Data Dictionary
Item Number 2663
DEPOSITS OF OTHER COMMERCIAL BANKS IN THE U.S.Call confidentiality applies to FFIEC 031/041.
Series | Start Date | End Date | Confidential? | Reporting Forms |
---|---|---|---|---|
RCFD2663 | 1978-12-31 | 1983-12-31 | No | FFIEC 014 |
RCFN2663 | 1978-12-31 | 1983-12-31 | No | FFIEC 014 |
RCON2663 | 1978-12-31 | 1985-09-30 | No | FFIEC 014 |
Data Description:
Reported here are all deposits (demand, time, and savings) of other U.S.-domiciled offices of commercial banks. For the purposes of this item, banks includes national banks, state-chartered commercial banks, trust companies performing a commercial banking business, industrial banks, stock savings banks, private banks (including regulated certificated banks) performing a commercial banking business, and Edge Act and Agreement Corporations that are domiciled in the United States, Puerto Rico, or U.S. dependencies and possessions. Included here, then, are U.S. -chartered banks owned by foreign banks or by foreign official banking institutions (but not their U.S.-domiciled branches and agencies, which are included in "Deposits of U.S. Branches and Agencies of Foreign Banks (2661)").
For domestic offices, including domestic offices of the reporting bank's Edge Act and Agreement subsidiaries, reciprocal balances are reported on a net basis. Foreign offices report their reciprocal balances gross.
NOTE:
Reported only by banks with foreign offices.