Board of Governors of the Federal Reserve System

Assets and Liabilities of Commercial Banks in the United States (Weekly) - H.8

Current Release (146 KB PDF)

Release Date: January 15, 2016

H.8; Page 1
January 15, 2016
Selected Assets and Liabilities of Commercial Banks in the United States 1

Percent change at break adjusted, seasonally adjusted, annual rate
Account 2011
2012
2013
2014
2015
2014
Q3
2014
Q4
2015
Q1
2015
Q2
2015
Q3
2015
Q4
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Assets
Bank credit  1.6   4.1   1.1   6.8   7.1   7.4   5.8   9.1   7.0   5.3   6.3   2.7   7.4   6.4   10.8 
Securities in bank credit 2  1.9   7.6   -1.8   7.0   5.8   8.1   6.1   10.3   6.2   1.6   4.6   -3.5   5.9   6.7   11.9 
Treasury and agency securities 3  3.2   8.4   -5.6   11.9   8.7   14.3   12.3   13.6   8.0   4.0   8.0   -0.2   9.8   9.3   16.2 
Other securities  -0.9   5.8   6.8   -2.8   -0.8   -4.8   -7.6   2.9   2.0   -4.2   -3.8   -11.2   -3.8   0.4   1.0 
Loans and leases in bank credit 8  1.4   2.8   2.2   6.8   7.6   7.1   5.6   8.7   7.3   6.7   6.9   4.9   8.0   6.3   10.4 
10  Commercial and industrial loans  8.5   11.6   7.1   12.0   11.1   11.3   9.1   12.5   10.9   8.1   10.9   4.6   13.1   14.3   12.4 
11  Real estate loans  -3.7   -1.1   -1.0   2.4   4.9   3.0   1.2   4.2   4.5   5.1   5.3   4.9   5.7   4.2   7.5 
12  Residential real estate loans  -1.9   -0.9   -4.6   -0.7   1.1   0.4   -2.1   1.0   1.4   0.9   1.0   0.3   1.3   1.2   1.4 
13  Revolving home equity loans  -5.9   -7.1   -8.1   -4.0   -4.8   -3.4   -2.8   -4.5   -4.9   -5.5   -4.7   -4.9   -4.9   -3.5   -4.6 
14  Closed-end residential loans 9  -0.4   1.2   -3.5   0.3   2.8   1.6   -1.9   2.7   3.2   2.7   2.5   1.8   2.9   2.5   3.0 
15  Commercial real estate loans  -6.3   -1.3   4.5   6.7   9.7   6.4   5.6   8.2   8.4   10.3   10.5   10.4   11.0   7.8   14.7 
20  Consumer loans  -1.7   1.0   3.4   5.1   5.5   5.9   3.6   2.9   5.1   6.3   7.3   7.2   7.9   5.5   10.3 
21  Credit cards and other revolving plans  -3.0   -0.7   0.8   3.9   5.4   4.4   3.7   3.9   4.6   6.2   6.4   6.6   6.7   5.0   7.8 
22  Other consumer loans  0.0   3.0   6.4   6.5   5.7   7.4   3.5   1.9   5.6   6.4   8.3   7.8   9.1   5.9   13.0 
25  Other loans and leases  18.6   7.5   5.3   15.0   12.6   14.8   15.6   21.5   11.7   9.3   5.7   3.2   7.2   2.2   15.4 
