Monthly:
Levels, Seasonally Adjusted

   

Please select a date range

    Jan 1947    
 
 
    Apr 2023
Line Name Apr 2023 Mar 2023 Apr 2022 Units
ASSETS
1
Bank credit
17,343.9001 17,473.9665 16,920.5709 Bil. of U.S. $
2
Securities in bank credit
5,237.2146 5,364.6419 5,819.0464 Bil. of U.S. $
3
Treasury and agency securities
4,163.0408 4,275.0013 4,671.8051 Bil. of U.S. $
4
Mortgage-backed securities (MBS)
2,608.0468 2,681.9643 2,938.0214 Bil. of U.S. $
5
Non-MBS
1,554.9940 1,593.0370 1,733.7837 Bil. of U.S. $
6
Other Securities
1,074.1738 1,089.6406 1,147.2413 Bil. of U.S. $
7
Mortgage-backed securities (MBS)
107.2244 109.2197 115.0640 Bil. of U.S. $
8
Non-MBS
966.9493 980.4209 1,032.1773 Bil. of U.S. $
9
Loans and leases in bank credit
12,106.6855 12,109.3246 11,101.5245 Bil. of U.S. $
10
Commercial and industrial loans
2,773.0139 2,792.4539 2,561.0795 Bil. of U.S. $
11
Real estate loans
5,431.8404 5,425.0249 4,931.8885 Bil. of U.S. $
12
Residential real estate loans
2,533.1045 2,518.1672 2,317.0122 Bil. of U.S. $
13
Revolving home equity loans
254.7460 254.8548 247.7823 Bil. of U.S. $
14
Closed-end residential loans
2,278.3584 2,263.3125 2,069.2299 Bil. of U.S. $
15
Commercial real estate loans
2,898.7359 2,906.8577 2,614.8762 Bil. of U.S. $
16
Construction and land development loans
466.8625 466.8453 402.5263 Bil. of U.S. $
17
Secured by farmland
111.7304 111.8964 105.1782 Bil. of U.S. $
18
Secured by multifamily properties
567.6822 572.4670 469.8748 Bil. of U.S. $
19
Secured by nonfarm nonresidential properties
1,752.4609 1,755.6489 1,637.2970 Bil. of U.S. $
20
Consumer Loans
1,881.6565 1,870.3285 1,729.9249 Bil. of U.S. $
21
Credit cards and other revolving plans
982.9169 971.8261 854.5581 Bil. of U.S. $
22
Other consumer loans
898.7396 898.5024 875.3667 Bil. of U.S. $
23
Automobile loans
382.1780 379.8120 356.5719 Bil. of U.S. $
24
All other consumer loans
516.5616 518.6904 518.7948 Bil. of U.S. $
25
All other loans and leases
2,020.1747 2,021.5173 1,878.6317 Bil. of U.S. $
26
Loans to nondepository financial institutions
930.4707 916.3566 833.0011 Bil. of U.S. $
27
All loans not elsewhere classified
1,089.7040 1,105.1607 1,045.6307 Bil. of U.S. $
28
LESS: Allowance for loan and lease losses
182.1208 175.5589 158.2286 Bil. of U.S. $
29
Cash Assets
3,274.9735 3,249.0721 3,515.2753 Bil. of U.S. $
30
Total federal funds sold and reverse RPs
24.6 42.1 4.0 % Chg. at Annual Rate
31
Loans to commercial banks
8.9796 9.7318 7.9130 Bil. of U.S. $
32
Other assets including trading assets
1,870,774.8 1,854,297.4 1,823,945.9 Mil. of U.S. Dollars
33
TOTAL ASSETS
22,939.9241 23,022.5416 22,707.7578 Bil. of U.S. $
LIABILITIES
34
Deposits
17,180.5012 17,369.9011 18,104.3068 Bil. of U.S. $
35
Large time deposits
1,863.8791 1,834.8174 1,446.3255 Bil. of U.S. $
36
Other deposits
15,316.6221 15,535.0836 16,657.9813 Bil. of U.S. $
37
Borrowings
2,429,798.2 2,356,740.8 1,607,005.3 Mil. of U.S. Dollars
38
Net due to related foreign offices
312.2748 374.6752 69.6896 Bil. of U.S. $
39
Other liabilities including trading liabilities
769,328.5 762,601.4 729,220.9 Mil. of U.S. Dollars
40
TOTAL LIABILITIES
20,691.9027 20,863.9185 20,510.2227 Bil. of U.S. $
41
RESIDUAL (ASSETS LESS LIABILITIES)
2,248.0214 2,158.6231 2,197.5352 Bil. of U.S. $
   

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