Data Dictionary

You Searched For: UBPS

UBPS is a Public Series

MDRM Item Start Date End Date Item Name Reporting Forms
UBPS7204 2001-03-31 9999-12-31 TIER 1 LEVERAGE CAPITAL RATIO
UBPS7308 2001-03-31 9999-12-31 SURVEILLANCE MODEL RATIO OF OTHER REAL ESTATE OWNED TO TOTAL ASSETS
UBPS7316 2001-03-31 9999-12-31 SURVEILLANCE MODEL ASSET GROWTH RATE
UBPS7400 2001-03-31 9999-12-31 SALARY EXPENSE AS PERCENT OF AVERAGE ASSETS
UBPS7402 2001-03-31 9999-12-31 TOTAL DIVIDENDS AS PERCENT OF NET INCOME (TRAILING FOUR QUARTERS)
UBPS7408 2001-03-31 9999-12-31 ANNUAL CHANGE IN TIER 1 CAPITAL
UBPS7410 2001-03-31 9999-12-31 NET NONCORE FUNDING DEPENDENCE
UBPS7414 2001-03-31 9999-12-31 NONCURRENT ASSETS AS PERCENT OF TOTAL LOANS AND LEASES
UBPSD001 2001-12-31 9999-12-31 TOTAL OF INVESTMENT MANAGEMENT AGENCY ACCOUNTS MANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED
UBPSD002 2001-12-31 9999-12-31 ANNUALIZED INCOME FROM PERSONAL TRUST AND AGENCIES AS A PERCENT OF MANAGED AND NONMANAGED ASSETS
UBPSD003 2001-12-31 9999-12-31 GROSS FIDUCIARY LOSSES ON MANAGED PERSONAL TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME
UBPSD004 2001-12-31 9999-12-31 GROSS FIDUCIARY LOSSES ON NONMANAGED PERSONAL TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME
UBPSD005 2001-12-31 9999-12-31 NET FIDUCIARY LOSSES ON ALL PERSONAL TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME
UBPSD006 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL NUMBER PERSONAL TRUST AND AGENCY ACCOUNTS
UBPSD007 2001-12-31 9999-12-31 TOTAL NUMBER OF PERSONAL TRUST AND AGENCY ACCOUNTS MANAGED TO TOTAL NUMBER PERSONAL AND AGENCY ACCOUNTS
UBPSD008 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
UBPSD009 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL PERSONAL TRUST AND AGENCY ACCOUNTS
UBPSD010 2001-12-31 9999-12-31 TOTAL OF PERSONAL TRUST AND AGENCY ACCOUNTS MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS
UBPSD011 2001-12-31 9999-12-31 TOTAL OF PERSONAL TRUST AND AGENCY ACCOUNTS MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED
UBPSD012 2001-12-31 9999-12-31 ANNUALIZED INCOME FROM OTHER RETIREMENT ACCOUNTS AS A PERCENT OF MANAGED AND NONMANAGED ASSETS
UBPSD013 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF OTHER RETIREMENT ACCOUNTS MANAGED AND NONMANAGED
UBPSD014 2001-12-31 9999-12-31 TOTAL NUMBER OF OTHER RETIREMENT ACCOUNTS MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS
UBPSD015 2001-12-31 9999-12-31 TOTAL NUMBER OF OTHER RETIREMENT ACCOUNTS MANAGED AND NONMANAGED TO TOTAL NUMBER TRUST ASSETS MANAGED AND NONMANAGED
UBPSD016 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN OTHER RETIREMENT ACCOUNTS MANAGED AND NONMANAGED
UBPSD017 2001-12-31 9999-12-31 TOTAL OF OTHER RETIREMENT ACCOUNTS MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS
UBPSD018 2001-12-31 9999-12-31 TOTAL OF OTHER RETIREMENT ACCOUNTS MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED
UBPSD019 2001-12-31 9999-12-31 GROSS FIDUCIARY LOSSES ON MANAGED RETIREMENT RELATED TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME
UBPSD020 2001-12-31 9999-12-31 GROSS FIDUCIARY LOSSES ON NONMANAGED RETIREMENT RELATED TRUST AND AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME
UBPSD021 2001-12-31 9999-12-31 NET FIDUCIARY LOSSES ON ALL RETIREMENT TRUST AND AGENCY ACOCUNTS AS PERCENT OF RELATED INCOME
UBPSD022 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL NUMBER FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED
UBPSD023 2001-12-31 9999-12-31 TOTAL NUMBER OF ALL FIDUCIARY ACCOUNTS MANAGED TO TOTAL OTHER FIDUCIARY ACCOUNTS
UBPSD024 2001-12-31 9999-12-31 TOTAL NUMBER OF ALL FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED TO TOTAL NUMBER FIDUCIARY ASSETS MANAGED AND NONMANAGED
UBPSD025 2001-12-31 9999-12-31 ANNUALIZED INCOME FROM ALL FIDUCIARY ACCOUNTS AS PERCENT OF MANAGED AND NONMANAGED ASSETS
UBPSD026 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED
UBPSD027 2001-12-31 9999-12-31 TOTAL OF ALL FIDUCIARY ACCOUNTS MANAGED TO TOTAL OTHER FIDUCIARY ACCOUNTS
UBPSD028 2001-12-31 9999-12-31 TOTAL OF ALL FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED TO TOTAL FIDUCIARY ASSETS MANAGED AND NONMANAGED
UBPSD029 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL TRUST INCOME
UBPSD030 2001-12-31 9999-12-31 TOTAL INCOME FROM ALL FIDUCIARY ACCOUNTS TO TOTAL INCOME FROM FIDUCIARY ASSETS
UBPSD047 2001-03-31 9999-12-31 PAST DUE CREDIT CARD LOANS ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR CREDIT CARD LOANS
UBPSD048 2001-03-31 9999-12-31 PAST DUE CREDIT CARD LOANS 90 DAYS AND ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR CREDIT CARD LOANS
UBPSD049 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
UBPSD050 2001-03-31 9999-12-31 CREDIT CARD LOANS 30 TO 89 DAYS BY THREE QUARTERS PRIOR RE LOANS
UBPSD051 2001-03-31 9999-12-31 PAST DUE LOANS TO INDIVIDUALS ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR LOANS TO INDIVIDUALS
UBPSD052 2001-03-31 9999-12-31 PAST DUE LOANS TO INDIVIDUALS 90 DAYS AND ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR LOANS TO INDIVIDUALS
UBPSD053 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS 30 TO 89 DAYS BY THREE QUARTERS PRIOR RE LOANS
UBPSD054 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS 90 DAYS OR MORE PAST DUE
UBPSD055 2001-03-31 9999-12-31 PAST DUE REAL ESTATE LOANS ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR REAL ESTATE LOANS
UBPSD056 2001-03-31 9999-12-31 PAST DUE RE LOANS 90 DAYS AND ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR RE LOANS
UBPSD057 2001-03-31 9999-12-31 REAL ESTATE LOANS 30 TO 89 DAYS BY THREE QUARTERS PRIOR RE LOANS
UBPSD058 2001-03-31 9999-12-31 INSTITUTION REAL ESTATE LOANS 90 DAYS OR MORE PAST DUE
UBPSD059 2001-03-31 9999-12-31 CREDIT CARD INSTITUTION
UBPSD060 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE TOTAL CREDIT CARD LOANS AND LEASES TO FIVE PERIOD AVERAGE TOTAL LOANS AND LEASES
UBPSD061 2001-03-31 9999-12-31 INSTITUTION PROVISION FOR POSSIBLE LOANS AND LEASE LOSSES BY TOTAL CALENDAR YEAR AVERAGE LOANS AND LEASE FINANCING RECEIVABLES
UBPSD062 2001-03-31 9999-12-31 PAST DUE GROSS LOANS AND LEASES ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR GROSS LOANS AND LEASES
UBPSD063 2001-03-31 9999-12-31 PAST DUE TOTAL LOANS 90 DAYS AND ON NONACCRUAL BASIS BY THREE QUARTERS PRIOR TOTAL LOANS
UBPSD064 2001-03-31 9999-12-31 GROSS LOANS AND LEASES 90 DAYS OR MORE PAST DUE
UBPSD065 2001-03-31 9999-12-31 GROSS LOANS AND LEASES 30 TO 89 DAYS BY THREE QUARTERS PRIOR RE LOANS
UBPSD066 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
UBPSD067 2001-03-31 9999-12-31 INSTITUTION OTHER BORROWINGS WITH MATURITIES GREATER THAN ONE YEAR BY CALENDAR YEAR TOTAL ASSETS
UBPSD318 2001-03-31 9999-12-31 TANGIBLE EQUITY CAPITAL 90 DAY AVERAGE AS A PERCENT OF AVERAGE ASSETS
UBPSD319 2001-03-31 9999-12-31 INSTITUTION VOLATILE LIABILITIES BY TOTAL ASSETS CALENDAR YEAR AVERAGE
UBPSD320 2001-03-31 9999-12-31 INSTITUTION MARGINAL TAX VALUE USING MARGINAL TAX RATE
UBPSD322 2001-03-31 9999-12-31 INSTITUION TOTAL BORROWED MONEY BY TOTAL ASSETS
UBPSD486 2001-03-31 9999-12-31 TOTAL TIER 1 RISK-BASED CAPITAL TO ADJUSTED AVERAGE ASSETS AND ADJUSTED FOR FINANCIAL SUBSIDIARIES IF REPORTED
UBPSD487 2001-03-31 9999-12-31 TOTAL TIER 1 RISK-BASED CAPITAL TO ADJUSTED RISK WEIGHTED ASSETS AND ADJUSTED FOR FINANCIAL SUBSIDIARIES IF REPORTED
UBPSD488 2001-03-31 9999-12-31 TOTAL RISK-BASED CAPITAL TO ADJUSTED RISK WEIGHTED ASSETS INCLUDING ADJUSTMENT FOR FINANCIAL SUBSIDIARIES
UBPSD490 2001-03-31 9999-12-31 LOANS TO FINANCE CONSTRUCTION AND DEVELOPMENT AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSD518 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
UBPSD520 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
UBPSD522 2001-03-31 9999-12-31 INSTITUTION TEMPORARY INVESTMENTS BY VOLATILE LIABILITIES
UBPSD523 2001-03-31 9999-12-31 INSTITUTION VOLATILE LIABILITIES BY TOTAL ASSETS
UBPSD524 2001-03-31 9999-12-31 INSTITUTION US TREASURY SECURITIES AND OTHER US GOVERNMENT AGENCY AND CORPORATION OBLIGATIONS BY TOTAL INVESTMENT SECURITIES
UBPSD526 2001-03-31 9999-12-31 INSTITUTION HIGH RISK AND STRUCTURED NOTES SECURITIES BY TIER ONE CAPITAL
UBPSD585 2009-06-30 9999-12-31 STRUCTURED CASH, SYNTHETIC AND HYBRID FINANCIAL PRODUCTS HELD TO MATURITY AS A PERCENT OF TOTAL INVESTMENT SECURITIES
UBPSD586 2009-06-30 9999-12-31 STRUCTURED CASH, SYNTHETIC AND HYBRID FINANCIAL PRODUCTS AS A PERCENT OF TOTAL SECURITIES
UBPSD638 2006-03-31 9999-12-31 REAL ESTATE FORECLOSED UNDER GNMA BACKED LOANS AS PERCENT OF AVERAGE ASSETS
UBPSD646 2001-01-01 9999-12-31 CONSTRUCTION AND LAND DEVELOPMENT LOANS AS PERCENT OF TOTAL LOANS
UBPSD647 2007-01-01 9999-12-31 NON-OWNER OCC COMMERCIAL REAL ESTATE, % OF TIER 1 CAPITAL PLUS ALLOWANCE
UBPSD648 2007-01-01 9999-12-31 COMMERCIAL REAL ESTATE LOANS INCLUDING NONOWNER OCCUPIED NONFARM NONRESIDENTIAL PROPERTIES AS PERCENT OF TOTAL LOANS
UBPSD649 2001-01-01 9999-12-31 TOTAL COMMERCIAL REAL ESTATE LOANS INCLUDING ALL NONFARM NONRESIDENTIAL LOANS AS PERCENT OF TOTAL CAPITAL
UBPSD650 2001-01-01 9999-12-31 TOTAL COMMMERCIAL REAL ESTATE LOANS INCLUDING ALL NONFARM NONRESIDENTIAL REAL ESTATE LOANS AS PERCENT OT TOTAL LOANS
UBPSE001 2001-03-31 9999-12-31 INTEREST INCOME (TE)/PERCENT OF AVERAGE ASSETS
UBPSE002 2001-03-31 9999-12-31 INTEREST EXPENSE/PERCENT OF AVERAGE ASSETS
UBPSE003 2001-03-31 9999-12-31 NET INTEREST INCOME (TE)/PERCENT OF AVERAGE ASSETS
UBPSE004 2001-03-31 9999-12-31 NONINTEREST INCOME/PERCENT OF AVERAGE ASSETS
UBPSE005 2001-03-31 9999-12-31 NON-INTEREST OVERHEAD EXPENSE/PERCENT OF AVERAGE ASSETS
UBPSE006 2001-03-31 9999-12-31 PROVISION: LOAN&LEASE LOSSES/PERCENT OF AVERAGE ASSETS
UBPSE007 2001-03-31 9999-12-31 PRETAX OPERATING INCOME (TE)/PERCENT OF AVERAGE ASSETS
UBPSE008 2001-03-31 9999-12-31 REALIZED GAINS/LOSSES SECS/PERCENT OF AVERAGE ASSETS
UBPSE009 2001-03-31 9999-12-31 PRETAX NET OPERATING INC (TE)/PERCENT OF AVERAGE ASSETS
UBPSE010 2001-03-31 9999-12-31 NET OPERATING INCOME/PERCENT OF AVERAGE ASSETS
UBPSE011 2001-03-31 9999-12-31 ADJUSTED NET OPERATING INCOME/PERCENT OF AVERAGE ASSETS
UBPSE012 2001-03-31 9999-12-31 NET INCOME ADJUSTED SUB S(***)/PERCENT OF AVERAGE ASSETS
UBPSE013 2001-03-31 9999-12-31 NET INCOME/PERCENT OF AVERAGE ASSETS YTD
UBPSE014 2001-03-31 9999-12-31 AVG EARNING ASSETS TO AVG ASSETS
UBPSE015 2001-03-31 9999-12-31 AVG INT-BEARING FUNDS TO AVG AST
UBPSE016 2001-03-31 9999-12-31 INT INC (TE) TO AVG EARN ASSETS
UBPSE017 2001-03-31 9999-12-31 INT EXPENSE TO AVG EARN ASSETS
UBPSE018 2001-03-31 9999-12-31 NET INT INC-TE TO AVG EARN ASSET
UBPSE019 2001-03-31 9999-12-31 NET LOSS TO AVERAGE TOTAL LN&LS
UBPSE020 2001-03-31 9999-12-31 EARNINGS COVERAGE OF NET LN&LS LOSS(X)
UBPSE021 2001-03-31 9999-12-31 LN&LS ALLOWANCE TO NET LOSSES(X)
UBPSE022 2001-03-31 9999-12-31 LN&LS ALLOWANCE TO LN&LS NOT HFS
UBPSE023 2006-03-31 9999-12-31 LN&LS ALLOWANCE TO TOTAL LN&LS
UBPSE024 2001-03-31 9999-12-31 NET LOANS & LEASES TO ASSETS
UBPSE025 2001-03-31 9999-12-31 RETAIN EARNS TO AVG TOTAL EQUITY
UBPSE026 2003-03-31 9999-12-31 RESTR+NONAC+RE ACQ TO EQCAP+ALLL
UBPSE027 2001-03-31 9999-12-31 NET LOANS & LEASES/GROWTH RATES
UBPSE028 2001-03-31 9999-12-31 SHORT TERM INVESTMENTS/GROWTH RATES
UBPSE029 2001-03-31 9999-12-31 SHORT TERM NON-CORE FUNDING/GROWTH RATES
UBPSE044 2001-03-31 9999-12-31 INTEREST AND FEES ON LOANS/1 YR % CHG
UBPSE045 2001-03-31 9999-12-31 INCOME FROM LEASE FINANCING/1 YR % CHG
UBPSE046 2001-03-31 9999-12-31 TAX-EXEMPT/1 YR % CHG
UBPSE047 2001-03-31 9999-12-31 INCOME ON LOANS AND LEASES (TE)/1 YR % CHG
UBPSE048 2001-03-31 9999-12-31 U.S TREAS & AGENCY (EXCL MBS)/1 YR % CHG
UBPSE049 2001-03-31 9999-12-31 MORTGAGE BACKED SECURITIES/1 YR PERCENT CHG
UBPSE050 2001-03-31 9999-12-31 ALL OTHER SECURITIES/1 YR % CHG
UBPSE051 2001-03-31 9999-12-31 TAX EXEMPT SECURITIES INCOME/1 YR % CHG
UBPSE052 2001-03-31 9999-12-31 INVESTMT INTEREST INCOME (TE)/1 YR % CHG
UBPSE053 2001-03-31 9999-12-31 INTEREST ON DUE FROM BANKS/1 YR % CHG
UBPSE054 2001-03-31 9999-12-31 INT ON FED FUNDS SOLD & RESALES/1 YR % CHG
UBPSE055 2001-03-31 9999-12-31 TRADING ACCOUNT INCOME/1 YR % CHG
UBPSE056 2001-03-31 9999-12-31 OTHER INTEREST INCOME/1 YR % CHG
UBPSE057 2001-03-31 9999-12-31 TOTAL INTEREST INCOME (TE)/1 YR % CHG
UBPSE058 2001-03-31 9999-12-31 INT ON DEPOSITS IN FOREIGN OFF/1 YR % CHG
UBPSE059 2001-03-31 9999-12-31 INTEREST ON TIME DEP OVER $100M/1 YR % CHG
UBPSE060 2001-03-31 9999-12-31 INTEREST ON ALL OTHER DEPOSITS/1 YR % CHG
UBPSE061 2001-03-31 9999-12-31 INT ON FED FUNDS PURCH & REPOS/1 YR % CHG
UBPSE062 2001-03-31 9999-12-31 INT TRAD LIAB * OTH BORROWINGS/1 YR % CHG
