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Weekly:
Levels, Seasonally Adjusted

   
    1973-01-03    
 
 
    2021-10-13
Line Name 2021-10-13 2021-10-06 2020-10-14 Units
ASSETS
1
Bank credit
5,406.4410 5,391.4032 5,038.1861 Bil. of U.S. $
2
Securities in bank credit
1,332.3458 1,328.9806 1,008.5645 Bil. of U.S. $
3
Treasury and agency securities
932.8257 930.7028 700.0382 Bil. of U.S. $
4
Mortgage-backed securities (MBS)
717.0827 712.9735 539.1695 Bil. of U.S. $
5
Non-MBS
215.7430 217.7293 160.8687 Bil. of U.S. $
6
Other securities
399.5201 398.2778 308.5263 Bil. of U.S. $
7
Mortgage-backed securities (MBS)
36.9483 36.6268 22.8236 Bil. of U.S. $
8
Non-MBS
362.5717 361.6510 285.7026 Bil. of U.S. $
9
Loans and leases in bank credit
4,074.0952 4,062.4226 4,029.6215 Bil. of U.S. $
10
Commercial and industrial loans
802.9893 803.1913 937.2969 Bil. of U.S. $
11
Real estate loans
2,434.8968 2,428.8154 2,315.6870 Bil. of U.S. $
12
Residential real estate loans
803.6624 798.8653 769.8522 Bil. of U.S. $
13
Revolving home equity loans
91.3809 91.3163 97.6013 Bil. of U.S. $
14
Closed-end residential loans
712.2816 707.5490 672.2509 Bil. of U.S. $
15
Commercial real estate loans
1,631.2343 1,629.9500 1,545.8348 Bil. of U.S. $
16
Construction and land development loans
251.0848 250.8652 239.7049 Bil. of U.S. $
17
Secured by farmland
94.7254 94.5813 93.4080 Bil. of U.S. $
18
Secured by multifamily properties
243.5241 244.0033 231.5455 Bil. of U.S. $
19
Secured by nonfarm nonresidential properties
1,041.9001 1,040.5001 981.1763 Bil. of U.S. $
20
Consumer loans
519.8683 517.8495 481.1862 Bil. of U.S. $
21
Credit cards and other revolving plans
285.0699 283.8122 275.0581 Bil. of U.S. $
22
Other consumer loans
234.7984 234.0373 206.1281 Bil. of U.S. $
23
Automobile loans
69.4506 69.1875 66.6144 Bil. of U.S. $
24
All other consumer loans
165.3478 164.8498 139.5137 Bil. of U.S. $
25
All other loans and leases
316.3408 312.5665 295.4514 Bil. of U.S. $
26
Loans to nondepository financial institutions
102.4885 100.7793 99.8228 Bil. of U.S. $
27
All loans not elsewhere classified
213.8523 211.7872 195.6286 Bil. of U.S. $
28
LESS: Allowance for loan and lease losses
69.9293 71.9224 72.6716 Bil. of U.S. $
29
Cash assets
901.7201 893.5242 621.9863 Bil. of U.S. $
30
Total federal funds sold and reverse RPs
51,307.4 54,343.0 57,782.8 Mil. of U.S. Dollars
31
Loans to commercial banks
1.2777 1.2559 0.6705 Bil. of U.S. $
32
Other assets including trading assets
397,789.3 398,853.7 393,616.8 Mil. of U.S. Dollars
33
TOTAL ASSETS
6,688.6063 6,667.4577 6,039.5708 Bil. of U.S. $
LIABILITIES
34
Deposits
5,534.8039 5,520.3048 4,885.5027 Bil. of U.S. $
35
Large time deposits
437.2107 434.7963 506.5583 Bil. of U.S. $
36
Other deposits
5,097.5932 5,085.5085 4,378.9444 Bil. of U.S. $
37
Borrowings
261,447.6 256,097.9 322,822.7 Mil. of U.S. Dollars
38
Net due to related foreign offices
41.8650 58.3123 29.2103 Bil. of U.S. $
39
Other liabilities including trading liabilities
106,926.6 105,180.7 108,245.0 Mil. of U.S. Dollars
40
TOTAL LIABILITIES
5,945.0431 5,939.8958 5,345.7806 Bil. of U.S. $
41
RESIDUAL (ASSETS LESS LIABILITIES)
743.5632 727.5619 693.7903 Bil. of U.S. $
MEMORANDA
42
Net unrealized gains (losses) on available-for-sale securities
5.4094 5.4093 15.5532 Bil. of U.S. $
43
U.S. Treasury and agency securities, MBS
1.0721 1.5738 8.9861 Bil. of U.S. $
   

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