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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 4,462.0760 4,461.9660 4,158.7250
2
Securities in bank credit
2018-07-11 920.4930 920.5570 919.8610
3
Treasury and agency securities
2018-07-11 653.2200 653.2710 645.3790
4
Mortgage-backed securities (MBS)
2018-07-11 482.1290 482.4910 470.8390
5
Non-MBS
2018-07-11 171.0910 170.7800 174.5400
6
Other securities
2018-07-11 267.2730 267.2860 274.4820
7
Mortgage-backed securities
2018-07-11 14.8700 14.9590 13.3040
8
Non-MBS
2018-07-11 252.4030 252.3270 261.1780
9
Loans and leases in bank credit
2018-07-11 3,541.5830 3,541.4090 3,238.8640
10
Commercial and industrial loans
2018-07-11 650.3560 652.6190 583.5110
11
Real estate loans
2018-07-11 2,178.2170 2,174.7590 2,029.8990
12
Revolving home equity loans
2018-07-11 121.3480 121.4370 121.2900
13
Closed-end residential loans
2018-07-11 685.6550 683.1500 631.9680
14
Commercial real estate loans
2018-07-11 1,371.2140 1,370.1720 1,276.6410
15
Consumer loans
2018-07-11 429.4910 430.6370 366.9810
16
Credit cards and other revolving plans
2018-07-11 206.1460 207.3760 161.5390
17
Other consumer loans
2018-07-11 223.3450 223.2610 205.4420
18
Other loans and leases
. . . .
19
Fed funds and reverse RPs with nonbanks
. . . .
20
All other loans and leases
2018-07-11 283.5190 283.3940 258.4730
21
LESS: Allowance for loan and lease losses
2018-07-11 41.609 41.493 38.553
22
Interbank loans
. . . .
23
Fed funds and reverse RPs with banks
. . . .
24
Loans to commercial banks
2018-07-11 0.8600 0.9120 0.9690
25
Cash assets
2018-07-11 316.4760 326.6560 319.3400
26
Trading assets
. . . .
27
Derivatives with a positive fair value
. . . .
28
Other trading assets
. . . .
29
Other Assets
. . . .
30
TOTAL ASSETS
2018-07-11 5,093.3290 5,106.8700 4,773.1010
LIABILITIES
31
Deposits
2018-07-11 4,006.5710 4,021.3020 3,766.5220
32
Large time deposits
2018-07-11 446.6580 444.4320 405.4590
33
Other deposits
2018-07-11 3,559.9130 3,576.8700 3,361.0630
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 31.2980 31.3330 42.0550
41
Other liabilities
. . . .
42
TOTAL LIABILITIES
2018-07-11 4,480.8340 4,495.4070 4,204.5200
43
RESIDUAL (ASSETS LESS LIABILITIES)
2018-07-11 612.4950 611.4630 568.5810
MEMORANDA
44
Net unrealized gains (losses) on available-for-sale securities
2018-07-11 -9.6854 -9.7474 -0.8863
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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