30  LESS: Allowance for loan and lease losses  -17.8   -16.4   -15.4   -12.4   -3.8   -12.6   -10.9   -8.3   -4.4   -0.7   -1.9   -6.7   1.1   -9.0   5.7 
31  Interbank loans  -37.0   4.8   -10.7   -16.9   -32.0   -4.8   -79.9   -38.8   -29.9   -61.0   -16.0   -86.5   15.9   52.9   -43.1 
34  Cash assets 21  47.6   -2.1   54.6   12.3   -8.4   16.7   -0.1   -9.5   -13.4   -8.8   -2.8   -29.2   51.1   -33.7   -59.9 
35  Trading assets 22  4.0   -1.6   -33.2   8.1   -2.4   4.6   31.4   53.0   -44.0   -1.5   -11.2   -19.6   26.6   -35.8   -86.1 
36  Other assets 23  -3.5   -5.0   -0.1   1.7   -0.8   2.1   1.1   2.1   0.1   -0.8   -4.5   -4.0   -17.0   4.7   4.8 
37  Total assets  5.3   2.6   7.1   7.4   3.2   8.8   4.1   5.5   1.7   2.0   3.7   -4.1   13.5   -1.1   -3.4 
Liabilities
38  Deposits  6.7   7.2   6.5   6.4   5.0   5.3   4.3   8.0   3.6   5.1   2.8   0.6   6.1   2.2   -5.5 
39  Large time deposits  -13.5   -1.1   5.4   6.1   0.5   -3.7   5.7   9.1   -3.8   1.5   -4.5   -21.6   17.6   -16.7   -22.9 
40  Other deposits  12.4   9.0   6.7   6.5   5.8   7.1   4.0   7.8   5.0   5.8   4.2   4.7   4.0   5.7   -2.4 
41  Borrowings  -14.7   -5.8   -0.3   15.2   6.4   19.5   7.4   7.3   6.6   0.9   10.3   -18.7   42.0   3.3   0.3 
44  Trading liabilities 24  0.7   -8.7   -26.9   9.9   -3.1   19.6   56.4   62.7   -38.9   -6.5   -22.6   -68.9   6.1   -11.7   -74.6 
46  Other liabilities 25  -1.4   -0.7   -8.8   0.2   -6.0   5.8   14.3   8.1   -7.0   -14.7   -10.5   -16.2   -6.0   -8.7   -42.4 
47  Total liabilities  5.5   2.3   8.1   7.6   3.3   9.0   3.9   5.4   2.3   1.8   3.4   -4.8   14.2   -1.6   -6.0 
Percent changes are at a simple annual rate and have been adjusted to remove the effects of nonbank structure activity of $5 billion or more, as well as the estimated effects of the initial consolidation of certain variable interest entities (FIN 46) and off-balance-sheet vehicles (FAS 166/167). Figures reported in the H.8 Notes on the Data are generally used to make these adjustments. For information on how the data were constructed, see www.federalreserve.gov/releases/h8/about.htm. Line numbers on this page correspond to those used in the remainder of the release. Percent changes for other series shown on the release are available for customizable download through the Federal Reserve Board's Data Download Program (DDP). Footnotes appear on the last page of the release.

