MDRM Reporting Forms & Mnemonics

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MDRM Reporting Forms & Mnemonics
Main Series Sub Series Segmented Mnemonics Title Reporting Forms
AAXX     Risk-Based Capital Reporting for Institutions Subject to the Advanced Capital Adequacy Framework FFIEC 101
AAXX AAAB   ADVANCED RISK-BASED CAPITAL Part 1: Risk-Based Capital Numerator and Ratios for Banks and Bank Holding Companies FFIEC 101
AAXX AAAB   AAAA Regulatory Capital - Advanced Approaches FFIEC 101
AAXX AAAT   ADVANCED RISK-BASED CAPITAL Part 2: Risk-Based Capital Numerator and Ratios for Savings Associations FFIEC 101
AAXX AABX   Summary Risk-Weighted Asset Information for Banks Approved to Use Advanced Internal Ratings-Based and Advanced Measurement Approaches for Regulatory Capital Purposes FFIEC 101
AAXX AABX   AABA Summary Non-Defaulted and Defaulted Exposures; Weighted Average Probability of Default (PCT) FFIEC 101
AAXX AABX   AABB Summary Non-Defaulted and Defaulted Exposures; Balance Sheet Amount FFIEC 101
AAXX AABX   AABC Summary Non-Defaulted and Defaulted Exposures; Total Undrawn Amount FFIEC 101
AAXX AABX   AABD Summary Non-Defaulted and Defaulted Exposures; Exposure at Default FFIEC 101
AAXX AABX   AABE Summary Non-Defaulted and Defaulted Exposures; Weighted Average Maturity (Years) FFIEC 101
AAXX AABX   AABF Summary Non-Defaulted and Defaulted Exposures; Weighted Average Loss Given Default after consideration of credit risk mitigants (PCT) FFIEC 101
AAXX AABX   AABG Summary Non-Defaulted and Defaulted Exposures; Risk Weighted Assets FFIEC 101
AAXX AABX   AABH Summary Non-Defaulted and Defaulted Exposures; Expected Credit Loss FFIEC 101
AAXX AACX   Wholesale Exposure - Corporate FFIEC 101
AAXX AACX   AACA Wholesale Exposure - Corporate; Weighted Average Obligor Probability of Default (PCT) FFIEC 101
AAXX AACX   AACB Wholesale Exposure - Corporate; Number of Obligors FFIEC 101
AAXX AACX   AACC Wholesale Exposure - Corporate; Balance Sheet Amount FFIEC 101
AAXX AACX   AACD Wholesale Exposure - Corporate; Total Undrawn Amount FFIEC 101
AAXX AACX   AACE Wholesale Exposure - Corporate; Exposure at Default FFIEC 101
AAXX AACX   AACF Wholesale Exposure - Corporate; Weighted Average Effective Maturity (Years) FFIEC 101
AAXX AACX   AACG Wholesale Exposure - Corporate; Weighted Average Loss Given Default before consideration of eligible guarantees and credit derivatives (PCT) FFIEC 101
AAXX AACX   AACH Wholesale Exposure - Corporate; Weighted Average Loss Given Default after consideration of credit risk mitigants (PCT) FFIEC 101
AAXX AACX   AACI Wholesale Exposure - Corporate; Effect of Probability of Default substitution and Loss Given Default adjustment approaches on Risk Weighted Assets FFIEC 101
AAXX AACX   AACJ Wholesale Exposure - Corporate; Effect of Double Default Treatment on Risk Weighted Assets FFIEC 101
AAXX AACX   AACK Wholesale Exposure - Corporate; Risk Weighted Assets FFIEC 101
AAXX AACX   AACL Wholesale Exposure - Corporate; Expected Credit Loss FFIEC 101
AAXX AADX   Wholesale Exposure - Bank FFIEC 101
AAXX AADX   AADA Wholesale Exposure - Bank; Weighted Average Obligor Probability of Default (PCT) FFIEC 101
AAXX AADX   AADB Wholesale Exposure - Bank; Number of Obligors FFIEC 101
AAXX AADX   AADC Wholesale Exposure - Bank; Balance Sheet Amount FFIEC 101
AAXX AADX   AADD Wholesale Exposure - Bank; Total Undrawn Amount FFIEC 101
AAXX AADX   AADE Wholesale Exposure - Bank; Exposure at Default FFIEC 101
AAXX AADX   AADF Wholesale Exposure - Bank; Weighted Average Effective Maturity (Years) FFIEC 101
AAXX AADX   AADG Wholesale Exposure - Bank; Weighted Average Loss Given Default before consideration of eligible guarantees and credit derivatives (PCT) FFIEC 101
AAXX AADX   AADH Wholesale Exposure - Bank; Weighted Average Loss Given Default after consideration of credit risk mitigants (PCT) FFIEC 101
AAXX AADX   AADI Wholesale Exposure - Bank; Effect of Probability of Default substitution and Loss Given Default adjustment approaches on Risk Weighted Assets FFIEC 101
AAXX AADX   AADJ Wholesale Exposure - Bank; Risk Weighted Assets FFIEC 101
AAXX AADX   AADK Wholesale Exposure - Bank; Expected Credit Loss FFIEC 101
AAXX AAEX   Wholesale Exposure - Sovereign FFIEC 101
AAXX AAEX   AAEA Wholesale Exposure - Soverign; Weighted Average Obligor Probability of Default (PCT) FFIEC 101
AAXX AAEX   AAEB Wholesale Exposure - Soverign; Number of Obligors FFIEC 101
AAXX AAEX   AAEC Wholesale Exposure - Soverign; Balance Sheet Amount FFIEC 101
AAXX AAEX   AAED Wholesale Exposure - Soverign; Total Undrawn Amount FFIEC 101
AAXX AAEX   AAEE Wholesale Exposure - Soverign; Exposure at Default FFIEC 101
AAXX AAEX   AAEF Wholesale Exposure - Soverign; Weighted Average Effective Maturity (Years) FFIEC 101
AAXX AAEX   AAEG Wholesale Exposure - Soverign; Weighted Average Loss Given Default before consideration of eligible guarantees and credit derivatives (PCT) FFIEC 101
AAXX AAEX   AAEH Wholesale Exposure - Soverign; Weighted Average Loss Given Default after consideration of credit risk mitigants (PCT) FFIEC 101
AAXX AAEX   AAEI Wholesale Exposure - Soverign; Effect of Probability of Default substitution and Loss Given Default adjustment approaches on Risk Weighted Assets FFIEC 101
AAXX AAEX   AAEJ Wholesale Exposure - Soverign; Risk Weighted Assets FFIEC 101
AAXX AAEX   AAEK Wholesale Exposure - Soverign; Expected Credit Loss FFIEC 101
AAXX AAFX   Wholesale Exposure - Income Producing Real Estate (IPRE) FFIEC 101
AAXX AAFX   AAFA Wholesale Exposure - Income Producing Real Estate (IPRE); Weighted Average Obligor Probability of Default (PCT) FFIEC 101
AAXX AAFX   AAFB Wholesale Exposure - Income Producing Real Estate (IPRE); Number of Obligors FFIEC 101
AAXX AAFX   AAFC Wholesale Exposure - Income Producing Real Estate (IPRE); Balance Sheet Amount FFIEC 101
AAXX AAFX   AAFD Wholesale Exposure - Income Producing Real Estate (IPRE); Total Undrawn Amount FFIEC 101
AAXX AAFX   AAFE Wholesale Exposure - Income Producing Real Estate (IPRE); Exposure at Default FFIEC 101
AAXX AAFX   AAFF Wholesale Exposure - Income Producing Real Estate (IPRE); Weighted Average Effective Maturity (Years) FFIEC 101
AAXX AAFX   AAFG Wholesale Exposure - Income Producing Real Estate (IPRE); Weighted Average Loss Given Default before consideration of eligible guarantees and credit derivatives (PCT) FFIEC 101
AAXX AAFX   AAFH Wholesale Exposure - Income Producing Real Estate (IPRE); Weighted Average Loss Given Default after consideration of credit risk mitigants (PCT) FFIEC 101
AAXX AAFX   AAFI Wholesale Exposure - Income Producing Real Estate (IPRE); Effect of Probability of Default substitution and Loss Given Default adjustment approaches on Risk Weighted Assets FFIEC 101
AAXX AAFX   AAFJ Wholesale Exposure - Income Producing Real Estate (IPRE); Effect of Double Default Treatment on Risk Weighted Assets FFIEC 101
AAXX AAFX   AAFK Wholesale Exposure - Income Producing Real Estate (IPRE); Risk Weighted Assets FFIEC 101
AAXX AAFX   AAFL Wholesale Exposure - Income Producing Real Estate (IPRE); Expected Credit Loss FFIEC 101
AAXX AAGX   Wholesale Exposure - High Volatility Commercial Real Estate (HVCRE) FFIEC 101
AAXX AAGX   AAGA Wholesale Exposure - High Volatility Commercial Real Estate (HVCRE); Weighted Average Obligor Probability of Default (PCT) FFIEC 101
AAXX AAGX   AAGB Wholesale Exposure - High Volatility Commercial Real Estate (HVCRE); Number of Obligors FFIEC 101
AAXX AAGX   AAGC Wholesale Exposure - High Volatility Commercial Real Estate (HVCRE); Balance Sheet Amount FFIEC 101
AAXX AAGX   AAGD Wholesale Exposure - High Volatility Commercial Real Estate (HVCRE); Total Undrawn Amount FFIEC 101
AAXX AAGX   AAGE Wholesale Exposure - High Volatility Commercial Real Estate (HVCRE); Exposure at Default FFIEC 101
AAXX AAGX   AAGF Wholesale Exposure - High Volatility Commercial Real Estate (HVCRE); Weighted Average Effective Maturity (Years) FFIEC 101
AAXX AAGX   AAGG Wholesale Exposure - High Volatility Commercial Real Estate (HVCRE); Weighted Average Loss Given Default before consideration of eligible guarantees and credit derivatives (PCT) FFIEC 101
AAXX AAGX   AAGH Wholesale Exposure - High Volatility Commercial Real Estate (HVCRE); Weighted Average Loss Given Default after consideration of credit risk mitigants (PCT) FFIEC 101
AAXX AAGX   AAGI Wholesale Exposure - High Volatility Commercial Real Estate (HVCRE); Effect of Probability of Default substitution and Loss Given Default adjustment approaches on Risk Weighted Assets FFIEC 101
AAXX AAGX   AAGJ Wholesale Exposure - High Volatility Commercial Real Estate (HVCRE); Effect of Double Default Treatment on Risk Weighted Assets FFIEC 101
AAXX AAGX   AAGK Wholesale Exposure - High Volatility Commercial Real Estate (HVCRE); Risk Weighted Assets FFIEC 101
AAXX AAGX   AAGL Wholesale Exposure - High Volatility Commercial Real Estate (HVCRE); Expected Credit Loss FFIEC 101
AAXX AAHX   Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING FFIEC 101
AAXX AAHX   AAHA Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Weighted Average Probability of Default (PCT) FFIEC 101
AAXX AAHX   AAHB Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Weighted Average Effective Maturity (Years) FFIEC 101
AAXX AAHX   AAHC Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Exposure at Default FFIEC 101
AAXX AAHX   AAHD Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Weighted Average Loss Given Default FFIEC 101
AAXX AAHX   AAHE Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Risk Weighted Assets FFIEC 101
AAXX AAHX   AAHF Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Expected Credit Losses FFIEC 101
AAXX AAHX   AAHG Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD; Weighted Average Probability of Default (PCT) FFIEC 101
AAXX AAHX   AAHH Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD Weighted Average Effective Maturity (Years) FFIEC 101