UBPSE064 2001-03-31 9999-12-31 INT ON SUB NOTES & DEBENTURES/1 YR % CHG
UBPSE065 2001-03-31 9999-12-31 TOTAL INTEREST EXPENSE/1 YR % CHG
UBPSE066 2001-03-31 9999-12-31 NET INTEREST INCOME (TE)/1 YR % CHG
UBPSE067 2001-03-31 9999-12-31 NONINTEREST INCOME/1 YR % CHG
UBPSE068 2001-03-31 9999-12-31 ADJUSTED OPERATING INC (TE)/1 YR % CHG
UBPSE069 2001-03-31 9999-12-31 NON-INTEREST EXPENSE/1 YR % CHG
UBPSE070 2001-03-31 9999-12-31 PROVISION: LOAN & LEASE LOSSES/1 YR % CHG
UBPSE071 2001-03-31 9999-12-31 PRETAX OPERATION INCOME (TE)/1 YR % CHG
UBPSE072 2001-03-31 9999-12-31 REALIZED G/L HLD-TO-MATURITY SEC/1 YR % CHG
UBPSE073 2001-03-31 9999-12-31 REALIZED G/L AVAIL-FOR SALE SEC/1 YR % CHG
UBPSE074 2001-03-31 9999-12-31 PRETAX OPERATION INC (TE)/1 YR % CHG
UBPSE075 2001-03-31 9999-12-31 NET OPERATING INCOME/1 YR % CHG
UBPSE076 2001-03-31 9999-12-31 NET INCOME/1 YR % CHG
UBPSE077 2001-03-31 9999-12-31 CASH DIVIDENDS DECLARED/1 YR % CHG
UBPSE078 2001-03-31 9999-12-31 RETAINED EARNINGS/1 YR % CHG
UBPSE079 2001-03-31 9999-12-31 MEMO: NET INTERNATIONAL INCOME/1 YR % CHG
UBPSE084 2001-03-31 9999-12-31 OCCUPANCY EXPENSE/PERCENT OF AVERAGE ASSETS
UBPSE085 2001-03-31 9999-12-31 OTHER OPER EXP (INCL INTANGIBLES)/PERCENT OF AVERAGE ASSETS
UBPSE087 2001-03-31 9999-12-31 OVERHEAD LESS NONINTEREST INCOME/PERCENT OF AVERAGE ASSETS
UBPSE088 2003-03-31 9999-12-31 EFFICIENCY RATIO
UBPSE089 2001-03-31 9999-12-31 AVG PERSONNEL EXP PER EMPL($000)
UBPSE090 2001-03-31 9999-12-31 ASSETS PER EMPLOYEE ($MILLION)
UBPSE091 2001-03-31 9999-12-31 TOTAL LOANS & LEASES (TE)/YIELD ON OR COST OF
UBPSE092 2001-03-31 9999-12-31 LOANS IN DOMESTIC OFFICES/YIELD ON OR COST OF
UBPSE093 2001-03-31 9999-12-31 REAL ESTATE/YIELD ON OR COST OF
UBPSE094 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL/YIELD ON OR COST OF
UBPSE095 2001-03-31 9999-12-31 INDIVIDUAL/YIELD ON OR COST OF
UBPSE096 2001-03-31 9999-12-31 CREDIT CARDS/YIELD ON OR COST OF
UBPSE097 2001-03-31 9999-12-31 AGRICULTURAL/YIELD ON OR COST OF
UBPSE098 2001-03-31 9999-12-31 LOANS IN FOREIGN OFFICES/YIELD ON OR COST OF
UBPSE099 2001-03-31 9999-12-31 TOTAL INVESTMENT SECURITIES (TE)/YIELD ON OR COST OF
UBPSE100 2001-03-31 9999-12-31 TOTAL INVESTMENT SECURITIES (BOOK)/YIELD ON OR COST OF
UBPSE101 2001-03-31 9999-12-31 U.S.TREAS & AGENCY (EXCL MBS)/YIELD ON OR COST OF
UBPSE102 2001-03-31 9999-12-31 MORTGAGE BACKED SECURITIES/YIELD ON OR COST OF
UBPSE103 2001-03-31 9999-12-31 ALL OTHER SECURITIES/YIELD ON OR COST OF
UBPSE104 2001-03-31 9999-12-31 INTEREST-BEARING BANK BALANCES/YIELD ON OR COST OF
UBPSE105 2001-03-31 9999-12-31 FEDERAL FUNDS SOLD & RESALES/YIELD ON OR COST OF
UBPSE106 2001-03-31 9999-12-31 TOTAL INT-BEARING DEPOSITS/YIELD ON OR COST OF
UBPSE107 2001-03-31 9999-12-31 TRANSACTION ACCOUNTS/YIELD ON OR COST OF
UBPSE108 2001-03-31 9999-12-31 OTHER SAVINGS DEPOSITS/YIELD ON OR COST OF
UBPSE109 2001-03-31 9999-12-31 TIME DEPS OVER $100M/YIELD ON OR COST OF
UBPSE110 2001-03-31 9999-12-31 ALL OTHER TIME DEPOSITS/YIELD ON OR COST OF
UBPSE111 2001-03-31 9999-12-31 FOREIGN OFFICE DEPOSITS/YIELD ON OR COST OF
UBPSE112 2001-03-31 9999-12-31 FEDERAL FUNDS PURCHASED & REPOS/YIELD ON OR COST OF
UBPSE113 2001-03-31 9999-12-31 OTHER BORROWED MONEY/YIELD ON OR COST OF
UBPSE114 2001-03-31 9999-12-31 SUBORDINATED NOTES & DEBENTURES/YIELD ON OR COST OF
UBPSE115 2001-03-31 9999-12-31 ALL INTEREST-BEARING FUNDS/YIELD ON OR COST OF
UBPSE132 2001-03-31 9999-12-31 REAL ESTATE LOANS/1 QTR % CHG
UBPSE133 2001-03-31 9999-12-31 COMMERCIAL LOANS/1 QTR % CHG
UBPSE134 2001-03-31 9999-12-31 INDIVIDUAL LOANS/1 QTR % CHG
UBPSE135 2001-03-31 9999-12-31 AGRICULTURAL LOANS/1 QTR % CHG
UBPSE136 2001-03-31 9999-12-31 OTHER LN&LS IN DOMESTIC OFFICES/1 QTR % CHG
UBPSE137 2001-03-31 9999-12-31 LN&LS IN FOREIGN OFFICES/1 QTR % CHG
UBPSE138 2006-03-31 9999-12-31 LOANS HELD FOR SALE/1 QTR % CHG
UBPSE139 2006-03-31 9999-12-31 LOANS NOT HELD FOR SALE/1 QTR % CHG
UBPSE140 2001-03-31 9999-12-31 LN&LS ALLOWANCE/1 QTR % CHG
UBPSE141 2001-03-31 9999-12-31 NET LOANS & LEASES/1 QTR % CHG
UBPSE142 2001-03-31 9999-12-31 U.S. TREASURY & AGENCY SECURITIES/1 QTR % CHG
UBPSE143 2001-03-31 9999-12-31 MUNICIPAL SECURITIES/1 QTR % CHG
UBPSE144 2001-03-31 9999-12-31 FOREIGN DEBT SECURITIES/1 QTR % CHG
UBPSE145 2001-03-31 9999-12-31 ALL OTHER SECURITIES/1 QTR % CHG
UBPSE146 2001-03-31 9999-12-31 INTEREST-BEARING BANK BALANCES/1 QTR % CHG
UBPSE147 2001-03-31 9999-12-31 TRADING ACCOUNT ASSETS/1 QTR % CHG
UBPSE148 2001-03-31 9999-12-31 NONINT CASH & DUE FROM BANKS/1 QTR % CHG
UBPSE149 2001-03-31 9999-12-31 "PREMISES, FIX ASSTS, CAP LEASES/1 QTR % CHG"
UBPSE150 2001-03-31 9999-12-31 OTHER REAL ESTATE OWNED/1 QTR % CHG
UBPSE151 2003-03-31 9999-12-31 ACCEPTANCES & OTH ASSETS/1 QTR % CHG
UBPSE152 2001-03-31 9999-12-31 TOTAL ASSETS/1 QTR % CHG
UBPSE153 2001-03-31 9999-12-31 AVERAGE ASSETS DURING QUARTER/1 QTR % CHG
UBPSE154 2001-03-31 9999-12-31 DEMAND DEPOSITS/1 QTR % CHG
UBPSE155 2001-03-31 9999-12-31 ALL NOW & ATS ACCOUNTS/1 QTR % CHG
UBPSE156 2001-03-31 9999-12-31 MONEY MARKET DEPOSIT ACCOUNTS/1 QTR % CHG
UBPSE157 2001-03-31 9999-12-31 OTHER SAVINGS DEPOSITS/1 QTR % CHG
UBPSE158 2001-03-31 9999-12-31 TIME DEP UNDER $100M/1 QTR % CHG
UBPSE159 2001-03-31 9999-12-31 CORE DEPOSITS/1 QTR % CHG
UBPSE160 2001-03-31 9999-12-31 TIME DEP OF $100M OR MORE/1 QTR % CHG
UBPSE161 2001-03-31 9999-12-31 DEPOSITS IN FOREIGN OFFICES/1 QTR % CHG
UBPSE162 2001-03-31 9999-12-31 TOTAL DEPOSITS/1 QTR % CHG
UBPSE163 2003-03-31 9999-12-31 FED HOME LOAN BOR MAT < 1 YR/1 QTR % CHG
UBPSE164 2003-03-31 9999-12-31 FED HOME LOAN BOR MAT > 1 YR/1 QTR % CHG
UBPSE165 2003-03-31 9999-12-31 OTH BORROWING MAT < 1 YR/1 QTR % CHG
UBPSE166 2003-03-31 9999-12-31 OTH BORROWING MAT > 1 YR/1 QTR % CHG
UBPSE167 2001-03-31 9999-12-31 ACCEPTANCES & OTHER LIABILITIES/1 QTR % CHG
UBPSE168 2001-03-31 9999-12-31 TOTAL LIABILITIES (INCL MORTG)/1 QTR % CHG
UBPSE169 2001-03-31 9999-12-31 SUBORDINATED NOTES & DEBENTURES/1 QTR % CHG
UBPSE170 2001-03-31 9999-12-31 ALL COMMON & PREFERRED CAPITAL/1 QTR % CHG
UBPSE171 2007-06-30 9999-12-31 QUARTERLY GROWTH OF 1-4 FAMILY RESIDENTIAL CONSTRUCTION LOAN COMMITMENTS, FROM SCHEDULE RC-L ITEM 1C(1)(A)
UBPSE172 2001-03-31 9999-12-31 "OFFICER, SHAREHOLDER LOANS ($)/1 QTR % CHG"
UBPSE173 2001-03-31 9999-12-31 NON-INVESTMENT ORE/1 QTR % CHG
UBPSE174 2001-03-31 9999-12-31 HELD-TO-MATURITY SECURITIES/1 QTR % CHG
UBPSE175 2001-03-31 9999-12-31 AVAILABLE-FOR-SALE-SECURITIES/1 QTR % CHG
UBPSE176 2001-03-31 9999-12-31 ALL BROKERED DEPOSITS/1 QTR % CHG
UBPSE177 2001-03-31 2006-03-31 GROSS LOANS & LEASES/1 QTR % CHG
UBPSE178 2008-03-31 9999-12-31 ANNUAL GROWTH OF 1-4 FAMILY RESIDENTIAL CONSTRUCTION LOAN COMMITMENTS, FROM SCHEDULE RC-L ITEM 1C(1)(A)
UBPSE179 2001-03-31 9999-12-31 REAL ESTATE LOANS/1 YR % CHG
UBPSE180 2001-03-31 9999-12-31 COMMERCIAL LOANS/1 YR % CHG
UBPSE181 2001-03-31 9999-12-31 INDIVIDUAL LOANS/1 YR % CHG
UBPSE182 2001-03-31 9999-12-31 AGRICULTURAL LOANS/1 YR % CHG
UBPSE183 2001-03-31 9999-12-31 OTHER LN&LS IN DOMESTIC OFFICES/1 YR % CHG
UBPSE184 2001-03-31 9999-12-31 LN&LS IN FOREIGN OFFICES/1 YR % CHG
UBPSE185 2006-03-31 9999-12-31 LOANS HELD FOR SALE/1 YR % CHG
UBPSE186 2006-03-31 9999-12-31 LOANS NOT HELD FOR SALE/1 YR % CHG
UBPSE187 2001-03-31 9999-12-31 LN&LS ALLOWANCE/1 YR % CHG
UBPSE188 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)
UBPSE189 2001-03-31 9999-12-31 U.S. TREASURY & AGENCY SECURITIES/1 YR % CHG
UBPSE190 2001-03-31 9999-12-31 MUNICIPAL SECURITIES/1 YR % CHG
UBPSE191 2001-03-31 9999-12-31 FOREIGN DEBT SECURITIES/1 YR % CHG
UBPSE192 2001-03-31 9999-12-31 ALL OTHER SECURITIES/1 YR % CHG
UBPSE193 2001-03-31 9999-12-31 INTEREST-BEARING BANK BALANCES/1 YR % CHG
UBPSE194 2001-03-31 9999-12-31 TRADING ACCOUNT ASSETS/1 YR % CHG
UBPSE195 2001-03-31 9999-12-31 NONINT CASH & DUE FROM BANKS/1 YR % CHG
UBPSE196 2001-03-31 9999-12-31 "PREMISES, FIX ASSTS, CAP LEASES/1 YR % CHG"
UBPSE197 2001-03-31 9999-12-31 OTHER REAL ESTATE OWNED/1 YR % CHG
UBPSE198 2003-03-31 9999-12-31 ACCEPTANCES & OTH ASSETS/1 YR % CHG
UBPSE199 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)
UBPSE200 2001-03-31 9999-12-31 AVERAGE ASSETS DURING QUARTER/1 YR % CHG
UBPSE201 2001-03-31 9999-12-31 DEMAND DEPOSITS/1 YR % CHG
UBPSE202 2001-03-31 9999-12-31 ALL NOW & ATS ACCOUNTS/1 YR % CHG
UBPSE203 2001-03-31 9999-12-31 MONEY MARKET DEPOSIT ACCOUNTS/1 YR % CHG
UBPSE204 2001-03-31 9999-12-31 OTHER SAVINGS DEPOSITS/1 YR % CHG
UBPSE205 2001-03-31 9999-12-31 TIME DEP UNDER $100M/1 YR % CHG
UBPSE206 2001-03-31 9999-12-31 CORE DEPOSITS/1 YR % CHG
UBPSE207 2001-03-31 9999-12-31 TIME DEP OF $100M OR MORE/1 YR % CHG
UBPSE208 2001-03-31 9999-12-31 DEPOSITS IN FOREIGN OFFICES/1 YR % CHG
UBPSE209 2001-03-31 9999-12-31 TOTAL DEPOSITS/1 YR % CHG
UBPSE210 2003-03-31 9999-12-31 FED HOME LOAN BOR MAT < 1 YR/1 YR % CHG
UBPSE211 2003-03-31 9999-12-31 FED HOME LOAN BOR MAT > 1 YR/1 YR % CHG
UBPSE212 2003-03-31 9999-12-31 OTH BORROWING MAT < 1 YR/1 YR % CHG
UBPSE213 2003-03-31 9999-12-31 OTH BORROWING MAT > 1 YR/1 YR % CHG
UBPSE214 2001-03-31 9999-12-31 ACCEPTANCES & OTHER LIABILITIES/1 YR % CHG
UBPSE215 2001-03-31 9999-12-31 TOTAL LIABILITIES (INCL MORTG)/1 YR % CHG
UBPSE216 2001-03-31 9999-12-31 SUBORDINATED NOTES & DEBENTURES/1 YR % CHG
UBPSE217 2001-03-31 9999-12-31 ALL COMMON & PREFERRED CAPITAL/1 YR % CHG
UBPSE218 2007-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL CONSTRUCTION LOAN COMMITMENTS, FROM SCHEDULE RC-L ITEM 1C(1)(A)AS A PERCENT OF TOTAL ASSETS
UBPSE219 2001-03-31 9999-12-31 "OFFICER, SHAREHOLDER LOANS ($)/1 YR % CHG"
UBPSE220 2001-03-31 9999-12-31 NON-INVESTMENT ORE/1 YR % CHG
UBPSE221 2001-03-31 9999-12-31 HELD-TO-MATURITY SECURITIES/1 YR % CHG
UBPSE222 2001-03-31 9999-12-31 AVAILABLE-FOR-SALE-SECURITIES/1 YR % CHG
UBPSE223 2001-03-31 9999-12-31 ALL BROKERED DEPOSITS/1 YR % CHG
UBPSE224 2001-03-31 2006-03-31 GROSS LOANS & LEASES/1 YR % CHG
UBPSE225 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
UBPSE230 2001-03-31 9999-12-31 HOME EQUITY (1 - 4 FAMILY)/1 QTR % CHG
UBPSE231 2001-03-31 9999-12-31 CREDIT CARD/1 QTR % CHG
UBPSE232 2001-03-31 9999-12-31 COMMERCIAL RE SECURED BY RE/1 QTR % CHG
UBPSE233 2001-03-31 9999-12-31 COMMERCL RE NOT SECURED BY RE/1 QTR % CHG
UBPSE234 2001-03-31 9999-12-31 ALL OTHER/1 QTR % CHG
UBPSE235 2001-03-31 9999-12-31 SECURITIES UNDERWRITING/1 QTR % CHG
UBPSE236 2001-03-31 9999-12-31 MEMO: UNUSED COMMIT W/MAT GT 1 YR/1 QTR % CHG
UBPSE237 2001-03-31 9999-12-31 STANDBY LETTERS OF CREDIT/1 QTR % CHG
UBPSE238 2001-03-31 9999-12-31 AMOUNT CONVEYED TO OTHERS/1 QTR % CHG
UBPSE239 2001-03-31 9999-12-31 COMMERCIAL LETTERS OF CREDIT/1 QTR % CHG
UBPSE240 2001-03-31 9999-12-31 ASSETS SECURITIZED OR SOLD W REC/1 QTR % CHG
UBPSE241 2001-03-31 9999-12-31 AMOUNT OF RECOURSE EXPOSURE/1 QTR % CHG
UBPSE242 2001-03-31 9999-12-31 CREDIT DERIVS BANK AS GTR/1 QTR % CHG
UBPSE243 2001-03-31 9999-12-31 CREDIT DERIVS BANK AS BENEF/1 QTR % CHG
UBPSE244 2001-03-31 9999-12-31 ALL OTH OFF-BALANCE SHEET ITEMS/1 QTR % CHG
UBPSE245 2001-03-31 9999-12-31 OFF-BALANCE SHEET ITEMS/1 QTR % CHG
UBPSE246 2001-03-31 9999-12-31 HOME EQUITY (1 - 4 FAMILY)/1 YR % CHG
UBPSE247 2001-03-31 9999-12-31 CREDIT CARD/1 YR % CHG
UBPSE248 2001-03-31 9999-12-31 COMMERCIAL RE SECURED BY RE/1 YR % CHG
UBPSE249 2001-03-31 9999-12-31 COMMERCL RE NOT SECURED BY RE/1 YR % CHG
UBPSE250 2001-03-31 9999-12-31 ALL OTHER/1 YR % CHG
UBPSE251 2001-03-31 9999-12-31 SECURITIES UNDERWRITING/1 YR % CHG
UBPSE252 2001-03-31 9999-12-31 MEMO: UNUSED COMMIT W/MAT GT 1 YR/1 YR % CHG
UBPSE253 2001-03-31 9999-12-31 STANDBY LETTERS OF CREDIT/1 YR % CHG
UBPSE254 2001-03-31 9999-12-31 AMOUNT CONVEYED TO OTHERS/1 YR % CHG
UBPSE255 2001-03-31 9999-12-31 COMMERCIAL LETTERS OF CREDIT/1 YR % CHG
UBPSE256 2001-03-31 9999-12-31 ASSETS SECURITIZED OR SOLD W REC/1 YR % CHG
UBPSE257 2001-03-31 9999-12-31 AMOUNT OF RECOURSE EXPOSURE/1 YR % CHG
UBPSE258 2001-03-31 9999-12-31 CREDIT DERIVS BANK AS GTR/1 YR % CHG
UBPSE259 2001-03-31 9999-12-31 CREDIT DERIVS BANK AS BENEF/1 YR % CHG
UBPSE260 2001-03-31 9999-12-31 ALL OTH OFF-BALANCE SHEET ITEMS/1 YR % CHG
UBPSE261 2001-03-31 9999-12-31 OFF-BALANCE SHEET ITEMS/1 YR % CHG
UBPSE262 2001-03-31 9999-12-31 HOME EQUITY (1 - 4 FAMILY)/OUTSTANDING (% OF TOTAL)
UBPSE263 2001-03-31 9999-12-31 CREDIT CARD/OUTSTANDING (% OF TOTAL)
UBPSE264 2001-03-31 9999-12-31 COMMERCIAL RE SECURED BY RE/OUTSTANDING (% OF TOTAL)
UBPSE265 2001-03-31 9999-12-31 COMMERCL RE NOT SECURED BY RE/OUTSTANDING (% OF TOTAL)
UBPSE266 2001-03-31 9999-12-31 ALL OTHER/OUTSTANDING (% OF TOTAL)
UBPSE267 2001-03-31 9999-12-31 TOTAL LN&LS COMMITMENTS/OUTSTANDING (% OF TOTAL)
UBPSE268 2001-03-31 9999-12-31 SECURITIES UNDERWRITING/OUTSTANDING (% OF TOTAL)
