 571,002.615 Millions of U.S. Dollars 534,210.785 Millions of U.S. Dollars Mil. of U.S. $
Assets in Foreign Offices
Q3 2025 2,815,317.611 Millions of U.S. Dollars 2,735,052.955 Millions of U.S. Dollars 2,596,472.664 Millions of U.S. Dollars Mil. of U.S. $
Loans and Leases Held for Sale
Q3 2025 168,131.394 Millions of U.S. Dollars 172,155.256 Millions of U.S. Dollars 146,631.396 Millions of U.S. Dollars Mil. of U.S. $
Earning Assets
Q3 2025 22,785,191.282 Millions of U.S. Dollars 22,641,606.051 Millions of U.S. Dollars 22,001,836.494 Millions of U.S. Dollars Mil. of U.S. $
Unused Loan Commitments - Total
Q3 2025 10,429,606.421 Millions of U.S. Dollars 10,186,467.841 Millions of U.S. Dollars 10,007,798.723 Millions of U.S. Dollars Mil. of U.S. $
Unused Home Equity Lines
Q3 2025 445,648.056 Millions of U.S. Dollars 449,267.451 Millions of U.S. Dollars 452,371.178 Millions of U.S. Dollars Mil. of U.S. $
Unused Credit Card Lines
Q3 2025 4,855,304.216 Millions of U.S. Dollars 4,795,642.526 Millions of U.S. Dollars 4,650,024.765 Millions of U.S. Dollars Mil. of U.S. $
Unused Commercial Real Estate Lines
Q3 2025 494,684.145 Millions of U.S. Dollars 479,999.503 Millions of U.S. Dollars 503,664.282 Millions of U.S. Dollars Mil. of U.S. $
All Other Unused Loan Commitments
Q3 2025 4,633,970.004 Millions of U.S. Dollars 4,461,558.361 Millions of U.S. Dollars 4,401,738.498 Millions of U.S. Dollars Mil. of U.S. $
Unused Unsecured Commercial Real Estate Lines
Q3 2025 93,405.528 Millions of U.S. Dollars 93,736.975 Millions of U.S. Dollars 100,848.485 Millions of U.S. Dollars Mil. of U.S. $
Unused Securities Underwriting Commitments
Q3 2025 0.000 Millions of U.S. Dollars 0.000 Millions of U.S. Dollars 1.366 Millions of U.S. Dollars Mil. of U.S. $
   

Back to Top