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

   
    1945    
 
 
    2019
Millions of Dollars
Line Name 2019 Preceding
Period
Year Ago
from Period
1
Total financial assets
2,089,672 2,051,463 2,051,463
2
Vault cash
6 6 6
3
Reserves at Federal Reserve
554,124 598,617 598,617
4
Federal funds and security repos
379,020 319,005 319,005
5
Debt securities
308,946 318,130 318,130
6
Open market paper
0 0 0
7
Treasury securities
121,077 125,581 125,581
8
Agency- and GSE-backed securities
53,221 42,864 42,864
9
Municipal securities
0 0 0
10
Corporate and foreign bonds
134,648 149,685 149,685
11
Loans
767,926 739,479 739,479
12
Depository institution loans n.e.c.
687,153 661,879 661,879
13
Other loans and advances
0 0 0
14
Mortgages
80,773 77,600 77,600
15
Corporate equities
0 0 0
16
Miscellaneous assets
79,650 76,226 76,226
17
Total liabilities
2,410,159 2,269,020 2,269,020
18
Net interbank liabilities
112,478 191,097 191,097
19
To foreign banks
107,464 178,481 178,481
20
To domestic banks
5,014 12,616 12,616
21
Checkable deposits
188,768 177,754 177,754
22
Time and savings deposits
909,058 819,834 819,834
23
Federal funds and security repos
550,037 503,611 503,611
24
Debt securities (open market paper)
38,362 40,788 40,788
25
Foreign direct investment in U.S.
405,824 318,087 318,087
26
Miscellaneous liabilities
205,632 217,849 217,849
27
Investment by funding corporations
119,535 123,078 123,078
28
Other
86,097 94,771 94,771
Memo:
29
Uninsured deposits
1,097,827 997,588 997,588
   

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