Data Dictionary

You Searched For: CPSI

CPSI is a Confidential Series

MDRM Item Start Date End Date Item Name Reporting Forms
CPSI3123 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES FR Y-14A
CPSI3196 2013-09-30 9999-12-31 REALIZED GAINS (LOSSES) ON AVAILABLE-FOR-SALE DEBT SECURITIES FR Y-14A
CPSI3521 2013-09-30 9999-12-31 REALIZED GAINS (LOSSES) ON HELD-TO-MATURITY SECURITIES FR Y-14A
CPSI4074 2013-09-30 9999-12-31 NET INTEREST INCOME FR Y-14A
CPSI4079 2013-09-30 9999-12-31 TOTAL NONINTEREST INCOME FR Y-14A
CPSI4230 2013-09-30 9999-12-31 PROVISION FOR LOAN AND LEASE LOSSES FR Y-14A
CPSI4300 2013-09-30 9999-12-31 INCOME (LOSS) BEFORE DISCONTINUED OPERATIONS FR Y-14A
CPSI4302 2013-09-30 9999-12-31 APPLICABLE INCOME TAXES FR Y-14A
CPSI4310 2013-09-30 9999-12-31 EXTRAORDINARY ITEMS AND OTHER ADJUSTMENTS, GROSS OF INCOME TAXES FR Y-14A
CPSI4320 2013-09-30 9999-12-31 EXTRAORDINARY ITEMS AND OTHER ADJUSTMENTS, NET OF INCOME TAXES FR Y-14A
CPSI4340 2013-09-30 9999-12-31 NET INCOME (LOSS) FR Y-14A
CPSIC216 2013-09-30 9999-12-31 GOODWILL IMPAIRMENT LOSSES FR Y-14A
CPSIG103 2013-09-30 9999-12-31 LESS: NET INCOME (LOSS) ATTRIBUTABLE TO NONCONTROLLING (MINORITY) INTERESTS FR Y-14A
CPSIG104 2013-09-30 9999-12-31 NET INCOME (LOSS) ATTRIBUTABLE TO BANK AND NONCONTROLLING MINORITY INTERESTS FR Y-14A
CPSIHT70 2020-12-31 9999-12-31 Unrealized holding gains (losses) on equity securities not held for trading FR Y-14A
CPSIKU69 2019-12-31 9999-12-31 Total allowance for loan and lease losses prior quarter FR Y-14A
CPSIKU70 2019-12-31 9999-12-31 Allowance for Loan and Lease Losses: Allowance for credit losses on held-to-maturity debt securities prior quarter FR Y-14A
CPSIKU71 2019-12-31 9999-12-31 Allowance for Loan and Lease Losses: Allowance for credit losses on available for sale debt securities prior quarter FR Y-14A
CPSIKU72 2019-12-31 9999-12-31 Allowance for Loan and Lease Losses: Allowance for credit losses on other assets carried at amortized cost prior quarter (2) FR Y-14A
CPSIKU79 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Total Provisions during the quarter FR Y-14A
CPSIKU80 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Provisions for credit losses on held-to-maturity debt securities during the quarter FR Y-14A
CPSIKU81 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Provisions for credit losses on available for sale securities during the quarter FR Y-14A
CPSIKU82 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Provisions for credit losses on other assets carried at amortized cost during the quarter FR Y-14A
CPSIKU83 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Total Net charge-offs during the quarter FR Y-14A
CPSIKU84 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Net charge-offs during the quarter on held-to-maturity debt securities FR Y-14A
CPSIKU85 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Net charge-offs during the quarter on available for sale debt securities FR Y-14A
CPSIKU86 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Net charge-offs during the quarter on other assets carried at amortized cost FR Y-14A
CPSIKU87 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Total Other ALLL Changes FR Y-14A
CPSIKU88 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Other allowances for credit losses on held-to-maturity debt securities FR Y-14A
CPSIKU89 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Other allowances for credit losses on available for sale debt securities FR Y-14A
CPSIKU90 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Other allowances for credit losses on other assets carried at amortized cost FR Y-14A
CPSIKU91 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Total Allowances, current quarter FR Y-14A
CPSIKU92 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Allowances for credit losses on held-to-maturity debt securities, current quarter FR Y-14A
CPSIKU93 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Allowances for credit losses on available for sale debt securities, current quarter FR Y-14A
CPSIKU94 2019-12-31 9999-12-31 Allowance Balances on Debt Securities: Allowances for credit losses on other assets carried at amortized cost, current quarter FR Y-14A
CPSIP195 2013-09-30 9999-12-31 TOTAL LOSS PROJECTIONS - PROJECTED FUTURE LOSSES TO BHC CHARGED TO REPURCHASE RESERVE FR Y-14A
CPSIP386 2013-09-30 9999-12-31 FIRST LIEN MORTGAGES (IN DOMESTIC OFFICES) - LOAN LOSSES FR Y-14A