AAXX AAHX   AAHI Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD Exposure at Default FFIEC 101
AAXX AAHX   AAHJ Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD Weighted Average Loss Given Default FFIEC 101
AAXX AAHX   AAHK Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD Risk Weighted Assets FFIEC 101
AAXX AAHX   AAHL Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD Expected Credit Losses FFIEC 101
AAXX AAHX   AAHM Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Holding Period or Margin Period of risk set for 20 days - Exposure Amount FFIEC 101
AAXX AAHX   AAHN Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Holding Period or Margin Period of risk set for 20 days - Risk-Weighted Assets FFIEC 101
AAXX AAHX   AAHO Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Holding Period or Margin Period of risk set for at least twice the minimum holding period that would otherwise be used - Exposure Amount FFIEC 101
AAXX AAHX   AAHP Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Holding Period or Margin Period of risk set for at least twice the minimum holding period that would otherwise be used; Risk-Weighted Assets FFIEC 101
AAXX AAHX   AAHQ Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Exposures with specific wrong-way risk for which the bank would otherwise apply the IMM; Exposure Amount FFIEC 101
AAXX AAHX   AAHR Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions and OTC Derivatives WITH CROSS-PRODUCT NETTING; Exposures with specific wrong-way risk for which the bank would otherwise apply the IMM; Risk-Weighted Assets FFIEC 101
AAXX AAIX   Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions No CROSS-PRODUCT NETTING FFIEC 101
AAXX AAIX   AAIA Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions No CROSS-PRODUCT NETTING; Weighted Average Probability of Default (PCT) FFIEC 101
AAXX AAIX   AAIB Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions No CROSS-PRODUCT NETTING; Weighted Average Effective Maturity (Years) FFIEC 101
AAXX AAIX   AAIC Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions No CROSS-PRODUCT NETTING; Exposure at Default FFIEC 101
AAXX AAIX   AAID Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions No CROSS-PRODUCT NETTING; Weighted Average Loss Given Default FFIEC 101
AAXX AAIX   AAIE Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions No CROSS-PRODUCT NETTING; Risk Weighted Assets FFIEC 101
AAXX AAIX   AAIF Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions No CROSS-PRODUCT NETTING; Expected Credit Losses FFIEC 101
AAXX AAIX   AAIG Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions No CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD; Weighted Average Probability of Default (PCT) FFIEC 101
AAXX AAIX   AAIH Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions No CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD Weighted Average Effective Maturity (Years) FFIEC 101
AAXX AAIX   AAII Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions No CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD Exposure at Default FFIEC 101
AAXX AAIX   AAIJ Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions No CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD Weighted Average Loss Given Default FFIEC 101
AAXX AAIX   AAIK Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions No CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD Risk Weighted Assets FFIEC 101
AAXX AAIX   AAIL Wholesale Exposure - Eligible Margin Loans, Repo-Style Transactions No CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD Expected Credit Losses FFIEC 101
AAXX AAIX   AAIM Wholesale Exposure - IMM Margin Period of Risk and Specific Wrong Way Risk; Holding Period or Margin Period of risk set for 20 days; Exposure Amount FFIEC 101
AAXX AAIX   AAIN Wholesale Exposure - IMM Margin Period of Risk and Specific Wrong Way Risk; Holding Period or Margin Period of risk set for 20 days; Risk-Weighted Assets FFIEC 101
AAXX AAIX   AAIO Wholesale Exposure - IMM Margin Period of Risk and Specific Wrong Way Risk; Holding Period or Margin Period of risk set for at least twice the minimum holding period that would otherwise be used; Exposure Amount FFIEC 101
AAXX AAIX   AAIP Wholesale Exposure - IMM Margin Period of Risk and Specific Wrong Way Risk; Holding Period or Margin Period of risk set for at least twice the minimum holding period that would otherwise be used; Risk-Weighted Assets FFIEC 101
AAXX AAIX   AAIQ Wholesale Exposure - IMM Margin Period of Risk and Specific Wrong Way Risk; Exposures with specific wrong-way risk for which the bank would otherwise apply the IMM; Exposure Amount FFIEC 101
AAXX AAIX   AAIR Wholesale Exposure - IMM Margin Period of Risk and Specific Wrong Way Risk; Exposures with specific wrong-way risk for which the bank would otherwise apply the IMM; Risk-Weighted Assets FFIEC 101
AAXX AAJX   Wholesale Exposure - OTC Derivatives; No CROSS-PRODUCT NETTING FFIEC 101
AAXX AAJX   AAJA Wholesale Exposure - OTC Derivatives; No CROSS-PRODUCT NETTING; Weighted Average Probability of Default (PCT) FFIEC 101
AAXX AAJX   AAJB Wholesale Exposure - OTC Derivatives; No CROSS-PRODUCT NETTING; Weighted Average Effective Maturity (Years) FFIEC 101
AAXX AAJX   AAJC Wholesale Exposure - OTC Derivatives; No CROSS-PRODUCT NETTING; Exposure at Default FFIEC 101
AAXX AAJX   AAJD Wholesale Exposure - OTC Derivatives; No CROSS-PRODUCT NETTING; Weighted Average Loss Given Default FFIEC 101
AAXX AAJX   AAJE Wholesale Exposure - OTC Derivatives; No CROSS-PRODUCT NETTING; Risk Weighted Assets FFIEC 101
AAXX AAJX   AAJF Wholesale Exposure - OTC Derivatives; No CROSS-PRODUCT NETTING; Expected Credit Losses FFIEC 101
AAXX AAJX   AAJG Wholesale Exposure - OTC Derivatives; No CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD; Weighted Average Probability of Default (PCT) FFIEC 101
AAXX AAJX   AAJH Wholesale Exposure - OTC Derivatives; No CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD; Weighted Average Effective Maturity (Years) FFIEC 101
AAXX AAJX   AAJI Wholesale Exposure - OTC Derivatives; No CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD; Exposure at Default FFIEC 101
AAXX AAJX   AAJJ Wholesale Exposure - OTC Derivatives; No CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD; Weighted Average Loss Given Default FFIEC 101
AAXX AAJX   AAJK Wholesale Exposure - OTC Derivatives; No CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD; Risk Weighted Assets FFIEC 101
AAXX AAJX   AAJL Wholesale Exposure - OTC Derivatives; No CROSS-PRODUCT NETTING; Exposures Where Collateral is Reflected in LGD; Expected Credit Losses FFIEC 101
AAXX AAJX   AAJM Wholesale Exposure - IMM Margin Period of Risk and Specific Wrong Way Risk; Holding Period or Margin Period of risk set for 20 days; Exposure Amount FFIEC 101
AAXX AAJX   AAJN Wholesale Exposure - IMM Margin Period of Risk and Specific Wrong Way Risk; Holding Period or Margin Period of risk set for 20 days; Risk-Weighted Assets, FFIEC 101
AAXX AAJX   AAJO Wholesale Exposure - IMM Margin Period of Risk and Specific Wrong Way Risk; Holding Period or Margin Period of risk set for at least twice the minimum holding period that would otherwise be used; Exposure Amount FFIEC 101
AAXX AAJX   AAJP Wholesale Exposure - IMM Margin Period of Risk and Specific Wrong Way Risk; Holding Period or Margin Period of risk set for at least twice the minimum holding period that would otherwise be used; Risk-Weighted Assets, FFIEC 101
AAXX AAJX   AAJQ Wholesale Exposure - IMM Margin Period of Risk and Specific Wrong Way Risk; Exposures with specific wrong-way risk for which the bank would otherwise apply the IMM; Exposure Amount FFIEC 101
AAXX AAJX   AAJR Wholesale Exposure - IMM Margin Period of Risk and Specific Wrong Way Risk; Exposures with specific wrong-way risk for which the bank would otherwise apply the IMM; Risk-Weighted Assets FFIEC 101
AAXX AAKX   Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures FFIEC 101
AAXX AAKX   AAKA Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Weighted Average Probability of Default (PCT) FFIEC 101
AAXX AAKX   AAKB Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Number of Exposures FFIEC 101
AAXX AAKX   AAKC Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Total Balance Sheet Amount FFIEC 101
AAXX AAKX   AAKD Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Total Undrawn Amount FFIEC 101
AAXX AAKX   AAKE Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Exposure at Default FFIEC 101
AAXX AAKX   AAKF Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Weighted Average Age FFIEC 101
AAXX AAKX   AAKG Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Weighted Average Loss Given Default (PCT) FFIEC 101
AAXX AAKX   AAKH Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Risk Weighted Assets FFIEC 101
AAXX AAKX   AAKI Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Expected Credit Loss FFIEC 101
AAXX AAKX   AAKJ Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Loan to Value Less Than 70 Percent FFIEC 101
AAXX AAKX   AAKK Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Loan to Value At Least 70 Percent but less than 80 Percent FFIEC 101
AAXX AAKX   AAKL Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Loan to Value At Least 80 Percent but less than 90 Percent FFIEC 101
AAXX AAKX   AAKM Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Loan to Value At Least 90 Percent but less than 100 Percent FFIEC 101
AAXX AAKX   AAKN Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Loan to Value Greater than or equal to 100 Percent+ FFIEC 101
AAXX AAKX   AAKO Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Loan to Value Weighted Average Bureau Score FFIEC 101
AAXX AAKX   AAKP Retail Exposure - Residential Mortgage - Closed-end First Lien Exposures; Loan to Value EAD of Accounts with Updated LTV FFIEC 101
AAXX AALX   Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures FFIEC 101
