Skip to main content

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

   
    1945    
 
 
    2020
Millions of Dollars
Line Name 2020 Preceding
Period
Year Ago
from Period
1
Total financial assets
2,102,698 2,093,630 2,093,630
2
Vault cash
6 6 6
3
Reserves at Federal Reserve
602,450 554,124 554,124
4
Federal funds and security repos
323,660 379,020 379,020
5
Debt securities
313,518 308,972 308,972
6
Open market paper
0 0 0
7
Treasury securities
99,845 121,077 121,077
8
Agency- and GSE-backed securities
60,688 53,221 53,221
9
Municipal securities
0 0 0
10
Corporate and foreign bonds
152,985 134,674 134,674
11
Loans
785,601 767,786 767,786
12
Depository institution loans n.e.c.
704,664 687,390 687,390
13
Other loans and advances
0 0 0
14
Mortgages
80,937 80,396 80,396
15
Corporate equities
0 0 0
16
Miscellaneous assets
77,463 83,722 83,722
17
Total liabilities
2,098,233 2,033,892 2,033,892
18
Net interbank liabilities
191,791 112,628 112,628
19
To foreign banks
184,282 108,270 108,270
20
To domestic banks
7,509 4,358 4,358
21
Checkable deposits
256,339 199,389 199,389
22
Time and savings deposits
858,024 908,800 908,800
23
Federal funds and security repos
544,963 550,037 550,037
24
Debt securities (open market paper)
35,443 38,500 38,500
25
Foreign direct investment in U.S.
449,085 382,277 382,277
26
Miscellaneous liabilities
187,256 198,436 198,436
27
Investment by funding corporations
91,954 119,535 119,535
28
Other
95,302 78,901 78,901
Memo:
29
Uninsured deposits
1,114,363 1,108,189 1,108,189
   

Subscribe to the FRED newsletter


Follow us

Back to Top