Data Dictionary

You Searched For: UBPR

MDRM Item Start Date End Date Item Name Confidential? Reporting Forms
UBPR0071 1984-03-31 9999-12-31 INTEREST-BEARING BALANCES No
UBPR0073 2001-03-31 9999-12-31 BALANCES DUE FROM FOREIGN BRANCHES OF OTHER U.S. BANKS No
UBPR0074 2001-03-31 9999-12-31 BALANCES DUE FROM OTHER BANKS IN FOREIGN COUNTRIES AND FOREIGN CENTRAL BANKS No
UBPR0081 1984-03-31 9999-12-31 NONINTEREST-BEARING BALANCES AND CURRENCY AND COIN No
UBPR0083 2001-03-31 9999-12-31 BALANCES DUE FROM U.S. BRANCHES AND AGENCIES OF FOREIGN BANKS (INCLUDING THEIR IBFS') No
UBPR0085 2001-03-31 9999-12-31 BALANCES DUE FROM OTHER DEPOSITORY INSTITUTIONS IN THE U.S. (INCLUDING THEIR IBFS') No
UBPR0090 2001-03-31 9999-12-31 BALANCES DUE FROM FEDERAL RESERVE BANKS No
UBPR0211 1994-03-31 9999-12-31 AMORTIZED COST OF HELD-TO-MATURITY U.S. TREASURY SECURITIES No
UBPR0416 1984-03-31 9999-12-31 PLEDGED SECURITIES No
UBPR0426 2001-03-31 9999-12-31 OTHER IDENTIFIABLE INTANGIBLE ASSETS No
UBPR1227 1987-03-31 9999-12-31 LEASE FINANCING RECEIVABLES - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR1228 1987-03-31 9999-12-31 LEASE FINANCING RECEIVABLES - NONACCRUAL No
UBPR1255 1987-03-31 9999-12-31 COMMERCIAL AND INDUSTRIAL LOANS TO NON-U.S. ADDRESSEES (DOMICILE) - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR1256 1987-03-31 9999-12-31 COMMERCIAL AND INDUSTRIAL LOANS TO NON-U.S. ADDRESSEES (DOMICILE) - NONACCRUAL No
UBPR1271 1987-03-31 9999-12-31 LEASE FINANCING RECEIVABLES OF NON-U.S. ADDRESSEES (DOMICILE) - PAST DUE 30-89 DAYS AND STILL ACCRUING No
UBPR1272 1987-03-31 9999-12-31 LEASE FINANCING RECEIVABLES OF NON-U.S. ADDRESSEES (DOMICILE) - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR1286 1994-03-31 9999-12-31 AMORTIZED COST OF AVAILABLE-FOR-SALE U.S. TREASURY SECURITIES No
UBPR1287 1994-03-31 9999-12-31 FAIR VALUE OF AVAILABLE-FOR-SALE U.S. TREASURY SECURITIES No
UBPR1289 1994-03-31 9999-12-31 AMORTIZED COST OF HELD-TO-MATURITY U.S. GOVERNMENT AGENCY AND CORPORATION OBLIGATIONS ISSUED BY U.S. GOVERNMENT AGENCIES (EXCLUDING MORTGAGE-BACKED SECURITIES) No
UBPR1291 1994-03-31 9999-12-31 AMORTIZED COST OF AVAILABLE-FOR-SALE U.S. GOVERNMENT AGENCY AND CORPORATION OBLIGATIONS ISSUED BY U.S. GOVERNMENT AGENCIES (EXCLUDING MORTGAGE-BACKED SECURITIES) No
UBPR1293 1994-03-31 9999-12-31 FAIR VALUE OF AVAILABLE-FOR-SALE U.S. GOVERNMENT AGENCY AND CORPORATION OBLIGATIONS ISSUED BY U.S. GOVERNMENT AGENCIES (EXCLUDING MORTGAGE-BACKED SECURITIES) No
UBPR1294 1994-03-31 9999-12-31 AMORTIZED COST OF HELD-TO-MATURITY U.S. GOVERNMENT AGENCY AND CORPORATION OBLIGATIONS ISSUED BY U.S. GOVERNMENT- SPONSORED AGENCIES (EXCLUDING MORTGAGE-BACKED SECURITIES) No
UBPR1297 1994-03-31 9999-12-31 AMORTIZED COST OF AVAILABLE-FOR-SALE U.S. GOVERNMENT AGENCY AND CORPORATION OBLIGATIONS ISSUED BY U.S. GOVERNMENT- SPONSORED AGENCIES (EXCLUDING MORTGAGE-BACKED SECURITIES) No
UBPR1298 1994-03-31 9999-12-31 FAIR VALUE OF AVAILABLE-FOR-SALE U.S. GOVERNMENT AGENCY AND CORPORATION OBLIGATIONS ISSUED BY U.S. GOVERNMENT- SPONSORED AGENCIES (EXCLUDING MORTGAGE-BACKED SECURITIES) No
UBPR1350 1984-03-31 9999-12-31 FEDERAL FUNDS SOLD AND SECURITIES PURCHASED UNDER AGREEMENTS TO RESELL IN DOMESTIC OFFICES OF THE BANK AND OF ITS EDGE AND AGREEMENT SUBSIDIARIES, AND IN IBFS No
UBPR1395 1998-03-31 2013-03-31 TIER 3 CAPITAL ALLOCATED FOR MARKET RISK No
UBPR1400 2001-03-31 9999-12-31 TOTAL LOANS AND LEASES, GROSS No
UBPR1410 2001-03-31 9999-12-31 LOANS SECURED BY REAL ESTATE No
UBPR1415 1984-03-31 2007-12-31 CONSTRUCTION AND LAND DEVELOPMENT LOANS No
UBPR1480 1984-03-31 9999-12-31 REAL ESTATE LOANS SECURED BY NONFARM NONRESIDENTIAL PROPERTIES No
UBPR1545 1984-03-31 9999-12-31 LOANS FOR PURCHASING OR CARRYING SECURITIES No
UBPR1563 1984-03-31 9999-12-31 OTHER LOANS No
UBPR1564 1984-03-31 9999-12-31 ALL OTHER LOANS No
UBPR1583 1984-03-31 9999-12-31 LOANS TO FINANCE AGRICULTURAL PRODUCTION AND OTHER LOANS TO FARMERS - NONACCRUAL No
UBPR1590 1984-03-31 9999-12-31 LOANS TO FINANCE AGRICULTURAL PRODUCTION AND OTHER LOANS TO FARMERS No
UBPR1594 2001-03-31 9999-12-31 LOANS TO FINANCE AGRICULTURAL PRODUCTION AND OTHER LOANS TO FARMERS - PAST DUE 30-89 DAYS AND STILL ACCRUING No
UBPR1597 1984-03-31 9999-12-31 LOANS TO FINANCE AGRICULTURAL PRODUCTION AND OTHER LOANS TO FARMERS - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR1607 1984-03-31 9999-12-31 COMMERCIAL AND INDUSTRIAL LOANS - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR1608 1984-03-31 9999-12-31 COMMERCIAL AND INDUSTRIAL LOANS - NONACCRUAL No
UBPR1616 1986-06-30 9999-12-31 LOANS AND LEASES RESTRUCTURED AND IN COMPLIANCE WITH MODIFIED TERMS No
UBPR1651 1998-03-31 9999-12-31 AMOUNTS USED IN CALCULATING REGULATORY CAPITAL RATIOS MARKET RISK EQUIVALENT ASSETS No
UBPR1658 2001-03-31 9999-12-31 RESTRUCTURED LOANS AND LEASES OTHER LOANS AND ALL LEASES - PAST DUE 30-89 DAYS AND STILL ACCRUING No
UBPR1659 1986-06-30 9999-12-31 RESTRUCTURED LOANS AND LEASES OTHER LOANS AND LEASES - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR1661 2001-03-31 9999-12-31 RESTRUCTURED LOANS AND LEASES OTHER LOANS AND ALL LEASES - NONACCRUAL No
UBPR1698 1994-03-31 9999-12-31 AMORTIZED COST OF HELD-TO-MATURITY MORTGAGE PASS-THROUGH SECURITIES GUARANTEED BY GNMA No
UBPR1701 1994-03-31 9999-12-31 AMORTIZED COST OF AVAILABLE-FOR-SALE MORTGAGE PASS-THROUGH SECURITIES GUARANTEED BY GNMA No
UBPR1702 1994-03-31 9999-12-31 FAIR VALUE OF AVAILABLE-FOR-SALE MORTGAGE PASS-THROUGH SECURITIES GUARANTEED BY GNMA No
UBPR1703 1994-03-31 9999-12-31 AMORTIZED COST OF HELD-TO-MATURITY MORTGAGE PASS-THROUGH SECURITIES ISSUED BY FNMA AND FHLMC No
UBPR1706 1994-03-31 9999-12-31 AMORTIZED COST OF AVAILABLE-FOR-SALE MORTGAGE PASS-THROUGH SECURITIES ISSUED BY FNMA AND FHLMC No
UBPR1707 1994-03-31 9999-12-31 FAIR VALUE OF AVAILABLE-FOR-SALE MORTGAGE PASS-THROUGH SECURITIES ISSUED BY FNMA AND FHLMC No
UBPR1709 1994-03-31 9999-12-31 AMORTIZED COST OF OTHER HELD-TO-MATURITY PASS-THROUGH SECURITIES No
UBPR1711 1994-03-31 9999-12-31 AMORTIZED COST OF OTHER AVAILABLE-FOR-SALE PASS-THROUGH SECURITIES No
UBPR1713 1994-03-31 9999-12-31 FAIR VALUE OF OTHER AVAILABLE-FOR-SALE PASS-THROUGH SECURITIES No
UBPR1714 1994-03-31 9999-12-31 AMORTIZED COST OF OTHER HELD-TO-MATURITY MORTGAGE-BACKED SECURITIES (INCLUDE CMOS, REMICS, AND STRIPPED MBS) ISSUED OR GUARANTEED BY FNMA, FHLMC, OR GNMA No
UBPR1716 1994-03-31 9999-12-31 AMORTIZED COST OF OTHER AVAILABLE-FOR-SALE MORTGAGE-BACKED SECURITIES (INCLUDE CMOS, REMICS, AND STRIPPED MBS) ISSUED OR GUARANTEED BY FNMA, FHLMC, OR GNMA No
UBPR1717 1994-03-31 9999-12-31 FAIR VALUE OF OTHER AVAILABLE-FOR-SALE MORTGAGE-BACKED SECURITIES (INCLUDE CMOS, REMICS, AND STRIPPED MBS) ISSUED OR GUARANTEED BY FNMA, FHLMC, OR GNMA No
UBPR1718 1994-03-31 9999-12-31 AMORTIZED COST OF OTHER HELD-TO-MATURITY MORTGAGE-BACKED SECURITIES (INCLUDE CMOS, REMICS AND STRIPPED MBS) COLLATERALIZED BY MBS ISSUED OR GUARANTEED BY FNMA, FHLMC, OR GNMA No
UBPR1731 1994-03-31 9999-12-31 AMORTIZED COST OF OTHER AVAILABLE-FOR-SALE MORTGAGE-BACKED SECURITIES (INCLUDE CMOS, REMICS AND STRIPPED MBS) COLLATERALIZED BY MBS ISSUED OR GUARANTEED BY FNMA, FHLMC, OR GNMA No
UBPR1732 1994-03-31 9999-12-31 FAIR VALUE OF OTHER AVAILABLE-FOR-SALE MORTGAGE-BACKED SECURITIES (INCLUDE CMOS, REMICS AND STRIPPED MBS) COLLATERALIZED BY MBS ISSUED OR GUARANTEED BY FNMA, FHLMC, OR GNMA No
UBPR1733 1994-03-31 9999-12-31 AMORTIZED COST OF ALL OTHER HELD-TO-MATURITY MORTGAGE-BACKED SECURITIES (INCLUDE CMOS, REMICS, AND STRIPPED MBS) No
UBPR1736 1994-03-31 9999-12-31 FAIR VALUE OF ALL OTHER AVAILABLE-FOR-SALE MORTGAGE BACKED SECURITIES (MBA) (INCLUDE CMOS, REMICS, AND STRIPPED MBS) No
UBPR1737 1994-03-31 9999-12-31 AMORTIZED COST OF OTHER HELD-TO-MATURITY DOMESTIC DEBT SECURITIES No
UBPR1741 1994-03-31 9999-12-31 FAIR VALUE OF OTHER AVAILABLE-FOR-SALE DOMESTIC DEBT SECURITIES No
UBPR1742 1994-03-31 9999-12-31 AMORTIZED COST OF HELD-TO-MATURITY OTHER FOREIGN DEBT SECURITIES No
UBPR1746 1994-03-31 9999-12-31 FAIR VALUE OF AVAILABLE-FOR-SALE OTHER FOREIGN DEBT SECURITIES No
UBPR1752 1994-03-31 9999-12-31 HISTORICAL COST OF ALL OTHER AVAILABLE-FOR-SALE EQUITY SECURITIES No
UBPR1754 1994-03-31 9999-12-31 HELD-TO-MATURITY SECURITIES, TOTAL No
UBPR1763 1984-03-31 9999-12-31 COMMERCIAL AND INDUSTRIAL LOANS TO U.S. ADDRESSEES No
UBPR1764 1984-03-31 9999-12-31 COMMERCIAL AND INDUSTRIAL LOANS TO NON-U.S. ADDRESSEES No
UBPR1766 1984-03-31 9999-12-31 COMMERCIAL AND INDUSTRIAL LOANS No
UBPR1771 1994-03-31 9999-12-31 TOTAL FAIR VALUE OF HELD-TO-MATURITY SECURITIES No
UBPR1772 1994-03-31 9999-12-31 TOTAL AMORTIZED COST OF AVAILABLE-FOR-SALE SECURITIES No
UBPR1773 1994-03-31 9999-12-31 Available-for-sale debt securities (from Schedule RC-B, column D) No
UBPR1791 1987-03-31 9999-12-31 LEASING FINANCING RECEIVABLES OF NON-U.S. ADDRESSEES (DOMICILE) - NONACCRUAL No
UBPR1795 2001-03-31 9999-12-31 NET LOAN AND LEASE LOSSES (CHARGE-OFFS LESS RECOVERIES) No
UBPR2011 1984-03-31 9999-12-31 OTHER LOANS No
UBPR2081 1984-03-31 9999-12-31 LOANS TO FOREIGN GOVERNMENTS AND OFFICIAL INSTITUTIONS No
UBPR2107 1984-03-31 9999-12-31 OBLIGATIONS (OTHER THAN SECURITIES AND LEASES) OF STATES AND POLITICAL SUBDIVISIONS IN THE U.S. No
UBPR2122 1984-03-31 9999-12-31 TOTAL LOANS AND LEASES, NET OF UNEARNED INCOME No
UBPR2123 1984-03-31 9999-12-31 UNEARNED INCOME ON LOANS No
UBPR2130 1984-03-31 9999-12-31 INVESTMENTS AND UNCONSOLIDATED SUBSIDIARIES AND ASSOCIATED COMPANIES No
UBPR2143 2001-03-31 9999-12-31 INTANGIBLE ASSETS No
UBPR2145 1984-03-31 9999-12-31 PREMISES AND FIXED ASSETS (INCLUDING RIGHT OF USE ASSETS) No
UBPR2148 1984-03-31 9999-12-31 NET DEFERRED TAX ASSETS No
UBPR2150 1991-03-31 9999-12-31 OTHER REAL ESTATE OWNED No
UBPR2155 1984-03-31 9999-12-31 CUSTOMERS' LIABILITY TO THIS BANK ON ACCEPTANCES OUTSTANDING No
UBPR2160 1984-03-31 9999-12-31 OTHER ASSETS No
UBPR2165 1984-03-31 9999-12-31 LEASE FINANCING RECEIVABLES (NET OF UNEARNED INCOME) No
UBPR2170 2001-03-31 9999-12-31 TOTAL ASSETS No
UBPR2182 1984-03-31 9999-12-31 LEASE FINANCING RECEIVABLES (NET OF UNEARNED INCOME) OF U.S. ADDRESSEES (DOMICILE) No
UBPR2183 1984-03-31 9999-12-31 LEASE FINANCING RECEIVABLES (NET OF UNEARNED INCOME) OF NON-U.S. ADDRESSEES (DOMICILE) No
UBPR2200 1984-03-31 9999-12-31 TOTAL DEPOSITS No
UBPR2221 1984-12-31 9999-12-31 UNREALIZED GAINS ON AVAILABLE-FOR-SALE EQUITY SECURITIES No
UBPR2365 1984-03-31 9999-12-31 TOTAL BROKERED DEPOSITS No
UBPR2366 2001-03-31 9999-12-31 TOTAL BROKERED RETAIL DEPOSITS No
UBPR2385 2001-03-31 9999-12-31 TOTAL NONTRANSACTION ACCOUNTS (INCLUDING MMDA'S) No
UBPR2604 2001-03-31 9999-12-31 TOTAL TIME DEPOSITS OF $100,000 OR MORE (SEE NOTE BELOW) No
UBPR2651 2001-03-31 9999-12-31 FHLB ADVANCES (LOANS) DUE IN ONE YEAR OR LESS No
UBPR2742 1991-03-31 9999-12-31 SECURITIZED LOANS - CREDIT CARDS AND RELATED PLANS No
UBPR2746 1991-03-31 9999-12-31 LOANS TO FINANCE COMMERCIAL REAL ESTATE, CONSTRUCTION, AND LAND DEVELOPMENT ACTIVITIES INCLUDED IN ITEMS 1766, 1563 FOR (FR Y-9C), IN ITEMS 1766, 1563 FOR (FFIEC 031), IN ITEMS 1766, 1564 FOR (FFIEC 032 AND 033), AND IN ITEMS 1766, 2080 FOR (FFIEC 034) No
UBPR2759 2001-03-31 9999-12-31 LOANS SECURED BY REAL ESTATE (IN DOMESTIC OFFICES): CONSTRUCTION AND LAND DEVELOPMENT, AND OTHER LAND LOANS - PAST DUE 30 THROUGH 89 DAYS AND STILL ACCRUING No
UBPR2769 1991-03-31 9999-12-31 LOANS SECURED BY REAL ESTATE (IN DOMESTIC OFFICES): CONSTRUCTION AND LAND DEVELOPMENT, AND OTHER LAND LOANS - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR2800 2001-03-31 9999-12-31 FEDERAL FUNDS PURCHASED AND SECURITIES SOLD UNDER AGREEMENTS TO REPURCHASE No
UBPR2920 1984-03-31 9999-12-31 BANK'S LIABILITY ON ACCEPTANCES EXECUTED AND OUTSTANDING No
UBPR2930 1984-03-31 9999-12-31 OTHER LIABILITIES, TOTAL No
UBPR2948 1984-03-31 9999-12-31 TOTAL LIABILITIES AND MINORITY INTEREST No
UBPR3000 1984-03-31 9999-12-31 MINORITY INTEREST IN CONSOLIDATED SUBSIDIARIES AND SIMILAR ITEMS No
UBPR3123 1984-03-31 9999-12-31 ALLOWANCE FOR CREDIT LOSSES ON LOAN AND LEASE No
UBPR3128 2001-03-31 9999-12-31 ALLOCATED TRANSFER RISK RESERVES No
UBPR3163 1985-06-30 9999-12-31 GOODWILL No
UBPR3164 1985-06-30 9999-12-31 MORTGAGE SERVICING ASSETS No
UBPR3190 2001-03-31 9999-12-31 OTHER BORROWED MONEY No
UBPR3200 1984-03-31 9999-12-31 SUBORDINATED NOTES AND DEBENTURES No
UBPR3210 2001-03-31 9999-12-31 TOTAL EQUITY CAPITAL No
UBPR3217 2001-03-31 9999-12-31 EQUITY CAPITAL, MOST RECENTLY REPORTED FOR THE END OF PREVIOUS CALENDAR YEAR (I.E., AFTER ADJUSTMENTS FROM AMENDED REPORTS OF INCOME) No
UBPR3230 1984-03-31 9999-12-31 COMMON STOCK No
UBPR3300 2001-03-31 9999-12-31 TOTAL LIABILITIES, LIMITED-LIFE PREFERRED STOCK, AND EQUITY CAPITAL No
UBPR3353 1984-03-31 9999-12-31 QUARTERLY AVERAGE OF FEDERAL FUNDS PURCHASED AND SECURITIES SOLD UNDER AGREEMENTS TO REPURCHASE No
UBPR3355 1984-03-31 9999-12-31 QUARTERLY AVERAGE OF OTHER BORROWED MONEY No
UBPR3360 1984-03-31 9999-12-31 QUARTERLY AVERAGE OF TOTAL LOANS No
UBPR3365 1984-03-31 9999-12-31 QUARTERLY AVERAGE OF FEDERAL FUNDS SOLD AND SECURITIES PURCHASED UNDER AGREEMENTS TO RESELL No
UBPR3368 2001-03-31 9999-12-31 QUARTERLY AVERAGE OF TOTAL ASSETS No
UBPR3381 1984-03-31 9999-12-31 QUARTERLY AVERAGE OF INTEREST-BEARING BALANCES DUE FROM DEPOSITORY INSTITUTIONS No
UBPR3385 1984-03-31 9999-12-31 QUARTERLY AVERAGE OF LOANS SECURED BY REAL ESTATE No
UBPR3401 1984-03-31 9999-12-31 QUARTERLY AVERAGE OF ASSETS HELD IN TRADING ACCOUNTS No
UBPR3411 2001-03-31 9999-12-31 COMMERCIAL AND SIMILAR LETTERS OF CREDIT No
UBPR3428 1984-03-31 9999-12-31 PARTICIPATIONS IN ACCEPTANCES CONVEYED TO OTHERS BY THE REPORTING BANK, BRANCH OR AGENCY OR BANK HOLDING COMPANY No
UBPR3429 1984-03-31 9999-12-31 PARTICIPATIONS IN ACCEPTANCES ACQUIRED BY THE REPORTING (NONACCEPTING) BANK, BRANCH OR AGENCY OR BANK HOLDING COMPANY No
UBPR3430 1984-03-31 9999-12-31 ALL OTHER OFF-BALANCE SHEET LIABILITIES No
UBPR3433 1984-03-31 9999-12-31 SECURITIES LENT No
UBPR3450 1985-06-30 9999-12-31 INTEREST RATE CONTRACTS - NOTIONAL VALUE OF ALL OUTSTANDING INTEREST RATE SWAPS No
UBPR3465 2008-03-31 9999-12-31 QUARTERLY AVERAGE OF LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES No
UBPR3484 1987-03-31 9999-12-31 LEASE FINANCING RECEIVABLES (NET OF UNEARNED INCOME) - QUARTERLY AVERAGE No
UBPR3492 1991-03-31 9999-12-31 LOANS SECURED BY REAL ESTATE (IN DOMESTIC OFFICES): CONSTRUCTION AND LAND DEVELOPMENT, AND OTHER LAND LOANS - NONACCRUAL No
UBPR3494 1991-03-31 9999-12-31 LOANS SECURED BY REAL ESTATE (IN DOMESTIC OFFICES): SECURED BY FARMLAND - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR3495 1991-03-31 9999-12-31 LOANS SECURED BY REAL ESTATE (IN DOMESTIC OFFICES): SECURED BY FARMLAND - NONACCRUAL No
UBPR3500 1991-03-31 9999-12-31 LOANS SECURED BY REAL ESTATE (IN DOMESTIC OFFICES): SECURED BY MULTIFAMILY (5 OR MORE) RESIDENTIAL PROPERTIES - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR3501 1991-03-31 9999-12-31 LOANS SECURED BY REAL ESTATE (IN DOMESTIC OFFICES): SECURED BY MULTIFAMILY (5 OR MORE) RESIDENTIAL PROPERTIES - NONACCRUAL No
UBPR3502 1991-03-31 9999-12-31 LOANS SECURED BY REAL ESTATE (IN DOMESTIC OFFICES): SECURED BY NONFARM NONRESIDENTIAL PROPERTIES - PAST DUE 30 THROUGH 89 DAYS AND STILL ACCRUING No
UBPR3503 1991-03-31 9999-12-31 LOANS SECURED BY REAL ESTATE (IN DOMESTIC OFFICES): SECURED BY NONFARM NONRESIDENTIAL PROPERTIES - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR3504 1991-03-31 9999-12-31 LOANS SECURED BY REAL ESTATE (IN DOMESTIC OFFICES): SECURED BY NONFARM NONRESIDENTIAL PROPERTIES - NONACCRUAL No
UBPR3506 1991-03-31 9999-12-31 DEBT SECURITIES AND OTHER ASSETS - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR3507 1991-03-31 9999-12-31 DEBT SECURITIES AND OTHER ASSETS - NONACCRUAL No
UBPR3530 1994-03-31 9999-12-31 INTEREST RATE, FOREIGN EXCHANGE RATE, AND OTHER COMMODITY AND EQUITY CONTRACTS: FAIR VALUE OF AMOUNTS CARRIED AS ASSETS - PAST DUE 90 DAYS OR MORE No
UBPR3545 1994-03-31 9999-12-31 TRADING ASSETS, TOTAL No
UBPR3548 1994-03-31 9999-12-31 TRADING LIABILITIES, TOTAL No
UBPR3632 1984-12-31 9999-12-31 UNDIVIDED PROFITS AND CAPITAL RESERVES No
UBPR3792 1990-03-31 9999-12-31 TOTAL QUALIFYING CAPITAL ALLOWABLE UNDER THE RISK-BASED CAPITAL GUIDELINES No
UBPR3809 1990-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF INTEREST RATE CONTRACTS WITH A REMAINING MATURITY OF ONE YEAR OR LESS No
UBPR3812 1990-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF FOREIGN EXCHANGE CONTRACTS WITH A REMAINING MATURITY OF ONE YEAR OR LESS No
UBPR3814 1990-03-31 9999-12-31 UNUSED COMMITMENTS - REVOLVING, OPEN-END LINES SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES No
UBPR3815 1990-03-31 9999-12-31 UNUSED COMMITMENTS - CREDIT CARD LINES No
UBPR3816 1990-03-31 9999-12-31 COMMERCIAL REAL ESTATE, CONSTRUCTION, AND LAND DEVELOPMENT: COMMITMENTS TO FUND LOANS SECURED BY REAL ESTATE No
UBPR3817 1990-03-31 9999-12-31 UNUSED COMMITMENTS - SECURITIES UNDERWRITING No
UBPR3818 1991-03-31 9999-12-31 UNUSED COMMITMENTS - OTHER No
UBPR3819 2001-03-31 9999-12-31 FINANCIAL STANDBY LETTERS OF CREDIT AND FOREIGN OFFICE GUARANTEES No
UBPR3820 1990-03-31 9999-12-31 AMOUNT OF FINANCIAL STANDBY LETTERS OF CREDIT CONVEYED TO OTHERS No
UBPR3821 2001-03-31 9999-12-31 PERFORMANCE STANDBY LETTERS OF CREDIT No
UBPR3822 1990-03-31 9999-12-31 AMOUNT OF PERFORMANCE STANDBY LETTERS OF CREDIT CONVEYED TO OTHERS No
UBPR3826 1990-03-31 9999-12-31 FOREIGN EXCHANGE SWAPS No
UBPR3833 1990-03-31 9999-12-31 UNUSED COMMITMENTS WITH AN ORIGINAL MATURITY EXCEEDING ONE YEAR No
UBPR3838 1984-12-31 9999-12-31 PERPETUAL PREFERRED STOCK AND RELATED SURPLUS No
UBPR3839 1984-12-31 9999-12-31 SURPLUS No
UBPR4010 2001-03-31 9999-12-31 INTEREST AND FEE INCOME ON LOANS, TOTAL No
UBPR4074 2001-03-31 9999-12-31 NET INTEREST INCOME No
UBPR4092 2001-03-31 9999-12-31 OTHER NONINTEREST EXPENSE No
UBPR4107 2001-03-31 9999-12-31 TOTAL INTEREST INCOME No
UBPR4336 1999-03-31 9999-12-31 ACCUMULATED NET GAINS (LOSSES) ON CASH FLOW HEDGES No
UBPR4340 2001-03-31 9999-12-31 NET INCOME (LOSS) No
UBPR4341 2001-03-31 9999-12-31 NET INCOME ATTRIBUTABLE TO INTERNATIONAL BUSINESS No
UBPR4635 2001-03-31 9999-12-31 CHARGE-OFFS ON ALLOWANCE FOR LOAN AND LEASE LOSSES No
UBPR4665 2001-03-31 9999-12-31 RECOVERIES ON LOANS TO FINANCE AGRICULTURAL PRODUCTION AND OTHER LOANS TO FARMERS No
UBPR5306 1984-12-31 9999-12-31 QUALIFYING SUBORDINATED DEBT AND REDEEMABLE PREFERRED STOCK No
UBPR5310 2001-03-31 9999-12-31 ADJUSTED ALLOWANCES FOR CREDIT LOSSES IN TIER2 CAPITAL No
UBPR5311 2014-03-31 9999-12-31 TIER 2 (SUPPLEMENTARY) CAPITAL No
UBPR5320 1984-12-31 9999-12-31 TOTAL ASSETS (0% RISK-WEIGHT) No
UBPR5327 2001-03-31 9999-12-31 TOTAL ASSETS (20% RISK-WEIGHT) No
UBPR5334 2001-03-31 9999-12-31 TOTAL ASSETS (50% RISK-WEIGHT) No
UBPR5340 2001-03-31 9999-12-31 TOTAL ASSETS (100% RISK-WEIGHT) No
UBPR5369 2001-03-31 9999-12-31 LOANS AND LEASES HELD FOR SALE No
UBPR5372 1991-03-31 9999-12-31 OTHER REAL ESTATE OWNED: DIRECT AND INDIRECT INVESTMENTS IN REAL ESTATE VENTURES No
UBPR5374 1991-03-31 9999-12-31 INVESTMENTS IN UNCONSOLIDATED SUBSIDIARIES AND ASSOCIATED COMPANIES: DIRECT AND INDIRECT INVESTMENTS IN REAL ESTATE VENTURES No
UBPR5380 1991-03-31 9999-12-31 LOANS TO DEPOSITORY INSTITUTIONS AND ACCEPTANCES OF OTHER BANKS: TO FOREIGN BANKS - PAST DUE 30 THROUGH 89 DAYS AND STILL ACCRUING No
UBPR5381 1991-03-31 9999-12-31 LOANS TO DEPOSITORY INSTITUTIONS AND ACCEPTANCES OF OTHER BANKS: TO FOREIGN BANKS - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR5382 1991-03-31 9999-12-31 LOANS TO DEPOSITORY INSTITUTIONS AND ACCEPTANCES OF OTHER BANKS: TO FOREIGN BANKS - NONACCRUAL No
UBPR5389 1991-03-31 9999-12-31 LOANS TO FOREIGN GOVERNMENTS AND OFFICIAL INSTITUTIONS - PAST DUE 30 THROUGH 89 DAYS AND STILL ACCRUING No
UBPR5390 1991-03-31 9999-12-31 LOANS TO FOREIGN GOVERNMENTS AND OFFICIAL INSTITUTIONS - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR5391 1991-03-31 9999-12-31 LOANS TO FOREIGN GOVERNMENTS AND OFFICIAL INSTITUTIONS - NONACCRUAL No
UBPR5399 1991-03-31 9999-12-31 LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES: REVOLVING, OPEN-END LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES AND EXTENDED UNDER LINES OF CREDIT - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR5400 1991-03-31 9999-12-31 LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES: REVOLVING, OPEN-END LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES AND EXTENDED UNDER LINES OF CREDIT - NONACCRUAL No
UBPR5401 2001-03-31 9999-12-31 LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES: ALL OTHER - PAST DUE 30 THROUGH 89 DAYS AND STILL ACCRUING No
UBPR5403 1991-03-31 9999-12-31 LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES: ALL OTHER - NONACCRUAL No
UBPR5459 2001-03-31 9999-12-31 ALL OTHER LOANS - PAST DUE 30 THROUGH 89 DAYS AND STILL ACCRUING No
UBPR5460 2001-03-31 9999-12-31 ALL OTHER LOANS - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR5461 2001-03-31 9999-12-31 ALL OTHER LOANS - NONACCRUAL No
UBPR5507 1992-03-31 9999-12-31 INTANGIBLE ASSETS: ALL OTHER IDENTIFIABLE INTANGIBLE ASSETS No
UBPR5610 2001-03-31 9999-12-31 DEFERRED TAX ASSETS DISALLOWED FOR REGULATORY CAPITAL PURPOSES No
UBPR5615 2001-03-31 9999-12-31 GUARANTEED PORTION OF LOANS AND LEASES INCLUDED IN ITEM 5612 - PAST DUE 30 THROUGH 89 DAYS AND STILL ACCRUING No
UBPR5616 2001-03-31 9999-12-31 GUARANTEED PORTION OF LOANS AND LEASES INCLUDED IN ITEM 5613 - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR5617 2001-03-31 9999-12-31 GUARANTEED PORTION OF LOANS AND LEASES INCLUDED IN ITEM 5614 - NONACCRUAL No
UBPR6164 1984-03-31 9999-12-31 AGGREGATE AMOUNT OF ALL EXTENSIONS OF CREDIT TO ALL EXECUTIVE OFFICERS, DIRECTORS, PRINCIPAL SHAREHOLDERS, AND THEIR RELATED INTERESTS No
UBPR6165 2001-03-31 9999-12-31 NUMBER OF EXECUTIVE OFFICERS, DIRECTORS, AND PRINCIPAL SHAREHOLDERS TO WHOM THE AMOUNT OF ALL EXTENSIONS OF CREDIT BY THE REPORTING BANK (INCLUDING EXTENSIONS OF CREDIT TO RELATED INTERESTS) EQUALS OR EXCEEDS THE LESSER OF $500,000 OR 5 PERCENT OF TOTAL CAPITAL AS DEFINED FOR THIS PURPOSE IN AGENCY REGULATIONS No
UBPR6550 1991-03-31 9999-12-31 COMMERCIAL REAL ESTATE, CONSTRUCTION, AND LAND DEVELOPMENT: COMMITMENTS TO FUND LOANS NOT SECURED BY REAL ESTATE No
UBPR6558 1991-03-31 9999-12-31 LOANS TO FINANCE COMMERCIAL REAL ESTATE, CONSTRUCTION, AND LAND DEVELOPMENT ACTIVITIES - PAST DUE 30 THROUGH 89 DAYS AND STILL ACCRUING No
UBPR6559 1991-03-31 9999-12-31 LOANS TO FINANCE COMMERCIAL REAL ESTATE, CONSTRUCTION, AND LAND DEVELOPMENT ACTIVITIES - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPR6560 1991-03-31 9999-12-31 LOANS TO FINANCE COMMERCIAL REAL ESTATE, CONSTRUCTION, AND LAND DEVELOPMENT ACTIVITIES - NONACCRUAL No
UBPR6937 2001-03-31 9999-12-31 CITY OF HEADQUARTERS No
UBPR7204 2001-03-31 9999-12-31 TIER 1 LEVERAGE CAPITAL RATIO No
UBPR7205 2001-03-31 9999-12-31 TOTAL RISK-BASED CAPITAL RATIO No
UBPR7206 2001-03-31 9999-12-31 TIER 1 RISK-BASED CAPITAL RATIO No
UBPR7273 2001-03-31 9999-12-31 TIER 1 LEVERAGE RATIO No
UBPR7274 2001-03-31 9999-12-31 TIER 1 RISK-BASED CAPITAL RATIO No
UBPR7275 2001-03-31 9999-12-31 TOTAL RISK-BASED CAPITAL RATIO No
UBPR7308 2001-03-31 9999-12-31 SURVEILLANCE MODEL RATIO OF OTHER REAL ESTATE OWNED TO TOTAL ASSETS No
UBPR7316 2001-03-31 9999-12-31 SURVEILLANCE MODEL ASSET GROWTH RATE No
UBPR7400 2001-03-31 9999-12-31 SALARY EXPENSE AS PERCENT OF AVERAGE ASSETS No
UBPR7402 2001-03-31 9999-12-31 TOTAL DIVIDENDS AS PERCENT OF NET INCOME (TRAILING FOUR QUARTERS) No
UBPR7408 2001-03-31 9999-12-31 ANNUAL CHANGE IN TIER 1 CAPITAL No
UBPR7410 2001-03-31 9999-12-31 NET NONCORE FUNDING DEPENDENCE No
UBPR7414 2001-03-31 9999-12-31 NONCURRENT ASSETS AS PERCENT OF TOTAL LOANS AND LEASES No
UBPR7452 2003-03-31 9999-12-31 TRADING REVENUE AS PERCENT OF NONINTEREST INCOME, CURRENT QUARTER No
UBPR8274 1996-03-31 9999-12-31 TIER 1 CAPITAL ALLOWABLE UNDER THE RISK-BASED CAPITAL GUIDELINES No
UBPR8275 1996-03-31 9999-12-31 TIER 2 CAPITAL ALLOWABLE UNDER THE RISK-BASED CAPITAL GUIDELINES No
UBPR8434 1994-03-31 9999-12-31 NET UNREALIZED HOLDING GAINS (LOSSES) ON AVAILABLE-FOR-SALE SECURITIES No
UBPR8496 2001-03-31 9999-12-31 AMORTIZED COST OF HELD-TO-MATURITY SECURITIES ISSUED BY STATES AND POLITICAL SUBDIVISIONS IN THE U.S. No
UBPR8499 2001-03-31 9999-12-31 FAIR VALUE OF AVAILABLE-FOR-SALE SECURITIES ISSUED BY STATES AND POLITICAL SUBDIVISIONS IN THE U.S. No
UBPR8636 2000-01-01 9999-12-31 SECURITIES ISSUED BY STATES AND POLITICAL SUBDIVISIONS IN THE U.S. No
UBPR8693 1995-03-31 9999-12-31 INTEREST RATE FUTURES CONTRACTS No
UBPR8694 1995-03-31 9999-12-31 FOREIGN EXCHANGE FUTURES CONTRACTS No
UBPR8695 1995-03-31 9999-12-31 EQUITY DERIVATIVE FUTURES CONTRACTS No
UBPR8696 1995-03-31 9999-12-31 COMMODITY AND OTHER FUTURES CONTRACTS No
UBPR8697 1995-03-31 9999-12-31 INTEREST RATE FORWARD CONTRACTS No
UBPR8698 1995-03-31 9999-12-31 FOREIGN EXCHANGE FORWARD CONTRACTS No
UBPR8699 1995-03-31 9999-12-31 EQUITY DERIVATIVE FORWARD CONTRACTS No
UBPR8700 1995-03-31 9999-12-31 COMMODITY AND OTHER FORWARD CONTRACTS No
UBPR8701 1995-03-31 9999-12-31 WRITTEN EXCHANGE-TRADED INTEREST RATE OPTION CONTRACTS No
UBPR8702 1995-03-31 9999-12-31 WRITTEN EXCHANGE-TRADED FOREIGN EXCHANGE OPTION CONTRACTS No
UBPR8703 1995-03-31 9999-12-31 WRITTEN EXCHANGE-TRADED EQUITY DERIVATIVE OPTION CONTRACTS No
UBPR8704 1995-03-31 9999-12-31 WRITTEN EXCHANGE-TRADED COMMODITY AND OTHER EXCHANGE-TRADED OPTION CONTRACTS No
UBPR8705 1995-03-31 9999-12-31 PURCHASED EXCHANGE-TRADED INTEREST RATE OPTION CONTRACTS No
UBPR8706 1995-03-31 9999-12-31 PURCHASED EXCHANGE-TRADED FOREIGN EXCHANGE OPTION CONTRACTS No
UBPR8707 1995-03-31 9999-12-31 PURCHASED EXCHANGE-TRADED EQUITY DERIVATIVE OPTION CONTRACTS No
UBPR8708 1995-03-31 9999-12-31 PURCHASED EXCHANGE-TRADED COMMODITY AND OTHER EXCHANGE-TRADED OPTION CONTRACTS No
UBPR8709 1995-03-31 9999-12-31 WRITTEN OTC INTEREST RATE OPTION CONTRACTS No
UBPR8710 1995-03-31 9999-12-31 WRITTEN OTC FOREIGN EXCHANGE OPTION CONTRACTS No
UBPR8711 1995-03-31 9999-12-31 WRITTEN OTC EQUITY DERIVATIVE OPTION CONTRACTS No
UBPR8712 1995-03-31 9999-12-31 WRITTEN OTC COMMODITY AND OTHER OTC OPTION CONTRACTS No
UBPR8713 1995-03-31 9999-12-31 PURCHASED OTC INTEREST RATE OPTION CONTRACTS No
UBPR8714 1995-03-31 9999-12-31 PURCHASED OTC FOREIGN EXCHANGE OPTION CONTRACTS No
UBPR8715 1995-03-31 9999-12-31 PURCHASED OTC EQUITY DERIVATIVE OPTION CONTRACTS No
UBPR8716 1995-03-31 9999-12-31 PURCHASED OTC COMMODITY AND OTHER OTC OPTION CONTRACTS No
UBPR8719 1995-03-31 9999-12-31 EQUITY SWAPS No
UBPR8720 1995-03-31 9999-12-31 COMMODITY AND OTHER SWAPS No
UBPR8723 1995-03-31 9999-12-31 TOTAL GROSS NOTIONAL AMOUNT OF EQUITY DERIVATIVE CONTRACTS HELD FOR TRADING No
UBPR8724 1995-03-31 9999-12-31 TOTAL GROSS NOTIONAL AMOUNT OF COMMODITY AND OTHER DERIVATIVE CONTRACTS HELD FOR TRADING No
UBPR8725 1995-03-31 9999-12-31 TOTAL GROSS NOTIONAL AMOUNT OF INTEREST RATE DERIVATIVE CONTRACTS HELD FOR PURPOSES OTHER THAN TRADING: CONTRACTS MARKED TO MARKET No
UBPR8726 1995-03-31 9999-12-31 TOTAL GROSS NOTIONAL AMOUNT OF FOREIGN EXCHANGE DERIVATIVE CONTRACTS HELD FOR PURPOSES OTHER THAN TRADING: CONTRACTS MARKED TO MARKET No
UBPR8727 1995-03-31 9999-12-31 TOTAL GROSS NOTIONAL AMOUNT OF EQUITY DERIVATIVE CONTRACTS HELD FOR PURPOSES OTHER THAN TRADING: CONTRACTS MARKED TO MARKET No
UBPR8728 1995-03-31 9999-12-31 TOTAL GROSS NOTIONAL AMOUNT OF COMMODITY AND OTHER DERIVATIVE CONTRACTS HELD FOR PURPOSES OTHER THAN TRADING: CONTRACTS MARKED TO MARKET No
UBPR8733 1995-03-31 9999-12-31 GROSS POSITIVE FAIR VALUE OF INTEREST RATE DERIVATIVE CONTRACTS HELD FOR TRADING No
UBPR8734 1995-03-31 9999-12-31 GROSS POSITIVE FAIR VALUE OF FOREIGN EXCHANGE DERIVATIVE CONTRACTS HELD FOR TRADING No
UBPR8735 1995-03-31 9999-12-31 GROSS POSITIVE FAIR VALUE OF EQUITY DERIVATIVE CONTRACTS HELD FOR TRADING No
UBPR8736 1995-03-31 9999-12-31 GROSS POSITIVE FAIR VALUE OF COMMODITY AND OTHER DERIVATIVE CONTRACTS HELD FOR TRADING No
UBPR8737 1995-03-31 9999-12-31 GROSS NEGATIVE FAIR VALUE OF INTEREST RATE DERIVATIVE CONTRACTS HELD FOR TRADING No
UBPR8738 1995-03-31 9999-12-31 GROSS NEGATIVE FAIR VALUE OF FOREIGN EXCHANGE DERIVATIVE CONTRACTS HELD FOR TRADING No
UBPR8739 1995-03-31 9999-12-31 GROSS NEGATIVE FAIR VALUE OF EQUITY DERIVATIVE CONTRACTS HELD FOR TRADING No
UBPR8740 1995-03-31 9999-12-31 GROSS NEGATIVE FAIR VALUE OF COMMODITY AND OTHER DERIVATIVE CONTRACTS HELD FOR TRADING No
UBPR8741 1995-03-31 9999-12-31 GROSS POSITIVE FAIR VALUE OF INTEREST RATE DERIVATIVE CONTRACTS HELD FOR PURPOSES OTHER THAN TRADING THAT ARE MARKED TO MARKET No
UBPR8742 1995-03-31 9999-12-31 GROSS POSITIVE FAIR VALUE OF FOREIGN EXCHANGE DERIVATIVE CONTRACTS HELD FOR PURPOSES OTHER THAN TRADING THAT ARE MARKED TO MARKET No
UBPR8743 1995-03-31 9999-12-31 GROSS POSITIVE FAIR VALUE OF EQUITY DERIVATIVE CONTRACTS HELD FOR PURPOSES OTHER THAN TRADING THAT ARE MARKED TO MARKET No
UBPR8744 1995-03-31 9999-12-31 GROSS POSITIVE FAIR VALUE OF COMMODITY AND OTHER DERIVATIVE CONTRACTS HELD FOR PURPOSES OTHER THAN TRADING THAT ARE MARKED TO MARKET No
UBPR8745 1995-03-31 9999-12-31 GROSS NEGATIVE FAIR VALUE OF INTEREST RATE DERIVATIVE CONTRACTS HELD FOR PURPOSES OTHER THAN TRADING THAT ARE MARKED TO MARKET No
UBPR8746 1995-03-31 9999-12-31 GROSS NEGATIVE FAIR VALUE OF FOREIGN EXCHANGE DERIVATIVE CONTRACTS HELD FOR PURPOSES OTHER THAN TRADING THAT ARE MARKED TO MARKET No
UBPR8747 1995-03-31 9999-12-31 GROSS NEGATIVE FAIR VALUE OF EQUITY DERIVATIVE CONTRACTS HELD FOR PURPOSES OTHER THAN TRADING THAT ARE MARKED TO MARKET No
UBPR8748 1995-03-31 9999-12-31 GROSS NEGATIVE FAIR VALUE OF COMMODITY AND OTHER DERIVATIVE CONTRACTS HELD FOR PURPOSES OTHER THAN TRADING THAT ARE MARKED TO MARKET No
UBPR8761 2001-03-31 9999-12-31 NET INCREASE (DECREASE) TO INTEREST INCOME No
UBPR8762 2001-03-31 9999-12-31 NET (INCREASE) DECREASE TO INTEREST EXPENSE No
UBPR8764 1995-03-31 9999-12-31 CURRENT CREDIT EXPOSURE ACROSS ALL OFF-BALANCE SHEET DERIVATIVE CONTRACTS COVERED BY THE RISK-BASED CAPITAL STANDARDS No
UBPR8765 1995-03-31 9999-12-31 SPOT FOREIGN EXCHANGE CONTRACTS No
UBPR8766 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF INTEREST RATE CONTRACTS WITH A REMAINING MATURITY OF OVER ONE YEAR THROUGH FIVE YEARS No
UBPR8767 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF INTEREST RATE CONTRACTS WITH A REMAINING MATURITY OF OVER FIVE YEARS No
UBPR8769 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF FOREIGN EXCHANGE CONTRACTS WITH A REMAINING MATURITY OF OVER ONE YEAR THROUGH FIVE YEARS No
UBPR8770 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF FOREIGN EXCHANGE CONTRACTS WITH A REMAINING MATURITY OF OVER FIVE YEARS No
UBPR8771 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF GOLD CONTRACTS WITH A REMAINING MATURITY OF ONE YEAR OR LESS No
UBPR8772 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF GOLD CONTRACTS WITH A REMAINING MATURITY OF OVER ONE YEAR THROUGH FIVE YEARS No
UBPR8773 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF GOLD CONTRACTS WITH A REMAINING MATURITY OF OVER FIVE YEARS No
UBPR8774 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF OTHER PRECIOUS METALS CONTRACTS WITH A REMAINING MATURITY OF ONE YEAR OR LESS No
UBPR8775 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF OTHER PRECIOUS METALS CONTRACTS WITH A REMAINING MATURITY OF OVER ONE YEAR THROUGH FIVE YEARS No
UBPR8776 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF OTHER PRECIOUS METALS CONTRACTS WITH A REMAINING MATURITY OF OVER FIVE YEARS No
UBPR8777 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF OTHER COMMODITY CONTRACTS WITH A REMAINING MATURITY OF ONE YEAR OR LESS No
UBPR8778 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF OTHER COMMODITY CONTRACTS WITH A REMAINING MATURITY OF OVER ONE YEAR THROUGH FIVE YEARS No
UBPR8779 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF OTHER COMMODITY CONTRACTS WITH A REMAINING MATURITY OF OVER FIVE YEARS No
UBPR8782 1995-03-31 9999-12-31 AMORTIZED COST OF STRUCTURED NOTES No
UBPR8783 1995-03-31 9999-12-31 FAIR VALUE OF STRUCTURED NOTES No
UBPR9106 2001-03-31 9999-12-31 IF THE REPORTING BANK HAS RESTATED ITS BALANCE SHEET AS A RESULT OF APPLYING PUSH DOWN ACCOUNTING THIS CALENDAR YEAR, REPORT THE DATE OF THE BANK'S ACQUISITION No
UBPR9155 2001-03-31 9999-12-31 TSTMP_DATA_UPDT No
UBPR9169 2001-03-31 9999-12-31 USABILITY STATUS FLAG No
UBPR9346 2001-03-31 9999-12-31 ENTITY TYPE No
UBPR9565 2001-03-31 9999-12-31 SIZE CODE No
UBPR9804 2001-03-31 9999-12-31 TYPE OF REPORT FILED No
UBPR9999 2001-03-31 9999-12-31 REPORTING DATE (CC,YR,MO,DA) No
UBPRA000 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF EQUITY DERIVATIVE CONTRACTS WITH A REMAINING MATURITY OF ONE YEAR OR LESS No
UBPRA001 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF EQUITY DERIVATIVE CONTRACTS WITH A REMAINING MATURITY OF OVER ONE YEAR THROUGH FIVE YEARS No
UBPRA002 1995-03-31 9999-12-31 NOTIONAL PRINCIPAL AMOUNT OF EQUITY DERIVATIVE CONTRACTS WITH A REMAINING MATURITY OF OVER FIVE YEARS No
UBPRA126 1995-03-31 9999-12-31 TOTAL GROSS NOTIONAL AMOUNT OF INTEREST RATE DERIVATIVE CONTRACTS HELD FOR TRADING No
UBPRA127 1995-03-31 9999-12-31 TOTAL GROSS NOTIONAL AMOUNT OF FOREIGN EXCHANGE DERIVATIVE CONTRACTS HELD FOR TRADING No
UBPRA130 1984-12-31 9999-12-31 OTHER COMPONENTS OF EQUITY CAPITAL No
UBPRA221 2001-03-31 9999-12-31 NET UNREALIZED LOSS ON AVAILABLE-FOR-SALE EQUITY SECURITIES No
UBPRA222 2001-03-31 9999-12-31 EXCESS ADJUSTED ALLOWANCES FOR CREDIT LOSSES (AACL) No
UBPRA223 1996-03-31 9999-12-31 RISK-WEIGHTED ASSETS (NET OF ALLOWANCES AND OTHER DEDUCTIONS) No
UBPRA224 2001-03-31 9999-12-31 AVERAGE TOTAL ASSETS (NET OF DEDUCTIONS) No
UBPRA244 1996-03-31 9999-12-31 BROKERED DEPOSITS ISSUED IN DENOMINATIONS OF $100,000 OR MORE WITH A REMAINING MATURITY OF ONE YEAR OR LESS No
UBPRA247 1996-03-31 9999-12-31 FIXED RATE AND FLOATING RATE LOANS AND LEASES WITH A REMAINING MATURITY OF ONE YEAR OR LESS No
UBPRA248 1996-03-31 9999-12-31 FIXED RATE AND FLOATING RATE DEBT SECURITIES WITH A REMAINING MATURITY OF ONE YEAR OR LESS No
UBPRA251 2000-01-01 9999-12-31 CREDIT LOSSES ON OFF-BALANCE SHEET DERIVATIVES No
UBPRA479 2001-03-31 2008-12-31 GROSS FEES, COMMISSIONS AND OTHER FIDUCIARY INCOME: CORPORATE TRUST AND AGENCY ACCOUNTS Yes
UBPRA479 2009-03-31 9999-12-31 GROSS FEES, COMMISSIONS AND OTHER FIDUCIARY INCOME: CORPORATE TRUST AND AGENCY ACCOUNTS No
UBPRA480 2001-03-31 2008-12-31 ALL OTHER FIDUCIARY INCOME Yes
UBPRA480 2009-03-31 9999-12-31 ALL OTHER FIDUCIARY INCOME No
UBPRA488 2001-03-31 2008-12-31 NET SETTLEMENTS, SURCHARGES AND LOSSES Yes
UBPRA488 2009-03-31 9999-12-31 NET SETTLEMENTS, SURCHARGES AND LOSSES No
UBPRA491 2001-03-31 2008-12-31 NET TRUST INCOME (LOSS) Yes
UBPRA491 2009-03-31 9999-12-31 NET TRUST INCOME (LOSS) No
UBPRA510 1997-03-31 9999-12-31 AMORTIZED COST OF AVAILABLE-FOR-SALE INVESTMENTS IN MUTUAL FUNDS AND OTHER EQUITY SECURITIES WITH READILY DETERMINABLE FAIR VALUES No
UBPRA511 1997-03-31 9999-12-31 FAIR VALUE OF AVAILABLE-FOR-SALE INVESTMENTS IN MUTUAL FUNDS AND OTHER EQUITY SECURITIES WITH READILY DETERMINABLE FAIR VALUES No
UBPRA519 1997-03-31 9999-12-31 INTEREST-ONLY STRIPS RECEIVABLE (NOT IN THE FORM OF A SECURITY) ON MORTGAGE LOANS No
UBPRA520 1997-03-31 9999-12-31 INTEREST-ONLY STRIPS RECEIVABLE (NOT IN THE FORM OF A SECURITY) ON OTHER FINANCIAL ASSETS No
UBPRA521 1997-03-31 9999-12-31 FIRST LIEN 1-TO-4 FAMILY RESIDENTIAL MORTGAGE LOANS: OUTSTANDING PRINCIPAL BALANCE OF MORTGAGES TRANSFERRED AS OF THE REPORT DATE No
UBPRA522 1997-03-31 9999-12-31 FIRST LIEN 1-TO-4 FAMILY RESIDENTIAL MORTGAGE LOANS: AMOUNT OF RECOURSE EXPOSURE ON THESE MORTGAGES AS OF THE REPORT DATE No
UBPRA523 1997-03-31 9999-12-31 OTHER FINANCIAL ASSETS: OUTSTANDING PRINCIPAL BALANCE OF ASSETS TRANSFERRED AS OF THE REPORT DATE No
UBPRA524 1997-03-31 9999-12-31 OTHER FINANCIAL ASSETS: AMOUNT OF RECOURSE EXPOSURE ON THESE ASSETS AS OF THE REPORT DATE No
UBPRA534 1997-03-31 9999-12-31 CREDIT DERIVATIVES ON WHICH THE REPORTING BANK IS THE GUARANTOR No
UBPRA535 1997-03-31 9999-12-31 CREDIT DERIVATIVES ON WHICH THE REPORTING BANK IS THE BENEFICIARY No
UBPRA549 1997-06-30 9999-12-31 SECURITIES ISSUED BY THE U.S. TREASURY, U.S. GOVERNMENT AGENCIES, AND STATES AND POLITICAL SUBDIVISIONS IN THE U.S.; OTHER NON-MORTGAGE DEBT SECURITIES; AND MORTGAGE PASS-THROUGH SECURITIES OTHER THAN THOSE BACKED BY CLOSED-END FIRST LIEN 1-4 FAMILY RESIDENTIAL MORTGAGES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF THREE MONTHS OF LESS No
UBPRA550 1997-06-30 9999-12-31 SECURITIES ISSUED BY THE U.S. TREASURY, U.S. GOVERNMENT AGENCIES, AND STATES AND POLITICAL SUBDIVISIONS IN THE U.S.; OTHER NON-MORTGAGE DEBT SECURITIES; AND MORTGAGE PASS-THROUGH SECURITIES OTHER THAN THOSE BACKED BY CLOSED-END FIRST LIEN 1-4 FAMILY RESIDENTIAL MORTGAGES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER THREE MONTHS THROUGH 12 MONTHS No
UBPRA551 1997-06-30 9999-12-31 SECURITIES ISSUED BY THE U.S. TREASURY, U.S. GOVERNMENT AGENCIES, AND STATES AND POLITICAL SUBDIVISIONS IN THE U.S.; OTHER NON-MORTGAGE DEBT SECURITIES; AND MORTGAGE PASS-THROUGH SECURITIES OTHER THAN THOSE BACKED BY CLOSED-END FIRST LIEN 1-4 FAMILY RESIDENTIAL MORTGAGES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER ONE YEAR THROUGH THREE YEARS No
UBPRA552 1997-06-30 9999-12-31 SECURITIES ISSUED BY THE U.S. TREASURY, U.S. GOVERNMENT AGENCIES, AND STATES AND POLITICAL SUBDIVISIONS IN THE U.S.; OTHER NON-MORTGAGE DEBT SECURITIES; AND MORTGAGE PASS-THROUGH SECURITIES OTHER THAN THOSE BACKED BY CLOSED-END FIRST LIEN 1-4 FAMILY RESIDENTIAL MORTGAGES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER THREE YEARS THROUGH FIVE YEARS No
UBPRA553 1997-06-30 9999-12-31 SECURITIES ISSUED BY THE U.S. TREASURY, U.S. GOVERNMENT AGENCIES, AND STATES AND POLITICAL SUBDIVISIONS IN THE U.S.; OTHER NON-MORTGAGE DEBT SECURITIES; AND MORTGAGE PASS-THROUGH SECURITIES OTHER THAN THOSE BACKED BY CLOSED-END FIRST LIEN 1-4 FAMILY RESIDENTIAL MORTGAGES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER FIVE YEARS THROUGH FIFTEEN YEARS No
