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Annual:
F.112 Foreign Banking Offices in U.S.

   
    1946    
 
 
    2018
Millions of Dollars
Line Name 2018 Preceding
Period
Year Ago
from Period
1
Gross saving
4,165 4,125 4,125
2
Fixed nonresidential investment
4,970 4,806 4,806
3
Net acquisition of financial assets
-16,278 284,132 284,132
4
Vault cash
0 -1 -1
5
Reserves at Federal Reserve
-111,446 142,266 142,266
6
Federal funds and security repos
50,877 75,055 75,055
7
Debt securities
27,611 27,310 27,310
8
Open market paper
0 0 0
9
Treasury securities
29,445 3,341 3,341
10
Agency- and GSE-backed securities
-2,493 24,509 24,509
11
Municipal securities
0 0 0
12
Corporate and foreign bonds
659 -540 -540
13
Loans
38,866 5,848 5,848
14
Depository institution loans n.e.c.
31,131 -3,134 -3,134
15
Other loans and advances
0 0 0
16
Mortgages
7,735 8,982 8,982
17
Corporate equities
0 0 0
18
Miscellaneous assets
-22,186 33,654 33,654
19
Net increase in liabilities
38,347 242,004 242,004
20
Net interbank liabilities
61,545 114,259 114,259
21
To foreign banks
70,766 119,347 119,347
22
To domestic banks
-9,221 -5,088 -5,088
23
Checkable deposits
-7,085 32,331 32,331
24
Time and savings deposits
-1,647 25,851 25,851
25
Federal funds and security repos
-48,879 79,159 79,159
26
Debt securities (open market paper)
2,721 -11,116 -11,116
27
Foreign direct investment in U.S.
6,506 7,745 7,745
28
Miscellaneous liabilities
25,186 -6,225 -6,225
29
Investment by funding corporations
43,372 -20,069 -20,069
30
Other
-18,186 13,844 13,844
31
Discrepancy
53,821 -42,809 -42,809
Memo:
32
Uninsured deposits
-8,732 58,183 58,183
   

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