H.8; Page 2
Assets and Liabilities of Commercial Banks in the United States 1

Seasonally adjusted, billions of dollars
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets
Bank credit  10,848.7   11,295.4   11,349.6   11,400.2   11,425.5   11,498.7   11,584.5   11,688.6   11,691.2   11,716.3   11,687.0   11,747.5 
Securities in bank credit 2  2,925.0   3,028.4   3,023.2   3,036.5   3,027.7   3,043.2   3,067.2   3,097.5   3,104.0   3,095.5   3,095.8   3,107.8 
Treasury and agency securities 3  2,038.3   2,135.3   2,134.5   2,149.2   2,148.8   2,167.0   2,190.7   2,220.3   2,227.7   2,219.9   2,221.9   2,230.1 
Mortgage-backed securities (MBS) 4  1,394.6   1,476.6   1,481.3   1,502.7   1,511.6   1,527.8   1,541.3   1,554.3   1,558.4   1,558.0   1,555.8   1,558.0 
Non-MBS 5  643.7   658.7   653.2   646.5   637.2   639.3   649.3   666.0   669.3   661.9   666.1   672.2 
Other securities  886.7   893.2   888.6   887.3   879.0   876.1   876.5   877.2   876.3   875.6   873.8   877.7 
Mortgage-backed securities 6  129.3   127.0   126.6   125.4   124.1   123.7   123.0   122.6   123.1   122.2   120.8   121.5 
Non-MBS 7  757.4   766.1   762.0   761.9   754.8   752.4   753.6   754.6   753.2   753.4   753.1   756.2 
Loans and leases in bank credit 8  7,923.7   8,266.9   8,326.4   8,363.8   8,397.8   8,455.5   8,517.3   8,591.2   8,587.2   8,620.8   8,591.2   8,639.7 
10  Commercial and industrial loans  1,774.2   1,883.9   1,893.1   1,905.4   1,912.7   1,933.6   1,956.7   1,977.0   1,979.6   1,976.9   1,976.9   1,978.7 
11  Real estate loans  3,636.3   3,742.5   3,759.9   3,774.6   3,790.0   3,809.9   3,840.2   3,864.2   3,859.4   3,873.2   3,874.3   3,875.1 
12  Residential real estate loans  2,033.0   2,057.2   2,058.5   2,059.0   2,059.4   2,063.5   2,082.3   2,084.8   2,083.1   2,087.9   2,086.5   2,080.7 
13  Revolving home equity loans  457.8   448.4   446.5   444.1   442.3   440.5   439.3   437.6   437.7   437.5   436.8   436.5 
14  Closed-end residential loans 9  1,575.2   1,608.8   1,612.0   1,614.8   1,617.2   1,623.0   1,643.1   1,647.2   1,645.4   1,650.4   1,649.7   1,644.3 
15  Commercial real estate loans  1,603.2   1,685.3   1,701.5   1,715.7   1,730.6   1,746.4   1,757.9   1,779.4   1,776.4   1,785.3   1,787.7   1,794.4 
16  Construction and land development loans 10  --   240.8   244.2   247.5   250.6   253.7   257.5   260.1   260.0   260.6   260.7   261.5 
17  Secured by farmland 11  --   84.6   85.1   85.4   85.8   86.2   86.5   87.0   86.8   87.1   87.1   87.6 
18  Secured by multifamily properties 12  --   248.4   252.7   256.6   260.1   263.3   266.6   271.6   270.9   273.6   273.5   274.2 
19  Secured by nonfarm nonresidential properties 13  --   1,111.5   1,119.5   1,126.2   1,134.1   1,143.2   1,147.3   1,160.8   1,158.8   1,164.0   1,166.5   1,171.1 
20  Consumer loans  1,197.3   1,224.4   1,231.3   1,237.8   1,245.2   1,253.4   1,259.1   1,269.9   1,268.3   1,270.6   1,274.6   1,278.9 
21  Credit cards and other revolving plans  617.8   631.2   634.9   638.1   641.6   645.2   647.9   652.1   651.5   651.4   653.9   658.1 
22  Other consumer loans  579.5   593.1   596.4   599.6   603.6   608.2   611.2   617.8   616.9   619.2   620.7   620.8 
23  Automobile loans 14  --   368.0   370.3   372.6   375.4   379.0   381.8   384.3   383.7   384.7   385.3   385.8 
24  All other consumer loans 15  --   225.1   226.2   227.0   228.2   229.1   229.4   233.5   233.2   234.4   235.4   235.0 
25  Other loans and leases  1,316.0   1,416.1   1,442.1   1,445.9   1,449.8   1,458.5   1,461.2   1,480.0   1,479.8   1,500.2   1,465.5   1,507.0 
26  Fed funds and reverse RPs with nonbanks 16  317.5   342.1   361.3   353.8   344.7   345.8   344.9   348.9   348.2   367.7   335.4   369.2 
27  All other loans and leases 17  998.5   1,074.0   1,080.8   1,092.2   1,105.2   1,112.7   1,116.3   1,131.1   1,131.6   1,132.4   1,130.1   1,137.9 
28  Loans to nondepository financial institutions 18  --   351.1   353.3   359.3   366.4   372.0   370.5   381.9   383.9   380.4   383.6   387.0 
29  Other loans not elsewhere classified 19  --   722.9   727.5   732.8   738.8   740.8   745.8   749.2   747.8   752.1   746.5   750.9 
30  LESS: Allowance for loan and lease losses  109.0   106.2   106.5   107.0   106.4   106.6   106.1   106.6   106.4   106.7   106.9   107.2 