UBPRA554 1997-06-30 9999-12-31 SECURITIES ISSUED BY THE U.S. TREASURY, U.S. GOVERNMENT AGENCIES, AND STATES AND POLITICAL SUBDIVISIONS IN THE U.S.; OTHER NON-MORTGAGE DEBT SECURITIES; AND MORTGAGE PASS-THROUGH SECURITIES OTHER THAN THOSE BACKED BY CLOSED-END FIRST LIEN 1-4 FAMILY RESIDENTIAL MORTGAGES WITH A REMAINING MATURITY OR NEXT REPRICING OF OVER FFTEEN YEARS No
UBPRA555 1997-06-30 9999-12-31 MORTGAGE PASS-THROUGH SECURITIES BACKED BY CLOSED-END FIRST LIEN 1-4 FAMILY RESIDENTIAL MORTGAGES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF THREE MONTHS OR LESS No
UBPRA556 1997-06-30 9999-12-31 MORTGAGE PASS-THROUGH SECURITIES BACKED BY CLOSED-END FIRST LIEN 1-4 FAMILY RESIDENTIAL MORTGAGES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER THREE MONTHS THROUGH 12 MONTHS No
UBPRA557 1997-06-30 9999-12-31 MORTGAGE PASS-THROUGH SECURITIES BACKED BY CLOSED-END FIRST LIEN 1-4 FAMILY RESIDENTIAL MORTGAGES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER ONE YEAR THROUGH THREE YEARS No
UBPRA558 1997-06-30 9999-12-31 MORTGAGE PASS-THROUGH SECURITIES BACKED BY CLOSED-END FIRST LIEN 1-4 FAMILY RESIDENTIAL MORTGAGES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER THREE YEARS THROUGH FIVE YEARS No
UBPRA559 1997-06-30 9999-12-31 MORTGAGE PASS-THROUGH SECURITIES BACKED BY CLOSED-END FIRST LIEN 1-4 FAMILY RESIDENTIAL MORTGAGES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER FIVE YEARS THROUGH 15 YEARS No
UBPRA560 1997-06-30 9999-12-31 MORTGAGE PASS-THROUGH SECURITIES BACKED BY CLOSED-END FIRST LIEN 1-4 FAMILY RESIDENTIAL MORTGAGES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER 15 YEARS No
UBPRA561 1997-06-30 9999-12-31 OTHER MORTGAGE-BACKED SECURITIES (INCLUDE CMOs, REMICs, AND STRIPPED MBS) WITH AN EXPECTED AVERAGE LIFE OF THREE YEARS OR LESS No
UBPRA562 1997-06-30 9999-12-31 OTHER MORTGAGE-BACKED SECURITIES (INCLUDE CMOs, REMICs, AND STRIPPED MBS) WITH AN EXPECTED AVERAGE LIFE OF OVER THREE YEARS No
UBPRA564 1997-06-30 9999-12-31 CLOSED-END LOANS SECURED BY FIRST LIENS ON 1-4 FAMILY RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) WITH A REMAINING MATURITY OR REPRICING FREQUENCY OF THREE MONTHS OR LESS No
UBPRA565 1997-06-30 9999-12-31 CLOSED-END LOANS SECURED BY FIRST LIENS ON 1-4 FAMILY RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) WITH A REMAINING MATURITY OR REPRICING FREQUENCY OF OVER THREE MONTHS THROUGH 12 MONTHS No
UBPRA566 1997-06-30 9999-12-31 CLOSED-END LOANS SECURED BY FIRST LIENS ON 1-4 FAMILY RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) WITH A REMAINING MATURITY OR REPRICING FREQUENCY OF OVER ONE YEAR THROUGH THREE YEARS No
UBPRA567 1997-06-30 9999-12-31 CLOSED-END LOANS SECURED BY FIRST LIENS ON 1-4 FAMILY RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) WITH A REMAINING MATURITY OR REPRICING FREQUENCY OF OVER THREE YEARS THROUGH FIVE YEARS No
UBPRA568 1997-06-30 9999-12-31 CLOSED-END LOANS SECURED BY FIRST LIENS ON 1-4 FAMILY RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) WITH A REMAINING MATURITY OR REPRICING FREQUENCY OF OVER FIVE YEARS THROUGH 15 YEARS No
UBPRA569 1997-06-30 9999-12-31 CLOSED-END LOANS SECURED BY FIRST LIENS ON 1-4 FAMILY RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) WITH A REMAINING MATURITY OR REPRICING FREQUENCY OF OVER 15 YEARS No
UBPRA570 1997-06-30 9999-12-31 ALL LOANS AND LEASES OTHER THAN CLOSED-END LOANS SECURED BY FIRST LIENS ON 1-4 FAMILY RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) WITH A REMAINING MATURITY OR REPRICING FREQUENCY OF THREE MONTHS OR LESS No
UBPRA571 1997-06-30 9999-12-31 ALL LOANS AND LEASES OTHER THAN CLOSED-END LOANS SECURED BY FIRST LIENS ON 1-4 FAMILY RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) WITH A REMAINING MATURITY OR REPRICING FREQUENCY OF OVER THREE MONTHS THROUGH 12 MONTHS No
UBPRA572 1997-06-30 9999-12-31 ALL LOANS AND LEASES OTHER THAN CLOSED-END LOANS SECURED BY FIRST LIENS ON 1-4 FAMILY RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) WITH A REMAINING MATURITY OR REPRICING FREQUENCY OF OVER ONE YEAR THROUGH THREE YEARS No
UBPRA573 1997-06-30 9999-12-31 ALL LOANS AND LEASES OTHER THAN CLOSED-END LOANS SECURED BY FIRST LIENS ON 1-4 FAMILY RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) WITH A REMAINING MATURITY OR REPRICING FREQUENCY OF OVER THREE YEARS THROUGH FIVE YEARS No
UBPRA574 1997-06-30 9999-12-31 ALL LOANS AND LEASES OTHER THAN CLOSED-END LOANS SECURED BY FIRST LIENS ON 1-4 FAMILY RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) WITH A REMAINING MATURITY OR REPRICING FREQUENCY OF OVER FIVE YEARS THROUGH 15 YEARS No
UBPRA575 1997-06-30 9999-12-31 ALL LOANS AND LEASES OTHER THAN CLOSED-END LOANS SECURED BY FIRST LIENS ON 1-4 FAMILY RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) WITH A REMAINING MATURITY OR REPRICING FREQUENCY OF OVER 15 YEARS No
UBPRA581 1997-06-30 9999-12-31 TIME DEPOSITS OF LESS THAN $100,000 WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER ONE YEAR THROUGH THREE YEARS No
UBPRA582 1997-06-30 9999-12-31 TIME DEPOSITS OF LESS THAN $100,000 WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER THREE YEARS No
UBPRA586 1997-06-30 9999-12-31 TIME DEPOSITS OF $100,000 OR MORE WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER ONE YEAR THROUGH THREE YEARS No
UBPRA587 1997-06-30 9999-12-31 TIME DEPOSITS OF $100,000 OR MORE WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER THREE YEARS No
UBPRA590 1997-06-30 9999-12-31 ESTIMATED FAIR VALUE OF MORTGAGE SERVICING ASSETS No
UBPRA591 1997-06-30 9999-12-31 OUTSTANDING PRINCIPAL BALANCE OF LOANS OTHER THAN 1-4 FAMILY RESIDENTIAL MORTGAGE LOANS THAT ARE SERVICED FOR OTHERS No
UBPRB026 1999-03-31 9999-12-31 Balance Sheet Worksheet - Fair Value Adjustments - Assets: Intangibles: Purchased Credit Card Relationships and Nonmortgage Servicing Rights No
UBPRB490 2001-03-31 9999-12-31 INVESTMENT BANKING, ADVISORY, BROKERAGE, AND UNDERWRITING FEES AND COMMISSIONS No
UBPRB500 2001-06-30 9999-12-31 AMOUNT OF OWNERSHIP (OR SELLER'S) INTERESTS CARRIED AS: LOANS - HOME EQUITY LINES No
UBPRB501 2001-06-30 9999-12-31 AMOUNT OF OWNERSHIP (OR SELLER'S) INTERESTS CARRIED AS: LOANS - CREDIT CARD RECEIVABLES No
UBPRB502 2001-06-30 9999-12-31 AMOUNT OF OWNERSHIP (OR SELLER'S) INTEREST CARRIED AS: LOANS - COMMERCIAL & INDUSTRIAL LOANS No
UBPRB503 2001-03-31 9999-12-31 ADJUSTMENT TO TOTAL RISK-BASED CAPITAL No
UBPRB504 2001-03-31 9999-12-31 ADJUSTMENT TO RISK-WEIGHTED ASSETS No
UBPRB509 2001-03-31 9999-12-31 SALE, CONVERSION, ACQUISITION, OR RETIREMENT OF CAPITAL STOCK, NET (EXCLUDING TREASURY STOCK TRANSACTIONS) No
UBPRB528 2001-03-31 9999-12-31 LOANS AND LEASES, NET OF UNEARNED INCOME - TOTALS No
UBPRB529 2001-03-31 9999-12-31 LOANS AND LEASES, NET OF UNEARNED INCOME AND ALLOWANCE No
UBPRB530 1984-12-31 9999-12-31 ACCUMULATED OTHER COMPREHENSIVE INCOME No
UBPRB532 2001-03-31 9999-12-31 LOANS TO U.S. BRANCHES AND AGENCIES OF FOREIGN BANKS No
UBPRB533 2001-03-31 9999-12-31 LOANS TO OTHER COMMERCIAL BANKS IN THE U.S. No
UBPRB534 2001-03-31 9999-12-31 LOANS TO OTHER DEPOSITORY INSTITUTIONS IN THE U.S. No
UBPRB536 2001-03-31 9999-12-31 LOANS TO FOREIGN BRANCHES OF OTHER U.S. BANKS No
UBPRB537 2001-03-31 9999-12-31 LOANS TO OTHER BANKS IN FOREIGN COUNTRIES No
UBPRB538 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES (I.E., CONSUMER LOANS)(INCLUDES PURCHASED PAPER): CREDIT CARDS No
UBPRB539 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES (I.E., CONSUMER LOANS)(INCLUDES PURCHASED PAPER): OTHER REVOLVING CREDIT PLANS No
UBPRB543 2002-03-31 9999-12-31 RECOURSE AND DIRECT CREDIT SUBSTITUTES (OTHER THAN FINANCIAL STANDBY LETTERS OF CREDIT) SUBJECT TO THE LOW-LEVEL EXPOSURE RULE AND RESIDUAL INTERESTS SUBJECT TO A DOLLAR-TO-DOLLAR CAPITAL REQUIREMENT-100% No
UBPRB548 2002-03-31 9999-12-31 FINANCIAL STANDBY LETTERS OF CREDIT-0% No
UBPRB558 2001-03-31 9999-12-31 U.S. TREASURY SECURITIES AND U.S. GOVERNMENT AGENCY OBLIGATIONS (EXCLUDING MORTGAGE-BACKED SECURITIES) No
UBPRB559 2001-03-31 9999-12-31 MORTGAGE-BACKED SECURITIES No
UBPRB560 2001-03-31 9999-12-31 ALL OTHER SECURITIES No
UBPRB561 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES: CREDIT CARDS No
UBPRB562 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES: OTHER No
UBPRB565 2001-03-31 9999-12-31 FHLB ADVANCES: WITH A REMAINING MATURITY OF MORE THAN ONE YEAR THROUGH THREE YEARS No
UBPRB566 2001-03-31 9999-12-31 FHLB ADVANCES: WITH A REMAINING MATURING OF MORE THAN THREE YEARS No
UBPRB567 2001-03-31 9999-12-31 OTHER BORROWINGS: WITH A REMAINING MATURITY OF MORE THAN ONE YEAR THROUGH THREE YEARS No
UBPRB568 2001-03-31 9999-12-31 OTHER BORROWINGS: WITH A REMAINING MATURITY OF MORE THAN THREE YEARS No
UBPRB571 2001-03-31 9999-12-31 OTHER BORROWINGS: WITH A REMAINING MATURITY OF ONE YEAR OR LESS No
UBPRB575 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES: CREDIT CARDS - PAST DUE 30 THROUGH 89 DAYS AND STILL ACCRUING No
UBPRB576 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES: CREDIT CARDS - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPRB577 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES: CREDIT CARDS - NONACCRUAL No
UBPRB578 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES: OTHER - PAST DUE 30 THROUGH 89 DAYS AND STILL ACCRUING No
UBPRB579 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES: OTHER - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPRB580 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES: OTHER - NONACCRUAL No
UBPRB581 2002-03-31 9999-12-31 FINANCIAL STANDBY LETTERS OF CREDIT-20% No
UBPRB582 2002-03-31 9999-12-31 FINANCIAL STANDBY LETTERS OF CREDIT-50% No
UBPRB583 2002-03-31 9999-12-31 FINANCIAL STANDBY LETTERS OF CREDIT-100% No
UBPRB588 2001-03-31 9999-12-31 LESS: NONQUALIFYING PERPETUAL PREFERRED STOCK No
UBPRB589 2001-03-31 9999-12-31 QUALIFYING MINORITY INTERESTS IN CONSOLIDATED SUBSIDIARIES No
UBPRB590 2001-03-31 9999-12-31 LESS: DISALLOWED GOODWILL AND OTHER DISALLOWED INTANGIBLE ASSETS No
UBPRB591 2001-03-31 9999-12-31 LESS: DISALLOWED SERVICING ASSETS AND PURCHASED CREDIT CARD RELATIONSHIPS No
UBPRB592 2001-03-31 9999-12-31 OTHER ADDITIONS TO (DEDUCTIONS FROM) TIER 1 CAPITAL No
UBPRB593 2001-03-31 9999-12-31 CUMULATIVE PERPETUAL PREFERRED STOCK INCLUDIBLE IN TIER 2 CAPITAL No
UBPRB594 2001-03-31 9999-12-31 OTHER TIER 2 CAPITAL COMPONENTS No
UBPRB595 2001-03-31 9999-12-31 LESS: DEDUCTIONS FOR TOTAL RISK-BASED CAPITAL No
UBPRB596 2014-03-31 9999-12-31 LESS:OTHER DEDUCTIONS FROM ASSETS FOR LEVERAGE CAPITAL PURPOSES No
UBPRB646 2001-03-31 9999-12-31 FINANCIAL STANDBY LETTERS OF CREDIT - 0% No
UBPRB647 2001-03-31 9999-12-31 FINANCIAL STANDBY LETTERS OF CREDIT - 20% No
UBPRB648 2001-03-31 9999-12-31 FINANCIAL STANDBY LETTERS OF CREDIT - 50% No
UBPRB649 2001-03-31 9999-12-31 FINANCIAL STANDBY LETTERS OF CREDIT - 100% No
UBPRB651 2001-03-31 9999-12-31 PERFORMANCE STANDBY LETTERS OF CREDIT - 0% No
UBPRB652 2001-03-31 9999-12-31 PERFORMANCE STANDBY LETTERS OF CREDIT - 20% No
UBPRB653 2001-03-31 9999-12-31 PERFORMANCE STANDBY LETTERS OF CREDIT - 50% No
UBPRB654 2001-03-31 9999-12-31 PERFORMANCE STANDBY LETTERS OF CREDIT - 100% No
UBPRB656 2001-03-31 9999-12-31 COMMERCIAL AND SIMILAR LETTERS OF CREDIT - 0% No
UBPRB657 2001-03-31 9999-12-31 COMMERCIAL AND SIMILAR LETTERS OF CREDIT - 20% No
UBPRB658 2001-03-31 9999-12-31 COMMERCIAL AND SIMILAR LETTERS OF CREDIT - 50% No
UBPRB659 2001-03-31 9999-12-31 COMMERCIAL AND SIMILAR LETTERS OF CREDIT No
UBPRB661 2001-03-31 9999-12-31 RISK PARTICIPATIONS IN BANKERS ACCEPTANCES ACQUIRED BY THE REPORTING INSTITUTION - 0% No
UBPRB662 2001-03-31 9999-12-31 RISK PARTICIPATIONS IN BANKERS ACCEPTANCES ACQUIRED BY THE REPORTING INSTITUTION - 20% No
UBPRB663 2001-03-31 9999-12-31 RISK PARTICIPATIONS IN BANKERS ACCEPTANCES ACQUIRED BY THE REPORTING INSTITUTION - 100% No
UBPRB665 2001-03-31 9999-12-31 SECURITIES LENT - 0% No
UBPRB666 2001-03-31 9999-12-31 SECURITIES LENT - 20% No
UBPRB667 2001-03-31 9999-12-31 SECURITIES LENT - 50% No
UBPRB668 2001-03-31 9999-12-31 SECURITIES LENT - 100% No
UBPRB670 2001-03-31 9999-12-31 RETAINED RECOURSE ON SMALL BUSINESS OBLIGATIONS SOLD WITH RECOURSE - 0% No
UBPRB671 2001-03-31 9999-12-31 RETAINED RECOURSE ON SMALL BUSINESS OBLIGATIONS SOLD WITH RECOURSE - 20% No
UBPRB672 2001-03-31 9999-12-31 RETAINED RECOURSE ON SMALL BUSINESS OBLIGATIONS SOLD WITH RECOURSE - 50% No
UBPRB673 2001-03-31 9999-12-31 RETAINED RECOURSE ON SMALL BUSINESS OBLIGATIONS SOLD WITH RECOURSE - 100% No
UBPRB674 2001-03-31 9999-12-31 RETAINED RECOURSE ON FINANCIAL ASSETS SOLD WITH LOW-LEVEL RECOURSE - 100% No
UBPRB677 2001-03-31 9999-12-31 ALL OTHER FINANCIAL ASSETS SOLD WITH RECOURSE - 0% No
UBPRB678 2001-03-31 9999-12-31 ALL OTHER FINANCIAL ASSETS SOLD WITH RECOURSE - 20% No
UBPRB679 2001-03-31 9999-12-31 ALL OTHER FINANCIAL ASSETS SOLD WITH RECOURSE - 50% No
UBPRB680 2001-03-31 9999-12-31 ALL OTHER FINANCIAL ASSETS SOLD WITH RECOURSE - 100% No
UBPRB683 2001-03-31 9999-12-31 ALL OTHER OFF-BALANCE SHEET LIABILITIES - 0% No
UBPRB684 2001-03-31 9999-12-31 ALL OTHER OFF-BALANCE SHEET LIABILITIES - 20% No
UBPRB685 2001-03-31 9999-12-31 ALL OTHER OFF-BALANCE SHEET LIABILITIES - 50% No
UBPRB686 2001-03-31 9999-12-31 ALL OTHER OFF-BALANCE SHEET LIABILITIES - 100% No
UBPRB688 2001-03-31 9999-12-31 COMMITMENTS WITH AN ORIGINAL MATURITY EXCEEDING ONE YEAR - 0% No
UBPRB689 2001-03-31 9999-12-31 COMMITMENTS WITH AN ORIGINAL MATURITY EXCEEDING ONE YEAR - 20% No
UBPRB690 2001-03-31 9999-12-31 COMMITMENTS WITH AN ORIGINAL MATURITY EXCEEDING ONE YEAR - 50% No
UBPRB691 2001-03-31 9999-12-31 COMMITMENTS WITH AN ORIGINAL MATURITY EXCEEDING ONE YEAR - 100% No
UBPRB693 2001-03-31 9999-12-31 DERIVATIVE CONTRACTS - 0% No
UBPRB694 2001-03-31 9999-12-31 DERIVATIVE CONTRACTS - 20% No
UBPRB695 2001-03-31 9999-12-31 DERIVATIVE CONTRACTS - 50% No
UBPRB705 2001-06-30 9999-12-31 OUTSTANDING PRINCIPAL BALANCE OF ASSETS SOLD AND SECURITIZED WITH RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS - 1-4 FAMILY RESIDENTIAL LOANS No
UBPRB706 2001-06-30 9999-12-31 OUTSTANDING PRINCIPAL BALANCE OF ASSETS SOLD AND SECURITIZED WITH RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS - HOME EQUITY LINES No
UBPRB707 2001-06-30 9999-12-31 OUTSTANDING PRINCIPAL BALANCE OF ASSETS SOLD AND SECURITIZED WITH RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS - CREDIT CARD RECEIVABLES No
UBPRB708 2001-06-30 9999-12-31 OUTSTANDING PRINCIPAL BALANCE OF ASSETS SOLD AND SECURITIZED WITH RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS - AUTO LOANS No
UBPRB709 2001-06-30 9999-12-31 OUTSTANDING PRINCIPAL BALANCE OF ASSETS SOLD AND SECURITIZED WITH RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS - OTHER CONSUMER LOANS No
UBPRB710 2001-06-30 9999-12-31 OUTSTANDING PRINCIPAL BALANCE OF ASSETS SOLD AND SECURITIZED WITH RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS - COMMERCIAL AND INDUSTRIAL LOANS No
UBPRB711 2001-06-30 9999-12-31 OUTSTANDING PRINCIPAL BALANCE OF ASSETS SOLD AND SECURITIZED WITH RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS - ALL OTHER LOANS No
UBPRB712 2001-06-30 9999-12-31 RETAINED INTEREST-ONLY STRIPS - 1-4 FAMILY RESIDENTIAL LOANS No
UBPRB713 2001-06-30 9999-12-31 RETAINED INTEREST-ONLY STRIPS - HOME EQUITY LINES No
UBPRB714 2001-06-30 9999-12-31 RETAINED INTEREST-ONLY STRIPS - CREDIT CARD RECEIVABLES No
UBPRB715 2001-06-30 9999-12-31 RETAINED INTEREST-ONLY STRIPS - AUTO LOANS No
UBPRB716 2001-06-30 9999-12-31 RETAINED INTEREST-ONLY STRIPS - OTHER CONSUMER LOANS No
UBPRB717 2001-06-30 9999-12-31 RETAINED INTEREST-ONLY STRIPS - COMMERCIAL AND INDUSTRIAL LOANS No
UBPRB718 2001-06-30 9999-12-31 RETAINED INTEREST-ONLY STRIPS - ALL OTHER LOANS No
UBPRB719 2001-06-30 9999-12-31 STANDBY LETTERS OF CREDIT, SUBORDINATED SECURITIES, AND OTHER ENHANCEMENTS - 1-4 FAMILY RESIDENTIAL LOANS No
UBPRB720 2001-06-30 9999-12-31 STANDBY LETTERS OF CREDIT, SUBORDINATED SECURITIES, AND OTHER ENHANCEMENTS - HOME EQUITY LINES No
UBPRB721 2001-06-30 9999-12-31 STANDBY LETTERS OF CREDIT, SUBORDINATED SECURITIES, AND OTHER ENHANCEMENTS - CREDIT CARD RECEIVABLES No
UBPRB722 2001-06-30 9999-12-31 STANDBY LETTERS OF CREDIT, SUBORDINATED SECURITIES, AND OTHER ENHANCEMENTS - AUTO LOANS No
UBPRB723 2001-06-30 9999-12-31 STANDBY LETTERS OF CREDIT, SUBORDINATED SECURITIES, AND OTHER ENHANCEMENTS - OTHER CONSUMER LOANS No
UBPRB724 2001-06-30 9999-12-31 STANDBY LETTERS OF CREDIT, SUBORDINATED SECURITIES, AND OTHER ENHANCEMENTS - COMMERCIAL & INDUSTRIAL LOANS No
UBPRB725 2001-06-30 9999-12-31 STANDBY LETTERS OF CREDIT, SUBORDINATED SECURITIES, AND OTHER ENHANCEMENTS - ALL OTHER LOANS No
UBPRB726 2001-06-30 9999-12-31 REPORTING BANK'S UNUSED COMMITMENTS TO PROVIDE LIQUIDITY TO STRUCTURES REPORTED IN ITEM 1 - 1-4 FAMILY RESIDENTIAL LOANS No
UBPRB727 2001-06-30 9999-12-31 REPORTING BANK'S UNUSED COMMITMENTS TO PROVIDE LIQUIDITY TO STRUCTURES REPORTED IN ITEM 1 - HOME EQUITY LINES No
UBPRB728 2001-06-30 9999-12-31 REPORTING BANK'S UNUSED COMMITMENTS TO PROVIDE LIQUIDITY TO STRUCTURES REPORTED IN ITEM 1 - CREDIT CARD RECEIVABLES No
UBPRB729 2001-06-30 9999-12-31 REPORTING BANK'S UNUSED COMMITMENTS TO PROVIDE LIQUIDITY TO STRUCTURES REPORTED IN ITEM 1 - AUTO LOANS No
UBPRB730 2001-06-30 9999-12-31 REPORTING BANK'S UNUSED COMMITMENTS TO PROVIDE LIQUIDITY TO STRUCTURES REPORTED IN ITEM 1 - OTHER CONSUMER LOANS No
UBPRB731 2001-06-30 9999-12-31 REPORTING BANK'S UNUSED COMMITMENTS TO PROVIDE LIQUIDITY TO STRUCTURES REPORTED IN ITEM 1 - COMMERCIAL AND INDUSTRIAL LOANS No
UBPRB732 2001-06-30 9999-12-31 REPORTING BANK'S UNUSED COMMITMENTS TO PROVIDE LIQUIDITY TO STRUCTURES REPORTED IN ITEM 1 - ALL OTHER LOANS No
UBPRB733 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 30-89 DAY - 1-4 FAMILY RESIDENTIAL LOANS No
UBPRB734 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 30-89 DAYS - HOME EQUITY LINES No
UBPRB735 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 30-89 DAYS - CREDIT CARD RECEIVABLES No
UBPRB736 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 30-89 DAYS AUTO LOANS No
UBPRB737 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 30-89 DAYS OTHER CONSUMER LOANS No
UBPRB738 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 30-89 DAYS COMMERCIAL & INDUSTRIAL LOANS No
UBPRB739 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 30-89 DAYS ALL OTHER LOANS No
UBPRB740 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 90 DAYS OR MORE 1-4 FAMILY RESIDENTIAL LOANS No
UBPRB741 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 90 DAYS OR MORE HOME EQUITY LINES No
UBPRB742 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 90 DAYS OR MORE CREDIT CARD RECEIVABLES No
UBPRB743 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 90 DAYS AUTO LOANS No
UBPRB744 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 90 DAYS OR MORE OTHER CONSUMER LOANS No
UBPRB745 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 90 DAYS OR MORE COMMERCIAL & INDUSTRIAL LOANS No
UBPRB746 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 90 DAYS OR MORE ALL OTHER LOANS No
UBPRB761 2001-06-30 9999-12-31 AMOUNT OF OWNERSHIP (OR SELLER'S) INTEREST CARRIED AS: SECURITIES - HOME EQUITY LINES No
UBPRB762 2001-06-30 9999-12-31 AMOUNT OF OWNERSHIP (OR SELLER'S) INTERESTS CARRIED AS: SECURITIES - CREDIT CARD RECEIVABLES No
UBPRB763 2001-06-30 9999-12-31 AMOUNT OF OWNERSHIP (OR SELLER'S) INTEREST CARRIED AS: SECURITIES - COMMERCIAL AND INDUSTRIAL LOANS No
UBPRB764 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN INTERESTS REPORTED IN ITEM 6: 30-89 DAYS HOME EQUITY LINES No
UBPRB765 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN INTERESTS REPORTED IN ITEM 6: 30-89 DAYS CREDIT CARD RECEIVABLES No
UBPRB766 2001-03-31 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN INTERESTS REPORTED IN ITEM 6: 30-89 DAYS COMMERCIAL AND INDUSTRIAL LOANS No
UBPRB767 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN INTERETS REPORTED IN ITEM 6: 90 DAYS OR MORE- HOME EQUITY LINES No
UBPRB768 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN INTERESTS REPORTED IN ITEM 6: 90 DAYS OR MORE - CREDIT CARD RECEIVABLES No
UBPRB769 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN INTERESTS REPORTED IN ITEM 6: 90 DAYS OR MORE - COMMERCIAL AND INDUSTRIAL LOANS No
UBPRB790 2001-06-30 9999-12-31 ASSETS SOLD WITH RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS AND NOT SECURITIZED - 1-4 FAMILY RESIDENTIAL LOANS No
UBPRB791 2001-06-30 9999-12-31 ASSETS SOLD WITH RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS AND NOT SECURITIZED - HOME EQUITY LINES No
UBPRB792 2001-06-30 9999-12-31 ASSETS SOLD WITH RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS AND NOT SECURITIZED - CREDIT CARD RECEIVABLES No
UBPRB793 2001-06-30 9999-12-31 ASSETS SOLD WITH RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS AND NOT SECURITIZED - AUTO LOANS No
UBPRB794 2001-06-30 9999-12-31 ASSETS SOLD WITH RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS AND NOT SECURITIZED - OTHER CONSUMER LOANS No
UBPRB795 2001-06-30 9999-12-31 ASSETS SOLD WITH RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS AND NOT SECURITIZED - COMMERCIAL AND INDUSTRIAL LOANS No
UBPRB796 2001-06-30 9999-12-31 ASSETS SOLD WITH RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS AND NOT SECURITIZED - ALL OTHER LOANS No
UBPRB797 2001-06-30 9999-12-31 MAXIMUM AMOUNT OF CREDIT EXPOSURE ARISING FROM RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS PROVIDED TO ASSETS REPORTED IN ITEM 11: 1-4 FAMILY RESIDENTIAL LOANS No
UBPRB798 2001-06-30 9999-12-31 MAXIMUM AMOUNT OF CREDIT EXPOSURE ARISING FROM RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS PROVIDED TO ASSETS REPORTED IN ITEM 11: HOME EQUITY LINES No
UBPRB799 2001-06-30 9999-12-31 MAXIMUM AMOUNT OF CREDIT EXPOSURE ARISING FROM RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS PROVIDED TO ASSETS REPORTED IN ITEM 11: CREDIT CARD RECEIVABLES No
UBPRB800 2001-06-30 9999-12-31 MAXIMUM AMOUNT OF CREDIT EXPOSURE ARISING FROM RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS PROVIDED TO ASSETS REPORTED IN ITEM 11: AUTO LOANS No
UBPRB801 2001-06-30 9999-12-31 MAXIMUM AMOUNT OF CREDIT EXPOSURE ARISING FROM RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS PROVIDED TO ASSETS REPORTED IN ITEM 11: OTHER CONSUMER LOANS No
UBPRB802 2001-06-30 9999-12-31 MAXIMUM AMOUNT OF CREDIT EXPOSURE ARISING FROM RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS PROVIDED TO ASSETS REPORTED IN ITEM 11: COMMERCIAL AND INDUSTRIAL LOANS No
UBPRB803 2001-06-30 9999-12-31 MAXIMUM AMOUNT OF CREDIT EXPOSURE ARISING FROM RECOURSE OR OTHER SELLER-PROVIDED CREDIT ENHANCEMENTS PROVIDED TO ASSETS REPORTED IN ITEM 11: ALL OTHER LOANS No
UBPRB804 2001-03-31 9999-12-31 OUTSTANDING PRINCIPAL BALANCE OF ASSETS SERVICED FOR OTHERS (MEMORANDUM ITEM 2.C IS TO BE COMPLETED IF THE BALANCE IS MORE THAN $10 MILLION): 1-4 FAMILY RESIDENTIAL MORTGAGES SERVICED WITH RECOURSE OR OHER SERVICER-PROVIDED CREDIT ENHANCEMENTS No
UBPRB805 2001-03-31 9999-12-31 OUTSTANDING PRINCIPAL BALANCE OF ASSETS SERVICED FOR OTHERS (MEMORANDUM ITEM 2.C IS TO BE COMPLETED IF THE BALANCE IS MORE THAN $10 MILLION): 1-4 FAMILY RESIDENTIAL MORTGAGES SERVICED WITH NO RECOURSE OR OTHER SERVICER-PROVIDED CREDIT ENHANCEMENTS No
UBPRB806 2001-06-30 9999-12-31 MAXIMUM AMOUNT OF CREDIT EXPOSURE ARISING FROM CREDIT ENHANCEMENTS PROVIDED TO CONDUIT STRUCTURES IN THE FORM OF STANDBY LETTERS OF CREDIT, SUBORDINATED SECURITIES, ETC: CONDUITS SPONSORED BY THE BANK, A BANK AFFILIATE, OR THE BANK'S HOLDING COMPANY No
UBPRB807 2001-06-30 9999-12-31 MAXIMUM AMOUNT OF CREDIT EXPOSURE ARISING FROM CREDIT ENHANCEMENTS PROVIDED TO CONDUIT STRUCTURES IN THE FORM OF STANDBY LETTERS OF CREDIT, SUBORDINATED SECURITIES, ETC: CONDUITS SPONSORED BY OTHER UNRELATED INSTITUTIONS No
UBPRB808 2001-06-30 9999-12-31 UNUSED COMMITMENTS TO PROVIDE LIQUIDITY TO CONDUIT STRUCTURES: CONDUITS SPONSORED BY THE BANK, A BANK AFFILIATE, OR THE BANK'S HOLDING COMPANY No
UBPRB809 2001-06-30 9999-12-31 UNUSED COMMITMENTS TO PROVIDE LIQUIDITY TO CONDUIT STRUCTURES: CONDUITS SPONSORED BY OTHER UNRELATED INSTITUTIONS No
UBPRB838 2001-03-31 9999-12-31 AMORTIZED COST OF HELD-TO-MATURITY ASSET-BACKED SECURITIES: CREDIT CARD RECEIVABLES No
UBPRB841 2001-03-31 9999-12-31 FAIR VALUE OF AVAILABLE-FOR-SALE ASSET-BACKED SECURITIES: CREDIT CARD RECEIVABLES No
UBPRB842 2001-03-31 9999-12-31 AMORTIZED COST OF HELD-TO-MATURITY ASSET-BACKED SECURITIES: HOME EQUITY LINES No
UBPRB845 2001-03-31 9999-12-31 FAIR VALUE OF AVAILABLE-FOR-SALE ASSET-BACKED SECURITIES: HOME EQUITY LINES No
UBPRB846 2001-03-31 9999-12-31 AMORTIZED COST OF HELD-TO-MATURITY ASSET-BACKED SECURITIES: AUTO LOANS No
UBPRB849 2001-03-31 9999-12-31 FAIR VALUE OF AVAILABLE-FOR-SALE ASSET-BACKED SECURITIES: AUTO LOANS No
UBPRB850 2001-03-31 9999-12-31 AMORTIZED COST OF HELD-TO-MATURITY ASSET-BACKED SECURITIES: OTHER CONSUMER LOANS No
UBPRB853 2001-03-31 9999-12-31 FAIR VALUE OF AVAILABLE-FOR-SALE ASSET-BACKED SECURITIES: OTHER CONSUMER LOANS No
UBPRB854 2001-03-31 9999-12-31 AMORTIZED COST OF HELD-TO-MATURITY ASSET-BACKED SECURITIES: COMMERCIAL AND INDUSTRIAL LOANS No
UBPRB857 2001-03-31 9999-12-31 FAIR VALUE OF AVAILABLE-FOR-SALE ASSET-BACKED SECURITIES: COMMERCIAL AND INDUSTRIAL LOANS No
UBPRB858 2001-03-31 9999-12-31 AMORTIZED COST OF HELD-TO-MATURITY ASSET-BACKED SECURITIES: OTHER No
UBPRB861 2001-03-31 9999-12-31 FAIR VALUE OF AVAILABLE-FOR-SALE ASSET-BACKED SECURITIES: OTHER No
UBPRB867 2001-12-31 9999-12-31 DOES THE BANK HAVE ANY FIDUCIARY OR RELATED ACTIVITY (IN THE FORM OF ASSETS OR ACCOUNTS) TO REPORT IN THIS SCHEDULE? No
UBPRB868 2001-12-31 9999-12-31 PERSONAL TRUST AND AGENCY ACCOUNTS - MANAGED ASSETS No
UBPRB869 2001-12-31 9999-12-31 PERSONAL TRUST AND AGENCY ACCOUNTS - NON-MANAGED No
UBPRB870 2001-12-31 9999-12-31 PERSONAL TRUST AND AGENCY ACCOUNTS - NUMBER OF MANAGED ACCOUNTS No
UBPRB871 2001-12-31 9999-12-31 PERSONAL TRUST AND AGENCY ACCOUNTS - NUMBER OF NON-MANAGED ACCOUNTS No
UBPRB872 2001-12-31 9999-12-31 EMPLOYEE BENEFIT-DEFINED CONTRIBUTION - MANAGED ASSETS No
UBPRB873 2001-12-31 9999-12-31 EMPLOYEE BENEFIT-DEFINED CONTRIBUTION - NON-MANAGED ASSETS No
UBPRB874 2001-12-31 9999-12-31 EMPLOYEE BENEFIT-DEFINED CONTRIBUTION - NUMBER OF MANAGED ACCOUNTS No
UBPRB875 2001-12-31 9999-12-31 EMPLOYEE BENEFIT-DEFINED CONTRIBUTION - NUMBER OF NON-MANAGED ACCOUNTS No
UBPRB876 2001-12-31 9999-12-31 EMPLOYEE BENEFIT-DEFINED BENEFIT - MANAGED ASSETS No
UBPRB877 2001-12-31 9999-12-31 EMPLOYEE BENEFIT-DEFINED BENEFIT - NON-MANAGED ASSSETS No
UBPRB878 2001-12-31 9999-12-31 EMPLOYEE BENEFIT-DEFINED BENEFIT - NUMBER OF MANAGED ACCOUNTS No
UBPRB879 2001-12-31 9999-12-31 EMPLOYEE BENEFIT-DEFINED BENEFIT - NUMBER OF NON-MANAGED ACCOUNTS No
UBPRB880 2001-12-31 9999-12-31 OTHER RETIREMENT ACCOUNTS - MANAGED ASSETS No
UBPRB881 2001-12-31 9999-12-31 OTHER RETIREMENT ACCOUNTS - NON-MANAGED ASSETS No
UBPRB882 2001-12-31 9999-12-31 OTHER RETIREMENT ACCOUNTS - NUMBER OF MANAGED ACCOUNTS No
UBPRB883 2001-12-31 9999-12-31 OTHER RETIREMENT ACCOUNTS - NUMBER OF NON-MANAGED ACCOUNTS No
UBPRB884 2001-12-31 9999-12-31 CORPORATE TRUST AND AGENCY ACCOUNTS - MANAGED ASSETS No
UBPRB885 2001-12-31 9999-12-31 CORPORATE TRUST AND AGENCY ACCOUNTS - NON-MANAGED ASSETS No
UBPRB886 2001-12-31 9999-12-31 INVESTMENT MANAGEMENT AGENCY ACCOUNTS - MANAGED ASSETS No
UBPRB888 2001-12-31 9999-12-31 INVESTMENT MANAGEMENT AGENCY ACCOUNTS - NUMBER OF MANAGED ACCOUNTS No
UBPRB890 2001-12-31 9999-12-31 OTHER FIDUCIARY ACCOUNTS - MANAGED ASSETS No
UBPRB891 2001-12-31 9999-12-31 OTHER FIDUCIARY ACCOUNTS - NON-MANAGED ASSETS No
UBPRB892 2001-12-31 9999-12-31 OTHER FIDUCIARY ACCOUNTS - NUMBER OF MANAGED ACCOUNTS No
UBPRB893 2001-12-31 9999-12-31 OTHER FIDUCIARY ACCOUNTS - NUMBER OF NON-MANAGED ACCOUNTS No
UBPRB894 2001-12-31 9999-12-31 TOTAL FIDUCIARY ACCOUNTS - MANAGED ASSETS No
UBPRB895 2001-12-31 9999-12-31 TOTAL FIDUCIARY ACCOUNTS - NON-MANAGED ASSETS No
UBPRB896 2001-12-31 9999-12-31 TOTAL FIDUCIARY ACCOUNTS - NUMBER OF MANAGED ACCOUNTS No
UBPRB897 2001-12-31 9999-12-31 TOTAL FIDUCIARY ACCOUNTS - NON-MANAGED ACCOUNTS No
UBPRB898 2001-12-31 9999-12-31 CUSTODY AND SAFEKEEPING ACCOUNTS - NON-MANAGED ASSETS No
UBPRB899 2001-12-31 9999-12-31 CUSTODY AND SAFEKEEPING ACCOUNTS - NUMBER OF NON-MANAGED ACCOUNTS No
UBPRB900 2001-03-31 9999-12-31 FIDUCIARY ACCOUNTS HELD IN FOREIGN OFFICES - MANAGED ASSETS No
UBPRB902 2001-03-31 9999-12-31 FIDUCIARY ACCOUNTS HELD IN FOREIGN OFFICES - NUMBER OF MANAGED ACCOUNTS No
UBPRB904 2001-03-31 2008-12-31 PERSONAL TRUST AND AGENCY ACCOUNTS Yes
UBPRB904 2009-03-31 9999-12-31 PERSONAL TRUST AND AGENCY ACCOUNTS No
UBPRB905 2001-03-31 2008-12-31 EMPLOYEE BENEFIT-DEFINED CONTRIBUTION Yes
UBPRB905 2009-03-31 9999-12-31 EMPLOYEE BENEFIT-DEFINED CONTRIBUTION No
UBPRB906 2001-06-30 2008-12-31 EMPLOYEE BENEFIT-DEFINED BENEFIT Yes
UBPRB906 2009-03-31 9999-12-31 EMPLOYEE BENEFIT-DEFINED BENEFIT No
UBPRB907 2001-06-30 2008-12-31 OTHER RETIREMENT ACCOUNTS Yes
UBPRB907 2009-03-31 9999-12-31 OTHER RETIREMENT ACCOUNTS No
UBPRB908 2001-06-30 2008-12-31 INVESTMENT MANAGEMENT AGENCY ACCOUNTS Yes
UBPRB908 2009-03-31 9999-12-31 INVESTMENT MANAGEMENT AGENCY ACCOUNTS No
UBPRB909 2001-06-30 2008-12-31 CUSTODY AND SAFEKEEPING ACCOUNTS Yes
UBPRB909 2009-03-31 9999-12-31 CUSTODY AND SAFEKEEPING ACCOUNTS No
UBPRB910 2001-06-30 2008-12-31 OTHER FIDUCIARY AND RELATED SERVICES INCOME Yes
UBPRB910 2009-03-31 9999-12-31 OTHER FIDUCIARY AND RELATED SERVICES INCOME No
UBPRB911 2001-06-30 2008-12-31 PLUS: INTRACOMPANY INCOME CREDITS FOR FIDUCIARY AND RELATED SERVICES Yes
UBPRB911 2009-03-31 9999-12-31 PLUS: INTRACOMPANY INCOME CREDITS FOR FIDUCIARY AND RELATED SERVICES No
UBPRB912 2001-06-30 2008-12-31 FIDUCIARY AND RELATED SERVICES INCOME-FOREIGN OFFICES Yes
UBPRB912 2009-03-31 9999-12-31 FIDUCIARY AND RELATED SERVICES INCOME-FOREIGN OFFICES No
UBPRB927 2001-12-31 9999-12-31 CORPORATE AND MUNICIPAL TRUSTEESHIPS - NUMBER OF ISSUES No
UBPRB928 2001-03-31 9999-12-31 CORPORATE AND MUNICIPAL TRUSTEESHIP - PRINCIPAL AMOUNT OUTSTANDING No
UBPRB929 2001-12-31 9999-12-31 TRANSFER AGENT, REGISTRAR, PAYING AGENT, AND OTHER CORPORATE AGENCY - NUMBER OF ISSUES No
UBPRB931 2009-12-31 9999-12-31 DOMESTIC EQUITY - NUMBER OF FUNDS No
UBPRB932 2001-12-31 9999-12-31 DOMESTIC EQUITY - MARKET VALUE OF FUNDS ASSETS No
UBPRB933 2009-12-31 9999-12-31 INTERNATIONAL/GLOBAL EQUITY - NUMBER OF FUNDS No
UBPRB934 2001-12-31 9999-12-31 INTERNATIONAL/GLOBAL EQUITY - MARKET VALUE OF FUND ASSETS No
UBPRB935 2009-12-31 9999-12-31 STOCK/BOND BLEND - NUMBER OF FUNDS No
UBPRB936 2001-12-31 9999-12-31 STOCK/BOND BLEND - MARKET VALUE OF FUND ASSETS No
UBPRB937 2009-12-31 9999-12-31 TAXABLE BOND - NUMBER OF FUNDS No
UBPRB938 2001-12-31 9999-12-31 TAXABLE BOND - MARKET VALUE OF FUND ASSETS No
UBPRB939 2009-12-31 9999-12-31 MUNICIPAL BOND - NUMBER OF FUNDS No
UBPRB940 2001-12-31 9999-12-31 MUNICIPAL BOND - MARKET VALUE OF FUND ASSETS No
UBPRB941 2009-12-31 9999-12-31 SHORT TERM INVESTMENTS/MONEY MARKET - NUMBER OF FUNDS No
UBPRB942 2001-12-31 9999-12-31 SHORT TERM INVESTMENTS/MONEY MARKET - MARKET VALUE OF FUND ASSETS No
UBPRB943 2009-12-31 9999-12-31 SPECIALTY/OTHER - NUMBER OF FUNDS No
UBPRB944 2001-12-31 9999-12-31 SPECIALTY/OTHER - MARKET VALUE OF FUND ASSETS No
UBPRB945 2009-12-31 9999-12-31 TOTAL COLLECTIVE INVESTMENT FUNDS - NUMBER OF FUNDS No
UBPRB946 2001-12-31 9999-12-31 TOTAL COLLECTIVE INVESTMENT FUNDS - MARKET VALUE OF FUND ASSETS No
UBPRB947 2001-06-30 2008-12-31 PERSONAL TRUST AND AGENCY ACCOUNTS - GROSS LOSSES MANAGED ACCOUNTS Yes
UBPRB947 2009-03-31 9999-12-31 PERSONAL TRUST AND AGENCY ACCOUNTS - GROSS LOSSES MANAGED ACCOUNTS No
UBPRB948 2001-06-30 2008-12-31 PERSONAL TRUST AND AGENCY ACCOUNTS - GROSS LOSSES NON-MANAGED ACCOUNTS Yes
UBPRB948 2009-03-31 9999-12-31 PERSONAL TRUST AND AGENCY ACCOUNTS - GROSS LOSSES NON-MANAGED ACCOUNTS No
UBPRB949 2001-03-31 2008-12-31 PERSONAL TRUST AND AGENCY ACCOUNTS - RECOVERIES Yes
UBPRB949 2009-03-31 9999-12-31 PERSONAL TRUST AND AGENCY ACCOUNTS - RECOVERIES No
UBPRB950 2001-03-31 2008-12-31 RETIREMENT RELATED TRUST AND AGENCY ACCOUNTS - GROSS LOSSES MANAGED ACCOUNTS Yes
UBPRB950 2009-03-31 9999-12-31 RETIREMENT RELATED TRUST AND AGENCY ACCOUNTS - GROSS LOSSES MANAGED ACCOUNTS No
UBPRB951 2001-03-31 2008-12-31 RETIREMENT RELATED TRUST AND AGENCY ACCOUNTS - GROSS LOSSES NON-MANAGED ACCOUNTS Yes
UBPRB951 2009-03-31 9999-12-31 RETIREMENT RELATED TRUST AND AGENCY ACCOUNTS - GROSS LOSSES NON-MANAGED ACCOUNTS No
UBPRB952 2001-03-31 2008-12-31 RETIREMENT RELATED TRUST AND AGENCY ACCOUNTS - RECOVERIES Yes
UBPRB952 2009-03-31 9999-12-31 RETIREMENT RELATED TRUST AND AGENCY ACCOUNTS - RECOVERIES No
UBPRB953 2001-03-31 2008-12-31 INVESTMENT MANAGEMENT AGENCY ACCOUNTS - GROSS LOSSES MANAGED ACCOUNTS Yes
UBPRB953 2009-03-31 9999-12-31 INVESTMENT MANAGEMENT AGENCY ACCOUNTS - GROSS LOSSES MANAGED ACCOUNTS No
UBPRB954 2001-03-31 2008-12-31 INVESTMENT MANAGEMENT AGENCY ACCOUNTS - GROSS LOSSES NON-MANAGED ACCOUNTS Yes
UBPRB954 2009-03-31 9999-12-31 INVESTMENT MANAGEMENT AGENCY ACCOUNTS - GROSS LOSSES NON-MANAGED ACCOUNTS No
UBPRB955 2001-03-31 2008-12-31 INVESTMENT MANAGEMENT AGENCY ACCOUNTS - RECOVERIES Yes
UBPRB955 2009-03-31 9999-12-31 INVESTMENT MANAGEMENT AGENCY ACCOUNTS - RECOVERIES No
UBPRB956 2001-03-31 2008-12-31 OTHER FIDUCIARY ACCOUNTS AND RELATED SERVICES - GROSS LOSSES MANAGED ACCOUNTS Yes
UBPRB956 2009-03-31 9999-12-31 OTHER FIDUCIARY ACCOUNTS AND RELATED SERVICES - GROSS LOSSES MANAGED ACCOUNTS No
UBPRB957 2001-03-31 2008-12-31 OTHER FIDUCIARY ACCOUNTS AND RELATED SERVICES - GROSS LOSSES NON-MANAGED ACCOUNTS Yes
UBPRB957 2009-03-31 9999-12-31 OTHER FIDUCIARY ACCOUNTS AND RELATED SERVICES - GROSS LOSSES NON-MANAGED ACCOUNTS No
UBPRB958 2001-03-31 2008-12-31 OTHER FIDUCIARY ACCOUNTS AND RELATED SERVICES - RECOVERIES Yes
UBPRB958 2009-03-31 9999-12-31 OTHER FIDUCIARY ACCOUNTS AND RELATED SERVICES - RECOVERIES No
UBPRB959 2001-03-31 2008-12-31 TOTAL FIDUCIARY SETTLEMENTS, SURCHARGES, AND OTHER LOSSES - GROSS LOSSES MANAGED ACCOUNTS Yes
UBPRB959 2009-03-31 9999-12-31 TOTAL FIDUCIARY SETTLEMENTS, SURCHARGES, AND OTHER LOSSES - GROSS LOSSES MANAGED ACCOUNTS No
UBPRB960 2001-03-31 2008-12-31 TOTAL FIDUCIARY SETTLEMENTS, SURCHARGES, AND OTHER LOSSES - GROSS LOSSES NON-MANAGED Yes
UBPRB960 2009-03-31 9999-12-31 TOTAL FIDUCIARY SETTLEMENTS, SURCHARGES, AND OTHER LOSSES - GROSS LOSSES NON-MANAGED No
UBPRB961 2001-03-31 2008-12-31 TOTAL FIDUCIARY SETTLEMENTS, SURCHARGES, AND OTHER LOSSES - RECOVERIES Yes
UBPRB961 2009-03-31 9999-12-31 TOTAL FIDUCIARY SETTLEMENTS, SURCHARGES, AND OTHER LOSSES - RECOVERIES No
UBPRB987 2002-03-31 9999-12-31 FEDERAL FUNDS SOLD No
UBPRB989 2002-03-31 9999-12-31 SECURITIES PURCHASED UNDER AGREEMENTS TO RESELL No
UBPRB993 2002-03-31 9999-12-31 FEDERAL FUNDS PURCHASED IN DOMESTIC OFFICES No
UBPRB995 2002-03-31 9999-12-31 SECURITIES SOLD UNDER AGREEMENTS TO REPURCHASE No
UBPRC001 2001-12-31 9999-12-31 CORPORATE TRUST AND AGENCY ACCOUNTS - NUMBER OF MANAGED ACCOUNTS No
UBPRC002 2001-12-31 9999-12-31 CORPORATE TRUST AND AGENCY ACCOUNTS - NUMBER OF NON-MANAGED ACCOUNTS No
UBPRC026 2006-03-31 9999-12-31 TOTAL (ASSET-BACKED SECURITIES) AMORTIZED COST - HELD TO MATURITY No
UBPRC027 2006-03-31 9999-12-31 TOTAL (ASSET-BACKED SECURITIES) FAIR VALUE - AVAILABLE-FOR-SALE No
UBPRC058 2001-03-31 2008-12-31 LESS: EXPENSES Yes
UBPRC058 2009-03-31 9999-12-31 LESS: EXPENSES No
UBPRC229 2002-03-31 9999-12-31 CLOSED-END LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES:SECURED BY FIRST LIENS-NONACCURAL No
UBPRC230 2002-03-31 9999-12-31 CLOSED-END LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES:SECURED BY JUNIOR LIENS-NONACCURAL No
UBPRC233 2001-03-31 9999-12-31 ADJUSTMENTS No
UBPRC236 2002-03-31 9999-12-31 CLOSED-END LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES:SECURED BY FIRST LIENS-PAST DUE 30 THRU 89 DAYS AND STILL ACCRUING No
UBPRC237 2002-03-31 9999-12-31 CLOSED-END LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES:SECURED BY FIRST LIENS-PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPRC238 2002-03-31 9999-12-31 CLOSED-END LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES:SECURED BY JUNIOR LIENS-PAST DUE 30 THRU 89 DAYS AND STILL ACCRUING No
UBPRC239 2002-03-31 9999-12-31 CLOSED-END LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES:SECURED BY JUNIOR LIENS-PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPRC393 2003-03-31 9999-12-31 SUBORDINATED SECURITIES AND OTHER RESIDUAL INTERESTS- 1-4 FAMILY RESIDENTIAL LOANS No
UBPRC394 2003-03-31 9999-12-31 SUBORDINATED SECURITIES AND OTHER RESIDUAL INTERESTS - HOME EQUITY No
UBPRC395 2003-03-31 9999-12-31 SUBORDINATED SECURITIES AND OTHER RESIDUAL INTERESTS - CREDIT CARD RECEIVABLES No
UBPRC396 2003-03-31 9999-12-31 SUBORDINATED SECURITIES AND OTHER RESIDUAL INTERESTS - AUTO LOANS No
UBPRC397 2003-03-31 9999-12-31 SUBORDINATED SECURITIES AND OTHER RESIDUAL INTERESTS - OTHER CONSUMER LOANS No
UBPRC398 2003-03-31 9999-12-31 SUBORDINATED SECURITIES AND OTHER RESIDUAL INTERESTS-COMMERCIAL AND INDUSTRIAL LOANS No
UBPRC399 2003-03-31 9999-12-31 SUBORDINATED SECURITIES AND OTHER RESIDUAL INTERESTS-ALL OTHER LOANS AND ALL LEASES No
UBPRC400 2003-03-31 9999-12-31 STANDBY LETTERS OF CREDIT AND OTHER ENHANCEMENTS- 1-4 FAMILY RESIDENTIAL LOANS No
UBPRC401 2003-03-31 9999-12-31 STANDBY LETTERS OF CREDIT AND OTHER ENHANCEMENTS - HOME EQUITY No
UBPRC402 2003-03-31 9999-12-31 STANDBY LETTERS OF CREDIT AND OTHER ENHANCEMENTS-CREDIT CARD RECEIVABLES No
UBPRC403 2003-03-31 9999-12-31 STANDBY LETTERS OF CREDIT AND OTHER ENHANCEMENTS-AUTO LOANS No
UBPRC404 2003-03-31 9999-12-31 STANDBY LETTERS OF CREDIT AND OTHER ENHANCEMENTS-OTHER CONSUMER LOANS No
UBPRC405 2003-03-31 9999-12-31 STANDBY LETTERS OF CREDIT AND OTHER ENHANCEMENTS-COMMERICAL AND INDUSTRIAL LOANS No
UBPRC406 2003-03-31 9999-12-31 STANDBY LETTERS OF CREDIT AND OTHER ENHANCEMENTS-ALL OTHER LOANS AND ALL LEASES No
UBPRC410 2006-09-30 9999-12-31 ADDITIONS TO NONACCRUAL ASSETS No
UBPRC411 2006-09-30 9999-12-31 NONACCRUAL ASSETS SOLD DURING THE QUARTER No