AAXX AALX   AALA Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Weighted Average Probability of Default (PCT) FFIEC 101
AAXX AALX   AALB Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Number of Exposures FFIEC 101
AAXX AALX   AALC Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Total Balance Sheet Amount FFIEC 101
AAXX AALX   AALD Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Total Undrawn Amount FFIEC 101
AAXX AALX   AALE Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Exposure at Default FFIEC 101
AAXX AALX   AALF Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Weighted Average Age FFIEC 101
AAXX AALX   AALG Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Weighted Average Loss Given Default (PCT) FFIEC 101
AAXX AALX   AALH Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Risk Weighted Assets FFIEC 101
AAXX AALX   AALI Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Expected Credit Loss FFIEC 101
AAXX AALX   AALJ Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Loan to Value Less Than 70 Percent FFIEC 101
AAXX AALX   AALK Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Loan to Value At Least 70 Percent but less than 80 Percent FFIEC 101
AAXX AALX   AALL Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Loan to Value At Least 80 Percent but less than 90 Percent FFIEC 101
AAXX AALX   AALM Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Loan to Value At Least 90 Percent but less than 100 Percent FFIEC 101
AAXX AALX   AALN Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Loan to Value Greater than or equal to 100 Percent+ FFIEC 101
AAXX AALX   AALO Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Loan to Value Weighted Average Bureau Score FFIEC 101
AAXX AALX   AALP Retail Exposure - Residential Mortgage - Closed-end Junior Lien Exposures; Loan to Value EAD of Accounts with Updated LTV FFIEC 101
AAXX AAMX   Retail Exposure - Residential Mortgage - Revolving Exposures FFIEC 101
AAXX AAMX   AAMA Retail Exposure - Residential Mortgage - Revolving Exposures; Weighted Average Probability of Default (PCT) FFIEC 101
AAXX AAMX   AAMB Retail Exposure - Residential Mortgage - Revolving Exposures; Number of Exposures FFIEC 101
AAXX AAMX   AAMC Retail Exposure - Residential Mortgage - Revolving Exposures; Total Balance Sheet Amount FFIEC 101
AAXX AAMX   AAMD Retail Exposure - Residential Mortgage - Revolving Exposures; Total Undrawn Amount FFIEC 101
AAXX AAMX   AAME Retail Exposure - Residential Mortgage - Revolving Exposures; Exposure at Default FFIEC 101
AAXX AAMX   AAMF Retail Exposure - Residential Mortgage - Revolving Exposures; Weighted Average Age FFIEC 101
AAXX AAMX   AAMG Retail Exposure - Residential Mortgage - Revolving Exposures; Weighted Average Loss Given Default (PCT) FFIEC 101
AAXX AAMX   AAMH Retail Exposure - Residential Mortgage - Revolving Exposures; Risk Weighted Assets FFIEC 101
AAXX AAMX   AAMI Retail Exposure - Residential Mortgage - Revolving Exposures; Expected Credit Loss FFIEC 101
AAXX AAMX   AAMJ Retail Exposure - Residential Mortgage - Revolving Exposures; Loan to Value Less Than 70 Percent FFIEC 101
AAXX AAMX   AAMK Retail Exposure - Residential Mortgage - Revolving Exposures; Loan to Value At Least 70 Percent but less than 80 Percent FFIEC 101
AAXX AAMX   AAML Retail Exposure - Residential Mortgage - Revolving Exposures; Loan to Value At Least 80 Percent but less than 90 Percent FFIEC 101
AAXX AAMX   AAMM Retail Exposure - Residential Mortgage - Revolving Exposures; Loan to Value At Least 90 Percent but less than 100 Percent FFIEC 101
AAXX AAMX   AAMN Retail Exposure - Residential Mortgage - Revolving Exposures; Loan to Value Greater than or equal to 100 Percent+ FFIEC 101
AAXX AAMX   AAMO Retail Exposure - Residential Mortgage - Revolving Exposures; Loan to Value Weighted Average Bureau Score FFIEC 101
AAXX AAMX   AAMP Retail Exposure - Residential Mortgage - Revolving Exposures; Loan to Value EAD of Accounts with Updated LTV FFIEC 101
AAXX AANX   Retail Exposure - Residential Mortgage - Qualifying Revolving Exposures FFIEC 101
AAXX AANX   AANA Retail Exposure - Residential Mortgage - Qualifying Revolving Exposures; Weighted Average Probability of Default (PCT) FFIEC 101
AAXX AANX   AANB Retail Exposure - Residential Mortgage - Qualifying Revolving Exposures; Number of Exposures FFIEC 101
AAXX AANX   AANC Retail Exposure - Residential Mortgage - Qualifying Revolving Exposures; Total Balance Sheet Amount FFIEC 101
AAXX AANX   AAND Retail Exposure - Residential Mortgage - Qualifying Revolving Exposures; Total Undrawn Amount FFIEC 101
AAXX AANX   AANE Retail Exposure - Residential Mortgage - Qualifying Revolving Exposures; Exposure at Default FFIEC 101
AAXX AANX   AANF Retail Exposure - Residential Mortgage - Qualifying Revolving Exposures; Exposure at Default of Accounts Less than Two Years Old FFIEC 101
AAXX AANX   AANG Retail Exposure - Residential Mortgage - Qualifying Revolving Exposures; Weighted Average Loss Given Default (PCT) FFIEC 101
AAXX AANX   AANH Retail Exposure - Residential Mortgage - Qualifying Revolving Exposures; Risk Weighted Assets FFIEC 101
AAXX AANX   AANI Retail Exposure - Residential Mortgage - Qualifying Revolving Exposures; Expected Credit Loss FFIEC 101
AAXX AANX   AANJ Retail Exposure - Residential Mortgage - Qualifying Revolving Exposures; Weighted Average Bureau Score FFIEC 101
AAXX AAOX   Retail Exposure - Residential Mortgage - Other Retail Exposures FFIEC 101
AAXX AAOX   AAOA Retail Exposure - Residential Mortgage - Other Retail Exposures; Weighted Average Probability of Default (PCT) FFIEC 101
AAXX AAOX   AAOB Retail Exposure - Residential Mortgage - Other Retail Exposures; Number of Exposures FFIEC 101
AAXX AAOX   AAOC Retail Exposure - Residential Mortgage - Other Retail Exposures; Total Balance Sheet Amount FFIEC 101
AAXX AAOX   AAOD Retail Exposure - Residential Mortgage - Other Retail Exposures; Total Undrawn Amount FFIEC 101
AAXX AAOX   AAOE Retail Exposure - Residential Mortgage - Other Retail Exposures; Exposure at Default FFIEC 101
AAXX AAOX   AAOF Retail Exposure - Residential Mortgage - Other Retail Exposures; Exposure at Default of Accounts Less than Two Years Old FFIEC 101
AAXX AAOX   AAOG Retail Exposure - Residential Mortgage - Other Retail Exposures; Weighted Average Loss Given Default (PCT) FFIEC 101
AAXX AAOX   AAOH Retail Exposure - Residential Mortgage - Other Retail Exposures; Risk Weighted Assets FFIEC 101
AAXX AAOX   AAOI Retail Exposure - Residential Mortgage - Other Retail Exposures; Expected Credit Loss FFIEC 101
AAXX AAOX   AAOJ Retail Exposure - Residential Mortgage - Other Retail Exposures; Weighted Average Bureau Score FFIEC 101
AAXX AAPX   Securitization Exposures Subject to the Ratings-Based or Internal Assessment Approaches FFIEC 101
AAXX AAPX   AAPA Exposures Subject to the Ratings-based Approach (RBA) FFIEC 101
AAXX AAPX   AAPB Exposures Subject to the Internal Assessment Approach (IAA) FFIEC 101
AAXX AAPX   AAPC Risk Weighted Assets FFIEC 101
AAXX AAPX   AAPP Securitization Exposures Schedule FFIEC 101
AAXX AAQQ   Cleared Transactions Schedule FFIEC 101
AAXX AAQX   Securitization Detail Schedule FFIEC 101
AAXX AAQX   AAQA Memoranda Items - Exposure Amount FFIEC 101
AAXX AAQX   AAQB Memoranda Items - Risk Weighted Assets FFIEC 101
AAXX AAQX   AAQC Memoranda Items - Deduction FFIEC 101
AAXX AARX   Equity Exposures FFIEC 101
AAXX AARX   AARA Simple Risk Weight Approach - Exposure FFIEC 101
AAXX AARX   AARB Simple Risk Weight Approach - Risk Weighted Assets FFIEC 101
AAXX AARX   AARC Full Internal Models Approach - Exposure FFIEC 101
AAXX AARX   AARD Full Internal Models Approach - Risk Weighted Assets FFIEC 101
AAXX AARX   AARE Publicly-Traded Internal Models Approach - Exposure FFIEC 101
AAXX AARX   AARF Publicly-Traded Internal Models Approach - Risk Weighted FFIEC 101
AAXX AASA   Operational Risk FFIEC 101
AFCR     Auto Finance Company Report FR 2512
AMLB     Agency Managed Liabilities - Base FR 2413y
FR 2414z
AMLW     Agency Managed Liabilities - Weekly FR 2413c
FR 2414d
BAST     Bank Aggregated Statistical Tool  
BAST BAAQ   Bank Aggregated Average Quarterly Data  
BAST BAAY   Bank Aggregated Average Year-to-Date Data  
BAST BAGD   Bank Aggregated Domestic Data  
BAST BAGF   Bank Aggregated Foreign Data  
BAST BAGQ   Bank Aggregated Quarterly Data  
BAST BAGR   Bank Aggregated Data  
BAST BAGY   Bank Aggregated Year-to-Date Data  
BHAS     Combined Financial Statements of Nonbank Subsidiaries of Bank Holding Companies - by Type of Nonbank Subsidiaries FR Y-11AS
BHCC     Annual Report of Selected Financial Data for Nonbank Subsidiaries of Bank Holding Companies FR Y-11I
BHCD     Report of Bank Holding Company Intercompany Transactions and Balances (Replaced by BIDI as of December 31, 2000) FR Y-8
BHCF     Combined Bank Holding Company File FR Y-9C
FR Y-9LP
FR Y-9SP
BHCF BHCK   Consolidated Financial Statements for Bank Holding Companies FR Y-9C
BHCF BHCK   BHBC Predecessor Financial Items FR Y-9C
BHCF BHCK   BHC0 Regulatory Capital - Risk Weight 0% FR Y-9C
BHCF BHCK   BHC2 Regulatory Capital - Risk Weight 20% FR Y-9C
BHCF BHCK   BHC5 Regulatory Capital - Risk Weight 50% FR Y-9C
BHCF BHCK   BHC9 Regulatory Capital - Risk Weight 100% FR Y-9C
BHCF BHCK   BHCA Regulatory Capital Components and Ratios FR Y-9C
BHCF BHCK   BHCB Commercial Bank Subsidiaries FR Y-9C
BHCF BHCK   BHCE For Transmittal of Items Reported on the BHCK Series FR Y-9C
BHCF BHCK   BHCM Consolidated Corrected FR Y-9C
BHCF BHCK   BHCW Advanced Approaches Regulatory Capital Components and Ratios FR Y-9C
BHCF BHCK   BHCX For Transmittal of Items Reported on the BHCK Series FR Y-9C
BHCF BHCK   BHCY For Transmittal of Items Reported on the BHCK Series FR Y-9C
BHCF BHCK   BHDM Domestic Bank Holding Company Data FR Y-9C
BHCF BHCK   BHFN Foreign Bank Holding Company Data FR Y-9C
BHCF BHCK   BHOD For Transmittal of Items Reported on the BHCK Series FR Y-9C
