Federal Reserve Economic Data

Release Tables

Assets and Liabilities of FDIC-Insured Commercial Banks and Savings Institutions


The Quarterly Banking Profile is a quarterly publication that provides the earliest comprehensive summary of financial results for all FDIC-insured institutions.

See Notes to Users at https://www.fdic.gov/analysis/quarterly-banking-profile/qbp/timeseries/qbpnot.pdf for more information.


   

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    Q1 1984    
 
 
    Q1 2025
Name Period Value Preceding
Period
Year Ago
from Period
Units
Number of Institutions Reporting
Q1 2025 4,487 Number of Institutions 4,487 Number of Institutions 4,568 Number of Institutions Number of Institutions
Total Employees (Full-Time Equivalent)
Q1 2025 2,051,418 Number 2,051,418 Number 2,074,268 Number Number
Total Assets
Q1 2025 24,098,064.929 Millions of U.S. Dollars 24,098,064.929 Millions of U.S. Dollars 23,957,634.011 Millions of U.S. Dollars Mil. of U.S. $
Loans Secured by Real Estate
Q1 2025 6,004,000.920 Millions of U.S. Dollars 6,004,000.920 Millions of U.S. Dollars 5,945,325.625 Millions of U.S. Dollars Mil. of U.S. $
1-4 Family Residential Mortgages
Q1 2025 2,602,777.987 Millions of U.S. Dollars 2,602,777.987 Millions of U.S. Dollars 2,566,191.698 Millions of U.S. Dollars Mil. of U.S. $
Nonfarm Nonresidential
Q1 2025 1,841,568.437 Millions of U.S. Dollars 1,841,568.437 Millions of U.S. Dollars 1,826,641.750 Millions of U.S. Dollars Mil. of U.S. $
Construction and Development
Q1 2025 484,148.135 Millions of U.S. Dollars 484,148.135 Millions of U.S. Dollars 498,499.065 Millions of U.S. Dollars Mil. of U.S. $
Home Equity Lines
Q1 2025 281,607.956 Millions of U.S. Dollars 281,607.956 Millions of U.S. Dollars 270,291.968 Millions of U.S. Dollars Mil. of U.S. $
Multifamily Residential Real Estate
Q1 2025 628,891.979 Millions of U.S. Dollars 628,891.979 Millions of U.S. Dollars 620,365.013 Millions of U.S. Dollars Mil. of U.S. $
Farmland
Q1 2025 118,561.145 Millions of U.S. Dollars 118,561.145 Millions of U.S. Dollars 116,672.828 Millions of U.S. Dollars Mil. of U.S. $
Real Estate Loans in Foreign Offices
Q1 2025 46,445.281 Millions of U.S. Dollars 46,445.281 Millions of U.S. Dollars 46,663.303 Millions of U.S. Dollars Mil. of U.S. $
Commercial and Industrial Loans
Q1 2025 2,370,670.112 Millions of U.S. Dollars 2,370,670.112 Millions of U.S. Dollars 2,485,386.992 Millions of U.S. Dollars Mil. of U.S. $
Loans to Individuals
Q1 2025 2,043,604.814 Millions of U.S. Dollars 2,043,604.814 Millions of U.S. Dollars 2,086,205.866 Millions of U.S. Dollars Mil. of U.S. $
Credit Cards
Q1 2025 1,167,253.374 Millions of U.S. Dollars 1,167,253.374 Millions of U.S. Dollars 1,081,129.127 Millions of U.S. Dollars Mil. of U.S. $
Other Loans to Individuals
Q1 2025 876,351.440 Millions of U.S. Dollars 876,351.440 Millions of U.S. Dollars 1,005,076.739 Millions of U.S. Dollars Mil. of U.S. $
Auto Loans
Q1 2025 518,293.698 Millions of U.S. Dollars 518,293.698 Millions of U.S. Dollars 522,787.321 Millions of U.S. Dollars Mil. of U.S. $
Farm Loans
Q1 2025 86,622.318 Millions of U.S. Dollars 86,622.318 Millions of U.S. Dollars 79,658.452 Millions of U.S. Dollars Mil. of U.S. $
Loans to Depository Institutions
Q1 2025 60,768.443 Millions of U.S. Dollars 60,768.443 Millions of U.S. Dollars 55,978.672 Millions of U.S. Dollars Mil. of U.S. $
Loans to Foreign Governments and Official Institutions
Q1 2025 7,784.276 Millions of U.S. Dollars 7,784.276 Millions of U.S. Dollars 7,417.948 Millions of U.S. Dollars Mil. of U.S. $
Obligations of States and Political Subdivisions in the U.S.