UBPRC588 2001-03-31 9999-12-31 ANY TIME DURING CALENDAR YEAR, DID THE INSTITUTION HAVE AN EDGE OR AGREEMENT CORPORATION ORGANIZED UNDER SECTION 25 OF THE FEDERAL RESERVE ACT AND SUBJECT TO FEDERAL REGULATION K? No
UBPRC595 2001-03-31 9999-12-31 WHAT IS THE NUMBER OF FOREIGN BRANCHES (OTHER THAN "SHELL" BRANCHES) OWNED BY THE INSTITUTION AS OF THE REPORT DATE? VALID VALUES ARE 0, 1 AND 2. IF THE NUMBER OF FOREIGN BRANCHES IS 2 OR MORE, ENTER THE VALUE 2. No
UBPRC752 2001-03-31 9999-12-31 REPORTING FORM NUMBER No
UBPRC968 2001-03-31 9999-12-31 CREDIT DERIVATIVES: NOTIONAL AMOUNTS-CREDIT DEFAULT SWAPS-GUARANTOR No
UBPRC969 2006-09-30 9999-12-31 CREDIT DERIVATIVES: NOTIONAL AMOUNTS - CREDIT DEFAULTS SWAPS - BENEFICIARY No
UBPRC970 2006-03-31 9999-12-31 CREDIT DERIVATIVES: NOTIONAL AMOUNTS-TOTAL RETURN SWAPS-GUARANTOR No
UBPRC971 2006-09-30 9999-12-31 CREDIT DERIVATIVES: NOTIONAL AMOUNTS-TOTAL RETURN SWAPS-BENEFICIARY No
UBPRC972 2006-09-30 9999-12-31 CREDIT DERIVATIVES: NOTIONAL AMOUNTS-CREDIT OPTIONS-GUARANTOR No
UBPRC973 2006-09-30 9999-12-31 CREDIT DERIVATIVES: NOTIONAL AMOUNTS-CREDIT OPTIONS-BENEFICIARY No
UBPRC974 2006-09-30 9999-12-31 CREDIT DERIVATIVES: NOTIONAL AMOUNTS- OTHER CREDIT DERIVATIVES-GUARANTOR No
UBPRC975 2006-09-30 9999-12-31 CREDIT DERIVATIVES: NOTIONAL AMOUNTS-OTHER CREDIT DERIVATIVES-BENEFICIARY No
UBPRC979 2006-03-31 9999-12-31 FORECLOSED PROPERTIES FROM "GNMA LOANS" No
UBPRD001 2001-12-31 9999-12-31 TOTAL OF INVESTMENT MANAGEMENT AGENCY ACCOUNTS MANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED No
UBPRD002 2001-12-31 2008-12-31 ANNUALIZED INCOME FROM PERSONAL TRUST AND AGENCIES AS A PERCENT OF MANAGED AND NONMANAGED ASSETS Yes
UBPRD002 2009-03-31 9999-12-31 ANNUALIZED INCOME FROM PERSONAL TRUST AND AGENCIES AS A PERCENT OF MANAGED AND NONMANAGED ASSETS No
UBPRD003 2001-12-31 2008-12-31 GROSS FIDUCIARY LOSSES ON MANAGED PERSONAL TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME Yes
UBPRD003 2009-03-31 9999-12-31 GROSS FIDUCIARY LOSSES ON MANAGED PERSONAL TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME No
UBPRD004 2001-12-31 2008-12-31 GROSS FIDUCIARY LOSSES ON NONMANAGED PERSONAL TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME Yes
UBPRD004 2009-03-31 9999-12-31 GROSS FIDUCIARY LOSSES ON NONMANAGED PERSONAL TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME No
UBPRD005 2001-12-31 2008-12-31 NET FIDUCIARY LOSSES ON ALL PERSONAL TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME Yes
UBPRD005 2009-03-31 9999-12-31 NET FIDUCIARY LOSSES ON ALL PERSONAL TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME No
UBPRD006 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL NUMBER PERSONAL TRUST AND AGENCY ACCOUNTS No
UBPRD007 2001-12-31 9999-12-31 TOTAL NUMBER OF PERSONAL TRUST AND AGENCY ACCOUNTS MANAGED TO TOTAL NUMBER PERSONAL AND AGENCY ACCOUNTS No
UBPRD008 2001-12-31 9999-12-31 TOTAL NUMBER OF PERSONAL TRUST AND AGENCY ACCOUNTS MANAGED AND NONMANAGED TO TOTAL NUMBER TRUST ASSETS MANAGED AND NONMANAGED No
UBPRD009 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL PERSONAL TRUST AND AGENCY ACCOUNTS No
UBPRD010 2001-12-31 9999-12-31 TOTAL OF PERSONAL TRUST AND AGENCY ACCOUNTS MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS No
UBPRD011 2001-12-31 9999-12-31 TOTAL OF PERSONAL TRUST AND AGENCY ACCOUNTS MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED No
UBPRD012 2001-12-31 2008-12-31 ANNUALIZED INCOME FROM OTHER RETIREMENT ACCOUNTS AS A PERCENT OF MANAGED AND NONMANAGED ASSETS Yes
UBPRD012 2009-03-31 9999-12-31 ANNUALIZED INCOME FROM OTHER RETIREMENT ACCOUNTS AS A PERCENT OF MANAGED AND NONMANAGED ASSETS No
UBPRD013 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF OTHER RETIREMENT ACCOUNTS MANAGED AND NONMANAGED No
UBPRD014 2001-12-31 9999-12-31 TOTAL NUMBER OF OTHER RETIREMENT ACCOUNTS MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS No
UBPRD015 2001-12-31 9999-12-31 TOTAL NUMBER OF OTHER RETIREMENT ACCOUNTS MANAGED AND NONMANAGED TO TOTAL NUMBER TRUST ASSETS MANAGED AND NONMANAGED No
UBPRD016 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN OTHER RETIREMENT ACCOUNTS MANAGED AND NONMANAGED No
UBPRD017 2001-12-31 9999-12-31 TOTAL OF OTHER RETIREMENT ACCOUNTS MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS No
UBPRD018 2001-12-31 9999-12-31 TOTAL OF OTHER RETIREMENT ACCOUNTS MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED No
UBPRD019 2001-12-31 2008-12-31 GROSS FIDUCIARY LOSSES ON MANAGED RETIREMENT RELATED TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME Yes
UBPRD019 2009-03-31 9999-12-31 GROSS FIDUCIARY LOSSES ON MANAGED RETIREMENT RELATED TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME No
UBPRD020 2001-12-31 2008-12-31 GROSS FIDUCIARY LOSSES ON NONMANAGED RETIREMENT RELATED TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME Yes
UBPRD020 2009-03-31 9999-12-31 GROSS FIDUCIARY LOSSES ON NONMANAGED RETIREMENT RELATED TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME No
UBPRD021 2001-12-31 2008-12-31 NET FIDUCIARY LOSSES ON ALL RETIREMENT TRUST AND AGENCY ACOCUNTS AS PERCENT OF RELATED INCOME Yes
UBPRD021 2009-03-31 9999-12-31 NET FIDUCIARY LOSSES ON ALL RETIREMENT TRUST AND AGENCY ACOCUNTS AS PERCENT OF RELATED INCOME No
UBPRD022 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL NUMBER FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED No
UBPRD023 2001-12-31 9999-12-31 TOTAL NUMBER OF ALL FIDUCIARY ACCOUNTS MANAGED TO TOTAL OTHER FIDUCIARY ACCOUNTS No
UBPRD024 2001-12-31 9999-12-31 TOTAL NUMBER OF ALL FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED TO TOTAL NUMBER FIDUCIARY ASSETS MANAGED AND NONMANAGED No
UBPRD025 2001-12-31 9999-12-31 ANNUALIZED INCOME FROM ALL FIDUCIARY ACCOUNTS AS PERCENT OF MANAGED AND NONMANAGED ASSETS No
UBPRD026 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED No
UBPRD027 2001-12-31 9999-12-31 TOTAL OF ALL FIDUCIARY ACCOUNTS MANAGED TO TOTAL OTHER FIDUCIARY ACCOUNTS No
UBPRD028 2001-12-31 9999-12-31 TOTAL OF ALL FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED TO TOTAL FIDUCIARY ASSETS MANAGED AND NONMANAGED No
UBPRD029 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL TRUST INCOME No
UBPRD030 2001-12-31 9999-12-31 TOTAL INCOME FROM ALL FIDUCIARY ACCOUNTS TO TOTAL INCOME FROM FIDUCIARY ASSETS No
UBPRD031 2001-12-31 9999-12-31 TOTAL NUMBER OF CORPORATE TRUST AND AGENCY ACCOUNTS MANAGED AND NONMANAGED No
UBPRD032 2001-03-31 9999-12-31 TOTAL OF CORPORATE TRUST AND AGENCY ACCOUNTS MANAGED AND NONMANAGED No
UBPRD033 2001-12-31 9999-12-31 TOTAL NUMBER OF EMPLOYEE BENEFIT DEFINED BENEFIT ACCOUNTS MANAGED AND NONMANAGED No
UBPRD034 2001-12-31 9999-12-31 TOTAL OF EMPLOYEE BENEFIT DEFINED BENEFIT ACCOUNTS MANAGED AND NONMANAGED No
UBPRD035 2001-12-31 9999-12-31 TOTAL NUMBER OF EMPLOYEE BENEFIT DEFINED CONTRIBUTION ACCOUNTS MANAGED AND NONMANAGED No
UBPRD036 2001-12-31 9999-12-31 TOTAL OF EMPLOYEE BENEFIT DEFINED CONTRIBUTION ACCOUNTS MANAGED AND NONMANAGED No
UBPRD037 2001-12-31 9999-12-31 MEMO TOTAL NUMBER OF ALL FIDUCUARY ACCOUNTS HELD IN FOREIGN OFFICES MANAGED AND NONMANAGED No
UBPRD038 2001-12-31 9999-12-31 MEMO TOTAL OF ALL FIDUCIARY ACCOUNTS HELD IN FOREIGN OFFICES MANAGED AND NONMANAGED No
UBPRD039 2001-12-31 9999-12-31 TOTAL NUMBER OF OTHER FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED No
UBPRD040 2001-12-31 9999-12-31 TOTAL OF OTHER FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED No
UBPRD041 2001-12-31 9999-12-31 TOTAL NUMBER OF PERSONAL TRUST AND AGENCY ACCOUNTS MANAGED AND NONMANAGED No
UBPRD042 2001-12-31 9999-12-31 TOTAL OF PERSONAL TRUST AND AGENCY ACCOUNTS MANAGED AND NONMANAGED No
UBPRD043 2001-12-31 9999-12-31 TOTAL NUMBER OF OTHER RETIREMENT ACCOUNTS MANAGED AND NONMANAGED No
UBPRD044 2001-12-31 9999-12-31 TOTAL OF OTHER RETIREMENT ACCOUNTS MANAGED AND NONMANAGED No
UBPRD045 2001-12-31 9999-12-31 TOTAL NUMBER OF ALL MANAGED AND NONMANAGED TRUST, AGENCY, AND OTHER FIDUCIARY ACCOUNTS No
UBPRD046 2001-12-31 9999-12-31 TOTAL OF ALL MANAGED AND NONMANAGED TRUST, AGENCY, AND OTHER FIDUCIARY ACCOUNTS No
UBPRD047 2001-03-31 9999-12-31 PAST DUE CREDIT CARD LOANS ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR CREDIT CARD LOANS No
UBPRD048 2001-03-31 9999-12-31 PAST DUE CREDIT CARD LOANS 90 DAYS AND ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR CREDIT CARD LOANS No
UBPRD049 2001-03-31 9999-12-31 CREDIT CARD LOANS 90 DAYS OR MORE PAST DUE AS A PERCENT OF CREDIT CARD LOANS THREE QUARTERS PRIOR No
UBPRD050 2001-03-31 9999-12-31 CREDIT CARD LOANS 30 TO 89 DAYS BY THREE QUARTERS PRIOR RE LOANS No
UBPRD051 2001-03-31 9999-12-31 PAST DUE LOANS TO INDIVIDUALS ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR LOANS TO INDIVIDUALS No
UBPRD052 2001-03-31 9999-12-31 PAST DUE LOANS TO INDIVIDUALS 90 DAYS AND ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR LOANS TO INDIVIDUALS No
UBPRD053 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS 30 TO 89 DAYS BY THREE QUARTERS PRIOR RE LOANS No
UBPRD054 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS 90 DAYS OR MORE PAST DUE No
UBPRD055 2001-03-31 9999-12-31 PAST DUE REAL ESTATE LOANS ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR REAL ESTATE LOANS No
UBPRD056 2001-03-31 9999-12-31 PAST DUE RE LOANS 90 DAYS AND ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR RE LOANS No
UBPRD057 2001-03-31 9999-12-31 REAL ESTATE LOANS 30 TO 89 DAYS BY THREE QUARTERS PRIOR RE LOANS No
UBPRD058 2001-03-31 9999-12-31 INSTITUTION REAL ESTATE LOANS 90 DAYS OR MORE PAST DUE No
UBPRD059 2001-03-31 9999-12-31 CREDIT CARD INSTITUTION No
UBPRD060 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE TOTAL CREDIT CARD LOANS AND LEASES TO FIVE PERIOD AVERAGE TOTAL LOANS AND LEASES No
UBPRD061 2001-03-31 9999-12-31 INSTITUTION PROVISION FOR POSSIBLE LOANS AND LEASE LOSSES BY TOTAL CALENDAR YEAR AVERAGE LOANS AND LEASE FINANCING RECEIVABLES No
UBPRD062 2001-03-31 9999-12-31 PAST DUE GROSS LOANS AND LEASES ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR GROSS LOANS AND LEASES No
UBPRD063 2001-03-31 9999-12-31 PAST DUE TOTAL LOANS 90 DAYS AND ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR TOTAL LOANS No
UBPRD064 2001-03-31 9999-12-31 GROSS LOANS AND LEASES 90 DAYS OR MORE PAST DUE No
UBPRD065 2001-03-31 9999-12-31 GROSS LOANS AND LEASES 30 TO 89 DAYS BY THREE QUARTERS PRIOR RE LOANS No
UBPRD066 2001-03-31 9999-12-31 INSTITUTION TOTAL LOANS AND LEASES FIVE PERIOD AVERAGE PLUS SECURITIZED CREDIT CARD LOANS FIVE PERIOD AVERAGE BY TOTAL ASSETS FIVE PERIOD AVERAGE No
UBPRD067 2001-03-31 9999-12-31 INSTITUTION OTHER BORROWINGS WITH MATURITIES GREATER THAN ONE YEAR BY CALENDAR YEAR TOTAL ASSETS No
UBPRD068 2001-03-31 9999-12-31 CONSTRUCTION AND LAND DEVELOPMENT REAL ESTATE LOANS No
UBPRD069 2001-03-31 9999-12-31 CONSTRUCTION AND LAND DEVELOPMENT REAL ESTATE LOANS IN DOMESTIC OFFICES THAT ARE 90 DAYS OR MORE PAST DUE No
UBPRD070 2001-03-31 9999-12-31 LOANS TO FINANCE COMMERCIAL REAL ESTATE, CONSTRUCTION, AND LAND DEVELOPMENT ACTIVITIES IN NONACCRUAL STATUS No
UBPRD071 2001-03-31 9999-12-31 LOANS TO FINANCE COMMERCIAL REAL ESTATE, CONSTRUCTION AND LAND DEVELOPMENT ACTIVITIES (NOT SECURED BE REAL ESTATE) THAT ARE PAST DUE 90 DAYS No
UBPRD072 2001-03-31 9999-12-31 REVOLVING, OPEN-END LOANS SECURED BY 1 TO 4 FAMILY THAT ARE PAST DUE 90 DAYS OR MORE No
UBPRD073 2001-03-31 9999-12-31 ALL OTHER LOANS SECURED BY 1 TO 4 FAMILY RESIDENTIAL THAT ARE PAST DUE 90 DAYS OR MORE No
UBPRD074 2001-03-31 9999-12-31 LOANS SECURED BY REAL ESTATE IN DOMESTIC OFFICES THAT ARE 90 DAYS PAST DUE No
UBPRD075 2001-03-31 9999-12-31 DOMESTIC OFFICE LOANS SECURED BY NONFARM NONRESIDENTIAL PROPERTIES THAT ARE IN A NONACCRUAL STATUS No
UBPRD076 2001-03-31 9999-12-31 DOMESTIC OFFICE LOANS SECURED BY NONFARM NONRESIDENTIAL PROPERTIES PAST DUE 90 DAYS OR MORE No
UBPRD077 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF TOTAL OTHER LIABILITIES No
UBPRD078 2001-03-31 9999-12-31 DEPOSITS IN FOREIGN OFFICES No
UBPRD079 2001-03-31 9999-12-31 INSTITUTION INTANGIBLE ASSETS AMOUNT No
UBPRD080 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE INTANGIBLE ASSETS No
UBPRD081 2001-03-31 9999-12-31 INSTITUTION NONINTEREST BEARING ASSET AMOUNT No
UBPRD082 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE NONINTEREST BEARING ASSETS No
UBPRD083 2001-03-31 9999-12-31 TOTAL OTHER ASSETS No
UBPRD084 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF ACCEPTANCES OUTSTANDING, INVESTMENTS IN UNCONSOLIDATED SUBSIDIARIES, OTHER ASSETS AND INTANGIBLE ASSETS No
UBPRD085 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE ASSETS No
UBPRD086 2001-03-31 9999-12-31 INSTITUTION ASSETS CALENDAR YEAR AVERAGE RC K AMOUNT No
UBPRD087 2001-03-31 9999-12-31 YEARLY CHANGE IN TOTAL ASSETS, USED FOR YEARLY GROWTH RATE RATIO No
UBPRD088 2001-03-31 9999-12-31 PRIOR YEAR TOTAL ASSETS, USED FOR YEARLY GROWTH RATE RATIO No
UBPRD089 2001-03-31 9999-12-31 TOTAL ASSETS FIVE PERIOD AVERAGE PLUS SECURITIZED CREDIT CARD LOANS FIVE PERIOD AVERAGE No
UBPRD090 2001-03-31 9999-12-31 TROUBLED ASSETS No
UBPRD091 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE INTEREST BEARING BALANCE No
UBPRD092 2001-03-31 9999-12-31 TOTAL EQUITY CAPITAL PLUS ALLOWANCE FOR LOANS AND LEASE LOSSES No
UBPRD093 2001-03-31 9999-12-31 TOTAL CASH DEPOSITS FOR THE CONSOLIDATED BANK No
UBPRD094 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE NONINTEREST BEARING CASH No
UBPRD095 2001-03-31 9999-12-31 PAST DUE CREDIT CARD LOANS 90 DAYS AND ON NONACCRUAL BASIS No
UBPRD096 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE BROKERED DEPOSITS No
UBPRD097 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE INSURED BROKERED DEPOSITS GREATER THAN 100 No
UBPRD098 2001-03-31 9999-12-31 BROKERED DEPOSITS MATURING LESS THAN ONE YEAR No
UBPRD099 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE INSURED BROKERED DEPOSITS LESS THAN 100 No
UBPRD100 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE INSURED BROKERED DEPOSITS No
UBPRD101 2001-03-31 9999-12-31 CORE DEPOSITS No
UBPRD102 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE DEMAND DEPOSITS No
UBPRD103 2001-03-31 9999-12-31 TOTAL FOREIGN OFFICE DEPOSITS FIVE PERIOD AVERAGE No
UBPRD104 2001-03-31 9999-12-31 TOTAL NONMATURITY DEPOSITS No
UBPRD105 2001-03-31 9999-12-31 INSTITUTION TOTAL DEPOSITS FIVE PERIOD AVERAGE AMOUNT No
UBPRD106 2001-03-31 9999-12-31 INSTITUTION BANK HOLDING BANKERS ACCEPTANCE CREATE BY OTHER BANKS AND NOT HELD TRADING ACCOUNT AMOUNT No
UBPRD107 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE DOMESTIC ACCEPTANCES OF OTHER BANKS No
UBPRD108 2001-03-31 9999-12-31 TOTAL EQUITY CAPITAL AND LIMITED-LIFE PREFERRED STOCK CALENDAR YEAR AVERAGE No
UBPRD109 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE FEDERAL FUNDS SOLD AND SECURITIES PURCHASED UNDER AGREEMENTS TO REPURCHASE No
UBPRD110 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE FEDERAL FUNDS SOLD No
UBPRD111 2001-03-31 9999-12-31 FHLB AVDANCES THAT MATURE IN OVER 1 YEAR No
UBPRD112 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE BANK PREMISES AND FIXED ASSETS No
UBPRD113 2001-03-31 9999-12-31 INSTITUTION TOTAL INVESTMENT SUBSIDIARIES AND OTHER ASSET AMOUNT No
UBPRD114 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE ACCEPTANCES OUTSTANDING, INVESTMENTS IN UNCONSOLIDATED SUBSIDIARIES AND OTHER ASSETS No
UBPRD115 2001-03-31 9999-12-31 TOTAL LIABILITIES, MORTGAGE INDEBTEDNESS AND CAPITALIZED LEASES CALENDAR YEAR AVERAGE No
UBPRD116 2001-03-31 9999-12-31 TOTAL LIABILITIES (INCLUDING SUBORDINATED NOTES AND DEBENTURES) No
UBPRD117 2001-03-31 9999-12-31 TOTAL DEMAND NOTES ISSUED TO THE US TREASURY, OTHER LIABILITIES FOR BORROWED MONEY AND TRADING LIABILITIES No
UBPRD118 2001-03-31 9999-12-31 OTHER LIABILITIES No
UBPRD119 2001-03-31 9999-12-31 INSTITUTION TOTAL LIABILITIES EXCLUDING MORTGAGE INDEBTEDNESS AMOUNT No
UBPRD120 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE AGRICULTURAL LOANS No
UBPRD121 2001-03-31 9999-12-31 INSTITUTION AGRICULTURE LOAN LOSS AMOUNT No
UBPRD122 2001-03-31 9999-12-31 PAST DUE AGRICULTURAL LOANS 90 DAYS OR MORE PAST DUE. No
UBPRD123 2001-03-31 9999-12-31 PAST DUE AGRICULTURAL LOANS 30 TO 89 DAYS PAST DUE No
UBPRD124 2001-03-31 9999-12-31 AVERAGE AGRICULTURAL LOANS No
UBPRD125 2001-03-31 9999-12-31 LOANS FOR COMMERCIAL AND INDUSTRIAL PURPOSES No
UBPRD126 2001-03-31 9999-12-31 DOMESTIC COMMERCIAL AND INDUSTRIAL LOANS FROM SCHEDULE RC-C No
UBPRD127 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE DOMESTIC COMMERCIAL AND INDUSTRIAL LOANS No
UBPRD128 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE COMMERCIAL AND INDUSTRIAL LOANS No
UBPRD129 2001-03-31 9999-12-31 A NUMBER CORRESPONDING TO AN EVENT THAT CAUSES CHANGES TO ENTITY ACTIVITIES OR OWNERSHIP OVER TIME. No
UBPRD130 2001-03-31 9999-12-31 COMMERICAL AND ALL OTHER LOANS FOUR PERIOD AVERAGE No
UBPRD131 2001-03-31 9999-12-31 INSTITUTION TOTAL NET CHARGED OFF COMMERCIAL AND LOANS TO ALLOWANCE LOAN AND LEASE LOSSES INCLUDE OTHER LOANS IN AMOUNT No
UBPRD132 2001-03-31 9999-12-31 COMMERCIAL AND INDUSTRIAL LOANS IN NONACCRUAL STATUS No
UBPRD133 2001-03-31 9999-12-31 COMMERCIAL AND INDUSTRIAL LOANS IN NONACCRUAL STATUS FROM SCHEDULE RC-N No
UBPRD134 2001-03-31 9999-12-31 INSTITUTION 30 TO 89 DAYS PAST DUE COMMERCIAL AND INDUSTRIAL LOANS AMOUNT No
UBPRD135 2001-03-31 9999-12-31 INSTITUTION 90 PLUS DAYS PAST DUE COMMERCIAL AND INDUSTRIAL LOANS AMOUNT No
UBPRD136 2001-03-31 9999-12-31 TOTAL COMMERCIAL AND INDUSTRIAL LOANS PAST DUE 30 THROUGH 89 DAYS AND STILL ACCRUING INTEREST No
UBPRD137 2001-03-31 9999-12-31 TOTAL COMMERCIAL AND INDUSTRIAL LOANS PAST DUE 90 DAYS OR MORE AND STILL ACCRUING INTEREST No
UBPRD138 2001-03-31 9999-12-31 TOTAL COMMERCIAL AND INDUSTRIAL LOANS NONCURRENT No
UBPRD139 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE COMMERCIAL LOANS No
UBPRD140 2001-03-31 9999-12-31 INSTITUTION CONSUMER LOANS AMOUNT No
UBPRD141 2001-03-31 9999-12-31 INSTITUTION MUNICIPAL No
UBPRD142 2001-03-31 9999-12-31 INSTITUION AVERAGE LOANS AMOUNT No
UBPRD143 2001-03-31 9999-12-31 AVERAGE DOMESTIC CREDIT CARD LOANS No
UBPRD144 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE OF QUARTERLY DOMESTIC CREDIT CARD LOANS No
UBPRD145 2001-03-31 9999-12-31 CALENDAR YEAR AVERAGE OF DOMESTIC CONSUMER LOANS No
UBPRD146 2001-03-31 9999-12-31 CONSUMER LOANS No
UBPRD147 2001-03-31 9999-12-31 INSTITUTION CREDIT CARD LOAN NET CHARGE OFFS AMOUNT No
UBPRD148 2001-03-31 9999-12-31 CREDIT CARD LOANS THREE QUARTERS PRIOR No
UBPRD149 2001-03-31 9999-12-31 CONSTRUCTION AND LAND DEVELOPMENT REAL ESTATE LOANS 90 DAYS OR MORE PAST DUE No
UBPRD150 2001-03-31 9999-12-31 INSTITUTION NET CHARGED OFF CONSTRUCTION AND LAND DEVELOPMENT REAL ESTATE LOANS AS ONLY AND IN CHARGED OFF AND RECOVERED LOANS SECURED BY RE No
UBPRD151 2001-03-31 9999-12-31 INSTITUTION LOANS CALENDAR YEAR AVERAGE AMOUNT No
UBPRD152 2001-03-31 9999-12-31 DOMESTIC OFFICE LEASE FINANCING RECEIVABLES FROM SCHEDULE RC-C No
UBPRD153 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE DOMESTIC LOANS No
UBPRD154 2001-03-31 9999-12-31 INSTITUTION AVERAGE LOANS DOMESTIC AMOUNT No
UBPRD155 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE OTHER DOMESTIC LOANS No
UBPRD156 2001-03-31 9999-12-31 INSTITUTION MUNICIPAL LOANS DOMESTIC AMOUNT No
UBPRD157 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE DOMESTIC OBLIGATIONS OF STATES AND POLITICAL SUBDIVISIONS No
UBPRD158 2001-03-31 9999-12-31 AVERAGE DOMESTIC LOANS No
UBPRD159 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE FARM LOANS No
UBPRD160 2001-03-31 9999-12-31 INSTITUTION NET CHARGED OFF LOANS SECURED BY FARMLAND AS ONLY AND IN CHARGED OFF AND RECOVERED LOANS SECURED BY REAL ESTATE AMOUNT No
UBPRD161 2001-03-31 9999-12-31 TWELVE PERIOD AVERAGE LOANS TO FOREIGN GOVERNMENTS AND OFFICIAL INSTITUTIONS No
UBPRD162 2001-03-31 9999-12-31 INSTITUTION NET CHARGED OFF LOANS TO FOREIGN GOVERNMENTS AND OFFICIAL INSTITUTIONS TO ALLOWANCE LOAN AND LEASE LOSSES No
UBPRD163 2001-03-31 9999-12-31 NONCURRENT FOREIGN GOVERNMENT LOANS No
UBPRD164 2001-03-31 9999-12-31 CODE DERIVED FROM THE NUMERIC IDENTIFIER ASSIGNED TO THE INSTITUTION THAT, IN CONJUNCTION WITH THE ASSET PEER GROUP CODE, FURTHER IDENTIFIES THE ASSET PEER GROUP TO WHICH THE INSTITUTION BELONGS. No
UBPRD165 2001-03-31 9999-12-31 INSTITUTION NET CHARGED OFF LOANS TO FINANCE COMMERCIAL REAL AND LAND DEVELOPMENT SECURED BY REAL AS ONLY AND AMOUNT CHRGED OFF AND RECOVERIES No
UBPRD166 2001-03-31 9999-12-31 TOTAL LOANS TO FINANCE COMMERCIAL REAL ESTATE, CONSTRUCTION, AND LAND DEVELOPMENT ACTIVITIES 90 DAYS OR MORE PAST DUE No
UBPRD167 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF LOANS TO FINANCE COMMERCIAL REAL ESTATE No
UBPRD168 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE LOANS HELD FOR SALE No
UBPRD169 2001-03-31 9999-12-31 90 DAY AVERAGE LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY AND OTHER PERSONAL EXPENDITURES No
UBPRD170 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE LOANS TO INDIVIDUALS No
UBPRD171 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE ON QUARTERLY DOMESTIC LOANS TO INDIVIDUALS No
UBPRD172 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE LOANS TO INDIVIDUALS No
UBPRD173 2001-03-31 9999-12-31 INSTITUTION DEPOSITORY LOANS TO INSTITUTIONS HELD IN DOMESTIC OFFICES. No
UBPRD174 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE DOMESTIC INSTITUTION LOANS No
UBPRD175 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS No
UBPRD176 2001-03-31 9999-12-31 AVERAGE ON DOMESTIC LOANS TO INDIVIDUALS No
UBPRD177 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE DOMESTIC LOANS TO INDIVIDUALS No
UBPRD178 2001-03-31 9999-12-31 TOTAL CREDIT CARD FIVE PERIOD AVERAGE No
UBPRD179 2001-03-31 9999-12-31 INSTITUTION CONSUMER LOAN NET CHARGE OFFS AMOUNT No
UBPRD180 2001-03-31 9999-12-31 NONACCRUAL OTHER LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY AND OTHER PERSONAL EXPENDITURES No
UBPRD181 2001-03-31 9999-12-31 OTHER LOANS TO INDIVIDUALS 90 DAYS OR MORE PAST DUE AND STILL ACCRUING INTEREST No
UBPRD182 2001-03-31 9999-12-31 OTHER LOANS TO INDIVIDUALS 30 TO 89 DAYS PAST DUE No
UBPRD183 2001-03-31 9999-12-31 PAST DUE LOANS TO INDIVIDUALS 90 DAYS AND ON NONACCRUAL BASIS No
UBPRD184 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS THREE QUARTERS PRIOR No
UBPRD185 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF CONSTRUCTION AND LAND DEVELOPMENT LOANS No
UBPRD186 2001-03-31 9999-12-31 THE NUMERIC IDENTIFIER ASSIGNED TO THE INSTITUTION THAT, IN CONJUNCTION WITH THE ASSET PEER GROUP CODE, FURTHER IDENTIFIES THE ASSET PEER GROUP TO WHICH THE INSTITUTION BELONGS. No
UBPRD187 2001-03-31 9999-12-31 AGRICULTURAL LOANS PAST DUE 90 DAYS OR MORE AND NONACCRUAL No
UBPRD188 2001-03-31 9999-12-31 TOTAL LOANS SECURED BY REAL ESTATE No
UBPRD189 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF REAL ESTATE LOANS SECURED BY JUNIOR LIENS No
UBPRD190 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF 1 TO 4 FAMILY REVOLVING LINES No
UBPRD191 2001-03-31 9999-12-31 INSTITUTION REAL ESTATE 1 TO 4 FAMILY OTHER LOANS AMOUNT No
UBPRD192 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF OTHER LOANS SECURED BY 1 TO 4 FAMILY No
UBPRD193 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE OF QUARTERLY LOANS SECURED BY REAL ESTATE No
UBPRD194 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE TOTAL DOMESTIC REAL ESTATE LOANS No
UBPRD195 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF SINGLE AND MULTIFAMILY REAL ESTATE LOANS No
UBPRD196 2001-03-31 9999-12-31 LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTY LOANS No
UBPRD197 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF LOANS SECURED BY FARMLAND No
UBPRD198 2001-03-31 9999-12-31 REAL ESTATE LOANS IN FOREIGN OFFICES FOR FFIEC 031 FILERS No
UBPRD199 2001-03-31 9999-12-31 NET CHARGED OFF LOANS SECURED BY REAL ESTATE LOANS IN FOREIGN OFFICES No
UBPRD200 2001-03-31 9999-12-31 INSTITUTION TOTAL NET CHARGED OFF LOANS SECURED BY REAL ESTATE TO ALLOWANCE LOAN AND LEASE LOSSES AMOUNT No
UBPRD201 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF REAL ESTATE LOANS SECURED BY MULTIFAMILY (5 OR MORE) RESIDENTIAL PROPERTIES No
UBPRD202 2001-03-31 9999-12-31 PAST DUE REAL ESTATE LOANS ON NONACCRUAL BASIS No
UBPRD203 2001-03-31 9999-12-31 INSTITUTION NONACCRUAL REAL ESTATE LOANS AMOUNT No
UBPRD204 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF NONFARM NONRESIDENTIAL LOANS No
UBPRD205 2001-03-31 9999-12-31 INSTITUTION 30 TO 89 DAYS PAST DUE REAL ESTATE LOANS AMOUNT No
UBPRD206 2001-03-31 9999-12-31 INSTITUTION 90 PLUS DAYS PAST DUE REAL ESTATE LOANS AMOUNT No
UBPRD207 2001-03-31 9999-12-31 LOANS SECURED BY CONSTRUCTION AND LAND DEVELOPMENT PAST DUE 90 DAYS OR MORE No
UBPRD208 2001-03-31 9999-12-31 REAL ESTATE LOANS 30 TO 89 DAYS PAST DUE No
UBPRD209 2001-03-31 9999-12-31 REAL ESTATE LOANS 90 DAYS OR MORE PAST DUE No
UBPRD210 2001-03-31 9999-12-31 PAST DUE REAL ESTATE LOANS 90 DAYS AND ON NONACCRUAL BASIS No
UBPRD211 2001-03-31 9999-12-31 AVERAGE DOMESTIC REAL ESTATE LOANS ONE QUARTER ADJUSTED FOR PUSHDOWN ACCOUNTING No
UBPRD212 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE QUARTERLY REAL ESTATE LOANS No
UBPRD213 2001-03-31 9999-12-31 BALANCE AT END OF PERIOD/CHANGES IN TOTAL EQUITY ($000) No
UBPRD214 2001-03-31 9999-12-31 REAL ESTATE LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES No
UBPRD215 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE REAL ESTATE LOANS ON 1 TO 4 FAMILY RESIDENTIAL PROPERTIES No
UBPRD216 2001-03-31 9999-12-31 REAL ESTATE LOANS THREE QUARTERS PRIOR No
UBPRD217 2001-03-31 9999-12-31 AVERAGE DOMESTIC REAL ESTATE LOANS No
UBPRD218 2001-03-31 9999-12-31 THE TOTAL NUMBER OF FULL SERVICE DOMESTIC BRANCHES (INCLUDING THE MAIN OFFICE) OPERATED IN THE US BY AN INSTITUTION AS OF A SPECIFIC REPORTING DATE No
UBPRD219 2001-03-31 9999-12-31 INSTITUTION NET CHARGED OFF OPEN END LOANS SECURED BY 1 TO 4 FAMILY RESIDENTIAL AND EXTENDED LINES OF CREDIT AS ONLY AND AMOUNT IN CHARGED ONLY No
UBPRD220 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE REAL ESTATE 1 TO 4 FAMILY FIRST LIENS No
UBPRD221 2001-03-31 9999-12-31 INSTITUTION RESIDENTIAL REAL ESTATE LOAN NET CHARGE OFFS AMOUNT No
UBPRD222 2001-03-31 9999-12-31 INSTITUTION NET CHARGED OFF OR RESIDENTIAL AS ONLY AND IN CHARGED OFF AND RECOVERED LOANS SECURED BY REAL ESTATE AMOUNT No
UBPRD223 2001-03-31 9999-12-31 INSTITUTION TOTAL NONFARM NONRESIDENTIAL LOANS SECURED BY REAL ESTATE 90 DAYS OR MORE PAST DUE AND NONACCRUAL HELD IN DOMESTIC OFFICES No
UBPRD224 2001-03-31 9999-12-31 INSTITUTION NONFARM NON RESIDENTIAL REAL ESTATE LOAN NET CHARGE OFF AMOUNT No
UBPRD225 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE LOANS SECURED BY REAL ESTATE No
UBPRD226 2001-03-31 9999-12-31 5-15YEAR CLOSED END LOANS SECURED BY FIRST LIENS ON 1-4 FAMILY RESIDENTIAL PROPERTIES No
UBPRD227 2001-03-31 9999-12-31 OVER 15 YEAR FIRST LIEN AND PASS THRU BACKED 1-4 FAMILY No
UBPRD228 2001-03-31 9999-12-31 TOTAL FIRST LIENS AND PASS THRU BACKED 1-4 FAMILY No
UBPRD229 2001-03-31 9999-12-31 INSTITUTION NET SINGLE AND MULTIFAMILY REAL ESTATE LOAN AND LEASE LOSSES AMOUNT No
UBPRD230 2001-03-31 9999-12-31 INSTITUTION REVOLVING OPEN END LOANS SECURED BY 1 TO 4 FAMILY RESIDENTIAL PROPERTY PLUS LOANS TO FINANCE COMMERCIAL REAL ESTATE AND LAND DEV No
UBPRD231 2001-03-31 9999-12-31 INSTITUTION REVOLVING OPEN END LOANS SECURED BY 1 TO 4 FAMILY RESIDENTIAL PROPERTY PLUS CLOSED END LOANS SECURED BY 1 TO 4 FAMILY RESIDENTIA No
UBPRD232 2001-03-31 9999-12-31 OBLIGATIONS (OTHER THAN SECURITIES) OF STATES AND POLITICAL SUBDIVISIONS IN THE US No
UBPRD233 2001-03-31 9999-12-31 INSTITUTION TOTAL FOREIGN OFFICE LOANS AMOUNT No
UBPRD234 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE TOTAL FOREIGN OFFICE LOANS No
UBPRD235 2001-03-31 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES No
UBPRD236 2001-03-31 9999-12-31 INSTITUTION ANNUALIZED NET LOANS AND LEASE FINANCING RECEIVABLE CHARGEOFFS No
UBPRD237 2001-03-31 9999-12-31 INSTITUTION PREVIOUS DECEMBER LOANS AND LEASE FINANCING RECEIVABLES CHARGE OFFS No
UBPRD238 2001-03-31 9999-12-31 TOTAL CREDIT CARD LOANS AND LEASES FIVE PERIOD AVERAGE PLUS SECURITIZED CREDIT CARD LOANS FIVE PERIOD AVERAGE No
UBPRD239 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE LOANS TO INDIVIDUALS THAT HAVE BEEN SECURITIZED AND SOLD No
UBPRD240 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS THAT HAVE BEEN SECURITIZED AND SOLD No
UBPRD241 2001-03-31 9999-12-31 TOTAL LOANS AND LEASES FIVE PERIOD AVERAGE PLUS SECURITIZED CREDIT CARD LOANS FIVE PERIOD AVERAGE No
UBPRD242 2001-03-31 9999-12-31 INSTITUTION LOANS AND LEASES PLUS UNEARNED INCOME FIVE PERIOD AVERAGE AMOUNT No
UBPRD243 2001-03-31 9999-12-31 GROSS LOANS AND LEASES THREE QUARTERS PRIOR No
UBPRD244 2002-03-31 9999-12-31 AVERAGE LOANS HELD FOR SALE USING THE FIVE PERIOD AVERAGE FUNCTION. AVAILABLE FROM MARCH 31, 2002 FORWARD. No
UBPRD245 2001-03-31 9999-12-31 TOTAL LOANS AND LEASES, NET OF UNEARNED INCOME No
UBPRD246 2001-03-31 9999-12-31 TOTAL LOANS AND LEASE FINANCING RECEIVABLE INCOME No
UBPRD247 2001-03-31 9999-12-31 INSTITUTION NET OTHER LOAN AND LEASE LOSSES AMOUNT No
UBPRD248 2001-03-31 9999-12-31 NET LOAN AND LEASE LOSSES AVERAGE ONE QUARTER No
UBPRD249 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE NET LOANS AND LEASE FINANCING RECEIVABLES No
UBPRD250 2001-03-31 9999-12-31 YEARLY CHANGE IN NET LOANS AND LEASES, USED FOR YEARLY GROWTH RATE RATIO No
UBPRD251 2001-03-31 9999-12-31 PRIOR YEAR NET LOANS AND LEASES, USED FOR YEARLY GROWTH RATE RATIO No
UBPRD252 2002-03-31 9999-12-31 LOANS AND LEASES NOT HELD FOR SALE USING 5 PERIOD AVERAGE. No
UBPRD253 2001-03-31 9999-12-31 OTHER REAL ESTATE OWNED PLUS NON PERFORMING LOANS PLUS RESTRUCTURED No
UBPRD254 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OTHER DOMESTIC LOANS AND LEASE FINANCING RECEIVABLES No
UBPRD255 2001-03-31 9999-12-31 CALENDAR YEAR AVERAGE OTHER LOANS AND LEASE FINANCING RECEIVABLES No
UBPRD256 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASE FINANCING RECEIVABLES IN NONACCRUAL STATUS No
UBPRD257 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASE FINANCING RECEIVABLES PAST DUE 30-89 DAYS OR MORE No
UBPRD258 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASE FINANCING RECEIVABLES PAST DUE 90 DAYS OR MORE No
UBPRD259 2001-03-31 9999-12-31 INSTITUTION NONCURRENT LOANS AND LEASE FINANCING RECEIVABLES No
UBPRD260 2001-03-31 9999-12-31 INSTITUTION TOTAL PAST DUE AND NON ACCRUAL LOANS AND LEASE FINANCING RECEIVABLES No
UBPRD261 2001-03-31 9999-12-31 LOANS & LEASES PD 90 DAYS AND OVER PLUS LOANS & LEASES ON NONACCRUAL PLUS NON-INVESTMENT ORE OWNED No
UBPRD262 2001-03-31 9999-12-31 INSTITUTION NONCURRENT RESTRUCTURED LOANS AND LEASE FINANCING RECEIVABLES No
UBPRD263 2001-03-31 9999-12-31 NONCURRENT RESTRUCTURED LOANS AND LEASES No
UBPRD264 2001-03-31 9999-12-31 5 TO 15 YEAR OTHER LOAN AND LEASES AND SECURITIES OTHER THAN CLOSED END LOANS SECURED BY 1-4 FAMILY No
UBPRD265 2001-03-31 9999-12-31 OVER 15YR OTHER LOAN AND LEASES AND OTHER SECURITIES OTHER THAN CLOSED END SECURED BY FIRST LIENS ON 1-4 FAMILY No
UBPRD266 2001-03-31 9999-12-31 TOTAL OTHER LOANS AND LEASES AND OTHER SECURITIES OTHER THAN CLOSED END SECURED BY FIRST LIENS ON 1-4 FAMILY No
UBPRD267 2001-03-31 9999-12-31 OVER 15 YEAR LOAN AND LEASES AND SECURITIES No
UBPRD268 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE TOTAL LOANS AND LEASES, NET OF UNEARNED INCOME No
UBPRD269 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE TOTAL LOANS LESS FIVE PERIOD AVERAGE LEASE FINANCING RECEIVABLES No
UBPRD270 2001-03-31 9999-12-31 TOTAL LOANS AND LEASES PLUS NON-INVESTMENT OTHER REAL ESTATE OWNED No
UBPRD271 2001-03-31 9999-12-31 UNPAID BALANCE OF ALL LOANS CONSIDERED RENEGOTIATED TROUBLED DEBT AND ON WHICH INTEREST IS BEING ACCRUED No
UBPRD272 2001-03-31 9999-12-31 INSTITUTION LEASE FINANCING RECEIVABLE CALENDAR YEAR AVERAGE AMOUNT No
UBPRD273 2001-03-31 9999-12-31 INSTITUTION TOTAL NET CHARGED OFF LEASE FINANCING RECEIVABLES TO ALLOWANCE LOAN AND LEASE LOSSES AMOUNT No
UBPRD274 2001-03-31 9999-12-31 THE OUTSTANDING BOOK VALUE OF LEASE FINANCING RECEIVABLES No
UBPRD275 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF LEASE FINANCING RECEIVABLES No
UBPRD276 2001-03-31 9999-12-31 OUTSTANDING BALANCE OF LEASE FINANCING RECEIVABLES PLACED IN A NONACCRUAL STATUS No
UBPRD277 2001-03-31 9999-12-31 INSTITUTION NONCURRENT LEASE FINANCING RECEIVABLES No
UBPRD278 2001-03-31 9999-12-31 LEASE FINANCING RECEIVABLES PAST-DUE 90 DAYS OR MORE No
UBPRD279 2001-03-31 9999-12-31 NSTITUTION 30 TO 89 DAYS PAST DUE LEASES AMOUNT No
UBPRD280 2001-03-31 9999-12-31 INSTITUTION SINGLE AND MULTI FAMILY REAL ESTATE LOANS TOTAL NON CURRENT AMOUNT No
UBPRD281 2001-03-31 9999-12-31 INSTITUTION SINGLE AND MULTI FAMILY REAL ESTATE LOANS 30-89 DAYS PAST DUE AMOUNT No
UBPRD282 2001-03-31 9999-12-31 NINETY PERCENT OF FAIR VALUE OF MORTGAGE SERVICING ASSETS No
UBPRD283 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE TOTAL NOW AND ATS ACCOUNTS No
UBPRD284 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE MONEY MARKET DEPOSIT ACCOUNT No
UBPRD285 2001-03-31 9999-12-31 INSTITUTIONS FIVE PERIOD AVERAGE TOTAL OTHER SAVINGS DEPOSITS No
UBPRD286 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE OTHER REAL ESTATE OWNED 1 TO 4 FAMILY RESIDENTIAL PROPERTIES No
UBPRD287 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE OTHER REAL ESTATE OWNED No
UBPRD288 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE OTHER REAL ESTATE OWNED CONSTRUCTION AND LAND DEVELOPMENT No
UBPRD289 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE OTHER REAL ESTATE OWNED FARMLAND No
UBPRD290 2001-03-31 9999-12-31 CALENDAR YEAR AVERAGE FOR ALL OTHER REAL ESTATE OWNED HELD IN FOREIGN OFFICES No
UBPRD291 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE OTHER REAL ESTATE OWNED MULTIFAMILY RESIDENTIAL PROPERTIES No
UBPRD292 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE OTHER REAL ESTATE OWNED NON FARM NON RESIDENTIAL No
UBPRD293 2001-03-31 9999-12-31 FLAG THAT IDENTIFIES IF THE INSTITUTION IS FOREIGN OR DOMESTIC BASED ON FOREIGN BRANCHS, AGREEMENT EDGE FLAG AND IBF FLAG. No
UBPRD294 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE OTHER REAL ESTATE OWNED AND OTHER REAL ESTATE NON INVESTMENT PROPERTY No
UBPRD295 2001-03-31 9999-12-31 OTHER BORROWED MONEY MATURING OVER ONE YEAR No
UBPRD296 2001-03-31 9999-12-31 OTHER BORROWINGS MATURING MORE THAN ONE YEAR AND TRADING LIABILITIES. No
UBPRD297 2001-03-31 9999-12-31 INSTITUTION FIVE YEAR AVERAGE OTHER BORROWINGS WITH MATURITIES GREATER THAN ONE YEAR No
UBPRD298 2001-03-31 9999-12-31 OTHER DOMESTIC LOANS No
UBPRD299 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE OTHER REAL ESTATE OWNED NON INVESTMENT PROPERTY No
UBPRD300 2005-12-31 9999-12-31 FORECLOSED PROPERTY FROM GNMA LOANS No
UBPRD301 2006-03-31 9999-12-31 PROPERTY FORECLOSED UNDER GNMA USING FIVE PERIOD CALENDAR YEAR AVERAGE No
UBPRD302 2001-03-31 9999-12-31 TOTAL OF LOANS SECURED BY FARMLAND, MULTIFAMILY PROPERTIES AND NONFARM NONRESIDENTIAL PROPERTIES No
UBPRD303 2001-03-31 9999-12-31 INSTITUTION OTHER REAL ESTATE LOANS AND LEASE FINANCING RECEIVABLES No
UBPRD304 2001-03-31 9999-12-31 DIRECT AND INDIRECT INVESTMENTS IN REAL ESTATE VENTURES No
UBPRD305 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF DIRECT AND INDIRECT INVESTMENTS IN REAL ESTATE VENTURES No
UBPRD306 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE ALLOWANCE FOR LOANS AND LEASE FINANCING RECEIVABLES No
UBPRD307 2001-03-31 9999-12-31 LOAN AND LEASE LOSS ALLOWANCE PLUS ALLOCATED TRANSFER RISK RESERVE FOR LARGE REPORTERS No
UBPRD308 2001-03-31 9999-12-31 CALENDAR YEAR AVERAGE OF 90 DAY AVERAGE OF ALL OTHER SECURITIES No
UBPRD309 2001-03-31 9999-12-31 INSTITUTION GROSS SECURITY GAIN OR LOSSES ON INVESTMENT SECURITIES AMOUNT No
UBPRD310 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE SECURITIES AVAILABLE FOR SALE No
UBPRD311 2001-03-31 9999-12-31 INSTITUTION INVESTMENT SECURITIES HELD TO MATURITY No
UBPRD312 2001-03-31 9999-12-31 CALENDAR YEAR AVERAGE OF 90 DAY AVERAGE OF MORTGAGE BACKED SECURITIES No
UBPRD313 2001-03-31 9999-12-31 CALENDAR YEAR AVERAGE OF 90 DAY AVERAGE OS US TREASURY AND AGENCY SECURITIES EXCLUDING MORTGAGE BACKED SECURITIES No
UBPRD314 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE STANDBY LETTERS OF CREDIT No
UBPRD315 2001-03-31 9999-12-31 INSTITUTION TIME DEPOSITS OVER 100 MILLION FIVE PERIOD AVERAGE AMOUNT No
UBPRD316 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE TOTAL TIME DEPOSITS LESS THAN 100 THOUSAND No
UBPRD317 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE TRADING ACCOUNT ASSETS No
UBPRD318 2001-03-31 9999-12-31 TANGIBLE EQUITY CAPITAL 90 DAY AVERAGE AS A PERCENT OF AVERAGE ASSETS No
UBPRD319 2001-03-31 9999-12-31 INSTITUTION VOLATILE LIABILITIES BY TOTAL ASSETS CALENDAR YEAR AVERAGE No
UBPRD320 2001-03-31 9999-12-31 INSTITUTION MARGINAL TAX VALUE USING MARGINAL TAX RATE No
UBPRD322 2001-03-31 9999-12-31 INSTITUION TOTAL BORROWED MONEY BY TOTAL ASSETS No
UBPRD329 2001-03-31 9999-12-31 INSTITUTION ASSETS PER DOMESTIC BANKING OFFICE RATIO No
UBPRD330 2001-03-31 9999-12-31 INCOME ON DOMESTIC REAL ESTATE LOANS No
UBPRD331 2001-03-31 9999-12-31 FLAG TO IDENTIFY INSTITUTIONS THAT FALL INTO CREDIT CARD CATEGORY No
UBPRD332 2001-03-31 9999-12-31 SECURITIZED CREDIT CARD LOANS PLUS ADJUSTED ASSETS USED IN TIER ONE CAPITAL No
UBPRD333 2001-03-31 9999-12-31 AVERAGE EARNING ASSETS TOTAL No
UBPRD334 2001-03-31 9999-12-31 INSTITUTION NET ELIGIBLE DEFERRED TAX ASSETS No
UBPRD335 2001-03-31 9999-12-31 DOMESTIC ASSETS, NET OF RESERVE FOR BAD DEBT No
UBPRD336 2001-03-31 9999-12-31 INSTITUTION ASSETS IN MILLIONS OF DOLLARS No
UBPRD337 2001-03-31 9999-12-31 INSTITUTION INTEREST BEARING BALANCE CALENDAR YEAR AVERAGE AMOUNT No
UBPRD338 2001-03-31 9999-12-31 INSTITUTION AMORTIZED COST PRIVATE ISSUE MORTGAGE INSTRUMENT BACKED BY US AMOUNT No
UBPRD339 2001-03-31 9999-12-31 INSTITUTION AMORTIZED COST OF EXCLUDING MORTGAGE BACKED ISSUED BY DESCRIPTION No
UBPRD340 2001-03-31 9999-12-31 AVERAGE EQUITY CAPITAL ONE QUARTER No