CPSIP394 2013-09-30 9999-12-31 FIRST LIEN HELOANS (IN DOMESTIC OFFICES) - LOAN LOSSES FR Y-14A
CPSIP402 2013-09-30 9999-12-31 CLOSED-END JUNIOR LIENS (IN DOMESTIC OFFICES) - LOAN LOSSES FR Y-14A
CPSIP412 2013-09-30 9999-12-31 HELOCS (IN DOMESTIC OFFICES) - LOAN LOSSES FR Y-14A
CPSIP420 2013-09-30 9999-12-31 FIRST LIEN MORTGAGES AND HELOANS (INTERNATIONAL) - LOAN LOSSES FR Y-14A
CPSIP428 2013-09-30 9999-12-31 CLOSED-END JUNIOR LIENS AND HELOCS (INTERNATIONAL) - LOAN LOSSES FR Y-14A
CPSIP496 2013-09-30 9999-12-31 STUDENT LOAN - LOAN LOSSES FR Y-14A
CPSIP521 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - REAL ESTATE LOANS (IN DOMESTIC OFFICES) FR Y-14A
CPSIP522 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - FIRST LIEN MORTGAGES (IN DOMESTIC OFFICES) FR Y-14A
CPSIP523 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - SECOND / JUNIOR LIEN MORTGAGES (IN DOMESTIC OFFICES) FR Y-14A
CPSIP524 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - CRE LOANS (IN DOMESTIC OFFICES) FR Y-14A
CPSIP525 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - CONSTRUCTION (IN DOMESTIC OFFICES) FR Y-14A
CPSIP526 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - MULTIFAMILY (IN DOMESTIC OFFICES) FR Y-14A
CPSIP527 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - NONFARM, NON-RESIDENTIAL (IN DOMESTIC OFFICES) FR Y-14A
CPSIP528 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - OWNER-OCCUPIED (IN DOMESTIC OFFICES) FR Y-14A
CPSIP529 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - NON-OWNER-OCCUPIED (IN DOMESTIC OFFICES) FR Y-14A
CPSIP530 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - LOANS SECURED BY FARMLAND (IN DOMESTIC OFFICES) FR Y-14A
CPSIP531 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - REAL ESTATE LOANS (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP532 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - CRE LOANS (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP533 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - CONSTRUCTION (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP534 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - MULTIFAMILY (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP535 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - NONFARM, NON-RESIDENTIAL (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP536 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - OWNER-OCCUPIED (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP537 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - NON-OWNER-OCCUPIED (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP538 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - LOANS SECURED BY FARMLAND (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP539 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - C&I LOANS FR Y-14A
CPSIP540 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - C&I GRADED FR Y-14A
CPSIP541 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - SMALL BUSINESS (SCORED/DELINQUENCY MANAGED) FR Y-14A
CPSIP542 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - BUSINESS AND CORPORATE CARD FR Y-14A
CPSIP543 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - CREDIT CARDS FR Y-14A
CPSIP544 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - OTHER CONSUMER FR Y-14A
CPSIP545 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - AUTO LOANS FR Y-14A
CPSIP546 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - OTHER LOANS BACKED BY SECURITIES (NON-PURPOSE LENDING) FR Y-14A
CPSIP547 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - OTHER FR Y-14A
CPSIP548 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - OTHER LOANS FR Y-14A
CPSIP549 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - LOANS TO FOREIGN GOVERNMENTS FR Y-14A
CPSIP550 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - AGRICULTURAL LOANS FR Y-14A
CPSIP551 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - LOANS FOR PURCHASING OR CARRYING SECURITIES (SECURED OR UNSECURED) FR Y-14A
CPSIP552 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - LOANS TO DEPOSITORIES AND OTHER FINANCIAL INSTITUTIONS FR Y-14A
CPSIP553 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - ALL OTHER LOANS AND LEASES FR Y-14A
CPSIP554 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - ALL OTHER LOANS (EXCLUDE CONSUMER LOANS) FR Y-14A
CPSIP555 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - ALL OTHER LEASES FR Y-14A