UBPSE269 2001-03-31 9999-12-31 STANDBY LETTERS OF CREDIT/OUTSTANDING (% OF TOTAL)
UBPSE270 2001-03-31 9999-12-31 AMOUNT CONVEYED TO OTHERS/OUTSTANDING (% OF TOTAL)
UBPSE271 2001-03-31 9999-12-31 COMMERCIAL LETTERS OF CREDIT/OUTSTANDING (% OF TOTAL)
UBPSE272 2001-03-31 9999-12-31 ASSETS SECURITIZED OR SOLD W REC/OUTSTANDING (% OF TOTAL)
UBPSE273 2001-03-31 9999-12-31 AMOUNT OF RECOURSE EXPOSURE/OUTSTANDING (% OF TOTAL)
UBPSE274 2001-03-31 9999-12-31 CREDIT DERIVS BANK AS GTR/OUTSTANDING (% OF TOTAL)
UBPSE275 2001-03-31 9999-12-31 CREDIT DERIVS BANK AS BENEF/OUTSTANDING (% OF TOTAL)
UBPSE276 2001-03-31 9999-12-31 ALL OTH OFF-BALANCE SHEET ITEMS/OUTSTANDING (% OF TOTAL)
UBPSE277 2001-03-31 9999-12-31 OFF-BALANCE SHEET ITEMS/OUTSTANDING (% OF TOTAL)
UBPSE304 2001-03-31 9999-12-31 INTEREST RATE CONTRACTS/PERCENT OF NOTIONAL AMOUNT
UBPSE305 2001-03-31 9999-12-31 FOREIGN EXCHANGE CONTRACTS/PERCENT OF NOTIONAL AMOUNT
UBPSE306 2001-03-31 9999-12-31 "EQUITY, COMM, & OTHER CONTR/PERCENT OF NOTIONAL AMOUNT"
UBPSE307 2001-03-31 9999-12-31 FUTURES AND FORWARDS/PERCENT OF NOTIONAL AMOUNT
UBPSE308 2001-03-31 9999-12-31 WRITTEN OPTIONS/PERCENT OF NOTIONAL AMOUNT
UBPSE309 2001-03-31 9999-12-31 EXCHANGE TRADED/PERCENT OF NOTIONAL AMOUNT
UBPSE310 2001-03-31 9999-12-31 OVER-THE-COUNTER/PERCENT OF NOTIONAL AMOUNT
UBPSE311 2001-03-31 9999-12-31 PURCHASED OPTIONS/PERCENT OF NOTIONAL AMOUNT
UBPSE312 2001-03-31 9999-12-31 EXCHANGE TRADED/PERCENT OF NOTIONAL AMOUNT
UBPSE313 2001-03-31 9999-12-31 OVER-THE-COUNTER/PERCENT OF NOTIONAL AMOUNT
UBPSE314 2001-03-31 9999-12-31 SWAPS/PERCENT OF NOTIONAL AMOUNT
UBPSE315 2001-03-31 9999-12-31 HELD FOR TRADING/PERCENT OF NOTIONAL AMOUNT
UBPSE316 2001-03-31 9999-12-31 INTEREST RATE CONTRACTS/PERCENT OF NOTIONAL AMOUNT
UBPSE317 2001-03-31 9999-12-31 FOREIGN EXCHANGE CONTRACTS/PERCENT OF NOTIONAL AMOUNT
UBPSE318 2001-03-31 9999-12-31 "EQUITY, COMM, & OTHER CONTR/PERCENT OF NOTIONAL AMOUNT"
UBPSE319 2001-03-31 9999-12-31 NON-TRADED/PERCENT OF NOTIONAL AMOUNT
UBPSE320 2001-03-31 9999-12-31 INTEREST RATE CONTRACTS/PERCENT OF NOTIONAL AMOUNT
UBPSE321 2001-03-31 9999-12-31 FOREIGN EXCHANGE CONTRACTS/PERCENT OF NOTIONAL AMOUNT
UBPSE322 2001-03-31 9999-12-31 "EQUITY, COMM, & OTHER CONTR/PERCENT OF NOTIONAL AMOUNT"
UBPSE323 2001-03-31 9999-12-31 MEMO: MARKED-TO-MARKET/PERCENT OF NOTIONAL AMOUNT
UBPSE324 2001-03-31 9999-12-31 DERIVATIVE CONTRACTS (RBC DEF.)/PERCENT OF NOTIONAL AMOUNT
UBPSE325 2001-03-31 9999-12-31 ONE YEAR OR LESS/DERIVATIVE CONTRANCTS (RBC DEF.)/PERCENT OF NOTIONAL AMOUNT
UBPSE326 2001-03-31 9999-12-31 OVER 1 YEAR TO 5 YEARS/DERIVATIVE CONTRANCTS (RBC DEF.)/PERCENT OF NOTIONAL AMOUNT
UBPSE327 2001-03-31 9999-12-31 OVER 5 YEARS/DERIVATIVE CONTRANCTS (RBC DEF.)/PERCENT OF NOTIONAL AMOUNT
UBPSE328 2001-03-31 9999-12-31 GROSS NEGATIVE FAIR VALUE/DERIVATIVE CONTRANCTS (RBC DEF.)/PERCENT OF NOTIONAL AMOUNT
UBPSE329 2001-03-31 9999-12-31 GROSS POSITIVE FAIR VALUE/DERIVATIVE CONTRANCTS (RBC DEF.)/PERCENT OF NOTIONAL AMOUNT
UBPSE330 2001-03-31 9999-12-31 GROSS NEGATIVE FAIR VALUE (X)/PERCENT OF TIER ONE CAPITAL
UBPSE331 2001-03-31 9999-12-31 GROSS POSITIVE FAIR VALUE (X)/PERCENT OF TIER ONE CAPITAL
UBPSE332 2001-03-31 9999-12-31 HELD FOR TRADING (X)/PERCENT OF TIER ONE CAPITAL
UBPSE333 2001-03-31 9999-12-31 NON-TRADED (X)/PERCENT OF TIER ONE CAPITAL
UBPSE334 2001-03-31 9999-12-31 NON-TRADED MARKED-TO-MARKET (X)/PERCENT OF TIER ONE CAPITAL
UBPSE335 2001-03-31 9999-12-31 CURR CREDIT EXPOSURE (X)/PERCENT OF TIER ONE CAPITAL
UBPSE336 2001-03-31 9999-12-31 CREDIT LOSSES ON DERIVATIVES/PERCENT OF TIER ONE CAPITAL
UBPSE337 2001-03-31 9999-12-31 FAIR VALUE CARRIED AS ASSET/PAST DUE DERIVATIVE INSTRUMENTS
UBPSE338 2001-03-31 9999-12-31 CURR CREDIT EXPO/ RISK WT ASSET
UBPSE339 2001-03-31 9999-12-31 CREDIT LOSSES ON DERIVS/CR ALLOW
UBPSE341 2001-03-31 2006-12-31 INCR (DECR) INTEREST INC/NET INC/IMPACT OF NONTRADED DERIV CONTRACTS
UBPSE342 2001-03-31 2006-12-31 (INC) DECR INTEREST EXP/NET INC/IMPACT OF NONTRADED DERIV CONTRACTS
UBPSE343 2001-03-31 2006-12-31 INCR (DECR) NONINT ALLOC/NET INC/IMPACT OF NONTRADED DERIV CONTRACTS
UBPSE344 2001-03-31 2006-12-31 INCR (DECR) NET INCOME/NET INC/IMPACT OF NONTRADED DERIV CONTRACTS
UBPSE345 2006-03-31 9999-12-31 LOANS HELD FOR SALE
UBPSE346 2006-03-31 9999-12-31 LOANS NOT HELD FOR SALE
UBPSE347 2006-03-31 9999-12-31 LESS: LN&LS ALLOWANCE
UBPSE348 2006-03-31 9999-12-31 NET LOANS & LEASES
UBPSE349 2006-03-31 9999-12-31 INTEREST-BEARING BANK BALANCES
UBPSE350 2006-03-31 9999-12-31 FEDERAL FUNDS SOLD & RESALES
UBPSE351 2006-03-31 9999-12-31 TRADING ACCOUNT ASSETS
UBPSE352 2006-03-31 9999-12-31 HELD-TO-MATURITY SECURITIES
UBPSE353 2006-03-31 9999-12-31 AVAILABLE-FOR-SALE SECURITIES
UBPSE354 2006-03-31 9999-12-31 TOTAL EARNING ASSETS
UBPSE355 2006-03-31 9999-12-31 NONINT CASH & DUE FROM BANKS
UBPSE356 2006-03-31 9999-12-31 "PREMISES, FIX ASSTS & CAP LEASES"
UBPSE357 2006-03-31 9999-12-31 OTHER REAL ESTATE OWNED
UBPSE358 2006-03-31 9999-12-31 ACCEPTANCES & OTHER ASSETS
UBPSE359 2006-03-31 9999-12-31 SUBTOTAL
UBPSE360 2006-03-31 9999-12-31 TOTAL ASSETS
UBPSE361 2006-03-31 9999-12-31 STANDBY LETTERS OF CREDIT
UBPSE362 2006-03-31 9999-12-31 DEMAND DEPOSITS
UBPSE363 2006-03-31 9999-12-31 ALL NOW & ATS ACCOUNTS
UBPSE364 2006-03-31 9999-12-31 MONEY MARKET DEPOSIT ACCOUNTS
UBPSE365 2006-03-31 9999-12-31 OTHER SAVING DEPOSITS
UBPSE366 2006-03-31 9999-12-31 TIME DEP < $100M
UBPSE367 2006-03-31 9999-12-31 CORE DEPOSITS
UBPSE368 2006-03-31 9999-12-31 TIME DEP OF $100M OR MORE
UBPSE369 2006-03-31 9999-12-31 DEPOSITS IN FOREIGN OFFICES
UBPSE370 2006-03-31 9999-12-31 TOTAL DEPOSITS
UBPSE371 2006-03-31 9999-12-31 FEDERAL FUNDS PURCH & REPOS
UBPSE372 2006-03-31 9999-12-31 TOTAL FED HOME LOAN BORROWINGS
UBPSE373 2006-03-31 9999-12-31 TOTAL OTH BORROWING
UBPSE374 2006-03-31 9999-12-31 MEMO: SHT TERM N. CORE FUNDING
UBPSE375 2006-03-31 9999-12-31 ACCEPTANCES & OTHER LIABILITIES
UBPSE376 2006-03-31 9999-12-31 TOTAL LIABILITIES (INC MORTG)
UBPSE377 2006-03-31 9999-12-31 SUBORDINATED NOTES & DEBENTURES
UBPSE378 2006-03-31 9999-12-31 ALL COMMON & PREFERRED CAPITAL
UBPSE379 2006-03-31 9999-12-31 TOTAL LIABLILITIES & CAPITAL
UBPSE380 2006-03-31 9999-12-31 MEMO: ALL BROKERED DEPOSITS
UBPSE381 2006-03-31 9999-12-31 INSURED BROKERED DEP
UBPSE382 2006-03-31 9999-12-31 DIRECT & INDIRECT INVESTMENT IN REAL ESTATE
UBPSE383 2006-03-31 9999-12-31 LOANS HELD FOR SALE
UBPSE384 2001-03-31 2006-03-31 TOTAL LOANS
UBPSE385 2001-03-31 2006-03-31 LEASE FINANCING RECEIVABLES
UBPSE388 2001-03-31 9999-12-31 RECOVERIES TO PRIOR CREDIT LOSS
UBPSE389 2007-03-31 9999-12-31 AVERAGE LOANS SECURED BY OTHER NONFARM NONRESIDENTIAL PROPERTIES AS PERCENT OF AVERAGE TOTAL LOANS
UBPSE390 2001-03-31 9999-12-31 GROSS LOSS TO AVERAGE TOT LN&LS
UBPSE391 2001-03-31 9999-12-31 RECOVERIES TO AVERAGE TOT LN&LS
UBPSE392 2007-03-31 9999-12-31 LOANS SECURED BY NONFARM NONRESIDENTIAL PROPERTIES AS PERCENT OF TOTAL CAPITAL
UBPSE393 2007-03-31 9999-12-31 AVERAGE CONSTRUCTION LOANS SECURED BY 1-4 FAMILY PROPERTIES AS A PERCENT OF AVERAGE TOTAL LOANS AND LEASES
UBPSE394 2007-03-31 9999-12-31 AVERAGE OTHER CONSTRUCTION AND LAND DEVELOPMENT LOANS AS PERCENT OF AVERAGE TOTAL LOANS
UBPSE395 2001-03-31 9999-12-31 LN&LS ALL TO NONACCRUAL LN&LS (X)
UBPSE396 2007-03-31 9999-12-31 AVERAGE LOANS SECURED BY OWNER OCCUPIED NONFARM NONRESIDENTIAL PROPERTIES AS PERCENT OF AVERAGE TOTAL LOANS
UBPSE397 2001-03-31 9999-12-31 REAL ESTATE LOANS/NET LOSSES BY TYPE OF LN&LS
UBPSE398 2001-03-31 9999-12-31 LOANS TO FINANCE COMML REAL EST/NET LOSSES BY TYPE OF LN&LS
UBPSE399 2001-03-31 9999-12-31 CONSTRUCTION & LAND DEV/NET LOSSES BY TYPE OF LN&LS
UBPSE400 2001-03-31 9999-12-31 SECURED BY FARMLAND/NET LOSSES BY TYPE OF LN&LS
UBPSE401 2001-03-31 9999-12-31 SINGLE & MULTI FAMILY MORTGAGE/NET LOSSES BY TYPE OF LN&LS
UBPSE402 2001-03-31 9999-12-31 HOME EQUITY LOANS/NET LOSSES BY TYPE OF LN&LS
UBPSE403 2001-03-31 9999-12-31 1-4 FAMILY NON-REVOLVING/NET LOSSES BY TYPE OF LN&LS
UBPSE404 2001-03-31 9999-12-31 MULTIFAMILY LOANS/NET LOSSES BY TYPE OF LN&LS
UBPSE405 2001-03-31 9999-12-31 NON-FARM NON-RESIDENTIAL MTG/NET LOSSES BY TYPE OF LN&LS
UBPSE406 2001-03-31 9999-12-31 RE LOANS IN FOREIGN OFFICES/NET LOSSES BY TYPE OF LN&LS
UBPSE407 2001-03-31 9999-12-31 AGRICULTURAL LOANS/NET LOSSES BY TYPE OF LN&LS
UBPSE408 2001-03-31 9999-12-31 COMMERCIAL AND INDUSTRIAL LOANS/NET LOSSES BY TYPE OF LN&LS
UBPSE409 2001-03-31 9999-12-31 LEASE FINANCING/NET LOSSES BY TYPE OF LN&LS
UBPSE410 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS/NET LOSSES BY TYPE OF LN&LS
UBPSE411 2001-03-31 9999-12-31 CREDIT CARD PLANS/NET LOSSES BY TYPE OF LN&LS
UBPSE412 2001-03-31 9999-12-31 ALL OTHER LOANS & LEASES/NET LOSSES BY TYPE OF LN&LS
UBPSE413 2001-03-31 9999-12-31 LOANS TO FOREIGN GOVERNMENTS/NET LOSSES BY TYPE OF LN&LS
UBPSE414 2001-03-31 9999-12-31 "CONSTRUCTION & DEVELOPMENT/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE415 2001-03-31 9999-12-31 "1 - 4 FAMILY RESIDENTIAL/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE416 2001-03-31 9999-12-31 "HOME EQUITY LOANS/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE417 2001-03-31 9999-12-31 "FARMLAND/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE418 2001-03-31 9999-12-31 "MULTIFAMILY/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE419 2001-03-31 9999-12-31 "NON-FARM NON-RESIDENTIAL/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE420 2001-03-31 9999-12-31 "TOTAL REAL ESTATE/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE421 2001-03-31 9999-12-31 "FINANCIAL INSTITUTION LOANS/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE422 2001-03-31 9999-12-31 "AGRICULTURAL LOANS/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE423 2001-03-31 9999-12-31 "COMMERCIAL & INDUSTRIAL LOANS/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE424 2001-03-31 9999-12-31 "LOANS TO INDIVIDUALS/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE425 2001-03-31 9999-12-31 CREDIT CARD LOANS/LOAN MIX, % AVERAGE GROSS LN&LS
UBPSE426 2001-03-31 9999-12-31 "MUNICIPAL LOANS/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE428 2001-03-31 9999-12-31 "FOREIGN OFFICE LOANS & LEASES/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE429 2001-03-31 9999-12-31 "ALL OTHER LOANS/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE430 2001-03-31 9999-12-31 "LEASE FINANCING RECEIVABLES/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE431 2001-03-31 9999-12-31 "LOANS TO FOREIGN GOVERNMENTS/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE432 2001-03-31 9999-12-31 "LOANS TO FINANCE COMML REAL EST/LOAN MIX, % AVERAGE GROSS LN&LS"
UBPSE433 2001-03-31 9999-12-31 LOAN & LEASE COMMITMENTS/MEMORANDUM (% OF AVG TOT LOANS)
UBPSE434 2001-03-31 9999-12-31 "OFFICER, SHAREHOLDER LOANS/MEMORANDUM (% OF AVG TOT LOANS)"
UBPSE435 2001-03-31 9999-12-31 "OFFICER, SHAREH LOANS TO ASSETS/MEMORANDUM (% OF AVG TOT LOANS)"
UBPSE436 2001-03-31 9999-12-31 CONSTRUCTION & LAND DEVELOPMENT/OTHER REAL ESTATE OWNED % ASSETS
UBPSE437 2001-03-31 9999-12-31 FARMLAND/OTHER REAL ESTATE OWNED % ASSETS
UBPSE438 2001-03-31 9999-12-31 1 - 4 FAMILY/OTHER REAL ESTATE OWNED % ASSETS
UBPSE439 2001-03-31 9999-12-31 MULTIFAMILY/OTHER REAL ESTATE OWNED % ASSETS
UBPSE440 2001-03-31 9999-12-31 NON-FARM NON-RESID./OTHER REAL ESTATE OWNED % ASSETS
UBPSE441 2001-03-31 9999-12-31 FOREIGN OFFICES/OTHER REAL ESTATE OWNED % ASSETS
UBPSE442 2001-03-31 9999-12-31 SUBTOTAL/OTHER REAL ESTATE OWNED % ASSETS
UBPSE443 2001-03-31 9999-12-31 DIRECT AND INDIRECT INV./OTHER REAL ESTATE OWNED % ASSETS
UBPSE444 2001-03-31 9999-12-31 TOTAL/OTHER REAL ESTATE OWNED % ASSETS
UBPSE445 2001-03-31 9999-12-31 MORTGAGES SERV. WITH RECOURSE/ASSET SERVICING % ASSETS
UBPSE446 2001-03-31 9999-12-31 MORTGAGES SERV. WITHOUT RECOURSE/ASSET SERVICING % ASSETS
UBPSE447 2001-03-31 9999-12-31 OTHER FINANCIAL ASSETS/ASSET SERVICING % ASSETS
UBPSE448 2001-03-31 9999-12-31 TOTAL/ASSET SERVICING % ASSETS
