Federal Reserve Statistical Release, H.8, Assets and Liabilities of Commercial Banks in the United States; title with eagle logo links to Statistical Release home page

Release Date: June 27, 1997

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                              NOTE TO USERS OF THE H.8
 

 

The ability of banks to establish branches virtually nationwide became effective on June 1, 1997, and a number of large bank holding
companies already have converted banks located across several Federal Reserve Districts into branches of a single bank. This has resulted
in significant shifts of bank balance sheet items among Federal Reserve Districts, further weakening the connection between banking
data reported for particular Federal Reserve Districts and actual banking activities in those Districts. In view of this development, the
disaggregation of domestically chartered large bank balance sheets by Federal Reserve District that has appeared on pages 11 through
14 of the H.8 statistical release is being discontinued, effective with today's release. Because the discontinued tables, which also contained
a national total, were somewhat more detailed than the aggregate large bank balance sheet tables that appear in the H.8, the item coverage
of the latter tables has been expanded. As a result, the H.8 now reports the large bank data on four rather than two pages.
 

Also effective today, historical H.8 data may be accessed through the Board's web site: http://www.bog.frb.fed.us/.
 

Because of the Independence Day holiday, next week's H.8 release will be published on July 3, 1997.
 

 

 

 

H.8 (510)
ASSETS AND LIABILITIES OF COMMERCIAL BANKS IN THE UNITED STATES (1) For use at 4:15 p.m. Eastern Time
Seasonally adjusted, billions of dollars June 27, 1997
 

             Week ending
Account 1996
May
1996
Nov
1996
Dec
1997
Jan
1997
Feb
1997
Mar
1997
Apr
1997
May
May 28 Jun 4 Jun 11 Jun 18
A S S E T S            
1   Bank credit                                        3,664.6   3,744.7   3,773.6   3,809.0   3,848.3   3,870.8   3,907.1   3,913.0   3,919.0   3,917.2   3,928.9   3,931.2 
             
2     Securities in bank credit                          990.9     980.3     990.1   1,005.7   1,021.5   1,015.8   1,035.3   1,016.5   1,013.7   1,010.7   1,016.7   1,008.9 
3        U.S. government securities                      711.6     707.2     707.0     707.1     704.4     708.6     722.8     722.6     725.2     726.1     727.3     721.6 
4        Other securities                                279.3     273.1     283.1     298.6     317.1     307.2     312.6     293.9     288.5     284.7     289.5     287.3 
             
5     Loans and leases in bank credit (2)              2,673.7   2,764.4   2,783.5   2,803.3   2,826.8   2,854.9   2,871.7   2,896.5   2,905.3   2,906.4   2,912.2   2,922.3 
6        Commercial and industrial                       735.0     774.7     783.4     786.4     795.8     801.1     808.0     814.1     815.6     815.7     818.4     821.2 
7        Real estate                                   1,103.2   1,121.5   1,128.0   1,134.7   1,140.6   1,154.2   1,162.9   1,172.4   1,173.6   1,179.8   1,181.0   1,179.8 
8          Revolving home equity                          79.7      84.3      85.5      85.9      86.8      88.1      89.4      90.5      91.2      91.6      91.8      91.8 
9          Other                                       1,023.4   1,037.2   1,042.5   1,048.8   1,053.9   1,066.1   1,073.5   1,081.9   1,082.4   1,088.1   1,089.2   1,088.0 
10       Consumer                                        502.7     521.6     522.6     522.9     522.8     521.6     519.6     522.4     523.4     525.4     525.1     524.8 
11       Security (3)                                     77.3      77.9      79.7      83.4      84.7      88.8      89.5      88.8      90.2      86.4      91.2      94.5 
12       Other loans and leases                          255.5     268.6     269.8     275.9     282.9     289.3     291.7     298.8     302.5     299.2     296.5     302.0 
             
13  Interbank loans                                      208.7     212.2     205.2     199.2     205.4     221.1     217.0     220.0     225.3     200.8     194.6     192.7 
             
14  Cash assets (4)                                      219.1     232.7     230.9     231.0     230.8     236.0     242.0     239.6     245.2     230.9     246.1     239.3 
             
15  Other assets (5)                                     238.0     259.7     268.1     257.8     268.6     277.4     278.6     281.7     282.1     289.2     292.6     280.6 
             
16  TOTAL ASSETS (6)                                   4,273.5   4,392.5   4,421.3   4,440.9   4,497.2   4,549.3   4,588.3   4,598.0   4,615.4   4,581.4   4,605.7   4,587.2 
L I A B I L I T I E S             
17  Deposits                                           2,711.5   2,804.8   2,832.0   2,846.4   2,872.1   2,906.4   2,944.9   2,934.5   2,949.0   2,953.6   2,964.3   2,959.4 
18    Transaction                                        753.4     715.1     712.9     709.6     701.1     698.5     701.8     690.5     708.4     681.1     694.6     692.2 
19    Nontransaction                                   1,958.1   2,089.7   2,119.1   2,136.7   2,171.1   2,207.9   2,243.1   2,243.9   2,240.5   2,272.5   2,269.7   2,267.2 
20       Large time                                      440.8     489.4     507.7     518.8     535.2     541.8     559.2     555.0     557.7     561.9     563.4     569.5 
21       Other                                         1,517.4   1,600.3   1,611.5   1,617.9   1,635.8   1,666.1   1,684.0   1,688.9   1,682.8   1,710.6   1,706.3   1,697.8 
             
22  Borrowings                                           711.3     709.2     706.5     726.8     741.6     757.7     772.0     775.3     766.3     745.8     756.0     735.0 
23    From banks in the U.S.                             299.9     303.2     307.6     303.1     308.1     316.7     316.2     305.8     299.6     286.5     288.9     264.4 
24    From others                                        411.4     406.0     398.9     423.7     433.5     440.9     455.8     469.5     466.7     459.3     467.1     470.7 
             
25  Net due to related foreign offices                   257.7     238.1     231.4     222.6     218.3     210.2     213.0     235.2     241.8     246.9     240.8     245.7 
             
26  Other liabilities                                    218.8     253.7     262.4     271.5     289.4     279.8     270.3     263.3     261.0     262.9     268.8     261.9 
             
27  TOTAL LIABILITIES                                  3,899.4   4,005.9   4,032.3   4,067.2   4,121.5   4,154.1   4,200.2   4,208.3   4,218.0   4,209.1   4,229.8   4,202.1 
             
28  Residual (assets less liabilities) (7)               374.1     386.7     389.0     373.7     375.7     395.2     388.1     389.8     397.4     372.3     375.8     385.2 
  Footnotes appear on page 13.
 

 

 

H.8 (510) Page 2
ASSETS AND LIABILITIES OF COMMERCIAL BANKS IN THE UNITED STATES (1)
Not seasonally adjusted, billions of dollars June 27, 1997
 

         Week ending
Account1996
May
1996
Nov
1996
Dec
1997
Jan
1997
Feb
1997
Mar
1997
Apr
1997
May
May 28 Jun 4Jun 11Jun 18
A S S E T S            
1   Bank credit                                        3,668.0   3,748.9   3,772.7   3,807.4   3,841.1   3,861.2   3,906.5   3,917.7   3,915.7   3,931.0   3,932.9   3,937.5 
             
2     Securities in bank credit                          998.2     978.9     976.2     996.9   1,018.1   1,018.5   1,037.8   1,025.6   1,020.3   1,024.6   1,026.9   1,015.8 
3        U.S. government securities                      714.0     707.6     702.8     701.1     703.1     713.2     725.5     725.0     724.6     730.2     729.4     722.4 
4        Other securities                                284.2     271.4     273.4     295.8     315.0     305.3     312.4     300.6     295.6     294.5     297.5     293.4 
             