UBPRD341 2001-03-31 9999-12-31 YEARLY CHANGE IN TOTAL EQUITY CAPITAL, USED FOR YEARLY GROWTH RATE RATIO No
UBPRD342 2001-03-31 9999-12-31 TOTAL EQUITY CAPITAL CALENDAR YEAR AVERAGE No
UBPRD343 2001-03-31 9999-12-31 PRIOR YEAR TOTAL EQUITY CAPITAL, USED FOR YEARLY GROWTH RATE RATIO No
UBPRD344 2001-03-31 9999-12-31 INSTITUTION RISK-BASED CAPITAL TEST AMOUNT No
UBPRD345 2001-03-31 9999-12-31 NUMERIC REPRESENTATION OF AN INSTITUTION THAT IS A BANKERS BANK No
UBPRD346 2001-03-31 9999-12-31 INSTITUTION OTHER INDENTIFIABLE INTANGIBLE ASSET AMOUNT No
UBPRD347 2001-03-31 9999-12-31 YEARLY CHANGE IN TOTAL TIER 1 CAPITAL, USED FOR YEARLY GROWTH RATE RATIO No
UBPRD348 2001-03-31 9999-12-31 NET TIER ONE CAPITAL FOR LARGE REPORTERES (FFIEC 031 AND FFIEC 032) No
UBPRD349 2001-03-31 9999-12-31 PRIOR YEAR TOTAL TIER 1 CAPITAL, USED FOR YEARLY GROWTH RATE RATIO No
UBPRD350 2001-03-31 9999-12-31 TIER ONE CAPITAL FOR RC-R REPORTERS No
UBPRD351 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE OF TIME DEPOSITS GREATER THAN 100 THOUSAND No
UBPRD352 2001-03-31 9999-12-31 INSTITUTION TIME CD OF 100 THOUSAND OR MORE CALENDAR YEAR AVERAGE AMOUNT No
UBPRD353 2001-03-31 9999-12-31 THE NUMBER OF YEARS THE FINANCIAL INSTITUTION HAS BEEN OPEN. No
UBPRD354 2001-03-31 9999-12-31 INSTITUTION AMORTIZED COST MORTGAGE PASS THROUGH SECURITIES GUARANTEED BY GNMA AMOUNT No
UBPRD355 2001-03-31 9999-12-31 INSTITUTION AMORTIZED COST MORTGAGE PASS THROUGH SECURITIES ISSUED BY FNMA AND FHLMC AVAILABLE FOR SALE AND HELD TO MATURITY SECURITIES AMOUNT No
UBPRD356 2001-03-31 9999-12-31 INSTITUTION AMORTIZED COST COLLATERLIZED MORTGAGE INSTRUMENT BACKED BY US AMOUNT No
UBPRD357 2001-03-31 9999-12-31 CODE DERIVED FROM REPORTED ELEMENTS ON THE CALL REPORT THAT IDENTIFIES THE TRUST PEER GROUP TO WHICH THE INSTITUTION BELONGS. No
UBPRD358 2001-03-31 9999-12-31 INSTITUTION FOUR PERIOD AVERAGE INTEREST BEARING FOREIGN DEPOSITS No
UBPRD359 2001-03-31 9999-12-31 AVERAGE INTEREST BEARING DEPOSIT LIABILITIES No
UBPRD360 2001-03-31 9999-12-31 AVERAGE ALL INTEREST BEARING DEPOSITS No
UBPRD361 2001-03-31 9999-12-31 CASH DIVIDENDS FOR CURRENT QUARTER LESS CASH DIVIDENDS FOR PRIOR QUARTER ANNUALIZED. USED IN CAPITAL RATIOS ONLY. No
UBPRD362 2001-03-31 9999-12-31 INSTITUTION AVERAGE EARNING ASSETS CALENDAR YEAR BASIS OF CALENDAR QUARTER AVERAGES DATE No
UBPRD363 2001-03-31 9999-12-31 MSA INDICATOR USED TO ESTABLISH UBPR ASSET PEER GROUPS. No
UBPRD364 2001-03-31 9999-12-31 TANGIBLE EQUITY CAPITAL FOR PROMPT CORRECTIVE ACTION No
UBPRD365 2001-03-31 9999-12-31 TANGIBLE EQUITY CAPITAL BASE FOR LIMITATION ON MORTGAGE SERVICING RIGHTS USED IN PCA APPLICATIONS No
UBPRD366 2001-03-31 9999-12-31 TANGIBLE EQUITY CAPITAL No
UBPRD367 2001-03-31 9999-12-31 TOTAL ASSETS LESS TOTAL INTANGIBLE ASSETS No
UBPRD368 2001-03-31 9999-12-31 EXPENSE ON TIME CD S OF $100M OR MORE - ONE QUARTER ANNUALIZED No
UBPRD369 2001-03-31 9999-12-31 EXPENSE ON ALL DEPOSITS IN FOREIGN OFFICES - ONE QUARTER ANNUALIZED No
UBPRD370 2001-03-31 9999-12-31 EXPENSE OF FEDERAL FUNDS PURCHASED AND SECURITIES SOLD UNDER AGREEMENTS TO REPURCHASE ONE QUARTER ANNUALIZED No
UBPRD371 2001-03-31 9999-12-31 INTEREST EXPENSE INCURRED TO CARRY TAX EXEMPT SECURITIES, LOANS AND LEASES No
UBPRD372 2001-03-31 9999-12-31 EXPENSE ON ALL OTHER SAVINGS ACCOUNTS - ONE QUARTER ANNUALIZED No
UBPRD373 2001-03-31 9999-12-31 EXPENSE ON OTHER TIME DEPOSITS - ONE QUARTER ANNUALIZED No
UBPRD374 2001-03-31 9999-12-31 OTHER NONINTEREST EXPENSE INCLUDING AMORTIZATION OF INTANGIBLE ASSETS No
UBPRD375 2001-03-31 9999-12-31 INCOME ON ALL DEPOSITS - ONE QUARTER ANNUALIZED No
UBPRD376 2001-03-31 9999-12-31 INSTITUTION FEDERAL FUND PURCHASED CALENDAR QUARTER AVERAGE No
UBPRD377 2001-03-31 9999-12-31 INSTITUTION FEDERAL FUND SOLD CALENDAR QUARTER AVERAGE No
UBPRD378 2001-03-31 9999-12-31 INCOME ON FEDERAL FUNDS SOLD AND REV REPO - ONE QUARTER ANNUALIZED No
UBPRD379 2001-03-31 9999-12-31 EARNINGS ADJUSTED FOR ACTUAL CHARGE OFF ONE QUARTER ANNUALIZED No
UBPRD380 2001-03-31 9999-12-31 MERGER FLAG FOR PREVIOUS QUARTER(S). No
UBPRD381 2001-03-31 9999-12-31 FLAG TO INDICATE THAT A FINANCIAL INSTITUTIONS HAS BEEN OPERATING FOR A 3 YEAR PERIOD. No
UBPRD382 2001-03-31 9999-12-31 INCOME ON INTEREST BEARING BANK BALANCES ONE QUARTER ANNUALIZED No
UBPRD383 2001-03-31 9999-12-31 INCOME ON DOMESTIC LOANS TO INDIVIDUALS ONE QUARTER ANNUALIZED No
UBPRD384 2001-03-31 9999-12-31 INCOME ON TOTAL LOANS IN DOMESTIC OFFICES ONE QUARTER ANNUALIZED No
UBPRD385 2001-03-31 9999-12-31 INSTITUTION PROVISION FOR LOAN AND LEASE LOSS No
UBPRD386 2001-03-31 9999-12-31 INCOME ON TOTAL LOANS AND LEASES (TE) ONE QUARTER ANNUALIZED No
UBPRD387 2001-03-31 9999-12-31 NET INCOME FOR CURRENT QUARTER LESS NET INCOME FOR PRIOR QUARTER ANNUALIZED. USED IN CAPITAL RATIOS ONLY. No
UBPRD388 2001-03-31 9999-12-31 ONE QUARTER NET INCOME LESS ONE QUARTER CASH DIVIDENDS ANNUALIZED. USED IN CAPITAL RATIOS ONLY. No
UBPRD389 2001-03-31 9999-12-31 NET INCOME FOR ALL INSTITUTIONS EXCEPT FFIEC 034 FILERS No
UBPRD390 2001-03-31 9999-12-31 ADJUSTED NET OPERATING INCOME FOR CURRENT QUARTER No
UBPRD391 2001-03-31 9999-12-31 NET OPERATING INCOME FOR CURRENT QUARTER LESS NET OPERATING INCOME FOR PRIOR QUARTER . USED IN CAPITAL RATIOS ONLY. No
UBPRD392 2001-03-31 9999-12-31 NET INCOME AFTER TAXES FOR BANKS FILING SUBCHAPTER S No
UBPRD393 2001-03-31 9999-12-31 NET INCOME FOR CURRENT QUARTER LESS NET INCOME FOR PRIOR QUARTER ADJUSTED FOR SUBCHAPTER S STATUS ANNUALIZED No
UBPRD394 2001-03-31 9999-12-31 INSTITUTION TOTAL INCOME NOT SUBJECT TO FEDERAL INCOME TAXES AMOUNT No
UBPRD395 2001-03-31 9999-12-31 ONE QUARTER NONINTEREST EXPENSE No
UBPRD396 2001-03-31 9999-12-31 PRETAX NET OPERATING INCOME - ONE QUARTER ANNUALIZED No
UBPRD397 2001-03-31 9999-12-31 PRETAX OPERATING INC BY AVERAGE ASSETS-ONE QUARTER ANNUALIZED No
UBPRD398 2001-03-31 9999-12-31 TOTAL INTEREST AND DIVIDEND INCOME ON SECURITIES No
UBPRD399 2001-03-31 9999-12-31 INSTITUTION TOTAL INVESTMENT SECURITIES ONE QUARTER ANNUALIZED AMOUNT No
UBPRD401 2001-03-31 9999-12-31 INCOME ON INVESTMENT SECURITIES ONE QUARTER ANNUALIZED No
UBPRD402 2001-03-31 9999-12-31 ABSOLUTE VALUE OF TOTAL TAXES ANNUALIZED FOR TAX EQUIVALENCY CALCULATION No
UBPRD403 2001-03-31 9999-12-31 ABSOLUTE VALUE OF TOTAL APPLICABLE INCOME TAXES No
UBPRD404 2001-03-31 9999-12-31 AVAILABLE BENEFIT FOR TAX EQUIVALENT ADJUSTMENT No
UBPRD405 2001-03-31 9999-12-31 TAX BENEFIT DE-ANNUALIZED No
UBPRD406 2001-03-31 9999-12-31 TOTAL TAX BENEFIT No
UBPRD407 2001-03-31 9999-12-31 INCOME PLUS TAX CREDITS AVAILABLE FOR TAX EQUIVALENT ADJUSTMENT. USED WHERE TAX EXEMPT INCOME EXCEEDS TAXABLE INCOME No
UBPRD408 2001-03-31 9999-12-31 ABSOLUTE VALUE OF TOTAL TAXES ANNUALIZED FOR TAX EQUIVALENCY CALCULATIONS AND GROSSED UP BY MARGINAL TAX RATE. GROSS UP FACTOR IS RECIPROCAL No
UBPRD409 2001-03-31 9999-12-31 GROSS TAXABLE INCOME ANNUALIZED FOR TAX EQUIVALENT CALCULATION No
UBPRD410 2001-03-31 9999-12-31 GROSS TAXABLE INCOME No
UBPRD411 2001-03-31 9999-12-31 NET TAXABLE INCOME No
UBPRD412 2001-03-31 9999-12-31 NET TAXABLE INCOME (YEAR TO REP_DTE) USED FOR TAX EQUIVALENT CALCULATION ANNUALIZED No
UBPRD413 2001-03-31 9999-12-31 NET TAXABLE INCOME (YEAR TO DATE) USED FOR TAX EQUIVALENT CALCULATIONS No
UBPRD414 2001-03-31 9999-12-31 INSTITUTION TAX EQUIVALENT ADJUSTMENT FOR MUNICIPAL SECURITIES No
UBPRD415 2001-03-31 9999-12-31 INTEREST EXPENSE - ONE QUARTER ANNUALIZED No
UBPRD416 2001-03-31 9999-12-31 INSTITUTION TOTAL INTEREST EXPENSE ONE QUARTER ANNUALIZED AMOUNT No
UBPRD417 2001-03-31 9999-12-31 INTEREST EXPENSE ON ALL DEPOSITS No
UBPRD418 2001-03-31 9999-12-31 ONE QUARTER INTEREST INCOME (TE) No
UBPRD419 2001-03-31 9999-12-31 INSTITUTION INCOME ON MORTGAGE BACKED SECURITIES ONE QUARTER ANNUALIZED AMOUNT No
UBPRD420 2001-03-31 9999-12-31 ONE QUARTER NET INTEREST INCOME (TE) No
UBPRD421 2001-03-31 9999-12-31 INSTITUTION INCOME ON US TREASURY SECURITIES EXCLUDING MORTGAGE BACKED SECURITIES ONE QUARTER ANNUALIZED AMOUNT No
UBPRD422 2001-03-31 9999-12-31 INSTITUTION INCOME ON OTHER SECURITIES ONE QUARTER ANNUALIZED AMOUNT No
UBPRD423 2001-03-31 9999-12-31 TAX EXEMPT SECURITIES AND LOAN AND LEASE INCOME ANNUALIZED FOR TAX EQUIVALENT CALCULATION No
UBPRD424 2001-03-31 9999-12-31 NUMERIC CODE THAT INDICATES THE REPORTING SIZE OF AN INSTITUTION AND USED DURING CALL PROCESSING. No
UBPRD425 2001-03-31 9999-12-31 SUBCHAPTER S ELECTION IN EFFECT FOR FEDERAL INCOME TAX PURPOSES FOR THE CURRENT TAX YEAR INDICATOR. No
UBPRD429 2001-03-31 9999-12-31 TOTAL INVESTMENT SECURITIES CALENDAR QUARTER AVERAGE No
UBPRD430 2001-03-31 9999-12-31 YEARLY CHANGE IN TEMPORARY INVESTMENTS, USED FOR YEARLY GROWTH RATE RATIO No
UBPRD431 2001-03-31 9999-12-31 PRIOR YEAR IN TEMPORARY INVESTMENTS, USED FOR YEARLY GROWTH RATE RATIO No
UBPRD432 2001-03-31 9999-12-31 INSTITUTION TOTAL OTHER LIABILITIES FOR BORROWED MONEY CALENDAR YEAR AVERAGE AMOUNT No
UBPRD433 2001-03-31 9999-12-31 INSTITUTION INTEREST BEARING DEPOSIT LIABILITIES CALENDAR YEAR AVERAGE AMOUNT No
UBPRD434 2001-03-31 9999-12-31 AVERAGE INTEREST BEARING LIABILITIES INCLUDING MORTGAGES AND CAPITALIZED LEASES No
UBPRD435 2001-03-31 9999-12-31 INSTITUTION TOTAL INTEREST BEARING LIABILITIES CALENDAR QUARTER AVERAGE No
UBPRD436 2001-03-31 9999-12-31 INSTITUTION TOTAL DEMAND NOTE AND OTHER LIABILITIES FOR BORROWED MONEY AMOUNT No
UBPRD437 2001-03-31 9999-12-31 AVERAGE OTHER LIABILITIES FOR BORROWED MONEY No
UBPRD438 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE TOTAL OTHER BORROWED MONEY No
UBPRD439 2001-03-31 9999-12-31 INSTITUTION OTHER LIABILITIES FOR BORROWED MONEY CALENDAR QUARTER AVERAGE AMOUNT No
UBPRD440 2001-03-31 9999-12-31 INSTITUTION OTHER LIABILITIES FOR BORROWED MONEY CALENDAR YEAR AVERAGE AMOUNT No
UBPRD441 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE OF LIABILITIES FOR OTHER BORROWED MONEY CALENDAR QTR AVG AMT No
UBPRD442 2001-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE TOTAL OTHER BORROWED MONEY CALENDAR QTR AVG AMT No
UBPRD443 2001-03-31 9999-12-31 AVERAGE OTHER BORROWINGS ONE QUARTER ADJUSTED FOR PUSHDOWN ACCOUNTING AND OPENING IN CURRENT QUARTER No
UBPRD444 2001-03-31 9999-12-31 INSTITUTION VOLATILE LIABILITIES AMOUNT No
UBPRD445 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF VOLATILE LIABILITIES No
UBPRD446 2001-03-31 9999-12-31 THE OFFICIAL NAME OF THE HOLDING COMPANY THAT IS THE TOP OWNER (EITHER DIRECT OR INDIRECT) OFTHE INSTITUTION No
UBPRD447 2001-03-31 9999-12-31 INCOME ON AGRICULTURAL LOANS ONE QUARTER ANNUALIZED No
UBPRD448 2001-03-31 9999-12-31 INCOME ON FOREIGN LOANS ONE QUARTER ANNUALIZED No
UBPRD449 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE OF AGRICULTURAL LOANS No
UBPRD450 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE OF QUARTERLY COMMERCIAL AND INDUSTRIAL LOANS No
UBPRD451 2001-03-31 9999-12-31 INCOME ON COMMERCIAL AND INDUSTRIAL LOANS ONE QUARTER ANNUALIZED No
UBPRD452 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE OF QUARTERLY TOTAL LOANS HELD IN DOMESTIC OFFICES No
UBPRD453 2001-03-31 9999-12-31 INCOME ON DOMESTIC CREDIT CARD LOANS ONE QUARTER ANNUALIZED No
UBPRD454 2001-03-31 9999-12-31 INSTITUTION LOAN INCOME DOMESTIC AMOUNT No
UBPRD455 2001-03-31 9999-12-31 CALENDAR YEAR AVERAGE OF TOTAL LOANS HELD IN FOREIGN OFFICES No
UBPRD456 2001-03-31 9999-12-31 ALL OTHER LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES, EXCLUDING REVOLVING, OPEN-END LOANS No
UBPRD457 2001-03-31 9999-12-31 INCOME ON DOMESTIC REAL ESTATE LOANS ONE QUARTER ANNUALIZED No
UBPRD458 2001-03-31 9999-12-31 TOTAL INTEREST AND FEE INCOME ON LOANS No
UBPRD459 2001-03-31 9999-12-31 NET LOAN AND LEASE LOSSES ONE QUARTER ANNUALIZED No
UBPRD460 2001-03-31 9999-12-31 PROVISION FOR LOAN AND LEASE LOSS-ONE QUARTER ANNUALIZED No
UBPRD461 2001-03-31 9999-12-31 LOANS TO DEPOSITORY INSTITUTIONS No
UBPRD462 2001-03-31 9999-12-31 INSTITUTION QUALIFIED CREDIT CARD INTANGIBLE LIMITED AMOUNT No
UBPRD463 2001-03-31 9999-12-31 INSTITUTION MARGINAL TAX RATE No
UBPRD464 2001-03-31 9999-12-31 MORTGAGE SERVICING RIGHTS, SUBJECT TO A LIMIT OF THE LESSER OF BOOK VALUE OR 90% OF MARKET VALUE No
UBPRD465 2001-03-31 9999-12-31 LIMITATION ON MORTGAGE SERVICING RIGHTS FOR CALCULATING TANGIBLE EQUITY CAPITAL USED IN PCA APPLICATIONS No
UBPRD466 2001-03-31 9999-12-31 MORTGAGE SERVICING RIGHTS PLUS PURCHASE CREDIT CARD LIMIT No
UBPRD468 2001-03-31 9999-12-31 INSTITUTION CALENDAR YEAR NET OPERATING INCOME No
UBPRD469 2001-03-31 9999-12-31 SUBORDINATED DEBT AND MORTGAGE INDEBTEDNESS AND OBLIGATIONS UNDER CAPITALIZED LEASES No
UBPRD470 2001-03-31 9999-12-31 THE OFFICIAL NAME OF THE STATE LOCATED IN A SPECIFIC COUNTRY WITHIN A GIVEN COUNTRY AND CMSA/MSA OF THE HOLDING COMPANY THAT IS THE TOP OWNER (EITHER DIRECT OR INDIRECT) OF THE INSTITUTION No
UBPRD473 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE OF OTHER NONTRANSACTION SAVINGS DEPOSITS No
UBPRD474 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE OTHER NONTRANSACTION TIME DEPOSITS No
UBPRD475 2001-03-31 9999-12-31 EXPENSE SUBORDINATED NOTES AND DEBT - ONE QUARTER ANNUALIZED No
UBPRD476 2001-03-31 9999-12-31 AVERAGE SUBORDINATED NOTES AND DEBENTURES No
UBPRD477 2001-03-31 9999-12-31 INSTITUTION AMORTIZED COST OBLIGATIONS NOT MORTGAGE BACKED US GOVERNMENT AMOUNT No
UBPRD478 2001-03-31 9999-12-31 NUMERIC FIELD REPRESENTING THE COMBINATION OF INSTITUTION CLASS CODE AND THE CALL REPORT FORM THE INSTITUTION FILED No
UBPRD479 2001-03-31 9999-12-31 EXPENSE OTHER BORROWINGS - ONE QUARTER ANNUALIZED No
UBPRD480 2001-03-31 9999-12-31 OTHER BORROWED MONEY WITH REMAINING MATURITY OF ONE YEAR OR LESS No
UBPRD481 2001-03-31 9999-12-31 OVERHEAD EXPENSE - ONE QUARTER ANNUALIZED No
UBPRD482 2001-03-31 9999-12-31 INSTITUTION TOTAL OVERHEAD EXPENSE LESS NONINTEREST INCOME No
UBPRD483 2001-03-31 9999-12-31 PROVISION FOR LOAN AND LEASE FINANCING RECEIVABLES (LN&LS) PLUS PROVISION FOR ALLOCATED TRANSFER RISK RESERVE No
UBPRD484 2001-03-31 9999-12-31 INSTITUTION QUALIFIED CREDIT CARD INTANGIBLE AMOUNT No
UBPRD485 2001-03-31 9999-12-31 ONE QUARTER CALCULATION FLAG No
UBPRD486 2001-03-31 9999-12-31 TOTAL TIER 1 RISK-BASED CAPITAL TO ADJUSTED AVERAGE ASSETS AND ADJUSTED FOR FINANCIAL SUBSIDIARIES IF REPORTED No
UBPRD487 2001-03-31 9999-12-31 TOTAL TIER 1 RISK-BASED CAPITAL TO ADJUSTED RISK WEIGHTED ASSETS AND ADJUSTED FOR FINANCIAL SUBSIDIARIES IF REPORTED No
UBPRD488 2001-03-31 9999-12-31 TOTAL RISK-BASED CAPITAL TO ADJUSTED RISK WEIGHTED ASSETS INCLUDING ADJUSTMENT FOR FINANCIAL SUBSIDIARIES No
UBPRD489 2001-03-31 9999-12-31 CONSTRUCTION AND LAND DEVELOPMENT LOANS PLUS SECURED BY NONFARM NONRESIDENTIAL REAL ESTATE PLUS UNSECURED LOANS TO FINANCE REAL ESTATE PLUS OTHER REAL ESTATE OWNED PLUS INVESTMENTS IN REAL ESTATE No
UBPRD490 2001-03-31 9999-12-31 LOANS TO FINANCE CONSTRUCTION AND DEVELOPMENT AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRD491 2001-03-31 9999-12-31 INSTITUTION EQUITY CAPITAL AND LIMITED LIFE PREFERRED STOCK AMOUNT No
UBPRD492 2001-03-31 9999-12-31 INSTITUTION RISK WEIGHTED ASSETS (100%) RISK WEIGHT AND (20%) CONVERSION FACTOR OFF BALANCE SHEET ITEMS No
UBPRD493 2001-03-31 9999-12-31 FED FUNDS SOLD AND SECURITIES PURCHASED No
UBPRD495 2001-03-31 9999-12-31 UNREALIZED GAIN/LOSSES ON MARKETABLE EQUITY SECURITIES No
UBPRD496 2001-03-31 9999-12-31 CURRENT CREDIT EXPOSURE No
UBPRD497 2001-03-31 9999-12-31 REALIZED GAINS/LOSSES ON SECURITIES ADJUSTED FOR PUSHDOWN No
UBPRD498 2001-03-31 9999-12-31 INSTITUTION TOTAL INVESTMENT SECURITIES CALENDAR YEAR AVERAGE AMOUNT No
UBPRD501 2001-03-31 9999-12-31 INSTITUTION AMORTIZED COST US TREASURY SECURITIES AMOUNT No
UBPRD503 2001-03-31 9999-12-31 INSTITUTION INTEREST ONLY AND EQUITY SECURITY STRIPS AMOUNT No
UBPRD504 2001-03-31 9999-12-31 INSTITUTION TWO PERIOD AVERAGE OF INTEREST ONLY AND EQUITY SECURITY STRIPS AMOUNT No
UBPRD505 2001-03-31 9999-12-31 INSTITUTION CALENDAR YEAR AVERAGE INTEREST ONLY AND EQUITY SECURITY STRIPS AMOUNT No
UBPRD506 2001-03-31 9999-12-31 INSTITUTION SUBORDINATED DEBT BY TOTAL ASSETS CALENDAR YEAR AVERAGE RATIO No
UBPRD507 2001-03-31 9999-12-31 TIER ONE CAPITAL PLUS THE ALLOWANCE FOR LOAN AND LEASE LOSSES No
UBPRD508 2001-03-31 9999-12-31 OUTSTANDING EQUITY COMMODITY No
UBPRD509 2001-03-31 9999-12-31 INSTITUTION TOTAL RISK WEIGHTED ASSETS No
UBPRD511 2001-03-31 9999-12-31 TOTAL RISK-BASED CAPITAL ADJUSTED TO INCLUDE ALL OF THE ALLOWANCE FOR LOAN AND LEASE LOSSES No
UBPRD512 2001-03-31 9999-12-31 FOUR PERIOD AVERAGE OF INTEREST BEARING TRANSACTION ACCOUNTS No
UBPRD513 2001-03-31 9999-12-31 INCOME ON ALL TRANSACTION ACCOUNTS - ONE QUARTER ANNUALIZED No
UBPRD514 2001-03-31 9999-12-31 INSTITUTION TRADING ACCOUNT ASSETS CALENDAR QUARTER AVERAGE AMOUNT No
UBPRD515 2001-03-31 9999-12-31 INSTITUTION TRADING ACCOUNT ASSETS CALENDAR YEAR AVERAGE AMOUNT No
UBPRD517 2001-03-31 9999-12-31 INSTITUTION US TREASURY AND AGENCY OBLIGATIONS 0 PERCENT RISK CATEGORY No
UBPRD518 2009-06-30 9999-12-31 COMMERCIAL MORTGAGE PASS THROUGH PLUS OTHER COMMERCIAL MORTGAGE BACKED SECURITIES HELD TO MATURITY AS A PERCENT OF TOTAL INVESTMENT SECURITIES No
UBPRD519 2001-03-31 9999-12-31 INSTITUTION TOTAL APPLICABLE INCOME TAXES No
UBPRD520 2001-03-31 9999-12-31 VOLATILE LIABILITIES LESS TEMPORARY INVESTMENTS BY NET LOANS AND LEASE FINANCING RECEIVABLES AND SECURITIES OVER ONE YEAR AND NON-INVESTMENT No
UBPRD522 2001-03-31 9999-12-31 INSTITUTION TEMPORARY INVESTMENTS BY VOLATILE LIABILITIES No
UBPRD523 2001-03-31 9999-12-31 INSTITUTION VOLATILE LIABILITIES BY TOTAL ASSETS No
UBPRD524 2001-03-31 9999-12-31 INSTITUTION US TREASURY SECURITIES AND OTHER US GOVERNMENT AGENCY AND CORPORATION OBLIGATIONS BY TOTAL INVESTMENT SECURITIES No
UBPRD526 2001-03-31 9999-12-31 INSTITUTION HIGH RISK AND STRUCTURED NOTES SECURITIES BY TIER ONE CAPITAL No
UBPRD527 2001-03-31 9999-12-31 TIER ONE CAPITAL FOR FFIEC031, FFIEC032 AND FFIEC033 FILERS No
UBPRD528 2001-03-31 9999-12-31 COLLATERALIZED MORTGAGE OBLIGATIONS ISSUED BY FNMA AND FHLMC No
UBPRD529 2001-03-31 9999-12-31 INSTITUTION UNUSED COMMITMENTS: COMMERCIAL REAL ESTATE, CONSTRUCTION AND LAND DEVELOPMENT LINES No
UBPRD530 2001-03-31 9999-12-31 OUTSTANDING TOTAL DERIVATIVE CONTRACTS FOR FFIEC 031, FFIEC 032 AND FFIEC 033 FILERS No
UBPRD531 2001-03-31 9999-12-31 OUTSTANDING TOTAL DERIVATIVE CONTRACTS FOR RC-R REPORTERS No
UBPRD532 2001-03-31 9999-12-31 INSTITUTION COMMITMENTS TO PURCHASE FOREIGN CURRENCIES AND US DOLLAR EXCHANGE (SPOT AND FORWARD) No
UBPRD533 2001-03-31 9999-12-31 INSTITUTION OTHER DOMESTIC DEBT SECURITIES AVAILABLE FOR SALE No
UBPRD534 2001-03-31 9999-12-31 INSTITUTION OTHER DOMESTIC DEBT SECURITIES No
UBPRD535 2001-03-31 9999-12-31 DEPOSITS, OTHER LIABILITIES REPRICED OVER 1 YEAR No
UBPRD536 2001-03-31 9999-12-31 DEPOSITS, OTHER LIABILITIES REPRICED OVER THREE YEARS No
UBPRD537 2001-03-31 9999-12-31 NET POSITION OF NON MATURITY DEPOSITS AND LONG ASSETS No
UBPRD538 2001-03-31 9999-12-31 FOREIGN OFFICE DEPOSITS MATURING IN LESS THAN ONE YEAR No
UBPRD539 2001-03-31 9999-12-31 FOREIGN EXCHANGE RATE CONTRACTS, WRITTEN OPTION CONTRACTS AND PURCHASE OPTION CONTRACTS No
UBPRD540 2001-03-31 9999-12-31 CONTRACTS ON OTHER COMMODITIES AND EQUITIES FUTURES AND FORWARD CONTRACTS No
UBPRD541 2001-03-31 9999-12-31 TOTAL OTHER INTEREST RATE RISKS No
UBPRD542 2001-03-31 9999-12-31 INTEREST RATE CONTRACTS - FUTURE AND FORWARD CONTRACTS No
UBPRD543 2001-03-31 9999-12-31 INTEREST RATE WRITTEN OPTION CONTRACTS AND PURCHASED OPTION CONTRACTS No
UBPRD544 2001-03-31 9999-12-31 INSTITUTION INVESTMENT SECURITIES APPRECIATION No
UBPRD545 2001-03-31 9999-12-31 YEARLY CHANGE IN SHORT TERM NON-CORE FUNDING, USED FOR YEARLY GROWTH RATE RATIO No
UBPRD546 2001-03-31 9999-12-31 NON-CORE LIABILITIES LESS SHORT TERM INVESTMENTS No
UBPRD547 2001-03-31 9999-12-31 PRIOR YEAR SHORT TERM NON-CORE FUNDING, USED FOR YEARLY GROWTH RATE RATIO No
UBPRD548 2001-03-31 9999-12-31 NET SHORT TERM NON-CORE FUNDING LESS SHORT TERM INVESTMENTS No
UBPRD549 2001-03-31 9999-12-31 SHORT TERM LIABILITIES LESS SHORT TERM ASSETS No
UBPRD550 2001-03-31 9999-12-31 SHORT TERM LIABILITIES No
UBPRD551 2001-03-31 9999-12-31 INSTITUTION VOLATILE LIABILITIES LESS TEMPORARY INVESTMENTS No
UBPRD552 2007-03-31 9999-12-31 NET LOSSES ON OTHER CONSTRUCTION AND LAND DEVELOPMENT LOANS CHARGEOFFS LESS RECOVERIES No
UBPRD553 2007-03-31 9999-12-31 CALENDAR YEAR AVERAGE OTHER CONSTRUCTION AND LAND DEVELOPMENT LOANS No
UBPRD554 2007-03-31 9999-12-31 OTHER CONSTRUCTION AND LAND DEVELOPMENT LOANS NON-CURRENT FROM SCHEDULE RC-N, MEMORANDUM ITEM 9B, COLUMN B AND COLUMN C No
UBPRD555 2007-03-31 9999-12-31 1-4 FAMILY CONSTRUCTION LOANS FROM SCHEDULE RC-C, MEMORANDUM ITEM 9A, CALENDAR YEAR AVERAGE No
UBPRD556 2007-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL CONSTRUCTION LOANS CHARGEOFFS LESS RECOVERIES FROM SCHEDULE RI-B, MEMORANDUM ITEM 5A No
UBPRD557 2007-03-31 9999-12-31 TOTAL 1-4 FAMILY RESIDENTIAL CONSTRUCTION LOANS 90 DAYS PAST DUE AND NONACCRUAL FROM SCHEDULE RC-N, MEMORANDUM ITEM 9A, COLUMN B & COLUMN C No
UBPRD558 2007-03-31 9999-12-31 CALENDAR AVVERAGE LOANS SECURED BY OTHER NONFARM NONRESIDENTIAL PROPERTIES FROM SCHEDULE RC-C, MEMORANDUM ITEM 10B No
UBPRD559 2007-03-31 9999-12-31 NET LOSSES ON LOANS SECURED BY OTHER NONFARM NONRESIDENTIAL PROPERTIES CHARGEOFFS LESS RECOVERIES No
UBPRD560 2007-03-31 9999-12-31 CALENDAR YEAR AVERAGE OF NONFARM NONRESIDENTIAL LOANS FROM SCHEDULE RC-C, MEMORANDUM ITEM 10A No
UBPRD561 2007-03-31 9999-12-31 NET LOSSES ON OWNER OCCUPIED NONFARM RESIDENTIAL PROPERTIES CHARGEOFFS LESS RECOVERIES No
UBPRD562 2007-03-31 9999-12-31 LOANS SECURED BY OWNER OCCUPIED NONFARM NONRESIDENTIAL PROPERTIES NON-CURRENT No
UBPRD563 2007-03-31 9999-12-31 NONFARM NONRESIDENTIAL LOANS NON-CURRENT FROM SCHEDULE RC-N, MEMORANDUM ITEM 10B, COLUMN B AND COLUMN C No
UBPRD564 2001-03-31 9999-12-31 LOANS, SECURITIES, CMO S REPRICED OVER ONE YEAR No
UBPRD565 2001-03-31 9999-12-31 LOANS, SECURITIES, CMO S REPRICED OVER 3 YEARS No
UBPRD566 2001-03-31 9999-12-31 INSTITUTION NET LOANS AND LEASE FINANCING RECEIVABLES AND STANDBY LETTERS OF CREDIT No
UBPRD567 2001-03-31 9999-12-31 INSTITUTION COLLATERLIZED MORTGAGE OBLIGATIONS AND REMIC MORTGAGE BACKED SECURITEIS AVAILABLE FOR SALE No
UBPRD568 2001-03-31 9999-12-31 CERTIFICATES OF PARTICIPATION IN POOLS OF RESIDENTIAL MORTGAGES No
UBPRD569 2001-03-31 9999-12-31 INSTITUTION PASS THROUGH MORTGAGE BACKED SECURITIES AVAILABLE FOR SALE No
UBPRD570 2001-03-31 9999-12-31 TOTAL OTHER MORTGAGE BACK SECURITIES No
UBPRD571 2001-03-31 9999-12-31 INSTITUTION SHORT TERM NON-CORE FUNDING CALENDAR YEAR AVERAGE No
UBPRD572 2001-03-31 9999-12-31 TOTAL OFF BALANCE SHEET ACTIVITY No
UBPRD574 2001-03-31 9999-12-31 LOANS AND SECURITIES OVER ONE YEAR LESS DEPOSITS AND OTHER LIABILITIES OVER ONE YEAR No
UBPRD575 2001-03-31 9999-12-31 LOANS AND SECURITIES OVER THREE YEARS, DEPOSITS LESS DEPOSITS AND OTHER LIABILITIES OVER THREE YEARS No
UBPRD576 2001-03-31 9999-12-31 UNREALIZED APPRECIATION / DEPRECIATION HELD TO MATURITY SECURITIES No
UBPRD577 2001-03-31 9999-12-31 INSTITUTION HIGH RISK MORTGAGE SECURITIES AND NOTES No
UBPRD578 2001-03-31 9999-12-31 AMORTIZED COST OF ASSET BACKED SECURITIES HELD FOR SALE No
UBPRD579 2001-03-31 9999-12-31 AMORTIZED COST OF ASSET BACKED SECURITIES HELD TO MATURITY No
UBPRD580 2001-03-31 9999-12-31 INSTITUTION NET LOANS LEASE AND INVESTMENT SECURITIES OVER ONE YEAR AMOUNT No
UBPRD581 2001-03-31 9999-12-31 INSTITUTION TOTAL DEBT SECURITIES MATURING WITHIN ONE-YEAR OR LESS No
UBPRD582 2001-06-30 9999-12-31 WRITE DOWN OF LOANS No
UBPRD583 2001-03-31 9999-12-31 INSTITUTION US GOVERNMENT ISSUED AND PRIVATE CERTIFICATES OF PARTICIPATION IN POOLS OF RESIDENTIAL MORTGAGES OR REPRICING IN OVER ONE YEAR No
UBPRD584 2001-03-31 9999-12-31 NET LOANS AND LEASE FINANCING RECEIVABLES, INVESTMENT SECURITIES AND ALL OTHER REAL ESTATE OWNED No
UBPRD585 2009-06-30 9999-12-31 STRUCTURED CASH, SYNTHETIC AND HYBRID FINANCIAL PRODUCTS HELD TO MATURITY AS A PERCENT OF TOTAL INVESTMENT SECURITIES No
UBPRD586 2009-06-30 9999-12-31 STRUCTURED CASH, SYNTHETIC AND HYBRID FINANCIAL PRODUCTS AS A PERCENT OF TOTAL SECURITIES No
UBPRD587 2001-03-31 9999-12-31 NET LOANS AND LEASE FINANCING RECEIVABLES AND INVESTMENT SECURITIES WITH MATURITIES OVER ONE-YEAR No
UBPRD588 2001-03-31 9999-12-31 TOTAL INVESTMENT SECURITIES No
UBPRD589 2001-03-31 9999-12-31 INSTITUTION SECURITIES OVER ONE YEAR AND NON INVESTMENT IN OTHER REAL ESTATE No
UBPRD591 2001-03-31 9999-12-31 AMORTIZED COST OF US TREASURY AND AGENCY SECURITIES HELD AS HELD TO MATURITY SECURITIES No
UBPRD592 2001-03-31 9999-12-31 INSTITUTION US TREASURY AND OTHER GOVERNMENT OBLIGATIONS No
UBPRD593 2001-12-31 2008-12-31 GROSS FIDUCIARY INCOME ON MANAGED OTHER FIDUCIARY ACCOUNTS Yes
UBPRD593 2009-03-31 9999-12-31 GROSS FIDUCIARY INCOME ON MANAGED OTHER FIDUCIARY ACCOUNTS No
UBPRD594 2001-06-30 9999-12-31 NET CHARGEOFFS ON SECURITIZED AND MANAGED COMMERCIAL AND INDUSTRIAL LOANS No
UBPRD595 2001-06-30 9999-12-31 NET CHARGEOFFS ON SECURITIZED AND MANAGED CREDIT CARD LOANS No
UBPRD596 2001-06-30 9999-12-31 NET CHARGEOFFS ON SECURITIZED AND MANAGED 1 TO 4 FAMILY LOANS No
UBPRD597 2001-06-30 9999-12-31 NET CHARGEOFFS ON SECURITIZED AND MANAGED HOME EQUITY LOANS No
UBPRD598 2001-06-30 9999-12-31 NET CHARGEOFFS ON SECURITIZED AND MANAGED ALL OTHER CONSUMER AND ALL OTHER LOANS No
UBPRD599 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF FEDERAL HOME LOAN BANK BORROWINGS FOR ALL MATURITIES No
UBPRD600 2001-03-31 9999-12-31 TOTAL BORROWINGS FOR ALL MATURITIES FROM THE FHLB NOTE THAT RATIO INCLUDES -0- FOR DECEMBER 31, 2000 TO ALLOW AVERAGES TO CALCULATE CORRECTLY No
UBPRD601 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF OTHER BORROWINGS FOR ALL MATURITIES. NOTE, DOES NOT INCLUDE BORROWINGS FROM THE FHLB FROM MARCH 31, 2001 FORWARD. No
UBPRD602 2001-03-31 9999-12-31 TOTAL OTHER BORROWINGS FOR ALL MATURUTIES. NOTE: FROM MARCH 31, 2001 FORWARD DOES NOT INCLUDE BORROWINGS FROM FHLB. No
UBPRD603 2001-06-30 9999-12-31 TOTAL SECURITIZED AND MANAGED COMMERCIAL AND INDUSTRIAL LOANS PAST DUE 30 THROUGH 89 DAYS No
UBPRD604 2001-06-30 9999-12-31 TOTAL SECURITIZED AND MANAGED CREDIT CARD LINES PAST DUE 30 THROUGH 89 DAYS No
UBPRD605 2001-06-30 9999-12-31 TOTAL MANAGED AND SECURITIZED 1 TO 4 FAMILY LOANS PAST DUE 30 THROUGH 89 DAYS No
UBPRD606 2001-06-30 9999-12-31 TOTAL MANAGED AND SECURITIZED HOME EQUITY LOANS PAST DUE 30 THROUGH 89 DAYS No
UBPRD607 2001-06-30 9999-12-31 TOTAL SECRITIZED AND MANAGER OTHER CONSUMER AND ALL OTHER LOANS PAST DUE 30 THROUGH 89 DAYS No
UBPRD608 2001-06-30 9999-12-31 TOTAL SECURITIZED AND MANAGED LOANS PAST DUE 30 THROUGH 89 DAYS No
UBPRD609 2001-06-30 9999-12-31 TOTAL SECURITIZED AND MANAGED COMMERCIAL AND INDUSTRIAL LOANS PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPRD610 2001-06-30 9999-12-31 TOTAL SECURITIZED AND MANAGED CREDIT LINES PAST DUE 90 DAYS OR MORE No
UBPRD611 2001-06-30 9999-12-31 TOTAL LMANAGED AND SECURITIZED 1 TO 4 FAMILY LOANS PAST DUE 90 OR MORE DAYS No
UBPRD612 2001-06-30 9999-12-31 TOTAL MANAGED AND SECURITIZED HOME EQUITY LINES PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPRD613 2001-06-30 9999-12-31 TOTAL SECURITIZED AND MANAGED OTHER CONSUMER AND ALL OTHER LOANS PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPRD614 2001-06-30 9999-12-31 TOTAL SECURITIZED AND MANAGED LOANS PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPRD615 2001-06-30 9999-12-31 PAST DUE MANAGED AND SECURITIZED LOANS No
UBPRD616 2001-12-31 2008-12-31 GROSS FIDUCIARY INCOME ON MANAGED RETIREMENT RELATED TRUST AND AGENCY ACCOUNTS Yes
UBPRD616 2009-03-31 9999-12-31 GROSS FIDUCIARY INCOME ON MANAGED RETIREMENT RELATED TRUST AND AGENCY ACCOUNTS No
UBPRD617 2001-06-30 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE AUTO SECURITIZATION ACTIVITIES No
UBPRD618 2001-06-30 9999-12-31 INSTITUTION TOTAL OF ALL AUTO LOAN SECURITIZED AND MANAGED ASSETS AMOUNT No
UBPRD619 2001-06-30 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE COMMERCIAL AND INDUSTRIAL LOANS SECURITIZATION ACTIVITIES No
UBPRD620 2001-06-30 9999-12-31 INSTITUTION TOTAL OF ALL COMMERCIAL AND INDUSTRIAL LOANS SECURITIZED AND MANAGED ASSETS AMOUNT No
UBPRD621 2001-06-30 9999-12-31 FIVE PERIOD AVERAGE OF RELATED SECURITIZED AND MANAGED COMMERCIAL AND INDUSTRIAL ASSETS No
UBPRD622 2001-06-30 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE CREDIT CARD SECURITIZATION ACTIVITIES No
UBPRD623 2001-06-30 9999-12-31 INSTITUTION TOTAL OF ALL CREDIT CARD SECURITIZED AND MANAGED ASSETS AMOUNT No
UBPRD624 2001-06-30 9999-12-31 FIVE PERIOD AVERAGE OF RELATED SECURITIZED AND MANAGED CREDIT CARD ASSETS No
UBPRD625 2001-06-30 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE 1 TO 4 FAMILY SECURITIZATION ACTIVITIES No
UBPRD626 2001-06-30 9999-12-31 INSTITUTION TOTAL OF ALL 1 TO 4 FAMILY SECURITIZED AND MANAGED ASSETS AMOUNT No
UBPRD627 2001-06-30 9999-12-31 FIVE PERIOD AVERAGE OF RELATED SECURITIZED AND MANAGED 1 TO 4 FAMILY ASSETS No
UBPRD628 2001-06-30 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE HOME EQUITY SECURITIZATION ACTIVITIES No
UBPRD629 2001-06-30 9999-12-31 INSTITUTION TOTAL OF ALL HOME EQUITY SECURITIZED AND MANAGED ASSETS AMOUNT No
UBPRD630 2001-06-30 9999-12-31 FIVE PERIOD AVERAGE OF RELATED SECURITIZED AND MANAGED HOME EQUITY ASSETS No
UBPRD631 2001-06-30 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE OTHER CONSUMER AND ALL OTHER LOANS SECURITIZATION ACTIVITIES No
UBPRD632 2001-06-30 9999-12-31 INSTITUTION TOTAL OF ALL CONSUMER AND ALL OTHER LOAN SECURITIZED AND MANAGED ASSETS AMOUNT No
UBPRD633 2001-06-30 9999-12-31 FIVE PERIOD AVERAGE OF RELATED SECURITIZED AND MANAGED OTHER CONSUMER AND ALL OTHER ASSETS No
UBPRD634 2001-06-30 9999-12-31 TOTAL OF ALL SECURITIZATION ACTIVITIES FLAG No
UBPRD635 2001-06-30 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE TOTAL SECURITIZATION ACTIVITIES No
UBPRD636 2001-06-30 9999-12-31 TOTAL SECURITIZED AND MANAGED LOANS No
UBPRD637 2001-06-30 9999-12-31 TOTAL OF ALL SECURITIZATION ACTIVITIES PLUS RELATED CATEGORY LOANS No
UBPRD638 2006-03-31 9999-12-31 REAL ESTATE FORECLOSED UNDER GNMA BACKED LOANS AS PERCENT OF AVERAGE ASSETS No
UBPRD645 2007-01-01 9999-12-31 CONSTRUCTION AND LAND DEVELOPMENT PLUS MULTIFAMILY PROPERTY PLUS NONOWNER OCCUPIED NONFARM PLUS LOANS TO FINANCE COMMERCIAL REAL ESTATE No
UBPRD646 2001-01-01 9999-12-31 CONSTRUCTION AND LAND DEVELOPMENT LOANS AS PERCENT OF TOTAL LOANS No
UBPRD647 2007-01-01 9999-12-31 NON-OWNER OCC COMMERCIAL REAL ESTATE, % OF TIER 1 CAPITAL PLUS ALLOWANCE No
UBPRD648 2007-01-01 9999-12-31 COMMERCIAL REAL ESTATE LOANS INCLUDING NONOWNER OCCUPIED NONFARM NONRESIDENTIAL PROPERTIES AS PERCENT OF TOTAL LOANS No
UBPRD649 2001-01-01 9999-12-31 TOTAL COMMERCIAL REAL ESTATE LOANS INCLUDING ALL NONFARM NONRESIDENTIAL LOANS AS PERCENT OF TOTAL CAPITAL No
UBPRD650 2001-01-01 9999-12-31 TOTAL COMMMERCIAL REAL ESTATE LOANS INCLUDING ALL NONFARM NONRESIDENTIAL REAL ESTATE LOANS AS PERCENT OT TOTAL LOANS No
UBPRD651 2001-01-01 9999-12-31 CONSTRUCTION AND LAND DEVELOPMENT PLUS MULTIFAMILY PROPERTY PLUS NONFARM NONRESIDENTIAL PLUS LOANS TO FINANCE COMMERCIAL REAL ESTATE No
UBPRD652 2001-03-31 9999-12-31 INSTITUTION OTHER INTANGIBLE ASSETS AMOUNT No
UBPRD653 2001-03-31 9999-12-31 LOANS HELD FOR SALE FROM SCHEDULE RC No
UBPRD654 2001-03-31 9999-12-31 INSTITUTION RISK WEIGHTED ASSETS No
UBPRD655 2001-03-31 9999-12-31 STANDBY LETTERS OF CREDIT AND GUARANTEES No
UBPRD656 2001-03-31 9999-12-31 INSTITUTION RISK-BASED CAPITAL No
UBPRD657 2001-03-31 9999-12-31 INSTITUTION FOREIGN DEBT SECURITIES AMOUNT No
UBPRD658 2001-03-31 9999-12-31 INSTITUTION OTHER COMMITMENTS No
UBPRD659 2001-03-31 9999-12-31 INSTITUTION QUARTERLY AVG ASSETS CALENDAR YR No
UBPRD660 2001-03-31 9999-12-31 INSTITUTION EQUITY CAPITAL CONSOLIDATED BASIS No
UBPRD661 2001-03-31 9999-12-31 INSTITUTION ALLOWANCE FOR LOANS AND TRANSFER No
UBPRD662 2001-03-31 9999-12-31 INSTITUTION TOTAL LIABILITIES AND DEBT No
UBPRD663 2001-03-31 9999-12-31 INSTITUTION TOTAL DEPOSITS AMOUNT No
UBPRD664 2001-03-31 9999-12-31 INSTITUTION CALENDAR YEAR AVG OF LOANS No
UBPRD665 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS No
UBPRD666 2001-03-31 9999-12-31 LOANS TO FINANCE AG PRODUCTION No
UBPRD667 2001-03-31 9999-12-31 INSTITUTION 90 PLUS DAYS PAST DUE No
UBPRD668 2001-03-31 9999-12-31 INSTITUTIONS 30-89 DAYS PAST DUE No
UBPRD669 2001-03-31 9999-12-31 LOANS AND LEASE FINANCING IN NONACCRUAL No
UBPRD670 2001-03-31 9999-12-31 INSTITUTION NONINTEREST BEARING CASH AND DUE No
UBPRD672 2001-03-31 9999-12-31 ALL RE OTHER THAN BANK PREMISES OR CONTROLLED No
UBPRD673 2001-03-31 9999-12-31 TOTAL LOANS AND LEASES RESTRUCTURED No
UBPRD675 2001-03-31 9999-12-31 TOTAL SECURITIZED COMMERCIAL AND INDUSTRIAL LOANS PAST DUE 30 TO 89 DAYS No
UBPRD676 2001-03-31 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1: 30-89 DAYS - HOME EQUITY LINES No
UBPRD677 2001-03-31 9999-12-31 TOTAL SECURITIZED COMMERCIAL AND INDUSTRIAL LOANS PAST DUE 90 DAYS OR MORE No
UBPRD678 2001-03-31 9999-12-31 TOTAL SECURITIZED CREDIT CARD LINES PAST DUE 90 DAYS OR MORE No
UBPRD679 2001-03-31 9999-12-31 TOTAL SECURITIZED HOME EQUITY PAST DUE 90 DAYS OR MORE No
UBPRE001 2001-03-31 9999-12-31 INTEREST INCOME (TE)/PERCENT OF AVERAGE ASSETS No
UBPRE002 2001-03-31 9999-12-31 INTEREST EXPENSE/PERCENT OF AVERAGE ASSETS No
UBPRE003 2001-03-31 9999-12-31 NET INTEREST INCOME (TE)/PERCENT OF AVERAGE ASSETS No
UBPRE004 2001-03-31 9999-12-31 NONINTEREST INCOME/PERCENT OF AVERAGE ASSETS No
UBPRE005 2001-03-31 9999-12-31 NON-INTEREST OVERHEAD EXPENSE/PERCENT OF AVERAGE ASSETS No
UBPRE006 2001-03-31 9999-12-31 PROVISION: LOAN&LEASE LOSSES/PERCENT OF AVERAGE ASSETS No
UBPRE007 2001-03-31 9999-12-31 PRETAX OPERATING INCOME (TE)/PERCENT OF AVERAGE ASSETS No
UBPRE008 2001-03-31 9999-12-31 REALIZED GAINS/LOSSES SECS/PERCENT OF AVERAGE ASSETS No
UBPRE009 2001-03-31 9999-12-31 PRETAX NET OPERATING INC (TE)/PERCENT OF AVERAGE ASSETS No
UBPRE010 2001-03-31 9999-12-31 NET OPERATING INCOME/PERCENT OF AVERAGE ASSETS No
UBPRE011 2001-03-31 9999-12-31 ADJUSTED NET OPERATING INCOME/PERCENT OF AVERAGE ASSETS No
UBPRE012 2001-03-31 9999-12-31 NET INCOME ADJUSTED SUB S(***)/PERCENT OF AVERAGE ASSETS No
UBPRE013 2001-03-31 9999-12-31 NET INCOME/PERCENT OF AVERAGE ASSETS YTD No
UBPRE014 2001-03-31 9999-12-31 AVG EARNING ASSETS TO AVG ASSETS No
UBPRE015 2001-03-31 9999-12-31 AVG INT-BEARING FUNDS TO AVG AST No
UBPRE016 2001-03-31 9999-12-31 INT INC (TE) TO AVG EARN ASSETS No
UBPRE017 2001-03-31 9999-12-31 INT EXPENSE TO AVG EARN ASSETS No
UBPRE018 2001-03-31 9999-12-31 NET INT INC-TE TO AVG EARN ASSET No
UBPRE019 2001-03-31 9999-12-31 NET LOSS TO AVERAGE TOTAL LN&LS No
UBPRE020 2001-03-31 9999-12-31 EARNINGS COVERAGE OF NET LN&LS LOSS(X) No
UBPRE021 2001-03-31 9999-12-31 LN&LS ALLOWANCE TO NET LOSSES(X) No
UBPRE022 2001-03-31 9999-12-31 LN&LS ALLOWANCE TO LN&LS NOT HFS No
UBPRE023 2006-03-31 9999-12-31 LN&LS ALLOWANCE TO TOTAL LN&LS No
UBPRE024 2001-03-31 9999-12-31 NET LOANS & LEASES TO ASSETS No
UBPRE025 2001-03-31 9999-12-31 RETAIN EARNS TO AVG TOTAL EQUITY No
UBPRE026 2003-03-31 9999-12-31 RESTR+NONAC+RE ACQ TO EQCAP+ALLL No
UBPRE027 2001-03-31 9999-12-31 NET LOANS & LEASES/GROWTH RATES No
UBPRE028 2001-03-31 9999-12-31 SHORT TERM INVESTMENTS/GROWTH RATES No
UBPRE029 2001-03-31 9999-12-31 SHORT TERM NON-CORE FUNDING/GROWTH RATES No
UBPRE030 2001-03-31 9999-12-31 ESTIMATED TAX BENEFIT No
UBPRE031 2001-03-31 9999-12-31 INCOME ON LOANS AND LEASES (TE) No
UBPRE032 2001-03-31 9999-12-31 ESTIMATED TAX BENEFIT No
UBPRE033 2001-03-31 9999-12-31 INVESTMT INTEREST INCOME (TE) No
UBPRE034 2001-03-31 9999-12-31 INTEREST ON ALL OTHER DEPOSITS No
UBPRE036 2001-03-31 9999-12-31 ADJUSTED OPERATING INC (TE) No
UBPRE037 2001-03-31 9999-12-31 TOTAL OVERHEAD EXPENSE No
UBPRE038 2001-03-31 9999-12-31 PRETAX OPERATION INCOME (TE) No
UBPRE039 2001-03-31 9999-12-31 PRETAX OPERATION INC (TE) No
UBPRE040 2001-03-31 9999-12-31 CURRENT TAX EQUIV ADJUSTMENT No
UBPRE041 2001-03-31 9999-12-31 OTHER TAX EQUIV ADJUSTMENTS No
UBPRE042 2001-03-31 9999-12-31 APPLICABLE INCOME TAXES (TE) No
UBPRE043 2001-03-31 9999-12-31 RETAINED EARNINGS No
UBPRE044 2001-03-31 9999-12-31 INTEREST AND FEES ON LOANS/1 YR % CHG No
UBPRE045 2001-03-31 9999-12-31 INCOME FROM LEASE FINANCING/1 YR % CHG No
UBPRE046 2001-03-31 9999-12-31 TAX-EXEMPT/1 YR % CHG No
UBPRE047 2001-03-31 9999-12-31 INCOME ON LOANS AND LEASES (TE)/1 YR % CHG No
UBPRE048 2001-03-31 9999-12-31 U.S TREAS & AGENCY (EXCL MBS)/1 YR % CHG No
UBPRE049 2001-03-31 9999-12-31 MORTGAGE BACKED SECURITIES/1 YR PERCENT CHG No
UBPRE050 2001-03-31 9999-12-31 ALL OTHER SECURITIES/1 YR % CHG No
UBPRE051 2001-03-31 9999-12-31 TAX EXEMPT SECURITIES INCOME/1 YR % CHG No
UBPRE052 2001-03-31 9999-12-31 INVESTMT INTEREST INCOME (TE)/1 YR % CHG No
UBPRE053 2001-03-31 9999-12-31 INTEREST ON DUE FROM BANKS/1 YR % CHG No
UBPRE054 2001-03-31 9999-12-31 INT ON FED FUNDS SOLD & RESALES/1 YR % CHG No
UBPRE055 2001-03-31 9999-12-31 TRADING ACCOUNT INCOME/1 YR % CHG No
UBPRE056 2001-03-31 9999-12-31 OTHER INTEREST INCOME/1 YR % CHG No
UBPRE057 2001-03-31 9999-12-31 TOTAL INTEREST INCOME (TE)/1 YR % CHG No
UBPRE058 2001-03-31 9999-12-31 INT ON DEPOSITS IN FOREIGN OFF/1 YR % CHG No
UBPRE059 2001-03-31 9999-12-31 INTEREST ON TIME DEP OVER $100M/1 YR % CHG No
UBPRE060 2001-03-31 9999-12-31 INTEREST ON ALL OTHER DEPOSITS/1 YR % CHG No
UBPRE061 2001-03-31 9999-12-31 INT ON FED FUNDS PURCH & REPOS/1 YR % CHG No
UBPRE062 2001-03-31 9999-12-31 INT TRAD LIAB * OTH BORROWINGS/1 YR % CHG No
UBPRE064 2001-03-31 9999-12-31 INT ON SUB NOTES & DEBENTURES/1 YR % CHG No
UBPRE065 2001-03-31 9999-12-31 TOTAL INTEREST EXPENSE/1 YR % CHG No
UBPRE066 2001-03-31 9999-12-31 NET INTEREST INCOME (TE)/1 YR % CHG No
UBPRE067 2001-03-31 9999-12-31 NONINTEREST INCOME/1 YR % CHG No
UBPRE068 2001-03-31 9999-12-31 ADJUSTED OPERATING INC (TE)/1 YR % CHG No
UBPRE069 2001-03-31 9999-12-31 NON-INTEREST EXPENSE/1 YR % CHG No
UBPRE070 2001-03-31 9999-12-31 PROVISION: LOAN & LEASE LOSSES/1 YR % CHG No
UBPRE071 2001-03-31 9999-12-31 PRETAX OPERATION INCOME (TE)/1 YR % CHG No
UBPRE072 2001-03-31 9999-12-31 REALIZED G/L HLD-TO-MATURITY SEC/1 YR % CHG No