UBPSE449 2006-03-31 9999-12-31 CONSTRUCTION & DEVELOPMENT/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE452 2006-03-31 9999-12-31 1 - 4 FAMILY RESIDENTIAL/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE453 2006-03-31 9999-12-31 HOME EQUITY LOANS/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE454 2006-03-31 9999-12-31 OTHER REAL ESTATE LOANS/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE455 2006-03-31 9999-12-31 FARMLAND/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE456 2006-03-31 9999-12-31 MULTIFAMILY/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE457 2006-03-31 9999-12-31 NON-FARM NON-RESIDENTIAL/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE460 2006-03-31 9999-12-31 TOTAL REAL ESTATE/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE461 2006-03-31 9999-12-31 FINANCIAL INSTITUTIONS LOANS/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE462 2006-03-31 9999-12-31 AGGRICULTURAL LOANS/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE463 2006-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE464 2006-03-31 9999-12-31 LOANS TO INDIVIDUALS/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE465 2006-03-31 9999-12-31 CREDIT CARD LOANS/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE466 2006-03-31 9999-12-31 MUNICIPAL LOANS/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE468 2006-03-31 9999-12-31 FOREIGN OFFICE LOANS AND LEASES/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE469 2006-03-31 9999-12-31 ALL OTHER LOANS/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE470 2006-03-31 9999-12-31 LEASE FINANCING RECEIVABLES/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE471 2006-03-31 9999-12-31 LOANS TO FOREIGN GOVERNMENTS/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE472 2006-03-31 9999-12-31 LOANS TO FINANCE COMML REAL EST/LOANS &LSE % T1 CAP+ALLOW LL
UBPSE473 2001-03-31 9999-12-31 REAL ESTATE LNS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE474 2001-03-31 9999-12-31 REAL ESTATE LNS-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE475 2001-03-31 9999-12-31 REAL ESTATE LNS-TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE476 2001-03-31 9999-12-31 REAL ESTATE LNS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE477 2001-03-31 9999-12-31 LNS FIN COML RE-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE478 2001-03-31 9999-12-31 LNS FIN COML RE-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE479 2001-03-31 9999-12-31 LNS FIN COML RE -TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE480 2001-03-31 9999-12-31 LNS FIN COML RE 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE481 2001-03-31 9999-12-31 CONST & LAND DEV-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE482 2001-03-31 9999-12-31 CONST & LAND DEV-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE483 2001-03-31 9999-12-31 CONST & LAND DEV-TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE484 2001-03-31 9999-12-31 CONST & LAND DEV 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE485 2001-03-31 9999-12-31 SINGLE & MULTI MTG-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE486 2001-03-31 9999-12-31 SINGLE & MULTI MTG-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE487 2001-03-31 9999-12-31 SINGLE & MULTI MTG -TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE488 2001-03-31 9999-12-31 SINGLE & MULTI MTG 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE489 2001-03-31 9999-12-31 NON-FARM/RESI MTG-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE490 2001-03-31 9999-12-31 NON-FARM/RESI MTG-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE491 2001-03-31 9999-12-31 NON-FARM/RESI MTG -TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE492 2001-03-31 9999-12-31 NON-FARM/RESI MTG 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE493 2001-03-31 9999-12-31 RE LNS FOR OFF 90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE494 2001-03-31 9999-12-31 RE LNS FOR OFF NONACCRUAL/PCT OF NON-CURR LN&LS BY LN TYPE
UBPSE495 2001-03-31 9999-12-31 RE LNS FOR OFF -TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE496 2001-03-31 9999-12-31 RE LNS FOR OFF 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE497 2001-03-31 9999-12-31 COML & INDUST LNS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE498 2001-03-31 9999-12-31 COML & INDUST LNS-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE499 2001-03-31 9999-12-31 COML & INDUST LNS -TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE500 2001-03-31 9999-12-31 COML & INDUST LNS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE501 2001-03-31 9999-12-31 LOANS TO INDIVDLS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE502 2001-03-31 9999-12-31 LOANS TO INDIVDLS -NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE503 2001-03-31 9999-12-31 LOANS TO INDIVDLS -TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE504 2001-03-31 9999-12-31 LOANS TO INDIVDLS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE505 2007-03-31 9999-12-31 1-4 FAM CONS & L. DEV 90+ DAYS/% OF NON-CURR LN&LS BY LN TYPE
UBPSE506 2007-03-31 9999-12-31 1-4 FAM CONS & L. DEV -NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE507 2007-03-31 9999-12-31 1-4 FAM CONS & L. DEV -TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE508 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
UBPSE509 2007-03-31 9999-12-31 OTHER CONST & LAND DEV 90+ DAYS/% OF NON-CURR LN&LS BY LN TYPE
UBPSE510 2007-03-31 9999-12-31 OTHER CONST & LAND DEV-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE511 2007-03-31 9999-12-31 OTHER CONST & LAND DEV-TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE512 2007-03-31 9999-12-31 OTHER CONST & LAND DEV 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE513 2007-03-31 9999-12-31 OWN OCC NFARM NONRE 90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE514 2007-03-31 9999-12-31 OWN OCC NFARM NONRE -NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE515 2007-03-31 9999-12-31 OWN OCC NFARM NONRE -TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE516 2007-03-31 9999-12-31 OWN OCC NFARM NONRE 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE517 2007-03-31 9999-12-31 OTH NONFARM NONRES 90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE518 2007-03-31 9999-12-31 OTH NONFARM NONRES-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE519 2007-03-31 9999-12-31 OTH NONFARM NONRES -TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE520 2007-03-31 9999-12-31 OTH NONFARM NONRES 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE521 2001-03-31 9999-12-31 CREDIT CARD PLANS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE522 2001-03-31 9999-12-31 CREDIT CARD PLANS-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE523 2001-03-31 9999-12-31 CREDIT CARD PLANS -TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE524 2001-03-31 9999-12-31 CREDIT CARD PLANS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE525 2001-03-31 2006-12-31 FOREIGN GOVT LNS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE526 2001-03-31 2006-12-31 FOREIGN GOVT LNS-NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE527 2001-03-31 2006-12-31 FOREIGN GOVT LNS -TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE528 2001-03-31 2006-12-31 FOREIGN GOVT LNS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE529 2001-03-31 9999-12-31 LEASE FINANCING-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE530 2001-03-31 9999-12-31 LEASE FINANCING -NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE531 2001-03-31 9999-12-31 LEASE FINANCING -TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE532 2001-03-31 9999-12-31 LEASE FINANCING 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE533 2001-03-31 9999-12-31 AGRICULTURAL LNS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE534 2001-03-31 9999-12-31 AGRICULTURAL LNS -NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE535 2001-03-31 9999-12-31 AGRICULTURAL LNS-TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE536 2001-03-31 9999-12-31 AGRICULTURAL LNS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE537 2001-03-31 9999-12-31 OTHER LN&LS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE538 2001-03-31 9999-12-31 OTHER LN&LS -NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE539 2001-03-31 9999-12-31 OTHER LN&LS -TOTAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE540 2001-03-31 9999-12-31 OTHER LN&LS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE541 2001-03-31 9999-12-31 GROSS LN&LS-90+ DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE542 2001-03-31 9999-12-31 GROSS LN&LS -NONACCRUAL/% OF NON-CURR LN&LS BY LN TYPE
UBPSE543 2007-03-31 9999-12-31 ANNUALIZED NET LOSS RATE OF 1-4 FAMILY RESIDENTIAL PROPERTY CONSTRUCTION LOANS
UBPSE544 2001-03-31 9999-12-31 GROSS LN&LS 30-89 DAYS P/D/% OF NON-CURR LN&LS BY LN TYPE
UBPSE545 2001-03-31 9999-12-31 NON-CUR LN&LS TO-LN&LS ALLOWANCE
UBPSE546 2001-03-31 9999-12-31 NON-CUR LN&LS TO-EQUITY CAPITAL
UBPSE547 2001-03-31 9999-12-31 %TOTAL P/D LN&LS-INCL NONACCRUAL
UBPSE549 2001-03-31 9999-12-31 NON-CURR LNS+OREO TO LNS+OREO
UBPSE550 2001-03-31 9999-12-31 NON-CURR RESTRUCT DEBT/GR LN&LS
UBPSE551 2001-03-31 9999-12-31 CURR+NON-CURR RESTRUCT/GR LN&LS
UBPSE552 2001-03-31 9999-12-31 CURRENT RESTRUCT LN&LS
UBPSE553 2001-03-31 9999-12-31 MORTGAGE LOANS & PASS THRUS/LONG ASSETS INSTS W/ OPTIONS
UBPSE554 2001-03-31 9999-12-31 LOANS & SECURITIES OVER 15 YRS/LONG ASSETS INSTS W/ OPTIONS
UBPSE555 2001-03-31 9999-12-31 LOANS & SECURITIES 5-15 YRS/LONG ASSETS INSTS W/ OPTIONS
UBPSE556 2001-03-31 9999-12-31 OTHER LOANS AND SECURITIES/LONG ASSETS INSTS W/ OPTIONS
UBPSE557 2001-03-31 9999-12-31 LOANS & SECURITIES OVER 15 YRS/LONG ASSETS INSTS W/ OPTIONS
UBPSE558 2001-03-31 9999-12-31 LOANS & SECURITIES 5-15 YRS/LONG ASSETS INSTS W/ OPTIONS
UBPSE559 2001-03-31 9999-12-31 TOTAL LOANS & SECURITIES OVR 15/LONG ASSETS INSTS W/ OPTIONS
UBPSE560 2001-03-31 9999-12-31 CMO'S TOTAL/LONG ASSETS INSTS W/ OPTIONS
UBPSE561 2001-03-31 9999-12-31 AVG LIFE OVER 3 YEARS/LONG ASSETS INSTS W/ OPTIONS
UBPSE562 2001-03-31 9999-12-31 STRUCTURED NOTES/LONG ASSETS INSTS W/ OPTIONS
UBPSE563 2001-03-31 9999-12-31 MORTGAGE SERVICING/LONG ASSETS INSTS W/ OPTIONS
UBPSE564 2001-03-31 9999-12-31 TOTAL/LONG ASSETS INSTS W/ OPTIONS
UBPSE565 2001-03-31 9999-12-31 AVAILABLE FOR SALE/OVERALL RISK INDICATORS
UBPSE566 2001-03-31 9999-12-31 HELD TO MATURITY/OVERALL RISK INDICATORS
UBPSE567 2001-03-31 9999-12-31 OFF BALANCE SHEET/OVERALL RISK INDICATORS
UBPSE568 2001-03-31 9999-12-31 UNREALIZED APPN/DEPN/OVERALL RISK INDICATORS
UBPSE569 2001-03-31 9999-12-31 UNREAL APP/DEP % TIER ONE CAP/OVERALL RISK INDICATORS
UBPSE570 2001-03-31 9999-12-31 LOANS/SECURITIES OVER 3 YEARS/CONTRACTUAL MAT/REPRICE DATA
UBPSE571 2001-03-31 9999-12-31 LIABILITIES OVER 3 YEARS/CONTRACTUAL MAT/REPRICE DATA
UBPSE572 2001-03-31 9999-12-31 NET 3 YEAR POSITION/CONTRACTUAL MAT/REPRICE DATA
UBPSE573 2001-03-31 9999-12-31 LOANS/SECURITIES OVER 1 YEAR/CONTRACTUAL MAT/REPRICE DATA
UBPSE574 2001-03-31 9999-12-31 LIABILITIES OVER 1 YEAR/CONTRACTUAL MAT/REPRICE DATA
UBPSE575 2001-03-31 9999-12-31 NET OVER 1 YEAR POSITION/CONTRACTUAL MAT/REPRICE DATA
UBPSE576 2001-03-31 9999-12-31 NON-MATURITY DEPOSITS/CONTRACTUAL MAT/REPRICE DATA
UBPSE577 2001-03-31 9999-12-31 NON-MATURITY DEPS % LONG ASSETS/CONTRACTUAL MAT/REPRICE DATA
UBPSE578 2001-03-31 9999-12-31 NET OVER 3 YEAR POSITION/CONTRACTUAL MAT/REPRICE DATA
UBPSE579 2001-03-31 9999-12-31 STRUCTURED NOTES/% TIER 1 CAPITAL
UBPSE580 2001-03-31 9999-12-31 MORTGAGE SERVICING (FV)/% TIER 1 CAPITAL
UBPSE581 2001-03-31 9999-12-31 TOTAL/% TIER 1 CAPITAL
UBPSE586 2007-03-31 9999-12-31 NET LOSSES ON OTHER CONSTRUCTION AND LAND DEVELOPMENT LOANS AS PERCENT OF OUTSTANDINGS
UBPSE587 2007-03-31 9999-12-31 NET LOSSES ON OWNER OCCUPIED NONFARM NONRESIDENTIAL LOANS AS A PERCENT OF OUTSTANDINGS
UBPSE589 2001-03-31 9999-12-31 SHORT TERM INVESTMENTS/PERCENT OF TOTAL ASSETS
UBPSE590 2001-03-31 9999-12-31 MARKETABLE EQUITY SEC (MES)/PERCENT OF TOTAL ASSETS
UBPSE591 2001-03-31 9999-12-31 CORE DEPOSITS/PERCENT OF TOTAL ASSETS
UBPSE592 2001-03-31 9999-12-31 SHORT - TERM NONCORE FUNDING / TOTAL ASSETS (NEW ADV)
UBPSE593 2001-03-31 9999-12-31 NET S.T.NONCORE FUND DEPENDENCE
UBPSE594 2007-03-31 9999-12-31 ANNUALIZED NET LOSS RATE ON OTHER NONFARM NONRESIDENTIAL LOANS AS PERCENT OF AVERAGE OUTSTANDINGS
UBPSE595 2001-03-31 9999-12-31 BROKERED DEPOSITS TO DEPOSITS
UBPSE596 2001-03-31 9999-12-31 BROKERED DEP MAT < 1YR TO BKR DEPS
UBPSE597 2001-03-31 9999-12-31 SHORT TRM INV TO S.T. NONCORE FUND
UBPSE598 2001-03-31 9999-12-31 SHORT TERM ASSET TO S.T. LIABS
UBPSE599 2001-03-31 9999-12-31 NET S.T. LIAB TO ASSETS
UBPSE600 2001-03-31 9999-12-31 NET LOANS & LEASES TO DEPOSITS
UBPSE601 2001-03-31 9999-12-31 NET LN&LS TO CORE DEPOSITS
UBPSE602 2001-03-31 9999-12-31 NET LN&LS & SBLC TO ASSETS
UBPSE603 2001-03-31 9999-12-31 U.S. TREASURY & GOVT AGENCIES/HELD-TO-MATURITY % TOTAL SECS
UBPSE604 2001-03-31 9999-12-31 MUNICIPAL SECURITIES/HELD-TO-MATURITY % TOTAL SECS
UBPSE605 2001-03-31 9999-12-31 PASS-THROUGH MTG BACKED SECS/HELD-TO-MATURITY % TOTAL SECS
UBPSE606 2001-03-31 9999-12-31 CMO & REMIC MTG BACKED SECS/HELD-TO-MATURITY % TOTAL SECS
UBPSE607 2001-03-31 9999-12-31 ASSET BACKED SECURITIES/HELD-TO-MATURITY % TOTAL SECS