5     Loans and leases in bank credit (2)              2,669.9   2,770.0   2,796.5   2,810.5   2,823.1   2,842.7   2,868.7   2,892.1   2,895.5   2,906.3   2,906.0   2,921.7 
6        Commercial and industrial                       741.0     772.8     780.4     784.1     795.4     803.7     815.3     820.9     819.6     821.3     819.4     825.3 
7        Real estate                                   1,099.2   1,125.8   1,132.8   1,136.7   1,137.6   1,148.2   1,158.5   1,168.1   1,168.8   1,176.0   1,179.4   1,178.0 
8          Revolving home equity                          79.6      84.7      85.6      85.9      86.4      87.3      88.7      90.3      91.0      91.4      91.7      91.8 
9          Other                                       1,019.7   1,041.0   1,047.2   1,050.8   1,051.2   1,060.9   1,069.8   1,077.8   1,077.8   1,084.6   1,087.7   1,086.3 
10       Consumer                                        500.8     522.1     527.4     528.5     523.5     517.0     517.1     520.3     521.0     522.8     521.8     521.6 
11       Security (3)                                     77.9      79.3      81.0      82.6      85.8      88.4      90.0      89.2      89.7      86.8      92.0      96.4 
12       Other loans and leases                          251.0     270.0     275.0     278.6     280.7     285.3     287.8     293.6     296.3     299.5     293.5     300.4 
             
13  Interbank loans                                      204.3     216.5     214.5     209.0     209.7     217.5     215.3     215.7     218.3     204.4     194.7     191.4 
             
14  Cash assets (4)                                      216.9     239.7     246.9     241.4     232.0     227.0     237.4     237.4     253.0     244.0     231.5     243.4 
             
15  Other assets (5)                                     240.1     258.5     268.1     258.4     268.5     272.8     276.2     284.1     284.3     294.2     291.0     279.8 
             
16  TOTAL ASSETS (6)                                   4,272.2   4,406.8   4,445.6   4,460.3   4,495.4   4,522.5   4,579.2   4,598.5   4,615.0   4,616.7   4,593.3   4,595.4 
L I A B I L I T I E S             
17  Deposits                                           2,702.0   2,821.8   2,863.9   2,850.3   2,857.3   2,895.2   2,942.2   2,925.8   2,940.2   2,982.1   2,964.7   2,961.8 
18    Transaction                                        742.8     725.2     745.8     721.0     694.2     686.3     705.0     680.6     698.5     697.4     683.2     693.2 
19    Nontransaction                                   1,959.3   2,096.5   2,118.2   2,129.3   2,163.1   2,208.9   2,237.2   2,245.2   2,241.7   2,284.7   2,281.5   2,268.6 
20       Large time                                      444.0     493.9     507.8     515.5     533.1     541.3     555.1     558.7     562.5     564.9     566.0     567.3 
21       Other                                         1,515.2   1,602.6   1,610.3   1,613.8   1,630.0   1,667.6   1,682.1   1,686.5   1,679.2   1,719.8   1,715.5   1,701.3 
             
22  Borrowings                                           717.3     699.0     698.8     721.0     725.7     737.4     772.5     785.6     777.5     757.4     749.5     766.6 
23    From banks in the U.S.                             303.8     297.0     302.3     297.2     296.1     304.7     314.9     314.2     314.0     297.0     287.6     286.0 
24    From others                                        413.5     402.0     396.5     423.8     429.6     432.7     457.6     471.4     463.5     460.4     461.9     480.6 
             
25  Net due to related foreign offices                   259.2     235.2     230.0     233.0     229.1     219.1     211.2     237.5     252.3     233.6     229.1     229.1 
             
26  Other liabilities                                    221.3     257.4     258.3     268.7     291.3     278.0     270.6     267.0     265.0     266.9     273.1     262.6 
             
27  TOTAL LIABILITIES                                  3,899.8   4,013.4   4,051.1   4,073.0   4,103.4   4,129.7   4,196.5   4,216.0   4,235.1   4,240.1   4,216.5   4,220.1 
             
28  Residual (assets less liabilities) (7)               372.4     393.4     394.5     387.3     392.0     392.8     382.7     382.5     379.9     376.6     376.9     375.3 
                         
                MEMO                                                         
29  Reval. gains on off-bal. sheet items (8)                 --       65.6       69.4       89.2      103.0       92.2       92.1       83.4       80.9       79.9       80.5       78.0 
30  Reval. losses on off-bal. sheet items (8)                --       60.5       64.4       84.9       98.2       86.4       87.3       85.1       82.6       82.1       82.0       80.1 
  Footnotes appear on page 13.
 

 

 

H.8 (510) Page 3
ASSETS AND LIABILITIES OF DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Seasonally adjusted, billions of dollars June 27, 1997
         Week ending
Account1996
May
1996
Nov
1996
Dec
1997
Jan
1997
Feb
1997
Mar
1997
Apr
1997
May
May 28 Jun 4Jun 11Jun 18
A S S E T S            
1   Bank credit                                        3,212.9   3,250.7   3,268.4   3,292.0   3,315.5   3,342.0   3,368.7   3,368.3   3,370.9   3,373.0   3,378.9   3,383.4 
             
2     Securities in bank credit                          844.7     822.3     825.6     835.4     844.7     843.1     857.0     840.5     835.5     831.5     835.7     834.8 
3        U.S. government securities                      635.0     620.1     619.4     625.3     619.2     625.3     635.2     632.9     632.5     632.1     634.3     633.6 
4        Other securities                                209.7     202.2     206.1     210.1     225.5     217.7     221.8     207.5     203.0     199.4     201.4     201.1 
             
5     Loans and leases in bank credit (2)              2,368.2   2,428.4   2,442.9   2,456.6   2,470.9   2,499.0   2,511.7   2,527.8   2,535.4   2,541.5   2,543.2   2,548.6 
6        Commercial and industrial                       547.8     566.6     570.3     571.5     577.6     583.4     589.3     592.4     594.0     594.5     595.9     596.3 
7        Real estate                                   1,069.6   1,089.1   1,095.9   1,102.7   1,108.3   1,122.2   1,131.0   1,141.3   1,142.9   1,149.2   1,150.4   1,149.3 
8          Revolving home equity                          79.7      84.3      85.5      85.9      86.8      88.1      89.4      90.5      91.2      91.6      91.8      91.8 
9          Other                                         989.8   1,004.8   1,010.4   1,016.9   1,021.6   1,034.1   1,041.6   1,050.8   1,051.7   1,057.5   1,058.6   1,057.5 
10       Consumer                                        502.7     521.6     522.6     522.9     522.8     521.6     519.6     522.4     523.4     525.4     525.1     524.8 
11       Security (3)                                     49.0      42.9      43.6      45.3      45.1      49.3      46.5      45.6      47.0      45.4      45.4      47.8 
12       Other loans and leases                          199.1     208.2     210.5     214.1     217.1     222.5     225.3     226.1     228.1     227.0     226.5     230.4 
             
13  Interbank loans                                      185.3     192.0     183.4     175.9     183.0     196.2     196.2     197.4     197.0     179.9     172.7     170.7 
             
14  Cash assets (4)                                      193.1     201.8     199.8     199.8     197.7     203.2     208.8     205.1     211.4     196.3     211.2     202.3 
             
15  Other assets (5)                                     193.7     223.6     231.3     219.2     226.6     235.4     238.3     241.7     242.2     245.4     248.8     243.8 
             