BHCF BHCK   BHTX For Transmittal of Items Reported on the BHCK Series FR Y-9C
BHCF BHCP   Parent Company Only Financial Statements for Bank Holding Companies FR Y-9LP
BHCF BHCP   BHPA For Transmittal of Items Reported on the BHCP Series FR Y-9LP
BHCF BHCP   BHPX For Transmittal of Items Reported on the BHCP Series FR Y-9LP
BHCF BHSP   Bank Holding Company Financial Statements and Parent Company Only Financial Statements for Small Bank Holding Companies FR 2352
FR Y-9SP
BHCF BHSP   BHSX For Transmittal of Items Reported on the BHSP Series FR Y-9SP
BHCF FHCK   Supplement to the Consolidated Financial Statements for Bank Holding Companies FR Y-9CS
BHCF FHCK   FHC1 Broker-Dealer subsidiaries engaged in underwriting or dealing in bank-eligible securities FR Y-9CS
BHCF FHCK   FHC2 Insurance underwriting subsidiaries FR Y-9CS
BHCI     Report of Bank Holding Company Intercompany Transactions and Balances (Interim Report Replaced by BIDI as of December 31, 2000) FR Y-8
BHCS     Quarterly Financial Statements of Nonbank Subsidiaries of Bank Holding Companies (Formerly the FR Y-11Q) FR Y-11/FR Y-11S
FR Y-11Q
BHCS BHCN   Financial Statements of U.S. Nonbank Subsidiaries of U.S. Bank Holding Companies FR Y-11/FR Y-11S
BHCS BHCQ   Combined Financial Statements of Nonbank Subsidiaries of Bank Holding Companies FR Y-11Q
BHCS BHCT   For Transmittal of Items Reported on the BHCK Series FR Y-11/FR Y-11S
FR Y-11Q
FR Y-9C
BHCS BHSN   Abbreviated Financial Statements of U.S. Nonbank Subsidiaries of U.S. Bank Holding Companies FR Y-11/FR Y-11S
BHEI     Consolidated Bank Holding Company Report of Equity Investments in Nonfinancial Companies FR Y-12
BHIF     Report of Intercompany Transactions for Foreign Banking Organizations and Their U.S. Bank Subsidiaries FR Y-8F
BHII     Report of Intercompany Transactions for Foreign Banking Organizations and Their U.S. Bank Subsidiaries FR Y-8F
BIDI     Bank Holding Company Report of Insured Depository Institutions' Section 23A Transactions with Affiliates FR Y-8
BORA     Report of Borrowing From the Federal Reserve  
CALL     For Report of Condition and Income File FFIEC 002
FFIEC 031
FFIEC 041
FR 2886a
FR 2886b
CALL CENB   Old 886a and 886b data, Edges, N.Y. Investment Co. and Agency and Branches, Subsidiaries  
CALL IADX   Old Income for CALL FFIEC 011
FFIEC 013
CALL IBFQ   Quarterly Report of IBF Account FR 2073a
FR 2073b
FR 2073c
FR 2074
FR 2075
CALL RCCD   Special Supplements - National banks only - Domestic FDIC 8040/53
CALL RCCF   Special Supplements - National banks only - Foreign FDIC 8040/53
CALL RCEG   Edge Call FFIEC 015
CALL RCFD   Foreign and Domestic Call FDIC 8040/53
FFIEC 002
FFIEC 002s
FFIEC 012
FFIEC 014
FFIEC 031
FR 2886b
CALL RCFD   RCFA Regulatory Capital Components and Ratios FFIEC 031
CALL RCFD   RCFW Advanced Approaches Regulatory Capital Components and Ratios FFIEC 031
CALL RCFN   Foreign Call FFIEC 002
FFIEC 014
FFIEC 030
FFIEC 031
FR 2886b
CALL RCON   Domestic Call FDIC 8020/05
FDIC 8040/18
FDIC 8040/51
FDIC 8040/53
FFIEC 002
FFIEC 010
FFIEC 012
FFIEC 014
FFIEC 031
FFIEC 032
FFIEC 033
FFIEC 034
FFIEC 041
FFIEC 051
FR 2886a
FR 2886b
CALL RCON   RCF0 Branch Schedule of Selected Items-Non-Consolidated - Head Office FR 2886b
CALL RCON   RCF1 Branch Schedule of Selected Items-Non-Consolidated - Branch 1 FR 2886b
CALL RCON   RCF2 Branch Schedule of Selected Items-Non-Consolidated - Branch 2 FR 2886b
CALL RCON   RCF3 Branch Schedule of Selected Items-Non-Consolidated - Branch 3 FR 2886b
CALL RCON   RCF4 Branch Schedule of Selected Items-Non-Consolidated - Branch 4 FR 2886b
CALL RCON   RCF5 Branch Schedule of Selected Items-Non-Consolidated - Branch 5 FR 2886b
CALL RCON   RCF6 Branch Schedule of Selected Items-Non-Consolidated - Branch 6 FR 2886b
CALL RCON   RCF7 Branch Schedule of Selected Items-Non-Consolidated - Branch 7 FR 2886b
CALL RCON   RCF8 Branch Schedule of Selected Items-Non-Consolidated - Branch 8 FR 2886b
CALL RCON   RCF9 Branch Schedule of Selected Items-Non-Consolidated - Branch 9 FR 2886b
CALL RCON   RCOA Regulatory Capital Components and Ratios FFIEC 031
FFIEC 041
FFIEC 051
CALL RCON   RCOW Advanced Approaches Regulatory Capital Components and Ratios FFIEC 041
CALL RCOS   Large Bank Supplement Call FFIEC 015
CALL RIAD   Domestic and Foreign Income FDIC 8040/51
FFIEC 010
FFIEC 011
FFIEC 013
FFIEC 031
FFIEC 032
FFIEC 033
FFIEC 034
FFIEC 041
FFIEC 051
FR 2886b
CALL RIAS   Large Bank Supplement Income - Supplement D FFIEC 015
CALL RIDM   Domestic Income -- Supplementary Information FFIEC 013
CALL RIFN   Foreign Income -- Supplementary Information FFIEC 013
CALL SCHJ   For Schedule J for item 9800 on the RCRI file for June 1983 and maybe September 1983  
CAOR     Operational Risk - Schedule E FR Y-14A
CCAR     Capital Assessments and Stress Testing FR Y-14A
FR Y-14M
FR Y-14Q
CCAR CACB   Counterparty Credit Risk - EE profile by counterparty FR Y-14Q
CCAR CACE   Counterparty Credit Risk - Top 20 counterparties ranked by Net CE FR Y-14A
CCAR CACI   Regulatory Capital Instruments FR Y-14A
CCAR CACL   Counterparty Credit Risk - Aggregate CVA by ratings and collateralization FR Y-14Q
CCAR CACN   Counterparty Credit Risk - Securities Financing Transactions Profile by Counterparty (Top 20) and Aggregate FR Y-14A
FR Y-14Q
CCAR CACO   Counterparty Credit Risk - Top 20 collateralized counterparties ranked by Gross CE FR Y-14A
CCAR CACQ   Counterparty Credit Risk - Credit quality by counterparty FR Y-14Q
CCAR CACS   Counterparty Credit Risk - Derivatives profile for the top 25 counterparties by netting set level and at a consolidated counterparty level FR Y-14Q
CCAR CACT   Regulatory Capital Transitions FR Y-14A
CCAR CACT   CACA Regulatory Capital Transitions - Advanced RWA FR Y-14A
CCAR CACT   CACG Regulatory Capital Transitions - Standardized RWA FR Y-14A
CCAR CACU   Counterparty Credit Risk - CVA sensitivities and slides FR Y-14Q
CCAR CACV   Counterparty Credit Risk - Derivatives profile by counterparty FR Y-14Q
CCAR CALB   Balances Schedule FR Y-14Q
CCAR CASS   Summary Schedule - Actual Values FR Y-14A
CCAR CASS   CASA Advanced RWA - Actual Values FR Y-14A
CCAR CASS   CASB Balance Sheet - Actual Values FR Y-14A
CCAR CASS   CASC OTTI for AFS Securities and HTM Securities by CUSIP - Actual Values FR Y-14A
CCAR CASS   CASD Capital Worksheets - Actual Values FR Y-14A
CCAR CASS   CASE Capital Worksheets - Advanced approaches HCs that exit parallel run - Actual Values FR Y-14A
CCAR CASS   CASF General RWA - General risk-based capital rule - Actual Values FR Y-14A
CCAR CASS   CASG General RWA - Actual Values FR Y-14A
CCAR CASS   CASI Income Statement - Actual Values FR Y-14A
CCAR CASS   CASK Capital Worksheets - General risk-based capital rule - Actual Values FR Y-14A
CCAR CASS   CASM High-Level OTTI Methodology and Assumptions for AFS and HTM Securities by Portfolio and Fair Market Value Sources by Portfolio FR Y-14A
CCAR CASS   CASN PPNR - Actual Values FR Y-14A
CCAR CASS   CASP OTTI for AFS and HTM Securities by Portfolio and OCI and Fair Value for AFS Securities - Actual Values FR Y-14A
CCAR CASS   CASR Retail - Actual Values FR Y-14A
FR Y-14Q
CCAR CBPP   Business Plan Changes - Projected FR Y-14A
CCAR CBPP   CBPA Business Plan Changes - Advanced RWA FR Y-14A
CCAR CBPP   CBPB Business Plan Changes - Balance Sheet FR Y-14A
CCAR CBPP   CBPD Business Plan Changes - Capital Worksheets FR Y-14A
CCAR CBPP   CBPE Business Plan Changes - Capital Worksheets - Advanced approaches HCs that exit parallel run FR Y-14A
CCAR CBPP   CBPF Business Plan Changes - General RWA - General risk-based capital rule FR Y-14A
CCAR CBPP   CBPG Business Plan Changes - General RWA FR Y-14A
CCAR CBPP   CBPI Business Plan Changes - Income Statement FR Y-14A
CCAR CBPP   CBPK Business Plan Changes - Capital Worksheet FR Y-14A
CCAR CBPP   CBPL Business Plan Changes - Balance Sheet - Pre-Acquisition Book Value on as-of date FR Y-14A
CCAR CBPP   CBPM Business Plan Changes - Balance Sheet - Purchase Accounting Adjustments FR Y-14A
CCAR CBPP   CBPN Business Plan Changes - Balance Sheet - Fair Value Adjustments FR Y-14A
CCAR CBPP   CBPR Business Plan Changes - Retail FR Y-14A
CCAR CCAM   Address Matching Schedule FR Y-14M
CCAR CCAM   CCAX Address Matching Schedule - Vendor FR Y-14M
CCAR CCFL   First Lien Schedule FR Y-14M
CCAR CCFL   CCFP First Lien Schedule - Portfolio Level FR Y-14M
CCAR CCFL   CCFX First Lien Schedule - VENDOR FR Y-14M
CCAR CCHE   Home Equity Loan Schedule FR Y-14M
CCAR CCHE   CCHP Home Equity Loan Schedule - Portfolio Level FR Y-14M
CCAR CCHE   CCHX Home Equity Loan Schedule - Vendor FR Y-14M
CCAR CCQR   Capital Assessments and Stress Testing - QUARTERLY FORM  
CCAR CCRS   Credit Card Schedule FR Y-14M
CCAR CCRS   CCRP Credit Card Schedule - Portfolio Level FR Y-14M
CCAR CIRR   Internal Risk Rating Schedule FR Y-14Q
CCAR CLCO   Corporate Loan Data Schedule FR Y-14Q
CCAR CLCO   CLCE Corporate Loan Data Schedule - Entity FR Y-14Q
CCAR CLCO   CLCG Corporate Loan Data Schedule - Guarantor FR Y-14Q
CCAR CPSS   Summary Schedule - Projected Values FR Y-14A
CCAR CPSS   CPSA Advanced RWA - Projected Values FR Y-14A
CCAR CPSS   CPSB Balance Sheet - Projected Values FR Y-14A
CCAR CPSS   CPSC OTTI for AFS Securities and HTM Securities by CUSIP - Projected Values FR Y-14A
CCAR CPSS   CPSD Capital Worksheets - Projected Values FR Y-14A
CCAR CPSS   CPSE Capital Worksheets - Advanced approaches HCs that exit parallel run - Projected Values FR Y-14A
CCAR CPSS   CPSF General RWA - General risk-based capital rule - Projected Values FR Y-14A
CCAR CPSS   CPSG General RWA - Projected Values FR Y-14A
CCAR CPSS   CPSI Income Statement - Projected Values FR Y-14A
CCAR CPSS   CPSK Capital Worksheets - General risk-based capital rule - Projected Values FR Y-14A
CCAR CPSS   CPSM High-Level OTTI Methodology and Assumptions for AFS and HTM Securities by Portfolio and Fair Market Value Sources by Portfolio - Projected Values FR Y-14A
CCAR CPSS   CPSN PPNR - Projected Values FR Y-14A