UBPSE608 2001-03-31 9999-12-31 OTHER DOMESTIC DEBT SEC/HELD-TO-MATURITY % TOTAL SECS
UBPSE609 2001-03-31 9999-12-31 FOREIGN DEBT SECURITIES/HELD-TO-MATURITY % TOTAL SECS
UBPSE610 2001-03-31 9999-12-31 TOTAL HELD-TO-MATURITY/HELD-TO-MATURITY % TOTAL SECS
UBPSE611 2001-03-31 9999-12-31 U.S. TREASURY & GOVT AGENCIES/AVAILABLE-FOR SALE % TOTAL SECS
UBPSE612 2001-03-31 9999-12-31 MUNICIPAL SECURITIES/AVAILABLE-FOR SALE % TOTAL SECS
UBPSE613 2001-03-31 9999-12-31 PASS-THROUGH MTG BACKED SECS/AVAILABLE-FOR SALE % TOTAL SECS
UBPSE614 2001-03-31 9999-12-31 CMO & REMIC MTG BACKED SECS/AVAILABLE-FOR SALE % TOTAL SECS
UBPSE615 2001-03-31 9999-12-31 ASSET BACKED SECURITIES/AVAILABLE-FOR SALE % TOTAL SECS
UBPSE616 2001-03-31 9999-12-31 OTHER DOMESTIC DEBT SECURITIES/AVAILABLE-FOR SALE % TOTAL SECS
UBPSE617 2001-03-31 9999-12-31 FOREIGN DEBT SECURITIES/AVAILABLE-FOR SALE % TOTAL SECS
UBPSE618 2001-03-31 9999-12-31 INV MUT F. & OTH MKTBL/AVAILABLE-FOR SALE % TOTAL SECS
UBPSE620 2001-03-31 9999-12-31 TOTAL AVAILABLE-FOR-SALE/AVAILABLE-FOR SALE % TOTAL SECS
UBPSE621 2001-03-31 9999-12-31 APP (DEP) HI RISK & STRUC/T1CAP
UBPSE622 2001-03-31 9999-12-31 APP (DEP) IN HTM SEC TO HTM SEC
UBPSE623 2001-03-31 9999-12-31 APP (DEP) IN HTM SEC TO EQY CAP
UBPSE624 2001-03-31 9999-12-31 PLEDGED SECURITIES TO TOT SEC
UBPSE626 2001-03-31 9999-12-31 NET LOANS & LEASES (X)/PERCENT OF TOTAL EQUITY
UBPSE627 2001-03-31 9999-12-31 SUBORD NOTES & DEBENTURES/PERCENT OF TOTAL EQUITY
UBPSE628 2001-03-31 9999-12-31 LONG TERM DEBT/PERCENT OF TOTAL EQUITY
UBPSE629 2001-03-31 9999-12-31 COM RE & RELATED VENTURES/PERCENT OF TOTAL EQUITY
UBPSE630 2001-03-31 9999-12-31 NET INCOME/PERCENT OF AVERAGE TOTAL EQUITY
UBPSE631 2001-03-31 9999-12-31 DIVIDENDS/PERCENT OF AVERAGE TOTAL EQUITY
UBPSE632 2007-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL CONSTRUCTION LOANS AS PERCENT OF TOTAL CAPITAL
UBPSE633 2001-03-31 9999-12-31 DIVIDENDS TO NET OPER INCOME
UBPSE634 2001-03-31 9999-12-31 EQUITY CAPITAL TO ASSETS
UBPSE635 2001-03-31 9999-12-31 TOTAL EQUITY CAPITAL/GROWTH RATES
UBPSE636 2001-03-31 9999-12-31 EQUITY GROWTH LESS ASST GROWTH/GROWTH RATES
UBPSE637 2001-03-31 9999-12-31 MORTGAGE SERVICING RIGHTS/INTANG ASSETS % TOTAL EQUITY
UBPSE638 2001-03-31 9999-12-31 GOODWILL/INTANG ASSETS % TOTAL EQUITY
UBPSE639 2001-03-31 9999-12-31 PURCH CREDIT CARD RELATION/INTANG ASSETS % TOTAL EQUITY
UBPSE640 2001-03-31 9999-12-31 ALL OTHER INTANGIBLES/INTANG ASSETS % TOTAL EQUITY
UBPSE641 2001-03-31 9999-12-31 TOTAL INTANGIBLES/INTANG ASSETS % TOTAL EQUITY
UBPSE657 2007-03-31 9999-12-31 OTHER CONSTRUCTION AND LAND DEVELOPMENT LOANS AS PERCENT OF TOTAL CAPITAL
UBPSE658 2001-03-31 9999-12-31 1 TO 4 FAMILY REAL ESTATE LOANS AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE663 2001-03-31 9999-12-31 HOME EQUITY LOANS AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE664 2001-03-31 9999-12-31 DEF TAX ASSET TO T1 CAP
UBPSE665 2001-03-31 9999-12-31 INTEREST INCOME (TE)/PERCENT OF AVERAGE ASSETS
UBPSE666 2001-03-31 9999-12-31 INTEREST EXPENSE/PERCENT OF AVERAGE ASSETS
UBPSE667 2001-03-31 9999-12-31 NET INTEREST INCOME (TE)/PERCENT OF AVERAGE ASSETS
UBPSE668 2001-03-31 9999-12-31 NONINTEREST INCOME/PERCENT OF AVERAGE ASSETS
UBPSE669 2001-03-31 9999-12-31 NON-INTEREST EXPENSE/PERCENT OF AVERAGE ASSETS
UBPSE670 2001-03-31 9999-12-31 PROVISION: LOAN&LEASE LOSSES/PERCENT OF AVERAGE ASSETS
UBPSE671 2001-03-31 9999-12-31 PRETAX OPERATING INCOME (TE)/PERCENT OF AVERAGE ASSETS
UBPSE672 2001-03-31 9999-12-31 REALIZED GAINS/LOSSES SECS/PERCENT OF AVERAGE ASSETS
UBPSE673 2001-03-31 9999-12-31 PRETAX NET OPERATING INC(TE)/PERCENT OF AVERAGE ASSETS
UBPSE674 2001-03-31 9999-12-31 NET OPERATING INCOME/PERCENT OF AVERAGE ASSETS
UBPSE675 2001-03-31 9999-12-31 ADJUSTED NET OPERATING INCOME/PERCENT OF AVERAGE ASSETS
UBPSE676 2001-03-31 9999-12-31 NET INCOME ADJUSTED SUB S/PERCENT OF AVERAGE ASSETS
UBPSE677 2001-03-31 9999-12-31 NET INCOME/PERCENT OF AVERAGE ASSETS 1 QUARTER
UBPSE678 2001-03-31 9999-12-31 INT INC (TE) TO AVG EARN ASSETS
UBPSE679 2001-03-31 9999-12-31 INT EXPENSE TO AVG EARN ASSETS
UBPSE680 2001-03-31 9999-12-31 NET INT INC-TE TO AVG EARN ASST
UBPSE681 2001-03-31 9999-12-31 NET LOSS TO AVERAGE TOTAL LN&LS
UBPSE682 2001-03-31 9999-12-31 EARNINGS COVERAGE OF NET LOSS(X)
UBPSE683 2001-03-31 9999-12-31 LN&LS ALLOWANCE TO NET LOSSES(X)
UBPSE684 2001-03-31 9999-12-31 CASH DIVIDENDS TO NET INCOME
UBPSE685 2001-03-31 9999-12-31 RETAIN EARNS TO AVG TOTAL EQUITY
UBPSE686 2001-03-31 9999-12-31 TOTAL LOANS & LEASES (TE)/YIELD ON OR COST OF
UBPSE687 2001-03-31 9999-12-31 LOANS IN DOMESTIC OFFICES/YIELD ON OR COST OF
UBPSE688 2001-03-31 9999-12-31 REAL ESTATE/YIELD ON OR COST OF
UBPSE689 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL/YIELD ON OR COST OF
UBPSE690 2001-03-31 9999-12-31 INDIVIDUAL/YIELD ON OR COST OF
UBPSE691 2001-03-31 9999-12-31 CREDIT CARD PLANS/YIELD ON OR COST OF
UBPSE692 2001-03-31 9999-12-31 AGRICULTURAL/YIELD ON OR COST OF
UBPSE693 2001-03-31 9999-12-31 LOANS IN FOREIGN OFFICES/YIELD ON OR COST OF
UBPSE694 2001-03-31 9999-12-31 TOTAL INVESTMENT SECURITIES (TE)/YIELD ON OR COST OF
UBPSE695 2001-03-31 9999-12-31 TOTAL INVESTMENT SECURITIES (BOOK)/YIELD ON OR COST OF
UBPSE696 2001-03-31 9999-12-31 U.S. TREAS & AGENCY (EXCL MBS)/YIELD ON OR COST OF
UBPSE697 2001-03-31 9999-12-31 MORTGAGE BACKED SECURITIES/YIELD ON OR COST OF
UBPSE698 2001-03-31 9999-12-31 ALL OTHER SECURITIES/YIELD ON OR COST OF
UBPSE699 2001-03-31 9999-12-31 INTEREST-BEARING BANK BALANCES/YIELD ON OR COST OF
UBPSE700 2001-03-31 9999-12-31 FEDERAL FUNDS SOLD & RESALES/YIELD ON OR COST OF
UBPSE701 2001-03-31 9999-12-31 TOTAL INT-BEARING DEPOSITS/YIELD ON OR COST OF
UBPSE702 2001-03-31 9999-12-31 TRANSACTION ACCOUNTS/YIELD ON OR COST OF
UBPSE703 2001-03-31 9999-12-31 OTHER SAVINGS DEPOSITS/YIELD ON OR COST OF
UBPSE704 2001-03-31 9999-12-31 TIME DEPS OVER $100M/YIELD ON OR COST OF
UBPSE705 2001-03-31 9999-12-31 ALL OTHER TIME DEPOSITS/YIELD ON OR COST OF
UBPSE706 2001-03-31 9999-12-31 DEPOSITS IN FOREIGN OFFICES/YIELD ON OR COST OF
UBPSE707 2001-03-31 9999-12-31 FEDERAL FUNDS PURCHASED & REPOS/YIELD ON OR COST OF
UBPSE708 2001-03-31 9999-12-31 OTHER BORROWED MONEY/YIELD ON OR COST OF
UBPSE709 2001-03-31 9999-12-31 SUBORDINATED NOTES & DEBENTURES /YIELD ON OR COST OF
UBPSE710 2001-03-31 9999-12-31 ALL INTEREST-BEARING FUNDS/YIELD ON OR COST OF
UBPSE726 2001-03-31 9999-12-31 SECURITIZATION ACTIVITIES/ACTIVITY % TOTAL ASSETS
UBPSE727 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/ACTIVITY % TOTAL ASSETS
UBPSE728 2001-03-31 9999-12-31 HOME EQUITY LINES/ACTIVITY % TOTAL ASSETS
UBPSE729 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/ACTIVITY % TOTAL ASSETS
UBPSE730 2001-03-31 9999-12-31 AUTO LOANS/ACTIVITY % TOTAL ASSETS
UBPSE731 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/ACTIVITY % TOTAL ASSETS
UBPSE732 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/ACTIVITY % TOTAL ASSETS
UBPSE733 2001-03-31 9999-12-31 ASSET BACKED COMML PAPER COND/ACTIVITY % TOTAL ASSETS
UBPSE734 2001-03-31 9999-12-31 CR EXP SPONS BY BANK & OTHER/ACTIVITY % TOTAL ASSETS
UBPSE735 2001-03-31 9999-12-31 LIQUID COMM BY BANK & OTHER/ACTIVITY % TOTAL ASSETS
UBPSE736 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/PERCENT OF TOT MANAGED ASSETS
UBPSE737 2001-03-31 9999-12-31 HOME EQUITY LINES/PERCENT OF TOT MANAGED ASSETS
UBPSE738 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/PERCENT OF TOT MANAGED ASSETS
UBPSE739 2001-03-31 9999-12-31 AUTO LOANS/PERCENT OF TOT MANAGED ASSETS
UBPSE740 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/PERCENT OF TOT MANAGED ASSETS
UBPSE741 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/PERCENT OF TOT MANAGED ASSETS
UBPSE742 2001-03-31 9999-12-31 SECURITIZATION ACTIVITIES/1 QTR % CHG
UBPSE743 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/SECURITIZATION ACTIVITIES/1 QTR % CHG
UBPSE744 2001-03-31 9999-12-31 HOME EQUITY LINES/SECURITIZATION ACTIVITIES/1 QTR % CHG
UBPSE745 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/SECURITIZATION ACTIVITIES/1 QTR % CHG
UBPSE746 2001-03-31 9999-12-31 AUTO LOANS/SECURITIZATION ACTIVITIES/1 QTR % CHG
UBPSE747 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/SECURITIZATION ACTIVITIES/1 QTR % CHG
UBPSE748 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/SECURITIZATION ACTIVITIES/1 QTR % CHG
UBPSE749 2001-03-31 9999-12-31 RETAINED INTEREST-ONLY STRIPS/1 QTR % CHG
UBPSE750 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/RETAINED INTEREST-ONLY STRIPS/1 QTR % CHG
UBPSE751 2001-03-31 9999-12-31 HOME EQUITY LOANS/RETAINED INTEREST-ONLY STRIPS/1 QTR % CHG
UBPSE752 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/RETAINED INTEREST-ONLY STRIPS/1 QTR % CHG
UBPSE753 2001-03-31 9999-12-31 AUTO LOANS/RETAINED INTEREST-ONLY STRIPS/1 QTR % CHG
UBPSE754 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/RETAINED INTEREST-ONLY STRIPS/1 QTR % CHG
UBPSE755 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/RETAINED INTEREST-ONLY STRIPS/1 QTR % CHG
UBPSE756 2001-03-31 9999-12-31 RETAINED CREDIT ENHANCEMENTS/1 QTR % CHG
UBPSE757 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/RETAINED CREDIT ENHANCEMENTS/1 QTR % CHG
UBPSE758 2001-03-31 9999-12-31 HOME EQUITY LINES/RETAINED CREDIT ENHANCEMENTS/1 QTR % CHG
UBPSE759 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/RETAINED CREDIT ENHANCEMENTS/1 QTR % CHG
UBPSE760 2001-03-31 9999-12-31 AUTO LOANS/RETAINED CREDIT ENHANCEMENTS/1 QTR % CHG
UBPSE761 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/RETAINED CREDIT ENHANCEMENTS/1 QTR % CHG
UBPSE762 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/RETAINED CREDIT ENHANCEMENTS/1 QTR % CHG
UBPSE763 2001-03-31 9999-12-31 UNUSED LIQUIDITY COMMITMENTS/1 QTR % CHG
UBPSE764 2001-03-31 9999-12-31 SELLERS INTEREST IN SECS & LOANS/1 QTR % CHG
UBPSE765 2001-03-31 9999-12-31 HOME EQUITY LINES/SELLERS INTEREST IN SECS & LOANS/1 QTR % CHG
UBPSE766 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/SELLERS INTEREST IN SECS & LOANS/1 QTR % CHG
UBPSE767 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/SELLERS INTEREST IN SECS & LOANS/1 QTR % CHG
UBPSE768 2001-03-31 9999-12-31 TOTAL RETAINED CREDIT EXPOSURE/1 QTR % CHG
UBPSE769 2001-03-31 9999-12-31 ASSET BACKED COMML PAPER COND/1 QTR % CHG
UBPSE770 2001-03-31 9999-12-31 CR EXP SPONS BY BANK & OTHER/ASSET BACKED COMML PAPER COND/1 QTR % CHG
UBPSE771 2001-03-31 9999-12-31 LIQUID COMM BY BANK & OTHER/ASSET BACKED COMML PAPER COND/1 QTR % CHG
UBPSE772 2001-03-31 9999-12-31 SECURITIZATION ACTIVITIES/1 YR % CHG
UBPSE773 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/SECURITIZATION ACTIVITIES/1 YR % CHG
UBPSE774 2001-03-31 9999-12-31 HOME EQUITY LINES/SECURITIZATION ACTIVITIES/1 YR % CHG
UBPSE775 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/SECURITIZATION ACTIVITIES/1 YR % CHG
UBPSE776 2001-03-31 9999-12-31 AUTO LOANS/SECURITIZATION ACTIVITIES/1 YR % CHG
UBPSE777 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/SECURITIZATION ACTIVITIES/1 YR % CHG
UBPSE778 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/SECURITIZATION ACTIVITIES/1 YR % CHG
UBPSE779 2001-03-31 9999-12-31 RETAINED INTEREST-ONLY STRIPS/1 YR % CHG
UBPSE780 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/RETAINED INTEREST-ONLY STRIPS/1 YR % CHG
UBPSE781 2001-03-31 9999-12-31 HOME EQUITY LOANS/RETAINED INTEREST-ONLY STRIPS/1 YR % CHG
UBPSE782 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/RETAINED INTEREST-ONLY STRIPS/1 YR % CHG
UBPSE783 2001-03-31 9999-12-31 AUTO LOANS/1 YR % CHG/RETAINED INTEREST-ONLY STRIPS/1 YR % CHG
UBPSE784 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/RETAINED INTEREST-ONLY STRIPS/1 YR % CHG
UBPSE785 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/RETAINED INTEREST-ONLY STRIPS/1 YR % CHG
UBPSE786 2001-03-31 9999-12-31 RETAINED CREDIT ENHANCEMENTS/1 YR % CHG
UBPSE787 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/RETAINED CREDIT ENHANCEMENTS/1 YR % CHG
UBPSE788 2001-03-31 9999-12-31 HOME EQUITY LINES/RETAINED CREDIT ENHANCEMENTS/1 YR % CHG
UBPSE789 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/RETAINED CREDIT ENHANCEMENTS/1 YR % CHG
UBPSE790 2001-03-31 9999-12-31 AUTO LOANS/RETAINED CREDIT ENHANCEMENTS/1 YR % CHG
UBPSE791 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/RETAINED CREDIT ENHANCEMENTS/1 YR % CHG
UBPSE792 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/RETAINED CREDIT ENHANCEMENTS/1 YR % CHG
UBPSE793 2001-03-31 9999-12-31 UNUSED LIQUIDITY COMMITMENTS/1 YR % CHG
UBPSE794 2001-03-31 9999-12-31 SELLERS INTEREST IN SECS & LOANS/1 YR % CHG
UBPSE795 2001-03-31 9999-12-31 HOME EQUITY LINES/SELLERS INTEREST IN SECS & LOANS/1 YR % CHG
