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Weekly:
Levels, Seasonally Adjusted

   
    1973-01-03    
 
 
    2020-05-13
Line Name 2020-05-13 2020-05-06 2019-05-15 Units
ASSETS
1
Bank credit
5,033.0944 5,018.6615 4,484.4171 Bil. of U.S. $
2
Securities in bank credit
971.0895 969.2310 916.2921 Bil. of U.S. $
3
Treasury and agency securities
702.1671 701.5391 669.3151 Bil. of U.S. $
4
Mortgage-backed securities (MBS)
548.5682 548.4735 495.2281 Bil. of U.S. $
5
Non-MBS
153.5989 153.0656 174.0870 Bil. of U.S. $
6
Other securities
268.9225 267.6919 246.9770 Bil. of U.S. $
7
Mortgage-backed securities (MBS)
18.3470 18.2783 17.2606 Bil. of U.S. $
8
Non-MBS
250.5755 249.4136 229.7163 Bil. of U.S. $
9
Loans and leases in bank credit
4,062.0049 4,049.4305 3,568.1250 Bil. of U.S. $
10
Commercial and industrial loans
936.1370 921.7717 651.7491 Bil. of U.S. $
11
Real estate loans
2,394.2358 2,392.6142 2,231.7595 Bil. of U.S. $
12
Residential real estate loans
852.4567 851.8114 803.1600 Bil. of U.S. $
13
Revolving home equity loans
114.2456 114.6444 116.6859 Bil. of U.S. $
14
Closed-end residential loans
738.2111 737.1670 686.4741 Bil. of U.S. $
15
Commercial real estate loans
1,541.7790 1,540.8028 1,428.5995 Bil. of U.S. $
16
Construction and land development loans
241.3400 240.9736 225.5622 Bil. of U.S. $
17
Secured by farmland
94.4285 94.3795 95.5160 Bil. of U.S. $
18
Secured by multifamily properties
224.7100 224.7304 198.9430 Bil. of U.S. $
19
Secured by nonfarm nonresidential properties
981.3005 980.7194 908.5783 Bil. of U.S. $
20
Consumer loans
390.4707 391.5117 386.9243 Bil. of U.S. $
21
Credit cards and other revolving plans
149.0684 149.8788 156.8991 Bil. of U.S. $
22
Other consumer loans
241.4023 241.6329 230.0252 Bil. of U.S. $
23
Automobile loans
83.7578 83.8894 80.3402 Bil. of U.S. $
24
All other consumer loans
157.6445 157.7434 149.6850 Bil. of U.S. $
25
All other loans and leases
341.1614 343.5329 297.6920 Bil. of U.S. $
26
Loans to nondepository financial institutions
88.7651 92.0139 67.2673 Bil. of U.S. $
27
All loans not elsewhere classified
252.3963 251.5190 230.4248 Bil. of U.S. $
28
LESS: Allowance for loan and lease losses
47.4388 47.7727 44.4059 Bil. of U.S. $
29
Cash assets
578.1121 565.0702 289.3696 Bil. of U.S. $
30
Total federal funds sold and reverse RPs
68,023.5 73,014.9 35,843.4 Mil. of U.S. Dollars
31
Loans to commercial banks
0.6613 0.7171 0.4795 Bil. of U.S. $
32
Other assets including trading assets
400,430.1 398,377.5 342,078.3 Mil. of U.S. Dollars
33
TOTAL ASSETS
6,032.8825 6,008.0685 5,107.7819 Bil. of U.S. $
LIABILITIES
34
Deposits
4,856.8002 4,822.8914 4,056.4637 Bil. of U.S. $
35
Large time deposits
498.7496 501.1089 496.4716 Bil. of U.S. $
36
Other deposits
4,358.0506 4,321.7825 3,559.9921 Bil. of U.S. $
37
Borrowings
350,580.3 354,875.1 325,925.2 Mil. of U.S. Dollars
38
Net due to related foreign offices
35.7314 37.8682 27.4609 Bil. of U.S. $
39
Other liabilities including trading liabilities
100,356.7 100,639.4 70,564.0 Mil. of U.S. Dollars
40
TOTAL LIABILITIES
5,343.4686 5,316.2740 4,480.4137 Bil. of U.S. $
41
RESIDUAL (ASSETS LESS LIABILITIES)
689.4140 691.7945 627.3682 Bil. of U.S. $
MEMORANDA
42
Net unrealized gains (losses) on available-for-sale securities
13.8685 13.6678 -2.6086 Bil. of U.S. $
43
U.S. Treasury and agency securities, MBS
11.6338 11.4094 -3.2608 Bil. of U.S. $
   

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