Q1 2025 191,925.879 Millions of U.S. Dollars 191,925.879 Millions of U.S. Dollars 194,820.223 Millions of U.S. Dollars Mil. of U.S. $
Other Loans
Q1 2025 1,841,989.859 Millions of U.S. Dollars 1,841,989.859 Millions of U.S. Dollars 1,447,153.077 Millions of U.S. Dollars Mil. of U.S. $
Acceptances of Other Banks
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Lease Financing Receivables
Q1 2025 120,044.672 Millions of U.S. Dollars 120,044.672 Millions of U.S. Dollars 117,312.877 Millions of U.S. Dollars Mil. of U.S. $
Gross Total Loans and Leases
Q1 2025 12,727,411.294 Millions of U.S. Dollars 12,727,411.294 Millions of U.S. Dollars 12,419,259.717 Millions of U.S. Dollars Mil. of U.S. $
Less: Unearned Income
Q1 2025 2,219.127 Millions of U.S. Dollars 2,219.127 Millions of U.S. Dollars 1,971.374 Millions of U.S. Dollars Mil. of U.S. $
Total Loans and Leases
Q1 2025 12,725,192.167 Millions of U.S. Dollars 12,725,192.167 Millions of U.S. Dollars 12,417,288.343 Millions of U.S. Dollars Mil. of U.S. $
Less: Reserve for Losses
Q1 2025 222,776.642 Millions of U.S. Dollars 222,776.642 Millions of U.S. Dollars 218,623.782 Millions of U.S. Dollars Mil. of U.S. $
Net Loans and Leases
Q1 2025 12,502,415.525 Millions of U.S. Dollars 12,502,415.525 Millions of U.S. Dollars 12,198,664.561 Millions of U.S. Dollars Mil. of U.S. $
Securities
Q1 2025 5,585,105.117 Millions of U.S. Dollars 5,585,105.117 Millions of U.S. Dollars 5,474,623.604 Millions of U.S. Dollars Mil. of U.S. $
Available for Sale (Fair Value)
Q1 2025 3,363,723.617 Millions of U.S. Dollars 3,291,115.969 Millions of U.S. Dollars 3,024,735.900 Millions of U.S. Dollars Mil. of U.S. $
Held to Maturity (Amortized Cost)
Q1 2025 2,222,968.271 Millions of U.S. Dollars 2,283,417.049 Millions of U.S. Dollars 2,439,902.065 Millions of U.S. Dollars Mil. of U.S. $
U.S. Treasury Securities
Q1 2025 1,492,336.079 Millions of U.S. Dollars 1,492,336.079 Millions of U.S. Dollars 1,389,347.163 Millions of U.S. Dollars Mil. of U.S. $
Mortgage-Backed Securities
Q1 2025 2,964,233.371 Millions of U.S. Dollars 2,964,233.371 Millions of U.S. Dollars 2,914,445.564 Millions of U.S. Dollars Mil. of U.S. $
State and Municipal Securities
Q1 2025 301,780.767 Millions of U.S. Dollars 301,780.767 Millions of U.S. Dollars 318,017.481 Millions of U.S. Dollars Mil. of U.S. $
Equity Securities
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Cash and Due from Depository Institutions
Q1 2025 2,689,095.949 Millions of U.S. Dollars 2,689,095.949 Millions of U.S. Dollars 2,926,091.463 Millions of U.S. Dollars Mil. of U.S. $
Federal Funds Sold and Reverse Repurchase Agreements
Q1 2025 627,432.022 Millions of U.S. Dollars 627,432.022 Millions of U.S. Dollars 606,697.360 Millions of U.S. Dollars Mil. of U.S. $
Bank Premises and Fixed Assets
Q1 2025 197,478.506 Millions of U.S. Dollars 197,478.506 Millions of U.S. Dollars 192,847.450 Millions of U.S. Dollars Mil. of U.S. $
Other Real Estate Owned
Q1 2025 3,669.944 Millions of U.S. Dollars 3,669.944 Millions of U.S. Dollars 2,983.779 Millions of U.S. Dollars Mil. of U.S. $
Trading Account Assets
Q1 2025 888,097.674 Millions of U.S. Dollars 888,097.674 Millions of U.S. Dollars 934,772.563 Millions of U.S. Dollars Mil. of U.S. $
Intangible Assets
Q1 2025 416,991.587 Millions of U.S. Dollars 416,991.587 Millions of U.S. Dollars 422,869.909 Millions of U.S. Dollars Mil. of U.S. $
Goodwill
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Other Assets
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Total Liabilities and Capital