UBPSE796 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/SELLERS INTEREST IN SECS & LOANS/1 YR % CHG
UBPSE797 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/SELLERS INTEREST IN SECS & LOANS/1 YR % CHG
UBPSE798 2001-03-31 9999-12-31 TOTAL RETAINED CREDIT EXPOSURE/1 YR % CHG
UBPSE799 2001-03-31 9999-12-31 ASSET BACKED COMML PAPER COND/1 YR % CHG
UBPSE800 2001-03-31 9999-12-31 CR EXP SPONS BY BANK & OTHERASSET BACKED COMML PAPER COND/1 YR % CHG
UBPSE801 2001-03-31 9999-12-31 LIQUID COMM BY BANK & OTHERASSET BACKED COMML PAPER COND/1 YR % CHG
UBPSE802 2001-03-31 9999-12-31 RETAINED INT ONLY STRIPS/% TOT SECURITIZATION ACT BY TYPE
UBPSE803 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/RETAINED INT ONLY STRIPS/% TOT SECURITIZATION ACT BY TYPE
UBPSE804 2001-03-31 9999-12-31 HOME EQUITY LINES/RETAINED INT ONLY STRIPS/% TOT SECURITIZATION ACT BY TYPE
UBPSE805 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/RETAINED INT ONLY STRIPS/% TOT SECURITIZATION ACT BY TYPE
UBPSE806 2001-03-31 9999-12-31 AUTO LOANS/RETAINED INT ONLY STRIPS/% TOT SECURITIZATION ACT BY TYPE
UBPSE807 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/RETAINED INT ONLY STRIPS/% TOT SECURITIZATION ACT BY TYPE
UBPSE808 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/RETAINED INT ONLY STRIPS/% TOT SECURITIZATION ACT BY TYPE
UBPSE809 2001-03-31 9999-12-31 RETAINED CREDIT ENHANCEMENT/% TOT SECURITIZATION ACT BY TYPE
UBPSE810 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/RETAINED CREDIT ENHANCEMENT/% TOT SECURITIZATION ACT BY TYPE
UBPSE811 2001-03-31 9999-12-31 HOME EQUITY LINES/RETAINED CREDIT ENHANCEMENT/% TOT SECURITIZATION ACT BY TYPE
UBPSE812 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/RETAINED CREDIT ENHANCEMENT/% TOT SECURITIZATION ACT BY TYPE
UBPSE813 2001-03-31 9999-12-31 AUTO LOANS/RETAINED CREDIT ENHANCEMENT/% TOT SECURITIZATION ACT BY TYPE
UBPSE814 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/RETAINED CREDIT ENHANCEMENT/% TOT SECURITIZATION ACT BY TYPE
UBPSE815 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/RETAINED CREDIT ENHANCEMENT/% TOT SECURITIZATION ACT BY TYPE
UBPSE816 2001-03-31 9999-12-31 UNUSED COMM TO PROVIDE LIQUIDITY/% TOT SECURITIZATION ACT BY TYPE
UBPSE817 2001-03-31 9999-12-31 SELLERS INT IN SECS & LNS % TRUST/% TOT SECURITIZATION ACT BY TYPE
UBPSE818 2001-03-31 9999-12-31 HOME EQUITY LINES/SELLERS INT IN SECS & LNS % TRUST/% TOT SECURITIZATION ACT BY TYPE
UBPSE819 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/SELLERS INT IN SECS & LNS % TRUST/% TOT SECURITIZATION ACT BY TYPE
UBPSE820 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/SELLERS INT IN SECS & LNS % TRUST/% TOT SECURITIZATION ACT BY TYPE
UBPSE821 2001-03-31 9999-12-31 TOTAL RETAINED CREDIT EXPOSURE/PERCENT TIER 1 CAPITAL
UBPSE822 2001-03-31 9999-12-31 RETAINED INTEREST-ONLY STRIPS/PERCENT TIER 1 CAPITAL
UBPSE823 2001-03-31 9999-12-31 RETAINED CREDIT ENHANCEMENTS/PERCENT TIER 1 CAPITAL
UBPSE836 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/30-89 DAY PD SECURITIZED ASSETS %
UBPSE837 2001-03-31 9999-12-31 HOME EQUITY LINES/30-89 DAY PD SECURITIZED ASSETS %
UBPSE838 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/30-89 DAY PD SECURITIZED ASSETS %
UBPSE839 2001-03-31 9999-12-31 AUTO LOANS/30-89 DAY PD SECURITIZED ASSETS %
UBPSE840 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/30-89 DAY PD SECURITIZED ASSETS %
UBPSE841 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/30-89 DAY PD SECURITIZED ASSETS %
UBPSE842 2001-03-31 9999-12-31 TOTAL 30-89 DAY PD SECUR ASSET/30-89 DAY PD SECURITIZED ASSETS %
UBPSE843 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/90+ DAYS PD SECURITIZED ASSETS %
UBPSE844 2001-03-31 9999-12-31 HOME EQUITY LINES/90+ DAYS PD SECURITIZED ASSETS %
UBPSE845 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/90+ DAYS PD SECURITIZED ASSETS %
UBPSE846 2001-03-31 9999-12-31 AUTO LOANS/90+ DAYS PD SECURITIZED ASSETS %
UBPSE847 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/90+ DAYS PD SECURITIZED ASSETS %
UBPSE848 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/90+ DAYS PD SECURITIZED ASSETS %
UBPSE849 2001-03-31 9999-12-31 TOTAL 90 DAY PD SECUR ASSET/90+ DAYS PD SECURITIZED ASSETS %
UBPSE850 2001-03-31 9999-12-31 TOTAL PAST DUE SECURITIZED ASSETS %
UBPSE851 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/NET LOSSES SECURITIZED ASSETS %
UBPSE852 2001-03-31 9999-12-31 HOME EQUITY LINES/NET LOSSES SECURITIZED ASSETS %
UBPSE853 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/NET LOSSES SECURITIZED ASSETS %
UBPSE854 2001-03-31 9999-12-31 AUTO LOANS/NET LOSSES SECURITIZED ASSETS %
UBPSE855 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/NET LOSSES SECURITIZED ASSETS %
UBPSE856 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/NET LOSSES SECURITIZED ASSETS %
UBPSE857 2001-03-31 9999-12-31 NET LOSSES ON SECUR ASSETS/NET LOSSES SECURITIZED ASSETS %
UBPSE858 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/30-80 DAY PD MANAGED ASSETS %
UBPSE859 2001-03-31 9999-12-31 HOME EQUITY LINES/30-80 DAY PD MANAGED ASSETS %
UBPSE860 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/30-80 DAY PD MANAGED ASSETS %
UBPSE861 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/30-80 DAY PD MANAGED ASSETS %
UBPSE862 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/30-80 DAY PD MANAGED ASSETS %
UBPSE863 2001-03-31 9999-12-31 TOTAL 30-89 DAY PD MANAGE ASSET/30-80 DAY PD MANAGED ASSETS %
UBPSE864 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/90+ DAYS PD MANAGED ASSETS %
UBPSE865 2001-03-31 9999-12-31 HOME EQUITY LINES/90+ DAYS PD MANAGED ASSETS %
UBPSE866 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/90+ DAYS PD MANAGED ASSETS %
UBPSE867 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/90+ DAYS PD MANAGED ASSETS %
UBPSE868 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/90+ DAYS PD MANAGED ASSETS %
UBPSE869 2001-03-31 9999-12-31 TOTAL 90 DAY PD MANAGE ASSET/90+ DAYS PD MANAGED ASSETS %
UBPSE870 2001-03-31 9999-12-31 TOTAL PAST DUE MANAGED ASSETS %
UBPSE871 2001-03-31 9999-12-31 1-4 FAMILY RESIDENTIAL LOANS/NET LOSSES ON MANAGED ASSETS %
UBPSE872 2001-03-31 9999-12-31 HOME EQUITY LINES/NET LOSSES ON MANAGED ASSETS %
UBPSE873 2001-03-31 9999-12-31 CREDIT CARD RECEIVABLES/NET LOSSES ON MANAGED ASSETS %
UBPSE874 2001-03-31 9999-12-31 COMMERCIAL & INDUSTRIAL LOANS/NET LOSSES ON MANAGED ASSETS %
UBPSE875 2001-03-31 9999-12-31 ALL OTHER LOANS AND LEASES/NET LOSSES ON MANAGED ASSETS %
UBPSE876 2001-03-31 9999-12-31 NET LOSSES ON MANAGE ASSETS/NET LOSSES ON MANAGED ASSETS %
UBPSE879 2001-03-31 9999-12-31 OTHER REAL ESTATE LOANS AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE880 2001-03-31 9999-12-31 LOANS SECURED BY FARMLAND AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE881 2001-03-31 9999-12-31 LOANS SECURED BY MULTIFAMILY REAL ESTATE AS PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE882 2001-03-31 9999-12-31 LOANS SECURED BY NONFARM NONRESIDENTIAL PROPERTIES AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE883 2007-03-31 9999-12-31 LOANS SECURED BY NONFARM NONRESIDENTIAL OWNER OCCUPIED PROPERTY AS A PERCENT OF TOTAL CAPITAL
UBPSE884 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.
UBPSE885 2001-03-31 9999-12-31 LOANS TO FINANCIAL INSTITUTIONS AS PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE886 2001-03-31 9999-12-31 LOANS TO FINANCE AGRICULTURAL PRODUCTION AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE887 2001-03-31 9999-12-31 COMMERCIAL AND INDUSTRIAL LOANS AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE888 2001-03-31 9999-12-31 LOANS TO INDIVIDUALS IN DOMESTIC OFFICES AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE889 2001-03-31 9999-12-31 CREDIT CARD LOANS AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE890 2001-03-31 9999-12-31 LOANS TO STATE AND LOCAL GOVERNMENTS AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE891 2001-03-31 9999-12-31 LOANS AND LEASES IN FOREIGN OFFICES AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE892 2001-03-31 9999-12-31 OTHER DOMESTIC LOANS AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE893 2001-03-31 9999-12-31 DOMESTIC LEASE FINANCING AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE894 2001-03-31 9999-12-31 LOANS TO FOREIGN GOVERNMENTS AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE895 2001-03-31 9999-12-31 LOANS TO FINANCE COMMERCIAL REAL ESTATE AS A PERCENT OF TOTAL RISK-BASED CAPITAL
UBPSE896 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN COLLECTIVE AND COMMON TRUST FUNDS
UBPSE897 2001-12-31 9999-12-31 TOTAL OF COLLECTIVE AND COMMON TRUST FUNDS TO TOTAL COLLECTIVE AND COMMON TRUST FUNDS
UBPSE898 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN MARKET VALUE OF DOMESTIC EQUITY COMMON AND COLLECTIVE FUNDS
UBPSE899 2001-12-31 9999-12-31 MARKET VALUE OF DOMESTIC EQUITY COMMON AND COLLECTIVE FUNDS AS PERCENT OF TOTAL COMMON AND COLLECTIVE FUNDS
UBPSE900 2001-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN MARKET VALUE OF INTERNATIONAL GLOBAL COMMON AND COLLECTIVE FUNDS
UBPSE901 2001-12-31 9999-12-31 MARKET VALUE OF INTERNATIONAL GLOBAL COMMON AND COLLECTIVE FUNDS AS PERCENT OF TOTAL COMMON AND COLLECTIVE FUNDS
UBPSE902 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN MARKET VALUE OF MUNICIPAL BOND COMMON AND COLLECTIVE FUNDS
UBPSE903 2001-12-31 9999-12-31 MARKET VALUE OF MUNICIPAL BOND COMMON AND COLLECTIVE FUNDS AS PERCENT OF TOTAL COMMON AND COLLECTIVE FUNDS
UBPSE904 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN MARKET VALUE OF SHORT TERM MONEY MARKET COMMON AND COLLECTIVE FUNDS
UBPSE905 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
UBPSE906 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN MARKET VALUE OF SPECIALTY AND OTHER COMMON AND COLLECTIVE FUNDS
UBPSE907 2001-12-31 9999-12-31 MARKET VALUE OF SPECIALTY AND OTHER COMMON AND COLLECTIVE FUNDS AS PERCENT OF TOTAL COMMON AND COLLECTIVE FUNDS
UBPSE908 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN MARKET VALUE OF STOCK AND BOND BLEND COMMON AND COLLECTIVE FUNDS
UBPSE909 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
UBPSE910 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN MARKET VALUE OF TAXABLE BOND COMMON AND COLLECTIVE FUNDS
UBPSE911 2001-12-31 9999-12-31 MARKET VALUE OF TAXABLE BOND COMMON AND COLLECTIVE FUNDS AS PERCENT OF TOTAL COMMON AND COLLECTIVE FUNDS
UBPSE912 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL INCOME FROM EMPLOYEE BENEFIT DEFINED CONTRIBUTION
UBPSE913 2001-12-31 9999-12-31 TOTAL NUMBER OF EMPLOYEE BENEFIT DEFINED CONTRIBUTION TO TOTAL FIDUCIARY INCOME
UBPSE914 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL FIDUCIARY EXPENSES
UBPSE915 2001-12-31 9999-12-31 TOTAL FIDUCIARY EXPENSES TO TOTAL INCOME FROM FIDUCIARY SOURCES
UBPSE916 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM ALL FIDUCIARY ACCOUNTS HELD IN FOREIGN OFFICES
UBPSE917 2001-12-31 9999-12-31 TOTAL INCOME FROM FIDUCIARY ACCOUNTS IN FOREIGN OFFICES TO TOTAL INCOME FROM FIDUCIARY ASSETS
UBPSE918 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NET INCOME FROM FIDUCIARY AND RELATED SERVICES
UBPSE919 2001-12-31 9999-12-31 NET INCOME FROM FIDUCIARY AND RELATED SERVICES TO TOTAL FIDUCIARY INCOME
UBPSE920 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE INTRACOMPANY CREDITS FOR FIDUCIARY AND RELATED SERVICES
UBPSE921 2001-12-31 9999-12-31 INTRACOMPANY CREDITS FOR FIDUCIARY AND RELATED SERVICES TO TOTAL FIDUCIARY INCOME
UBPSE922 2002-12-31 9999-12-31 ANNUAL PERCENT CHANG IN NET LOSSES FROM FIDUCIARY ACTIVITIES
UBPSE923 2001-12-31 9999-12-31 NET LOSSES FROM FIDUCIARY AND RELATED SERVICES TO TOTAL FIDUCIARY INCOME
UBPSE924 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM OTHER FIDUCIARY SERVICES
UBPSE925 2001-12-31 9999-12-31 TOTAL INCOME FROM OTHER FIDUCIARY ACCOUNTS TO TOTAL FIDUCIARY INCOME
UBPSE926 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM OTHER RELATED SERVICES
UBPSE927 2001-12-31 9999-12-31 TOTAL INCOME OTHER RELATED SERVICES TO TOTAL FIDUCIARY INCOME
UBPSE928 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM INVESTMENT MANAGEMENT AGENCY ACCOUNTS
UBPSE929 2001-12-31 9999-12-31 TOTAL INCOME FROM INVESTMENT MANAGEMENT AGENCY ACCOUNTS TO TOTAL NUMBER FIDUCIARY INCOME
UBPSE930 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL INCOME PERSONAL TRUST AND AGENCY ACCOUNTS
UBPSE931 2001-12-31 9999-12-31 TOTAL INCOME OF PERSONAL TRUST AND AGENCY ACCOUNTS TO TOTAL INCOME TRUST ASSETS
UBPSE932 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM OTHER RETIREMENT ACCOUNTS