CCAR CPSS   CPSP OTTI for AFS and HTM Securities by Portfolio and OCI and Fair Value for AFS Securities - Projected Values FR Y-14A
CCAR CPSS   CPSR Retail - Projected Values FR Y-14A
CCAR CPSS   CPSV Retail Repurchase, Vintage-based - Projected Values FR Y-14A
CCAR CQCA   Regulatory Capital Transitions - Advanced RWA FR Y-14Q
CCAR CQCA   CQAC Regulatory Capital Transitions - RWA Advanced: Comments FR Y-14Q
CCAR CQCD   Regulatory Capital Transitions FR Y-14Q
CCAR CQCD   CQCC Regulatory Capital Transitions - Capital Composition: Comments FR Y-14Q
CCAR CQCD   CQLC Regulatory Capital Transitions - Leverage Exposure: Comments FR Y-14Q
CCAR CQCG   Regulatory Capital Transitions - General RWA FR Y-14Q
CCAR CQCI   Regulatory Capital Instruments - Issuances FR Y-14Q
CCAR CQCN   Regulatory Capital Instruments - Quarter End FR Y-14Q
CCAR CQCR   Regulatory Capital Instruments - Redemptions FR Y-14Q
CCAR CQFV   Retail Fair Value Option/Held for Sale Schedule (FVO/HFS)  
CCAR CQOR   Operational Risk Schedule  
CCAR CQPP   PPNR Schedule  
CCAR CQRT   Retail Schedule  
CCAR CQSA   Securities Schedule - Securities 2 (aggregate positions) FR Y-14Q
CCAR CQSC   Securities Schedule - Securities 1 (CUSIP-level) FR Y-14Q
CCAR CQSH   Securities Schedule - Securities 3 (Designated Accounting Hedges) FR Y-14Q
CCAR CQSU   Supplemental Schedule  
CCAR CRED   Commercial Real Estate Data Collection FR Y-14Q
CCAR CSCX   Securities Schedule  
CCAR CTRD   Trading Schedule FR Y-14Q
CEBA     Country Exposure Report for U.S. Branches and Agencies of Foreign Banks FFIEC 019
CEBA CEB1   Country Exposure Report for U.S. Branches and Agencies of Foreign Banks - Home Country FFIEC 019
CEXA     Country Exposure Information Report FFIEC 009a
CEXA CTRY   Country Exposure Information Report FFIEC 009a
CIRC     Daily Data Flow from Reserve Banks to FRB New York, Regarding Currency in Circulation  
CNCR     Commercial Bank Report of Consumer Credit FR 2571
CNCR CNCX   Date prior to 1983 for CNCR  
CRCB     Call Report for Carribean Branches. Supplement to the FFIEC 002 report. FFIEC 002s
CRCB TEX1   For Transmittal of Items Reported on the CRCB Series FFIEC 002s
CRCB TEX2   For Transmittal of Items Reported on the CRCB Series FFIEC 002s
CRCB TEX3   For Transmittal of Items Reported on the CRCB Series FFIEC 002s
CRCB TEX4   For Transmittal of Items Reported on the CRCB Series FFIEC 002s
CRCB TEX5   For Transmittal of Items Reported on the CRCB Series FFIEC 002s
CRCB TEX6   For Transmittal of Items Reported on the CRCB Series FFIEC 002s
CRTG     Centrally Cleared Transactions - General Collateral Trades OFR SFT-1
CRTP     Centrally Cleared Transactions - General Collateral Settlement OFR SFT-1
CRTS     Centrally Cleared Transactions - Specific Security Trades OFR SFT-1
CSTX     Annual Company-Run Stress Test Report For State Member Banks, Bank Holding Companies, and Savings and Loan Holding Companies FFIEC 016
FR Y-16
CSTX CSAT   Annual Company-Run Stress Test Report - Actual Values FFIEC 016
FR Y-16
CSTX CSAT   CSA1 For Transmittal of Items Reported on the CSAT Series FFIEC 016
FR Y-16
CSTX CSAT   CSA2 For Transmittal of Items Reported on the CSAT Series FFIEC 016
FR Y-16
CSTX CSAT   CSA3 For Transmittal of Items Reported on the CSAT Series FFIEC 016
FR Y-16
CSTX CSAT   CSA4 For Transmittal of Items Reported on the CSAT Series FFIEC 016
FR Y-16
CSTX CSAT   CSA5 For Transmittal of Items Reported on the CSAT Series FFIEC 016
FR Y-16
CSTX CSAT   CSA6 For Transmittal of Items Reported on the CSAT Series FFIEC 016
FR Y-16
CSTX CSAT   CST1 For Transmittal of Text Descriptions of Items Reported on the CSAT Series FFIEC 016
FR Y-16
CSTX CSAT   CST2 For Transmittal of Text Descriptions of Items Reported on the CSAT Series FFIEC 016
FR Y-16
CSTX CSAT   CST3 For Transmittal of Text Descriptions of Items Reported on the CSAT Series FFIEC 016
FR Y-16
CSTX CSAT   CST4 For Transmittal of Text Descriptions of Items Reported on the CSAT Series FFIEC 016
FR Y-16
CSTX CSAT   CST5 For Transmittal of Text Descriptions of Items Reported on the CSAT Series FFIEC 016
FR Y-16
CSTX CSAT   CST6 For Transmittal of Text Descriptions of Items Reported on the CSAT Series FFIEC 016
FR Y-16
CSTX CSPT   Annual Company-Run Stress Test Report - Projected Values FFIEC 016
FR Y-16
CSTX CSPT   CSP1 For Transmittal of Items Reported on the CSPT Series FFIEC 016
FR Y-16
CSTX CSPT   CSP2 For Transmittal of Items Reported on the CSPT Series FFIEC 016
FR Y-16
CSTX CSPT   CSP3 For Transmittal of Items Reported on the CSPT Series FFIEC 016
FR Y-16
CSTX CSPT   CSP4 For Transmittal of Items Reported on the CSPT Series FFIEC 016
FR Y-16
CSTX CSPT   CSP5 For Transmittal of Items Reported on the CSPT Series FFIEC 016
FR Y-16
CSTX CSPT   CSP6 For Transmittal of Items Reported on the CSPT Series FFIEC 016
FR Y-16
CSTX CSVI   Annual Company-Run Stress Test Report - Respondent Variable Input Schedule FFIEC 016
FR Y-16
CUCP     Report of Condition and Income for Corporate Credit Unions - Monthly NCUA 5310
CUCP CP01   First Derivative Contract NCUA 5310
CUCP CP02   Second Derivative Contract NCUA 5310
CUCP CP03   Third Derivative Contract NCUA 5310
CUCP CP04   Fourth Derivative Contract NCUA 5310
CUCP CP05   Fifth Derivative Contract NCUA 5310
CUCP CP06   Sixth Derivative Contract NCUA 5310
CUCP CP07   Seventh Derivative Contract NCUA 5310
CUCP CP08   Eighth Derivative Contract NCUA 5310
CUCP CP09   Ninth Derivative Contract NCUA 5310
CUCP CP10   Tenth Derivative Contract NCUA 5310
CUCP CP11   Eleventh Derivative Contract NCUA 5310
CUCP CP12   Twelfth Derivative Contract NCUA 5310
CUCP CP13   Thirteenth Derivative Contract NCUA 5310
CUCP CP14   Fourteenth Derivative Contract NCUA 5310
CUCP CP15   Fifteenth Derivative Contract NCUA 5310
CUCP CP16   Sixteenth Derivative Contract NCUA 5310
CUCP CP17   Seventeenth Derivative Contract NCUA 5310
CUCP CP18   Eighteenth Derivative Contract NCUA 5310
CUCP CP19   Nineteenth Derivative Contract NCUA 5310
CUCP CP20   Twentieth Derivative Contract NCUA 5310
CUCP CP21   Twenty first Derivative Contract NCUA 5310
CUCP CP22   Twenty second Derivative Contract NCUA 5310
CUCP CP23   Twenty third Derivative Contract NCUA 5310
CUCP CP24   Twenty fourth Derivative Contract NCUA 5310
CUCP CP25   Twenty fifth Derivative Contract NCUA 5310
CUCP CP26   Twenty sixth Derivative Contract NCUA 5310
CUCP CP27   Twenty seventh Derivative Contract NCUA 5310
CUCP CP28   Twenty eighth Derivative Contract NCUA 5310
CUCP CP29   Twenty ninth Derivative Contract NCUA 5310
CUCP CP30   Thirtieth Derivative Contract NCUA 5310
CUDR     Report of Savings/Deposits at Credit Unions FR 2055
CUDU     Credit Union Deposit Report-Universe FR 2055
CUSA     Report of Condition and Income for Credit Unions NCUA 5300/5300S
CUSA CU01   First CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU02   Second CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU03   Third CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU04   Fourth CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU05   Fifth CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU06   Sixth CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU07   Seventh CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU08   Eighth CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU09   Nineth CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU10   Tenth CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU11   Eleventh CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU12   Twelfth CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU13   Thirteenth CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU14   Fourteenth CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU15   Fifteenth CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU16   Sixteenth CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU17   Seventeenth CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU18   Eighteenth CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU19   Nineteenth CUSO the credit union has a loan or investment in NCUA 5300/5300S
CUSA CU20   Twentieth CUSO the credit union has a loan or investment in NCUA 5300/5300S
DBIT     Survey of Debits to Demand and Savings Deposits Accounts FR 2573
DDOS     Report of Ownership of Demand Deposit Accounts of Individuals and Partnerships and Corporations FR 2591
DERV     Semiannual Report of Derivatives Activity FR 2436
DFCR     Domestic Finance Company Report of Consolidated Assets and Liabilities FR 2248
FR 2248a
DISC     Report of Discount Window Borrowings  
DISC DSC1   Adjustment Credit Type Reported in DISC  
DISC DSC2   Seasonal Credit Type Reported in DISC  
DISC DSC3   Temporary Seasonal Credit Type Reported in DISC  
DISC DSC4   Term Auction Facility Credit Type Reported in DISC  
DISC DSC5   Emergency Credit Type Reported in DISC  
DISC DSC6   Century Date Change Special Liquidity Facility Credit Type Reported in DISC  
DISC DSC7   Primary Credit Type Reported in DISC  
DISC DSC8   Secondary Credit Type Reported in DISC  
DISC DSC9   Term Auction Facility Reported in DISC  
EDAR     Annual Report of Total Deposits and Reservable Liabilities FR 2910a
EDDS     Report of Transaction Accounts, Other Deposits and Vault Cash FR 2900
EDDS EDDA   Weekly Aggregate -- Report of Transaction Accounts, Other Deposits and Vault Cash  
EDDS EDDA   EDSA Snapshot of EDDA data for a specified as-of date range  
EDDS EDDM   Monthly Aggregate -- Report of Transaction Accounts, Other Deposits and Vault Cash  
EDDS EDSS   Snapshot of EDDS data for a specified as-of date range  
EDQR     Quarterly Report of Selected Deposits, Vault Cash and Reservable Liabilities FR 2910q
ESOP     Financial Statements for Employees Stock Ownership Plan Bank Holding Companies FR Y-9ES
ESOP ESPT   For Transmittal of Items Reported on the ESOP Subseries FR Y-9ES
FBOQ     The Capital and Asset Report for Foreign Banking Organizations FR Y-7Q
FBOQ FBOD   Foreign Banking Organization, US operations FR Y-7Q