16  TOTAL ASSETS (6)                                   3,728.1   3,811.6   3,826.5   3,831.0   3,867.1   3,921.0   3,955.9   3,956.5   3,965.5   3,938.1   3,955.3   3,943.9 
L I A B I L I T I E S             
17  Deposits                                           2,538.0   2,600.9   2,612.5   2,619.3   2,631.2   2,659.2   2,682.0   2,677.4   2,693.5   2,700.1   2,707.6   2,700.6 
18    Transaction                                        742.8     704.9     702.7     699.2     691.1     687.7     690.6     678.9     697.1     669.9     683.5     680.3 
19    Nontransaction                                   1,795.2   1,896.0   1,909.8   1,920.1   1,940.0   1,971.5   1,991.4   1,998.5   1,996.4   2,030.1   2,024.1   2,020.3 
20       Large time                                      279.7     299.4     302.6     302.3     306.6     308.5     311.3     312.6     314.0     319.4     317.9     321.9 
21       Other                                         1,515.5   1,596.6   1,607.3   1,617.8   1,633.4   1,663.0   1,680.1   1,685.9   1,682.4   1,710.7   1,706.2   1,698.3 
             
22  Borrowings                                           578.4     584.1     585.2     596.2     597.6     616.3     630.4     630.0     623.6     608.4     615.8     596.2 
23    From banks in the U.S.                             264.4     270.5     275.2     275.3     274.2     281.9     283.1     271.8     265.2     256.7     260.1     232.3 
24    From others                                        314.0     313.6     310.0     320.9     323.4     334.4     347.4     358.2     358.4     351.7     355.6     363.9 
             
25  Net due to related foreign offices                    88.9      71.0      69.1      72.0      78.3      68.3      77.5      85.7      83.4      79.8      79.8      85.4 
             
26  Other liabilities                                    148.5     173.8     179.6     181.5     189.8     186.5     179.1     174.2     171.6     171.0     175.5     173.2 
             
27  TOTAL LIABILITIES                                  3,353.9   3,429.7   3,446.4   3,469.1   3,496.9   3,530.3   3,569.1   3,567.3   3,572.0   3,559.3   3,578.6   3,555.4 
             
28  Residual (assets less liabilities) (7)               374.2     381.8     380.1     361.9     370.2     390.7     386.9     389.1     393.4     378.8     376.7     388.6 
 

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H.8 (510) Page 4
ASSETS AND LIABILITIES OF DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Not seasonally adjusted, billions of dollars June 27, 1997
         Week ending
Account1996
May
1996
Nov
1996
Dec
1997
Jan
1997
Feb
1997
Mar
1997
Apr
1997
May
May 28 Jun 4Jun 11Jun 18
A S S E T S            
1   Bank credit                                        3,215.2   3,255.4   3,271.5   3,293.3   3,307.8   3,332.6   3,368.1   3,370.3   3,367.7   3,381.6   3,383.0   3,389.8 
             
2     Securities in bank credit                          849.0     821.2     818.0     830.7     840.3     845.1     859.0     844.6     838.4     839.8     844.1     841.2 
3        U.S. government securities                      637.0     620.6     617.7     618.4     616.2     627.0     638.4     634.9     632.7     635.4     637.0     634.8 
4        Other securities                                212.0     200.7     200.3     212.3     224.2     218.1     220.5     209.8     205.7     204.4     207.0     206.4 
             
5     Loans and leases in bank credit (2)              2,366.2   2,434.1   2,453.5   2,462.7   2,467.5   2,487.6   2,509.1   2,525.7   2,529.3   2,541.7   2,538.9   2,548.6 
6        Commercial and industrial                       553.7     564.9     566.9     569.3     577.3     586.4     595.9     599.0     598.4     599.5     597.4     599.7 
7        Real estate                                   1,065.9   1,092.9   1,100.6   1,104.7   1,105.2   1,116.2   1,127.0   1,137.2   1,138.3   1,145.6   1,149.0   1,147.5 
8          Revolving home equity                          79.6      84.7      85.6      85.9      86.4      87.3      88.7      90.3      91.0      91.4      91.7      91.8 
9          Other                                         986.3   1,008.2   1,015.0   1,018.9   1,018.9   1,028.9   1,038.3   1,046.9   1,047.3   1,054.2   1,057.3   1,055.7 
10       Consumer                                        500.8     522.1     527.4     528.5     523.5     517.0     517.1     520.3     521.0     522.8     521.8     521.6 
11       Security (3)                                     49.6      44.3      44.8      44.5      46.2      48.9      47.0      46.0      46.5      45.8      46.2      49.7 
12       Other loans and leases                          196.3     210.0     213.8     215.5     215.3     219.1     222.1     223.2     225.1     228.1     224.6     230.1 
             
13  Interbank loans                                      180.8     196.3     192.8     185.7     187.4     192.6     194.6     193.1     190.0     183.5     172.8     169.5 
             
14  Cash assets (4)                                      191.0     208.5     214.7     209.8     199.6     194.7     205.0     202.9     218.5     208.6     196.0     205.7 
             
15  Other assets (5)                                     194.7     222.1     230.5     220.5     225.6     231.3     237.4     243.1     243.4     249.1     246.1     243.2 
             
16  TOTAL ASSETS (6)                                   3,724.7   3,825.8   3,853.0   3,853.6   3,864.7   3,895.6   3,949.1   3,953.2   3,963.6   3,966.2   3,941.2   3,951.6 
L I A B I L I T I E S             
17  Deposits                                           2,528.2   2,615.3   2,641.7   2,623.1   2,619.5   2,648.2   2,685.9   2,668.2   2,681.0   2,725.5   2,705.3   2,702.3 
18    Transaction                                        732.7     715.1     734.9     710.5     684.0     675.8     694.3     669.6     687.4     686.4     672.6     681.6 
19    Nontransaction                                   1,795.5   1,900.2   1,906.8   1,912.6   1,935.5   1,972.4   1,991.6   1,998.7   1,993.7   2,039.1   2,032.7   2,020.6 
20       Large time                                      282.7     300.0     299.3     301.0     309.4     308.4     312.7     316.3     317.2     322.1     320.3     321.7 
21       Other                                         1,512.8   1,600.2   1,607.6   1,611.6   1,626.1   1,664.0   1,678.8   1,682.4   1,676.5   1,717.1   1,712.4   1,698.9 
             
22  Borrowings                                           584.1     577.3     578.7     593.7     588.3     602.0     628.4     640.5     637.9     617.4     606.2     621.5 
23    From banks in the U.S.                             268.7     264.2     269.3     268.4     264.5     271.5     281.5     280.7     280.3     265.5     257.7     251.9 
24    From others                                        315.5     313.1     309.4     325.3     323.8     330.5     346.9     359.8     357.7     351.8     348.5     369.5 
             
25  Net due to related foreign offices                    93.8      68.4      66.2      73.6      79.9      72.5      78.8      92.2      96.7      79.7      80.5      80.5 
             
26  Other liabilities                                    149.0     176.9     176.9     179.6     189.3     184.8     179.5     175.2     173.0     172.3     176.8     174.3 
             
27  TOTAL LIABILITIES                                  3,355.1   3,437.9   3,463.4   3,470.0   3,477.0   3,507.5   3,572.6   3,576.1   3,588.8   3,594.9   3,568.8   3,578.5 
             
28  Residual (assets less liabilities) (7)               369.7     387.9     389.5     383.6     387.7     388.1     376.5     377.1     374.8     371.2     372.4     373.1 
                         
             MEMO                                                            
29  Reval. gains on off-bal. sheet items (8)                 --       33.1       36.0       47.5       55.9       49.0       49.5       42.0       39.5       38.5       40.0       39.0 
30  Reval. losses on off-bal. sheet items (8)                --       28.9       31.8       44.0       50.9       43.2       44.6       43.4       41.0       40.2       41.2       40.5 
31  Mortgage-backed securities (9)                           --      238.3      241.4      244.0      243.6      245.9      249.3      249.7      248.8      250.7      248.9      247.3 
 