UBPSE933 2001-12-31 9999-12-31 TOTAL INCOME FROM OTHER RETIREMENT ACCOUNTS TO TOTAL FIDUCIARY INCOME
UBPSE934 2001-12-31 9999-12-31 GROSS FIDUCIARY INCOME TO NONINTEREST INCOME
UBPSE941 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF CORPORATE AND MUNICIPAL TRUSTEESHIPS
UBPSE942 2001-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF OTHER CORPORATE AGENCY, TRANSFER AGENT AND OTHER ACCOUNTS
UBPSE943 2001-12-31 9999-12-31 ANNUALIZED INCOME FROM CORPORATE TRUST AND AGENCY ACCOUNTS AS A PERCENT OF MANAGED AND NONMANAGED ASSETS
UBPSE944 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM CORPORATE TRUST AND AGENCY ACCOUNTS
UBPSE945 2001-12-31 9999-12-31 TOTAL INCOME FROM CORPORATE TRUST AND AGENCY ACCOUNTS TO TOTAL NUMBER FIDUCIARY INCOME
UBPSE946 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF CORPORATE TRUST AND AGENCY ACCOUNTS MANAGED AND NONMANAGED
UBPSE947 2001-12-31 9999-12-31 TOTAL NUMBER OF CORPORATE TRUST AND AGENCY ACCOUNTS MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS
UBPSE948 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
UBPSE949 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN CORPORATE TRUST AND AGENCY ACCOUNTS MANAGED AND NONMANAGED
UBPSE950 2001-12-31 9999-12-31 TOTAL OF CORPORATE TRUST AND AGENCY ACCOUNTS MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS
UBPSE951 2001-12-31 9999-12-31 TOTAL OF OTHER CORPORATE TRUST AND AGENCY ACCOUNTS MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED
UBPSE952 2001-12-31 9999-12-31 ANNUALIZED INCOME FROM CUSTODIAL AND SAFEKEEPING ACCOUNTS AS PERCENT OF NONMANAGED ASSETS
UBPSE953 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM CUSTODY SAFE KEEPING
UBPSE954 2001-12-31 9999-12-31 TOTAL INCOME FROM CUSTODY SAFEKEEPING TO TOTAL FIDUCIARY INCOME
UBPSE955 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER CUSTODY SAFEKEEPING ACCOUNTS NONMANAGED
UBPSE956 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN CUSTODY SAFEKEEPING ACCOUNTS NONMANAGED
UBPSE957 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN INCOME FROM EMPLOYEE BENEFIT DEFINED BENEFIT
UBPSE958 2001-12-31 9999-12-31 TOTAL INCOME FROM OF EMPLOYEE BENEFIT DEFINED BENEFIT TO TOTAL FIDUCIARY INCOME
UBPSE959 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF EMPLOYEE BENEFIT DEFINED BENEFIT
UBPSE960 2001-12-31 9999-12-31 TOTAL NUMBER OF EMPLOYEE BENEFIT DEFINED BENEFIT MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS DEFINED BENEFIT
UBPSE961 2001-12-31 9999-12-31 TOTAL NUMBER OF EMPLOYEE BENEFIT DEFINED BENEFIT MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED
UBPSE962 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN EMPLOYEE BENEFIT DEFINED BENEFIT
UBPSE963 2001-12-31 9999-12-31 TOTAL OF EMPLOYEE BENEFIT DEFINED BENEFIT MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS DEFINED BENEFIT
UBPSE964 2001-12-31 9999-12-31 TOTAL OF EMPLOYEE BENEFIT DEFINED BENEFIT MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED
UBPSE965 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL NUMBER EMPLOYEE BENEFIT DEFINED CONTRIBUTION
UBPSE966 2001-12-31 9999-12-31 TOTAL NUMBER OF EMPLOYEE BENEFITS DEFINED CONTRIBUTION MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS DEFINED CONTRIBUTION
UBPSE967 2001-12-31 9999-12-31 TOTAL NUMBER OF EMPLOYEE BENEFIT DEFINED CONTRIBUTION MANAGED AND NONMANAGED TO TOTAL NUMBER TRUST ASSETS MANAGED AND NONMANAGED
UBPSE968 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN TOTAL EMPLOYEE BENEFIT DEFINED CONTRIBUTION
UBPSE969 2001-12-31 9999-12-31 TOTAL OF EMPLOYEE BENEFITS DEFINED CONTRIBUTION MANAGED TO TOTAL PERSONAL AND AGENCY ACCOUNTS DEFINED CONTRIBUTION
UBPSE970 2001-12-31 9999-12-31 TOTAL OF EMPLOYEE BENEFIT DEFINED CONTRIBUTION MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED
UBPSE971 2001-12-31 9999-12-31 ANNUALIZED INCOME FROM EMPLOYEE BENEFIT DIRECT BENEFIT AS A PERCENT OF MANAGED AND NONMANAGED ASSETS
UBPSE972 2001-12-31 9999-12-31 ANNUALIZED INCOME FROM EMPLOYEE BENEFIT DIRECT CONTRIBUTION AS A PERCENT OF MANAGED AND NONMANAGED ASSETS
UBPSE973 2001-12-31 9999-12-31 ANNUALIZED INCOME FROM FIDUCIARY ACCOUNTS IN FOREIGN OFFICES AS PERCENT OF MANAGED AND NONMANAGED ASSETS
UBPSE974 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF ALL FIDUCIARY ACCOUNTS HELD IN FOREIGN OFFICES NONMANAGED AND MANAGED
UBPSE975 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
UBPSE976 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN ALL FIDUCIARY ACCOUNTS HELD IN FOREIGN OFFICES NONMANAGED AND MANAGED
UBPSE977 2001-12-31 9999-12-31 TOTAL OF ALL FIDUCIARY ACCOUNTS IN FOREIGN OFFICES MANAGED TO TOTAL FIDUCIARY ASSETS MANAGED AND NONMANAGED
UBPSE978 2001-12-31 9999-12-31 GROSS FIDUCIARY LOSSES ON MANAGED OTHER FIDUCIARY ACCOUNTS AS PERCENT OF RELATED INCOME
UBPSE979 2001-12-31 9999-12-31 GROSS FIDUCIARY LOSSES ON NONMANAGED OTHER FIDUCIARY ACCOCUNTS AS PERCENT OF RELATED INCOME
UBPSE980 2001-12-31 9999-12-31 ANNUALIZED INCOME FROM OTHER FIDUCIARY ACCOUNTS AS PERCENT OF MANAGED AND NONMANAGED ASSETS
UBPSE981 2001-12-31 9999-12-31 NET OTHER FIDUCIARY LOSSES AS PERCENT OF RELATED INCOME
UBPSE982 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF OTHER FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED
UBPSE983 2001-12-31 9999-12-31 TOTAL NUMBER OF OTHER FIDUCIARY ACCOUNTS MANAGED TO TOTAL NUMBER OTHER FIDUCIARY ACCOUNTS
UBPSE984 2001-12-31 9999-12-31 TOTAL NUMBER OF OTHER FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED
UBPSE985 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN OTHER FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED
UBPSE986 2001-12-31 9999-12-31 TOTAL OF OTHER FIDUCIARY ACCOUNTS MANAGED TO TOTAL OTHER FIDUCIARY ACCOUNTS
UBPSE987 2001-12-31 9999-12-31 TOTAL OF OTHER FIDUCIARY ACCOUNTS MANAGED AND NONMANAGED TO TOTAL TRUST ASSETS MANAGED AND NONMANAGED
UBPSE988 2001-12-31 9999-12-31 TOTAL GROSS FIDUCIARY LOSSES ON MANAGED ACCOUNTS AS PERCENT OF RELATED INCOME
UBPSE989 2001-12-31 9999-12-31 TOTAL GROSS LOSSES ON NONMANAGED FIDUCIARY ACCOUNTS AS PERCENT OF RELATED INCOME
UBPSE990 2001-12-31 9999-12-31 TOTAL NET FIDUCIARY LOSSES ON ALL ACCOUNTS AS PERCENT OF RELATED INCOME
UBPSE991 2001-12-31 9999-12-31 GROSS MANAGED FIDUCIARY LOSSES ON INVESTMENT MANAGEMENT AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME
UBPSE992 2001-12-31 9999-12-31 GROSS FIDUCIARY LOSSES ON NONMANAGED INVESTMENT MANAGEMENT AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME
UBPSE993 2001-12-31 9999-12-31 ANNUALIZED INCOME FROM INVESTMENT MANAGEMENT AGENCY ACCOUNTS AS PERCENT OF MANAGED AND NONMANAGED ASSETS
UBPSE994 2001-12-31 9999-12-31 NET FIDUCIARY LOSSES ON INVESTMENT MANAGEMENT AGENCY ACCOUNTS AS PERCENT OF RELATED INCOME
UBPSE995 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN NUMBER OF INVESTMENT MANAGEMENT AGENCY ACCOUNTS MANAGED
UBPSE996 2001-12-31 9999-12-31 TOTAL NUMBER OF INVESTMENT MANAGEMENT AGENCY ACCOUNTS MANAGED TO TOTAL NUMBER INVESTMENT MANAGEMENT ACCOUNTS
UBPSE997 2001-12-31 9999-12-31 TOTAL NUMBER OF INVESTMENT MANAGEMENT AGENCY ACCOUNTS MANAGED TO TOTAL NUMBER TRUST ASSETS MANAGED AND NONMANAGED
UBPSE998 2002-12-31 9999-12-31 ANNUAL PERCENT CHANGE IN INVESTMENT MANAGEMENT AGENCY ACCOUNTS MANAGED
UBPSE999 2001-12-31 9999-12-31 TOTAL OF INVESTMENT MANAGEMENT AGENCY ACCOUNTS MANAGED TO TOTAL INVESTMENT MANAGEMENT ACCOUNTS
UBPSF896 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
UBPSF897 2008-03-31 9999-12-31 YIELD ON LOANS SECURED BY 1 TO 4 FAMILY RESIDENCES
UBPSF899 2008-03-31 9999-12-31 YIELD ON LOANS SECURED BY OTHER RESL ESTATE
UBPSF900 2008-03-31 9999-12-31 1 QUARTER YIELD ON LOANS SECURED BY 1 TO 4 FAMILY PROPERTIED
UBPSF901 2008-03-31 9999-12-31 1 QUARTER YIELD ON OTHER REAL ESTATE LOANS
UBPSFB60 2002-03-31 9999-12-31 NET LOSS % 1-4 FAMILY 1ST LIEN LOANS
UBPSFB61 2002-03-31 9999-12-31 NET LOSS % 1-4 FAMILY JR LIEN LOANS
UBPSFB64 2011-03-31 9999-12-31 NET LOSS % AUTO LOANS
UBPSFB66 2001-03-31 9999-12-31 NET LOSS % FINANCIAL INSTITUTION LOANS
UBPSFB69 2007-03-31 9999-12-31 NET LOSS % LEASES TO INDIVIDUALS
UBPSFB70 2007-03-31 9999-12-31 NET LOSS % ALL OTHER LEASES
UBPSFB71 2001-03-31 9999-12-31 LOAN MIX 1-4 FAMILY 1ST LIEN LOANS
UBPSFB72 2001-03-31 9999-12-31 LOAN MIX 1-4 FAMILY JR LIEN LOANS
UBPSFB74 2001-03-31 9999-12-31 LOAN MIX RE LOANS IN FO
UBPSFB75 2011-03-31 9999-12-31 LOAN MIX AUTO LOANS
UBPSFB76 2007-03-31 9999-12-31 LOAN MIX LEASES TO INDIVIDUALS
UBPSFB77 2007-03-31 9999-12-31 LOAN MIX ALL OTHER LEASES
UBPSFB78 2001-03-31 9999-12-31 RATIO 1-4 FAMILY 1ST LIEN LOANS TO CAPITAL
UBPSFB79 2001-03-31 9999-12-31 RATIO 1-4 FAMILY JR LIEN LOANS TO CAPITAL
UBPSFB80 2001-03-31 9999-12-31 RATIO RE LOANS IN FO TO CAPITAL
UBPSFB81 2011-03-31 9999-12-31 RATIO AUTO LOANS TO CAPITAL
UBPSFB82 2007-03-31 9999-12-31 RATIO LEASES TO INDIVIDUALS TO CAPITAL
UBPSFB83 2007-03-31 9999-12-31 RATIO ALL OTHER LEASES TO CAPITAL
UBPSFB84 2001-03-31 9999-12-31 SECURED BY FARMLAND 90+ DAYS PD RATIO
UBPSFB85 2001-03-31 9999-12-31 SECURED BY FARMLAND NONACCRUAL RATIO
UBPSFB86 2001-03-31 9999-12-31 SECURED BY FARMLAND TOTAL DLNQT RATIO
UBPSFB87 2001-03-31 9999-12-31 SECURED BY FARMLAND 30-89 DAYS PD RATIO
UBPSFB88 2001-03-31 9999-12-31 HOME EQUITY 90+ DAYS PD RATIO
UBPSFB89 2001-03-31 9999-12-31 HOME EQUITY NONACCRUAL RATIO
UBPSFB90 2001-03-31 9999-12-31 HOME EQUITY TOTAL DLNQT RATIO
UBPSFB91 2001-03-31 9999-12-31 HOME EQUITY 30-89 DAYS PD RATIO
UBPSFB92 2002-03-31 9999-12-31 1-4 FAMILY 1ST LIEN 90+ DAYS PD RATIO
UBPSFB93 2002-03-31 9999-12-31 1-4 FAMILY 1ST LIEN NONACCRUAL RATIO
UBPSFB94 2002-03-31 9999-12-31 1-4 FAMILY 1ST LIEN TOTAL DLNQT RATIO
UBPSFB95 2002-03-31 9999-12-31 1-4 FAMILY 1ST LIEN 30-89 DAYS PD RATIO
UBPSFB96 2002-03-31 9999-12-31 1-4 FAMILY JR LIEN 90+ DAYS PD RATIO
UBPSFB97 2002-03-31 9999-12-31 1-4 FAMILY JR LIEN NONACCRUAL RATIO
UBPSFB98 2002-03-31 9999-12-31 1-4 FAMILY JR LIEN TOTAL DLNQT RATIO
UBPSFB99 2002-03-31 9999-12-31 1-4 FAMILY JR LIEN 30-89 DAYS PD RATIO
UBPSFC00 2001-03-31 9999-12-31 MULTIFAMILY 90+ DAYS PD RATIO
UBPSFC01 2001-03-31 9999-12-31 MULTIFAMILY NONACCRUAL RATIO
UBPSFC02 2001-03-31 9999-12-31 MULTIFAMILY TOTAL DLNQT RATIO
UBPSFC03 2001-03-31 9999-12-31 MULTIFAMILY 30-89 DAYS PD RATIO
UBPSFC07 2001-03-31 9999-12-31 FINANCIAL INSTITUTION LOANS 90+ DAYS PD RATIO
UBPSFC08 2001-03-31 9999-12-31 FINANCIAL INSTITUTION LOANS NONACCRUAL RATIO
UBPSFC09 2001-03-31 9999-12-31 FINANCIAL INSTITUTION LOANS TOTAL DLNQT RATIO
UBPSFC10 2001-03-31 9999-12-31 FINANCIAL INSTITUTION LOANS 30-89 DAYS PD RATIO
UBPSFC11 2011-03-31 9999-12-31 AUTO LOANS 90+ DAYS PD RATIO
UBPSFC12 2011-03-31 9999-12-31 AUTO LOANS NONACCRUAL RATIO
UBPSFC13 2011-03-31 9999-12-31 AUTO LOANS TOTAL DLNQT RATIO
UBPSFC14 2011-03-31 9999-12-31 AUTO LOANS 30-89 DAYS PD RATIO
UBPSFC15 2007-03-31 9999-12-31 LEASES TO INDIVIDUALS 90+ DAYS RATIO
UBPSFC16 2007-03-31 9999-12-31 LEASES TO INDIVIDUALS NONACCRUAL RATIO
UBPSFC17 2007-03-31 9999-12-31 LEASES TO INDIVIDUALS TOTAL DLNQT RATIO
UBPSFC18 2007-03-31 9999-12-31 LEASES TO INDIVIDUALS 30-89 DAYS RATIO
UBPSFC19 2007-03-31 9999-12-31 ALL OTHER LEASES 90+ DAYS RATIO
UBPSFC20 2007-03-31 9999-12-31 ALL OTHER LEASES NONACCRUAL RATIO
UBPSFC21 2007-03-31 9999-12-31 ALL OTHER LEASES TOTAL DLNQT RATIO
UBPSFC22 2007-03-31 9999-12-31 ALL OTHER LEASES 30-89 DAYS RATIO
UBPSH036 2016-03-31 9999-12-31 ADVANCED APPROACHES ONLY: SUPPLEMENTENTARY LEVERAGE RATIO
UBPSHN99 2017-03-31 9999-12-31 OTHER INTEREST EXPENSE YIELD
UBPSHP01 2017-03-31 9999-12-31 OTHER INTEREST EXPENSE CURRENT QUARTER YIELD
UBPSHP05 2017-03-31 9999-12-31 NON-INTEREST RATE DERIVATIVE CONTRACTS PERCENT OF TOTAL
UBPSHP06 2017-03-31 9999-12-31 HELD FOR TRADING NON-INTEREST RATE DERIVATIVE CONTRACTS PERCENT OF TOTAL
UBPSHP07 2017-03-31 9999-12-31 NON TRADED NON-INTEREST RATE DERIVATIVE CONTRACTS PERCENT OF TOTAL
UBPSHR49 2017-03-31 9999-12-31 INTEREST ON DOMESTIC DEPOSITS ONE YEAR RROWTH RATE
UBPSHR50 2017-03-31 9999-12-31 INTEREST ON TIME DEPOSITS OVER $250M ONE YEAR GROWTH RATE
UBPSHR55 2017-03-31 9999-12-31 COST OF TIME DEPOSITS
UBPSHR56 2017-03-31 9999-12-31 COST OF TIME DEPOSITS OVER $250M
UBPSHR60 2017-03-31 9999-12-31 TIME DEPS - ONE QTR ANN COST
UBPSHR62 2017-03-31 9999-12-31 TIME DEPS OVER $250,000 - ONE QTR ANN COST
UBPSJ243 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
UBPSJ245 2001-03-31 9999-12-31 EQUITY CAPITAL PLUS MINORITY INTERESTS AS A PERCENT OT TOTAL ASSETS
UBPSJ247 2009-03-31 9999-12-31 ONE QUARTER ANNUALIZED NET INCOME ATTRIBUTABLE TO MINORITY INTERESTS AS A PERCENT OF 1 QUARTER AVERAGE ASSETS
UBPSJ248 2009-03-31 9999-12-31 ANNUALIZED NET INCOME ATTRIBUTABLE TO MINORITY INTERESTS AS A PERCENT OF YEAR TO DATE AVERAGE ASSETS.