UBPRE073 2001-03-31 9999-12-31 REALIZED G/L AVAIL-FOR SALE SEC/1 YR % CHG No
UBPRE074 2001-03-31 9999-12-31 PRETAX OPERATION INC (TE)/1 YR % CHG No
UBPRE075 2001-03-31 9999-12-31 NET OPERATING INCOME/1 YR % CHG No
UBPRE076 2001-03-31 9999-12-31 NET INCOME/1 YR % CHG No
UBPRE077 2001-03-31 9999-12-31 CASH DIVIDENDS DECLARED/1 YR % CHG No
UBPRE078 2001-03-31 9999-12-31 RETAINED EARNINGS/1 YR % CHG No
UBPRE079 2001-03-31 9999-12-31 MEMO: NET INTERNATIONAL INCOME/1 YR % CHG No
UBPRE080 2003-03-31 9999-12-31 INSURANCE COMM & FEES No
UBPRE081 2003-03-31 9999-12-31 OTHER NET GAINS/LOSSES No
UBPRE083 2001-03-31 9999-12-31 ASSETS PER DOMESTIC OFFICE No
UBPRE084 2001-03-31 9999-12-31 OCCUPANCY EXPENSE/PERCENT OF AVERAGE ASSETS No
UBPRE085 2001-03-31 9999-12-31 OTHER OPER EXP (INCL INTANGIBLES)/PERCENT OF AVERAGE ASSETS No
UBPRE087 2001-03-31 9999-12-31 OVERHEAD LESS NONINTEREST INCOME/PERCENT OF AVERAGE ASSETS No
UBPRE088 2003-03-31 9999-12-31 EFFICIENCY RATIO No
UBPRE089 2001-03-31 9999-12-31 AVG PERSONNEL EXP PER EMPL($000) No
UBPRE090 2001-03-31 9999-12-31 ASSETS PER EMPLOYEE ($MILLION) No
UBPRE091 2001-03-31 9999-12-31 TOTAL LOANS & LEASES (TE)/YIELD ON OR COST OF No
UBPRE092 2001-03-31 9999-12-31 LOANS IN DOMESTIC OFFICES/YIELD ON OR COST OF No
UBPRE093 2001-03-31 9999-12-31 REAL ESTATE/YIELD ON OR COST OF No
UBPRE094 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL/YIELD ON OR COST OF No
UBPRE095 2001-03-31 9999-12-31 INDIVIDUAL/YIELD ON OR COST OF No
UBPRE096 2001-03-31 9999-12-31 CREDIT CARDS/YIELD ON OR COST OF No
UBPRE097 2001-03-31 9999-12-31 AGRICULTURAL/YIELD ON OR COST OF No
UBPRE098 2001-03-31 9999-12-31 LOANS IN FOREIGN OFFICES/YIELD ON OR COST OF No
UBPRE099 2001-03-31 9999-12-31 TOTAL INVESTMENT SECURITIES (TE)/YIELD ON OR COST OF No
UBPRE100 2001-03-31 9999-12-31 TOTAL INVESTMENT SECURITIES (BOOK)/YIELD ON OR COST OF No
UBPRE101 2001-03-31 9999-12-31 U.S.TREAS & AGENCY (EXCL MBS)/YIELD ON OR COST OF No
UBPRE102 2001-03-31 9999-12-31 MORTGAGE BACKED SECURITIES/YIELD ON OR COST OF No
UBPRE103 2001-03-31 9999-12-31 ALL OTHER SECURITIES/YIELD ON OR COST OF No
UBPRE104 2001-03-31 9999-12-31 INTEREST-BEARING BANK BALANCES/YIELD ON OR COST OF No
UBPRE105 2001-03-31 9999-12-31 FEDERAL FUNDS SOLD & RESALES/YIELD ON OR COST OF No
UBPRE106 2001-03-31 9999-12-31 TOTAL INT-BEARING DEPOSITS/YIELD ON OR COST OF No
UBPRE107 2001-03-31 9999-12-31 TRANSACTION ACCOUNTS/YIELD ON OR COST OF No
UBPRE108 2001-03-31 9999-12-31 OTHER SAVINGS DEPOSITS/YIELD ON OR COST OF No
UBPRE109 2001-03-31 9999-12-31 TIME DEPS OVER $100M/YIELD ON OR COST OF No
UBPRE110 2001-03-31 9999-12-31 ALL OTHER TIME DEPOSITS/YIELD ON OR COST OF No
UBPRE111 2001-03-31 9999-12-31 FOREIGN OFFICE DEPOSITS/YIELD ON OR COST OF No
UBPRE112 2001-03-31 9999-12-31 FEDERAL FUNDS PURCHASED & REPOS/YIELD ON OR COST OF No
UBPRE113 2001-03-31 9999-12-31 OTHER BORROWED MONEY/YIELD ON OR COST OF No
UBPRE114 2001-03-31 9999-12-31 SUBORDINATED NOTES & DEBENTURES/YIELD ON OR COST OF No
UBPRE115 2001-03-31 9999-12-31 ALL INTEREST-BEARING FUNDS/YIELD ON OR COST OF No
UBPRE116 2001-03-31 9999-12-31 COMMERCIAL LOANS No
UBPRE117 2001-03-31 9999-12-31 OTHER LN&LS IN DOMESTIC OFFICES No
UBPRE118 2001-03-31 9999-12-31 LN&LS IN FOREIGN OFFICES No
UBPRE119 2001-03-31 9999-12-31 NET LOANS & LEASES No
UBPRE120 2001-03-31 9999-12-31 U.S. TREASURY & AGENCY SECURITIES No
UBPRE121 2001-03-31 9999-12-31 ALL OTHER SECURITIES No
UBPRE122 2001-03-31 9999-12-31 TOTAL INVESTMENTS No
UBPRE123 2001-03-31 9999-12-31 TOTAL EARNING ASSETS No
UBPRE124 2003-03-31 9999-12-31 ACCEPTANCES & OTH ASSETS No
UBPRE125 2001-03-31 9999-12-31 ALL NOW & ATS ACCOUNTS No
UBPRE126 2001-03-31 9999-12-31 CORE DEPOSITS No
UBPRE127 2003-03-31 9999-12-31 FED HOME LOAN BOR MAT > 1 YR No
UBPRE128 2003-03-31 9999-12-31 OTH BORROWING MAT > 1 YR No
UBPRE129 2001-03-31 9999-12-31 ACCEPTANCES & OTHER LIABILITIES No
UBPRE130 2001-03-31 9999-12-31 NON-INVESTMENT ORE No
UBPRE131 2001-03-31 9999-12-31 GROSS LOANS & LEASES No
UBPRE132 2001-03-31 9999-12-31 REAL ESTATE LOANS/1 QTR % CHG No
UBPRE133 2001-03-31 9999-12-31 COMMERCIAL LOANS/1 QTR % CHG No
UBPRE134 2001-03-31 9999-12-31 INDIVIDUAL LOANS/1 QTR % CHG No
UBPRE135 2001-03-31 9999-12-31 AGRICULTURAL LOANS/1 QTR % CHG No
UBPRE136 2001-03-31 9999-12-31 OTHER LN&LS IN DOMESTIC OFFICES/1 QTR % CHG No
UBPRE137 2001-03-31 9999-12-31 LN&LS IN FOREIGN OFFICES/1 QTR % CHG No
UBPRE138 2006-03-31 9999-12-31 LOANS HELD FOR SALE/1 QTR % CHG No
UBPRE139 2006-03-31 9999-12-31 LOANS NOT HELD FOR SALE/1 QTR % CHG No
UBPRE140 2001-03-31 9999-12-31 LN&LS ALLOWANCE/1 QTR % CHG No
UBPRE141 2001-03-31 9999-12-31 NET LOANS & LEASES/1 QTR % CHG No
UBPRE142 2001-03-31 9999-12-31 U.S. TREASURY & AGENCY SECURITIES/1 QTR % CHG No
UBPRE143 2001-03-31 9999-12-31 MUNICIPAL SECURITIES/1 QTR % CHG No
UBPRE144 2001-03-31 9999-12-31 FOREIGN DEBT SECURITIES/1 QTR % CHG No
UBPRE145 2001-03-31 9999-12-31 ALL OTHER SECURITIES/1 QTR % CHG No
UBPRE146 2001-03-31 9999-12-31 INTEREST-BEARING BANK BALANCES/1 QTR % CHG No
UBPRE147 2001-03-31 9999-12-31 TRADING ACCOUNT ASSETS/1 QTR % CHG No
UBPRE148 2001-03-31 9999-12-31 NONINT CASH & DUE FROM BANKS/1 QTR % CHG No
UBPRE149 2001-03-31 9999-12-31 "PREMISES, FIX ASSTS, CAP LEASES/1 QTR % CHG" No
UBPRE150 2001-03-31 9999-12-31 OTHER REAL ESTATE OWNED/1 QTR % CHG No
UBPRE151 2003-03-31 9999-12-31 ACCEPTANCES & OTH ASSETS/1 QTR % CHG No
UBPRE152 2001-03-31 9999-12-31 TOTAL ASSETS/1 QTR % CHG No
UBPRE153 2001-03-31 9999-12-31 AVERAGE ASSETS DURING QUARTER/1 QTR % CHG No
UBPRE154 2001-03-31 9999-12-31 DEMAND DEPOSITS/1 QTR % CHG No
UBPRE155 2001-03-31 9999-12-31 ALL NOW & ATS ACCOUNTS/1 QTR % CHG No
UBPRE156 2001-03-31 9999-12-31 MONEY MARKET DEPOSIT ACCOUNTS/1 QTR % CHG No
UBPRE157 2001-03-31 9999-12-31 OTHER SAVINGS DEPOSITS/1 QTR % CHG No
UBPRE158 2001-03-31 9999-12-31 TIME DEP UNDER $100M/1 QTR % CHG No
UBPRE159 2001-03-31 9999-12-31 CORE DEPOSITS/1 QTR % CHG No
UBPRE160 2001-03-31 9999-12-31 TIME DEP OF $100M OR MORE/1 QTR % CHG No
UBPRE161 2001-03-31 9999-12-31 DEPOSITS IN FOREIGN OFFICES/1 QTR % CHG No
UBPRE162 2001-03-31 9999-12-31 TOTAL DEPOSITS/1 QTR % CHG No
UBPRE163 2003-03-31 9999-12-31 FED HOME LOAN BOR MAT < 1 YR/1 QTR % CHG No
UBPRE164 2003-03-31 9999-12-31 FED HOME LOAN BOR MAT > 1 YR/1 QTR % CHG No
UBPRE165 2003-03-31 9999-12-31 OTH BORROWING MAT < 1 YR/1 QTR % CHG No
UBPRE166 2003-03-31 9999-12-31 OTH BORROWING MAT > 1 YR/1 QTR % CHG No
UBPRE167 2001-03-31 9999-12-31 ACCEPTANCES & OTHER LIABILITIES/1 QTR % CHG No
UBPRE168 2001-03-31 9999-12-31 TOTAL LIABILITIES (INCL MORTG)/1 QTR % CHG No
UBPRE169 2001-03-31 9999-12-31 SUBORDINATED NOTES & DEBENTURES/1 QTR % CHG No
UBPRE170 2001-03-31 9999-12-31 ALL COMMON & PREFERRED CAPITAL/1 QTR % CHG No
UBPRE171 2007-06-30 9999-12-31 QUARTERLY GROWTH OF 1-4 FAMILY RESIDENTIAL CONSTRUCTION LOAN COMMITMENTS, FROM SCHEDULE RC-L ITEM 1C(1)(A) No
UBPRE172 2001-03-31 9999-12-31 "OFFICER, SHAREHOLDER LOANS ($)/1 QTR % CHG" No
UBPRE173 2001-03-31 9999-12-31 NON-INVESTMENT ORE/1 QTR % CHG No
UBPRE174 2001-03-31 9999-12-31 HELD-TO-MATURITY SECURITIES/1 QTR % CHG No
UBPRE175 2001-03-31 9999-12-31 AVAILABLE-FOR-SALE-SECURITIES/1 QTR % CHG No
UBPRE176 2001-03-31 9999-12-31 ALL BROKERED DEPOSITS/1 QTR % CHG No
UBPRE177 2001-03-31 9999-12-31 GROSS LOANS & LEASES/1 QTR % CHG No
UBPRE178 2008-03-31 9999-12-31 ANNUAL GROWTH OF 1-4 FAMILY RESIDENTIAL CONSTRUCTION LOAN COMMITMENTS, FROM SCHEDULE RC-L ITEM 1C(1)(A) No
UBPRE179 2001-03-31 9999-12-31 REAL ESTATE LOANS/1 YR % CHG No
UBPRE180 2001-03-31 9999-12-31 COMMERCIAL LOANS/1 YR % CHG No
UBPRE181 2001-03-31 9999-12-31 INDIVIDUAL LOANS/1 YR % CHG No
UBPRE182 2001-03-31 9999-12-31 AGRICULTURAL LOANS/1 YR % CHG No
UBPRE183 2001-03-31 9999-12-31 OTHER LN&LS IN DOMESTIC OFFICES/1 YR % CHG No
UBPRE184 2001-03-31 9999-12-31 LN&LS IN FOREIGN OFFICES/1 YR % CHG No
UBPRE185 2006-03-31 9999-12-31 LOANS HELD FOR SALE/1 YR % CHG No
UBPRE186 2006-03-31 9999-12-31 LOANS NOT HELD FOR SALE/1 YR % CHG No
UBPRE187 2001-03-31 9999-12-31 LN&LS ALLOWANCE/1 YR % CHG No
UBPRE188 2007-06-30 9999-12-31 QUARTERLY GROWTH OF COMMERCIAL REAL ESTATE, OTHER CONSTRUCTION LOAN AND LAND DEVELOPMENT LOANS COMMITMENTS, FROM SCHEDULE RC-L ITEM 1C(1)(B) No
UBPRE189 2001-03-31 9999-12-31 U.S. TREASURY & AGENCY SECURITIES/1 YR % CHG No
UBPRE190 2001-03-31 9999-12-31 MUNICIPAL SECURITIES/1 YR % CHG No
UBPRE191 2001-03-31 9999-12-31 FOREIGN DEBT SECURITIES/1 YR % CHG No
UBPRE192 2001-03-31 9999-12-31 ALL OTHER SECURITIES/1 YR % CHG No
UBPRE193 2001-03-31 9999-12-31 INTEREST-BEARING BANK BALANCES/1 YR % CHG No
UBPRE194 2001-03-31 9999-12-31 TRADING ACCOUNT ASSETS/1 YR % CHG No
UBPRE195 2001-03-31 9999-12-31 NONINT CASH & DUE FROM BANKS/1 YR % CHG No
UBPRE196 2001-03-31 9999-12-31 "PREMISES, FIX ASSTS, CAP LEASES/1 YR % CHG" No
UBPRE197 2001-03-31 9999-12-31 OTHER REAL ESTATE OWNED/1 YR % CHG No
UBPRE198 2003-03-31 9999-12-31 ACCEPTANCES & OTH ASSETS/1 YR % CHG No
UBPRE199 2008-03-31 9999-12-31 ANNUAL GROWTH RATE COMMERCIAL REAL ESTATE, OTHER CONSTRUCTION LOAN AND LAND DEVELOPMENT LOANS COMMITMENTS, FROM SCHEDULE RC-L ITEM 1C(1)(B) No
UBPRE200 2001-03-31 9999-12-31 AVERAGE ASSETS DURING QUARTER/1 YR % CHG No
UBPRE201 2001-03-31 9999-12-31 DEMAND DEPOSITS/1 YR % CHG No
UBPRE202 2001-03-31 9999-12-31 ALL NOW & ATS ACCOUNTS/1 YR % CHG No
UBPRE203 2001-03-31 9999-12-31 MONEY MARKET DEPOSIT ACCOUNTS/1 YR % CHG No
UBPRE204 2001-03-31 9999-12-31 OTHER SAVINGS DEPOSITS/1 YR % CHG No
UBPRE205 2001-03-31 9999-12-31 TIME DEP UNDER $100M/1 YR % CHG No
UBPRE206 2001-03-31 9999-12-31 CORE DEPOSITS/1 YR % CHG No
UBPRE207 2001-03-31 9999-12-31 TIME DEP OF $100M OR MORE/1 YR % CHG No
UBPRE208 2001-03-31 9999-12-31 DEPOSITS IN FOREIGN OFFICES/1 YR % CHG No
UBPRE209 2001-03-31 9999-12-31 TOTAL DEPOSITS/1 YR % CHG No
UBPRE210 2003-03-31 9999-12-31 FED HOME LOAN BOR MAT < 1 YR/1 YR % CHG No
UBPRE211 2003-03-31 9999-12-31 FED HOME LOAN BOR MAT > 1 YR/1 YR % CHG No
UBPRE212 2003-03-31 9999-12-31 OTH BORROWING MAT < 1 YR/1 YR % CHG No
UBPRE213 2003-03-31 9999-12-31 OTH BORROWING MAT > 1 YR/1 YR % CHG No
UBPRE214 2001-03-31 9999-12-31 ACCEPTANCES & OTHER LIABILITIES/1 YR % CHG No
UBPRE215 2001-03-31 9999-12-31 TOTAL LIABILITIES (INCL MORTG)/1 YR % CHG No
UBPRE216 2001-03-31 9999-12-31 SUBORDINATED NOTES & DEBENTURES/1 YR % CHG No
UBPRE217 2001-03-31 9999-12-31 ALL COMMON & PREFERRED CAPITAL/1 YR % CHG No
UBPRE218 2007-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL CONSTRUCTION LOAN COMMITMENTS, FROM SCHEDULE RC-L ITEM 1C(1)(A)AS A PERCENT OF TOTAL ASSETS No
UBPRE219 2001-03-31 9999-12-31 "OFFICER, SHAREHOLDER LOANS ($)/1 YR % CHG" No
UBPRE220 2001-03-31 9999-12-31 NON-INVESTMENT ORE/1 YR % CHG No
UBPRE221 2001-03-31 9999-12-31 HELD-TO-MATURITY SECURITIES/1 YR % CHG No
UBPRE222 2001-03-31 9999-12-31 AVAILABLE-FOR-SALE-SECURITIES/1 YR % CHG No
UBPRE223 2001-03-31 9999-12-31 ALL BROKERED DEPOSITS/1 YR % CHG No
UBPRE224 2001-03-31 9999-12-31 GROSS LOANS & LEASES/1 YR % CHG No
UBPRE225 2007-03-31 9999-12-31 COMMERCIAL REAL ESTATE, OTHER CONSTRUCTION LOAN & LAND DEVELOPMENT LOANS COMMITMENTS SCHEDULE RC-L ITEM 1C(1)(B)AS A PERCENT OF TOTAL ASSETS No
UBPRE226 2001-03-31 9999-12-31 AMOUNT CONVEYED TO OTHERS No
UBPRE227 2001-03-31 9999-12-31 ASSETS SECURITIZED OR SOLD W REC No
UBPRE228 2001-03-31 9999-12-31 AMOUNT OF RECOURSE EXPOSURE No
UBPRE229 2001-03-31 9999-12-31 OFF-BALANCE SHEET ITEMS No
UBPRE230 2001-03-31 9999-12-31 HOME EQUITY (1 - 4 FAMILY)/1 QTR % CHG No
UBPRE231 2001-03-31 9999-12-31 CREDIT CARD/1 QTR % CHG No
UBPRE232 2001-03-31 9999-12-31 COMMERCIAL RE SECURED BY RE/1 QTR % CHG No
UBPRE233 2001-03-31 9999-12-31 COMMERCL RE NOT SECURED BY RE/1 QTR % CHG No
UBPRE234 2001-03-31 9999-12-31 ALL OTHER/1 QTR % CHG No
UBPRE235 2001-03-31 9999-12-31 SECURITIES UNDERWRITING/1 QTR % CHG No
UBPRE236 2001-03-31 9999-12-31 MEMO: UNUSED COMMIT W/MAT GT 1 YR/1 QTR % CHG No
UBPRE237 2001-03-31 9999-12-31 STANDBY LETTERS OF CREDIT/1 QTR % CHG No
UBPRE238 2001-03-31 9999-12-31 AMOUNT CONVEYED TO OTHERS/1 QTR % CHG No
UBPRE239 2001-03-31 9999-12-31 COMMERCIAL LETTERS OF CREDIT/1 QTR % CHG No
UBPRE240 2001-03-31 9999-12-31 ASSETS SECURITIZED OR SOLD W REC/1 QTR % CHG No
UBPRE241 2001-03-31 9999-12-31 AMOUNT OF RECOURSE EXPOSURE/1 QTR % CHG No
UBPRE242 2001-03-31 9999-12-31 CREDIT DERIVS BANK AS GTR/1 QTR % CHG No
UBPRE243 2001-03-31 9999-12-31 CREDIT DERIVS BANK AS BENEF/1 QTR % CHG No
UBPRE244 2001-03-31 9999-12-31 ALL OTH OFF-BALANCE SHEET ITEMS/1 QTR % CHG No
UBPRE245 2001-03-31 9999-12-31 OFF-BALANCE SHEET ITEMS/1 QTR % CHG No
UBPRE246 2001-03-31 9999-12-31 HOME EQUITY (1 - 4 FAMILY)/1 YR % CHG No
UBPRE247 2001-03-31 9999-12-31 CREDIT CARD/1 YR % CHG No
UBPRE248 2001-03-31 9999-12-31 COMMERCIAL RE SECURED BY RE/1 YR % CHG No
UBPRE249 2001-03-31 9999-12-31 COMMERCL RE NOT SECURED BY RE/1 YR % CHG No
UBPRE250 2001-03-31 9999-12-31 ALL OTHER/1 YR % CHG No
UBPRE251 2001-03-31 9999-12-31 SECURITIES UNDERWRITING/1 YR % CHG No
UBPRE252 2001-03-31 9999-12-31 MEMO: UNUSED COMMIT W/MAT GT 1 YR/1 YR % CHG No
UBPRE253 2001-03-31 9999-12-31 STANDBY LETTERS OF CREDIT/1 YR % CHG No
UBPRE254 2001-03-31 9999-12-31 AMOUNT CONVEYED TO OTHERS/1 YR % CHG No
UBPRE255 2001-03-31 9999-12-31 COMMERCIAL LETTERS OF CREDIT/1 YR % CHG No
UBPRE256 2001-03-31 9999-12-31 ASSETS SECURITIZED OR SOLD W REC/1 YR % CHG No
UBPRE257 2001-03-31 9999-12-31 AMOUNT OF RECOURSE EXPOSURE/1 YR % CHG No
UBPRE258 2001-03-31 9999-12-31 CREDIT DERIVS BANK AS GTR/1 YR % CHG No
UBPRE259 2001-03-31 9999-12-31 CREDIT DERIVS BANK AS BENEF/1 YR % CHG No
UBPRE260 2001-03-31 9999-12-31 ALL OTH OFF-BALANCE SHEET ITEMS/1 YR % CHG No
UBPRE261 2001-03-31 9999-12-31 OFF-BALANCE SHEET ITEMS/1 YR % CHG No
UBPRE262 2001-03-31 9999-12-31 HOME EQUITY (1 - 4 FAMILY)/OUTSTANDING (% OF TOTAL) No
UBPRE263 2001-03-31 9999-12-31 CREDIT CARD/OUTSTANDING (% OF TOTAL) No
UBPRE264 2001-03-31 9999-12-31 COMMERCIAL RE SECURED BY RE/OUTSTANDING (% OF TOTAL) No
UBPRE265 2001-03-31 9999-12-31 COMMERCL RE NOT SECURED BY RE/OUTSTANDING (% OF TOTAL) No
UBPRE266 2001-03-31 9999-12-31 ALL OTHER/OUTSTANDING (% OF TOTAL) No
UBPRE267 2001-03-31 9999-12-31 TOTAL LN&LS COMMITMENTS/OUTSTANDING (% OF TOTAL) No
UBPRE268 2001-03-31 9999-12-31 SECURITIES UNDERWRITING/OUTSTANDING (% OF TOTAL) No
UBPRE269 2001-03-31 9999-12-31 STANDBY LETTERS OF CREDIT/OUTSTANDING (% OF TOTAL) No
UBPRE270 2001-03-31 9999-12-31 AMOUNT CONVEYED TO OTHERS/OUTSTANDING (% OF TOTAL) No
UBPRE271 2001-03-31 9999-12-31 COMMERCIAL LETTERS OF CREDIT/OUTSTANDING (% OF TOTAL) No
UBPRE272 2001-03-31 9999-12-31 ASSETS SECURITIZED OR SOLD W REC/OUTSTANDING (% OF TOTAL) No
UBPRE273 2001-03-31 9999-12-31 AMOUNT OF RECOURSE EXPOSURE/OUTSTANDING (% OF TOTAL) No
UBPRE274 2001-03-31 9999-12-31 CREDIT DERIVS BANK AS GTR/OUTSTANDING (% OF TOTAL) No
UBPRE275 2001-03-31 9999-12-31 CREDIT DERIVS BANK AS BENEF/OUTSTANDING (% OF TOTAL) No
UBPRE276 2001-03-31 9999-12-31 ALL OTH OFF-BALANCE SHEET ITEMS/OUTSTANDING (% OF TOTAL) No
UBPRE277 2001-03-31 9999-12-31 OFF-BALANCE SHEET ITEMS/OUTSTANDING (% OF TOTAL) No
UBPRE278 2001-03-31 9999-12-31 DERIVATIVE CONTRACTS No
UBPRE279 2001-03-31 9999-12-31 INTEREST RATE CONTRACTS No
UBPRE280 2001-03-31 9999-12-31 FOREIGN EXCHANGE CONTRACTS No
UBPRE281 2001-03-31 9999-12-31 "EQUITY, COMM & OTHER CONTRACTS" No
UBPRE282 2001-03-31 9999-12-31 FUTURES AND FORWARDS/DERIVATIVES POSITION No
UBPRE283 2001-03-31 9999-12-31 WRITTEN OPTIONS/DERIVATIVES POSITION No
UBPRE284 2001-03-31 9999-12-31 EXCHANGE TRADED/DERIVATIVES POSITION No
UBPRE285 2001-03-31 9999-12-31 OVER-THE-COUNTER/DERIVATIVES POSITION No
UBPRE286 2001-03-31 9999-12-31 PURCHASED OPTIONS/DERIVATIVES POSITION No
UBPRE287 2001-03-31 9999-12-31 EXCHANGE TRADED/DERIVATIVES POSITION No
UBPRE288 2001-03-31 9999-12-31 OVER-THE-COUNTER/DERIVATIVES POSITION No
UBPRE289 2001-03-31 9999-12-31 SWAPS/DERIVATIVES POSITION No
UBPRE290 2001-03-31 9999-12-31 HELD-FOR-TRADING No
UBPRE291 2001-03-31 9999-12-31 NON-TRADED No
UBPRE292 2001-03-31 9999-12-31 "EQUITY, COMM & OTHER CONTRACTS" No
UBPRE293 2001-03-31 9999-12-31 MEMO: MARKED-TO-MARKET No
UBPRE294 2001-03-31 9999-12-31 DERIVATIVE CONTRACTS (RBC DEF.) No
UBPRE295 2001-03-31 9999-12-31 ONE YEAR OR LESS/DERIVATIVE CONTRACTS (RBC DEF.) No
UBPRE296 2001-03-31 9999-12-31 OVER 1 YEAR TO 5 YEARS/DERIVATIVE CONTRACTS (RBC DEF.) No
UBPRE297 2001-03-31 9999-12-31 OVER 5 YEARS/DERIVATIVE CONTRACTS (RBC DEF.) No
UBPRE298 2001-03-31 9999-12-31 GROSS NEGATIVE FAIR VALUE/DERIVATIVE CONTRACTS (RBC DEF.) No
UBPRE299 2001-03-31 9999-12-31 GROSS POSITIVE FAIR VALUE/DERIVATIVE CONTRACTS (RBC DEF.) No
UBPRE300 2001-03-31 9999-12-31 HELD-FOR-TRADING/DERIVATIVE CONTRACTS (RBC DEF.) No
UBPRE301 2001-03-31 9999-12-31 NON-TRADED/DERIVATIVE CONTRACTS (RBC DEF.) No
UBPRE302 2001-03-31 9999-12-31 MEMO: MARKED-TO-MARKET/DERIVATIVE CONTRACTS (RBC DEF.) No
UBPRE303 2001-03-31 9999-12-31 INCREASE (DECR) IN NET INCOME/IMPACT NONTRADED DERIV CONTRACTS No
UBPRE304 2001-03-31 9999-12-31 INTEREST RATE CONTRACTS/PERCENT OF NOTIONAL AMOUNT No
UBPRE305 2001-03-31 9999-12-31 FOREIGN EXCHANGE CONTRACTS/PERCENT OF NOTIONAL AMOUNT No
UBPRE306 2001-03-31 9999-12-31 "EQUITY, COMM, & OTHER CONTR/PERCENT OF NOTIONAL AMOUNT" No
UBPRE307 2001-03-31 9999-12-31 FUTURES AND FORWARDS/PERCENT OF NOTIONAL AMOUNT No
UBPRE308 2001-03-31 9999-12-31 WRITTEN OPTIONS/PERCENT OF NOTIONAL AMOUNT No
UBPRE309 2001-03-31 9999-12-31 EXCHANGE TRADED/PERCENT OF NOTIONAL AMOUNT No
UBPRE310 2001-03-31 9999-12-31 OVER-THE-COUNTER/PERCENT OF NOTIONAL AMOUNT No
UBPRE311 2001-03-31 9999-12-31 PURCHASED OPTIONS/PERCENT OF NOTIONAL AMOUNT No
UBPRE312 2001-03-31 9999-12-31 EXCHANGE TRADED/PERCENT OF NOTIONAL AMOUNT No
UBPRE313 2001-03-31 9999-12-31 OVER-THE-COUNTER/PERCENT OF NOTIONAL AMOUNT No
UBPRE314 2001-03-31 9999-12-31 SWAPS/PERCENT OF NOTIONAL AMOUNT No
UBPRE315 2001-03-31 9999-12-31 HELD FOR TRADING/PERCENT OF NOTIONAL AMOUNT No
UBPRE316 2001-03-31 9999-12-31 INTEREST RATE CONTRACTS/PERCENT OF NOTIONAL AMOUNT No
UBPRE317 2001-03-31 9999-12-31 FOREIGN EXCHANGE CONTRACTS/PERCENT OF NOTIONAL AMOUNT No
UBPRE318 2001-03-31 9999-12-31 "EQUITY, COMM, & OTHER CONTR/PERCENT OF NOTIONAL AMOUNT" No
UBPRE319 2001-03-31 9999-12-31 NON-TRADED/PERCENT OF NOTIONAL AMOUNT No
UBPRE320 2001-03-31 9999-12-31 INTEREST RATE CONTRACTS/PERCENT OF NOTIONAL AMOUNT No
UBPRE321 2001-03-31 9999-12-31 FOREIGN EXCHANGE CONTRACTS/PERCENT OF NOTIONAL AMOUNT No
UBPRE322 2001-03-31 9999-12-31 "EQUITY, COMM, & OTHER CONTR/PERCENT OF NOTIONAL AMOUNT" No
UBPRE323 2001-03-31 9999-12-31 MEMO: MARKED-TO-MARKET/PERCENT OF NOTIONAL AMOUNT No
UBPRE324 2001-03-31 9999-12-31 DERIVATIVE CONTRACTS (RBC DEF.)/PERCENT OF NOTIONAL AMOUNT No
UBPRE325 2001-03-31 9999-12-31 ONE YEAR OR LESS/DERIVATIVE CONTRANCTS (RBC DEF.)/PERCENT OF NOTIONAL AMOUNT No
UBPRE326 2001-03-31 9999-12-31 OVER 1 YEAR TO 5 YEARS/DERIVATIVE CONTRANCTS (RBC DEF.)/PERCENT OF NOTIONAL AMOUNT No
UBPRE327 2001-03-31 9999-12-31 OVER 5 YEARS/DERIVATIVE CONTRANCTS (RBC DEF.)/PERCENT OF NOTIONAL AMOUNT No
UBPRE328 2001-03-31 9999-12-31 GROSS NEGATIVE FAIR VALUE/DERIVATIVE CONTRANCTS (RBC DEF.)/PERCENT OF NOTIONAL AMOUNT No
UBPRE329 2001-03-31 9999-12-31 GROSS POSITIVE FAIR VALUE/DERIVATIVE CONTRANCTS (RBC DEF.)/PERCENT OF NOTIONAL AMOUNT No
UBPRE330 2001-03-31 9999-12-31 GROSS NEGATIVE FAIR VALUE (X)/PERCENT OF TIER ONE CAPITAL No
UBPRE331 2001-03-31 9999-12-31 GROSS POSITIVE FAIR VALUE (X)/PERCENT OF TIER ONE CAPITAL No
UBPRE332 2001-03-31 9999-12-31 HELD FOR TRADING (X)/PERCENT OF TIER ONE CAPITAL No
UBPRE333 2001-03-31 9999-12-31 NON-TRADED (X)/PERCENT OF TIER ONE CAPITAL No
UBPRE334 2001-03-31 9999-12-31 NON-TRADED MARKED-TO-MARKET (X)/PERCENT OF TIER ONE CAPITAL No
UBPRE335 2001-03-31 9999-12-31 CURR CREDIT EXPOSURE (X)/PERCENT OF TIER ONE CAPITAL No
UBPRE336 2001-03-31 9999-12-31 CREDIT LOSSES ON DERIVATIVES/PERCENT OF TIER ONE CAPITAL No
UBPRE337 2001-03-31 9999-12-31 FAIR VALUE CARRIED AS ASSET/PAST DUE DERIVATIVE INSTRUMENTS No
UBPRE338 2001-03-31 9999-12-31 CURR CREDIT EXPO/ RISK WT ASSET No
UBPRE339 2001-03-31 9999-12-31 CREDIT LOSSES ON DERIVS/CR ALLOW No
UBPRE341 2001-03-31 9999-12-31 INCR (DECR) INTEREST INC/NET INC/IMPACT OF NONTRADED DERIV CONTRACTS No
UBPRE342 2001-03-31 9999-12-31 (INC) DECR INTEREST EXP/NET INC/IMPACT OF NONTRADED DERIV CONTRACTS No
UBPRE343 2001-03-31 9999-12-31 INCR (DECR) NONINT ALLOC/NET INC/IMPACT OF NONTRADED DERIV CONTRACTS No
UBPRE344 2001-03-31 9999-12-31 INCR (DECR) NET INCOME/NET INC/IMPACT OF NONTRADED DERIV CONTRACTS No
UBPRE345 2006-03-31 9999-12-31 LOANS HELD FOR SALE No
UBPRE346 2006-03-31 9999-12-31 LOANS NOT HELD FOR SALE No
UBPRE347 2001-03-31 9999-12-31 LESS: LN&LS ALLOWANCE No
UBPRE348 2001-03-31 9999-12-31 NET LOANS & LEASES No
UBPRE349 2001-03-31 9999-12-31 INTEREST-BEARING BANK BALANCES No
UBPRE350 2001-03-31 9999-12-31 FEDERAL FUNDS SOLD & RESALES No
UBPRE351 2001-03-31 9999-12-31 TRADING ACCOUNT ASSETS No
UBPRE352 2001-03-31 9999-12-31 HELD-TO-MATURITY SECURITIES No
UBPRE353 2001-03-31 9999-12-31 AVAILABLE-FOR-SALE SECURITIES No
UBPRE354 2001-03-31 9999-12-31 TOTAL EARNING ASSETS No
UBPRE355 2001-03-31 9999-12-31 NONINT CASH & DUE FROM BANKS No
UBPRE356 2001-03-31 9999-12-31 "PREMISES, FIX ASSTS & CAP LEASES" No
UBPRE357 2001-03-31 9999-12-31 OTHER REAL ESTATE OWNED No
UBPRE358 2001-03-31 9999-12-31 ACCEPTANCES & OTHER ASSETS No
UBPRE359 2001-03-31 9999-12-31 SUBTOTAL No
UBPRE360 2001-03-31 9999-12-31 TOTAL ASSETS No
UBPRE361 2001-03-31 9999-12-31 STANDBY LETTERS OF CREDIT No
UBPRE362 2001-03-31 9999-12-31 DEMAND DEPOSITS No
UBPRE363 2001-03-31 9999-12-31 ALL NOW & ATS ACCOUNTS No
UBPRE364 2001-03-31 9999-12-31 MONEY MARKET DEPOSIT ACCOUNTS No
UBPRE365 2001-03-31 9999-12-31 OTHER SAVING DEPOSITS No
UBPRE366 2001-03-31 9999-12-31 TIME DEP < $100M No
UBPRE367 2001-03-31 9999-12-31 CORE DEPOSITS No
UBPRE368 2001-03-31 9999-12-31 TIME DEP OF $100M OR MORE No
UBPRE369 2001-03-31 9999-12-31 DEPOSITS IN FOREIGN OFFICES No
UBPRE370 2001-03-31 9999-12-31 TOTAL DEPOSITS No
UBPRE371 2001-03-31 9999-12-31 FEDERAL FUNDS PURCH & REPOS No
UBPRE372 2003-03-31 9999-12-31 TOTAL FED HOME LOAN BORROWINGS No
UBPRE373 2003-03-31 9999-12-31 TOTAL OTH BORROWING No
UBPRE374 2001-03-31 9999-12-31 MEMO: SHT TERM N. CORE FUNDING No
UBPRE375 2001-03-31 9999-12-31 ACCEPTANCES & OTHER LIABILITIES No
UBPRE376 2001-03-31 9999-12-31 TOTAL LIABILITIES (INC MORTG) No
UBPRE377 2001-03-31 9999-12-31 SUBORDINATED NOTES & DEBENTURES No
UBPRE378 2001-03-31 9999-12-31 ALL COMMON & PREFERRED CAPITAL No
UBPRE379 2001-03-31 9999-12-31 TOTAL LIABLILITIES & CAPITAL No
UBPRE380 2001-03-31 9999-12-31 MEMO: ALL BROKERED DEPOSITS No
UBPRE381 2001-03-31 9999-12-31 INSURED BROKERED DEP No
UBPRE382 2001-03-31 9999-12-31 DIRECT & INDIRECT INVESTMENT IN REAL ESTATE No
UBPRE383 2001-03-31 9999-12-31 LOANS HELD FOR SALE No
UBPRE384 2001-03-31 9999-12-31 TOTAL LOANS No
UBPRE385 2001-03-31 9999-12-31 LEASE FINANCING RECEIVABLES No
UBPRE386 2001-03-31 9999-12-31 AVERAGE TOTAL LOANS & LEASES No
UBPRE387 2001-03-31 9999-12-31 INSTITUTION PROVISION LOAN AND LEASE LOSSES AMOUNT No
UBPRE388 2001-03-31 9999-12-31 RECOVERIES TO PRIOR CREDIT LOSS No
UBPRE389 2007-03-31 9999-12-31 AVERAGE LOANS SECURED BY OTHER NONFARM NONRESIDENTIAL PROPERTIES AS PERCENT OF AVERAGE TOTAL LOANS No
UBPRE390 2001-03-31 9999-12-31 GROSS LOSS TO AVERAGE TOT LN&LS No
UBPRE391 2001-03-31 9999-12-31 RECOVERIES TO AVERAGE TOT LN&LS No
UBPRE392 2007-03-31 9999-12-31 LOANS SECURED BY NONFARM NONRESIDENTIAL PROPERTIES AS PERCENT OF TOTAL CAPITAL No
UBPRE393 2007-03-31 9999-12-31 AVERAGE CONSTRUCTION LOANS SECURED BY 1-4 FAMILY PROPERTIES AS A PERCENT OF AVERAGE TOTAL LOANS AND LEASES No
UBPRE394 2007-03-31 9999-12-31 AVERAGE OTHER CONSTRUCTION AND LAND DEVELOPMENT LOANS AS PERCENT OF AVERAGE TOTAL LOANS No
UBPRE395 2001-03-31 9999-12-31 LN&LS ALL TO NONACCRUAL LN&LS (X) No
UBPRE396 2007-03-31 9999-12-31 AVERAGE LOANS SECURED BY OWNER OCCUPIED NONFARM NONRESIDENTIAL PROPERTIES AS PERCENT OF AVERAGE TOTAL LOANS No
UBPRE397 2001-03-31 9999-12-31 REAL ESTATE LOANS/NET LOSSES BY TYPE OF LN&LS No
UBPRE398 2001-03-31 9999-12-31 LOANS TO FINANCE COMML REAL EST/NET LOSSES BY TYPE OF LN&LS No
UBPRE399 2001-03-31 9999-12-31 CONSTRUCTION & LAND DEV/NET LOSSES BY TYPE OF LN&LS No
UBPRE400 2001-03-31 9999-12-31 SECURED BY FARMLAND/NET LOSSES BY TYPE OF LN&LS No
UBPRE401 2001-03-31 9999-12-31 SINGLE & MULTI FAMILY MORTGAGE/NET LOSSES BY TYPE OF LN&LS No
UBPRE402 2001-03-31 9999-12-31 HOME EQUITY LOANS/NET LOSSES BY TYPE OF LN&LS No
UBPRE403 2001-03-31 9999-12-31 1-4 FAMILY NON-REVOLVING/NET LOSSES BY TYPE OF LN&LS No
UBPRE404 2001-03-31 9999-12-31 MULTIFAMILY LOANS/NET LOSSES BY TYPE OF LN&LS No
UBPRE405 2001-03-31 9999-12-31 NON-FARM NON-RESIDENTIAL MTG/NET LOSSES BY TYPE OF LN&LS No
UBPRE406 2001-03-31 9999-12-31 RE LOANS IN FOREIGN OFFICES/NET LOSSES BY TYPE OF LN&LS No
UBPRE407 2001-03-31 9999-12-31 AGRICULTURAL LOANS/NET LOSSES BY TYPE OF LN&LS No
UBPRE408 2001-03-31 9999-12-31 COMMERCIAL AND INDUSTRIAL LOANS/NET LOSSES BY TYPE OF LN&LS No
UBPRE409 2001-03-31 9999-12-31 LEASE FINANCING/NET LOSSES BY TYPE OF LN&LS No
UBPRE410 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS/NET LOSSES BY TYPE OF LN&LS No
UBPRE411 2001-03-31 9999-12-31 CREDIT CARD PLANS/NET LOSSES BY TYPE OF LN&LS No
UBPRE412 2001-03-31 9999-12-31 ALL OTHER LOANS & LEASES/NET LOSSES BY TYPE OF LN&LS No
UBPRE413 2001-03-31 9999-12-31 LOANS TO FOREIGN GOVERNMENTS/NET LOSSES BY TYPE OF LN&LS No
UBPRE414 2001-03-31 9999-12-31 "CONSTRUCTION & DEVELOPMENT/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE415 2001-03-31 9999-12-31 "1 - 4 FAMILY RESIDENTIAL/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE416 2001-03-31 9999-12-31 "HOME EQUITY LOANS/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE417 2001-03-31 9999-12-31 "FARMLAND/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE418 2001-03-31 9999-12-31 "MULTIFAMILY/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE419 2001-03-31 9999-12-31 "NON-FARM NON-RESIDENTIAL/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE420 2001-03-31 9999-12-31 "TOTAL REAL ESTATE/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE421 2001-03-31 9999-12-31 "FINANCIAL INSTITUTION LOANS/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE422 2001-03-31 9999-12-31 "AGRICULTURAL LOANS/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE423 2001-03-31 9999-12-31 "COMMERCIAL & INDUSTRIAL LOANS/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE424 2001-03-31 9999-12-31 "LOANS TO INDIVIDUALS/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE425 2001-03-31 9999-12-31 CREDIT CARD LOANS/LOAN MIX, % AVERAGE GROSS LN&LS No
UBPRE426 2001-03-31 9999-12-31 "MUNICIPAL LOANS/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE428 2001-03-31 9999-12-31 "FOREIGN OFFICE LOANS & LEASES/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE429 2001-03-31 9999-12-31 "ALL OTHER LOANS/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE430 2001-03-31 9999-12-31 "LEASE FINANCING RECEIVABLES/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE431 2001-03-31 9999-12-31 "LOANS TO FOREIGN GOVERNMENTS/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE432 2001-03-31 9999-12-31 "LOANS TO FINANCE COMML REAL EST/LOAN MIX, % AVERAGE GROSS LN&LS" No
UBPRE433 2001-03-31 9999-12-31 LOAN & LEASE COMMITMENTS/MEMORANDUM (% OF AVG TOT LOANS) No
UBPRE434 2001-03-31 9999-12-31 "OFFICER, SHAREHOLDER LOANS/MEMORANDUM (% OF AVG TOT LOANS)" No
UBPRE435 2001-03-31 9999-12-31 "OFFICER, SHAREH LOANS TO ASSETS/MEMORANDUM (% OF AVG TOT LOANS)" No
UBPRE436 2001-03-31 9999-12-31 CONSTRUCTION & LAND DEVELOPMENT/OTHER REAL ESTATE OWNED % ASSETS No
UBPRE437 2001-03-31 9999-12-31 FARMLAND/OTHER REAL ESTATE OWNED % ASSETS No
UBPRE438 2001-03-31 9999-12-31 1 - 4 FAMILY/OTHER REAL ESTATE OWNED % ASSETS No
UBPRE439 2001-03-31 9999-12-31 MULTIFAMILY/OTHER REAL ESTATE OWNED % ASSETS No
UBPRE440 2001-03-31 9999-12-31 NON-FARM NON-RESID./OTHER REAL ESTATE OWNED % ASSETS No
UBPRE441 2001-03-31 9999-12-31 FOREIGN OFFICES/OTHER REAL ESTATE OWNED % ASSETS No
UBPRE442 2001-03-31 9999-12-31 SUBTOTAL/OTHER REAL ESTATE OWNED % ASSETS No
UBPRE443 2001-03-31 9999-12-31 DIRECT AND INDIRECT INV./OTHER REAL ESTATE OWNED % ASSETS No
UBPRE444 2001-03-31 9999-12-31 TOTAL/OTHER REAL ESTATE OWNED % ASSETS No
UBPRE445 2001-03-31 9999-12-31 MORTGAGES SERV. WITH RECOURSE/ASSET SERVICING % ASSETS No
UBPRE446 2001-03-31 9999-12-31 MORTGAGES SERV. WITHOUT RECOURSE/ASSET SERVICING % ASSETS No
UBPRE447 2001-03-31 9999-12-31 OTHER FINANCIAL ASSETS/ASSET SERVICING % ASSETS No
UBPRE448 2001-03-31 9999-12-31 TOTAL/ASSET SERVICING % ASSETS No
UBPRE449 2006-03-31 9999-12-31 CONSTRUCTION & DEVELOPMENT/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE452 2006-03-31 9999-12-31 1 - 4 FAMILY RESIDENTIAL/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE453 2006-03-31 9999-12-31 HOME EQUITY LOANS/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE454 2006-03-31 9999-12-31 OTHER REAL ESTATE LOANS/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE455 2006-03-31 9999-12-31 FARMLAND/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE456 2006-03-31 9999-12-31 MULTIFAMILY/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE457 2006-03-31 9999-12-31 NON-FARM NON-RESIDENTIAL/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE460 2006-03-31 9999-12-31 TOTAL REAL ESTATE/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE461 2006-03-31 9999-12-31 FINANCIAL INSTITUTIONS LOANS/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE462 2006-03-31 9999-12-31 AGGRICULTURAL LOANS/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE463 2006-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE464 2006-03-31 9999-12-31 LOANS TO INDIVIDUALS/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE465 2006-03-31 9999-12-31 CREDIT CARD LOANS/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE466 2006-03-31 9999-12-31 MUNICIPAL LOANS/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE468 2006-03-31 9999-12-31 FOREIGN OFFICE LOANS AND LEASES/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE469 2006-03-31 9999-12-31 ALL OTHER LOANS/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE470 2006-03-31 9999-12-31 LEASE FINANCING RECEIVABLES/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE471 2006-03-31 9999-12-31 LOANS TO FOREIGN GOVERNMENTS/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE472 2006-03-31 9999-12-31 LOANS TO FINANCE COMML REAL EST/LOANS &LSE % T1 CAP+ALLOW LL No
UBPRE473 2001-03-31 9999-12-31 REAL ESTATE LNS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE474 2001-03-31 9999-12-31 REAL ESTATE LNS-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE475 2001-03-31 9999-12-31 REAL ESTATE LNS-TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE476 2001-03-31 9999-12-31 REAL ESTATE LNS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE477 2001-03-31 9999-12-31 LNS FIN COML RE-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE478 2001-03-31 9999-12-31 LNS FIN COML RE-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE479 2001-03-31 9999-12-31 LNS FIN COML RE -TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE480 2001-03-31 9999-12-31 LNS FIN COML RE 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE481 2001-03-31 9999-12-31 CONST & LAND DEV-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE482 2001-03-31 9999-12-31 CONST & LAND DEV-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE483 2001-03-31 9999-12-31 CONST & LAND DEV-TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE484 2001-03-31 9999-12-31 CONST & LAND DEV 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE485 2001-03-31 9999-12-31 SINGLE & MULTI MTG-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE486 2001-03-31 9999-12-31 SINGLE & MULTI MTG-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE487 2001-03-31 9999-12-31 SINGLE & MULTI MTG -TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE488 2001-03-31 9999-12-31 SINGLE & MULTI MTG 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE489 2001-03-31 9999-12-31 NON-FARM/RESI MTG-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE490 2001-03-31 9999-12-31 NON-FARM/RESI MTG-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE491 2001-03-31 9999-12-31 NON-FARM/RESI MTG -TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE492 2001-03-31 9999-12-31 NON-FARM/RESI MTG 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE493 2001-03-31 9999-12-31 RE LNS FOR OFF 90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE494 2001-03-31 9999-12-31 RE LNS FOR OFF NONACCRUAL/PCT OF NON-CURR LN&LS BY LN TYPE No
UBPRE495 2001-03-31 9999-12-31 RE LNS FOR OFF -TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE496 2001-03-31 9999-12-31 RE LNS FOR OFF 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE497 2001-03-31 9999-12-31 COML & INDUST LNS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE498 2001-03-31 9999-12-31 COML & INDUST LNS-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE499 2001-03-31 9999-12-31 COML & INDUST LNS -TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE500 2001-03-31 9999-12-31 COML & INDUST LNS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE501 2001-03-31 9999-12-31 LOANS TO INDIVDLS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE502 2001-03-31 9999-12-31 LOANS TO INDIVDLS -NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE503 2001-03-31 9999-12-31 LOANS TO INDIVDLS -TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE504 2001-03-31 9999-12-31 LOANS TO INDIVDLS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE505 2007-03-31 9999-12-31 1-4 FAM CONS & L. DEV 90+ DAYS/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE506 2007-03-31 9999-12-31 1-4 FAM CONS & L. DEV -NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE507 2007-03-31 9999-12-31 1-4 FAM CONS & L. DEV -TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE508 2007-03-31 9999-12-31 1-4 FAM CONS & L. DEV 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE509 2007-03-31 9999-12-31 OTHER CONST & LAND DEV 90+ DAYS/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE510 2007-03-31 9999-12-31 OTHER CONST & LAND DEV-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE511 2007-03-31 9999-12-31 OTHER CONST & LAND DEV-TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE512 2007-03-31 9999-12-31 OTHER CONST & LAND DEV 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE513 2007-03-31 9999-12-31 OWN OCC NFARM NONRE 90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE514 2007-03-31 9999-12-31 OWN OCC NFARM NONRE -NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE515 2007-03-31 9999-12-31 OWN OCC NFARM NONRE -TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE516 2007-03-31 9999-12-31 OWN OCC NFARM NONRE 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE517 2007-03-31 9999-12-31 OTH NONFARM NONRES 90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE518 2007-03-31 9999-12-31 OTH NONFARM NONRES-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE519 2007-03-31 9999-12-31 OTH NONFARM NONRES -TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE520 2007-03-31 9999-12-31 OTH NONFARM NONRES 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE521 2001-03-31 9999-12-31 CREDIT CARD PLANS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE522 2001-03-31 9999-12-31 CREDIT CARD PLANS-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE523 2001-03-31 9999-12-31 CREDIT CARD PLANS -TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE524 2001-03-31 9999-12-31 CREDIT CARD PLANS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE525 2001-03-31 9999-12-31 FOREIGN GOVT LNS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE526 2001-03-31 9999-12-31 FOREIGN GOVT LNS-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE527 2001-03-31 9999-12-31 FOREIGN GOVT LNS -TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE528 2001-03-31 9999-12-31 FOREIGN GOVT LNS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE529 2001-03-31 9999-12-31 LEASE FINANCING-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE530 2001-03-31 9999-12-31 LEASE FINANCING -NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE531 2001-03-31 9999-12-31 LEASE FINANCING -TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE532 2001-03-31 9999-12-31 LEASE FINANCING 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE533 2001-03-31 9999-12-31 AGRICULTURAL LNS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE534 2001-03-31 9999-12-31 AGRICULTURAL LNS -NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE535 2001-03-31 9999-12-31 AGRICULTURAL LNS-TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE536 2001-03-31 9999-12-31 AGRICULTURAL LNS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE537 2001-03-31 9999-12-31 OTHER LN&LS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE538 2001-03-31 9999-12-31 OTHER LN&LS -NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE539 2001-03-31 9999-12-31 OTHER LN&LS -TOTAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE540 2001-03-31 9999-12-31 OTHER LN&LS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE541 2001-03-31 9999-12-31 GROSS LN&LS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE542 2001-03-31 9999-12-31 GROSS LN&LS -NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE543 2007-03-31 9999-12-31 ANNUALIZED NET LOSS RATE OF 1-4 FAMILY RESIDENTIAL PROPERTY CONSTRUCTION LOANS No
UBPRE544 2001-03-31 9999-12-31 GROSS LN&LS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE No
UBPRE545 2001-03-31 9999-12-31 NON-CUR LN&LS TO-LN&LS ALLOWANCE No
UBPRE546 2001-03-31 9999-12-31 NON-CUR LN&LS TO-EQUITY CAPITAL No
UBPRE547 2001-03-31 9999-12-31 %TOTAL P/D LN&LS-INCL NONACCRUAL No
UBPRE549 2001-03-31 9999-12-31 NON-CURR LNS+OREO TO LNS+OREO No
UBPRE550 2001-03-31 9999-12-31 NON-CURR RESTRUCT DEBT/GR LN&LS No
UBPRE551 2001-03-31 9999-12-31 CURR+NON-CURR RESTRUCT/GR LN&LS No
UBPRE552 2001-03-31 9999-12-31 CURRENT RESTRUCT LN&LS No
UBPRE553 2001-03-31 9999-12-31 MORTGAGE LOANS & PASS THRUS/LONG ASSETS INSTS W/ OPTIONS No