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H.8 (510) Page 5
ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Seasonally adjusted, adjusted for mergers, billions of dollars June 27, 1997
         Week ending
Account1996
May
1996
Nov
1996
Dec
1997
Jan
1997
Feb
1997
Mar
1997
Apr
1997
May
May 28 Jun 4Jun 11Jun 18
A S S E T S            
1   Bank credit                                        1,864.5   1,855.9   1,865.9   1,880.7   1,899.5   1,910.9   1,928.0   1,918.9   1,919.6   1,919.3   1,924.1   1,928.7 
             
2     Securities in bank credit                          438.9     415.8     419.0     424.9     435.2     429.4     440.1     423.3     419.1     415.6     418.8     418.4 
3        U.S. government securities                      309.3     293.8     292.8     295.6     290.2     293.6     302.1     299.4     300.1     298.8     300.4     300.2 
3a         Trading account                                21.1      21.5      19.4      17.2      16.1      17.7      20.1      19.3      21.7      20.4      22.9      21.1 
3b         Investment account                            288.2     272.3     273.4     278.4     274.1     275.9     282.1     280.1     278.4     278.5     277.5     279.1 
4        Other securities                                129.6     122.0     126.2     129.3     145.0     135.8     137.9     123.9     119.1     116.7     118.4     118.2 
4a         Trading account                                59.4      57.8      60.7      64.6      79.9      69.8      72.1      58.3      53.9      50.2      52.1      51.3 
4b         Investment account                             70.1      64.2      65.5      64.8      65.1      66.0      65.8      65.5      65.2      66.5      66.3      66.9 
4c           State and local government                   21.0      20.2      20.4      20.5      21.1      20.8      20.8      21.0      20.9      21.5      21.5      21.6 
4d           Other                                        49.2      44.0      45.2      44.2      44.0      45.2      45.0      44.6      44.2      45.1      44.8      45.3 
             
5     Loans and leases in bank credit (2)              1,425.6   1,440.1   1,446.9   1,455.8   1,464.2   1,481.6   1,487.9   1,495.6   1,500.4   1,503.7   1,505.4   1,510.3 
6        Commercial and industrial                       378.0     390.0     391.8     392.2     396.3     400.4     405.0     406.4     407.7     408.4     410.0     409.6 
6a         Bankers acceptances                             1.5       1.7       1.9       1.8       1.5       1.6       1.5       1.4       1.5       1.4       1.4       1.5 
6b         Other                                         376.5     388.3     389.9     390.4     394.8     398.8     403.5     405.0     406.2     407.0     408.5     408.1 
7        Real estate                                     580.2     576.8     579.4     579.8     580.5     586.1     589.4     595.5     595.9     601.3     602.0     601.1 
8          Revolving home equity                          55.5      56.8      57.6      57.6      58.0      58.7      59.5      60.3      60.9      61.4      61.6      61.5 
9          Other                                         524.7     520.1     521.8     522.2     522.5     527.4     529.9     535.2     534.9     539.9     540.4     539.6 
10       Consumer                                        285.5     290.5     290.7     293.9     295.6     294.4     293.0     294.2     294.5     294.7     294.5     294.0 
11       Security (3)                                     44.0      38.0      38.7      40.6      40.1      44.1      41.6      40.6      42.1      40.4      40.4      43.0 
11a        Fed funds and RPs with broker/dealer           28.5      22.4      22.8      24.7      24.8      27.6      23.5      23.1      25.1      24.7      22.9      26.5 
11b        Other                                          15.4      15.6      15.9      15.9      15.3      16.4      18.1      17.6      17.0      15.8      17.5      16.5 
12a      State and local government                       11.5      11.4      11.6      11.4      11.3      11.2      11.0      10.8      10.7      11.0      10.9      11.0 
12b      Agricultural                                      8.6       8.2       8.2       8.2       8.1       8.2       8.2       8.3       8.4       8.3       8.4       8.1 
12c      Fed funds and RPs with others                     5.4       5.4       5.1       5.5       4.7       5.7       6.7       5.2       5.4       4.3       4.3       5.0 
12d      All other loans                                  63.0      60.6      61.1      60.9      62.1      64.3      64.4      64.4      65.5      64.4      63.8      67.2 
12e      Lease financing receivables                      49.5      59.0      60.5      63.4      65.4      67.0      68.7      70.1      70.4      70.8      71.1      71.3 
             
13  Interbank loans                                      135.1     140.1     129.9     122.9     127.0     136.0     142.2     143.1     140.0     123.4     118.5     117.1 
13a   Fed funds and RPs with banks                        88.5      87.2      80.2      75.5      78.0      85.9      90.2      86.9      86.4      71.2      64.6      66.1 
13b   Other                                               46.6      53.0      49.7      47.4      49.0      50.1      52.0      56.2      53.6      52.1      53.9      50.9 
             
14  Cash assets (4)                                      131.7     136.8     135.0     134.6     131.4     136.5     141.1     138.7     142.8     130.0     141.3     135.3 
             
15  Other assets (5)                                     147.6     169.2     175.4     164.8     170.2     172.3     174.4     179.1     179.1     181.9     180.8     178.1 
             
16  TOTAL ASSETS (6)                                   2,241.8   2,265.6   2,269.7   2,267.2   2,292.3   2,319.8   2,349.5   2,343.9   2,345.6   2,318.6   2,328.7   2,323.3 
 

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H.8 (510) Page 6
ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Seasonally adjusted, adjusted for mergers, billions of dollars (continued) June 27, 1997
         Week ending
Account1996
May
1996
Nov
1996
Dec
1997
Jan
1997
Feb
1997
Mar
1997
Apr
1997
May
May 28 Jun 4Jun 11Jun 18
L I A B I L I T I E S             
17  Deposits                                           1,367.8   1,406.0   1,413.7   1,405.9   1,403.8   1,411.4   1,423.3   1,413.4   1,423.1   1,420.6   1,423.3   1,420.4 
18    Transaction                                        428.5     398.1     397.1     393.7     383.9     377.2     376.9     366.7     378.8     358.7     367.7     365.0 
19    Nontransaction                                     939.3   1,008.0   1,016.6   1,012.3   1,019.9   1,034.2   1,046.3   1,046.7   1,044.3   1,061.9   1,055.6   1,055.5 
20       Large time                                      132.7     156.2     157.9     156.2     159.1     159.9     164.0     164.0     165.6     169.5     167.6     171.2 
21       Other                                           806.6     851.8     858.7     856.1     860.8     874.3     882.4     882.7     878.7     892.5     888.1     884.3 
             
22  Borrowings                                           441.2     422.6     422.2     432.0     431.7     445.0     456.2     457.3     450.5     435.7     439.4     424.9 
23    From banks in the U.S.                             184.1     183.2     190.0     189.1     188.2     194.4     195.4     183.9     178.1     172.0     172.3     153.2 
24    From others                                        257.1     239.4     232.2     242.9     243.5     250.6     260.8     273.3     272.3     263.7     267.1     271.8 
             
25  Net due to related foreign offices                    84.3      68.8      66.4      68.0      74.3      64.3      73.1      81.6      79.4      76.2      75.9      81.4 
             
26  Other liabilities                                    121.9     146.3     152.0     155.2     163.5     160.4     154.7     149.3     146.7     147.0     151.2     148.9 
             
27  TOTAL LIABILITIES                                  2,015.2   2,043.8   2,054.2   2,061.2   2,073.2   2,081.2   2,107.3   2,101.6   2,099.7   2,079.4   2,089.8   2,075.7 
             
28  Residual (assets less liabilities) (7)               226.6     221.8     215.5     206.0     219.1     238.7     242.2     242.3     245.9     239.1     238.9     247.5 
 