FBOQ FBOT   For Transmittal of Items Reported on the FBOQ Series FR Y-7Q
FCCL     Financial Company Report of Consolidated Liabilities FR XX-1
FCCL FC01   General Text Remarks Text1 FR XX-1
FCCL FC02   General Text Remarks Text2 FR XX-1
FCCL FC03   General Text Remarks Text3 FR XX-1
FCCL FC04   General Text Remarks Text4 FR XX-1
FCDD     Report of Foreign (non-U.S.) Currency Deposits (Monthly Data) FR 2915
FCDQ     Report of Foreign (non-U.S.) Currency Deposits (Quarterly Data) FR 2915
FCEX     Country Exposure Report FFIEC 009
FEDF     Fed Funds Report FR 716
FR 716b
FFRS     Survey of Federal Funds Sold and Securities Purchased Under Agreement to Resell FR 3032
FHMB     Annual Report of Merchant Banking Investments Held for an Extended Period FR Y-12A
FHMB FH10   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FHMB FH11   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FHMB FH12   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FHMB FH13   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FHMB FH14   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FHMB FH15   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FHMB FHM1   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FHMB FHM2   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FHMB FHM3   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FHMB FHM4   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FHMB FHM5   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FHMB FHM6   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FHMB FHM7   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FHMB FHM8   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FHMB FHM9   For Transmittal of Items Reported on the FHMB Series FR Y-12A
FNBK     Financial Statements of U.S. Nonbank Subsidiaries Held by Foreign Banking Organizations; FR Y-7N and Abbreviated Financial Statements of U.S. Nonbank Subsidiaries Held by Nonbank Subsidiaries Held by Foreign Banking Organizations; (Prior to December 31, 2002, title was Nonbank Financial Information Summary); FR Y-7 FR Y-7
FR Y-7N/FR Y-7NS
FNBK FNBT   For Transmittal of Items Reported on the FNBK Subseries FR Y-7N/FR Y-7NS
FORB     Foreign Branch Report of Condition and Abbreviated Foreign Branch Report of Condition FFIEC 030
FFIEC 030S
FRBC     Federal Reserve Board Catalog  
FRBS     Condition Statement of Federal Reserve Banks FR 34
FXDM     Central Bank Survey of Foreign Exchange and Derivatives Market Activity FR 3036
GOLD     Goldwire: Interdistrict Settlement Account  
IAIC     Institution-to-Aggregate Data on Assets and Liabilities on an Immediate Counterparty Basis FR 2510
IBF3     Supplement to the Cumulative Report of International Banking Facility Assets and Liabilities Shifted from the U.S. Offices of the Establishing Entity FR 2076s
IBFS     Cumulative Report of International Banking Facility Assets and Liabilities Shifted from the U.S. Offices of the Establishing Entity FR 2076
IBFW     Monthly Report of International Banking Facility Accounts FR 2072
IRA1     Survey of Outstanding Amounts of IRA & Keogh Accounts FR 1129
IRA2     Survey of Outstanding Amounts of IRA & Keogh Accounts FR 1129
IRAS     Monthly Survey on IRA/Keogh Plan Accounts FR 2970
ISUD     Financial Statements for a Bank Holding Company Subsidiary Engaged in Ineligible Securities Underwriting and Dealing FR Y-20
KWHN     Monthly Survey of Industrial Electricity Use Using NAIC Values FR 2009a/b/c
KWHR     Monthly Survey of Industrial Electricity Use FR 2009a/b/c
LIRS     Quarterly Report of Interest Rates on Selected Direct Consumer Installment Loans FR 2835
LIRS LITX   For Transmittal of Items Reported on the LIRS Series  
LMMX     Complex Institution Liquidity Monitoring Report FR 2052a
LMMX LMMA   Complex Institution Liquidity Monitoring Report: Open FR 2052a
LMMX LMMB   Complex Institution Liquidity Monitoring Report: Maturity Schedule - Business Day 1 FR 2052a
LMMX LMMC   Complex Institution Liquidity Monitoring Report: Maturity Schedule - Business Day 2 FR 2052a
LMMX LMMD   Complex Institution Liquidity Monitoring Report: Maturity Schedule - Business Day 3 FR 2052a
LMMX LMME   Complex Institution Liquidity Monitoring Report: Maturity Schedule - Business Day 4 FR 2052a
LMMX LMMF   Complex Institution Liquidity Monitoring Report: Maturity Schedule - Business Day 5 FR 2052a
LMMX LMMG   Complex Institution Liquidity Monitoring Report: Maturity Schedule - Business Day Complex Institution Liquidity Monitoring Report: Maturity Schedule - 6 Cal - Day 14 FR 2052a
LMMX LMMH   Complex Institution Liquidity Monitoring Report: Maturity Schedule - 15 - 30 Days FR 2052a
LMMX LMMJ   Complex Institution Liquidity Monitoring Report: Maturity Schedule - 31 - 60 Days FR 2052a
LMMX LMMK   Complex Institution Liquidity Monitoring Report: Maturity Schedule - 61 - 90 Days FR 2052a
LMMX LMML   Complex Institution Liquidity Monitoring Report: Maturity Schedule - 91 - 120 Days FR 2052a
LMMX LMMM   Complex Institution Liquidity Monitoring Report: Maturity Schedule - 121 - 150 Days FR 2052a
LMMX LMMN   Complex Institution Liquidity Monitoring Report: Maturity Schedule - 151 - 180 Days FR 2052a
LMMX LMMP   Complex Institution Liquidity Monitoring Report: Maturity Schedule - 181 - 270 Days FR 2052a
LMMX LMMQ   Complex Institution Liquidity Monitoring Report: Maturity Schedule - 271 - 1Yr FR 2052a
LMMX LMMR   Complex Institution Liquidity Monitoring Report: Maturity Schedule - >1Y <= 2Y FR 2052a
LMMX LMMS   Complex Institution Liquidity Monitoring Report: Maturity Schedule - >2Y <= 3Y FR 2052a
LMMX LMMT   Complex Institution Liquidity Monitoring Report: Maturity Schedule - >3Y <= 4Y FR 2052a
LMMX LMMU   Complex Institution Liquidity Monitoring Report: Maturity Schedule - >4Y <= 5Y FR 2052a
LMMX LMMV   Complex Institution Liquidity Monitoring Report: Maturity Schedule - >5Y FR 2052a
LMMX LMMW   Complex Institution Liquidity Monitoring Report: Total FR 2052a
LMMX LMMZ   Complex Institution Liquidity Monitoring Report: Comments FR 2052a
LMMX LMNX   Complex Institution Liquidity Monitoring Report, Contingency Pricing: FR 2052a
LMMX LMNX   LMNA Complex Institution Liquidity Monitoring Report, Contingency Pricing: Open FR 2052a
LMMX LMNX   LMNB Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - Business Day 1 FR 2052a
LMMX LMNX   LMNC Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - Business Day 2 FR 2052a
LMMX LMNX   LMND Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - Business Day 3 FR 2052a
LMMX LMNX   LMNE Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - Business Day 4 FR 2052a
LMMX LMNX   LMNF Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - Business Day 5 FR 2052a
LMMX LMNX   LMNG Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - Business Day Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - 6 Cal - Day 14 FR 2052a
LMMX LMNX   LMNH Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - 15 - 30 Days FR 2052a
LMMX LMNX   LMNJ Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - 31 - 60 Days FR 2052a
LMMX LMNX   LMNK Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - 61 - 90 Days FR 2052a
LMMX LMNX   LMNL Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - 91 - 120 Days FR 2052a
LMMX LMNX   LMNM Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - 121 - 150 Days FR 2052a
LMMX LMNX   LMNN Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - 151 - 180 Days FR 2052a
LMMX LMNX   LMNP Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - 181 - 270 Days FR 2052a
LMMX LMNX   LMNQ Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - 271 - 1Yr FR 2052a
LMMX LMNX   LMNR Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - >1Y <= 2Y FR 2052a
LMMX LMNX   LMNS Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - >2Y <= 3Y FR 2052a
LMMX LMNX   LMNT Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - >3Y <= 4Y FR 2052a
LMMX LMNX   LMNU Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - >4Y <= 5Y FR 2052a
LMMX LMNX   LMNV Complex Institution Liquidity Monitoring Report, Contingency Pricing: Maturity Schedule - >5Y FR 2052a
LMMX LMNX   LMNW Complex Institution Liquidity Monitoring Report, Contingency Pricing: Total FR 2052a
LMMX LMNX   LMNZ Complex Institution Liquidity Monitoring Report, Contingency Pricing: Comments FR 2052a
LNCS     Monthly Survey of Loan Commitments FR 18a
FR 2039
MBAS     Annual Survey of Eligible Bankers Acceptances FR 2006
MCPO     Monthly Report of Commercial Paper Outstanding Placed By Brokers & Dealers FR 2957a/b
MFBR     Monthly Report on Foreign Branch Assets & Liabilities FR 2502
MKSD     Daily Advance Report of Deposits (large banks) FR 2000
MKSM     Markstat M  
MMLB     Member Managed Liabilities - Base FR 2412d
FR 2412y
FR 2414d
FR 2414y
FR 2414z
MMLW     Member Managed Liabilities - Weekly FR 2412c
FR 2412d
FR 2414c
FR 2414d
MMRF     Money Market Mutual Funds Reports Files FR 2051a
FR 2051b
FR 2051c
FR 2051d
MMRF MMRM   Monthly Report of Assets of Money Market Mutual Funds FR 2051b
MMRF MMRW   Money Market Mutual Funds Reports File - Weekly FR 2051a
FR 2051c
FR 2051d
MMTD     Monthly Report of Six-month Money Market Time Deposits FR 2042
FR 2042a
FR 2042b
MRRR     Market Risk Regulatory Report for Institutions Subject to the Market Risk Capital Rule FFIEC 102
MSBD     Weekly Report of Deposits At Mutual Savings Banks FR 2411
MSNA     Monthly Survey of Number of Accounts in, and Source of Funds for, "Super NOW" Accounts FR 2071d
MSSA     Monthly Survey of Number Accounts in, and Sources of Funds for, Money Market Deposit Accounts FR 2071c
MTBL     Monthly Supplement to Terms of Bank Lending to Business FR 2028c
NMCU     Nonmember Report of Deposits and Vault Cash - Quarterly Universe FR 2412
NMWS     Nonmember Report of Deposits and Vault Cash - Weekly Sample FR 2412
NOW1     Monthly Report of Negotiable Orders of Withdrawals (NOW) Accounts FR 2015
QDSS     Micro Archival File for the QEDS FR 2900s