CPSIP556 2013-09-30 9999-12-31 ACCRUAL LOAN LOSSES WITH LOANS HELD FOR INVESTMENT AT AMORTIZED COST - TOTAL LOANS AND LEASES FR Y-14A
CPSIP557 2013-09-30 9999-12-31 LOSSES ASSOCIATED WITH HELD FOR SALE LOANS AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION - REAL ESTATE LOANS (IN DOMESTIC OFFICES) FR Y-14A
CPSIP558 2013-09-30 9999-12-31 LOSSES ASSOCIATED WITH HELD FOR SALE LOANS AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION - FIRST LIEN MORTGAGES (IN DOMESTIC OFFICES) FR Y-14A
CPSIP559 2013-09-30 9999-12-31 LOSSES ASSOCIATED WITH HELD FOR SALE LOANS AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION - SECOND / JUNIOR LIEN MORTGAGES (IN DOMESTIC OFFICES) FR Y-14A
CPSIP560 2013-09-30 9999-12-31 LOSSES ASSOCIATED WITH HELD FOR SALE LOANS AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION - CRE LOANS (IN DOMESTIC OFFICES) FR Y-14A
CPSIP561 2013-09-30 9999-12-31 LOSSES ASSOCIATED WITH HELD FOR SALE LOANS AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION - LOANS SECURED BY FARMLAND (IN DOMESTIC OFFICES) FR Y-14A
CPSIP562 2013-09-30 9999-12-31 LOSSES ASSOCIATED WITH HELD FOR SALE LOANS AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION - REAL ESTATE LOANS (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP563 2013-09-30 9999-12-31 LOSSES ASSOCIATED WITH HELD FOR SALE LOANS AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION - RESIDENTIAL MORTGAGES (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP564 2013-09-30 9999-12-31 LOSSES ASSOCIATED WITH HELD FOR SALE LOANS AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION - CRE LOANS (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP565 2013-09-30 9999-12-31 LOSSES ASSOCIATED WITH HELD FOR SALE LOANS AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION - LOANS SECURED BY FARMLAND (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP566 2013-09-30 9999-12-31 LOSSES ASSOCIATED WITH HELD FOR SALE LOANS AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION - C&I LOANS FR Y-14A
CPSIP567 2013-09-30 9999-12-31 LOSSES ASSOCIATED WITH HELD FOR SALE LOANS AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION - CREDIT CARDS FR Y-14A
CPSIP568 2013-09-30 9999-12-31 LOSSES ASSOCIATED WITH HELD FOR SALE LOANS AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION - OTHER CONSUMER FR Y-14A
CPSIP569 2013-09-30 9999-12-31 LOSSES ASSOCIATED WITH HELD FOR SALE LOANS AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION - ALL OTHER LOANS AND LEASES FR Y-14A
CPSIP570 2013-09-30 9999-12-31 LOSSES ASSOCIATED WITH HELD FOR SALE LOANS AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION - TOTAL LOANS HELD FOR SALE AND LOANS ACCOUNTED FOR UNDER THE FAIR VALUE OPTION FR Y-14A
CPSIP571 2013-09-30 9999-12-31 TRADING ACCOUNT - TRADING MTM LOSSES FR Y-14A
CPSIP572 2013-09-30 9999-12-31 TRADING ACCOUNT - TRADING INCREMENTAL DEFAULT LOSSES (TRADING IDR) FR Y-14A
CPSIP573 2013-09-30 9999-12-31 TRADING ACCOUNT - COUNTERPARTY CREDIT MTM LOSSES (CVA LOSSES) FR Y-14A
CPSIP574 2013-09-30 9999-12-31 TRADING ACCOUNT - COUNTERPARTY INCREMENTAL DEFAULT LOSSES (CCR IDR) FR Y-14A
CPSIP575 2013-09-30 2014-03-31 TRADING ACCOUNT - OTHER CCR LOSSES FR Y-14A
CPSIP576 2013-09-30 9999-12-31 TRADING ACCOUNT - TOTAL TRADING AND COUNTERPARTY FR Y-14A
CPSIP577 2013-09-30 9999-12-31 OTHER LOSSES - VALUATION ADJUSTMENT FOR FIRM'S OWN DEBT UNDER FAIR VALUE OPTION (FVO) FR Y-14A
CPSIP578 2013-09-30 9999-12-31 OTHER LOSSES - OTHER LOSSES (DESCRIBE IN SUPPORTING DOCUMENTATION) FR Y-14A
CPSIP579 2013-09-30 9999-12-31 OTHER LOSSES - TOTAL OTHER LOSSES FR Y-14A
CPSIP580 2013-09-30 9999-12-31 TOTAL LOSSES FR Y-14A
CPSIP581 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - ALLL, PRIOR QUARTER FR Y-14A
CPSIP582 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - REAL ESTATE LOANS (IN DOMESTIC OFFICES) FR Y-14A
CPSIP583 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - RESIDENTIAL MORTGAGES (IN DOMESTIC OFFICES) FR Y-14A
CPSIP584 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - FIRST LIEN MORTGAGES (IN DOMESTIC OFFICES) FR Y-14A
CPSIP585 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - CLOSED-END JUNIOR LIENS (IN DOMESTIC OFFICES) FR Y-14A
CPSIP586 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - HELOCS (IN DOMESTIC OFFICES) FR Y-14A
CPSIP587 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - CRE LOANS FR Y-14A
CPSIP588 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - CONSTRUCTION FR Y-14A
