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    1973-01-03    
 
 
    2018-06-13
Billions of U.S. Dollars
Line Name Period Value Preceding
Period
Year Ago
from Period
ASSETS
1
Bank Credit
2018-06-13 12,727.2358 12,714.1462 12,270.4957
2
Securities in bank credit
2018-06-13 3,406.6720 3,390.0027 3,375.2240
3
Treasury and agency securities
2018-06-13 2,542.6019 2,528.1666 2,457.1687
4
Mortgage-backed securities (MBS)
2018-06-13 1,820.6994 1,812.8080 1,746.1920
5
Non-MBS
2018-06-13 721.9025 715.3586 710.9767
6
Other securities
2018-06-13 864.0701 861.8361 918.0553
7
Mortgage-backed securities
2018-06-13 77.2816 76.7062 89.5216
8
Non-MBS
2018-06-13 786.7885 785.1298 828.5338
9
Loans and leases in bank credit
2018-06-13 9,320.5638 9,324.1435 8,895.2717
10
Commercial and industrial loans
2018-06-13 2,198.2632 2,201.1342 2,093.0817
11
Real estate loans
2018-06-13 4,335.4106 4,335.6189 4,188.8216
12
Revolving home equity loans
2018-06-13 363.1660 363.9575 396.1429
13
Closed-end residential loans
2018-06-13 1,834.5216 1,838.4894 1,758.9532
14
Commercial real estate loans
2018-06-13 2,137.7230 2,133.1720 2,033.7254
15
Consumer loans
2018-06-13 1,472.9528 1,471.7516 1,374.1371
16
Credit cards and other revolving plans
2018-06-13 795.6970 794.6068 725.0332
17
Other consumer loans
2018-06-13 677.2558 677.1448 649.1039
18
Other loans and leases
. . . .
19
Fed funds and reverse RPs with nonbanks
. . . .
20
All other loans and leases
2018-06-13 1,313.9372 1,315.6388 1,239.2313
21
LESS: Allowance for loan and lease losses
2018-06-13 111.4128 111.7505 108.6517
22
Interbank loans
. . . .
23
Fed funds and reverse RPs with banks
. . . .
24
Loans to commercial banks
2018-06-13 16.6626 16.5033 14.3364
25
Cash assets
2018-06-13 2,220.8559 2,181.3258 2,315.5932
26
Trading assets
. . . .
27
Derivatives with a positive fair value
. . . .
28
Other trading assets
. . . .
29
Other Assets
. . . .
30
TOTAL ASSETS
2018-06-13 16,831.4222 16,797.8835 16,295.8412
LIABILITIES
31
Deposits
2018-06-13 12,161.1639 12,155.1705 11,727.6756
32
Large time deposits
2018-06-13 1,600.0649 1,591.4862 1,552.8039
33
Other deposits
2018-06-13 10,561.0990 10,563.6843 10,174.8717
34
Borrowings
. . . .
35
Borrowings from banks in the U.S.
. . . .
36
Borrowings from others
. . . .
37
Trading liabilities
. . . .
38
Derivatives with a negative fair value
. . . .
39
Other trading liabilities
. . . .
40
Net due to related foreign offices
2018-06-13 152.8955 139.6769 202.3060
41
Other liabilities
. . . .
42
TOTAL LIABILITIES
2018-06-13 15,008.9156 14,974.7914 14,505.3117
43
RESIDUAL (ASSETS LESS LIABILITIES)
2018-06-13 1,822.5066 1,823.0921 1,790.5295
MEMORANDA
44
Net unrealized gains (losses) on available-for-sale securities
2018-06-13 -38.4736 -37.8586 5.5223
45
Securitized consumer loans
. . . .
46
Securitized credit cards and other revolving plans
. . . .
47
Other securitized consumer loans
. . . .
48
Securitized real estate loans
. . . .
   

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