H.8; Page 3
Assets and Liabilities of Commercial Banks in the United States 1

Seasonally adjusted, billions of dollars (continued)
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets (continued)
31  Interbank loans  82.6   73.0   69.3   65.2   60.5   61.3   64.0   61.7   61.7   62.5   60.8   58.2 
32  Fed funds and reverse RPs with banks 16  71.9   61.1   58.7   55.5   50.0   50.5   53.0   50.3   50.4   51.2   48.9   47.2 
33  Loans to commercial banks 20  10.7   11.8   10.5   9.6   10.4   10.9   11.0   11.4   11.2   11.3   11.9   11.0 
34  Cash assets 21  2,849.0   2,664.9   2,685.8   2,712.1   2,646.0   2,759.0   2,681.9   2,548.1   2,573.7   2,524.0   2,464.9   2,516.6 
35  Trading assets 22  222.8   210.3   216.6   220.0   216.4   221.2   214.6   199.2   194.9   199.5   195.7   197.3 
36  Other assets 23  1,142.2   1,153.6   1,146.2   1,151.1   1,147.3   1,131.2   1,136.5   1,141.0   1,139.6   1,148.1   1,137.7   1,153.9 
37  Total assets  15,036.3   15,291.0   15,361.0   15,441.6   15,389.3   15,564.8   15,575.5   15,532.0   15,554.7   15,543.8   15,439.1   15,566.3 
Liabilities
38  Deposits  10,455.0   10,752.9   10,799.3   10,864.6   10,869.9   10,927.3   10,963.2   10,912.5   10,914.0   10,939.1   10,832.5   10,924.7 
39  Large time deposits  1,707.5   1,708.5   1,717.3   1,726.7   1,695.9   1,721.1   1,701.2   1,668.8   1,661.8   1,668.5   1,651.2   1,666.8 
40  Other deposits  8,747.5   9,044.3   9,082.0   9,137.8   9,174.0   9,206.3   9,261.9   9,243.7   9,252.1   9,270.6   9,181.3   9,257.9 
41  Borrowings  1,774.2   1,836.5   1,846.7   1,844.3   1,815.6   1,879.1   1,884.3   1,884.7   1,889.9   1,889.6   1,873.4   1,883.2 
42  Borrowings from banks in the U.S.  112.1   104.5   104.8   105.6   99.6   103.1   105.8   105.2   105.5   107.3   103.7   105.6 
43  Borrowings from others  1,662.0   1,732.0   1,741.9   1,738.7   1,716.0   1,776.0   1,778.5   1,779.5   1,784.4   1,782.3   1,769.7   1,777.7 
44  Trading liabilities 24  225.6   215.8   225.6   228.0   214.9   216.0   213.9   200.6   202.2   202.1   196.0   207.3 
45  Net due to related foreign offices  515.8   437.6   436.1   443.6   430.5   475.2   436.8   444.4   446.8   430.5   468.8   458.5 
46  Other liabilities 25  421.3   423.5   401.6   406.8   401.2   399.3   396.5   382.5   384.7   373.4   376.0   371.9 
47  Total liabilities  13,391.8   13,666.3   13,709.4   13,787.2   13,732.1   13,896.9   13,894.7   13,824.7   13,837.5   13,834.7   13,746.7   13,845.6 
48  Residual (assets less liabilities) 26  1,644.5   1,624.6   1,651.6   1,654.3   1,657.2   1,667.9   1,680.8   1,707.3   1,717.1   1,709.1   1,692.3   1,720.7 
Memoranda
49  Net unrealized gains (losses) on available-for-sale securities 27  17.8   10.0   12.3   13.6   13.2   16.7   8.9   5.8   4.6   4.9   4.0   8.6 
50  U.S. Treasury and agency securities, MBS 28  --   7.0   7.5   9.5   9.8   12.5   6.6   3.3   2.7   2.4   1.7   4.2 
51  Loans with original amounts of $1,000,000 or less  --   540.4   541.3   542.3   542.6   542.3   543.6   544.3   544.8   543.3   543.1   545.4 
52  Loans secured by nonfarm nonresidential properties 29  --   264.9   264.5   264.4   263.9   263.5   263.3   263.2   263.1   263.1   263.2   263.7 
53  Commercial and industrial loans to U.S. addressees 30  --   275.6   276.7   277.9   278.7   278.8   280.3   281.2   281.7   280.2   279.9   281.7 