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H.8 (510) Page 7
ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Not seasonally adjusted, adjusted for mergers, billions of dollars June 27, 1997
         Week ending
Account1996
May
1996
Nov
1996
Dec
1997
Jan
1997
Feb
1997
Mar
1997
Apr
1997
May
May 28 Jun 4Jun 11Jun 18
A S S E T S            
1   Bank credit                                        1,866.8   1,859.0   1,866.2   1,883.9   1,897.2   1,906.1   1,927.0   1,921.1   1,918.0   1,928.5   1,926.7   1,935.3 
             
2     Securities in bank credit                          441.2     416.4     411.9     421.6     432.5     430.0     438.6     425.6     420.5     423.1     424.8     422.9 
3        U.S. government securities                      309.6     296.0     291.5     289.8     288.5     294.1     302.2     299.8     299.0     301.3     300.8     299.3 
3a         Trading account                                21.3      22.7      18.1      16.3      16.3      18.8      20.2      19.6      20.5      21.1      22.4      20.4 
3b         Investment account                            288.3     273.3     273.4     273.6     272.2     275.3     281.9     280.2     278.6     280.3     278.4     278.9 
3c           Mortgage-backed                                --     168.6     173.7     176.6     177.1     178.6     180.1     180.0     179.1     180.1     180.4     179.4 
3d           Other                                          --     104.7      99.7      97.0      95.1      96.8     101.8     100.2      99.5     100.1      98.0      99.6 
3e             1 year or less                               --      29.2      26.3      26.6      25.4      25.7      28.1      26.6      25.7      26.0      26.0      26.8 
3f             Between 1 and 5 years                        --      59.0      58.8      56.5      54.4      54.5      55.6      55.0      55.0      54.8      53.4      52.9 
3g             More than 5 years                            --      16.5      14.6      13.9      15.3      16.6      18.2      18.7      18.8      19.4      18.6      19.8 
4        Other securities                                131.6     120.4     120.4     131.8     144.0     135.9     136.4     125.8     121.5     121.7     124.0     123.6 
4a         Trading account                                61.7      55.4      54.2      66.5      78.8      70.2      70.9      60.5      56.5      55.3      57.9      56.9 
4b         Investment account                             69.9      65.0      66.2      65.3      65.2      65.7      65.5      65.3      65.0      66.4      66.1      66.7 
4c           State and local government                   21.1      20.3      20.5      20.6      21.1      20.8      21.0      21.1      21.1      21.5      21.5      21.7 
4d           Other                                        48.8      44.7      45.7      44.7      44.1      44.8      44.5      44.2      43.8      44.9      44.5      44.9 
             
5     Loans and leases in bank credit (2)              1,425.6   1,442.6   1,454.3   1,462.3   1,464.7   1,476.0   1,488.4   1,495.4   1,497.5   1,505.4   1,502.0   1,512.3 
6        Commercial and industrial                       382.5     389.0     388.8     390.0     396.3     402.9     410.4     411.6     410.9     411.8     410.1     411.8 
6a         Bankers acceptances                             1.5       1.9       2.0       1.7       1.5       1.5       1.4       1.4       1.4       1.4       1.4       1.4 
6b         Other                                         381.0     387.1     386.8     388.2     394.8     401.4     408.9     410.2     409.4     410.4     408.7     410.3 
7        Real estate                                     577.9     578.4     582.1     582.2     580.0     583.2     588.0     592.9     592.4     599.0     601.0     599.8 
8          Revolving home equity                          55.4      57.1      57.6      57.7      57.8      58.2      59.0      60.2      60.9      61.2      61.4      61.5 
9a         Other residential                                --     327.2     326.0     324.2     322.5     324.3     329.1     334.4     332.4     338.3     340.1     337.4 
9b         Commercial                                       --     194.1     198.5     200.3     199.7     200.8     199.9     198.3     199.2     199.5     199.4     200.8 
10       Consumer                                        284.1     290.2     294.6     298.5     295.4     291.7     290.9     292.5     293.3     293.5     293.2     293.2 
11       Security (3)                                     44.7      39.2      39.7      39.6      41.1      43.7      42.1      41.3      41.9      40.7      41.2      45.1 
11a        Fed funds and RPs with broker/dealer           29.4      23.3      22.9      23.7      25.0      27.3      24.5      23.9      24.7      25.1      24.2      27.8 
11b        Other                                          15.3      15.9      16.8      15.9      16.1      16.4      17.6      17.4      17.3      15.6      16.9      17.3 
12a      State and local government                       11.5      11.5      11.5      11.2      11.2      11.2      11.0      10.9      10.8      11.0      10.9      11.0 
12b      Agricultural                                      8.6       8.2       8.1       8.1       7.9       7.9       8.0       8.3       8.4       8.4       8.4       8.2 
12c      Fed funds and RPs with others                     5.4       4.6       4.5       5.7       5.6       5.6       6.4       5.3       5.6       4.8       4.2       5.2 
12d      All other loans                                  61.5      62.5      64.2      62.6      61.1      62.5      63.1      62.8      64.0      65.5      62.0      66.8 
12e      Lease financing receivables                      49.4      59.0      60.7      64.4      66.1      67.4      68.5      69.9      70.3      70.7      71.0      71.2 
             
13  Interbank loans                                      134.4     139.6     136.2     131.5     129.3     132.5     140.2     142.1     140.1     126.0     116.3     119.5 
13a   Fed funds and RPs with banks                        89.2      87.2      83.7      80.5      80.1      83.9      90.3      87.8      87.5      74.3      64.2      69.3 
13b   Other                                               45.2      52.5      52.5      51.0      49.3      48.6      49.9      54.2      52.6      51.8      52.2      50.2 
             
14  Cash assets (4)                                      129.7     140.8     146.3     142.5     134.1     130.1     138.6     136.7     148.0     138.8     129.7     139.6 
             
15  Other assets (5)                                     148.9     167.2     174.0     165.2     167.9     169.2     174.5     180.9     180.7     184.0     182.2     180.2 
             
16  TOTAL ASSETS (6)                                   2,242.8   2,270.2   2,286.1   2,287.3   2,292.7   2,302.0   2,344.3   2,344.9   2,351.1   2,341.2   2,318.8   2,338.3 
 

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H.8 (510) Page 8
ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Not seasonally adjusted, adjusted for mergers, billions of dollars (continued) June 27, 1997
         Week ending
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L I A B I L I T I E S             
17  Deposits                                           1,360.7   1,412.9   1,429.8   1,412.1   1,401.8   1,405.3   1,424.9   1,406.8   1,415.7   1,434.9   1,419.5   1,425.1 
18    Transaction                                        421.8     404.6     418.3     401.3     380.6     369.5     380.3     360.7     374.1     367.8     357.3     368.1 
19    Nontransaction                                     938.9   1,008.3   1,011.5   1,010.8   1,021.2   1,035.8   1,044.5   1,046.1   1,041.6   1,067.1   1,062.2   1,056.9 
20       Large time                                      135.0     156.5     155.5     156.1     161.3     159.0     164.4     167.0     167.9     171.8     169.8     171.4 
21       Other                                           803.9     851.8     856.0     854.7     859.9     876.8     880.1     879.1     873.7     895.3     892.4     885.5 
             
22  Borrowings                                           444.4     417.4     416.2     427.8     423.7     436.4     457.0     463.5     458.2     443.3     432.0     444.9 
23    From banks in the U.S.                             187.3     178.7     184.7     182.5     180.3     187.9     194.7     190.2     188.1     179.5     171.5     167.2 
24    From others                                        257.1     238.6     231.5     245.2     243.4     248.6     262.2     273.3     270.1     263.8     260.4     277.7 
             
25  Net due to related foreign offices                    89.2      66.2      63.4      69.7      76.0      68.6      74.4      88.1      92.8      76.1      76.6      76.6 
             
26  Other liabilities                                    122.7     149.6     149.8     153.1     162.5     158.4     155.0     150.6     148.6     148.8     152.8     150.6 
             