Q1 2025 24,098,064.929 Millions of U.S. Dollars 24,098,064.929 Millions of U.S. Dollars 23,957,634.011 Millions of U.S. Dollars Mil. of U.S. $
Deposits
Q1 2025 19,214,490.939 Millions of U.S. Dollars 19,214,490.939 Millions of U.S. Dollars 18,998,138.518 Millions of U.S. Dollars Mil. of U.S. $
Foreign Office Deposits
Q1 2025 1,466,940.810 Millions of U.S. Dollars 1,466,940.810 Millions of U.S. Dollars 1,461,372.399 Millions of U.S. Dollars Mil. of U.S. $
Domestic Office Deposits
Q1 2025 17,747,550.129 Millions of U.S. Dollars 17,747,550.129 Millions of U.S. Dollars 17,536,766.119 Millions of U.S. Dollars Mil. of U.S. $
Interest-Bearing Deposits
Q1 2025 13,886,172.663 Millions of U.S. Dollars 13,886,172.663 Millions of U.S. Dollars 13,588,579.147 Millions of U.S. Dollars Mil. of U.S. $
Noninterest-Bearing Deposits
Q1 2025 3,861,377.463 Millions of U.S. Dollars 3,861,377.463 Millions of U.S. Dollars 3,948,186.980 Millions of U.S. Dollars Mil. of U.S. $
Estimated Insured Deposits
Q1 2025 10,621,513.702 Millions of U.S. Dollars 10,621,513.702 Millions of U.S. Dollars 10,686,273.253 Millions of U.S. Dollars Mil. of U.S. $
Time Deposits
Q1 2025 2,886,521.506 Millions of U.S. Dollars 2,886,521.506 Millions of U.S. Dollars 2,938,451.128 Millions of U.S. Dollars Mil. of U.S. $
Brokered Deposits
Q1 2025 1,235,967.936 Millions of U.S. Dollars 1,235,967.936 Millions of U.S. Dollars 1,340,128.170 Millions of U.S. Dollars Mil. of U.S. $
Federal Funds Purchased and Repurchase Agreements
Q1 2025 373,748.242 Millions of U.S. Dollars 373,748.242 Millions of U.S. Dollars 374,265.156 Millions of U.S. Dollars Mil. of U.S. $
FHLB Advances
Q1 2025 485,843.245 Millions of U.S. Dollars 485,843.245 Millions of U.S. Dollars 542,410.264 Millions of U.S. Dollars Mil. of U.S. $
Other Borrowed Money
Q1 2025 667,268.238 Millions of U.S. Dollars 667,268.238 Millions of U.S. Dollars 718,090.675 Millions of U.S. Dollars Mil. of U.S. $
Banks Liability on Acceptances
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Subordinated Debt
Q1 2025 55,880.838 Millions of U.S. Dollars 55,880.838 Millions of U.S. Dollars 57,580.029 Millions of U.S. Dollars Mil. of U.S. $
Trading Account Liabilities
Q1 2025 290,533.566 Millions of U.S. Dollars 290,533.566 Millions of U.S. Dollars 292,082.391 Millions of U.S. Dollars Mil. of U.S. $
Other Liabilities
Q1 2025 597,707.628 Millions of U.S. Dollars 597,707.628 Millions of U.S. Dollars 657,507.538 Millions of U.S. Dollars Mil. of U.S. $
Total Liabilities
Q1 2025 21,685,472.696 Millions of U.S. Dollars 21,685,472.696 Millions of U.S. Dollars 21,640,074.571 Millions of U.S. Dollars Mil. of U.S. $
Total Equity Capital
Q1 2025 2,412,592.233 Millions of U.S. Dollars 2,412,592.233 Millions of U.S. Dollars 2,317,559.440 Millions of U.S. Dollars Mil. of U.S. $
Total Bank Equity Capital
Q1 2025 2,410,237.218 Millions of U.S. Dollars 2,410,237.218 Millions of U.S. Dollars 2,314,938.025 Millions of U.S. Dollars Mil. of U.S. $
Perpetual Preferred Stock
Q1 2025 7,221.412 Millions of U.S. Dollars 7,221.412 Millions of U.S. Dollars 7,658.385 Millions of U.S. Dollars Mil. of U.S. $
Common Stock
Q1 2025 41,723.990 Millions of U.S. Dollars 41,723.990 Millions of U.S. Dollars 41,159.257 Millions of U.S. Dollars Mil. of U.S. $
Surplus
Q1 2025 1,458,784.967 Millions of U.S. Dollars 1,458,784.967 Millions of U.S. Dollars 1,447,989.623 Millions of U.S. Dollars Mil. of U.S. $
Undivided Profits
Q1 2025 1,136,513.602 Millions of U.S. Dollars 1,136,513.602 Millions of U.S. Dollars 1,081,628.522 Millions of U.S. Dollars Mil. of U.S. $
Foreign Currency Translation Adjustment
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Cumulative Other Comprehensive Income