QEDS     Quarterly Report of Transaction Accounts, Other Deposits & Vault Cash FR 2900
QFBR     Quarterly Report on Foreign Branch Assets and Liabilities FR 2502s
QFBS     Quarterly Report Of Assets & Liabilities Of Large Foreign Offices Of U.S. Banks FR 2502q
QFCS     Quinquennial Finance Company Survey FR 3033p
FR 3033p/s
FR 3033s
QFCS QF01   Additional Text Remarks FR 3033s
QFCS QF02   Additional Text Remarks FR 3033s
QFCS QF03   Additional Text Remarks FR 3033s
QFCS QF04   Additional Text Remarks FR 3033s
QFCS QF05   Additional Text Remarks FR 3033s
QFCS QF06   Additional Text Remarks FR 3033s
QFCS QF07   Additional Text Remarks FR 3033s
QFCS QF08   Additional Text Remarks FR 3033s
QFCS QF09   Additional Text Remarks FR 3033s
QFCS QF10   Additional Text Remarks FR 3033s
QFCS QF11   Additional Text Remarks FR 3033s
QFCS QF12   Additional Text Remarks FR 3033s
QFCS QF13   Additional Text Remarks FR 3033s
QFCS QF14   Additional Text Remarks FR 3033s
QIRS     Quarterly Interest Rate Survey FR 467
QMDS     Between January and March micro data for QEDS historical data  
QRCC     Quarterly Report on Credit Card Plans FR 2835a
QRDS     Quarterly Respondents to the Report of Transaction Accounts, Other Deposits and Vault Cash FR 2900
QRPS     Annual and Quarterly Reports of Repurchase Agreements (RPs) on U.S. Government and Federal Agency Securities with Specified Holders FR 2090a
FR 2090q
QSBL     Quarterly Small Business Lending Survey FR 2028D
QSSA     Quarterly Survey of Selected Transaction Accounts FR 2071a
FR 2071b
QTBL     Quarterly Terms of Bank Lending to Business (STBL) FR 2028a/s
QTFL     Quarterly Terms of Bank Lending to Farmers (STFL) FR 2028b/s
RCET     Report of Certain Eurocurrency Transactions FR 2414b
FR 2950
FR 2951
RDCB     Weekly Report of Eurodollar Liabilities Held by Selected U.S. Addressees at Foreign Offices of U.S. Banks FR 2050
RISK     Systemic Risk Report FR Y-15
RISK RI01   Additional Text Remarks FR Y-15
RISK RI02   Additional Text Remarks FR Y-15
RISK RI03   Additional Text Remarks FR Y-15
RISK RI04   Additional Text Remarks FR Y-15
RISK RI05   Additional Text Remarks FR Y-15
RISK RI06   Additional Text Remarks FR Y-15
RISK RI07   Additional Text Remarks FR Y-15
RISK RI08   Additional Text Remarks FR Y-15
RISK RI09   Additional Text Remarks FR Y-15
RISK RI10   Additional Text Remarks FR Y-15
RISK RI11   Additional Text Remarks FR Y-15
RISK RI12   Additional Text Remarks FR Y-15
RISK RISI   U.S. INTERMEDIATE HOLDING COMPANY FR Y-15
RISK RISO   COMBINED U.S. OPERATIONS FR Y-15
RPSR     Survey of Repurchase Agreements (RPs) on U.S. Government Securities and Nonreservable Due Bills with Selected Customers (Archival) FR 3019a
FR 3019b
FR 3024a
FR 3024b
RSNB     Report of Repurchase Agreements (RPs) on U.S. Government and Federal Agency Securities with Specified Holders FR 2415
RSSD     Research, Statistics, Supervision and Regulation, and Discount and Credit Database (NIC database) FFIEC 031
FFIEC 041
FFIEC 051
FR 2314/FR-2314S
FR 2320
FR 2510
FR 2590
FR Y-11/FR Y-11S
FR Y-15
FR Y-7N/FR Y-7NS
FR Y-8
FR Y-9C
FR Y-9LP
FR Y-9SP
RTRL     Allocation of Low Reserve Tranche and Reservable Liabilities Exemption FR 2930
FR 2930a
RUSG     Survey of U.S. Gov't Agency and Corporation Securities FFIEC 17
FFIEC 18
FFIEC 19
SBSR     Small Bank Sample Report FR 2001
SCRP     Special Credit Restraint Program  
SCRP SCB0   Special Credit Restraint Program  
SCRP SCB3   Special Credit Restraint Program  
SCRP SCB4   Special Credit Restraint Program  
SCRP SCR1   Special Credit Restraint Program  
SCRP SCR2   Special Credit Restraint Program  
SDSL     Summary of Deposits and Savings and Loans data from the A4 S&L Tapes (SGLN) OMB 1500-004
SECF     Securities and Exchange Commission Focus Report (Financial and Operational Combined Uniform Single Report) Part II, IIA and IICSE SEC 1695/1696
SECF SEC0   For Transmittal of Items Reported on the SECF Series SEC 1695/1696
SECF SEC1   For Transmittal of Items Reported on the SECF Series SEC 1695/1696
SECF SEC2   For Transmittal of Items Reported on the SECF Series SEC 1695/1696
SECF SEC3   For Transmittal of Items Reported on the SECF Series SEC 1695/1696
SECF SEC4   For Transmittal of Items Reported on the SECF Series SEC 1695/1696
SECF SEC5   For Transmittal of Items Reported on the SECF Series SEC 1695/1696
SECF SEC6   For Transmittal of Items Reported on the SECF Series SEC 1695/1696
SECF SEC7   For Transmittal of Items Reported on the SECF Series SEC 1695/1696
SECF SEC8   For Transmittal of Items Reported on the SECF Series SEC 1695/1696
SECF SEC9   For Transmittal of Items Reported on the SECF Series SEC 1695/1696
SECF SECA   For Transmittal of Items Reported on the SECF Series SEC 1695/1696
SECF SECN   For Transmittal of Items Reported on the SECF Series SEC 1695/1696
SHCA     Report of U.S. Ownership of Foreign Securities, including Selected Money Market Instruments SHL/SHLA & SHC/SHCA
SHCA SHCC   U.S. Ownership of Foreign Securities, Including Selected Money Market Instruments: Schedule 3 - Custodian Used Detail  
SHCA SHCD   U.S. ownership of Foreign Securities, Including Selected Money Market Instruments : Schedule 2 - Details of Securities  
SHLA     Foreign-Residents' Holdings of U.S. Securities, Including Selected Money Market Instruments(SHL(A)) SHL/SHLA & SHC/SHCA
SHLA SHLD   Foreign-Residents' Holdings of U.S. Securities, Including Selected Money Market Instruments(SHL(A)): Schedule 2 - Details of Securities  
SLHC     Consolidated Financial Data for Thrift Holding Companies FR 2320
SLHC SLCI   Confidential Indicator for Thrift Holding Company Data  
SLHC SLHP   Parent Company Only Financial Data for Thrift Holding Company FR 2320
SLHC SLHX   For Transmittal of Items Reported on the SLHC Series FR 2320
SMMR     Report of Selected Money Markets Rates - Daily Liability data for Fed Funds FR 2420
SNAX     Large Corporate Syndicated Credit Data Expanded Agent and Basic Reporter REPORT Identification  
SNAX SNAA   Large Corporate Syndicated Credit Data Expanded Agent and Basic Reporter AGENT Identification  
SNAX SNAC   Large Corporate Syndicated Credit Data Expanded Agent and Basic Reporter CREDIT Data  
SNAX SNAO   Large Corporate Syndicated Credit Data Expanded Agent and Basic Reporter OBLIGOR Data  
SNAX SNAP   Large Corporate Syndicated Credit Data Expanded Agent and Basic Reporter PARTICIPANT Data  
SNAX SNAR   Large Corporate Syndicated Credit Data Expanded Agent and Basic Reporter AGENT CREDIT RISK RATINGS  
SNBX     Large Corporate Bilateral Data Elements Report Identification  
SNBX SNBA   Large Corporate Bilateral Data Elements Agent Identification  
SNBX SNBC   Large Corporate Bilateral Data Elements Credit Data  
SNBX SNBO   Large Corporate Bilateral Data Elements Obligor Data  
SNBX SNBP   Large Corporate Bilateral Data Elements Participant Identification  
SNBX SNBR   Large Corporate Bilateral Data Elements Lender Risk Ratings  
SNPX     Large Corporate Syndicated Credit Data Elements Expanded Participant Report REPORT Identification  
SNPX SNPA   Large Corporate Syndicated Credit Data Elements Expanded Participant Report AGENT Identification  
SNPX SNPC   Large Corporate Syndicated Credit Data Elements Expanded Participant Report CREDIT Data  
SNPX SNPO   Large Corporate Syndicated Credit Data Elements Expanded Participant Report OBLIGOR Data  
SNPX SNPP   Large Corporate Syndicated Credit Data Elements Expanded Participant Report PARTICIPANT Identification  
SNPX SNPR   Large Corporate Syndicated Credit Data Elements Expanded Participant Report PARTICIPANT RISK RATINGS  
SPPR     Performance Ratios and Dollar Amounts  
SRRA     Survey of Retail Repurchase Agreements - Weekly FR 3017
SRRU     Survey of Retail Repurchase Agreements - Universe FR 3017
SSSA     Special Supplement to FR 2042 on Selected Sweep Arrangements FR 2042s
STRP     Report of Proceeds From Outstanding Sales To Nonexempt Entities of Short-Term Loans Made Under Long-Term Commitments FR 2916
STSD     Survey of Time and Savings Deposits FR 2296
STSD STDX   Date file prior to 1981 for STSD  
SUBS     Combined Call and Income File for Foreign Subsidiaries FR 2314/FR-2314S
FR 2314a/b/c
FR 314
SUBS SUBC   Call for the FR 2314 report (SUBS) FR 2314/FR-2314S
FR 2314a/b/c
FR 314
SUBS SUBC   SUBT For Transmittal of Items Reported on the SUBC/SUBI Subseries FR 2314/FR-2314S
SUBS SUBD   Call for the FR 314 report - Domestic (SUBS) FR 314
SUBS SUBF   Call for the FR 314 report - Foreign (SUBS) FR 314
SUBS SUBI   Income for the FR 2314 report (SUBS) FR 2314/FR-2314S
FR 2314a/b/c
FR 314
FR Y-7N/FR Y-7NS
SUIT     Surveillance Intercompany Transactions for the FR Y8 Table  
SUMC     Summary of Deposits Consolidated Total 94/06/30  
SUMS     Summary of Deposits Data from FDIC  
SUMS SUMD   Summary of Deposits FDIC 8020/05
FDIC 8020/46
FDIC 89
SUMS SUMF   Summary of Deposits - Branch Physical Location  
SUMS SUMH   Summary of Deposits - Head Office FDIC 8020/05
FDIC 8020/46
FDIC 89
SUMS SUMR   Summary of Deposits - Headquarters of Top Regulatory BHC  
SUMS SUMX   Summary of Deposits - Originally Reported Item  
SVGL     Quarterly Savings & Loans Report of Condition and Income FHLBB 1313
FHLBB 1313H
FHLBB 770
OTS 1313
SVGL SCMR   Consolidated Maturity Rate Listing for S & L's OTS 1313
SVGL SVCC   For Schedule CCR on the S & L report OTS 1313
SVGL SVCS   Consolidated Subsidiary Listing for S & L's OTS 1313
SVGL SVG1   Remaining Time Before Asset Matures or Can Be Repriced (Maturity/Repricing) 3 Months or Less FHLBB 1313
OTS 1313
SVGL SVG2   Remaining Time Before Asset Matures or Can Be Repriced (Maturity/Repricing) More Than 3 Months through 6 Months FHLBB 1313
OTS 1313
SVGL SVG3   Remaining Time Before Asset Matures or Can Be Repriced (Maturity/Repricing) More Than 6 Months through 1 Year FHLBB 1313
OTS 1313
SVGL SVG4   Remaining Time Before Asset Matures or Can Be Repriced (Maturity/Repricing) More Than 1 Year through 3 Years FHLBB 1313
OTS 1313
