Series analyzer for FU753120723.Q

Foreign banking offices in the U.S.; transaction deposits due to depository institutions in the U.S.; liability

Add to Clipboard

Data Source

Level from quarterly Report of Assets and Liabilities of U.S. Branches and Agencies of Foreign Banks (form FFIEC 002), schedule E - Deposit Liabilities and Credit Balances, sum of Total transaction accounts and credit balances (excluding IBF ) owed to Commercial banks in the U.S. (including their IBFs) (sum of series RCON1643 and RCON1645); and from the Consolidated Report of Condition and Income for Edge and Agreement Corporations (form FR 2886b), schedule RC-E - Deposit Liabilities, Transaction accounts (excluding IBFs) owed to Commercial banks and other depository institutions in the U.S. (excluding their IBFs) (series RCON2206). Transactions are calculated as the change in level. Data for the most recent ten years show no significant seasonality.

Last edited on: 10/05/2009
Derived from:
FOF CodeDescription
+ FA753120723.QForeign banking offices in the U.S.; transaction deposits due to depository institutions in the U.S.; liability
- FS753120723.QForeign banking offices in the U.S.; transaction deposits due to depository institutions in the U.S.; liability

Used in:
FOF CodeDescription
- FU753139105.QForeign banking offices in the U.S., including IBFs; uninsured checkable and time and savings deposits; liability
+ FU904010005.QInstrument discrepancies; net interbank transactions
+ FU754112205.QForeign banking offices in the U.S.; interbank transactions due to U.S. banks; liability
- FU753127005.QForeign banking offices in the U.S.; checkable deposits; liability