27  TOTAL LIABILITIES                                  2,017.0   2,046.1   2,059.1   2,062.6   2,064.0   2,068.7   2,111.2   2,109.0   2,115.3   2,103.1   2,080.9   2,097.1 
             
28  Residual (assets less liabilities) (7)               225.8     224.0     227.0     224.7     228.8     233.3     233.1     235.8     235.7     238.1     237.9     241.2 
                         
             MEMO                                                            
29  Reval. gains on off-bal. sheet items (8)                 --       33.1       36.0       47.5       55.9       49.0       49.5       42.0       39.5       38.5       40.0       39.0 
30  Reval. losses on off-bal. sheet items (8)                --       28.9       31.8       44.0       50.9       43.2       44.6       43.4       41.0       40.2       41.2       40.5 
31  Mortgage-backed securities (9)                           --      192.2      194.7      196.3      195.9      196.8      199.4      199.2      198.2      199.4      197.3      195.3 
31a   Pass-through                                           --      131.4      133.4      135.5      135.6      136.9      139.2      139.7      139.1      140.5      138.3      137.0 
31b   CMO, REMIC, and other                                  --       60.8       61.3       60.9       60.3       59.9       60.2       59.4       59.0       58.9       59.0       58.3 
32  Net unrealized gains (losses) on                 
      available-for-sale securities (10)             
       --        2.4        2.8        2.7        2.7        2.7        1.8        2.1        2.2        2.4        2.5        2.6 
33  Offshore credit to U.S. residents (11)                 27.9       31.3       31.7       30.9       32.1       32.9       33.3       33.6       33.5       34.2       34.1       34.1 
 

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H.8 (510) Page 9
ASSETS AND LIABILITIES OF SMALL DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Seasonally adjusted, adjusted for mergers, billions of dollars June 27, 1997
         Week ending
Account1996
May
1996
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1996
Dec
1997
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1997
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1997
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May
May 28 Jun 4Jun 11Jun 18
A S S E T S            
1   Bank credit                                        1,348.4   1,394.8   1,402.6   1,411.3   1,416.1   1,431.1   1,440.8   1,449.4   1,451.3   1,453.7   1,454.8   1,454.7 
             
2     Securities in bank credit                          405.8     406.5     406.6     410.5     409.4     413.7     416.9     417.2     416.3     415.9     416.9     416.4 
3        U.S. government securities                      325.7     326.3     326.6     329.8     329.0     331.7     333.1     333.5     332.4     333.3     333.9     333.4 
4        Other securities                                 80.1      80.2      79.9      80.7      80.5      82.0      83.9      83.7      83.9      82.6      83.0      82.9 
             
5     Loans and leases in bank credit (2)                942.6     988.3     996.0   1,000.8   1,006.6   1,017.4   1,023.8   1,032.2   1,035.0   1,037.8   1,037.8   1,038.3 
6        Commercial and industrial                       169.8     176.6     178.6     179.3     181.3     183.0     184.3     185.9     186.3     186.1     185.9     186.7 
7        Real estate                                     489.4     512.3     516.6     522.9     527.8     536.0     541.7     545.8     547.0     547.8     548.5     548.3 
8          Revolving home equity                          24.3      27.5      27.9      28.3      28.7      29.4      30.0      30.2      30.2      30.2      30.2      30.3 
9          Other                                         465.2     484.7     488.7     494.6     499.0     506.6     511.7     515.6     516.8     517.6     518.3     517.9 
10       Consumer                                        217.2     231.2     231.9     229.0     227.3     227.2     226.6     228.3     228.9     230.7     230.6     230.8 
11       Security (3)                                      5.1       4.8       4.9       4.8       5.0       5.2       4.9       4.9       4.9       5.0       4.9       4.8 
12       Other loans and leases                           61.1      63.4      64.1      64.8      65.3      66.0      66.3      67.3      67.8      68.1      68.0      67.7 
             
13  Interbank loans                                       50.2      51.9      53.6      52.9      56.0      60.2      54.0      54.3      57.1      56.5      54.2      53.6 
             
14  Cash assets (4)                                       61.5      65.0      64.8      65.2      66.3      66.7      67.7      66.4      68.6      66.3      70.0      67.0 
             
15  Other assets (5)                                      46.1      54.4      55.9      54.3      56.4      63.1      63.9      62.7      63.1      63.4      68.0      65.7 
             
16  TOTAL ASSETS (6)                                   1,486.4   1,546.0   1,556.8   1,563.8   1,574.8   1,601.2   1,606.4   1,612.6   1,619.9   1,619.6   1,626.6   1,620.6 
L I A B I L I T I E S             
17  Deposits                                           1,170.2   1,194.8   1,198.8   1,213.4   1,227.4   1,247.8   1,258.8   1,264.0   1,270.4   1,279.5   1,284.2   1,280.2 
18    Transaction                                        314.4     306.8     305.6     305.6     307.2     310.5     313.7     312.2     318.3     311.3     315.8     315.4 
19    Nontransaction                                     855.9     888.0     893.2     907.8     920.2     937.2     945.1     951.8     952.1     968.2     968.4     964.8 
20       Large time                                      146.9     143.2     144.6     146.1     147.5     148.6     147.3     148.6     148.4     149.9     150.3     150.7 
21       Other                                           708.9     744.8     748.5     761.7     772.6     788.7     797.8     803.2     803.7     818.3     818.1     814.1 
             
22  Borrowings                                           137.2     161.5     163.1     164.2     166.0     171.3     174.2     172.8     173.2     172.7     176.4     171.2 
23    From banks in the U.S.                              80.4      87.3      85.2      86.2      86.1      87.5      87.6      87.9      87.0      84.7      87.9      79.1 
24    From others                                         56.8      74.2      77.9      78.0      79.9      83.8      86.6      84.9      86.1      88.0      88.5      92.1 
             
25  Net due to related foreign offices                     4.6       2.2       2.7       4.0       4.0       3.9       4.4       4.1       3.9       3.6       3.9       3.9 
             
26  Other liabilities                                     26.6      27.4      27.6      26.3      26.3      26.1      24.3      24.8      24.8      24.1      24.2      24.3 
             
27  TOTAL LIABILITIES                                  1,338.7   1,385.9   1,392.2   1,407.9   1,423.7   1,449.1   1,461.8   1,465.7   1,472.3   1,479.9   1,488.8   1,479.6 
             
28  Residual (assets less liabilities) (7)               147.7     160.0     164.6     155.9     151.1     152.1     144.7     146.8     147.6     139.7     137.8     141.0 
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H.8 (510) Page 10
ASSETS AND LIABILITIES OF SMALL DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Not seasonally adjusted, adjusted for mergers, billions of dollars June 27, 1997
 

         Week ending
Account1996
May
1996
Nov
1996
Dec
1997
Jan
1997
Feb
1997
Mar
1997
Apr
1997
May
May 28 Jun 4Jun 11Jun 18
A S S E T S            
1   Bank credit                                        1,348.4   1,396.4   1,405.3   1,409.4   1,410.6   1,426.6   1,441.1   1,449.3   1,449.7   1,453.1   1,456.3   1,454.6 
             
2     Securities in bank credit                          407.8     404.8     406.1     409.1     407.8     415.0     420.4     419.0     417.9     416.8     419.3     418.3 
3        U.S. government securities                      327.4     324.6     326.2     328.5     327.6     332.9     336.3     335.1     333.7     334.1     336.2     335.4 
4        Other securities                                 80.4      80.2      80.0      80.5      80.2      82.2      84.1      83.9      84.2      82.7      83.1      82.8 
             