SVGL SVG5   Remaining Time Before Asset Matures or Can Be Repriced (Maturity/Repricing) More Than 3 Years through 5 Years FHLBB 1313
OTS 1313
SVGL SVG6   Remaining Time Before Asset Matures or Can Be Repriced (Maturity/Repricing) More Than 5 Year through 10 Years FHLBB 1313
OTS 1313
SVGL SVG7   Remaining Time Before Asset Matures or Can Be Repriced (Maturity/Repricing) More Than 10 Year through 20 Years FHLBB 1313
OTS 1313
SVGL SVG8   Remaining Time Before Asset Matures or Can Be Repriced (Maturity/Repricing) More Than 20 Years FHLBB 1313
OTS 1313
SVGL SVG9   Remaining Time Before Asset Matures or Can Be Repriced (Maturity/Repricing) Total Nonperforming Loans FHLBB 1313
OTS 1313
SVGL SVGC   Consolidated for S & L's OTS 1313
SVGL SVGN   Nonquarter month for Schedule SO on the S & L report OTS 1313
SVGL SVGS   Nonfinance subsidiaries for S & L's OTS 1313
SVGL SVHC   Consolidated Financial Data for Thrift Holding Companies OTS 1313
SVGL SVHC   SVC2 Second Occurrence of Consolidated Financial Data for Thrift Holding Companies OTS 1313
SVGL SVHC   SVC3 Third Occurrence of Consolidated Financial Data for Thrift Holding Companies OTS 1313
SVGL SVHC   SVC4 Fourth Occurrence of Consolidated Financial Data for Thrift Holding Companies OTS 1313
SVGL SVHP   Parent Company Only Financial Data for Thrift Holding Company OTS 1313
SVGL SVHP   SVP2 Second Occurrence of Parent Company Only Financial Data for Thrift Holding Company OTS 1313
SVGL SVHP   SVP3 Third Occurrence of Parent Company Only Financial Data for Thrift Holding Company OTS 1313
SVGL SVHP   SVP4 Fourth Occurrence of Parent Company Only Financial Data for Thrift Holding Company OTS 1313
SVGL SVTX   Textual information for SVGL series OTS 1313
SVGM     Monthly Savings & Loans Report of Condition and Income FHLBB 107
TCCP     Report on Terms of Credit Card Plans FR 2572
TCCP TCCA   Transmission for TCCP FR 2572
TCCP TCCB   Transmission for TCCP FR 2572
TCCP TCCC   Transmission for TCCP FR 2572
TCCP TCCD   Transmission for TCCP FR 2572
TCCP TCCE   Transmission for TCCP FR 2572
TCCP TCCF   Transmission for TCCP FR 2572
TCCP TCCG   Transmission for TCCP FR 2572
TCCP TCCH   Transmission for TCCP FR 2572
TCCP TCCI   Transmission for TCCP FR 2572
TCCP TCCJ   Transmission for TCCP FR 2572
TCCP TCCK   Transmission for TCCP FR 2572
TEDS     Transmission of Edited Deposits System FR 414a
TEXT     Textual information transmitted to the Board from the Reserve Banks (for CALL, FR Y-9C,Y-9LP, Y-9SP, Y-9ES and FR Y-20); FFIEC 002
FFIEC 031
FFIEC 032
FFIEC 033
FFIEC 034
FFIEC 041
FFIEC 051
FR 2314a/b/c
FR 2320
FR 2886b
FR Y-11/FR Y-11S
FR Y-11Q
FR Y-20
FR Y-8
FR Y-8F
FR Y-9C
FR Y-9ES
FR Y-9LP
FR Y-9SP
TEXT TE01   General Text Remarks FFIEC 031
FFIEC 041
FR Y-9C
FR Y-9ES
TEXT TE02   General Text Remark FFIEC 031
FFIEC 041
FR Y-9C
FR Y-9ES
TEXT TE03   General Text Remark FFIEC 031
FFIEC 041
FR Y-9C
FR Y-9ES
TEXT TE04   General Text Remark FFIEC 031
FFIEC 041
FR Y-9C
FR Y-9ES
TEXT TE05   General Text Remark FFIEC 031
FFIEC 041
FR Y-9C
FR Y-9ES
TEXT TE06   General Text Remark FFIEC 031
FFIEC 041
FR Y-9C
FR Y-9ES
TEXT TE07   General Text Remark FFIEC 031
FFIEC 041
FR Y-9C
FR Y-9ES
TEXT TE08   General Text Remark FFIEC 031
FFIEC 041
FR Y-9C
FR Y-9ES
TEXT TE09   General Text Remark FFIEC 031
FFIEC 041
FR Y-9C
FR Y-9ES
TEXT TE10   General Text Remark FFIEC 031
FFIEC 041
FR Y-9C
FR Y-9ES
TEXT TE11   General Text Remark FFIEC 031
FFIEC 041
FR Y-9C
FR Y-9ES
TEXT TE12   General Text Remark FFIEC 031
FFIEC 041
FR Y-9C
FR Y-9ES
TEXT TEXC   Text Codes FR Y-20
FR Y-9C
FR Y-9SP
TEXT TR01   General Text Remarks FR Y-9SP
TEXT TR02   General Text Remarks FR Y-9SP
TEXT TR03   General Text Remarks FR Y-9SP
TEXT TR04   General Text Remarks FR Y-9SP
TEXT TR05   General Text Remarks FR Y-9SP
TEXT TR06   General Text Remarks FR Y-9SP
TEXT TR07   General Text Remarks FR Y-9SP
TEXT TR08   General Text Remarks FR Y-9SP
TEXT TR09   General Text Remarks FR Y-9SP
TEXT TR10   General Text Remarks FR Y-9SP
TEXT TR11   General Text Remarks FR Y-9SP
TEXT TR12   General Text Remarks FR Y-9SP
TEXT TX01   General Text Remarks FR Y-8
FR Y-9LP
TEXT TX02   General Text Remarks FR Y-8
FR Y-9LP
TEXT TX03   General Text Remarks FR Y-8
FR Y-9LP
TEXT TX04   General Text Remarks FR Y-8
FR Y-9LP
TEXT TX05   General Text Remarks FR Y-8
FR Y-9LP
TEXT TX06   General Text Remarks FR Y-8
FR Y-9LP
TEXT TX07   General Text Remarks FR Y-9LP
TEXT TX08   General Text Remarks FR Y-9LP
TEXT TX09   General Text Remarks FR Y-9LP
TEXT TX10   General Text Remarks FR Y-9LP
TEXT TX11   General Text Remarks FR Y-9LP
TEXT TX12   General Text Remarks FR Y-9LP
THFD     Weekly Report of Financial Condition for Intervened Thrift Institutions THFD
TICX     Monthly Report of Treasury International Capital (TIC) TIC BC
TIC BL-1
TIC BL-2
TIC BQ-1
TIC BQ-2
TIC BQ-3
TIC CQ-1
TIC CQ-2
TIC D
TIC S
TIC SLT
TICX TICA   Aggregate Holdings of Long-term Securities by US and Foreign Residents, Part A (SLT) TIC SLT
TICX TICB   Aggregate Holdings of Long-term Securities by US and Foreign Residents, Part B (SLT) TIC SLT
TICX TICC   Report of Financial Liabilities To, And Financial Claims On, Unaffiliated Foreign Residents (CQ-1) TIC CQ-1
TICX TICD   Report of Holdings of, and Transactions in, Financial Derivatives Contracts with Foreign Residents, Part 1 (D) TIC D
TICX TICE   Report of Holdings of, and Transactions in, Financial Derivatives Contracts with Foreign Residents, Part 2 (D) TIC D
TICX TICF   Report of US Dollar Claims of Financial Institutions on Foreign Residents (BC) TIC BC
TICX TICG   Report of US Dollar Liabilities of Financial Institutions to Foreign-Residents (BL-1) TIC BL-1
TICX TICH   Report of Customers' US Dollar Liabilities to Foreign Residents (BL-2) TIC BL-2
TICX TICJ   Report of Customers' US Dollar Claims on Foreign Residents (BQ-1) TIC BQ-1
TICX TICK   Report of Foreign Currency Liabilities and Claims of Financial Institutions and of their Domestic Customers' Foreign Currency Claims with Foreign Residents, Part 1, and Report of Customers' Foreign Currency Liabilities to Foreign Residents, Part 2 (BQ-2) TIC BQ-2
TICX TICL   Report of Maturities of Selected Liabilities and Claims of Financial Institutions with Foreign Residents (BQ-3) TIC BQ-3
TICX TICM   Purchases and Sales of Long-Term Securities by Foreign Residents Memorandum (S) TIC S
TICX TICN   Report on Commercial Liabilities To, And Commercial Claims On, Unaffiliated Foreign-Residents (CQ-2) TIC CQ-2
TICX TICP   Report of US Dollar Claims of Financial Institutions on Foreign Residents, Total Economies (BQ-2) TIC BQ-2
TICX TICS   Purchases and Sales of Long-Term Securities by Foreign Residents (S) TIC S
TICX TSLT   AGGREGATE HOLDINGS, PURCHASES AND SALES, AND FAIR VALUE CHANGES OF LONG-TERM SECURITIES BY U.S. AND FOREIGN RESIDENTS TIC SLT
TRCK     Travelers Cheques  
TRST     Annual Report of Trust Assets FFIEC 001
TTLA     Treasury Tax and Loan Accounts (Macro)  
UBPR     Uniform Bank Performance Reports  
UBPR UBPA   Aggregate Data Values for UBPR  
UBPR UBPK   Financial Institution Rankings for UBPR  
UBPR UBPP   Peer Group Identification Values for UBPR  
UBPR UBPS   Peer Group Ratio Statistics for UBPR  
VVQM     Regulation VV: Quantitative Measures FR VV-1
VVQM VVQ1   Quantitative Measurements Daily Schedule - Internal Limits and Usage FR VV-1
VVQM VVQ2   Quantitative Measurements Daily Schedule - Value-at-Risk (VaR) FR VV-1
VVQM VVQ3   Quantitative Measurements Daily Schedule - Profit and Loss Attribution FR VV-1
VVQM VVQ4   Quantitative Measurements Daily Schedule - Positions FR VV-1
VVQM VVQ5   Quantitative Measurements Daily Schedule - Transaction Volumes FR VV-1
VVQM VVQT   Risk Information Schedule Identifiers FR VV-1
VVQM VVQX   Risk Factor Sensitivity/Attribution Cross-Reference Schedule FR VV-1
WABM     Weekly Report of Assets and Liabilities For Large U.S. Branches and Agencies of Foreign Banks (Macro), Relates to Micro series WALB FR 2069
WALB     Weekly Report of Assets and Liabilities For Large U.S. Branches and Agencies of Foreign Banks (Micro series) FR 2069
WCPO     Weekly Report of Commercial Paper Outstanding Placed By Brokers and Dealers FR 2957a/b
WFBR     Weekly Report of Foreign Branch Liabilities to, and Custody Holdings for, U.S. Residents FR 2077
WRAG     Macro File for the Weekly Report of Condition and Related Series (By District)  
WRBI     Weekly Report of Condition and Related Series FR 2078
FR 2416
WRBI WRBA   Commercial and Industrial Loans to U.S. Addressees By Industry FR 2416a
WRBI WRBB   Monthly Report on the Maturity Distribution of Negotiable Certificates of Deposit of $100,000 or More FR 2416b
WRBI WRBC   Report of Loans Sold to and Outstanding Commercial Paper Issued by Selected Institutions Related to Weekly Reporting Banks FR 2416c
FR 416c
WRBI WRBD   Weekly Survey of Posted Rates on Large Denomination Negotiable Time Certificates of Deposit FR 2416d
FR 416d
WRBI WRBK   Weekly Report of Assets and Liabilities for Large Banks FR 2416
WRIS     Weekly Report of Selected Assets FR 2644
FR 644
WRIS WRAS   Weekly Report of Selected Assets -historical FR 2644
FR 644
WRIS WRSS   Weekly Report of Selected Assets -current FR 2644
FR 2644s
WRJI     Adjusted Bank File for WRBI FR 2416
FR 2416a
WRJI WRJA   Adjustment Bank File for WRBA  
WRJI WRJK   Adjustment Bank File for WRBK  
WRJI WRJS   Adjustment Bank File for WRIS  
WRJM     Adjustment Bank File for the Weekly Report of Condition and Related Series (WRAG) FR 2416
WRPS     Weekly Report of Repurchase Agreements (RP's) on U.S. Government and Federal Agency Securities FR 2415t
XMTA     Transmission of prime rate for STBL series. Will be put on archival file as QTBL FR 2028a/s
XMTM     Monthly Survey of Selected Deposits and Other Accounts - Characteristics of Ceiling-Free Deposits FR 2042a
XMTT     Weekly Survey of Money Market Deposit Accounts (FR 2900s) slip sheet FR 2900s
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Last update: Apr 23, 2024