H.8; Page 4
Assets and Liabilities of Commercial Banks in the United States 1

Not seasonally adjusted, billions of dollars
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets
Bank credit  10,905.9   11,288.8   11,316.6   11,378.6   11,418.7   11,498.3   11,609.1   11,747.1   11,731.4   11,789.6   11,786.1   11,802.6 
Securities in bank credit 2  2,931.0   3,024.8   3,007.1   3,024.0   3,016.5   3,035.3   3,075.9   3,101.6   3,104.3   3,101.0   3,100.1   3,107.1 
Treasury and agency securities 3  2,041.1   2,134.8   2,122.0   2,137.0   2,136.1   2,154.5   2,194.8   2,222.2   2,225.2   2,222.5   2,223.8   2,229.0 
Mortgage-backed securities (MBS) 4  1,394.0   1,476.9   1,475.5   1,495.1   1,504.9   1,525.4   1,546.0   1,553.6   1,554.3   1,554.9   1,555.9   1,560.1 
Non-MBS 5  647.1   657.9   646.5   641.9   631.3   629.1   648.8   668.6   671.0   667.6   667.9   668.9 
Other securities  889.9   889.9   885.1   887.0   880.4   880.8   881.1   879.5   879.1   878.5   876.2   878.1 
Mortgage-backed securities 6  128.8   127.0   126.2   125.4   124.1   123.6   122.9   122.0   122.1   121.5   120.5   120.6 
Non-MBS 7  761.1   763.0   758.8   761.6   756.3   757.2   758.2   757.5   756.9   757.0   755.7   757.5 
Loans and leases in bank credit 8  7,975.0   8,264.0   8,309.5   8,354.5   8,402.2   8,462.9   8,533.2   8,645.4   8,627.1   8,688.6   8,686.0   8,695.4 
10  Commercial and industrial loans  1,774.7   1,889.8   1,889.2   1,896.8   1,903.2   1,927.8   1,950.4   1,977.9   1,975.6   1,990.0   1,989.9   1,977.9 
11  Real estate loans  3,645.3   3,743.3   3,761.1   3,778.4   3,795.2   3,812.4   3,847.9   3,873.5   3,868.6   3,877.5   3,882.4   3,890.7 
12  Residential real estate loans  2,035.8   2,059.5   2,060.6   2,063.7   2,063.7   2,065.5   2,086.3   2,087.3   2,084.7   2,085.4   2,088.1   2,091.8 
13  Revolving home equity loans  458.7   448.2   445.6   443.4   442.1   440.5   439.6   438.7   438.8   438.6   438.3   437.5 
14  Closed-end residential loans 9  1,577.1   1,611.2   1,615.0   1,620.3   1,621.5   1,625.0   1,646.7   1,648.6   1,645.9   1,646.7   1,649.8   1,654.3 
15  Commercial real estate loans  1,609.5   1,683.8   1,700.6   1,714.8   1,731.6   1,746.9   1,761.6   1,786.2   1,784.0   1,792.2   1,794.3   1,798.9 
16  Construction and land development loans 10  --   241.2   244.2   247.7   250.6   252.5   257.4   260.7   260.9   261.2   260.9   260.8 
17  Secured by farmland 11  --   84.7   85.4   85.7   86.2   86.5   86.6   87.1   87.0   87.2   87.5   87.7 
18  Secured by multifamily properties 12  --   248.1   252.5   256.7   260.9   263.8   267.1   272.6   271.9   274.8   274.3   275.1 
19  Secured by nonfarm nonresidential properties 13  --   1,109.8   1,118.5   1,124.7   1,133.9   1,144.1   1,150.5   1,165.8   1,164.2   1,168.9   1,171.6   1,175.3 
20  Consumer loans  1,216.5   1,219.6   1,227.8   1,240.1   1,250.6   1,256.4   1,265.2   1,291.6   1,287.1   1,296.9   1,305.1   1,301.1 
21  Credit cards and other revolving plans  637.4   626.8   631.0   638.5   643.0   645.1   651.2   674.0   670.0   678.6   685.9   681.2 
22  Other consumer loans  579.1   592.9   596.7   601.6   607.6   611.3   613.9   617.7   617.1   618.2   619.3   619.9 
23  Automobile loans 14  --   367.8   370.4   373.5   377.0   379.8   382.3   384.8   384.6   385.1   385.4   386.1 
24  All other consumer loans 15  --   225.1   226.3   228.2   230.7   231.5   231.6   232.8   232.5   233.1   233.9   233.8 
25  Other loans and leases  1,338.5   1,411.3   1,431.5   1,439.2   1,453.2   1,466.3   1,469.7   1,502.4   1,495.7   1,524.2   1,508.7   1,525.7 
26  Fed funds and reverse RPs with nonbanks 16  326.7   339.3   352.0   347.7   346.8   348.6   350.6   357.5   353.8   372.3   351.2   373.4 
27  All other loans and leases 17  1,011.7   1,072.0   1,079.4   1,091.5   1,106.4   1,117.7   1,119.2   1,144.9   1,141.9   1,151.9   1,157.4   1,152.4 
28  Loans to nondepository financial institutions 18  --   348.6   351.5   357.6   366.3   375.7   374.6   389.1   389.4   389.4   394.4   394.2 
29  Other loans not elsewhere classified 19  --   723.4   727.9   733.9   740.1   742.1   744.5   755.8   752.5   762.6   763.0   758.2 
30  LESS: Allowance for loan and lease losses  109.1   106.4   106.0   107.4   106.9   106.3   106.5   106.6   107.0   106.6   105.9   106.3 