5     Loans and leases in bank credit (2)                940.6     991.5     999.2   1,000.4   1,002.8   1,011.5   1,020.7   1,030.2   1,031.8   1,036.3   1,037.0   1,036.3 
6        Commercial and industrial                       171.2     175.9     178.1     179.4     181.0     183.5     185.6     187.4     187.5     187.6     187.3     187.9 
7        Real estate                                     488.0     514.5     518.5     522.5     525.2     533.0     539.0     544.3     545.9     546.7     548.0     547.8 
8          Revolving home equity                          24.2      27.7      28.0      28.2      28.5      29.1      29.7      30.1      30.2      30.2      30.2      30.2 
9          Other                                         463.8     486.8     490.5     494.3     496.7     503.9     509.3     514.2     515.8     516.5     517.8     517.5 
10       Consumer                                        216.6     231.9     232.8     230.0     228.1     225.4     226.2     227.8     227.7     229.3     228.6     228.3 
11       Security (3)                                      4.9       5.1       5.1       4.9       5.1       5.2       4.9       4.7       4.6       5.1       5.0       4.6 
12       Other loans and leases                           59.9      64.2      64.7      63.6      63.4      64.5      65.0      66.1      66.1      67.7      68.0      67.6 
             
13  Interbank loans                                       46.5      56.7      56.6      54.2      58.1      60.1      54.4      51.0      49.9      57.5      56.4      50.0 
             
14  Cash assets (4)                                       61.3      67.7      68.5      67.3      65.6      64.6      66.4      66.2      70.5      69.9      66.3      66.2 
             
15  Other assets (5)                                      45.7      54.9      56.5      55.3      57.7      62.1      62.9      62.2      62.8      65.0      63.9      63.0 
             
16  TOTAL ASSETS (6)                                   1,482.0   1,555.6   1,566.9   1,566.3   1,572.0   1,593.6   1,604.8   1,608.3   1,612.5   1,625.0   1,622.4   1,613.3 
L I A B I L I T I E S             
17  Deposits                                           1,167.4   1,202.4   1,211.9   1,211.0   1,217.7   1,242.8   1,261.0   1,261.5   1,265.4   1,290.6   1,285.8   1,277.2 
18    Transaction                                        310.8     310.4     316.6     309.2     303.4     306.2     314.0     308.9     313.2     318.7     315.2     313.5 
19    Nontransaction                                     856.6     891.9     895.4     901.7     914.3     936.6     947.0     952.6     952.1     972.0     970.5     963.7 
20       Large time                                      147.7     143.5     143.8     144.9     148.2     149.4     148.3     149.3     149.3     150.2     150.5     150.3 
21       Other                                           708.9     748.4     751.6     756.9     766.1     787.2     798.7     803.2     802.9     821.8     820.0     813.4 
             
22  Borrowings                                           139.8     160.0     162.5     165.9     164.5     165.6     171.5     176.9     179.7     174.1     174.2     176.6 
23    From banks in the U.S.                              81.4      85.5      84.6      85.9      84.2      83.6      86.8      90.5      92.2      86.1      86.1      84.7 
24    From others                                         58.3      74.5      77.9      80.0      80.4      82.0      84.7      86.5      87.6      88.0      88.1      91.9 
             
25  Net due to related foreign offices                     4.6       2.2       2.7       4.0       4.0       3.9       4.4       4.1       3.9       3.6       3.9       3.9 
             
26  Other liabilities                                     26.3      27.3      27.1      26.6      26.8      26.4      24.6      24.6      24.4      23.5      23.9      23.6 
             
27  TOTAL LIABILITIES                                  1,338.1   1,391.8   1,404.3   1,407.4   1,413.1   1,438.8   1,461.5   1,467.1   1,473.4   1,491.8   1,487.8   1,481.4 
             
28  Residual (assets less liabilities) (7)               143.9     163.8     162.6     158.9     158.9     154.8     143.4     141.2     139.1     133.2     134.6     131.9 
             
             MEMO                                                            
29  Mortgage-backed securities (9)                           --       46.1       46.6       47.6       47.7       49.1       49.9       50.6       50.6       51.3       51.7       52.0 
 

Footnotes appear on page 13.
 

H.8 (510) Page 11
ASSETS AND LIABILITIES OF FOREIGN-RELATED INSTITUTIONS IN THE UNITED STATES (1)
Seasonally adjusted, billions of dollars June 27, 1997
         Week ending
Account1996
May
1996
Nov
1996
Dec
1997
Jan
1997
Feb
1997
Mar
1997
Apr
1997
May
May 28 Jun 4Jun 11Jun 18
A S S E T S            
1   Bank credit                                          451.7     494.0     505.2     517.0     532.8     528.8     538.3     544.8     548.1     544.2     550.0     547.8 
             
2     Securities in bank credit                          146.2     158.0     164.6     170.3     176.8     172.8     178.3     176.0     178.2     179.2     181.1     174.1 
3        U.S. government securities                       76.6      87.0      87.6      81.7      85.2      83.3      87.6      89.6      92.7      94.0      93.0      88.0 
4        Other securities                                 69.6      71.0      77.0      88.6      91.7      89.5      90.8      86.4      85.5      85.3      88.1      86.1 
             
5     Loans and leases in bank credit (2)                305.5     336.0     340.6     346.7     356.0     356.0     360.0     368.7     369.9     364.9     369.0     373.7 
6        Commercial and industrial                       187.2     208.1     213.1     214.9     218.2     217.7     218.7     221.7     221.6     221.1     222.6     224.9 
7        Real estate                                      33.6      32.4      32.0      32.0      32.3      32.0      31.9      31.1      30.7      30.6      30.5      30.5 
11       Security (3)                                     28.3      35.0      36.2      38.0      39.6      39.5      43.0      43.3      43.3      41.0      45.8      46.7 
12       Other loans and leases                           56.4      60.4      59.4      61.8      65.8      66.7      66.4      72.7      74.3      72.2      70.0      71.6 
             
13  Interbank loans                                       23.4      20.2      21.8      23.4      22.3      24.9      20.8      22.6      28.3      20.9      22.0      21.9 
             
14  Cash assets (4)                                       25.9      30.9      31.1      31.2      33.1      32.8      33.2      34.5      33.8      34.6      34.8      36.9 
             
15  Other assets (5)                                      44.3      36.1      36.9      38.6      42.0      42.1      40.3      40.0      39.9      43.8      43.7      36.8 
             
16  TOTAL ASSETS (6)                                     545.4     581.0     594.7     610.0     630.1     628.3     632.4     641.6     649.9     643.3     650.4     643.3 
L I A B I L I T I E S             
17  Deposits                                             173.5     203.9     219.5     227.1     241.0     247.2     262.8     257.1     255.4     253.5     256.8     258.8 
18    Transaction                                         10.6      10.2      10.2      10.4       9.9      10.8      11.1      11.6      11.3      11.2      11.2      11.9 
19    Nontransaction                                     162.9     193.7     209.3     216.7     231.1     236.4     251.7     245.4     244.1     242.3     245.6     247.0 
             
21       Other                                             1.8       3.7       4.2       0.1       2.4       3.0       3.9       3.0       0.5      -0.2       0.1      -0.6 
             
22  Borrowings                                           132.9     125.1     121.3     130.6     144.0     141.3     141.6     145.3     142.7     137.3     140.2     138.8 
             
24    From others                                         97.4      92.4      88.8     102.8     110.1     106.5     108.4     111.3     108.2     107.5     111.5     106.8 
             
25  Net due to related foreign offices                   168.8     167.1     162.3     150.6     140.1     142.0     135.4     149.5     158.4     167.1     161.0     160.4 
             
26  Other liabilities                                     70.3      80.0      82.8      89.9      99.6      93.3      91.3      89.1      89.5      91.9      93.3      88.7 
             
27  TOTAL LIABILITIES                                    545.5     576.1     585.9     598.1     624.6     623.8     631.2     641.0     645.9     649.8     651.3     646.7 
             
28  Residual (assets less liabilities) (7)                -0.1       4.8       8.8      11.8       5.5       4.5       1.3       0.6       3.9      -6.6      -0.9      -3.4 
 

Footnotes appear on page 13.
 

