Board of Governors of the Federal Reserve System

Flow of Funds Guide

Series analyzer for FL753020723.Q

Foreign banking offices in the U.S.; transaction deposits due from depository institutions in the U.S.; asset

Data Source

Level from quarterly Report of Assets and Liabilities of U.S. Branches and Agencies of Foreign Banks (form FFIEC 002), schedule A - Cash and Balances Due from Depository Institutions, 5 percent of Balances due from depository institutions in the U.S. (sum of series RCFD0083 and RCFD0085 less RCFN0083 and RCFN0085); and from the Consolidated Report of Condition and Income for Edge and Agreement Corporations (form FR 2886b), schedule RC-A - Cash and Balances Due From Depository Institutions, 5 percent of Balances due from depository institutions in the U.S. (series RCFD0082 less RCFN0082). Unadjusted flow is the change in the level; data for the most recent ten years show no significant seasonality.

Derived from:
FOF CodeDescription
+ FL753020723.QForeign banking offices in the U.S.; transaction deposits due from depository institutions in the U.S.; asset
+ FU753020723.QForeign banking offices in the U.S.; transaction deposits due from depository institutions in the U.S.; asset
+ FD753020723.QForeign banking offices in the U.S.; transaction deposits due from depository institutions in the U.S.; asset

Used in:
FOF CodeDescription
- FL753093005.QForeign banking offices in the U.S.; unidentified miscellaneous assets
+ FL754012205.QForeign banking offices in the U.S.; interbank transactions due from U.S. depository institutions; asset
- FL904010005.QInstrument discrepancies; net interbank transactions
Last update: March 7, 2013