H.8; Page 5
Assets and Liabilities of Commercial Banks in the United States 1

Not seasonally adjusted, billions of dollars (continued)
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets (continued)
31  Interbank loans  83.2   72.4   68.7   63.9   59.8   61.3   64.1   62.2   63.5   61.5   59.2   59.3 
32  Fed funds and reverse RPs with banks 16  72.4   60.7   58.6   54.6   49.4   50.3   53.0   50.6   52.3   50.2   46.8   47.8 
33  Loans to commercial banks 20  10.8   11.7   10.1   9.3   10.4   11.0   11.0   11.5   11.2   11.4   12.4   11.5 
34  Cash assets 21  2,798.2   2,657.2   2,696.4   2,738.0   2,640.0   2,768.9   2,701.9   2,506.4   2,556.2   2,472.5   2,324.2   2,459.5 
35  Trading assets 22  227.5   203.6   206.9   214.5   211.1   217.0   213.0   200.3   198.2   198.1   197.9   205.6 
36  Other assets 23  1,142.3   1,153.9   1,144.2   1,148.7   1,151.7   1,131.7   1,134.5   1,140.6   1,139.3   1,148.2   1,139.4   1,150.7 
37  Total assets  15,048.0   15,269.5   15,326.8   15,436.3   15,374.5   15,570.9   15,616.1   15,549.9   15,581.6   15,563.4   15,400.9   15,571.4 
Liabilities
38  Deposits  10,549.6   10,705.6   10,755.8   10,818.1   10,844.3   10,905.9   10,981.1   11,012.2   11,019.4   11,011.2   10,999.1   11,032.6 
39  Large time deposits  1,698.0   1,714.8   1,721.4   1,725.4   1,694.8   1,714.2   1,687.9   1,659.8   1,650.1   1,658.0   1,647.8   1,666.5 
40  Other deposits  8,851.6   8,990.8   9,034.3   9,092.8   9,149.5   9,191.8   9,293.1   9,352.5   9,369.4   9,353.3   9,351.3   9,366.1 
41  Borrowings  1,758.2   1,841.4   1,844.4   1,834.7   1,802.6   1,875.7   1,891.4   1,866.7   1,865.9   1,888.0   1,824.1   1,876.1 
42  Borrowings from banks in the U.S.  111.7   104.5   104.1   104.7   100.3   104.2   105.9   105.0   106.7   106.3   100.4   106.4 
43  Borrowings from others  1,646.5   1,736.8   1,740.3   1,730.0   1,702.3   1,771.5   1,785.5   1,761.7   1,759.2   1,781.7   1,723.7   1,769.7 
44  Trading liabilities 24  233.0   206.5   211.5   218.2   206.0   208.2   211.6   206.1   209.1   206.0   202.2   222.1 
45  Net due to related foreign offices  453.2   447.2   468.9   494.8   442.8   501.0   441.3   386.3   406.7   382.8   309.6   384.5 
46  Other liabilities 25  428.3   418.6   394.8   404.2   403.7   403.3   404.2   388.6   390.9   381.3   376.7   371.9 
47  Total liabilities  13,422.4   13,619.3   13,675.4   13,770.0   13,699.4   13,894.1   13,929.6   13,860.0   13,892.0   13,869.3   13,711.7   13,887.3 
48  Residual (assets less liabilities) 26  1,625.7   1,650.2   1,651.4   1,666.2   1,675.1   1,676.8   1,686.5   1,689.9   1,689.6   1,694.1   1,689.1   1,684.1 
Memoranda
49  Net unrealized gains (losses) on available-for-sale securities 27  17.8   10.0   12.3   13.6   13.2   16.7   8.9   5.8   4.6   4.9   4.0   8.6 
50  U.S. Treasury and agency securities, MBS 28  --   7.0   7.5   9.5   9.8   12.5   6.6   3.3   2.7   2.4   1.7   4.2 
51  Loans with original amounts of $1,000,000 or less  --   542.0   542.0   542.6   542.0   540.6   541.5   543.4   543.0   543.7   544.3   544.9 
52  Loans secured by nonfarm nonresidential properties 29  --   264.9   264.4   264.7   264.2   263.5   263.3   263.3   263.3   263.2   263.2   263.9 
53  Commercial and industrial loans to U.S. addressees 30  --   277.1   277.6   278.0   277.8   277.1   278.2   280.1   279.7   280.5   281.0   281.0 

H.8; Page 6
Assets and Liabilities of Domestically Chartered Commercial Banks in the United States 1