UBPSJ249 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
UBPSJ250 2001-03-31 9999-12-31 FIVE PERIOD AVERAGE OF INVESTMENTS ON OTHER SUBSIDIARIES AS A PERCENT OF FIVE PERIOD AVERAGE OF TOTAL ASSETS
UBPSJ251 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
UBPSJA32 2018-03-31 9999-12-31 Equity securities with readily determinable fair values not held for trading as a percent of average Assets
UBPSJA33 2018-03-31 9999-12-31 Unrealized holding gains (losses) on equity securities not held for trading as a percent of average assets
UBPSJA34 2018-03-31 9999-12-31 Unrealized holding gains (losses) on equity securities not held for trading 1 year percent change
UBPSJA35 2018-03-31 9999-12-31 Unrealized holding gains (losses) on equity securities not held for trading as a percent of average assets
UBPSK264 2001-03-31 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
UBPSK265 2001-03-31 9999-12-31 GUARANTEED PORTION OF LOANS AND LEASES ON NONACCRUAL AS A PERCENT OF TOTAL NONACCRUAL LOANS AND LEASES
UBPSK266 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
UBPSK440 2001-03-31 9999-12-31 DEPOSITS BELOW INSURANCE LIMIT AS PERCENT OF AVERAGE ASSETS
UBPSK441 2001-03-31 9999-12-31 FULLY INSURED BROKERED DEPOSITS AS PERCENT OF AVERAGE ASSETS
UBPSK442 2001-03-31 9999-12-31 DEMAND, NOW, ATS, MMDA AND DEPOSITS BELOW INSURANCE LIMIT AS A PERCENT OF AVERAGE ASSETS
UBPSK443 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
UBPSK444 2001-03-31 9999-12-31 TIME DEPOSITS ABOVE INSURANCE LIMIT AS A PERCENT OF AVERAGE ASSETS
UBPSK447 2001-03-31 9999-12-31 NONCORE FUNDING DEPENDENCY RATIO DEFINED USING DEPOSITS INSURANCE LIMITS FOR TIME DEPOSITS
UBPSKW07 2019-03-31 9999-12-31 Provision for credit losses on all other assets as a percent of average assets
UBPSKW10 2019-03-31 9999-12-31 One quarter annualized provision for credit losses on all other assets divided by average assets.
UBPSKW14 2019-03-31 9999-12-31 Held to maturity securities allowance as a percent of Average Assets
UBPSKY36 2020-03-31 9999-12-31 COMMUNITY BANK LEVERAGE RATIO
UBPSL110 2001-03-31 9999-12-31 ESTIMATED TAX BENEFIT ON LOANS / 1 YEAR PERCENT CHANGE
UBPSL111 2001-03-31 9999-12-31 ESTIMATED TAX BENEFIT ON SECURITIES / 1 YEAR PERCENT CHANGE
UBPSL112 2001-03-31 9999-12-31 APPLICABLE INCOME TAXES / 1 YEAR PERCENT CHANGE
UBPSL113 2001-03-31 9999-12-31 CURRENT TAX EQUIV ADJUSTMENT / 1 YEAR PERCENT CHANGE
UBPSL114 2001-03-31 9999-12-31 OTHER TAX EQUIV ADJUSTMENTS / 1 YEAR PERCENT CHANGE
UBPSL115 2001-03-31 9999-12-31 APPLICABLE INCOME TAXES (TE) / 1 YEAR PERCENT CHANGE
UBPSL116 2001-03-31 9999-12-31 EXTRAORDINARY ITEMS & OTHER ADJUSTMENTS, NET OF INCOME TAXES / 1 YEAR PERCENT CHANGE
UBPSL117 2001-03-31 9999-12-31 NET INCOME (LOSS) DUE TO NONCONTROLLING MINORITY INTERESTS / 1 YEAR PERCENT CHANGE
UBPSL118 2001-03-31 9999-12-31 FED FUNDS SOLD & SECURITIES PURCHASED UNDER REPURCHASE AGREEMENTS / 1 QTR PERCENT CHANGE
UBPSL119 2001-03-31 9999-12-31 FED FUNDS SOLD & SECURITIES PURCHASED UNDER REPURCHASE AGREEMENTS / 1 YEAR PERCENT CHANGE
UBPSL120 2001-03-31 9999-12-31 TOTAL INVESTMENTS / 1 QTR PERCENT CHANGE
UBPSL121 2001-03-31 9999-12-31 TOTAL INVESTMENTS / 1 YEAR PERCENT CHANGE
UBPSL122 2001-03-31 9999-12-31 TOTAL EARNING ASSETS / 1 QTR PERCENT CHANGE
UBPSL123 2001-03-31 9999-12-31 TOTAL EARNING ASSETS / 1 YEAR PERCENT CHANGE
UBPSL124 2001-03-31 9999-12-31 DIRECT & INDIRECT INVESTMENTS IN REAL ESTATE VENTURES / 1 QTR PERCENT CHANGE
UBPSL125 2001-03-31 9999-12-31 DIRECT & INDIRECT INVESTMENTS IN REAL ESTATE VENTURES / 1 YEAR PERCENT CHANGE
UBPSL126 2001-03-31 9999-12-31 INVESTMENTS IN UNCONSOLIDATED SUBS AND ASSOCIATED COMPANIES / 1 QTR PERCENT CHANGE
UBPSL127 2001-03-31 9999-12-31 INVESTMENTS IN UNCONSOLIDATED SUBS AND ASSOCIATED COMPANIES / 1 YEAR PERCENT CHANGE
UBPSL128 2001-03-31 9999-12-31 FEDERAL FUNDS PURCHASED AND RESALE / 1 QTR PERCENT CHANGE
UBPSL129 2001-03-31 9999-12-31 FEDERAL FUNDS PURCHASED AND RESALE / 1 YEAR PERCENT CHANGE
UBPSM004 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF INDIVIDIVIDUAL, PARTNERSHIPS, AND CORPORATIONS/PERCENT OF TOTAL DEPOSITS
UBPSM005 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF U.S. GOVERNMENT, STATES AND POLITICAL SUBDIVISIONS IN US/PERCENT OF TOTAL DEPOSITS
UBPSM006 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF COMMERCIAL BANKS AND OTHER DEPOSITORY INSTITUTIONS IN US/PERCENT OF TOTAL DEPOSITS
UBPSM007 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF BANKS IN FOREIGN COUNTRIES/ PERCENT OF TOTAL DEPOSITS
UBPSM008 2001-03-31 9999-12-31 DOMESTIC AND FOREIGN DEPOSITS OF FOREIGN GOVERNMENTS AND OFFICIAL INSTITUTIONS / PERCENT OF TOTAL DEPOSITS
UBPSM009 2001-03-31 9999-12-31 DOMESTIC DEMAND DEPOSITS / PERCENT OF TOTAL DEPOSITS
UBPSM010 2001-03-31 9999-12-31 DOMESTIC OTHER TRANSACTION ACCOUNTS / PERCENT OF TOTAL DEPOSITS
UBPSM011 2001-03-31 9999-12-31 DOMESTIC NON TRANSACTION ACCOUNT / PERCENT OF TOTAL DEPOSITS
UBPSM012 2001-03-31 9999-12-31 TOTAL DOMESTIC DEPOSITS / PERCENT OF TOTAL DEPOSITS
UBPSM013 2001-03-31 9999-12-31 DEPOSITS IN FOREIGN OFFICES / PERCENT OF TOTAL DEPOSITS
UBPSM014 2011-03-31 9999-12-31 DEPOSITS OBTAINED THROUGH USE OF DEPOSIT LISTING SERVICES / PERCENT OF TOTAL DEPOSITS
UBPSM015 2011-03-31 9999-12-31 DEPOSITS OBTAINED THROUGH USE OF DEPOSIT LISTING SERVICES AND BROKERED DEPOSITS / PERCENT OF TOTAL DEPOSITS
UBPSM016 2011-03-31 9999-12-31 SECURED BORROWINGS SECURED FEDERAL FUND PURCHASED / PERCENT OF TOTAL BORROWINGS FEDERAL FUNDS PURCHASED
UBPSM017 2009-06-30 9999-12-31 RECIPROCAL BROKERED DEPOSITS / PERCENT OF TOTAL BROKERED DEPOSITS
UBPSM026 2009-06-30 9999-12-31 PLEDGED ASSETS / PERCENT OF TOTAL ASSETS
UBPSM027 2001-03-31 9999-12-31 US TREASURIES AND GOVERNMENT AGENCIES / PERCENT OF TOTAL SECURITIES
UBPSM028 2001-03-31 9999-12-31 MUNICIPAL SECURITIES / PERCENT OF TOTAL SECURITIES
UBPSM029 2001-03-31 9999-12-31 PASS-THROUGH MORTGAGE BACKED SECURITIES / PERCENT OF TOTAL SECURITIES
UBPSM030 2001-03-31 9999-12-31 CMO AND REMIC MORTGAGE BACKED SECURITIES / PERCENT OF TOTAL SECURITIES
UBPSM031 2009-06-30 9999-12-31 COMMERCIAL MORTGAGE BACKED SECURITIES / PERCENT OF TOTAL SECURITIES
UBPSM032 2001-03-31 9999-12-31 ASSET BACKED SECURITIES / PERCENT OF TOTAL SECURITIES
UBPSM033 2009-06-30 9999-12-31 STRUCTURED FINANCE PRODUCTS / PERCENT OF TOTAL SECURITIES
UBPSM034 2001-03-31 9999-12-31 OTHER DOMESTIC DEBT SECURITIES / PERCENT OF TOTAL SECURITIES
UBPSM035 2001-03-31 9999-12-31 FOREIGN DEBT SECURITIES / PERCENT OF TOTAL SECURITIES
UBPSM036 2001-03-31 9999-12-31 INVESTMENTS IN MUTUAL FUNDS AND OTHER MARKETABLE SECURITIES / PERCENT OF TOTAL SECURITIES
UBPSM037 2001-03-31 9999-12-31 APPRECIATION IN AVAILABLE FOR SALE SECURITIES / PERCENT OF AVAILABLE FOR SALE SECURITIES
UBPSM038 2009-06-30 9999-12-31 PLEDGED LOANS / PERCENT OF TOTAL LOANS
UBPSM039 2001-03-31 9999-12-31 LOANS HELD FOR SALE / PERCENT OF TOTAL LOANS
UBPSM040 2001-03-31 9999-12-31 TOTAL OF ALL DEPOSIT CATEGORIES AS A PERCENTAGE OF TOTAL DEPOSITS
UBPSM041 2001-03-31 9999-12-31 TOTAL DEPOSITS AS A PERCENTAGE OF TOTAL DEPOSITS
UBPSM042 2001-03-31 9999-12-31 TOTAL OF ALL SECURITIES CATEGORIES AS A PERCENTAGE OF TOTAL SECURITIES
UBPSNC98 2001-03-31 9999-12-31 Non-Current Loans and leases and all other real estate owned divided by Tier 1 Capital plus ALLL
UBPSNL33 2010-03-31 9999-12-31 3 YEAR NOO CRE GROWTH RATIO
UBPSPG67 2001-03-31 9999-12-31 INT TIME DEP OVER INS LIMIT YTD %
UBPSPG68 2001-03-31 9999-12-31 INT TIME DEP OVER INS LIMIT QTR %
UBPSPG69 2001-03-31 9999-12-31 PRE PROVISION NET REVENUE YTD % OF AA
UBPSPG70 2001-03-31 9999-12-31 PRE PROVISION NET REVENUE QTR % OF AA
UBPSPM98 2001-03-31 9999-12-31 Avg Total Loan & Leases As % of Avg Assets
UBPSPM99 2001-03-31 9999-12-31 Avg Loans in Domestic Offices As % of Avg Assets
UBPSPN00 2001-03-31 9999-12-31 Avg Real Estate As % of Avg Assets
UBPSPN01 2008-03-31 9999-12-31 Avg Secured by 1-4 Fam Resi Prop As % of Avg Assets
UBPSPN02 2008-03-31 9999-12-31 Avg All Other Loans Sec Real Estate As % of Avg Assets
UBPSPN03 2001-03-31 9999-12-31 Avg Commercial & Industrial As % of Avg Assets
UBPSPN04 2001-03-31 9999-12-31 Avg Individual As % of Avg Assets
UBPSPN05 2001-03-31 9999-12-31 Avg Credit Card As % of Avg Assets
UBPSPN06 2001-03-31 9999-12-31 Avg Agricultural As % of Avg Assets
UBPSPN07 2001-03-31 9999-12-31 Avg Loans in Foreign Offices As % of Avg Assets
UBPSPN08 2001-03-31 9999-12-31 Avg Total Investment Securities As % of Avg Assets
UBPSPN09 2001-03-31 9999-12-31 Avg US Treas & Agency (Excl MBS) As % of Avg Assets
UBPSPN10 2001-03-31 9999-12-31 Avg Mortgage Backed Securities As % of Avg Assets
UBPSPN11 2001-03-31 9999-12-31 Avg All Other Securities As % of Avg Assets
UBPSPN12 2001-03-31 9999-12-31 Avg Interest-Bearing Bank Balances As % of Avg Assets
UBPSPN13 2001-03-31 9999-12-31 Avg Federal Funds Sold & Resales As % of Avg Assets
UBPSPN14 2001-03-31 9999-12-31 Avg Total Interest Bearing Deposits As % of Avg Assets
UBPSPN15 2001-03-31 9999-12-31 Avg Transaction accounts As % of Avg Assets
UBPSPN16 2001-03-31 9999-12-31 Avg Other Savings Deposits As % of Avg Assets
UBPSPN17 2017-03-31 9999-12-31 Avg Time Deposits As % of Avg Assets
UBPSPN18 2001-03-31 9999-12-31 Avg Foreign Office Deposits As % of Avg Assets
UBPSPN19 2001-03-31 9999-12-31 Avg Federal Funds Purchased & Repos As % of Avg Assets
UBPSPN20 2001-03-31 9999-12-31 Avg Other Borrowed Money As % of Avg Assets
UBPSPN21 2001-03-31 9999-12-31 Avg Subord Notes & Debentures As % of Avg Assets
UBPSPN22 2017-03-31 9999-12-31 Avg Other Interest Bearing Funds As % of Avg Assets
UBPSPN23 2001-03-31 9999-12-31 Avg All Interest-Bearing Funds As % of Avg Assets
UBPSPN24 2001-03-31 9999-12-31 Avg Time Dep Over Ins Limit As % of Avg Assets
UBPSPN25 2001-03-31 9999-12-31 Fiduciary Activities Non-Int Inc As % of Avg Assets
UBPSPN26 2001-03-31 9999-12-31 Deposit Service Charges Non-Int Inc As % of Avg Assets
UBPSPN27 2003-03-31 9999-12-31 Trading, Vent Cap, Securtz Inc Non-Int Inc As % of Avg Assets
UBPSPN28 2001-03-31 9999-12-31 Inv Banking, Advisory Inc Non-Int Inc As % of Avg Assets
UBPSPN29 2001-03-31 9999-12-31 Insurance Comm & Fees Non-Int Inc As % of Avg Assets
UBPSPN30 2003-03-31 9999-12-31 Net Servicing Fees Non-Int Inc As % of Avg Assets
UBPSPN31 2001-03-31 9999-12-31 Loan & Lse Net Gains/Loss Non-Int Inc As % of Avg Assets
UBPSPN32 2001-03-31 9999-12-31 Other Net Gains/Losses As % of Avg Assets
UBPSPN33 2003-03-31 9999-12-31 Other Non-interest Income Non-Int Inc As % of Avg Assets
UBPSPN34 2001-03-31 9999-12-31 Non-interest Income Non-Int Inc As % of Avg Assets
UBPSPU76 2023-01-01 9999-12-31 Modified Loans + Nonaccrual Loans + Real Estate Acquired to Equity Capital + Loan and Lease Allowance
UBPSPU78 2023-01-01 9999-12-31 Non-Curr Modified Debt/Gr Loans & Leases
UBPSPU80 2023-01-01 9999-12-31 Current+Non-Current Modified/Gross Loans & Leases
UBPSPU81 2023-01-01 9999-12-31 Current Modified Loans & Leases /Total Loans & Leases
UBPSR029 2014-03-31 9999-12-31 COMMON EQUITY TIER 1 CAPITAL RATIO USING ADVANCED APPROACH (COLUMN A)
UBPSR030 2014-03-31 9999-12-31 COMMON EQUITY TIER 1 CAPITAL RATIO ADVANCED APPROACHES INSTITUTION THAT EXIT PARALLEL RUN ONLY (COLUMN B)
UBPSR031 2014-03-31 9999-12-31 TIER 1 CAPITAL RATIO USING ADVANCED APPROACH (COLUMN A)
UBPSR032 2014-03-31 9999-12-31 TIER 1 CAPITAL RATIO (COLUMN B) ADVANCED APPROACHES INSTITUTIONS THAT EXIT PARALLEL RUN ONLY
UBPSR033 2014-03-31 9999-12-31 TOTAL CAPITAL RATIO USING ADVANCE APPROACH (COLUMN A)
UBPSR034 2014-03-31 9999-12-31 TOTAL CAPITAL RATIO (COLUMN B) ADVANCED APPROACHES INSTITUTIONS THAT EXIT PARALLEL RUN ONLY
UBPSR035 2014-03-31 9999-12-31 TIER 1 LEVERAGE CAPITAL RATIO USING ADVANCE APPROACH

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: May 17, 2024