UBPRE554 2001-03-31 9999-12-31 LOANS & SECURITIES OVER 15 YRS/LONG ASSETS INSTS W/ OPTIONS No
UBPRE555 2001-03-31 9999-12-31 LOANS & SECURITIES 5-15 YRS/LONG ASSETS INSTS W/ OPTIONS No
UBPRE556 2001-03-31 9999-12-31 OTHER LOANS AND SECURITIES/LONG ASSETS INSTS W/ OPTIONS No
UBPRE557 2001-03-31 9999-12-31 LOANS & SECURITIES OVER 15 YRS/LONG ASSETS INSTS W/ OPTIONS No
UBPRE558 2001-03-31 9999-12-31 LOANS & SECURITIES 5-15 YRS/LONG ASSETS INSTS W/ OPTIONS No
UBPRE559 2001-03-31 9999-12-31 TOTAL LOANS & SECURITIES OVR 15/LONG ASSETS INSTS W/ OPTIONS No
UBPRE560 2001-03-31 9999-12-31 CMO'S TOTAL/LONG ASSETS INSTS W/ OPTIONS No
UBPRE561 2001-03-31 9999-12-31 AVG LIFE OVER 3 YEARS/LONG ASSETS INSTS W/ OPTIONS No
UBPRE562 2001-03-31 9999-12-31 STRUCTURED NOTES/LONG ASSETS INSTS W/ OPTIONS No
UBPRE563 2001-03-31 9999-12-31 MORTGAGE SERVICING/LONG ASSETS INSTS W/ OPTIONS No
UBPRE564 2001-03-31 9999-12-31 TOTAL/LONG ASSETS INSTS W/ OPTIONS No
UBPRE565 2001-03-31 9999-12-31 AVAILABLE FOR SALE/OVERALL RISK INDICATORS No
UBPRE566 2001-03-31 9999-12-31 HELD TO MATURITY/OVERALL RISK INDICATORS No
UBPRE567 2001-03-31 9999-12-31 OFF BALANCE SHEET/OVERALL RISK INDICATORS No
UBPRE568 2001-03-31 9999-12-31 UNREALIZED APPN/DEPN/OVERALL RISK INDICATORS No
UBPRE569 2001-03-31 9999-12-31 UNREAL APP/DEP % TIER ONE CAP/OVERALL RISK INDICATORS No
UBPRE570 2001-03-31 9999-12-31 LOANS/SECURITIES OVER 3 YEARS/CONTRACTUAL MAT/REPRICE DATA No
UBPRE571 2001-03-31 9999-12-31 LIABILITIES OVER 3 YEARS/CONTRACTUAL MAT/REPRICE DATA No
UBPRE572 2001-03-31 9999-12-31 NET 3 YEAR POSITION/CONTRACTUAL MAT/REPRICE DATA No
UBPRE573 2001-03-31 9999-12-31 LOANS/SECURITIES OVER 1 YEAR/CONTRACTUAL MAT/REPRICE DATA No
UBPRE574 2001-03-31 9999-12-31 LIABILITIES OVER 1 YEAR/CONTRACTUAL MAT/REPRICE DATA No
UBPRE575 2001-03-31 9999-12-31 NET OVER 1 YEAR POSITION/CONTRACTUAL MAT/REPRICE DATA No
UBPRE576 2001-03-31 9999-12-31 NON-MATURITY DEPOSITS/CONTRACTUAL MAT/REPRICE DATA No
UBPRE577 2001-03-31 9999-12-31 NON-MATURITY DEPS % LONG ASSETS/CONTRACTUAL MAT/REPRICE DATA No
UBPRE578 2001-03-31 9999-12-31 NET OVER 3 YEAR POSITION/CONTRACTUAL MAT/REPRICE DATA No
UBPRE579 2001-03-31 9999-12-31 STRUCTURED NOTES/% TIER 1 CAPITAL No
UBPRE580 2001-03-31 9999-12-31 MORTGAGE SERVICING (FV)/% TIER 1 CAPITAL No
UBPRE581 2001-03-31 9999-12-31 TOTAL/% TIER 1 CAPITAL No
UBPRE582 2001-03-31 9999-12-31 SHORT TERM INVESTMENTS No
UBPRE583 2001-03-31 9999-12-31 SHORT TERM ASSETS No
UBPRE584 2001-03-31 9999-12-31 SHORT TERM NON-CORE FUNDING No
UBPRE585 2001-03-31 9999-12-31 NON-CORE LIABILITIES No
UBPRE586 2007-03-31 9999-12-31 NET LOSSES ON OTHER CONSTRUCTION AND LAND DEVELOPMENT LOANS AS PERCENT OF OUTSTANDINGS No
UBPRE587 2007-03-31 9999-12-31 NET LOSSES ON OWNER OCCUPIED NONFARM NONRESIDENTIAL LOANS AS A PERCENT OF OUTSTANDINGS No
UBPRE588 2001-03-31 9999-12-31 TOTAL NON-CURRENT DEBT SEC No
UBPRE589 2001-03-31 9999-12-31 SHORT TERM INVESTMENTS/PERCENT OF TOTAL ASSETS No
UBPRE590 2001-03-31 9999-12-31 MARKETABLE EQUITY SEC (MES)/PERCENT OF TOTAL ASSETS No
UBPRE591 2001-03-31 9999-12-31 CORE DEPOSITS/PERCENT OF TOTAL ASSETS No
UBPRE592 2001-03-31 9999-12-31 SHORT - TERM NONCORE FUNDING / TOTAL ASSETS (NEW ADV) No
UBPRE593 2001-03-31 9999-12-31 NET S.T.NONCORE FUND DEPENDENCE No
UBPRE594 2007-03-31 9999-12-31 ANNUALIZED NET LOSS RATE ON OTHER NONFARM NONRESIDENTIAL LOANS AS PERCENT OF AVERAGE OUTSTANDINGS No
UBPRE595 2001-03-31 9999-12-31 BROKERED DEPOSITS TO DEPOSITS No
UBPRE596 2001-03-31 9999-12-31 BROKERED DEP MAT < 1YR TO BKR DEPS No
UBPRE597 2001-03-31 9999-12-31 SHORT TRM INV TO S.T. NONCORE FUND No
UBPRE598 2001-03-31 9999-12-31 SHORT TERM ASSET TO S.T. LIABS No
UBPRE599 2001-03-31 9999-12-31 NET S.T. LIAB TO ASSETS No
UBPRE600 2001-03-31 9999-12-31 NET LOANS & LEASES TO DEPOSITS No
UBPRE601 2001-03-31 9999-12-31 NET LN&LS TO CORE DEPOSITS No
UBPRE602 2001-03-31 9999-12-31 NET LN&LS & SBLC TO ASSETS No
UBPRE603 2001-03-31 9999-12-31 U.S. TREASURY & GOVT AGENCIES/HELD-TO-MATURITY % TOTAL SECS No
UBPRE604 2001-03-31 9999-12-31 MUNICIPAL SECURITIES/HELD-TO-MATURITY % TOTAL SECS No
UBPRE605 2001-03-31 9999-12-31 PASS-THROUGH MTG BACKED SECS/HELD-TO-MATURITY % TOTAL SECS No
UBPRE606 2001-03-31 9999-12-31 CMO & REMIC MTG BACKED SECS/HELD-TO-MATURITY % TOTAL SECS No
UBPRE607 2001-03-31 9999-12-31 ASSET BACKED SECURITIES/HELD-TO-MATURITY % TOTAL SECS No
UBPRE608 2001-03-31 9999-12-31 OTHER DOMESTIC DEBT SEC/HELD-TO-MATURITY % TOTAL SECS No
UBPRE609 2001-03-31 9999-12-31 FOREIGN DEBT SECURITIES/HELD-TO-MATURITY % TOTAL SECS No
UBPRE610 2001-03-31 9999-12-31 TOTAL HELD-TO-MATURITY/HELD-TO-MATURITY % TOTAL SECS No
UBPRE611 2001-03-31 9999-12-31 U.S. TREASURY & GOVT AGENCIES/AVAILABLE-FOR SALE % TOTAL SECS No
UBPRE612 2001-03-31 9999-12-31 MUNICIPAL SECURITIES/AVAILABLE-FOR SALE % TOTAL SECS No
UBPRE613 2001-03-31 9999-12-31 PASS-THROUGH MTG BACKED SECS/AVAILABLE-FOR SALE % TOTAL SECS No
UBPRE614 2001-03-31 9999-12-31 CMO & REMIC MTG BACKED SECS/AVAILABLE-FOR SALE % TOTAL SECS No
UBPRE615 2001-03-31 9999-12-31 ASSET BACKED SECURITIES/AVAILABLE-FOR SALE % TOTAL SECS No
UBPRE616 2001-03-31 9999-12-31 OTHER DOMESTIC DEBT SECURITIES/AVAILABLE-FOR SALE % TOTAL SECS No
UBPRE617 2001-03-31 9999-12-31 FOREIGN DEBT SECURITIES/AVAILABLE-FOR SALE % TOTAL SECS No
UBPRE618 2001-03-31 9999-12-31 INV MUT F. & OTH MKTBL/AVAILABLE-FOR SALE % TOTAL SECS No
UBPRE620 2001-03-31 9999-12-31 TOTAL AVAILABLE-FOR-SALE/AVAILABLE-FOR SALE % TOTAL SECS No
UBPRE621 2001-03-31 9999-12-31 APP (DEP) HI RISK & STRUC/T1CAP No
UBPRE622 2001-03-31 9999-12-31 APP (DEP) IN HTM SEC TO HTM SEC No
UBPRE623 2001-03-31 9999-12-31 APP (DEP) IN HTM SEC TO EQY CAP No
UBPRE624 2001-03-31 9999-12-31 PLEDGED SECURITIES TO TOT SEC No
UBPRE625 2001-03-31 9999-12-31 DIVIDENDS/CHANGES IN TOTAL EQUITY ($000) No
UBPRE626 2001-03-31 9999-12-31 NET LOANS & LEASES (X)/PERCENT OF TOTAL EQUITY No
UBPRE627 2001-03-31 9999-12-31 SUBORD NOTES & DEBENTURES/PERCENT OF TOTAL EQUITY No
UBPRE628 2001-03-31 9999-12-31 LONG TERM DEBT/PERCENT OF TOTAL EQUITY No
UBPRE629 2001-03-31 9999-12-31 COM RE & RELATED VENTURES/PERCENT OF TOTAL EQUITY No
UBPRE630 2001-03-31 9999-12-31 NET INCOME/PERCENT OF AVERAGE TOTAL EQUITY No
UBPRE631 2001-03-31 9999-12-31 DIVIDENDS/PERCENT OF AVERAGE TOTAL EQUITY No
UBPRE632 2007-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL CONSTRUCTION LOANS AS PERCENT OF TOTAL CAPITAL No
UBPRE633 2001-03-31 9999-12-31 DIVIDENDS TO NET OPER INCOME No
UBPRE634 2001-03-31 9999-12-31 EQUITY CAPITAL TO ASSETS No
UBPRE635 2001-03-31 9999-12-31 TOTAL EQUITY CAPITAL/GROWTH RATES No
UBPRE636 2001-03-31 9999-12-31 EQUITY GROWTH LESS ASST GROWTH/GROWTH RATES No
UBPRE637 2001-03-31 9999-12-31 MORTGAGE SERVICING RIGHTS/INTANG ASSETS % TOTAL EQUITY No
UBPRE638 2001-03-31 9999-12-31 GOODWILL/INTANG ASSETS % TOTAL EQUITY No
UBPRE639 2001-03-31 9999-12-31 PURCH CREDIT CARD RELATION/INTANG ASSETS % TOTAL EQUITY No
UBPRE640 2001-03-31 9999-12-31 ALL OTHER INTANGIBLES/INTANG ASSETS % TOTAL EQUITY No
UBPRE641 2001-03-31 9999-12-31 TOTAL INTANGIBLES/INTANG ASSETS % TOTAL EQUITY No
UBPRE642 2001-03-31 9999-12-31 TOTAL EQUITY CAPITAL ADJUSTED No
UBPRE643 2001-03-31 9999-12-31 INELIGIBLE INTANGIBLES No
UBPRE644 2001-03-31 9999-12-31 NET TIER ONE No
UBPRE645 2001-03-31 9999-12-31 TIER ONE & TIER TWO No
UBPRE646 2001-03-31 9999-12-31 TIER THREE & FIN SUB ADJ No
UBPRE648 2001-03-31 9999-12-31 TOTAL ON-BALANCE SHEET/ON-BALANCE SHEET/RISK-WEIGHTED ASSETS No
UBPRE649 2001-03-31 9999-12-31 CATEGORY TWO - 20%/OFF-BALANCE SHEET/RISK-WEIGHTED ASSETS No
UBPRE650 2001-03-31 9999-12-31 CATEGORY THREE - 50%/OFF-BALANCE SHEET/RISK-WEIGHTED ASSETS No
UBPRE651 2001-03-31 9999-12-31 CATEGORY FOUR - 100%/OFF-BALANCE SHEET/RISK-WEIGHTED ASSETS No
UBPRE652 2001-03-31 9999-12-31 TOTAL ON-BALANCE SHEET/OFF-BALANCE SHEET/RISK-WEIGHTED ASSETS No
UBPRE653 2001-03-31 9999-12-31 MEMO: CATEGORY ONE - 0%/OFF-BALANCE SHEET/RISK-WEIGHTED ASSETS No
UBPRE654 2001-03-31 9999-12-31 RISK-WEIGHTED ASSET BEFORE DED/ADJUSTMENTS TO RISK-WEIGHTED ASSETS No
UBPRE657 2007-03-31 9999-12-31 OTHER CONSTRUCTION AND LAND DEVELOPMENT LOANS AS PERCENT OF TOTAL CAPITAL No
UBPRE658 2001-03-31 9999-12-31 1 TO 4 FAMILY REAL ESTATE LOANS AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE659 2001-03-31 9999-12-31 MARKET RISK EQUIV ASSETS/ADJUSTMENTS TO RISK-WEIGHTED ASSETS No
UBPRE660 2001-03-31 9999-12-31 TOTAL RISK WEIGHTED ASSETS/ADJUSTMENTS TO RISK-WEIGHTED ASSETS No
UBPRE663 2001-03-31 9999-12-31 HOME EQUITY LOANS AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE664 2001-03-31 9999-12-31 DEF TAX ASSET TO T1 CAP No
UBPRE665 2001-03-31 9999-12-31 INTEREST INCOME (TE)/PERCENT OF AVERAGE ASSETS No
UBPRE666 2001-03-31 9999-12-31 INTEREST EXPENSE/PERCENT OF AVERAGE ASSETS No
UBPRE667 2001-03-31 9999-12-31 NET INTEREST INCOME (TE)/PERCENT OF AVERAGE ASSETS No
UBPRE668 2001-03-31 9999-12-31 NONINTEREST INCOME/PERCENT OF AVERAGE ASSETS No
UBPRE669 2001-03-31 9999-12-31 NON-INTEREST EXPENSE/PERCENT OF AVERAGE ASSETS No
UBPRE670 2001-03-31 9999-12-31 PROVISION: LOAN&LEASE LOSSES/PERCENT OF AVERAGE ASSETS No
UBPRE671 2001-03-31 9999-12-31 PRETAX OPERATING INCOME (TE)/PERCENT OF AVERAGE ASSETS No
UBPRE672 2001-03-31 9999-12-31 REALIZED GAINS/LOSSES SECS/PERCENT OF AVERAGE ASSETS No
UBPRE673 2001-03-31 9999-12-31 PRETAX NET OPERATING INC(TE)/PERCENT OF AVERAGE ASSETS No
UBPRE674 2001-03-31 9999-12-31 NET OPERATING INCOME/PERCENT OF AVERAGE ASSETS No
UBPRE675 2001-03-31 9999-12-31 ADJUSTED NET OPERATING INCOME/PERCENT OF AVERAGE ASSETS No
UBPRE676 2001-03-31 9999-12-31 NET INCOME ADJUSTED SUB S/PERCENT OF AVERAGE ASSETS No
UBPRE677 2001-03-31 9999-12-31 NET INCOME/PERCENT OF AVERAGE ASSETS 1 QUARTER No
UBPRE678 2001-03-31 9999-12-31 INT INC (TE) TO AVG EARN ASSETS No
UBPRE679 2001-03-31 9999-12-31 INT EXPENSE TO AVG EARN ASSETS No
UBPRE680 2001-03-31 9999-12-31 NET INT INC-TE TO AVG EARN ASST No
UBPRE681 2001-03-31 9999-12-31 NET LOSS TO AVERAGE TOTAL LN&LS No
UBPRE682 2001-03-31 9999-12-31 EARNINGS COVERAGE OF NET LOSS(X) No
UBPRE683 2001-03-31 9999-12-31 LN&LS ALLOWANCE TO NET LOSSES(X) No
UBPRE684 2001-03-31 9999-12-31 CASH DIVIDENDS TO NET INCOME No
UBPRE685 2001-03-31 9999-12-31 RETAIN EARNS TO AVG TOTAL EQUITY No
UBPRE686 2001-03-31 9999-12-31 TOTAL LOANS & LEASES (TE)/YIELD ON OR COST OF No
UBPRE687 2001-03-31 9999-12-31 LOANS IN DOMESTIC OFFICES/YIELD ON OR COST OF No
UBPRE688 2001-03-31 9999-12-31 REAL ESTATE/YIELD ON OR COST OF No
UBPRE689 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL/YIELD ON OR COST OF No
UBPRE690 2001-03-31 9999-12-31 INDIVIDUAL/YIELD ON OR COST OF No
UBPRE691 2001-03-31 9999-12-31 CREDIT CARD PLANS/YIELD ON OR COST OF No
UBPRE692 2001-03-31 9999-12-31 AGRICULTURAL/YIELD ON OR COST OF No
UBPRE693 2001-03-31 9999-12-31 LOANS IN FOREIGN OFFICES/YIELD ON OR COST OF No
UBPRE694 2001-03-31 9999-12-31 TOTAL INVESTMENT SECURITIES (TE)/YIELD ON OR COST OF No
UBPRE695 2001-03-31 9999-12-31 TOTAL INVESTMENT SECURITIES (BOOK)/YIELD ON OR COST OF No
UBPRE696 2001-03-31 9999-12-31 U.S. TREAS & AGENCY (EXCL MBS)/YIELD ON OR COST OF No
UBPRE697 2001-03-31 9999-12-31 MORTGAGE BACKED SECURITIES/YIELD ON OR COST OF No
UBPRE698 2001-03-31 9999-12-31 ALL OTHER SECURITIES/YIELD ON OR COST OF No
UBPRE699 2001-03-31 9999-12-31 INTEREST-BEARING BANK BALANCES/YIELD ON OR COST OF No
UBPRE700 2001-03-31 9999-12-31 FEDERAL FUNDS SOLD & RESALES/YIELD ON OR COST OF No
UBPRE701 2001-03-31 9999-12-31 TOTAL INT-BEARING DEPOSITS/YIELD ON OR COST OF No
UBPRE702 2001-03-31 9999-12-31 TRANSACTION ACCOUNTS/YIELD ON OR COST OF No
UBPRE703 2001-03-31 9999-12-31 OTHER SAVINGS DEPOSITS/YIELD ON OR COST OF No
UBPRE704 2001-03-31 9999-12-31 TIME DEPS OVER $100M/YIELD ON OR COST OF No
UBPRE705 2001-03-31 9999-12-31 ALL OTHER TIME DEPOSITS/YIELD ON OR COST OF No
UBPRE706 2001-03-31 9999-12-31 DEPOSITS IN FOREIGN OFFICES/YIELD ON OR COST OF No
UBPRE707 2001-03-31 9999-12-31 FEDERAL FUNDS PURCHASED & REPOS/YIELD ON OR COST OF No
UBPRE708 2001-03-31 9999-12-31 OTHER BORROWED MONEY/YIELD ON OR COST OF No
UBPRE709 2001-03-31 9999-12-31 SUBORDINATED NOTES & DEBENTURES /YIELD ON OR COST OF No
UBPRE710 2001-03-31 9999-12-31 ALL INTEREST-BEARING FUNDS/YIELD ON OR COST OF No
UBPRE711 2001-03-31 9999-12-31 SECURITIZATION ACTIVITIES No
UBPRE712 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/SECURITIZATION ACTIVITIES No
UBPRE713 2001-03-31 9999-12-31 RETAINED INTEREST-ONLY STRIPS No
UBPRE714 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/RETAINED INTEREST-ONLY STRIPS No
UBPRE715 2001-03-31 9999-12-31 RETAINED CREDIT ENHANCEMENTS No
UBPRE716 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/RETAINED CREDIT ENHANCEMENTS No
UBPRE717 2001-03-31 9999-12-31 UNUSED LIQUIDITY COMMITMENTS No
UBPRE718 2001-03-31 9999-12-31 SELLERS INTEREST IN SECS & LOANS No
UBPRE719 2001-03-31 9999-12-31 HOME EQUITY LINES/SELLERS INTEREST IN SECS & LOANS No
UBPRE720 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/SELLERS INTEREST IN SECS & LOANS No
UBPRE721 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/SELLERS INTEREST IN SECS & LOANS No
UBPRE722 2001-03-31 9999-12-31 TOTAL RETAINED CREDIT EXPOSURE No
UBPRE723 2001-03-31 9999-12-31 ASSET BACKED COMML PAPER COND No
UBPRE724 2001-03-31 9999-12-31 CR EXP SPONS BY BANK & OTHER/ASSET BACKED COMML PAPER COND No
UBPRE725 2001-03-31 9999-12-31 LIQUID COMM BY BANK & OTHER/ASSET BACKED COMML PAPER COND No
UBPRE726 2001-03-31 9999-12-31 SECURITIZATION ACTIVITIES/ACTIVITY % TOTAL ASSETS No
UBPRE727 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/ACTIVITY % TOTAL ASSETS No
UBPRE728 2001-03-31 9999-12-31 HOME EQUITY LINES/ACTIVITY % TOTAL ASSETS No
UBPRE729 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/ACTIVITY % TOTAL ASSETS No
UBPRE730 2001-03-31 9999-12-31 AUTO LOANS/ACTIVITY % TOTAL ASSETS No
UBPRE731 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/ACTIVITY % TOTAL ASSETS No
UBPRE732 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/ACTIVITY % TOTAL ASSETS No
UBPRE733 2001-03-31 9999-12-31 ASSET BACKED COMML PAPER COND/ACTIVITY % TOTAL ASSETS No
UBPRE734 2001-03-31 9999-12-31 CR EXP SPONS BY BANK & OTHER/ACTIVITY % TOTAL ASSETS No
UBPRE735 2001-03-31 9999-12-31 LIQUID COMM BY BANK & OTHER/ACTIVITY % TOTAL ASSETS No
UBPRE736 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/PERCENT OF TOT MANAGED ASSETS No
UBPRE737 2001-03-31 9999-12-31 HOME EQUITY LINES/PERCENT OF TOT MANAGED ASSETS No
UBPRE738 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/PERCENT OF TOT MANAGED ASSETS No
UBPRE739 2001-03-31 9999-12-31 AUTO LOANS/PERCENT OF TOT MANAGED ASSETS No
UBPRE740 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/PERCENT OF TOT MANAGED ASSETS No
UBPRE741 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/PERCENT OF TOT MANAGED ASSETS No
UBPRE742 2001-03-31 9999-12-31 SECURITIZATION ACTIVITIES/1 QTR % CHG No
UBPRE743 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/SECURITIZATION ACTIVITIES/1 QTR % CHG No
UBPRE744 2001-03-31 9999-12-31 HOME EQUITY LINES/SECURITIZATION ACTIVITIES/1 QTR % CHG No
UBPRE745 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/SECURITIZATION ACTIVITIES/1 QTR % CHG No
UBPRE746 2001-03-31 9999-12-31 AUTO LOANS/SECURITIZATION ACTIVITIES/1 QTR % CHG No
UBPRE747 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/SECURITIZATION ACTIVITIES/1 QTR % CHG No
UBPRE748 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/SECURITIZATION ACTIVITIES/1 QTR % CHG No
UBPRE749 2001-03-31 9999-12-31 RETAINED INTEREST-ONLY STRIPS/1 QTR % CHG No
UBPRE750 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/RETAINED INTEREST-ONLY STRIPS/1 QTR % CHG No
UBPRE751 2001-03-31 9999-12-31 HOME EQUITY LOANS/RETAINED INTEREST-ONLY STRIPS/1 QTR % CHG No
UBPRE752 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/RETAINED INTEREST-ONLY STRIPS/1 QTR % CHG No
UBPRE753 2001-03-31 9999-12-31 AUTO LOANS/RETAINED INTEREST-ONLY STRIPS/1 QTR % CHG No
UBPRE754 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/RETAINED INTEREST-ONLY STRIPS/1 QTR % CHG No
UBPRE755 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/RETAINED INTEREST-ONLY STRIPS/1 QTR % CHG No
UBPRE756 2001-03-31 9999-12-31 RETAINED CREDIT ENHANCEMENTS/1 QTR % CHG No
UBPRE757 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/RETAINED CREDIT ENHANCEMENTS/1 QTR % CHG No
UBPRE758 2001-03-31 9999-12-31 HOME EQUITY LINES/RETAINED CREDIT ENHANCEMENTS/1 QTR % CHG No
UBPRE759 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/RETAINED CREDIT ENHANCEMENTS/1 QTR % CHG No
UBPRE760 2001-03-31 9999-12-31 AUTO LOANS/RETAINED CREDIT ENHANCEMENTS/1 QTR % CHG No
UBPRE761 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/RETAINED CREDIT ENHANCEMENTS/1 QTR % CHG No
UBPRE762 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/RETAINED CREDIT ENHANCEMENTS/1 QTR % CHG No
UBPRE763 2001-03-31 9999-12-31 UNUSED LIQUIDITY COMMITMENTS/1 QTR % CHG No
UBPRE764 2001-03-31 9999-12-31 SELLERS INTEREST IN SECS & LOANS/1 QTR % CHG No
UBPRE765 2001-03-31 9999-12-31 HOME EQUITY LINES/SELLERS INTEREST IN SECS & LOANS/1 QTR % CHG No
UBPRE766 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/SELLERS INTEREST IN SECS & LOANS/1 QTR % CHG No
UBPRE767 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/SELLERS INTEREST IN SECS & LOANS/1 QTR % CHG No
UBPRE768 2001-03-31 9999-12-31 TOTAL RETAINED CREDIT EXPOSURE/1 QTR % CHG No
UBPRE769 2001-03-31 9999-12-31 ASSET BACKED COMML PAPER COND/1 QTR % CHG No
UBPRE770 2001-03-31 9999-12-31 CR EXP SPONS BY BANK & OTHER/ASSET BACKED COMML PAPER COND/1 QTR % CHG No
UBPRE771 2001-03-31 9999-12-31 LIQUID COMM BY BANK & OTHER/ASSET BACKED COMML PAPER COND/1 QTR % CHG No
UBPRE772 2001-03-31 9999-12-31 SECURITIZATION ACTIVITIES/1 YR % CHG No
UBPRE773 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/SECURITIZATION ACTIVITIES/1 YR % CHG No
UBPRE774 2001-03-31 9999-12-31 HOME EQUITY LINES/SECURITIZATION ACTIVITIES/1 YR % CHG No
UBPRE775 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/SECURITIZATION ACTIVITIES/1 YR % CHG No
UBPRE776 2001-03-31 9999-12-31 AUTO LOANS/SECURITIZATION ACTIVITIES/1 YR % CHG No
UBPRE777 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/SECURITIZATION ACTIVITIES/1 YR % CHG No
UBPRE778 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/SECURITIZATION ACTIVITIES/1 YR % CHG No
UBPRE779 2001-03-31 9999-12-31 RETAINED INTEREST-ONLY STRIPS/1 YR % CHG No
UBPRE780 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/RETAINED INTEREST-ONLY STRIPS/1 YR % CHG No
UBPRE781 2001-03-31 9999-12-31 HOME EQUITY LOANS/RETAINED INTEREST-ONLY STRIPS/1 YR % CHG No
UBPRE782 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/RETAINED INTEREST-ONLY STRIPS/1 YR % CHG No
UBPRE783 2001-03-31 9999-12-31 AUTO LOANS/1 YR % CHG/RETAINED INTEREST-ONLY STRIPS/1 YR % CHG No
UBPRE784 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/RETAINED INTEREST-ONLY STRIPS/1 YR % CHG No
UBPRE785 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/RETAINED INTEREST-ONLY STRIPS/1 YR % CHG No
UBPRE786 2001-03-31 9999-12-31 RETAINED CREDIT ENHANCEMENTS/1 YR % CHG No
UBPRE787 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/RETAINED CREDIT ENHANCEMENTS/1 YR % CHG No
UBPRE788 2001-03-31 9999-12-31 HOME EQUITY LINES/RETAINED CREDIT ENHANCEMENTS/1 YR % CHG No
UBPRE789 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/RETAINED CREDIT ENHANCEMENTS/1 YR % CHG No
UBPRE790 2001-03-31 9999-12-31 AUTO LOANS/RETAINED CREDIT ENHANCEMENTS/1 YR % CHG No
UBPRE791 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/RETAINED CREDIT ENHANCEMENTS/1 YR % CHG No
UBPRE792 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/RETAINED CREDIT ENHANCEMENTS/1 YR % CHG No
UBPRE793 2001-03-31 9999-12-31 UNUSED LIQUIDITY COMMITMENTS/1 YR % CHG No
UBPRE794 2001-03-31 9999-12-31 SELLERS INTEREST IN SECS & LOANS/1 YR % CHG No
UBPRE795 2001-03-31 9999-12-31 HOME EQUITY LINES/SELLERS INTEREST IN SECS & LOANS/1 YR % CHG No
UBPRE796 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/SELLERS INTEREST IN SECS & LOANS/1 YR % CHG No
UBPRE797 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/SELLERS INTEREST IN SECS & LOANS/1 YR % CHG No
UBPRE798 2001-03-31 9999-12-31 TOTAL RETAINED CREDIT EXPOSURE/1 YR % CHG No
UBPRE799 2001-03-31 9999-12-31 ASSET BACKED COMML PAPER COND/1 YR % CHG No
UBPRE800 2001-03-31 9999-12-31 CR EXP SPONS BY BANK & OTHERASSET BACKED COMML PAPER COND/1 YR % CHG No
UBPRE801 2001-03-31 9999-12-31 LIQUID COMM BY BANK & OTHERASSET BACKED COMML PAPER COND/1 YR % CHG No
UBPRE802 2001-03-31 9999-12-31 RETAINED INT ONLY STRIPS/% TOT SECURITIZATION ACT BY TYPE No
UBPRE803 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/RETAINED INT ONLY STRIPS/% TOT SECURITIZATION ACT BY TYPE No
UBPRE804 2001-03-31 9999-12-31 HOME EQUITY LINES/RETAINED INT ONLY STRIPS/% TOT SECURITIZATION ACT BY TYPE No
UBPRE805 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/RETAINED INT ONLY STRIPS/% TOT SECURITIZATION ACT BY TYPE No
UBPRE806 2001-03-31 9999-12-31 AUTO LOANS/RETAINED INT ONLY STRIPS/% TOT SECURITIZATION ACT BY TYPE No
UBPRE807 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/RETAINED INT ONLY STRIPS/% TOT SECURITIZATION ACT BY TYPE No
UBPRE808 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/RETAINED INT ONLY STRIPS/% TOT SECURITIZATION ACT BY TYPE No
UBPRE809 2001-03-31 9999-12-31 RETAINED CREDIT ENHANCEMENT/% TOT SECURITIZATION ACT BY TYPE No
UBPRE810 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/RETAINED CREDIT ENHANCEMENT/% TOT SECURITIZATION ACT BY TYPE No
UBPRE811 2001-03-31 9999-12-31 HOME EQUITY LINES/RETAINED CREDIT ENHANCEMENT/% TOT SECURITIZATION ACT BY TYPE No
UBPRE812 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/RETAINED CREDIT ENHANCEMENT/% TOT SECURITIZATION ACT BY TYPE No
UBPRE813 2001-03-31 9999-12-31 AUTO LOANS/RETAINED CREDIT ENHANCEMENT/% TOT SECURITIZATION ACT BY TYPE No
UBPRE814 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/RETAINED CREDIT ENHANCEMENT/% TOT SECURITIZATION ACT BY TYPE No
UBPRE815 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/RETAINED CREDIT ENHANCEMENT/% TOT SECURITIZATION ACT BY TYPE No
UBPRE816 2001-03-31 9999-12-31 UNUSED COMM TO PROVIDE LIQUIDITY/% TOT SECURITIZATION ACT BY TYPE No
UBPRE817 2001-03-31 9999-12-31 SELLERS INT IN SECS & LNS % TRUST/% TOT SECURITIZATION ACT BY TYPE No
UBPRE818 2001-03-31 9999-12-31 HOME EQUITY LINES/SELLERS INT IN SECS & LNS % TRUST/% TOT SECURITIZATION ACT BY TYPE No
UBPRE819 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/SELLERS INT IN SECS & LNS % TRUST/% TOT SECURITIZATION ACT BY TYPE No
UBPRE820 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/SELLERS INT IN SECS & LNS % TRUST/% TOT SECURITIZATION ACT BY TYPE No
UBPRE821 2001-03-31 9999-12-31 TOTAL RETAINED CREDIT EXPOSURE/PERCENT TIER 1 CAPITAL No
UBPRE822 2001-03-31 9999-12-31 RETAINED INTEREST-ONLY STRIPS/PERCENT TIER 1 CAPITAL No
UBPRE823 2001-03-31 9999-12-31 RETAINED CREDIT ENHANCEMENTS/PERCENT TIER 1 CAPITAL No
UBPRE824 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/30-80 DAY PD SECURITIZED ASSETS No
UBPRE825 2001-03-31 9999-12-31 TOTAL 30-89 DAY PD SECUR ASSET/30-80 DAY PD SECURITIZED ASSETS No
UBPRE826 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/90+ DAYS PD SECURITIZED ASSETS No
UBPRE827 2001-03-31 9999-12-31 TOTAL 90 DAY PD SECUR ASSET/90+ DAYS PD SECURITIZED ASSETS No
UBPRE828 2001-03-31 9999-12-31 TOTAL PAST DUE SECURITIZED ASSETS No
UBPRE829 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/NET LOSSES SECURITIZED ASSETS No
UBPRE830 2001-03-31 9999-12-31 HOME EQUITY LINES/NET LOSSES SECURITIZED ASSETS No
UBPRE831 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/NET LOSSES SECURITIZED ASSETS No
UBPRE832 2001-03-31 9999-12-31 AUTO LOANS/NET LOSSES SECURITIZED ASSETS No
UBPRE833 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/NET LOSSES SECURITIZED ASSETS No
UBPRE834 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/NET LOSSES SECURITIZED ASSETS No
UBPRE835 2001-03-31 9999-12-31 TOTAL NET CHARGE OFF SECUR ASSET/NET LOSSES SECURITIZED ASSETS No
UBPRE836 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/30-89 DAY PD SECURITIZED ASSETS % No
UBPRE837 2001-03-31 9999-12-31 HOME EQUITY LINES/30-89 DAY PD SECURITIZED ASSETS % No
UBPRE838 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/30-89 DAY PD SECURITIZED ASSETS % No
UBPRE839 2001-03-31 9999-12-31 AUTO LOANS/30-89 DAY PD SECURITIZED ASSETS % No
UBPRE840 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/30-89 DAY PD SECURITIZED ASSETS % No
UBPRE841 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/30-89 DAY PD SECURITIZED ASSETS % No
UBPRE842 2001-03-31 9999-12-31 TOTAL 30-89 DAY PD SECUR ASSET/30-89 DAY PD SECURITIZED ASSETS % No
UBPRE843 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/90+ DAYS PD SECURITIZED ASSETS % No
UBPRE844 2001-03-31 9999-12-31 HOME EQUITY LINES/90+ DAYS PD SECURITIZED ASSETS % No
UBPRE845 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/90+ DAYS PD SECURITIZED ASSETS % No
UBPRE846 2001-03-31 9999-12-31 AUTO LOANS/90+ DAYS PD SECURITIZED ASSETS % No
UBPRE847 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/90+ DAYS PD SECURITIZED ASSETS % No
UBPRE848 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/90+ DAYS PD SECURITIZED ASSETS % No
UBPRE849 2001-03-31 9999-12-31 TOTAL 90 DAY PD SECUR ASSET/90+ DAYS PD SECURITIZED ASSETS % No
UBPRE850 2001-03-31 9999-12-31 TOTAL PAST DUE SECURITIZED ASSETS % No
UBPRE851 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/NET LOSSES SECURITIZED ASSETS % No
UBPRE852 2001-03-31 9999-12-31 HOME EQUITY LINES/NET LOSSES SECURITIZED ASSETS % No
UBPRE853 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/NET LOSSES SECURITIZED ASSETS % No
UBPRE854 2001-03-31 9999-12-31 AUTO LOANS/NET LOSSES SECURITIZED ASSETS % No
UBPRE855 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/NET LOSSES SECURITIZED ASSETS % No
UBPRE856 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/NET LOSSES SECURITIZED ASSETS % No
UBPRE857 2001-03-31 9999-12-31 NET LOSSES ON SECUR ASSETS/NET LOSSES SECURITIZED ASSETS % No
UBPRE858 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/30-80 DAY PD MANAGED ASSETS % No
UBPRE859 2001-03-31 9999-12-31 HOME EQUITY LINES/30-80 DAY PD MANAGED ASSETS % No
UBPRE860 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/30-80 DAY PD MANAGED ASSETS % No
UBPRE861 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/30-80 DAY PD MANAGED ASSETS % No
UBPRE862 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/30-80 DAY PD MANAGED ASSETS % No
UBPRE863 2001-03-31 9999-12-31 TOTAL 30-89 DAY PD MANAGE ASSET/30-80 DAY PD MANAGED ASSETS % No
UBPRE864 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/90+ DAYS PD MANAGED ASSETS % No
UBPRE865 2001-03-31 9999-12-31 HOME EQUITY LINES/90+ DAYS PD MANAGED ASSETS % No
UBPRE866 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/90+ DAYS PD MANAGED ASSETS % No
UBPRE867 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/90+ DAYS PD MANAGED ASSETS % No
UBPRE868 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/90+ DAYS PD MANAGED ASSETS % No
UBPRE869 2001-03-31 9999-12-31 TOTAL 90 DAY PD MANAGE ASSET/90+ DAYS PD MANAGED ASSETS % No
UBPRE870 2001-03-31 9999-12-31 TOTAL PAST DUE MANAGED ASSETS % No
UBPRE871 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/NET LOSSES ON MANAGED ASSETS % No
UBPRE872 2001-03-31 9999-12-31 HOME EQUITY LINES/NET LOSSES ON MANAGED ASSETS % No
UBPRE873 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/NET LOSSES ON MANAGED ASSETS % No
UBPRE874 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/NET LOSSES ON MANAGED ASSETS % No
UBPRE875 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/NET LOSSES ON MANAGED ASSETS % No
UBPRE876 2001-03-31 9999-12-31 NET LOSSES ON MANAGE ASSETS/NET LOSSES ON MANAGED ASSETS % No
UBPRE878 2001-03-31 9999-12-31 AVERAGE ASSETS DURING QUARTER No
UBPRE879 2001-03-31 9999-12-31 OTHER REAL ESTATE LOANS AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE880 2001-03-31 9999-12-31 LOANS SECURED BY FARMLAND AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE881 2001-03-31 9999-12-31 LOANS SECURED BY MULTIFAMILY REAL ESTATE AS PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE882 2001-03-31 9999-12-31 LOANS SECURED BY NONFARM NONRESIDENTIAL PROPERTIES AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE883 2007-03-31 9999-12-31 LOANS SECURED BY NONFARM NONRESIDENTIAL OWNER OCCUPIED PROPERTY AS A PERCENT OF TOTAL CAPITAL No
UBPRE884 2001-03-31 9999-12-31 TOTAL REAL ESTATE LOANS IN DOMESTIC OFFICES AS A PERCENT OF TIER ONE CAPITAL PLUS THE ALLOWANCE FOR LOAN AND LEASE LOSSES. No
UBPRE885 2001-03-31 9999-12-31 LOANS TO FINANCIAL INSTITUTIONS AS PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE886 2001-03-31 9999-12-31 LOANS TO FINANCE AGRICULTURAL PRODUCTION AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE887 2001-03-31 9999-12-31 COMMERCIAL AND INDUSTRIAL LOANS AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE888 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS IN DOMESTIC OFFICES AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE889 2001-03-31 9999-12-31 CREDIT CARD LOANS AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE890 2001-03-31 9999-12-31 LOANS TO STATE AND LOCAL GOVERNMENTS AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE891 2001-03-31 9999-12-31 LOANS AND LEASES IN FOREIGN OFFICES AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE892 2001-03-31 9999-12-31 OTHER DOMESTIC LOANS AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE893 2001-03-31 9999-12-31 DOMESTIC LEASE FINANCING AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE894 2001-03-31 9999-12-31 LOANS TO FOREIGN GOVERNMENTS AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE895 2001-03-31 9999-12-31 LOANS TO FINANCE COMMERCIAL REAL ESTATE AS A PERCENT OF TOTAL RISK-BASED CAPITAL No
UBPRE896 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN COLLECTIVE AND COMMON TRUST FUNDS No
UBPRE897 2001-12-31 9999-12-31 TOTAL OF COLLECTIVE AND COMMON TRUST FUNDS TO TOTAL COLLECTIVE AND COMMON TRUST FUNDS No
UBPRE898 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN MARKET VALUE OF DOMESTIC EQUITY COMMON AND COLLECTIVE FUNDS No
UBPRE899 2001-12-31 9999-12-31 MARKET VALUE OF DOMESTIC EQUITY COMMON AND COLLECTIVE FUNDS AS PERCENT OF TOTAL COMMON AND COLLECTIVE FUNDS No
UBPRE900 2001-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN MARKET VALUE OF INTERNATIONAL GLOBAL COMMON AND COLLECTIVE FUNDS No
UBPRE901 2001-12-31 9999-12-31 MARKET VALUE OF INTERNATIONAL GLOBAL COMMON AND COLLECTIVE FUNDS AS PERCENT OF TOTAL COMMON AND COLLECTIVE FUNDS No
UBPRE902 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN MARKET VALUE OF MUNICIPAL BOND COMMON AND COLLECTIVE FUNDS No
UBPRE903 2001-12-31 9999-12-31 MARKET VALUE OF MUNICIPAL BOND COMMON AND COLLECTIVE FUNDS AS PERCENT OF TOTAL COMMON AND COLLECTIVE FUNDS No
UBPRE904 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN MARKET VALUE OF SHORT TERM MONEY MARKET COMMON AND COLLECTIVE FUNDS No
UBPRE905 2001-12-31 9999-12-31 MARKET VALUE OF SHORT TERM MONEY MARKET COMMON AND COLLECTIVE FUNDS AS PERCENT OF TOTAL COMMON AND COLLECTIVE FUNDS No
UBPRE906 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN MARKET VALUE OF SPECIALTY AND OTHER COMMON AND COLLECTIVE FUNDS No
UBPRE907 2001-12-31 9999-12-31 MARKET VALUE OF SPECIALTY AND OTHER COMMON AND COLLECTIVE FUNDS AS PERCENT OF TOTAL COMMON AND COLLECTIVE FUNDS No
UBPRE908 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN MARKET VALUE OF STOCK AND BOND BLEND COMMON AND COLLECTIVE FUNDS No
UBPRE909 2001-12-31 9999-12-31 MARKET VALUE OF STOCK AND BOND BLEND COMMON AND COLLECTIVE FUNDS AS PERCENT OF TOTAL COMMON AND COLLECTIVE FUNDS No
UBPRE910 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN MARKET VALUE OF TAXABLE BOND COMMON AND COLLECTIVE FUNDS No
UBPRE911 2001-12-31 9999-12-31 MARKET VALUE OF TAXABLE BOND COMMON AND COLLECTIVE FUNDS AS PERCENT OF TOTAL COMMON AND COLLECTIVE FUNDS No
UBPRE912 2002-12-31 2008-12-31 ANNUAL PERCENT CHANGE IN TOTAL INCOME FROM EMPLOYEE BENEFIT DEFINED CONTRIBUTION Yes
UBPRE912 2009-03-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL INCOME FROM EMPLOYEE BENEFIT DEFINED CONTRIBUTION No
UBPRE913 2001-12-31 2008-12-31 TOTAL NUMBER OF EMPLOYEE BENEFIT DEFINED CONTRIBUTION TO TOTAL FIDUCIARY INCOME Yes
UBPRE913 2009-03-31 9999-12-31 TOTAL NUMBER OF EMPLOYEE BENEFIT DEFINED CONTRIBUTION TO TOTAL FIDUCIARY INCOME No
UBPRE914 2002-12-31 2008-12-31 ANNUAL PERCENT CHANGE IN TOTAL FIDUCIARY EXPENSES Yes
UBPRE914 2009-03-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL FIDUCIARY EXPENSES No
UBPRE915 2001-12-31 2008-12-31 TOTAL FIDUCIARY EXPENSES TO TOTAL INCOME FROM FIDUCIARY SOURCES Yes
UBPRE915 2009-03-31 9999-12-31 TOTAL FIDUCIARY EXPENSES TO TOTAL INCOME FROM FIDUCIARY SOURCES No
UBPRE916 2002-12-31 2008-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM ALL FIDUCIARY ACCOUNTS HELD IN FOREIGN OFFICES Yes
UBPRE916 2009-03-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM ALL FIDUCIARY ACCOUNTS HELD IN FOREIGN OFFICES No
UBPRE917 2001-12-31 2008-12-31 TOTAL INCOME FROM FIDUCIARY ACCOUNTS IN FOREIGN OFFICES TO TOTAL INCOME FROM FIDUCIARY ASSETS Yes
UBPRE917 2009-03-31 9999-12-31 TOTAL INCOME FROM FIDUCIARY ACCOUNTS IN FOREIGN OFFICES TO TOTAL INCOME FROM FIDUCIARY ASSETS No
UBPRE918 2002-12-31 2008-12-31 ANNUAL PERCENT CHANGE IN NET INCOME FROM FIDUCIARY AND RELATED SERVICES Yes
UBPRE918 2009-03-31 9999-12-31 ANNUAL PERCENT CHANGE IN NET INCOME FROM FIDUCIARY AND RELATED SERVICES No
UBPRE919 2001-12-31 2008-12-31 NET INCOME FROM FIDUCIARY AND RELATED SERVICES TO TOTAL FIDUCIARY INCOME Yes
UBPRE919 2009-03-31 9999-12-31 NET INCOME FROM FIDUCIARY AND RELATED SERVICES TO TOTAL FIDUCIARY INCOME No
UBPRE920 2002-12-31 2008-12-31 ANNUAL PERCENT CHANGE INTRACOMPANY CREDITS FOR FIDUCIARY AND RELATED SERVICES Yes
UBPRE920 2009-03-31 9999-12-31 ANNUAL PERCENT CHANGE INTRACOMPANY CREDITS FOR FIDUCIARY AND RELATED SERVICES No
UBPRE921 2001-12-31 2008-12-31 INTRACOMPANY CREDITS FOR FIDUCIARY AND RELATED SERVICES TO TOTAL FIDUCIARY INCOME Yes
UBPRE921 2009-03-31 9999-12-31 INTRACOMPANY CREDITS FOR FIDUCIARY AND RELATED SERVICES TO TOTAL FIDUCIARY INCOME No
UBPRE922 2002-12-31 2008-12-31 ANNUAL PERCENT CHANG IN NET LOSSES FROM FIDUCIARY ACTIVITIES Yes
UBPRE922 2009-03-31 9999-12-31 ANNUAL PERCENT CHANG IN NET LOSSES FROM FIDUCIARY ACTIVITIES No
UBPRE923 2001-12-31 2008-12-31 NET LOSSES FROM FIDUCIARY AND RELATED SERVICES TO TOTAL FIDUCIARY INCOME Yes
UBPRE923 2009-03-31 9999-12-31 NET LOSSES FROM FIDUCIARY AND RELATED SERVICES TO TOTAL FIDUCIARY INCOME No
UBPRE924 2002-12-31 2008-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM OTHER FIDUCIARY SERVICES Yes
UBPRE924 2009-03-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM OTHER FIDUCIARY SERVICES No
UBPRE925 2001-12-31 2008-12-31 TOTAL INCOME FROM OTHER FIDUCIARY ACCOUNTS TO TOTAL FIDUCIARY INCOME Yes
UBPRE925 2009-03-31 9999-12-31 TOTAL INCOME FROM OTHER FIDUCIARY ACCOUNTS TO TOTAL FIDUCIARY INCOME No
UBPRE926 2002-12-31 2008-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM OTHER RELATED SERVICES Yes
UBPRE926 2009-03-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM OTHER RELATED SERVICES No
UBPRE927 2001-12-31 2008-12-31 TOTAL INCOME OTHER RELATED SERVICES TO TOTAL FIDUCIARY INCOME Yes
UBPRE927 2009-03-31 9999-12-31 TOTAL INCOME OTHER RELATED SERVICES TO TOTAL FIDUCIARY INCOME No
UBPRE928 2002-12-31 2008-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM INVESTMENT MANAGEMENT AGENCY ACCOUNTS Yes
UBPRE928 2009-03-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM INVESTMENT MANAGEMENT AGENCY ACCOUNTS No
UBPRE929 2001-12-31 2008-12-31 TOTAL INCOME FROM INVESTMENT MANAGEMENT AGENCY ACCOUNTS TO TOTAL NUMBER FIDUCIARY INCOME Yes
UBPRE929 2009-03-31 9999-12-31 TOTAL INCOME FROM INVESTMENT MANAGEMENT AGENCY ACCOUNTS TO TOTAL NUMBER FIDUCIARY INCOME No
UBPRE930 2002-12-31 2008-12-31 ANNUAL PERCENT CHANGE IN TOTAL INCOME PERSONAL TRUST AND AGENCY ACCOUNTS Yes
UBPRE930 2009-03-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL INCOME PERSONAL TRUST AND AGENCY ACCOUNTS No
UBPRE931 2001-12-31 2008-12-31 TOTAL INCOME OF PERSONAL TRUST AND AGENCY ACCOUNTS TO TOTAL INCOME TRUST ASSETS Yes
UBPRE931 2009-03-31 9999-12-31 TOTAL INCOME OF PERSONAL TRUST AND AGENCY ACCOUNTS TO TOTAL INCOME TRUST ASSETS No
UBPRE932 2002-12-31 2008-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM OTHER RETIREMENT ACCOUNTS Yes
UBPRE932 2009-03-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM OTHER RETIREMENT ACCOUNTS No
UBPRE933 2001-12-31 2008-12-31 TOTAL INCOME FROM OTHER RETIREMENT ACCOUNTS TO TOTAL FIDUCIARY INCOME Yes
UBPRE933 2009-03-31 9999-12-31 TOTAL INCOME FROM OTHER RETIREMENT ACCOUNTS TO TOTAL FIDUCIARY INCOME No
UBPRE934 2001-12-31 9999-12-31 GROSS FIDUCIARY INCOME TO NONINTEREST INCOME No
UBPRE935 2001-12-31 2008-12-31 NET FIDUCIARY LOSSES ON OTHER ACCOUNTS Yes
UBPRE935 2009-03-31 9999-12-31 NET FIDUCIARY LOSSES ON OTHER ACCOUNTS No
UBPRE936 2001-12-31 2008-12-31 TOTAL NET FIDUCIARY LOSSES ON ALL ACCOUNTS Yes
UBPRE936 2009-03-31 9999-12-31 TOTAL NET FIDUCIARY LOSSES ON ALL ACCOUNTS No
UBPRE937 2001-12-31 2008-12-31 NET FIDUCIARY LOSSES ON INVESTMENT MANAGEMENT AGENCY ACOUNTS Yes
UBPRE937 2009-03-31 9999-12-31 NET FIDUCIARY LOSSES ON INVESTMENT MANAGEMENT AGENCY ACOUNTS No
UBPRE938 2001-12-31 2008-12-31 NET FIDUCIARY LOSSES ON ALL PERSONAL TRUST AND AGENCY ACCOUNTS Yes
UBPRE938 2009-03-31 9999-12-31 NET FIDUCIARY LOSSES ON ALL PERSONAL TRUST AND AGENCY ACCOUNTS No
UBPRE939 2001-12-31 2008-12-31 NET FIDUCIARY LOSSES ON ALL RETIREMENT TRUST AND AGENCY ACCOUNTS Yes
UBPRE939 2009-03-31 9999-12-31 NET FIDUCIARY LOSSES ON ALL RETIREMENT TRUST AND AGENCY ACCOUNTS No
UBPRE940 2001-12-31 9999-12-31 TOTAL AMOUNT OF FIDUCIARY AND RELATED SERVICES INCOME FROM ALL MANAGED AND NONMANAGED SOURCES No
UBPRE941 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF CORPORATE AND MUNICIPAL TRUSTEESHIPS No
