Skip to main content

Annual:
L.130 Security Brokers and Dealers

   
    1945    
 
 
    2019
Millions of Dollars
Line Name 2019 Preceding
Period
Year Ago
from Period
1
Total financial assets
3,468,638 3,358,925 3,358,925
2
Checkable deposits and currency
125,234 126,243 126,243
3
Security repurchase agreements
1,395,958 1,315,208 1,315,208
4
Debt securities
412,574 443,912 443,912
5
Open market paper
8,544 11,448 11,448
6
Treasury securities
229,509 276,431 276,431
7
Agency- and GSE-backed securities
104,085 72,314 72,314
8
Municipal securities
16,429 20,738 20,738
9
Corporate and foreign bonds
54,007 62,981 62,981
10
Loans (other loans and advances)
410,605 375,513 375,513
11
Corporate equities
166,690 147,686 147,686
12
U.S. direct investment abroad
299,167 252,560 252,560
13
Miscellaneous assets
658,410 697,803 697,803
14
Total liabilities
3,425,131 3,258,766 3,258,766
15
Security repurchase agreements
1,754,978 1,698,401 1,698,401
16
Debt securities (corporate bonds)
173,984 184,003 184,003
17
Loans
906,080 882,692 882,692
18
Depository institution loans n.e.c.
125,837 123,956 123,956
19
Other loans and advances
780,243 758,736 758,736
20
Trade payables
15,777 16,787 16,787
21
Taxes payable
12,687 14,116 14,116
22
Foreign direct investment in U.S.
200,783 122,751 122,751
23
Miscellaneous liabilities
360,842 340,016 340,016
24
Investment by parent companies
1,737,058 1,660,223 1,660,223
25
Other
-1,376,216 -1,320,207 -1,320,207
   

Subscribe to the FRED newsletter


Follow us

Back to Top