 

 

H.8 (510) Page 12
ASSETS AND LIABILITIES OF FOREIGN-RELATED INSTITUTIONS IN THE UNITED STATES (1)
Not seasonally adjusted, billions of dollars June 27, 1997
         Week ending
Account1996
May
1996
Nov
1996
Dec
1997
Jan
1997
Feb
1997
Mar
1997
Apr
1997
May
May 28 Jun 4Jun 11Jun 18
A S S E T S            
1   Bank credit                                          452.8     493.6     501.2     514.1     533.4     528.6     538.4     547.4     548.0     549.4     549.9     547.7 
             
2     Securities in bank credit                          149.2     157.7     158.2     166.2     177.8     173.5     178.9     181.0     181.8     184.8     182.9     174.6 
3        U.S. government securities                       77.0      87.0      85.1      82.7      86.9      86.2      87.0      90.2      91.9      94.7      92.4      87.6 
3a         Trading account                                  --      21.8      19.9      17.0      21.4      19.9      18.6      18.8      19.6      23.6      20.5      15.8 
3b         Investment account                               --      65.2      65.3      65.7      65.6      66.3      68.5      71.3      72.4      71.1      71.8      71.8 
4        Other securities                                 72.2      70.7      73.1      83.6      90.8      87.2      91.8      90.8      89.9      90.1      90.5      87.0 
4a         Trading account                                  --      51.3      53.4      60.2      66.3      61.3      62.0      60.2      60.3      60.5      60.1      58.1 
4b         Investment account                               --      19.4      19.7      23.3      24.5      25.9      29.9      30.7      29.6      29.6      30.4      28.9 
             
5     Loans and leases in bank credit (2)                303.6     335.9     343.0     347.9     355.6     355.1     359.6     366.4     366.2     364.6     367.1     373.1 
6        Commercial and industrial                       187.3     207.9     213.5     214.8     218.1     217.3     219.4     221.9     221.2     221.8     222.0     225.5 
7        Real estate                                      33.3      32.9      32.2      32.0      32.4      32.0      31.5      30.9      30.5      30.4      30.4      30.5 
11       Security (3)                                     28.3      35.0      36.2      38.0      39.6      39.5      43.0      43.3      43.3      41.0      45.8      46.7 
12       Other loans and leases                           54.7      60.1      61.2      63.1      65.5      66.3      65.7      70.3      71.2      71.4      68.9      70.3 
             
13  Interbank loans                                       23.4      20.2      21.8      23.4      22.3      24.9      20.8      22.6      28.3      20.9      22.0      21.9 
             
14  Cash assets (4)                                       25.9      31.1      32.2      31.6      32.4      32.2      32.4      34.5      34.5      35.4      35.5      37.7 
             
15  Other assets (5)                                      45.4      36.4      37.6      37.9      42.9      41.5      38.8      41.0      40.9      45.1      44.9      36.6 
             
16  TOTAL ASSETS (6)                                     547.5     581.0     592.6     606.7     630.7     626.9     630.1     645.3     651.4     650.5     652.1     643.7 
L I A B I L I T I E S             
17  Deposits                                             173.9     206.5     222.2     227.2     237.8     247.0     256.3     257.5     259.2     256.5     259.4     259.5 
18    Transaction                                         10.1      10.2      10.9      10.4      10.2      10.6      10.7      11.1      11.1      10.9      10.7      11.5 
19    Nontransaction                                     163.8     196.3     211.3     216.7     227.6     236.5     245.7     246.5     248.0     245.6     248.7     248.0 
20 Large time     161.3     193.9     208.6      214.5     232.9     223.7     242.4     242.4     245.3     242.9     245.7     245.6 
21       Other                                             2.4       2.4       2.8       2.2       4.0       3.6       3.3       4.1       2.7       2.7       3.1       2.4 
             
22  Borrowings                                           133.2     121.7     120.1     127.3     137.4     135.4     144.1     145.2     139.6     140.0     143.3     145.1 
             
24    From others                                         98.1      88.9      87.0      98.5     105.8     102.2     110.7     111.6     105.8     108.5     113.4     111.1 
23 From banks in the U.S.      35.1      32.8      33.1     28.8     31.6      33.2     33.4     33.6     33.7      31.5     29.9     34.1
25  Net due to related foreign offices                   165.4     166.8     163.9     159.3     149.1     146.6     132.4     145.3     155.6     153.9     148.6     148.6 
             
26  Other liabilities                                     72.3      80.6      81.5      89.1     102.0      93.1      91.1      91.8      92.0      94.6      96.4      88.3 
             
27  TOTAL LIABILITIES                                    544.7     575.5     587.6     602.9     626.4     622.2     623.9     639.9     646.3     645.1     647.7     641.6 
             
28  Residual (assets less liabilities) (7)                  2.8        5.6        5.0        3.8        4.3        4.8        6.2        5.4        5.1        5.4        4.4        2.2 
                         
                MEMO                                                         
29  Reval. gains on off-bal. sheet items (8)                 --       32.5       33.5       41.7       47.1       43.2       42.6       41.3       41.4       41.3       40.5       39.0 
30  Reval. losses on off-bal. sheet items (8)               --       31.6       32.6       40.9       47.3       43.2       42.8       41.7       41.7       41.9       40.9       39.6 
  Footnotes appear on page 13.
 

 

 

 

H.8 (510) Footnotes Page 13
June 27, 1997
 

Note: This release and historical data are available on the Federal Reserve Board's web site: http://www.bog.frb.fed.us/.

 

1. Covers the following types of institutions in the fifty states and the District of Columbia: domestically chartered commercial banks that submit a weekly report of
(foreign-related institutions). Excludes International Banking Facilities. Data are Wednesday values or pro rata averages of Wednesday values. Large domestic banks
constitute a universe; data for small domestic banks and foreign-related institutions are estimates based on weekly samples and on quarter-end condition reports. Data are
adjusted for breaks caused by reclassifications of assets and liabilities.
The data for large and small domestic banks presented on pages 5 to 10 are adjusted to remove the estimated effects of mergers between these two groups. The adjustment for
mergers changes past levels to make them comparable with current levels. Estimated quantities of balance sheet items acquired in mergers are removed from past data for the
bank group that contained the acquired bank and put into past data for the group containing the acquiring bank. Balance sheet data for acquired banks are obtained from
call reports, and a ratio procedure is used to adjust past levels.
2. Excludes federal funds sold to, reverse RPs with, and loans made to commercial banks in the United States, all of which are included in line 13.
3. Consists of reverse RPs with brokers and dealers and loans to purchase and carry securities.
4. Includes vault cash, cash items in process of collection, balances due from depository institutions, and balances due from Federal Reserve Banks.
5. Excludes the due-from position with related foreign offices, which is included in line 25.
6. Excludes unearned income, reserves for losses on loans and leases, and reserves for transfer risk. Loans are reported gross of these items.
7. This balancing item is not intended as a measure of equity capital for use in capital adequacy analysis. On a seasonally adjusted basis this item reflects any differences
in the seasonal patterns estimated for total assets and total liabilities.
8. Fair value of derivative contracts (interest rate, foreign exchange rate, other commodity and equity contracts) in a gain/loss position, as determined under FASB
Interpretation No. 39.
9. Includes mortgage-backed securities issued by U.S. government agencies, U.S. government-sponsored enterprises, and private entities.
10. Difference between fair value and historical cost for securities classified as available-for-sale under FASB Statement No. 115. Data are reported net of tax effects. Data
shown are restated to include an estimate of these tax effects.
11. Mainly commercial and industrial loans, but also includes an unknown amount of credit extended to other than nonfinancial businesses.

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