UBPRE942 2001-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF OTHER CORPORATE AGENCY, TRANSFER AGENT AND OTHER ACCOUNTS No
UBPRE943 2001-12-31 2008-12-31 ANNUALIZED INCOME FROM CORPORATE TRUST AND AGENCY ACCOUNTS AS A PERCENT OF MANAGED AND NONMANAGED ASSETS Yes
UBPRE943 2009-03-31 9999-12-31 ANNUALIZED INCOME FROM CORPORATE TRUST AND AGENCY ACCOUNTS AS A PERCENT OF MANAGED AND NONMANAGED ASSETS No
UBPRE944 2002-12-31 2008-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM CORPORATE TRUST AND AGENCY ACCOUNTS Yes
UBPRE944 2009-03-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM CORPORATE TRUST AND AGENCY ACCOUNTS No
UBPRE945 2001-12-31 2008-12-31 TOTAL INCOME FROM CORPORATE TRUST AND AGENCY ACCOUNTS TO TOTAL NUMBER FIDUCIARY INCOME Yes
UBPRE945 2009-03-31 9999-12-31 TOTAL INCOME FROM CORPORATE TRUST AND AGENCY ACCOUNTS TO TOTAL NUMBER FIDUCIARY INCOME No
UBPRE946 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF CORPORATE TRUST AND AGENCY ACCOUNTS MANAGED AND NONMANAGED No
UBPRE947 2001-12-31 9999-12-31 TOTAL NUMBER OF CORPORATE TRUST AND AGENCY ACCOUNTS MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS No
UBPRE948 2001-12-31 9999-12-31 TOTAL NUMBER OF OTHER CORPORATE TRUST AND AGENCY ACCOUNTS MANAGED AND NONMANAGED TO TOTAL NUMBER TRUST ASSETS MANAGED AND NONMANAGED No
UBPRE949 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN CORPORATE TRUST AND AGENCY ACCOUNTS MANAGED AND NONMANAGED No
UBPRE950 2001-12-31 9999-12-31 TOTAL OF CORPORATE TRUST AND AGENCY ACCOUNTS MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS No
UBPRE951 2001-12-31 9999-12-31 TOTAL OF OTHER CORPORATE TRUST AND AGENCY ACCOUNTS MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED No
UBPRE952 2001-12-31 2008-12-31 ANNUALIZED INCOME FROM CUSTODIAL AND SAFEKEEPING ACCOUNTS AS PERCENT OF NONMANAGED ASSETS Yes
UBPRE952 2009-03-31 9999-12-31 ANNUALIZED INCOME FROM CUSTODIAL AND SAFEKEEPING ACCOUNTS AS PERCENT OF NONMANAGED ASSETS No
UBPRE953 2002-12-31 2008-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM CUSTODY SAFE KEEPING Yes
UBPRE953 2009-03-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM CUSTODY SAFE KEEPING No
UBPRE954 2001-12-31 2008-12-31 TOTAL INCOME FROM CUSTODY SAFEKEEPING TO TOTAL FIDUCIARY INCOME Yes
UBPRE954 2009-03-31 9999-12-31 TOTAL INCOME FROM CUSTODY SAFEKEEPING TO TOTAL FIDUCIARY INCOME No
UBPRE955 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER CUSTODY SAFEKEEPING ACCOUNTS NONMANAGED No
UBPRE956 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN CUSTODY SAFEKEEPING ACCOUNTS NONMANAGED No
UBPRE957 2002-12-31 2008-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM EMPLOYEE BENEFIT DEFINED BENEFIT Yes
UBPRE957 2009-03-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM EMPLOYEE BENEFIT DEFINED BENEFIT No
UBPRE958 2001-12-31 2008-12-31 TOTAL INCOME FROM OF EMPLOYEE BENEFIT DEFINED BENEFIT TO TOTAL FIDUCIARY INCOME Yes
UBPRE958 2009-03-31 9999-12-31 TOTAL INCOME FROM OF EMPLOYEE BENEFIT DEFINED BENEFIT TO TOTAL FIDUCIARY INCOME No
UBPRE959 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF EMPLOYEE BENEFIT DEFINED BENEFIT No
UBPRE960 2001-12-31 9999-12-31 TOTAL NUMBER OF EMPLOYEE BENEFIT DEFINED BENEFIT MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS DEFINED BENEFIT No
UBPRE961 2001-12-31 9999-12-31 TOTAL NUMBER OF EMPLOYEE BENEFIT DEFINED BENEFIT MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED No
UBPRE962 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN EMPLOYEE BENEFIT DEFINED BENEFIT No
UBPRE963 2001-12-31 9999-12-31 TOTAL OF EMPLOYEE BENEFIT DEFINED BENEFIT MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS DEFINED BENEFIT No
UBPRE964 2001-12-31 9999-12-31 TOTAL OF EMPLOYEE BENEFIT DEFINED BENEFIT MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED No
UBPRE965 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL NUMBER EMPLOYEE BENEFIT DEFINED CONTRIBUTION No
UBPRE966 2001-12-31 9999-12-31 TOTAL NUMBER OF EMPLOYEE BENEFITS DEFINED CONTRIBUTION MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS DEFINED CONTRIBUTION No
UBPRE967 2001-12-31 9999-12-31 TOTAL NUMBER OF EMPLOYEE BENEFIT DEFINED CONTRIBUTION MANAGED AND NONMANAGED TO TOTAL NUMBER TRUST ASSETS MANAGED AND NONMANAGED No
UBPRE968 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL EMPLOYEE BENEFIT DEFINED CONTRIBUTION No
UBPRE969 2001-12-31 9999-12-31 TOTAL OF EMPLOYEE BENEFITS DEFINED CONTRIBUTION MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS DEFINED CONTRIBUTION No
UBPRE970 2001-12-31 9999-12-31 TOTAL OF EMPLOYEE BENEFIT DEFINED CONTRIBUTION MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED No
UBPRE971 2001-12-31 2008-12-31 ANNUALIZED INCOME FROM EMPLOYEE BENEFIT DIRECT BENEFIT AS A PERCENT OF MANAGED AND NONMANAGED ASSETS Yes
UBPRE971 2009-03-31 9999-12-31 ANNUALIZED INCOME FROM EMPLOYEE BENEFIT DIRECT BENEFIT AS A PERCENT OF MANAGED AND NONMANAGED ASSETS No
UBPRE972 2001-12-31 2008-12-31 ANNUALIZED INCOME FROM EMPLOYEE BENEFIT DIRECT CONTRIBUTION AS A PERCENT OF MANAGED AND NONMANAGED ASSETS Yes
UBPRE972 2009-03-31 9999-12-31 ANNUALIZED INCOME FROM EMPLOYEE BENEFIT DIRECT CONTRIBUTION AS A PERCENT OF MANAGED AND NONMANAGED ASSETS No
UBPRE973 2001-12-31 2008-12-31 ANNUALIZED INCOME FROM FIDUCIARY ACCOUNTS IN FOREIGN OFFICES AS PERCENT OF MANAGED AND NONMANAGED ASSETS Yes
UBPRE973 2009-03-31 9999-12-31 ANNUALIZED INCOME FROM FIDUCIARY ACCOUNTS IN FOREIGN OFFICES AS PERCENT OF MANAGED AND NONMANAGED ASSETS No
UBPRE974 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF ALL FIDUCIARY ACCOUNTS HELD IN FOREIGN OFFICES NONMANAGED AND MANAGED No
UBPRE975 2001-12-31 9999-12-31 TOTAL NUMBER OF ALL FIDUCIARY ACCOUNTS IN FOREIGN OFFICES MANAGED TO TOTAL NUMBER FIDUCIARY ASSETS MANAGED AND NONMANAGED IN FOREIGN OFFICE No
UBPRE976 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN ALL FIDUCIARY ACCOUNTS HELD IN FOREIGN OFFICES NONMANAGED AND MANAGED No
UBPRE977 2001-12-31 9999-12-31 TOTAL OF ALL FIDUCIARY ACCOUNTS IN FOREIGN OFFICES MANAGED TO TOTAL FIDUCIARY ASSETS MANAGED AND NONMANAGED No
UBPRE978 2001-12-31 2008-12-31 GROSS FIDUCIARY LOSSES ON MANAGED OTHER FIDUCIARY ACCOUNTS AS PERCENT OF RELATED INCOME Yes
UBPRE978 2009-03-31 9999-12-31 GROSS FIDUCIARY LOSSES ON MANAGED OTHER FIDUCIARY ACCOUNTS AS PERCENT OF RELATED INCOME No
UBPRE979 2001-12-31 2008-12-31 GROSS FIDUCIARY LOSSES ON NONMANAGED OTHER FIDUCIARY ACCOCUNTS AS PERCENT OF RELATED INCOME Yes
UBPRE979 2009-03-31 9999-12-31 GROSS FIDUCIARY LOSSES ON NONMANAGED OTHER FIDUCIARY ACCOCUNTS AS PERCENT OF RELATED INCOME No
UBPRE980 2001-12-31 2008-12-31 ANNUALIZED INCOME FROM OTHER FIDUCIARY ACCOUNTS AS PERCENT OF MANAGED AND NONMANAGED ASSETS Yes
UBPRE980 2009-03-31 9999-12-31 ANNUALIZED INCOME FROM OTHER FIDUCIARY ACCOUNTS AS PERCENT OF MANAGED AND NONMANAGED ASSETS No
UBPRE981 2001-12-31 2008-12-31 NET OTHER FIDUCIARY LOSSES AS PERCENT OF RELATED INCOME Yes
UBPRE981 2009-03-31 9999-12-31 NET OTHER FIDUCIARY LOSSES AS PERCENT OF RELATED INCOME No
UBPRE982 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF OTHER FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED No
UBPRE983 2001-12-31 9999-12-31 TOTAL NUMBER OF OTHER FIDUCIARY ACCOUNTS MANAGED TO TOTAL NUMBER OTHER FIDUCIARY ACCOUNTS No
UBPRE984 2001-12-31 9999-12-31 TOTAL NUMBER OF OTHER FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED No
UBPRE985 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN OTHER FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED No
UBPRE986 2001-12-31 9999-12-31 TOTAL OF OTHER FIDUCIARY ACCOUNTS MANAGED TO TOTAL OTHER FIDUCIARY ACCOUNTS No
UBPRE987 2001-12-31 9999-12-31 TOTAL OF OTHER FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED No
UBPRE988 2001-12-31 2008-12-31 TOTAL GROSS FIDUCIARY LOSSES ON MANAGED ACCOUNTS AS PERCENT OF RELATED INCOME Yes
UBPRE988 2009-03-31 9999-12-31 TOTAL GROSS FIDUCIARY LOSSES ON MANAGED ACCOUNTS AS PERCENT OF RELATED INCOME No
UBPRE989 2001-12-31 2008-12-31 TOTAL GROSS LOSSES ON NONMANAGED FIDUCIARY ACCOUNTS AS PERCENT OF RELATED INCOME Yes
UBPRE989 2009-03-31 9999-12-31 TOTAL GROSS LOSSES ON NONMANAGED FIDUCIARY ACCOUNTS AS PERCENT OF RELATED INCOME No
UBPRE990 2001-12-31 2008-12-31 TOTAL NET FIDUCIARY LOSSES ON ALL ACCOUNTS AS PERCENT OF RELATED INCOME Yes
UBPRE990 2009-03-31 9999-12-31 TOTAL NET FIDUCIARY LOSSES ON ALL ACCOUNTS AS PERCENT OF RELATED INCOME No
UBPRE991 2001-12-31 2008-12-31 GROSS MANAGED FIDUCIARY LOSSES ON INVESTMENT MANAGEMENT AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME Yes
UBPRE991 2009-03-31 9999-12-31 GROSS MANAGED FIDUCIARY LOSSES ON INVESTMENT MANAGEMENT AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME No
UBPRE992 2001-12-31 2008-12-31 GROSS FIDUCIARY LOSSES ON NONMANAGED INVESTMENT MANAGEMENT AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME Yes
UBPRE992 2009-03-31 9999-12-31 GROSS FIDUCIARY LOSSES ON NONMANAGED INVESTMENT MANAGEMENT AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME No
UBPRE993 2001-12-31 2008-12-31 ANNUALIZED INCOME FROM INVESTMENT MANAGEMENT AGENCY ACCOUNTS AS PERCENT OF MANAGED AND NONMANAGED ASSETS Yes
UBPRE993 2009-03-31 9999-12-31 ANNUALIZED INCOME FROM INVESTMENT MANAGEMENT AGENCY ACCOUNTS AS PERCENT OF MANAGED AND NONMANAGED ASSETS No
UBPRE994 2001-12-31 2008-12-31 NET FIDUCIARY LOSSES ON INVESTMENT MANAGEMENT AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME Yes
UBPRE994 2009-03-31 9999-12-31 NET FIDUCIARY LOSSES ON INVESTMENT MANAGEMENT AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME No
UBPRE995 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF INVESTMENT MANAGEMENT AGENCY ACCOUNTS MANAGED No
UBPRE996 2001-12-31 9999-12-31 TOTAL NUMBER OF INVESTMENT MANAGEMENT AGENCY ACCOUNTS MANAGED TO TOTAL NUMBER INVESTMENT MANAGEMENT ACCOUNTS No
UBPRE997 2001-12-31 9999-12-31 TOTAL NUMBER OF INVESTMENT MANAGEMENT AGENCY ACCOUNTS MANAGED TO TOTAL NUMBER TRUST ASSETS MANAGED AND NONMANAGED No
UBPRE998 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN INVESTMENT MANAGEMENT AGENCY ACCOUNTS MANAGED No
UBPRE999 2001-12-31 9999-12-31 TOTAL OF INVESTMENT MANAGEMENT AGENCY ACCOUNTS MANAGED TO TOTAL INVESTMENT MANAGEMENT ACCOUNTS No
UBPRF055 2006-09-30 9999-12-31 FHLB ADVANCES: ADVANCES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF ONE YEAR OR LESS No
UBPRF056 2006-09-30 9999-12-31 FHLB ADVANCES: ADVANCES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER ONE YEAR THROUGH THREE YEARS No
UBPRF057 2006-09-30 9999-12-31 FHLB ADVANCES: ADVANCES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER THREE THROUGH FIVE YEARS No
UBPRF058 2006-09-30 9999-12-31 FHLB ADVANCES: ADVANCES WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER FIVE YEARS No
UBPRF059 2006-09-30 9999-12-31 FHLB ADVANCES: STRUCTURED ADVANCES No
UBPRF060 2006-09-30 9999-12-31 OTHER BORROWED MONEY: OTHER BORROWINGS WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF ONE YEAR OR LESS No
UBPRF061 2006-09-30 9999-12-31 OTHER BORROWED MONEY: OTHER BORROWINGS WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER ONE YEAR THROUGH THREE YEARS No
UBPRF062 2006-09-30 9999-12-31 OTHER BORROWED MONEY: OTHER BORROWINGS WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER THREE YEAR THROUGH FIVE YEARS. No
UBPRF063 2006-09-30 9999-12-31 OTHER BORROWED MONEY: OTHER BORROWINGS WITH A REMAINING MATURITY OR NEXT REPRICING DATE OF OVER FIVE YEARS No
UBPRF064 2006-09-30 9999-12-31 SECURED LIABILITES: AMOUNT OF "FEDERAL FUNDS PURCHASED" THAT ARE SECURED No
UBPRF065 2006-09-30 9999-12-31 SECURED LIABILITIES: AMOUNT OF "OTHER BORROWINGS" THAT ARE SECURED No
UBPRF066 2006-09-30 9999-12-31 RETAIL ORIGINATIONS DURING THE QUARTER OF CLOSED-END 1-4 FAMILY RESIDENTIAL MORTGAGE LOANS FOR SALE: FIRST LIENS No
UBPRF067 2006-09-30 9999-12-31 RETAIL ORGINATIONS DURING THE QUARTER OF CLOSED-END 1-4 FAMILY RESIDENTIAL MORTGAGE LOANS FOR SALE: JUNIOR LIENS No
UBPRF068 2006-09-30 9999-12-31 WHOLESALE ORIGINATIONS AND PURCHASES DURING THE QUARTER OF CLOSED-END 1-4 FAMILY RESIDENTIAL MORTGAGE LOANS FOR SALE: FIRST LIENS No
UBPRF069 2006-09-30 9999-12-31 WHOLESALE ORIGINATIONS AND PURCHASES DURING THE QUARTER OF CLOSED-END 1-4 FAMILY RESIDENTIAL MORTGAGE LOANS FOR SALE: JUNIOR LIENS No
UBPRF070 2006-09-30 9999-12-31 CLOSED-END 1-4 FAMILY RESIDENTIAL MORTGAGES SOLD DURING THE QUARTER: FIRST LIENS No
UBPRF071 2006-09-30 9999-12-31 CLOSED-END 1-4 FAMILY RESIDENTIAL MORTGAGES SOLD DURING THE QUARTER: JUNIOR LIENS No
UBPRF072 2006-09-30 9999-12-31 CLOSED-END 1-4 FAMILY RESIDENTIAL MORTGAGES HELD FOR SALE AT QUARTER-END:FIRST LIENS No
UBPRF073 2006-09-30 9999-12-31 CLOSED-END 1-4 FAMILY RESIDENTIAL MORTGAGES HELD FOR SALE AT QUARTER-END:JUNIOR LIENS No
UBPRF162 2007-03-31 9999-12-31 LEASES TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES (I.E. CONSUMER LEASES) No
UBPRF163 2007-03-31 9999-12-31 ALL OTHER LEASE FINANCING RECEIVABLES No
UBPRF164 2007-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL CONSTRUCTION LOAN COMMITMENTS No
UBPRF165 2007-03-31 9999-12-31 COMMERCIAL REAL ESTATE, OTHER CONSTRUCTION LOAN AND LAND DEVELOPMENT LOAN COMMITMENTS No
UBPRF166 2007-03-31 9999-12-31 LEASES TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES, PAST DUE 30-89 DAYS No
UBPRF167 2007-03-31 9999-12-31 LEASES TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES, PAST DUE 90 OR MORE DAYS AND STILL ACCRUING No
UBPRF168 2007-03-31 9999-12-31 LEASES TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES, NONACCRUAL No
UBPRF169 2007-03-31 9999-12-31 ALL OTHER LEASES, PAST DUE 30-89 DAYS AND STILL ACCRUING No
UBPRF170 2007-03-31 9999-12-31 ALL OTHER LEASES, PAST DUE 90 OR MORE DAYS AND STILL ACCRUING No
UBPRF171 2007-03-31 9999-12-31 ALL OTHER LEASES, NONACCRUAL No
UBPRF174 2007-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL CONSTRUCTION LOANS, PAST DUE 90 OR MORE DAYS AND STILL ACCRUING. No
UBPRF177 2007-03-31 9999-12-31 OTHER CONSTRUCTION LOANS AND ALL LAND DEVELOPMENT AND OTHER LAND LOANS, NONACCRUAL No
UBPRF180 2007-03-31 9999-12-31 LOANS SECURED BY OWNER-OCCUPIED NONFARM NONRESIDENTIAL PROPERTIES; 90 OR MORE DAYS PAST DUE AND STILL ACCRUING No
UBPRF182 2007-03-31 9999-12-31 LOANS SECURED BY OWNER-OCCUPIED NONFARM NONRESIDENTIAL PROPERTIES; NONACCRUAL No
UBPRF183 2007-03-31 9999-12-31 LOANS SECURED BY OTHER NONFARM NONRESIDENTIAL PROPERTIES, NONACCRUAL No
UBPRF264 2001-03-31 9999-12-31 LESS: CUMULATIVE CHANGE IN FAIR VALUE OF ALL FINANCIAL LIABILITIES ACCOUNTED FOR UNDER A FAIR VALUE OPTION THAT IS INCLUDED IN RETAINED EARNINGS AND IS ATTRIBUTABLE TO CHANGES IN THE BANK'S OWN CREDITWORTHINESS No
UBPRF468 2001-03-31 9999-12-31 YEAR OPENED No
UBPRF476 2001-03-31 9999-12-31 ACTIVE FLAG No
UBPRF576 2008-03-31 9999-12-31 LOANS AND LEASES RESTRUCTURED AND IN COMPLIANCE WITH MODIFIED TERMS: LOANS SECURED BY 1-4 FAMILY RESIDENTIAL PROPERTIES IN DOMESTIC OFFICES No
UBPRF661 2008-03-31 9999-12-31 RESTRUCTURED LOANS SECURED BY 1-4 RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) - PAST DUE 30 THROUGH 89 DAYS AND STILL ACCRUING. No
UBPRF662 2008-03-31 9999-12-31 RESTRUCTURED LOANS SECURED BY 1-4 RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPRF663 2008-03-31 9999-12-31 RESTRUCTURED LOANS SECURED BY 1-4 RESIDENTIAL PROPERTIES (IN DOMESTIC OFFICES) - NONACCRUAL No
UBPRF858 2002-03-31 9999-12-31 FEDERAL FUNDS PURCHASED AND RESALE No
UBPRF859 1984-12-31 9999-12-31 CUMULATIVE PREFERRED STOCK No
UBPRF860 1984-12-31 9999-12-31 CATEGORY THREE - 50 PERCENT No
UBPRF868 2001-03-31 9999-12-31 ASSET PROGRAM HELPER 1 No
UBPRF869 2001-03-31 9999-12-31 ASSET PROGRAM HELPER 2 No
UBPRF870 2001-03-31 9999-12-31 ASSET PROGRAM HELPER 3 No
UBPRF871 2001-03-31 9999-12-31 ASSET PROGRAM HELPER 4 No
UBPRF872 2001-03-31 9999-12-31 ASSET PROGRAM HELPER 5 No
UBPRF873 2001-03-31 9999-12-31 ASSET PROGRAM HELPER 6 No
UBPRF874 2001-03-31 9999-12-31 ASSET PROGRAM HELPER 7 No
UBPRF875 2001-03-31 9999-12-31 BANK TYPE HELPER 1 No
UBPRF896 2008-03-31 9999-12-31 LOANS SECURED BY 1-4 FAMILY REAL ESTATE LOANS IN FORECLOSURE AS PERCENT OF TOTAL LOANS SECURED BY 1-4 FAMILY No
UBPRF897 2008-03-31 9999-12-31 YIELD ON LOANS SECURED BY 1 TO 4 FAMILY RESIDENCES No
UBPRF899 2008-03-31 9999-12-31 YIELD ON LOANS SECURED BY OTHER RESL ESTATE No
UBPRF900 2008-03-31 9999-12-31 1 QUARTER YIELD ON LOANS SECURED BY 1 TO 4 FAMILY PROPERTIED No
UBPRF901 2008-03-31 9999-12-31 1 QUARTER YIELD ON OTHER REAL ESTATE LOANS No
UBPRF966 2001-03-31 9999-12-31 SIZE CODE CALC HELPER 3QTRBACK No
UBPRF967 2001-03-31 9999-12-31 SIZE CODE CALC HELPER 4QTRBACK No
UBPRF968 2001-03-31 9999-12-31 SIZE CODE CALC HELPER 5QTRBACK No
UBPRF969 2001-03-31 9999-12-31 SIZE CODE CALC HELPER 6QTRBACK No
UBPRFB56 2001-03-31 9999-12-31 5Q AVERAGE 1-4 FAMILY 1ST LIEN LOANS No
UBPRFB57 2001-03-31 9999-12-31 5Q AVERAGE 1-4 FAMILY JR LIEN LOANS No
UBPRFB58 2002-03-31 9999-12-31 NET LOSS 1-4 FAMILY 1ST LIEN LOANS No
UBPRFB59 2002-03-31 9999-12-31 NET LOSS 1-4 FAMILY JR LIEN LOANS No
UBPRFB60 2002-03-31 9999-12-31 NET LOSS % 1-4 FAMILY 1ST LIEN LOANS No
UBPRFB61 2002-03-31 9999-12-31 NET LOSS % 1-4 FAMILY JR LIEN LOANS No
UBPRFB62 2011-03-31 9999-12-31 5Q AVERAGE AUTO LOANS No
UBPRFB63 2011-03-31 9999-12-31 NET LOSS AUTO LOANS No
UBPRFB64 2011-03-31 9999-12-31 NET LOSS % AUTO LOANS No
UBPRFB65 2001-03-31 9999-12-31 NET LOSS FINANCIAL INSTITUTION LOANS No
UBPRFB66 2001-03-31 9999-12-31 NET LOSS % FINANCIAL INSTITUTION LOANS No
UBPRFB67 2007-03-31 9999-12-31 5Q AVERAGE LEASES TO INDIVIDUALS No
UBPRFB68 2007-03-31 9999-12-31 5Q AVERAGE ALL OTHER LEASES No
UBPRFB69 2007-03-31 9999-12-31 NET LOSS % LEASES TO INDIVIDUALS No
UBPRFB70 2007-03-31 9999-12-31 NET LOSS % ALL OTHER LEASES No
UBPRFB71 2001-03-31 9999-12-31 LOAN MIX 1-4 FAMILY 1ST LIEN LOANS No
UBPRFB72 2001-03-31 9999-12-31 LOAN MIX 1-4 FAMILY JR LIEN LOANS No
UBPRFB73 2001-03-31 9999-12-31 5Q AVERAGE RE LOANS IN FO No
UBPRFB74 2001-03-31 9999-12-31 LOAN MIX RE LOANS IN FO No
UBPRFB75 2011-03-31 9999-12-31 LOAN MIX AUTO LOANS No
UBPRFB76 2007-03-31 9999-12-31 LOAN MIX LEASES TO INDIVIDUALS No
UBPRFB77 2007-03-31 9999-12-31 LOAN MIX ALL OTHER LEASES No
UBPRFB78 2001-03-31 9999-12-31 RATIO 1-4 FAMILY 1ST LIEN LOANS TO CAPITAL No
UBPRFB79 2001-03-31 9999-12-31 RATIO 1-4 FAMILY JR LIEN LOANS TO CAPITAL No
UBPRFB80 2001-03-31 9999-12-31 RATIO RE LOANS IN FO TO CAPITAL No
UBPRFB81 2011-03-31 9999-12-31 RATIO AUTO LOANS TO CAPITAL No
UBPRFB82 2007-03-31 9999-12-31 RATIO LEASES TO INDIVIDUALS TO CAPITAL No
UBPRFB83 2007-03-31 9999-12-31 RATIO ALL OTHER LEASES TO CAPITAL No
UBPRFB84 2001-03-31 9999-12-31 SECURED BY FARMLAND 90+ DAYS PD RATIO No
UBPRFB85 2001-03-31 9999-12-31 SECURED BY FARMLAND NONACCRUAL RATIO No
UBPRFB86 2001-03-31 9999-12-31 SECURED BY FARMLAND TOTAL DLNQT RATIO No
UBPRFB87 2001-03-31 9999-12-31 SECURED BY FARMLAND 30-89 DAYS PD RATIO No
UBPRFB88 2001-03-31 9999-12-31 HOME EQUITY 90+ DAYS PD RATIO No
UBPRFB89 2001-03-31 9999-12-31 HOME EQUITY NONACCRUAL RATIO No
UBPRFB90 2001-03-31 9999-12-31 HOME EQUITY TOTAL DLNQT RATIO No
UBPRFB91 2001-03-31 9999-12-31 HOME EQUITY 30-89 DAYS PD RATIO No
UBPRFB92 2002-03-31 9999-12-31 1-4 FAMILY 1ST LIEN 90+ DAYS PD RATIO No
UBPRFB93 2002-03-31 9999-12-31 1-4 FAMILY 1ST LIEN NONACCRUAL RATIO No
UBPRFB94 2002-03-31 9999-12-31 1-4 FAMILY 1ST LIEN TOTAL DLNQT RATIO No
UBPRFB95 2002-03-31 9999-12-31 1-4 FAMILY 1ST LIEN 30-89 DAYS PD RATIO No
UBPRFB96 2002-03-31 9999-12-31 1-4 FAMILY JR LIEN 90+ DAYS PD RATIO No
UBPRFB97 2002-03-31 9999-12-31 1-4 FAMILY JR LIEN NONACCRUAL RATIO No
UBPRFB98 2002-03-31 9999-12-31 1-4 FAMILY JR LIEN TOTAL DLNQT RATIO No
UBPRFB99 2002-03-31 9999-12-31 1-4 FAMILY JR LIEN 30-89 DAYS PD RATIO No
UBPRFC00 2001-03-31 9999-12-31 MULTIFAMILY 90+ DAYS PD RATIO No
UBPRFC01 2001-03-31 9999-12-31 MULTIFAMILY NONACCRUAL RATIO No
UBPRFC02 2001-03-31 9999-12-31 MULTIFAMILY TOTAL DLNQT RATIO No
UBPRFC03 2001-03-31 9999-12-31 MULTIFAMILY 30-89 DAYS PD RATIO No
UBPRFC04 2001-03-31 9999-12-31 FINANCIAL INSTITUTION LOANS 90+ DAYS PD No
UBPRFC05 2001-03-31 9999-12-31 FINANCIAL INSTITUTION LOANS NONACCRUAL No
UBPRFC06 2001-03-31 9999-12-31 FINANCIAL INSTITUTION LOANS 30-89 DAYS PD No
UBPRFC07 2001-03-31 9999-12-31 FINANCIAL INSTITUTION LOANS 90+ DAYS PD RATIO No
UBPRFC08 2001-03-31 9999-12-31 FINANCIAL INSTITUTION LOANS NONACCRUAL RATIO No
UBPRFC09 2001-03-31 9999-12-31 FINANCIAL INSTITUTION LOANS TOTAL DLNQT RATIO No
UBPRFC10 2001-03-31 9999-12-31 FINANCIAL INSTITUTION LOANS 30-89 DAYS PD RATIO No
UBPRFC11 2011-03-31 9999-12-31 AUTO LOANS 90+ DAYS PD RATIO No
UBPRFC12 2011-03-31 9999-12-31 AUTO LOANS NONACCRUAL RATIO No
UBPRFC13 2011-03-31 9999-12-31 AUTO LOANS TOTAL DLNQT RATIO No
UBPRFC14 2011-03-31 9999-12-31 AUTO LOANS 30-89 DAYS PD RATIO No
UBPRFC15 2007-03-31 9999-12-31 LEASES TO INDIVIDUALS 90+ DAYS RATIO No
UBPRFC16 2007-03-31 9999-12-31 LEASES TO INDIVIDUALS NONACCRUAL RATIO No
UBPRFC17 2007-03-31 9999-12-31 LEASES TO INDIVIDUALS TOTAL DLNQT RATIO No
UBPRFC18 2007-03-31 9999-12-31 LEASES TO INDIVIDUALS 30-89 DAYS RATIO No
UBPRFC19 2007-03-31 9999-12-31 ALL OTHER LEASES 90+ DAYS RATIO No
UBPRFC20 2007-03-31 9999-12-31 ALL OTHER LEASES NONACCRUAL RATIO No
UBPRFC21 2007-03-31 9999-12-31 ALL OTHER LEASES TOTAL DLNQT RATIO No
UBPRFC22 2007-03-31 9999-12-31 ALL OTHER LEASES 30-89 DAYS RATIO No
UBPRFC47 2001-03-31 9999-12-31 UNEARNED INCOME 1 QTR % CHANGE No
UBPRFC48 2001-03-31 9999-12-31 UNEARNED INCOME 1 YEAR % CHANGE No
UBPRG105 2001-03-31 9999-12-31 TOTAL EQUITY CAPITAL INCLUDING NONCONTROLLING MINORITY INTERESTS IN CONSOLIDATED SUBSIDIARIES No
UBPRG378 2009-06-30 9999-12-31 PLEDGED LOANS AND LEASES No
UBPRG803 2009-06-30 9999-12-31 RECIPROCAL BROKERED DEPOSITS (INCLUDED IN SCH. RC-E, PART 1, MEM.1B No
UBPRG832 2009-06-30 9999-12-31 MBS:COMMERCIAL MBS: COMMERCIAL MORTGAGE PASS-THROUGH SECURITIES AMORTIZED COST OF HELD-TO-MATURITY - TOTAL No
UBPRG835 2009-06-30 9999-12-31 MBS:COMMERCIAL MBS:COMMERCIAL MORTGAGE PASS-THROUGH SECIRITIES FAIR VALUE OF AVAILABLE-FOR-SALE - TOTAL No
UBPRG840 2009-06-30 9999-12-31 ABS:STRUCTURED FINANCIAL PRODUCTS: AMORTIZED COST OF HELD-TO-MATURITY - TOTAL No
UBPRG843 2009-06-30 9999-12-31 ABS: STRUCTURED FINANCIAL PRODUCTS: FAIR VALUE OF AVAILABLE-FOR-SALE TOTAL No
UBPRGW51 2001-03-31 9999-12-31 DISCONTINUED OPERATIONS AND EXTRAORDINARY ITEMS No
UBPRH036 2016-03-31 9999-12-31 ADVANCED APPROACHES ONLY: SUPPLEMENTENTARY LEVERAGE RATIO No
UBPRH300 2015-03-31 9999-12-31 TOTAL BALANCE SHEET ASSETS - OTHER RISK WEIGHTING APPROACHES EXPOSURE AMOUNT No
UBPRH392 2014-03-31 9999-12-31 ADVANCED APPROACHES REGULATORY CAPITAL COMPONENTS AND RATIOS - ACCUMULATED OTHER COMPREHENSIVE INCOME IN CET1 CAPITAL No
UBPRH393 2014-03-31 9999-12-31 ADVANCED APPROACHES REGULATORY CAPITAL COMPONENTS AND RATIOS - ACCUMULATED OTHER COMPREHENSIVE INCOME - RELATED ADJUSTMENTS - OPT OUT (RC-R) No
UBPRH394 2014-03-31 9999-12-31 ADVANCED APPROACHES REGULATORY CAPITAL COMPONENTS AND RATIOS - EXITED ADVANCED APPROACHES ELIGIBLE CREDIT RESERVES (RC-R) No
UBPRH395 2014-03-31 9999-12-31 ADVANCED APPROACHES REGULATORY CAPITAL COMPONENTS AND RATIOS - EXITED ADVANCE APPROACH INSTITUTIONS TIER 2 CAPITAL BEFORE DEDUCTIONS (RC-R) No
UBPRH396 2014-03-31 9999-12-31 ADVANCED APPROACHES REGULATORY CAPITAL COMPONENTS AND RATIOS - EXITED ADVANCE APPROACH INSTITUTIONS TOTAL CAPITAL (RC-R) No
UBPRH397 2014-03-31 9999-12-31 UBPR REPORTING OF OTHER DEDUCTIONS FROM (AND ADDITIONS TO) CET1 BEFORE THRESHOLD DEDUCTIONS (RC-R) No
UBPRH398 2015-03-31 9999-12-31 SIGNIFICANT INVESTMENTS, MSAS, & DEFERRED TAX ASSETS > 10 PERCENT LIMIT (RC-R) No
UBPRH399 2015-03-31 9999-12-31 TOTAL ON BALANCE SHEET RWA SECURITIZATION EXPOSURE SSFA No
UBPRH400 2015-03-31 9999-12-31 TOTAL ON BALANCE SHEET RWA SECURITIZATION EXPOSURE GROSS UP No
UBPRH401 2015-03-31 9999-12-31 RWA - OFF BALANCE SHEET - OTHER CATEGORIES No
UBPRH402 2015-03-31 9999-12-31 OTC CONTRACTS - INTEREST RATE No
UBPRH403 2015-03-31 9999-12-31 OTC CONTRACTS - ALL OTHER No
UBPRH404 2015-03-31 9999-12-31 CENTRALLY CLEARED CONTRACTS - INTEREST RATE No
UBPRH405 2015-03-31 9999-12-31 CENTRALLY CLEARED CONTRACTS - ALL OTHER No
UBPRH406 2015-03-31 9999-12-31 RWA - OFF BALANCE SHEET - 150 PERCENT No
UBPRH407 2015-03-31 9999-12-31 RWA - OFF BALANCE SHEET - 1250 PERCENT No
UBPRH408 2015-03-31 9999-12-31 UBPR REPORTING OF OTC CONTRACTS - TOTAL No
UBPRH409 2015-03-31 9999-12-31 CENTRALLY CLEARED CONTRACTS - TOTAL No
UBPRHN98 2017-03-31 9999-12-31 OTHER INTEREST EXPENSE ONE YEAR GROWTH RATE No
UBPRHN99 2017-03-31 9999-12-31 OTHER INTEREST EXPENSE YIELD No
UBPRHP00 2017-03-31 9999-12-31 OTHER INTEREST EXPENSE CURRENT QUARTER ANNUALIZED No
UBPRHP01 2017-03-31 9999-12-31 OTHER INTEREST EXPENSE CURRENT QUARTER YIELD No
UBPRHP02 2017-03-31 9999-12-31 NON-INTEREST RATE DERIVATIVE CONTRACTS No
UBPRHP03 2017-03-31 9999-12-31 HELD FOR TRADING NON-INTEREST RATE DERIVATIVE CONTRACTS No
UBPRHP04 2017-03-31 9999-12-31 NON TRADED NON-INTEREST RATE DERIVATIVE CONTRACTS No
UBPRHP05 2017-03-31 9999-12-31 NON-INTEREST RATE DERIVATIVE CONTRACTS PERCENT OF TOTAL No
UBPRHP06 2017-03-31 9999-12-31 HELD FOR TRADING NON-INTEREST RATE DERIVATIVE CONTRACTS PERCENT OF TOTAL No
UBPRHP07 2017-03-31 9999-12-31 NON TRADED NON-INTEREST RATE DERIVATIVE CONTRACTS PERCENT OF TOTAL No
UBPRHR44 2017-03-31 9999-12-31 INSTITUTION FIVE PERIOD AVERAGE INSURED BROKERED DEPOSITS OF $250,000 OR LESS No
UBPRHR45 2017-03-31 9999-12-31 BROKERED DEPOSITS WITH REMAINING MATURITY LESS THAN ONE YEAR No
UBPRHR46 2017-03-31 9999-12-31 TOTAL BALANCE SHEET ASSETS - 2 PERCENT RISK-WEIGHT CATEGORY No
UBPRHR47 2017-03-31 9999-12-31 TOTAL BALANCE SHEET ASSETS - 4 PERCENT RISK-WEIGHT CATEGORY No
UBPRHR48 2017-03-31 9999-12-31 INTEREST ON DOMESTIC DEPOSITS No
UBPRHR49 2017-03-31 9999-12-31 INTEREST ON DOMESTIC DEPOSITS ONE YEAR RROWTH RATE No
UBPRHR50 2017-03-31 9999-12-31 INTEREST ON TIME DEPOSITS OVER $250M ONE YEAR GROWTH RATE No
UBPRHR51 2017-03-31 9999-12-31 TIME DEPOSITS No
UBPRHR52 2017-03-31 9999-12-31 AVERAGE TIME DEPOSITS (SUM OF TIME DEPOSITS MORE THAN $250,000 AND $250,00 AND LESS) No
UBPRHR53 2017-03-31 9999-12-31 AVERAGE TIME DEPOSITS (SUM OF TIME DEPOSITS MORE THAN $100,000 AND $100,00 AND LESS) No
UBPRHR54 2017-03-31 9999-12-31 FOUR PERIOD AVERAGE OF TIME DEPOSITS No
UBPRHR55 2017-03-31 9999-12-31 COST OF TIME DEPOSITS No
UBPRHR56 2017-03-31 9999-12-31 COST OF TIME DEPOSITS OVER $250M No
UBPRHR57 2017-03-31 9999-12-31 FOUR PERIOD AVERAGE OF TIME DEPOSITS OF MORE THAN $250,000 No
UBPRHR58 2017-03-31 9999-12-31 FOUR PERIOD AVERAGE OF TIME DEPOSITS $250,000 OR LESS No
UBPRHR59 2017-03-31 9999-12-31 EXPENSE ON TIME DEPOSITS - ONE QUARTER ANNUALIZED No
UBPRHR60 2017-03-31 9999-12-31 TIME DEPS - ONE QTR ANN COST No
UBPRHR61 2017-03-31 9999-12-31 EXPENSE ON TIME DEPOSITS OF MORE THAN $250,000 - ONE QUARTER ANNUALIZED No
UBPRHR62 2017-03-31 9999-12-31 TIME DEPS OVER $250,000 - ONE QTR ANN COST No
UBPRHR65 2017-03-31 9999-12-31 AVERAGE TIME DEPOSITS No
UBPRHT70 2018-03-31 9999-12-31 Unrealized holding gains (losses) on equity securities not held for trading No
UBPRJ238 2001-06-30 9999-12-31 PAST DUE LOAN AMOUNTS INCLUDED IN ITEM 1 AND 6A: 30-89 DAYS - CREDIT CARD RECEIVABLES No
UBPRJ239 2001-03-31 9999-12-31 RESTRUCTURED LOANS AND LEASES - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPRJ243 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF TOTAL BANK CAPITAL PLUS MINORITY INTERESTS AS A PERCENT OF FIVE PERIOD AVERAGE OF TOTAL ASSETS No
UBPRJ244 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF TOTAL BANK CAPITAL PLUS MINORITY INTERESTS No
UBPRJ245 2001-03-31 9999-12-31 EQUITY CAPITAL PLUS MINORITY INTERESTS AS A PERCENT OT TOTAL ASSETS No
UBPRJ246 2009-03-31 9999-12-31 ONE QUARTER ANNUALIZED NET INCOME ATTRIBUTABLE TO MINORITY INTERESTS No
UBPRJ247 2009-03-31 9999-12-31 ONE QUARTER ANNUALIZED NET INCOME ATTRIBUTABLE TO MINORITY INTERESTS AS A PERCENT OF 1 QUARTER AVERAGE ASSETS No
UBPRJ248 2009-03-31 9999-12-31 ANNUALIZED NET INCOME ATTRIBUTABLE TO MINORITY INTERESTS AS A PERCENT OF YEAR TO DATE AVERAGE ASSETS. No
UBPRJ249 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF DIRECT AND INDIRECT INVESTMENTS IN REAL ESTATE AS A PERCENT OF 5 PERIOD AVERAGE OF TOTAL ASSETS No
UBPRJ250 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF INVESTMENTS ON OTHER SUBSIDIARIES AS A PERCENT OF FIVE PERIOD AVERAGE OF TOTAL ASSETS No
UBPRJ251 2009-06-30 9999-12-31 COMMERCIAL MORTGAGE PASS THROUGH PLUS OTHER COMMERCIAL MORTGAGE BACKED SECURITIES AVAILABLE FOR SALE AS A PERCENT OF TOTAL SECURITIES No
UBPRJ252 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF INVESTMENTS ON OTHER SUBSIDIARIES No
UBPRJ255 2009-12-31 9999-12-31 FIDUCIARY AND RELATED ASSETS:FOUNDATION AND ENDOWMENT TRUST AND AGENCY ACCOUNTS - MANAGED ASSETS No
UBPRJ256 2009-12-31 9999-12-31 FIDUCIARY AND RELATED ASSETS:FOUNDATION AND ENDOWMENT TRUST AND AGENCY ACCOUNTS - NON-MANAGED ASSETS No
UBPRJ257 2009-12-31 9999-12-31 FIDUCIARY AND RELATED ASSETS:FOUNDATION AND ENDOWMENT TRUST AND AGENCY ACCOUNTS - NUMBER OF MANAGED ACCOUNTS No
UBPRJ258 2009-12-31 9999-12-31 FIDUCIARY AND RELATED ASSETS:FOUNDATION AND ENDOWMENT TRUST AND AGENCY ACCOUNTS - NUMBER OF NON-MANAGED ACCOUNTS No
UBPRJ259 2009-12-31 9999-12-31 FIDUCIARY AND RELATED ASSETS:INDIVIDUAL RETIREMENT ACCOUNTS, HEALTH SAVINGS ACCOUNTS, AND OTHER SIMILAR ACCOUNTS - MANAGED ASSETS No
UBPRJ260 2009-12-31 9999-12-31 FIDUCIARY AND RELATED ASSETS:INDIVIDUAL RETIREMENT ACCOUNTS, HEALTH SAVINGS ACCOUNTS, AND OTHER SIMILAR ACCOUNTS - NON-MANAGED ASSET No
UBPRJ261 2009-12-31 9999-12-31 FIDUCIARY AND RELATED ASSETS:INDIVIDUAL RETIREMENT ACCOUNTS, HEALTH SAVINGS ACCOUNTS, AND OTHER SIMILAR ACCOUNTS - NUMBER OF MANAGED ACCOUNTS No
UBPRJ262 2009-12-31 9999-12-31 FIDUCIARY AND RELATED ASSETS:INDIVIDUAL RETIREMENT ACCOUNTS, HEALTH SAVINGS ACCOUNTS, AND OTHER SIMILAR ACCOUNTS - NUMBER OF NON-MANAGED ACCOUNTS No
UBPRJ311 2009-12-31 9999-12-31 MANAGED ASSETS HELD IN FIDUCIARY ACCOUNTS: INVESTMENTS OF MANAGED FIDUCIARY ACCOUNTS IN ADVISED OR SPONSORED MUTUAL FUNDS - MANAGED ASSETS No
UBPRJ313 2009-12-31 9999-12-31 CORPORATE TRUST AND AGENCY ACCOUNTS: CORPORATE AND MUNICIPAL TRUSTEESHIPS - NUMBER OF ISSUES REPORTED IN DEFAULT No
UBPRJ314 2009-12-31 9999-12-31 CORPORATE TRUST AND AGENCY ACCOUNTS: CORPORATE AND MUNICIPAL TRUSTEESHIPS - PRINCIPAL AMOUNT OUTSTANDING No
UBPRJ316 2009-12-31 9999-12-31 FIDUCIARY AND RELATED SERVICES INCOME-FOUNDATION AND ENDOWMENT TRUST AND AGENCY ACCOUNTS No
UBPRJ430 2008-03-31 9999-12-31 CALENDAR YEAR AVERAGE OF 90 DAY AVERAGES FOR LOANS SECURED BY 1-4 FAMILY RESIDENCES No
UBPRJ431 2008-03-31 9999-12-31 CALENDAR YEAR AVERAGE OF 90 DAY AVERAGES OF LOANS SECURED BY OTHER REAL ESTATE LOANS No
UBPRJ432 2008-03-31 9999-12-31 INCOME ON LOANS SECURED BY REAL ESTATE 1 QUARTER No
UBPRJ433 2008-03-31 9999-12-31 INCOME FROM LOANS SECURED BY 1-4 FAMILY REAL ESTATE FOR 1 QUARTER No
UBPRJA22 2018-03-31 9999-12-31 Equity securities with readily determinable fair values not held for trading No
UBPRJA31 2018-03-31 9999-12-31 Institution five period average of equity securities with readily determinable fair values not held for trading No
UBPRJA32 2018-03-31 9999-12-31 Equity securities with readily determinable fair values not held for trading as a percent of average Assets No
UBPRJA33 2018-03-31 9999-12-31 Unrealized holding gains (losses) on equity securities not held for trading as a percent of average assets No
UBPRJA34 2018-03-31 9999-12-31 Unrealized holding gains (losses) on equity securities not held for trading 1 year percent change No
UBPRJA35 2018-03-31 9999-12-31 Unrealized holding gains (losses) on equity securities not held for trading as a percent of average assets No
UBPRK137 2011-03-31 9999-12-31 AUTOMOBILE LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY, AND OTHER PERSONAL EXPENDITURES (I.E., CONSUMER LOANS)(INCLUDES PURCHASED PAPER) No
UBPRK213 2011-03-31 9999-12-31 LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY AND OTHER PERSONAL EXPENDITURES: AUTOMOBILE LOANS - PAST DUE 30 THROUGH 89 DAYS AND STILL ACCRUING No
UBPRK214 2011-03-31 9999-12-31 LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY AND OTHER PERSONAL EXPENDITURES: AUTOMOBILE LOANS - PAST DUE 90 DAYS OR MORE AND STILL ACCRUING No
UBPRK215 2011-03-31 9999-12-31 LOANS TO INDIVIDUALS FOR HOUSEHOLD, FAMILY AND OTHER PERSONAL EXPENDITURES: AUTOMOBILE LOANS - NONACCRUAL No
UBPRK222 2011-03-31 9999-12-31 TIME DEPOSITS OF MORE THAN $250,000 WITH A REMAINING MATURITY OF ONE OR YEAR LESS No
UBPRK223 2011-03-31 9999-12-31 ESTIMATED AMOUNT OF DEPOSITS OBTAINED THROUGH THE USE OF DEPOSIT LISTING SERVICES THAT ARE NOT BROKERED DEPOSITS No
UBPRK264 2001-01-01 9999-12-31 GUARANTEED PORTION OF LOANS AND LEASES 90 DAYS OR MORE PAST DUE AS A PERCENT OF TOTAL LOANS AND LEASES 90 OR MORE DAYS PAST DUE No
UBPRK265 2001-03-31 9999-12-31 GUARANTEED PORTION OF LOANS AND LEASES ON NONACCRUAL AS A PERCENT OF TOTAL NONACCRUAL LOANS AND LEASES No
UBPRK266 2001-03-31 9999-12-31 GUARANTEED PORTION OF LOANS AND LEASES 30 THROUGH 89 DAYS PAST DUE AS A PERCENT OF TOTAL LOANS AND LEASES 30 THROUGH 89 DAYS PAST DUE No
UBPRK426 2001-03-31 9999-12-31 DEPOSITS BELOW INSURANCE LIMIT No
UBPRK427 2001-03-31 9999-12-31 ONE YEAR GROWTH RATE DEPOSITS BELOW INSURANCE LIMIT No
UBPRK428 2001-03-31 9999-12-31 ONE QUARTER GROWTH RATE IN DEPOSITS BELOW INSURANCE LIMIT No
UBPRK429 2001-03-31 9999-12-31 ONE YEAR GROWTH RATE IN FULLY INSURED BROKERED DEPOSITS No
UBPRK430 2001-03-31 9999-12-31 ONE QUARTER GROWTH RATE IN FULLY INSURED BROKERED DEPOSITS No
UBPRK431 2001-03-31 9999-12-31 DEMAND, NOW, ATS, MMDA AND DEPOSITS BELOW INSURANCE LIMIT No
UBPRK432 2001-03-31 9999-12-31 ONE YEAR GROWTH RATE IN DEMAND, NOW, ATS, MMDA AND DEPOSITS BELOW INSURANCE LIMIT No
UBPRK433 2001-03-31 9999-12-31 ONE QUARTER GROWTH RATE IN DEMAND, NOW, ATS, MMDA AND DEPOSITS BELOW INSURANCE LIMIT No
UBPRK434 2001-03-31 9999-12-31 DEMAND, NOW, ATS, MMDA AND DEPOSITS BELOW INSURANCE LIMIT LESS FULLY INSURED BROKERED DEPOSITS No
UBPRK435 2001-03-31 9999-12-31 ONE YEAR GROWTH RATE IN DEMAND, NOW, ATS, MMDA AND DEPOSITS BELOW INSURANCE LIMIT LESS FULLY INSURED BROKERED DEPOSITS No
UBPRK436 2001-03-31 9999-12-31 1 QUARTER GROWTH RATE IN DEMAND, NOW, ATS, MMDA AND DEPOSITS BELOW INSURANCE LIMIT LESS FULLY INSURED BROKERED DEPOSITS. No
UBPRK437 2001-03-31 9999-12-31 DEPOSITS ABOVE INSURANCE LIMIT No
UBPRK438 2001-03-31 9999-12-31 ONE YEAR GROWTH RATE IN DEPOSITS ABOVE THE INSURANCE LIMIT No
UBPRK439 2001-03-31 9999-12-31 ONE QUARTER GROWTH RATE IN DEPOSITS ABOVE THE INSURANCE LIMIT No
UBPRK440 2001-03-31 9999-12-31 DEPOSITS BELOW INSURANCE LIMIT AS PERCENT OF AVERAGE ASSETS No
UBPRK441 2001-03-31 9999-12-31 FULLY INSURED BROKERED DEPOSITS AS PERCENT OF AVERAGE ASSETS No
UBPRK442 2001-03-31 9999-12-31 DEMAND, NOW, ATS, MMDA AND DEPOSITS BELOW INSURANCE LIMIT AS A PERCENT OF AVERAGE ASSETS No
UBPRK443 2001-03-31 9999-12-31 DEMAND, NOW, ATS, MMDA AND DEPOSITS BELOW INSURANCE LIMIT LESS FULLY INSURED BROKERED DEPOSITS AS PERCENT OF AVERAGE ASSETS No
UBPRK444 2001-03-31 9999-12-31 TIME DEPOSITS ABOVE INSURANCE LIMIT AS A PERCENT OF AVERAGE ASSETS No
UBPRK445 2001-03-31 9999-12-31 NONCORE LIABILITIES DEFINED USING DEPOSIT INSURANCE LIMITS FOR TIME DEPOSITS No
UBPRK446 2001-03-31 9999-12-31 NET NONCORE LIABILITIES DEFINED USING DEPOSIT INSURANCE LIMITS FOR TIME DEPOSITS No
UBPRK447 2001-03-31 9999-12-31 NONCORE FUNDING DEPENDENCY RATIO DEFINED USING DEPOSITS INSURANCE LIMITS FOR TIME DEPOSITS No
UBPRKW06 2019-03-31 9999-12-31 Provision for credit losses on all other assets No
UBPRKW07 2019-03-31 9999-12-31 Provision for credit losses on all other assets as a percent of average assets No
UBPRKW08 2019-03-31 9999-12-31 Provision for credit losses on all other assets one year growth rate No
UBPRKW09 2019-03-31 9999-12-31 Provision for credit losses on all other assets - one quarter annualized No
UBPRKW10 2019-03-31 9999-12-31 One quarter annualized provision for credit losses on all other assets divided by average assets. No
UBPRKW11 2019-03-31 9999-12-31 Held to maturity securities allowance one quarter change No
UBPRKW12 2019-03-31 9999-12-31 Held to maturity securities allowance annual change No
UBPRKW13 2019-03-31 9999-12-31 Five period average held to maturity securities allowance No
UBPRKW14 2019-03-31 9999-12-31 Held to maturity securities allowance as a percent of Average Assets No
UBPRKW26 2019-03-31 9999-12-31 Net credit losses on other assets No
UBPRKW27 2019-03-31 9999-12-31 Average total consolidated assets from RC-R No
UBPRKW28 2019-03-31 9999-12-31 Retained Earnings from RC-R No
UBPRKX38 2001-03-31 9999-12-31 QTR NET INTEREST INCOME No
UBPRKX39 2001-03-31 9999-12-31 QTR NET INTEREST INCOME AS PERCENT OF AVERAGE ASSETS No
UBPRKX40 2001-03-31 9999-12-31 NET INTEREST INCOME AS PERCENT OF AVERAGE ASSETS No
UBPRKX41 2001-03-31 9999-12-31 QTR NET INTEREST INCOME AS PERCENT OF AVERAGE EARNING ASSETS No
UBPRKX42 2001-03-31 9999-12-31 NET INTEREST INCOME AS PERCENT OF AVERAGE EARNING ASSETS No
UBPRKX45 2001-03-31 9999-12-31 TIER ONE CAPITAL 3-MONTH GROWTH RATE No
UBPRKY36 2020-03-31 9999-12-31 COMMUNITY BANK LEVERAGE RATIO No
UBPRKY37 2001-03-31 9999-12-31 ANNUALIZED QUARTERLY NET INCOME PERCENT OF AVERAGE EQUITY No
UBPRL110 2001-03-31 9999-12-31 ESTIMATED TAX BENEFIT ON LOANS / 1 YEAR PERCENT CHANGE No
UBPRL111 2001-03-31 9999-12-31 ESTIMATED TAX BENEFIT ON SECURITIES / 1 YEAR PERCENT CHANGE No
UBPRL112 2001-03-31 9999-12-31 APPLICABLE INCOME TAXES / 1 YEAR PERCENT CHANGE No
UBPRL113 2001-03-31 9999-12-31 CURRENT TAX EQUIV ADJUSTMENT / 1 YEAR PERCENT CHANGE No
UBPRL114 2001-03-31 9999-12-31 OTHER TAX EQUIV ADJUSTMENTS / 1 YEAR PERCENT CHANGE No
UBPRL115 2001-03-31 9999-12-31 APPLICABLE INCOME TAXES (TE) / 1 YEAR PERCENT CHANGE No
UBPRL116 2001-03-31 9999-12-31 EXTRAORDINARY ITEMS & OTHER ADJUSTMENTS, NET OF INCOME TAXES / 1 YEAR PERCENT CHANGE No
UBPRL117 2001-03-31 9999-12-31 NET INCOME (LOSS) DUE TO NONCONTROLLING MINORITY INTERESTS / 1 YEAR PERCENT CHANGE No
UBPRL118 2001-03-31 9999-12-31 FED FUNDS SOLD & SECURITIES PURCHASED UNDER REPURCHASE AGREEMENTS / 1 QTR PERCENT CHANGE No