CPSIP589 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - MULTIFAMILY FR Y-14A
CPSIP590 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - NONFARM, NON-RESIDENTIAL FR Y-14A
CPSIP591 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - LOANS SECURED BY FARMLAND FR Y-14A
CPSIP592 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - REAL ESTATE LOANS (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP593 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - RESIDENTIAL MORTGAGES (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP594 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - CRE LOANS (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP595 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - FARMLAND (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP596 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - C&I LOANS FR Y-14A
CPSIP597 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - C&I GRADED FR Y-14A
CPSIP598 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - SMALL BUSINESS (SCORED/DELINQUENCY MANAGED) FR Y-14A
CPSIP599 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - CORPORATE AND BUSINESS CARDS FR Y-14A
CPSIP600 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - CREDIT CARDS FR Y-14A
CPSIP601 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - OTHER CONSUMER FR Y-14A
CPSIP602 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - ALL OTHER LOANS AND LEASES FR Y-14A
CPSIP603 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - UNALLOCATED FR Y-14A
CPSIP604 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - REAL ESTATE LOANS (IN DOMESTIC OFFICES) FR Y-14A
CPSIP605 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - RESIDENTIAL MORTGAGES (IN DOMESTIC OFFICES) FR Y-14A
CPSIP606 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - FIRST LIEN MORTGAGES (IN DOMESTIC OFFICES) FR Y-14A
CPSIP607 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - CLOSED-END JUNIOR LIENS (IN DOMESTIC OFFICES) FR Y-14A
CPSIP608 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - HELOCS (IN DOMESTIC OFFICES) FR Y-14A
CPSIP609 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - CRE LOANS (IN DOMESTIC OFFICES) FR Y-14A
CPSIP610 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - CONSTRUCTION (IN DOMESTIC OFFICES) FR Y-14A
CPSIP611 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - MULTIFAMILY (IN DOMESTIC OFFICES) FR Y-14A
CPSIP612 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - NONFARM, NON-RESIDENTIAL (IN DOMESTIC OFFICES) FR Y-14A
CPSIP613 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - LOANS SECURED BY FARMLAND (IN DOMESTIC OFFICES) FR Y-14A
CPSIP614 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - REAL ESTATE LOANS (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP615 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - RESIDENTIAL MORTGAGES (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP616 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - CRE LOANS (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP617 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - FARMLAND (NOT IN DOMESTIC OFFICES) FR Y-14A
CPSIP618 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - C&I LOANS FR Y-14A
CPSIP619 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - C&I GRADED FR Y-14A
CPSIP620 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - SMALL BUSINESS (SCORED/DELINQUENCY MANAGED) FR Y-14A
CPSIP621 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - CORPORATE AND BUSINESS CARDS FR Y-14A
CPSIP622 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - CREDIT CARDS FR Y-14A
CPSIP623 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - OTHER CONSUMER FR Y-14A
CPSIP624 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - ALL OTHER LOANS AND LEASES FR Y-14A
CPSIP625 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - PROVISION FOR LOAN AND LEASE LOSSES - UNALLOCATED FR Y-14A
CPSIP626 2013-09-30 9999-12-31 ALLOWANCE FOR LOAN AND LEASE LOSSES - NET CHARGE-OFFS DURING THE QUARTER FR Y-14A
CPSIP627 2013-09-30 9999-12-31 ADJUSTMENTS LESS WRITE DOWNS ARISING FROM TRANSFER TO HFS FR Y-14A
CPSIP630 2013-09-30 9999-12-31 PRE-PROVISION NET REVENUE - NONINTEREST EXPENSE FR Y-14A
CPSIP631 2013-09-30 9999-12-31 PRE-PROVISION NET REVENUE - PRE-PROVISION NET REVENUE FR Y-14A
CPSIP632 2013-09-30 9999-12-31 CONDENSED INCOME STATEMENT - PRE-PROVISION NET REVENUE FR Y-14A