Seasonally adjusted, billions of dollars
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets
Bank credit  9,880.3   10,273.4   10,311.1   10,355.9   10,396.0   10,449.6   10,524.1   10,614.5   10,615.4   10,637.3   10,627.4   10,653.8 
Securities in bank credit 2  2,742.5   2,843.7   2,842.1   2,852.0   2,846.9   2,859.7   2,881.6   2,900.9   2,906.4   2,900.4   2,901.0   2,918.4 
Treasury and agency securities 3  1,960.7   2,055.6   2,057.2   2,069.2   2,070.7   2,084.7   2,103.7   2,120.9   2,126.3   2,121.2   2,123.0   2,137.0 
Mortgage-backed securities (MBS) 4  1,383.2   1,462.4   1,468.5   1,489.2   1,498.1   1,515.1   1,526.8   1,540.1   1,544.5   1,544.1   1,542.0   1,543.9 
Non-MBS 5  577.5   593.2   588.8   580.0   572.6   569.6   576.9   580.8   581.8   577.2   581.0   593.0 
Other securities  781.8   788.1   784.9   782.8   776.2   775.0   777.9   780.0   780.0   779.2   778.0   781.4 
Mortgage-backed securities 6  126.1   123.7   123.3   122.3   121.4   120.9   120.1   119.4   119.8   118.8   117.8   118.4 
Non-MBS 7  655.7   664.3   661.6   660.5   654.8   654.1   657.9   660.7   660.3   660.4   660.3   663.1 
Loans and leases in bank credit 8  7,137.7   7,429.6   7,469.0   7,503.9   7,549.1   7,589.9   7,642.5   7,713.5   7,709.1   7,736.9   7,726.4   7,735.4 
10  Commercial and industrial loans  1,465.3   1,547.0   1,552.6   1,563.8   1,571.4   1,582.3   1,599.2   1,613.6   1,617.1   1,613.8   1,611.7   1,612.0 
11  Real estate loans  3,600.4   3,702.3   3,718.9   3,732.4   3,746.2   3,763.9   3,792.1   3,815.5   3,810.9   3,824.4   3,825.1   3,824.1 
12  Residential real estate loans  2,030.9   2,055.1   2,056.9   2,057.8   2,058.2   2,061.8   2,080.4   2,083.4   2,081.5   2,086.6   2,085.7   2,079.6 
13  Revolving home equity loans  457.4   448.0   446.1   443.8   441.9   440.2   438.9   437.1   437.2   437.1   436.4   436.1 
14  Closed-end residential loans 9  1,573.5   1,607.2   1,610.8   1,614.0   1,616.3   1,621.6   1,641.4   1,646.3   1,644.3   1,649.5   1,649.3   1,643.5 
15  Commercial real estate loans  1,569.4   1,647.1   1,662.0   1,674.7   1,688.0   1,702.1   1,711.8   1,732.0   1,729.4   1,737.8   1,739.4   1,744.5 
16  Construction and land development loans 10  --   237.5   240.7   243.9   246.9   249.9   253.5   255.8   255.7   256.3   256.3   257.0 
17  Secured by farmland 11  --   84.4   85.0   85.3   85.7   86.1   86.3   86.7   86.6   86.9   86.9   87.3 
18  Secured by multifamily properties 12  --   247.4   251.3   254.8   258.2   261.4   264.7   269.8   269.1   271.8   271.7   272.4 
19  Secured by nonfarm nonresidential properties 13  --   1,077.8   1,085.0   1,090.7   1,097.2   1,104.7   1,107.2   1,119.7   1,118.1   1,122.8   1,124.5   1,127.8 
20  Consumer loans  1,194.5   1,221.7   1,228.6   1,235.1   1,242.6   1,250.8   1,256.7   1,267.5   1,266.0   1,268.2   1,272.2   1,276.5 
21  Credit cards and other revolving plans  617.8   631.2   634.9   638.1   641.6   645.2   647.9   652.1   651.5   651.4   653.9   658.1 
22  Other consumer loans  576.8   590.5   593.7   597.0   601.0   605.6   608.8   615.5   614.5   616.8   618.3   618.4 
23  Automobile loans 14  --   368.0   370.3   372.6   375.4   379.0   381.8   384.3   383.7   384.7   385.3   385.8 
24  All other consumer loans 15  --   222.5   223.4   224.4   225.6   226.5   226.9   231.1   230.8   232.1   233.0   232.6 
25  Other loans and leases  877.5   958.6   968.9   972.5   989.0   992.9   994.4   1,016.9   1,015.1   1,030.6   1,017.3   1,022.8 
26  Fed funds and reverse RPs with nonbanks 16  113.2   129.0   132.4   127.5   134.5   127.5   125.7   133.5   132.9   145.8   134.3   129.1 
27  All other loans and leases 17  764.3   829.6   836.5   845.0   854.5   865.4   868.7   883.4   882.2   884.8   883.0   893.7 
28  Loans to nondepository financial institutions 18  --   240.4   245.0   250.0   253.3   261.1   260.1   268.4   268.4   268.5   270.5   273.4 
29  Other loans not elsewhere classified 19  --   589.2   591.5   595.1   601.1   604.3   608.6   615.0   613.8   616.3   612.5   620.3 
30  LESS: Allowance for loan and lease losses  108.5   105.6   105.8   106.1   105.5   105.7   105.1   105.7   105.5   105.8   106.0   106.3 