UBPRL119 2001-03-31 9999-12-31 FED FUNDS SOLD & SECURITIES PURCHASED UNDER REPURCHASE AGREEMENTS / 1 YEAR PERCENT CHANGE No
UBPRL120 2001-03-31 9999-12-31 TOTAL INVESTMENTS / 1 QTR PERCENT CHANGE No
UBPRL121 2001-03-31 9999-12-31 TOTAL INVESTMENTS / 1 YEAR PERCENT CHANGE No
UBPRL122 2001-03-31 9999-12-31 TOTAL EARNING ASSETS / 1 QTR PERCENT CHANGE No
UBPRL123 2001-03-31 9999-12-31 TOTAL EARNING ASSETS / 1 YEAR PERCENT CHANGE No
UBPRL124 2001-03-31 9999-12-31 DIRECT & INDIRECT INVESTMENTS IN REAL ESTATE VENTURES / 1 QTR PERCENT CHANGE No
UBPRL125 2001-03-31 9999-12-31 DIRECT & INDIRECT INVESTMENTS IN REAL ESTATE VENTURES / 1 YEAR PERCENT CHANGE No
UBPRL126 2001-03-31 9999-12-31 INVESTMENTS IN UNCONSOLIDATED SUBS AND ASSOCIATED COMPANIES / 1 QTR PERCENT CHANGE No
UBPRL127 2001-03-31 9999-12-31 INVESTMENTS IN UNCONSOLIDATED SUBS AND ASSOCIATED COMPANIES / 1 YEAR PERCENT CHANGE No
UBPRL128 2001-03-31 9999-12-31 FEDERAL FUNDS PURCHASED AND RESALE / 1 QTR PERCENT CHANGE No
UBPRL129 2001-03-31 9999-12-31 FEDERAL FUNDS PURCHASED AND RESALE / 1 YEAR PERCENT CHANGE No
UBPRL138 2012-03-31 9999-12-31 TOTAL ASSETS FOR LEVERAGE CAPITAL PURPOSES No
UBPRL916 2009-12-31 9999-12-31 TOTAL FOUNDATION AND ENDOWMENT TRUST AND AGENCY FIDUCIARY ASSETS No
UBPRL917 2009-12-31 9999-12-31 TOTAL FOUNDATION AND ENDOWMENT TRUST AND AGENCY FIDUCIARY ASSETS TO TOTAL FIDCUIARY ASSETS No
UBPRL918 2009-12-31 9999-12-31 PERCENT OF MANAGED ASSETS TO TOTAL FOUNDATION AND ENDOWMENT TRUST AND AGENCY FIDUCIARY ASSETS No
UBPRL919 2009-12-31 9999-12-31 1 YEAR PERCENT CHANGE IN TOTAL FOUNDATION AND ENDOWMENT TRUST AND AGENCY FIDUCIARY ASSETS No
UBPRL920 2009-12-31 9999-12-31 MEMORANDUM: TOTAL INDIVIDUAL RETIREMENT ACCOUNTS, HEALTH SAVINGS ACCOUNTS AND OTHER FIDUCIARY ASSETS No
UBPRL921 2009-12-31 9999-12-31 MEMORANDUM: INDIVIDUAL RETIREMENT ACCOUNTS, HEALTH SAVINGS ACCOUNTS AND OTHER FIDUCIARY ASSETS TO TOTAL FIDUCIARY ASSETS No
UBPRL922 2009-12-31 9999-12-31 MEMORANDUM: PERCENT OF MANAGED INDIVIDUAL RETIREMENT ACCOUNTS, HEALTH SAVINGS ACCOUNTS AND OTHER FIDUCIARY ASSETS TO TOTAL INDIVIDUAL RETIREMENT ACCOUNTS, HEALTH SAVINGS ACCOUNTS AND OTHER FIDUCIARY ASSETS No
UBPRL923 2009-12-31 9999-12-31 MEMORANDUM: 1 YEAR PERCENT CHANGE IN TOTAL INDIVIDUAL RETIREMENT ACCOUNTS, HEALTH SAVINGS ACCOUNTS AND OTHER FIDUCIARY ASSETS No
UBPRL924 2009-12-31 9999-12-31 TOTAL NUMBER OF FOUNDATION AND ENDOWMENT TRUST AND AGENCY FIDUCIARY ACCOUNTS No
UBPRL925 2009-12-31 9999-12-31 TOTAL FOUNDATION AND ENDOWMENT TRUST AND AGENCY FIDUCIARY ACCOUNTS TO TOTAL FIDCUIARY ACCOUNTS No
UBPRL926 2009-12-31 9999-12-31 PERCENT OF MANAGED ACCOUNTS TO TOTAL FOUNDATION AND ENDOWMENT TRUST AND AGENCY FIDUCIARY ACCOUNTS No
UBPRL927 2009-12-31 9999-12-31 1 YEAR PERCENT CHANGE IN TOTAL FOUNDATION AND ENDOWMENT TRUST AND AGENCY FIDUCIARY ACCOUNTS No
UBPRL928 2009-12-31 9999-12-31 MEMORANDUM: TOTAL OF INDIVIDUAL RETIREMENT ACCOUNTS, HEALTH SAVINGS ACCOUNTS AND OTHER FIDUCIARY ACCOUNTS No
UBPRL929 2009-12-31 9999-12-31 MEMORANDUM: TOTAL INDIVIDUAL RETIREMENT ACCOUNTS, HEALTH SAVINGS ACCOUNTS AND OTHER FIDUCIARY ACCOUNTS TO TOTAL FIDUCIARY ACCOUNTS No
UBPRL930 2009-12-31 9999-12-31 MEMORANDUM: PERCENT OF MANAGED ASSETS TO TOTAL INDIVIDUAL RETIREMENT ACCOUNTS, HEALTH SAVINGS ACCOUNTS AND OTHER FIDUCIARY ACCOUNTS No
UBPRL931 2009-12-31 9999-12-31 MEMORANDUM: 1 YEAR PERCENT CHANGE IN TOTAL INDIVIDUAL RETIREMENT ACCOUNTS, HEALTH SAVINGS ACCOUNTS AND OTHER FIDUCIARY ACCOUNTS No
UBPRL932 2009-12-31 9999-12-31 FOUNDATION AND ENDOWMENT TRUST AND AGENCY FIDUCIARY INCOME AS A PERCENT OF TOTAL FIDUCIARY INCOME No
UBPRL933 2009-12-31 9999-12-31 1 YEAR PERCENT CHANGE IN TOTAL FOUNDATION AND ENDOWMENT TRUST AND AGENCY FIDUCIARY INCOME No
UBPRL934 2001-12-31 9999-12-31 NUMBER OF DOMESTIC EQUITY FUNDS AS PERCENT OF NUMBER COMMON AND COLLECTIVE FUNDS No
UBPRL935 2001-12-31 9999-12-31 NUMBER OF INTERNATIONAL/GLOBAL EQUITY FUNDS AS PERCENT OF NUMBER OF COMMON AND COLLECTIVE FUNDS No
UBPRL936 2001-12-31 9999-12-31 NUMBER OF STOCK/BOND BLEND FUNDS AS PERCENT OF NUMBER OF COMMON AND COLLECTIVE FUNDS No
UBPRL937 2001-12-31 9999-12-31 NUMBER OF TAXABLE BOND FUNDS AS PERCENT OF NUMBER OF COMMON AND COLLECTIVE FUNDS No
UBPRL938 2001-12-31 9999-12-31 NUMBER OF MUNICIPAL BOND FUNDS AS PERCENT OF NUMBER OF COMMON AND COLLECTIVE FUNDS No
UBPRL939 2001-12-31 9999-12-31 NUMBER OF SHORT TERM MONEY FUNDS AS PERCENT OF NUMBER OF COMMON AND COLLECTIVE FUNDS No
UBPRL940 2001-12-31 9999-12-31 NUMBER OF SPECIALTY AND OTHER FUNDS AS PERCENT OF NUMBER OF COMMON AND COLLECTIVE FUNDS No
UBPRL941 2001-12-31 9999-12-31 NUMBER OF COLLECTIVE AND COMMON TRUST FUNDS TO TOTAL NUMBER COLLECTIVE AND COMMON TRUST FUNDS No
UBPRL942 2001-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF DOMESTIC EQUITY COMMON AND COLLECTIVE FUNDS No
UBPRL943 2001-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF INTERNATIONAL/GLOBAL COMMON AND COLLECTIVE FUNDS No
UBPRL944 2001-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF STOCK/ BOND BLEND COMMON AND COLLECTIVE FUNDS No
UBPRL945 2001-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF TAXABLE BOND COMMON AND COLLECTIVE FUNDS No
UBPRL946 2001-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF MUNICIPAL BOND COMMON AND COLLECTIVE FUNDS No
UBPRL947 2001-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF SHORT TERM MONEY MARKET COMMON AND COLLECTIVE FUNDS No
UBPRL948 2001-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF SPECIALTY AND OTHER COMMON AND COLLECTIVE FUNDS No
UBPRL949 2001-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF COLLECTIVE AND COMMON TRUST FUNDS No
UBPRL950 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF CORPORATE AND MUNICIPAL TRUSTEESHIPS IN DEFAULT No
UBPRL951 2009-12-31 9999-12-31 AMOUNT OF MANAGED NONINTEREST-BEARING DEPOSITS IN FIDUCIARY ACCOUNTS No
UBPRL952 2001-12-31 9999-12-31 AMOUNT OF MANAGED INTEREST-BEARING DEPOSITS IN FIDUCIARY ACCOUNTS No
UBPRL953 2009-12-31 9999-12-31 AMOUNT OF MANAGED U.S. TREASURY AND AGENCY SECURITIES IN FIDUCIARY ACCOUNTS No
UBPRL954 2009-12-31 9999-12-31 AMOUNT OF MANAGED STATE, COUNTY AND MUNICIPAL SECURITIES IN FIDUCIARY ACCOUNTS No
UBPRL955 2009-12-31 9999-12-31 AMOUNT OF MANAGED MONEY MARKET MUTUTAL FUNDS IN FIDUCIARY ACCOUNTS No
UBPRL956 2009-12-31 9999-12-31 AMOUNT OF MANAGED EQUITY MUTUAL FUNDS IN FIDUCIARY ACCOUNTS No
UBPRL957 2009-12-31 9999-12-31 AMOUNT OF MANAGED OTHER MUTUAL FUNDS IN FIDUCIARY ACCOUNTS No
UBPRL958 2009-12-31 9999-12-31 AMOUNT OF MANAGED COMMON AND COLLECTIVE FUNDS IN FIDUCIARY ACCOUNTS No
UBPRL959 2009-12-31 9999-12-31 AMOUNT OF MANAGED OTHER SHORT-TERM OBLIGATIONS IN FIDUCIARY ACCOUNTS No
UBPRL960 2009-12-31 9999-12-31 AMOUNT OF MANAGED OTHER NOTES AND BONDS IN FIDUCIARY ACCOUNTS No
UBPRL961 2009-12-31 9999-12-31 AMOUNT OF MANAGED UNREGISTERED FUNDS AND PRIVATE EQUITY IN FIDUCIARY ACCOUNTS No
UBPRL962 2009-12-31 9999-12-31 AMOUNT OF MANAGED OTHER COMMON AND PREFERRED STOCKS IN FIDUCIARY ACCOUNTS No
UBPRL963 2009-12-31 9999-12-31 AMOUNT OF MANAGED REAL ESTATE MORTGAGES IN FIDUCIARY ACCOUNTS No
UBPRL964 2009-12-31 9999-12-31 AMOUNT OF MANAGED REAL ESTATE IN FIDUCIARY ACCOUNTS No
UBPRL965 2009-12-31 9999-12-31 AMOUNT OF MANAGED MISCELLANEOUS ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL966 2009-12-31 9999-12-31 AMOUNT OF MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL967 2009-12-31 9999-12-31 MANAGED NONINTEREST-BEARING DEPOSITS TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL968 2009-12-31 9999-12-31 MANAGED INTEREST-BEARING DEPOSITS TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL969 2009-12-31 9999-12-31 MANAGED U.S. TREASURY AND AGENCY SECURITIES IN FIDUCIARY ACCOUNTS No
UBPRL970 2009-12-31 9999-12-31 MANAGED STATE, COUNTY AND MUNICIPAL SECURITIES TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL971 2009-12-31 9999-12-31 MANAGED MONEY MARKET MUTUTAL FUNDS TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL972 2009-12-31 9999-12-31 MANAGED EQUITY MUTUAL FUNDS TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL973 2009-12-31 9999-12-31 MANAGED OTHER MUTUAL FUNDS TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL974 2009-12-31 9999-12-31 MANAGED COMMON AND COLLECTIVE FUNDS TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL975 2009-12-31 9999-12-31 MANAGED OTHER SHORT-TERM OBLIGATIONS TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL976 2009-12-31 9999-12-31 MANAGED OTHER NOTES AND BONDS TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL977 2009-12-31 9999-12-31 MANAGED UNREGISTERED FUNDS AND PRIVATE EQUITY TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL978 2009-12-31 9999-12-31 MANAGED OTHER COMMON AND PREFERRED STOCKS TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL979 2009-12-31 9999-12-31 MANAGED REAL ESTATE MORTGAGES TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL980 2009-12-31 9999-12-31 MANAGED REAL ESTATE TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL981 2009-12-31 9999-12-31 MANAGED MISCELLANEOUS ASSETS TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL982 2009-12-31 9999-12-31 MANAGED ASSETS IN FIDUCIARY ACCOUNTS TO TOTAL No
UBPRL983 2009-12-31 9999-12-31 MEMO: MANAGED ASSETS IN SPONSORED MUTUAL FUNDS TO TOTAL MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL984 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED NONINTEREST-BEARING DEPOSITS IN FIDUCIARY ACCOUNTS No
UBPRL985 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED INTEREST-BEARING DEPOSITS IN FIDUCIARY ACCOUNTS No
UBPRL986 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED U.S. TREASURY AND AGENCY SECURITIES IN FIDUCIARY ACCOUNTS No
UBPRL987 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED STATE, COUNTY AND MUNICIPAL SECURITIES IN FIDUCIARY ACCOUNTS No
UBPRL988 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED MONEY MARKET MUTUTAL FUNDS IN FIDUCIARY ACCOUNTS No
UBPRL989 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED EQUITY MUTUAL FUNDS IN FIDUCIARY ACCOUNTS No
UBPRL990 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED OTHER MUTUAL FUNDS IN FIDUCIARY ACCOUNTS No
UBPRL991 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED COMMON AND COLLECTIVE FUNDS IN FIDUCIARY ACCOUNTS No
UBPRL992 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED OTHER SHORT-TERM OBLIGATIONS IN FIDUCIARY ACCOUNTS No
UBPRL993 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED OTHER NOTES AND BONDS IN FIDUCIARY ACCOUNTS No
UBPRL994 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED UNREGISTERED FUNDS AND PRIVATE EQUITY IN FIDUCIARY ACCOUNTS No
UBPRL995 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED OTHER COMMON AND PREFERRED STOCKS IN FIDUCIARY ACCOUNTS No
UBPRL996 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED REAL ESTATE MORTGAGES IN FIDUCIARY ACCOUNTS No
UBPRL997 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED REAL ESTATE IN FIDUCIARY ACCOUNTS No
UBPRL998 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED MISCELLANEOUS ASSETS IN FIDUCIARY ACCOUNTS No
UBPRL999 2009-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED ASSETS IN FIDUCIARY ACCOUNTS No
UBPRM001 2009-12-31 9999-12-31 MEMO: ANNUAL PERCENT CHANGE IN AMOUNT OF MANAGED ASSETS IN FIDUCIARY ACCOUNTS IN SPONSORED MUTUAL FUNDS No
UBPRM002 2009-12-31 9999-12-31 MEMORANDUM: ACCOUNTS IN FOREIGN OFFICES TO TOTAL FIDUCIARY ASSETS No
UBPRM003 2009-12-31 9999-12-31 MEMORANDUM: ACCOUNTS IN FOREIGN OFFICES TO TOTAL FIDUCIARY ACCOUNTS No
UBPRM004 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF INDIVIDIVIDUAL, PARTNERSHIPS, AND CORPORATIONS/PERCENT OF TOTAL DEPOSITS No
UBPRM005 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF U.S. GOVERNMENT, STATES AND POLITICAL SUBDIVISIONS IN US/PERCENT OF TOTAL DEPOSITS No
UBPRM006 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF COMMERCIAL BANKS AND OTHER DEPOSITORY INSTITUTIONS IN US/PERCENT OF TOTAL DEPOSITS No
UBPRM007 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF BANKS IN FOREIGN COUNTRIES/ PERCENT OF TOTAL DEPOSITS No
UBPRM008 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF FOREIGN GOVERNMENTS AND OFFICIAL INSTITUTIONS / PERCENT OF TOTAL DEPOSITS No
UBPRM009 2001-03-31 9999-12-31 DOMESTIC DEMAND DEPOSITS / PERCENT OF TOTAL DEPOSITS No
UBPRM010 2001-03-31 9999-12-31 DOMESTIC OTHER TRANSACTION ACCOUNTS / PERCENT OF TOTAL DEPOSITS No
UBPRM011 2001-03-31 9999-12-31 DOMESTIC NON TRANSACTION ACCOUNT / PERCENT OF TOTAL DEPOSITS No
UBPRM012 2001-03-31 9999-12-31 TOTAL DOMESTIC DEPOSITS / PERCENT OF TOTAL DEPOSITS No
UBPRM013 2001-03-31 9999-12-31 DEPOSITS IN FOREIGN OFFICES / PERCENT OF TOTAL DEPOSITS No
UBPRM014 2001-03-31 9999-12-31 DEPOSITS OBTAINED THROUGH USE OF DEPOSIT LISTING SERVICES / PERCENT OF TOTAL DEPOSITS No
UBPRM015 2001-03-31 9999-12-31 DEPOSITS OBTAINED THROUGH USE OF DEPOSIT LISTING SERVICES AND BROKERED DEPOSITS / PERCENT OF TOTAL DEPOSITS No
UBPRM016 2001-03-31 9999-12-31 SECURED BORROWINGS SECURED FEDERAL FUND PURCHASED / PERCENT OF TOTAL BORROWINGS FEDERAL FUNDS PURCHASED No
UBPRM017 2001-03-31 9999-12-31 RECIPROCAL BROKERED DEPOSITS / PERCENT OF TOTAL BROKERED DEPOSITS No
UBPRM018 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF INDIVIDUAL, PARTNERSHIPS, AND CORPORATIONS No
UBPRM019 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF US GOVERNMENT, STATES AND POLITICAL SUBDIVISIONS IN US No
UBPRM020 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF COMMERCIAL BANKS AND OTHER DEPOSITORY INSTITUTIONS IN US No
UBPRM021 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF BANKS IN FOREIGN COUNTRIES No
UBPRM022 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF FOREIGN GOVERNMENTS AND OFFICIAL INSTITUTIONS No
UBPRM023 2011-03-31 9999-12-31 TIME DEPOSITS $250M AND UNDER MATURING LT 1 YEAR No
UBPRM024 2011-03-31 9999-12-31 TIME DEPOSITS $250M AND UNDER MATURING GT 1 YEAR No
UBPRM025 2011-03-31 9999-12-31 TIME DEPOSITS OVER $250M MATURING GT 1 YEAR No
UBPRM026 2009-06-30 9999-12-31 PLEDGED ASSETS / PERCENT OF TOTAL ASSETS No
UBPRM027 2001-03-31 9999-12-31 US TREASURIES AND GOVERNMENT AGENCIES / PERCENT OF TOTAL SECURITIES No
UBPRM028 2001-03-31 9999-12-31 MUNICIPAL SECURITIES / PERCENT OF TOTAL SECURITIES No
UBPRM029 2001-03-31 9999-12-31 PASS-THROUGH MORTGAGE BACKED SECURITIES / PERCENT OF TOTAL SECURITIES No
UBPRM030 2001-03-31 9999-12-31 CMO AND REMIC MORTGAGE BACKED SECURITIES / PERCENT OF TOTAL SECURITIES No
UBPRM031 2009-06-30 9999-12-31 COMMERCIAL MORTGAGE BACKED SECURITIES / PERCENT OF TOTAL SECURITIES No
UBPRM032 2001-03-31 9999-12-31 ASSET BACKED SECURITIES / PERCENT OF TOTAL SECURITIES No
UBPRM033 2009-06-30 9999-12-31 STRUCTURED FINANCE PRODUCTS / PERCENT OF TOTAL SECURITIES No
UBPRM034 2001-03-31 9999-12-31 OTHER DOMESTIC DEBT SECURITIES / PERCENT OF TOTAL SECURITIES No
UBPRM035 2001-03-31 9999-12-31 FOREIGN DEBT SECURITIES / PERCENT OF TOTAL SECURITIES No
UBPRM036 2001-03-31 9999-12-31 INVESTMENTS IN MUTUAL FUNDS AND OTHER MARKETABLE SECURITIES / PERCENT OF TOTAL SECURITIES No
UBPRM037 2001-03-31 9999-12-31 APPRECIATION IN AVAILABLE FOR SALE SECURITIES / PERCENT OF AVAILABLE FOR SALE SECURITIES No
UBPRM038 2009-06-30 9999-12-31 PLEDGED LOANS / PERCENT OF TOTAL LOANS No
UBPRM039 2001-03-31 9999-12-31 LOANS HELD FOR SALE / PERCENT OF TOTAL LOANS No
UBPRM040 2001-03-31 9999-12-31 TOTAL OF ALL DEPOSIT CATEGORIES AS A PERCENTAGE OF TOTAL DEPOSITS No
UBPRM041 2001-03-31 9999-12-31 TOTAL DEPOSITS AS A PERCENTAGE OF TOTAL DEPOSITS No
UBPRM042 2001-03-31 9999-12-31 TOTAL OF ALL SECURITIES CATEGORIES AS A PERCENTAGE OF TOTAL SECURITIES No
UBPRM278 2001-03-31 9999-12-31 SAVINGS PROGRAM HELPER 1 No
UBPRM962 2001-03-31 9999-12-31 LINE ITEM LEVEL DATA CONFIDENTIALITY INDICATOR Yes
UBPRNC98 2001-03-31 9999-12-31 Non-Current Loans and leases and all other real estate owned divided by Tier 1 Capital plus ALLL No
UBPRNL31 2008-09-30 9999-12-31 NOO CRE 6Q BACK No
UBPRNL32 2010-03-31 9999-12-31 NOO CRE 12Q BACK No
UBPRNL33 2010-03-31 9999-12-31 3 YEAR NOO CRE GROWTH RATIO No
UBPRP742 2014-03-31 9999-12-31 COMMON EQUITY TIER 1 CAPITAL: COMMON STOCK PLUS RELATED SURPLUS, NET OF TREASURY STOCK AND UNEARNED EMPLOYEE STOCK OWNERSHIP PLAN (ESOP) SHARES No
UBPRP839 2014-03-31 9999-12-31 COMMON EQUITY TIER 1 MINORITY INTEREST INCLUDABLE IN COMMON EQUITY TIER 1 CAPITAL No
UBPRP840 2014-03-31 9999-12-31 COMMON EQUITY TIER 1 CAPITAL BEFORE ADJUSTMENTS AND DEDUCTIONS No
UBPRP841 2014-03-31 9999-12-31 GOODWILL NET OF ASSOCIATED DEFERRED TAX LIABILITIES (DTLS) No
UBPRP842 2014-03-31 9999-12-31 INTANGIBLE ASSETS (OTHER THAN GOODWILL AND MORTGAGE SERVICING ASSETS (MSAS)), NET OF ASSOCIATED DTLS No
UBPRP843 2014-03-31 9999-12-31 DEFERRED TAX ASSETS (DTAS) THAT ARISE FROM NET OPERATING LOSS AND TAX CREDIT CARRYFORWARDS, NET OF ANY RELATED VALUATION ALLOWANCES AND NET OF DTLS No
UBPRP849 2014-03-31 9999-12-31 ACCUMULATED NET GAIN (LOSS) ON CASH FLOW HEDGES INCLUDED IN AOCI, NET OF APPLICABLE TAX EFFECTS, THAT RELATE TO THE HEDGING OF ITEMS THAT ARE NOT RECOGNIZED AT FAIR VALUE ON THE BALANCE SHEET No
UBPRP851 2014-03-31 9999-12-31 NON-SIGNIFICANT INVESTMENTS IN THE CAPITAL OF UNCONSOLIDATED FINANCIAL INSTITUTIONS IN THE FORM OF COMMON STOCK THAT EXCEED THE 10 PERCENT THRESHOLD FOR NON-SIGNIFICANT INVESTMENTS No
UBPRP852 2014-03-31 9999-12-31 SUBTOTAL OF COMMON EQUITY TIER 1 CAPITAL: ADJUSTMENTS AND DEDUCTIONS No
UBPRP854 2014-03-31 9999-12-31 MSAS, NET OF ASSOCIATED DTLS, THAT EXCEED THE 10 PERCENT COMMON EQUITY TIER 1 CAPITAL DEDUCTION THRESHOLD No
UBPRP856 2014-03-31 9999-12-31 AMOUNT OF SIGNIFICANT INVESTMENTS IN THE CAPITAL OF UNCONSOLIDATED FINANCIAL INSTITUTIONS IN THE FORM OF COMMON STOCK; MSAS, NET OF ASSOCIATED DTLS; AND DTAS ARISING FROM TEMPORARY DIFFERENCES THAT COULD NOT BE REALIZED THROUGH NET OPERATING LOSS CARRYBACKS, NET OF RELATED VALUATION ALLOWANCES AND NET OF DTLS; THAT EXCEEDS THE 15 PERCENT COMMON EQUITY TIER 1 CAPITAL DEDUCTION THRESHOLD No
UBPRP857 2014-03-31 9999-12-31 DEDUCTIONS APPLIED TO COMMON EQUITY TIER 1 CAPITAL DUE TO INSUFFICIENT AMOUNTS OF ADDITIONAL TIER 1 CAPITAL AND TIER 2 CAPITAL TO COVER DEDUCTIONS No
UBPRP858 2014-03-31 9999-12-31 TOTAL ADJUSTMENTS AND DEDUCTIONS FOR COMMON EQUITY TIER 1 CAPITAL No
UBPRP859 2014-03-31 9999-12-31 COMMON EQUITY TIER 1 CAPITAL No
UBPRP860 2014-03-31 9999-12-31 ADDITIONAL TIER 1 CAPITAL INSTRUMENTS PLUS RELATED SURPLUS No
UBPRP861 2014-03-31 9999-12-31 NON-QUALIFYING CAPITAL INSTRUMENTS SUBJECT TO PHASE OUT FROM ADDITIONAL TIER 1 CAPITAL No
UBPRP862 2014-03-31 9999-12-31 TIER 1 MINORITY INTEREST NOT INCLUDED IN COMMON EQUITY TIER 1 CAPITAL No
UBPRP863 2014-03-31 9999-12-31 ADDITIONAL TIER 1 CAPITAL BEFORE DEDUCTIONS No
UBPRP864 2014-03-31 9999-12-31 ADDITIONAL TIER 1 CAPITAL DEDUCTIONS No
UBPRP865 2014-03-31 9999-12-31 ADDITIONAL TIER 1 CAPITAL No
UBPRP866 2014-03-31 9999-12-31 TIER 2 CAPITAL INSTRUMENTS PLUS RELATED SURPLUS No
UBPRP867 2014-03-31 9999-12-31 NON-QUALIFYING CAPITAL INSTRUMENTS SUBJECT TO PHASE OUT FROM TIER 2 CAPITAL No
UBPRP868 2014-03-31 9999-12-31 TOTAL CAPITAL MINORITY INTEREST THAT IS NOT INCLUDED IN TIER 1 CAPITAL No
UBPRP870 2014-03-31 9999-12-31 TIER 2 CAPITAL BEFORE DEDUCTIONS No
UBPRP872 2014-03-31 9999-12-31 TIER 2 CAPITAL DEDUCTIONS No
UBPRP875 2014-03-31 9999-12-31 LESS: DEDUCTIONS FROM COMMON EQUITY TIER 1 CAPITAL AND ADDITIONAL TIER 1 CAPITAL (SUM OF ITEMS 6, 7, 8, 10.B, 11, 13 THROUGH 17 AND CERTAIN ELEMENTS OF ITEM 24 - SEE INSTRUCTIONS) No
UBPRPG62 2001-03-31 9999-12-31 INT TIME DEP OVER INS LIMIT YTD $ No
UBPRPG63 2001-03-31 9999-12-31 INT TIME DEP OVER INS LIMIT 1 YR Growth No
UBPRPG64 2001-03-31 9999-12-31 PRE PROVISION NET REVENUE YTD $ No
UBPRPG65 2001-03-31 9999-12-31 PRE PROVISION NET REVENUE ANN GR No
UBPRPG66 2001-03-31 9999-12-31 PRE PROVISION NET REVENUE QTR $ No
UBPRPG67 2001-03-31 9999-12-31 INT TIME DEP OVER INS LIMIT YTD % No
UBPRPG68 2001-03-31 9999-12-31 INT TIME DEP OVER INS LIMIT QTR % No
UBPRPG69 2001-03-31 9999-12-31 PRE PROVISION NET REVENUE YTD % OF AA No
UBPRPG70 2001-03-31 9999-12-31 PRE PROVISION NET REVENUE QTR % OF AA No
UBPRPM04 2001-03-31 9999-12-31 QTR Int and Fees on Loans No
UBPRPM05 2001-03-31 9999-12-31 QTR Income From Lease Financing No
UBPRPM06 2001-03-31 9999-12-31 QTR Tax-Exempt Income from Leasing No
UBPRPM07 2001-03-31 9999-12-31 QTR Est Tax Ben fr Tax-Exmpt Ln Inc No
UBPRPM08 2001-03-31 9999-12-31 QTR Income on Loans and Leases (TE) No
UBPRPM09 2001-03-31 9999-12-31 QTR US Treas & Agency (Excl MBS) Inc No
UBPRPM10 2001-03-31 9999-12-31 QTR Mortgage Backed Sec Inc No
UBPRPM11 2001-03-31 9999-12-31 QTR Est Tax Ben fr Tax-Exmpt Sec Inc No
UBPRPM12 2001-03-31 9999-12-31 All Other Securities QTR Income No
UBPRPM13 2001-03-31 9999-12-31 QTR Tax-Exempt Securities Income No
UBPRPM14 2001-03-31 9999-12-31 QTR Investment Int Income (TE) No
UBPRPM15 2001-03-31 9999-12-31 QTR Int on Due From Banks No
UBPRPM16 2001-03-31 9999-12-31 QTR Int on Fed Funds Sold & Resales No
UBPRPM17 2001-03-31 9999-12-31 QTR Trading Account Income No
UBPRPM18 2001-03-31 9999-12-31 QTR Other Int Income No
UBPRPM19 2001-03-31 9999-12-31 Quarter Total Int Income (TE) No
UBPRPM20 2001-03-31 9999-12-31 QTR Int on Deposits in Foreign Off No
UBPRPM21 2017-03-31 9999-12-31 QTR Int on Domestic Deposits No
UBPRPM22 2001-03-31 9999-12-31 QTR Int on Fed Funds Purch & Repos No
UBPRPM23 2001-03-31 9999-12-31 QTR Int on Trad Liab & Oth Borr No
UBPRPM24 2001-03-31 9999-12-31 QTR Int on Sub Notes & Debentures No
UBPRPM25 2017-03-31 9999-12-31 QTR Other Int Expense No
UBPRPM26 2001-03-31 9999-12-31 QTR Total Int Expense No
UBPRPM27 2001-03-31 9999-12-31 QTR Net Int Income (TE) No
UBPRPM28 2001-03-31 9999-12-31 QTR Non-Int Income No
UBPRPM29 2001-03-31 9999-12-31 QTR Adj Oper Income (TE) No
UBPRPM30 2001-03-31 9999-12-31 QTR Non-Int Expense No
UBPRPM31 2001-03-31 9999-12-31 QTR Pre-Provision Net Revenue (TE) No
UBPRPM32 2001-03-31 9999-12-31 QTR Provision: Loan & Lease Losses No
UBPRPM33 2019-03-31 9999-12-31 QTR Provision: Cred Loss Oth Assets No
UBPRPM34 2001-03-31 9999-12-31 QTR Pretax Operating Income (TE) No
UBPRPM35 2001-03-31 9999-12-31 QTR Realized G/L Hld-to-Mat Sec No
UBPRPM36 2001-03-31 9999-12-31 QTR Realized G/L Avail-for Sale Sec No
UBPRPM37 2018-03-31 9999-12-31 QTR Unrealized G/L Equity Securities No
UBPRPM38 2001-03-31 9999-12-31 QTR Pretax Net Operating Inc (TE) No
UBPRPM39 2001-03-31 9999-12-31 Applicable Income Taxes for Quarter No
UBPRPM40 2001-03-31 9999-12-31 QTR Current Tax Equiv Adjustment No
UBPRPM41 2001-03-31 9999-12-31 Other Tax Equiv Adj for QTR No
UBPRPM42 2001-03-31 9999-12-31 QTR Applicable Income Taxes (TE) No
UBPRPM43 2001-03-31 9999-12-31 QTR Net Operating Income No
UBPRPM44 2001-03-31 9999-12-31 QTR Discontinued/Net Extraordinary Items No
UBPRPM45 2001-03-31 9999-12-31 QTR Net Inc Attr to NonCont Minority Ints No
UBPRPM46 2001-03-31 9999-12-31 QTR Net Income No
UBPRPM47 2001-03-31 9999-12-31 QTR Cash Dividends Declared No
UBPRPM48 2001-03-31 9999-12-31 QTR Retained Earnings No
UBPRPM49 2001-03-31 9999-12-31 Memo: QTR Net International Inc No
UBPRPM50 2001-03-31 9999-12-31 Memo: QTR Int on Time Dep Ov Ins Lmt No
UBPRPM51 2001-03-31 9999-12-31 Int and Fees on Loans QTR Gr % No
UBPRPM52 2001-03-31 9999-12-31 Inc from Lease Fin QTR Gr % No
UBPRPM53 2001-03-31 9999-12-31 Tax-Exempt Inc on LNS&LS QTR Gr % No
UBPRPM54 2001-03-31 9999-12-31 Est Tax Ben Tax-Ex LN Inc QTR Gr % No
UBPRPM55 2001-03-31 9999-12-31 Inc on LNS & Leases (TE) QTR Gr % No
UBPRPM56 2001-03-31 9999-12-31 US Trs & Ag (Excl MBS) Inc QTR Gr % No
UBPRPM57 2001-03-31 9999-12-31 MBS Inc QTR Gr % No
UBPRPM58 2001-03-31 9999-12-31 EstTax Ben Tax-Ex Sec Inc QTR Gr % No
UBPRPM59 2001-03-31 9999-12-31 All Other Securities Inc QTR Gr % No
UBPRPM60 2001-03-31 9999-12-31 Tax-Exempt Securities Inc QTR Gr % No
UBPRPM61 2001-03-31 9999-12-31 Investment Int Inc (TE) QTR Gr % No
UBPRPM62 2001-03-31 9999-12-31 Int on Due From Banks QTR Gr % No
UBPRPM63 2001-03-31 9999-12-31 Int on Fed Funds Sold/Resa QTR Gr % No
UBPRPM64 2001-03-31 9999-12-31 Trading Account Inc QTR Gr % No
UBPRPM65 2001-03-31 9999-12-31 Other Int Inc QTR Gr % No
UBPRPM66 2001-03-31 9999-12-31 Total Int Inc (TE) QTR Gr % No
UBPRPM67 2001-03-31 9999-12-31 Int on Dep in Foreign Off QTR Gr % No
UBPRPM68 2017-03-31 9999-12-31 Int on Domestic Deposits QTR Gr % No
UBPRPM69 2001-03-31 9999-12-31 Fed Funds Purch & Repo Int QTR Gr % No
UBPRPM70 2001-03-31 9999-12-31 Trad Liabs & Oth Borr Int QTR Gr % No
UBPRPM71 2001-03-31 9999-12-31 Int on Sub Notes and Deb QTR Gr % No
UBPRPM72 2017-03-31 9999-12-31 Other Int Expense QTR Gr % No
UBPRPM73 2001-03-31 9999-12-31 Total Int Expense QTR Gr % No
UBPRPM74 2001-03-31 9999-12-31 Net Int Inc (TE) QTR Gr % No
UBPRPM75 2001-03-31 9999-12-31 Non-Int Inc QTR Gr % No
UBPRPM76 2001-03-31 9999-12-31 ADJ_OPER_INC_TE_Gr % No
UBPRPM77 2001-03-31 9999-12-31 Non-Int Expense QTR Gr % No
UBPRPM78 2001-03-31 9999-12-31 Pre Provision Net Revenue QTR Gr % No
UBPRPM79 2001-03-31 9999-12-31 Prov for LN&LS Losses QTR Gr % No
UBPRPM80 2019-03-31 9999-12-31 Prov Cred Loss Oth Assets QTR Gr % No
UBPRPM81 2001-03-31 9999-12-31 Pretax Operating Inc (TE) QTR Gr % No
UBPRPM82 2001-03-31 9999-12-31 Rlzd Gain (Loss) AFS Sec QTR Gr % No
UBPRPM83 2001-03-31 9999-12-31 Rlzd Gain (Loss) HTM Sec QTR Gr % No
UBPRPM84 2018-03-31 9999-12-31 Unr Gain (Loss) on Equ Sec QTR Gr % No
UBPRPM85 2001-03-31 9999-12-31 Pretax Net Oper Inc (TE) QTR Gr % No
UBPRPM86 2001-03-31 9999-12-31 Applicable Inc Taxes QTR Gr % No
UBPRPM87 2001-03-31 9999-12-31 Current Tax Equiv Adj QTR Gr % No
UBPRPM88 2001-03-31 9999-12-31 Other Tax-Equiv Adj QTR Gr % No
UBPRPM89 2001-03-31 9999-12-31 Applicable Inc Taxes (TE) QTR Gr % No
UBPRPM90 2001-03-31 9999-12-31 Net Operating Inc QTR Gr % No
UBPRPM91 2001-03-31 9999-12-31 Net Discontinued/Extraordinary Items QTR Gr % No
UBPRPM92 2001-03-31 9999-12-31 Net Inc Attr to NonCont Min Ints QTR Gr % No
UBPRPM93 2001-03-31 9999-12-31 Net Income QTR Gr % No
UBPRPM94 2001-03-31 9999-12-31 Cash Dividends Declared QTR Gr % No
UBPRPM95 2001-03-31 9999-12-31 Retained Earnings QTR Gr % No
UBPRPM96 2001-03-31 9999-12-31 Memo: Net Intern Inc QTR Gr % No
UBPRPM97 2001-03-31 9999-12-31 Int on Time Dep Ov Ins Lim QTR Gr % No
UBPRPM98 2001-03-31 9999-12-31 Avg Total Loan & Leases As % of Avg Assets No
UBPRPM99 2001-03-31 9999-12-31 Avg Loans in Domestic Offices As % of Avg Assets No
UBPRPN00 2001-03-31 9999-12-31 Avg Real Estate As % of Avg Assets No
UBPRPN01 2008-03-31 9999-12-31 Avg Secured by 1-4 Fam Resi Prop As % of Avg Assets No
UBPRPN02 2008-03-31 9999-12-31 Avg All Other Loans Sec Real Estate As % of Avg Assets No
UBPRPN03 2001-03-31 9999-12-31 Avg Commercial & Industrial As % of Avg Assets No
UBPRPN04 2001-03-31 9999-12-31 Avg Individual As % of Avg Assets No
UBPRPN05 2001-03-31 9999-12-31 Avg Credit Card As % of Avg Assets No
UBPRPN06 2001-03-31 9999-12-31 Avg Agricultural As % of Avg Assets No
UBPRPN07 2001-03-31 9999-12-31 Avg Loans in Foreign Offices As % of Avg Assets No
UBPRPN08 2001-03-31 9999-12-31 Avg Total Investment Securities As % of Avg Assets No
UBPRPN09 2001-03-31 9999-12-31 Avg US Treas & Agency (Excl MBS) As % of Avg Assets No
UBPRPN10 2001-03-31 9999-12-31 Avg Mortgage Backed Securities As % of Avg Assets No
UBPRPN11 2001-03-31 9999-12-31 Avg All Other Securities As % of Avg Assets No
UBPRPN12 2001-03-31 9999-12-31 Avg Interest-Bearing Bank Balances As % of Avg Assets No
UBPRPN13 2001-03-31 9999-12-31 Avg Federal Funds Sold & Resales As % of Avg Assets No
UBPRPN14 2001-03-31 9999-12-31 Avg Total Interest Bearing Deposits As % of Avg Assets No
UBPRPN15 2001-03-31 9999-12-31 Avg Transaction accounts As % of Avg Assets No
UBPRPN16 2001-03-31 9999-12-31 Avg Other Savings Deposits As % of Avg Assets No
UBPRPN17 2017-03-31 9999-12-31 Avg Time Deposits As % of Avg Assets No
UBPRPN18 2001-03-31 9999-12-31 Avg Foreign Office Deposits As % of Avg Assets No
UBPRPN19 2001-03-31 9999-12-31 Avg Federal Funds Purchased & Repos As % of Avg Assets No
UBPRPN20 2001-03-31 9999-12-31 Avg Other Borrowed Money As % of Avg Assets No
UBPRPN21 2001-03-31 9999-12-31 Avg Subord Notes & Debentures As % of Avg Assets No
UBPRPN22 2017-03-31 9999-12-31 Avg Other Interest Bearing Funds As % of Avg Assets No
UBPRPN23 2001-03-31 9999-12-31 Avg All Interest-Bearing Funds As % of Avg Assets No
UBPRPN24 2001-03-31 9999-12-31 Avg Time Dep Over Ins Limit As % of Avg Assets No
UBPRPN25 2001-03-31 9999-12-31 Fiduciary Activities Non-Int Inc As % of Avg Assets No
UBPRPN26 2001-03-31 9999-12-31 Deposit Service Charges Non-Int Inc As % of Avg Assets No
UBPRPN27 2003-03-31 9999-12-31 Trading, Vent Cap, Securtz Inc Non-Int Inc As % of Avg Assets No
UBPRPN28 2001-03-31 9999-12-31 Inv Banking, Advisory Inc Non-Int Inc As % of Avg Assets No
UBPRPN29 2001-03-31 9999-12-31 Insurance Comm & Fees Non-Int Inc As % of Avg Assets No
UBPRPN30 2003-03-31 9999-12-31 Net Servicing Fees Non-Int Inc As % of Avg Assets No
UBPRPN31 2001-03-31 9999-12-31 Loan & Lse Net Gains/Loss Non-Int Inc As % of Avg Assets No
UBPRPN32 2001-03-31 9999-12-31 Other Net Gains/Losses As % of Avg Assets No
UBPRPN33 2003-03-31 9999-12-31 Other Non-interest Income Non-Int Inc As % of Avg Assets No
UBPRPN34 2001-03-31 9999-12-31 Non-interest Income Non-Int Inc As % of Avg Assets No
UBPRPR65 2001-03-31 9999-12-31 Non-Interest Bearing Deposits No
UBPRPR66 2006-06-30 9999-12-31 Deposit Accounts > $250M No
UBPRPR67 2019-03-31 9999-12-31 ALLOWANCE FOR AFS/HTM SEC No
UBPRPR68 2019-03-31 9999-12-31 ALLOWANCE FOR OTH FIN ASSETS No
UBPRPR69 2001-03-31 9999-12-31 ALLOWANCE FOR OFF BAL SHEET EXP No
UBPRPR70 2001-03-31 9999-12-31 TOTAL ACL No
UBPRPR71 2019-03-31 9999-12-31 ALLOWANCE FOR PURCH CREDIT-DETERIORATED No
UBPRPR72 2001-03-31 9999-12-31 ALLOCATED TRANSFER RISK RESERVE No
UBPRPR73 2001-03-31 9999-12-31 TOTAL ADJUSTED ACL No
UBPRPR74 2001-03-31 9999-12-31 RE CONSTRUCTION & DEVELOPMENT QTR % Growth No
UBPRPR75 2001-03-31 9999-12-31 RE FARMLAND QTR % Growth No
UBPRPR76 2001-03-31 9999-12-31 RE 1-4 FAMILY RESIDENTIAL QTR % Growth No
UBPRPR77 2001-03-31 9999-12-31 RE MULTIFAMILY QTR % Growth No
UBPRPR78 2001-03-31 9999-12-31 RE NON-FARM NON-RESIDENTIAL QTR % Growth No
UBPRPR79 2001-03-31 9999-12-31 RE LOANS IN FOREIGN OFFICES QTR % Growth No
UBPRPR80 2002-03-31 9999-12-31 Federal Funds Sold QTR % Growth No
UBPRPR81 2002-03-31 9999-12-31 Securities Purchased Under Agreements to Resell QTR % Growth No
UBPRPR82 2002-03-31 9999-12-31 Federal Funds Purchased QTR % Growth No
UBPRPR83 2002-03-31 9999-12-31 Securities Sold Under Agreements to Repurchase QTR % Growth No
UBPRPR84 2001-03-31 9999-12-31 Non-Interest Bearing Deposits QTR % Growth No
UBPRPR85 2001-03-31 9999-12-31 EST OF UNINSURED DEPOSITS QTR % Growth No
UBPRPR86 2006-06-30 9999-12-31 DEPOSIT ACCOUNTS > $250M QTR % Growth No
UBPRPR87 2009-06-30 9999-12-31 BROKERED RECIPROCAL DEPOSITS QTR % Growth No
UBPRPR88 2011-03-31 9999-12-31 LISTING SERVICE DEPOSITS QTR % Growth No
UBPRPR89 2001-03-31 9999-12-31 ALLOWANCE FOR LN&LS HFI QTR % Growth No
UBPRPR90 2019-03-31 9999-12-31 ALLOWANCE FOR AFS/HTM SEC QTR % Growth No
UBPRPR91 2019-03-31 9999-12-31 ALLOWANCE FOR OTH FIN ASSETS QTR % Growth No
UBPRPR92 2001-03-31 9999-12-31 ALLOWANCE FOR OFF BAL SHEET EXP QTR % Growth No
UBPRPR93 2001-03-31 9999-12-31 TOTAL ACL QTR % Growth No
UBPRPR94 2019-03-31 9999-12-31 ALLOWANCE FOR PURCH CREDIT-DETERIORATED QTR % Growth No
UBPRPR95 2001-03-31 9999-12-31 ALLOWANCE FOR AFS SEC QTR % Growth No
UBPRPR96 2001-03-31 9999-12-31 ALLOCATED TRANSFER RISK RESERVE QTR % Growth No
UBPRPR97 2001-03-31 9999-12-31 TOTAL ADJUSTED ACL QTR % Growth No
UBPRPR98 2001-03-31 9999-12-31 RE CONSTRUCTION & DEVELOPMENT ANNUAL % Growth No
UBPRPR99 2001-03-31 9999-12-31 RE FARMLAND ANNUAL % Growth No
UBPRPS00 2001-03-31 9999-12-31 RE 1-4 FAMILY RESIDENTIAL ANNUAL % Growth No
UBPRPS01 2001-03-31 9999-12-31 RE MULTIFAMILY ANNUAL % Growth No
UBPRPS02 2001-03-31 9999-12-31 RE NON-FARM NON-RESIDENTIAL ANNUAL % Growth No
UBPRPS03 2001-03-31 9999-12-31 RE LOANS IN FOREIGN OFFICES ANNUAL % Growth No
UBPRPS04 2002-03-31 9999-12-31 Federal Funds Sold ANNUAL % Growth No
UBPRPS05 2002-03-31 9999-12-31 Securities Purchased Under Agreements to Resell ANNUAL % Growth No
UBPRPS06 2002-03-31 9999-12-31 Federal Funds Purchased ANNUAL % Growth No
UBPRPS07 2002-03-31 9999-12-31 Securities Sold Under Agreements to Repurchase ANNUAL % Growth No
UBPRPS08 2001-03-31 9999-12-31 Non-Interest Bearing Deposits ANNUAL % Growth No
UBPRPS09 2001-03-31 9999-12-31 EST OF UNINSURED DEPOSITS ANNUAL % Growth No
UBPRPS10 2006-06-30 9999-12-31 DEPOSIT ACCOUNTS > $250M ANNUAL % Growth No
UBPRPS11 2009-06-30 9999-12-31 BROKERED RECIPROCAL DEPOSITS ANNUAL % Growth No
UBPRPS12 2011-03-31 9999-12-31 LISTING SERVICE DEPOSITS ANNUAL % Growth No
UBPRPS13 2001-03-31 9999-12-31 ALLOWANCE FOR LN&LS HFI ANNUAL % Growth No
UBPRPS14 2019-03-31 9999-12-31 ALLOWANCE FOR AFS/HTM SEC ANNUAL % Growth No
UBPRPS15 2019-03-31 9999-12-31 ALLOWANCE FOR OTH FIN ASSETS ANNUAL % Growth No
UBPRPS16 2001-03-31 9999-12-31 ALLOWANCE FOR OFF BAL SHEET EXP ANNUAL % Growth No
UBPRPS17 2001-03-31 9999-12-31 TOTAL ACL ANNUAL % Growth No
UBPRPS18 2019-03-31 9999-12-31 ALLOWANCE FOR PURCH CREDIT-DETERIORATED ANNUAL % Growth No
UBPRPS19 2001-03-31 9999-12-31 ALLOWANCE FOR AFS SEC ANNUAL % Growth No
UBPRPS20 2001-03-31 9999-12-31 ALLOCATED TRANSFER RISK RESERVE ANNUAL % Growth No
UBPRPS21 2001-03-31 9999-12-31 TOTAL ADJUSTED ACL ANNUAL % Growth No
UBPRPU68 2023-01-01 9999-12-31 Modified LN&LS 90+ Days PD No
UBPRPU69 2023-01-01 9999-12-31 Modified and Other LN&LS 90 + Days PD No
UBPRPU70 2023-01-01 9999-12-31 Modified LN&LS Nonaccrual No
UBPRPU71 2023-01-01 9999-12-31 Modified LN&LS 30-89 Days PD No
UBPRPU72 2023-01-01 9999-12-31 Current 1-4 Family Modified LN&LS No
UBPRPU73 2023-01-01 9999-12-31 Current Other Modified LN&LS No
UBPRPU74 2023-01-01 9999-12-31 Current Total Modified LN&LS No
UBPRPU75 2023-01-01 9999-12-31 Troubled Assets - new def using loan mods No
UBPRPU76 2023-01-01 9999-12-31 Modified+Nonac+RE Acq to Eqcap+ALL No
UBPRPU77 2023-01-01 9999-12-31 Non-Curr Modified LN&LS No
UBPRPU78 2023-01-01 9999-12-31 Non-Curr Modified Debt/Gr LN&LS No
UBPRPU79 2023-01-01 9999-12-31 Curr+Non-Curr Modified LNS&LS No
UBPRPU80 2023-01-01 9999-12-31 Curr+Non-Curr Modified/GR LN&LS No
UBPRPU81 2023-01-01 9999-12-31 Current Modified LN&LS /Tot LN&LS No
UBPRPU82 2023-01-01 9999-12-31 Net Securities No
UBPRPU83 2023-01-01 9999-12-31 Net Securities QTR % Growth No
UBPRPU84 2023-01-01 9999-12-31 Net Securities ANNUAL % Growth No
UBPRPV28 2001-01-01 9999-12-31 Current 1-4 Family Restruct LN&LS No
UBPRQ257 2014-03-31 9999-12-31 UNREALIZED GAINS ON AVAILABLE-FOR-SALE PREFERRED STOCK CLASSIFIED AS AN EQUITY SECURITY UNDER GAAP AND AVAILABLE-FOR-SALE EQUITY EXPOSURES INCLUDABLE IN TIER 2 CAPITAL No
UBPRR029 2014-03-31 9999-12-31 COMMON EQUITY TIER 1 CAPITAL RATIO USING ADVANCED APPROACH (COLUMN A) No
UBPRR030 2014-03-31 9999-12-31 COMMON EQUITY TIER 1 CAPITAL RATIO ADVANCED APPROACHES INSTITUTION THAT EXIT PARALLEL RUN ONLY (COLUMN B) No
UBPRR031 2014-03-31 9999-12-31 TIER 1 CAPITAL RATIO USING ADVANCED APPROACH (COLUMN A) No
UBPRR032 2014-03-31 9999-12-31 TIER 1 CAPITAL RATIO (COLUMN B) ADVANCED APPROACHES INSTITUTIONS THAT EXIT PARALLEL RUN ONLY No
UBPRR033 2014-03-31 9999-12-31 TOTAL CAPITAL RATIO USING ADVANCE APPROACH (COLUMN A) No
UBPRR034 2014-03-31 9999-12-31 TOTAL CAPITAL RATIO (COLUMN B) ADVANCED APPROACHES INSTITUTIONS THAT EXIT PARALLEL RUN ONLY No
UBPRR035 2014-03-31 9999-12-31 TIER 1 LEVERAGE CAPITAL RATIO USING ADVANCE APPROACH No
UBPRS310 2014-03-31 9999-12-31 SPECIFIC RISK ADD-ONS: FOR ADVANCED APPROACHES INSTITUTIONS, SUM OF ITEMS 11 AND 12 No
UBPRS497 2015-03-31 9999-12-31 OFF-BALANCE SHEET SECURITIZATION EXPOSURES - 1250 PCT RISK WEIGHT EXPOSURE, BY CALCULATION METHOD No
UBPRS498 2015-03-31 9999-12-31 OFF-BALANCE SHEET SECURITIZATION EXPOSURES - SSFA RISK WEIGHT EXPOSURE, BY CALCULATION METHOD No
UBPRS499 2015-03-31 9999-12-31 OFF-BALANCE SHEET SECURITIZATION EXPOSURES - GROSS-UP RISK WEIGHT EXPOSURE, BY CALCULATION METHOD No
UBPRS503 2015-03-31 9999-12-31 TOTAL BALANCE SHEET ASSETS - 150 PCT RISK WEIGHT CATEGORY No
UBPRS504 2018-03-31 9999-12-31 The total of all components in the 250% balance sheet asset category on Call Report Schedule RC-R is multiplied by 250% No
UBPRS505 2015-03-31 9999-12-31 TOTAL BALANCE SHEET ASSETS - 300 PCT RISK WEIGHT CATEGORY No
UBPRS506 2015-03-31 9999-12-31 TOTAL BALANCE SHEET ASSETS - 400 PCT RISK WEIGHT CATEGORY No
UBPRS507 2015-03-31 9999-12-31 TOTAL BALANCE SHEET ASSETS - 600 PCT RISK WEIGHT CATEGORY No
UBPRS510 2015-03-31 9999-12-31 TOTAL BALANCE SHEET ASSETS - 1250 PCT RISK WEIGHT CATEGORY No
UBPRS569 2015-03-31 9999-12-31 RISK-WEIGHTED ASSETS BY RISK-WEIGHTED CATEGORY - 2 PCT RISK WEIGHT CATEGORY No
UBPRS570 2015-03-31 9999-12-31 RISK-WEIGHTED ASSETS BY RISK-WEIGHTED CATEGORY - 4 PCT RISK WEIGHT CATEGORY No
UBPRS571 2015-03-31 9999-12-31 RISK-WEIGHTED ASSETS BY RISK-WEIGHTED CATEGORY - 10 PCT RISK WEIGHT CATEGORY No
UBPRS577 2015-03-31 9999-12-31 RISK-WEIGHTED ASSETS BY RISK-WEIGHTED CATEGORY - 625 PCT RISK WEIGHT CATEGORY No
UBPRS578 2015-03-31 9999-12-31 RISK-WEIGHTED ASSETS BY RISK-WEIGHTED CATEGORY - 937.5 PCT RISK WEIGHT CATEGORY No
UBPRS581 2001-03-31 9999-12-31 STANDARDIZED MARKET RISK-WEIGHTED ASSETS APPLICABLE ONLY TO HCS THAT ARE COVERED BY MARKET RISK CAPITAL RULE No

Glossary File:
The Uniform Bank Performance Report (UBPR) is a computer-generated report of current and historical financial information produced quarterly. The UBPR covers all insured commercial banks and FDIC-Supervised Savings Banks. The source of all bank financial data in the UBPR is the Reports of Condition and Income, (Call Reports), filed quarterly by each insured bank.
The UBPR presents several types of data for use in financial analysis of a bank:
   * The bank's data (UBPR)
   * Data for a peer group of banks similar in size and economic environment (UBPP)
   * Percentile rankings (UBPR)
   * Aggregate data (UBPA)

NOTE: The old FDR tables are in series UBPN, UBPG and UBPP.
The new FDR tables are in series UBPR, UBPK, UBPF and UBPS.

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Last update: Apr 23, 2024