Q1 2025 -233,275.291 Millions of U.S. Dollars -233,276.291 Millions of U.S. Dollars -262,808.079 Millions of U.S. Dollars Mil. of U.S. $
Net Unrealized Gains/Losses on A-F-S Securities
. . Millions of U.S. Dollars . Millions of U.S. Dollars . Millions of U.S. Dollars Mil. of U.S. $
Tier 1 Leverage Capital (PCA Definition)
Q1 2025 2,221,887.22900 Millions of U.S. Dollars 2,221,887.22900 Millions of U.S. Dollars 2,152,538.51500 Millions of U.S. Dollars Mil. of U.S. $
Tier 1 Risk Based Capital (PCA Definition)
Q1 2025 2,221,887.22900 Millions of U.S. Dollars 2,221,887.22900 Millions of U.S. Dollars 2,152,538.51500 Millions of U.S. Dollars Mil. of U.S. $
Total Risk Based Capital (PCA Definition)
Q1 2025 2,319,171.53100 Millions of U.S. Dollars 2,319,171.53100 Millions of U.S. Dollars 2,259,285.27400 Millions of U.S. Dollars Mil. of U.S. $
Loans and Leases 30-89 Days Past Due
Q1 2025 78,817.514 Millions of U.S. Dollars 78,817.514 Millions of U.S. Dollars 70,814.714 Millions of U.S. Dollars Mil. of U.S. $
Loans and Leases 90 Days or More Past Due
Q1 2025 39,793.802 Millions of U.S. Dollars 39,793.802 Millions of U.S. Dollars 36,843.940 Millions of U.S. Dollars Mil. of U.S. $
Loans and Leases in Nonaccrual Status
Q1 2025 85,481.383 Millions of U.S. Dollars 85,481.383 Millions of U.S. Dollars 76,535.420 Millions of U.S. Dollars Mil. of U.S. $
Restructured and Current Loans and Leases
Q1 2025 51,318.315 Millions of U.S. Dollars 51,318.315 Millions of U.S. Dollars 40,237.706 Millions of U.S. Dollars Mil. of U.S. $
Income Earned, Not Collected on Loans
Q1 2025 94,239.725 Millions of U.S. Dollars 94,239.725 Millions of U.S. Dollars 95,277.691 Millions of U.S. Dollars Mil. of U.S. $
Loans and Leases in Foreign Offices
Q1 2025 524,374.109 Millions of U.S. Dollars 524,374.109 Millions of U.S. Dollars 509,998.287 Millions of U.S. Dollars Mil. of U.S. $
Assets in Foreign Offices
Q1 2025 2,314,599.844 Millions of U.S. Dollars 2,314,599.844 Millions of U.S. Dollars 2,417,969.649 Millions of U.S. Dollars Mil. of U.S. $
Loans and Leases Held for Sale
Q1 2025 141,136.707 Millions of U.S. Dollars 141,136.707 Millions of U.S. Dollars 114,219.285 Millions of U.S. Dollars Mil. of U.S. $
Earning Assets
Q1 2025 21,870,777.438 Millions of U.S. Dollars 21,870,777.438 Millions of U.S. Dollars 21,763,580.049 Millions of U.S. Dollars Mil. of U.S. $
Unused Loan Commitments - Total
Q1 2025 9,880,348.748 Millions of U.S. Dollars 9,880,348.748 Millions of U.S. Dollars 9,912,832.547 Millions of U.S. Dollars Mil. of U.S. $
Unused Home Equity Lines
Q1 2025 448,750.051 Millions of U.S. Dollars 448,750.051 Millions of U.S. Dollars 457,970.997 Millions of U.S. Dollars Mil. of U.S. $
Unused Credit Card Lines
Q1 2025 4,665,448.137 Millions of U.S. Dollars 4,665,448.137 Millions of U.S. Dollars 4,632,313.922 Millions of U.S. Dollars Mil. of U.S. $
Unused Commercial Real Estate Lines
Q1 2025 483,640.882 Millions of U.S. Dollars 483,640.882 Millions of U.S. Dollars 539,335.094 Millions of U.S. Dollars Mil. of U.S. $
All Other Unused Loan Commitments
Q1 2025 4,282,509.678 Millions of U.S. Dollars 4,282,509.678 Millions of U.S. Dollars 4,283,212.534 Millions of U.S. Dollars Mil. of U.S. $
Unused Unsecured Commercial Real Estate Lines
Q1 2025 98,365.933 Millions of U.S. Dollars 98,365.933 Millions of U.S. Dollars 104,653.190 Millions of U.S. Dollars Mil. of U.S. $
Unused Securities Underwriting Commitments
Q1 2025 6.128 Millions of U.S. Dollars 6.128 Millions of U.S. Dollars 2.432 Millions of U.S. Dollars Mil. of U.S. $
   

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