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    1973-01-03    
 
 
    2018-07-11
Billions of U.S. Dollars
Line Name Period Value Preceding
Period
Year Ago
from Period
ASSETS
1
Bank Credit
2018-07-11 11,813.7494 11,796.8156 11,384.7141
2
Securities in bank credit
2018-07-11 3,167.9657 3,161.2937 3,156.7046
3
Treasury and agency securities
2018-07-11 2,412.4980 2,407.5358 2,346.1327
4
Mortgage-backed securities (MBS)
2018-07-11 1,805.8094 1,802.0753 1,743.5461
5
Non-MBS
2018-07-11 606.6886 605.4605 602.5866
6
Other securities
2018-07-11 755.4677 753.7578 810.5719
7
Mortgage-backed securities
2018-07-11 75.6220 76.0606 87.3031
8
Non-MBS
2018-07-11 679.8457 677.6972 723.2688
9
Loans and leases in bank credit
2018-07-11 8,645.7837 8,635.5219 8,228.0095
10
Commercial and industrial loans
2018-07-11 1,842.3407 1,832.7711 1,722.3631
11
Real estate loans
2018-07-11 4,275.3010 4,277.6091 4,138.5960
12
Revolving home equity loans
2018-07-11 360.4788 361.1527 393.5232
13
Closed-end residential loans
2018-07-11 1,846.3902 1,847.9772 1,771.6885
14
Commercial real estate loans
2018-07-11 2,068.4320 2,068.4792 1,973.3843
15
Consumer loans
2018-07-11 1,469.4465 1,471.7167 1,377.4262
16
Credit cards and other revolving plans
2018-07-11 793.4767 795.7917 729.2601
17
Other consumer loans
2018-07-11 675.9698 675.9250 648.1661
18
Other loans and leases
. . . .
19
Fed funds and reverse RPs with nonbanks
. . . .
20
All other loans and leases
2018-07-11 1,058.6955 1,053.4250 989.6241
21
LESS: Allowance for loan and lease losses
2018-07-11 109.6749 109.9407 107.6906
22
Interbank loans
. . . .
23
Fed funds and reverse RPs with banks
. . . .
24
Loans to commercial banks
2018-07-11 12.3346 12.5382 10.5404
25
Cash assets
2018-07-11 1,332.7067 1,346.3824 1,458.2574
26
Trading assets
. . . .
27
Derivatives with a positive fair value
. . . .
28
Other trading assets
. . . .
29
Other Assets
. . . .
30
TOTAL ASSETS
2018-07-11 14,490.2515 14,524.9943 14,134.0749
LIABILITIES
31
Deposits
2018-07-11 11,181.3775 11,208.3136 10,742.3314
32
Large time deposits
2018-07-11 910.1883 913.9167 838.2721
33
Other deposits
2018-07-11 10,271.1892 10,294.3969 9,904.0594
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
2018-07-11 -124.0222 -108.2215 34.1201
41
Other liabilities
. . . .
42
TOTAL LIABILITIES
2018-07-11 12,634.9554 12,678.7367 12,316.0608
43
RESIDUAL (ASSETS LESS LIABILITIES)
2018-07-11 1,855.2961 1,846.2575 1,818.0140
MEMORANDA
44
Net unrealized gains (losses) on available-for-sale securities
2018-07-11 -32.0958 -32.6874 -0.1266
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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