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    1973-01-03    
 
 
    2018-11-07
Billions of U.S. Dollars
Line Name Period Value Preceding
Period
Year Ago
from Period
ASSETS
1
Bank Credit
2018-11-07 11,872.7315 11,890.6146 11,534.4792
2
Securities in bank credit
2018-11-07 3,140.1507 3,139.4956 3,170.7732
3
Treasury and agency securities
2018-11-07 2,400.2873 2,402.4694 2,370.9348
4
Mortgage-backed securities (MBS)
2018-11-07 1,784.3158 1,786.3147 1,771.7063
5
Non-MBS
2018-11-07 615.9715 616.1546 599.2285
6
Other securities
2018-11-07 739.8634 737.0262 799.8384
7
Mortgage-backed securities
2018-11-07 73.1601 73.1654 82.1606
8
Non-MBS
2018-11-07 666.7033 663.8608 717.6779
9
Loans and leases in bank credit
2018-11-07 8,732.5808 8,751.1190 8,363.7060
10
Commercial and industrial loans
2018-11-07 1,864.6104 1,865.3134 1,734.4837
11
Real estate loans
2018-11-07 4,313.8552 4,320.6532 4,192.2494
12
Revolving home equity loans
2018-11-07 351.1339 351.7062 383.7567
13
Closed-end residential loans
2018-11-07 1,868.3665 1,875.6504 1,806.6869
14
Commercial real estate loans
2018-11-07 2,094.3548 2,093.2966 2,001.8058
15
Consumer loans
2018-11-07 1,484.5612 1,487.8465 1,416.9545
16
Credit cards and other revolving plans
2018-11-07 800.5056 803.8399 758.4654
17
Other consumer loans
2018-11-07 684.0557 684.0065 658.4891
18
Other loans and leases
. . . .
19
Fed funds and reverse RPs with nonbanks
. . . .
20
All other loans and leases
2018-11-07 1,069.5540 1,077.3059 1,020.0185
21
LESS: Allowance for loan and lease losses
2018-11-07 108.4998 108.3809 108.7432
22
Interbank loans
. . . .
23
Fed funds and reverse RPs with banks
. . . .
24
Loans to commercial banks
2018-11-07 11.9787 11.9455 9.9421
25
Cash assets
2018-11-07 1,268.9652 1,248.6951 1,448.0570
26
Trading assets
. . . .
27
Derivatives with a positive fair value
. . . .
28
Other trading assets
. . . .
29
Other Assets
. . . .
30
TOTAL ASSETS
2018-11-07 14,561.9472 14,625.0339 14,306.9177
LIABILITIES
31
Deposits
2018-11-07 11,239.3978 11,288.5387 10,892.0638
32
Large time deposits
2018-11-07 978.4901 980.5303 882.9582
33
Other deposits
2018-11-07 10,260.9076 10,308.0084 10,009.1056
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
2018-11-07 -124.4813 -126.9073 18.4490
41
Other liabilities
. . . .
42
TOTAL LIABILITIES
2018-11-07 12,710.2229 12,781.7047 12,479.2785
43
RESIDUAL (ASSETS LESS LIABILITIES)
2018-11-07 1,851.7243 1,843.3292 1,827.6392
MEMORANDA
44
Net unrealized gains (losses) on available-for-sale securities
2018-11-07 -51.3193 -49.0625 0.5784
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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