CPSIP633 2013-09-30 9999-12-31 CONDENSED INCOME STATEMENT - TOTAL TRADING AND COUNTERPARTY LOSSES FR Y-14A
CPSIP634 2013-09-30 9999-12-31 CONDENSED INCOME STATEMENT - TOTAL OTHER LOSSES FR Y-14A
CPSIP635 2013-09-30 9999-12-31 CONDENSED INCOME STATEMENT - OTHER I/S ITEMS - DESCRIBE IN SUPPORTING DOCUMENTATION FR Y-14A
CPSIP636 2013-09-30 9999-12-31 CONDENSED INCOME STATEMENT - EFFECTIVE TAX RATE (%) FR Y-14A
CPSIP637 2013-09-30 9999-12-31 REPURCHASE RESERVE/LIABILITY FOR MORTGAGE REPS AND WARRANTIES - RESERVE, PRIOR QUARTER FR Y-14A
CPSIP638 2013-09-30 9999-12-31 REPURCHASE RESERVE/LIABILITY FOR MORTGAGE REPS AND WARRANTIES - PROVISIONS DURING THE QUARTER FR Y-14A
CPSIP639 2013-09-30 9999-12-31 REPURCHASE RESERVE/LIABILITY FOR MORTGAGE REPS AND WARRANTIES - RESERVE, CURRENT QUARTER FR Y-14A

Glossary File:
This sub-schedule should be used to list and define the variables included in the BHC baseline and BHC stress scenarios, as well as, any additional BHC scenarios reported.
- The sub-schedule provides space for the supervisory baseline scenario, supervisory adverse scenario, supervisory severely adverse scenario, BHC baseline scenario, and BHC stress scenario, as well as, space for an additional scenario. The sections for the BHC baseline and BHC stress scenarios must be completed. If no additional scenarios are provided, then this section of the sub-schedule may be left blank. If one or more additional scenarios are provided, then a section should be created for each additional scenario and labeled accordingly (Additional Scenario #1; Additional Scenario #2; etc.)
- For each scenario, list the variables included in the scenario in the column titled "Variable Name."
- Variable definitions should be provided in the column titled "Variable Definition." Variable definitions should include a description of the variable and the denomination and/or frequency of the variable (e.g., "Billions of 2005 dollars" or "in percent, average of monthly values").
- The forecasts and historical data for all the scenario variables are constructed on the same basis. Thus, if a variable is, over history, constructed as an average, its forecast should be interpreted as an average as well. For reference, below are the definitions (i.e. period-average or period-end) of the financial market variables in the scenario:
o U.S. 3-month Treasury yield: Quarterly average of 3-month Treasury bill secondary market rate discount basis.
o U.S. 10-year Treasury yield: Quarterly average of the yield on 10-year U.S. Treasury bonds.
o U.S. BBB corporate yield: Quarterly average of the yield on 10-year BBB-rated corporate bonds.
o U.S. mortgage rate: Quarterly average of weekly series of Freddie Mac data.
o U.S. Dow Jones Total Stock Market Index: End of quarter value, Dow Jones.
o U.S. Market Volatility Index (VIX): Chicago Board Options Exchange converted to quarterly by using the maximum value in any quarter.
- For convenience, the sub-schedule provides space for 10 variables per scenario, but any number of variables may be reported, depending on the variables actually used in the scenario. Extra lines may be created as needed. The same variables do not necessarily have to be included in each scenario.
- Firms should include all economic and financial market variables that were important in projecting results, including those that affect only a subset of portfolios or positions. For example, if asset prices had a meaningful impact, the assumed level of the equity market and interest rates should be included, or if bankruptcy filings affect credit card loss estimates, then the assumed levels of these should be reported.
- For additional variables generated for the supervisory adverse scenario or supervisory severely adverse scenario, BHCs should set the paths to be as consistent as possible with the paths of the variables already specified in the scenario.
- Firms should also include any variables capturing regional or local economic or asset value conditions, such as regional unemployment rates or housing prices, if these were used in the projections.
- Firms should include historical data, as well as projections, for any macroeconomic, regional, local, or financial market variables that are not generally available. Historical data for these variables can be included in a separate sub-schedule.
CLCO - Obligor
CLCG - Guarantor
CLCE - Entity
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Last update: Jul 09, 2025