H.8; Page 7
Assets and Liabilities of Domestically Chartered Commercial Banks in the United States 1

Seasonally adjusted, billions of dollars (continued)
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets (continued)
31  Interbank loans  58.2   53.5   49.9   47.5   45.7   45.5   46.1   46.6   46.8   49.5   46.6   42.9 
32  Fed funds and reverse RPs with banks 16  50.8   44.0   41.9   40.2   37.9   37.8   38.1   38.2   38.4   41.2   37.8   35.0 
33  Loans to commercial banks 20  7.3   9.4   8.1   7.3   7.7   7.7   7.9   8.4   8.4   8.3   8.7   7.9 
34  Cash assets 21  1,534.7   1,489.3   1,503.4   1,532.3   1,483.5   1,483.0   1,462.3   1,364.6   1,381.5   1,345.0   1,284.0   1,376.1 
35  Trading assets 22  136.9   137.8   142.5   144.6   144.0   148.2   143.2   130.6   126.7   131.5   128.8   127.6 
36  Other assets 23  1,065.7   1,081.6   1,074.5   1,079.8   1,079.2   1,074.5   1,078.2   1,079.2   1,075.7   1,085.7   1,072.8   1,087.1 
37  Total assets  12,567.2   12,929.9   12,975.8   13,054.0   13,043.0   13,095.0   13,148.8   13,129.7   13,140.5   13,143.2   13,053.6   13,181.2 
Liabilities
38  Deposits  9,329.3   9,637.4   9,681.4   9,738.2   9,763.9   9,794.9   9,855.1   9,845.1   9,854.0   9,865.9   9,781.3   9,856.9 
39  Large time deposits  799.2   835.5   846.8   854.6   843.6   851.5   860.3   863.0   863.6   861.3   858.7   858.9 
40  Other deposits  8,530.1   8,801.9   8,834.6   8,883.6   8,920.3   8,943.4   8,994.8   8,982.1   8,990.3   9,004.6   8,922.6   8,998.0 
41  Borrowings  1,027.9   1,065.4   1,066.7   1,063.6   1,042.8   1,064.0   1,068.2   1,076.8   1,077.3   1,076.1   1,084.8   1,078.3 
42  Borrowings from banks in the U.S.  76.4   72.7   70.7   68.4   64.8   66.6   67.1   69.9   68.6   74.7   71.8   66.7 
43  Borrowings from others  951.5   992.7   996.0   995.2   978.0   997.4   1,001.1   1,006.9   1,008.7   1,001.5   1,013.0   1,011.6 
44  Trading liabilities 24  139.5   140.6   151.4   152.0   143.7   147.6   146.7   130.0   133.7   131.3   125.5   132.7 
45  Net due to related foreign offices  98.4   83.4   76.2   91.3   88.6   77.7   87.9   69.1   67.5   61.3   61.2   86.8 
46  Other liabilities 25  364.0   362.3   341.7   348.2   344.4   342.6   338.9   324.1   326.1   318.6   311.8   324.0 
47  Total liabilities  10,959.2   11,289.0   11,317.3   11,393.3   11,383.4   11,426.7   11,496.8   11,445.1   11,458.7   11,453.2   11,364.6   11,478.8 
48  Residual (assets less liabilities) 26  1,608.0   1,640.9   1,658.5   1,660.7   1,659.6   1,668.3   1,652.0   1,684.6   1,681.9   1,690.0   1,689.0   1,702.4 
Memoranda
49  Net unrealized gains (losses) on available-for-sale securities 27  16.8   9.7   11.9   13.2   13.0   16.1   8.6   5.5   4.4   4.5   3.7   8.0 
50  U.S. Treasury and agency securities, MBS 28  --   6.8   7.1   9.1   9.6   12.0   6.3   3.0   2.4   2.0   1.4   3.6 
51  Loans with original amounts of $1,000,000 or less  --   540.4   541.3   542.3   542.6   542.2   543.6   544.3   544.8   543.3   543.1   545.4 
52  Loans secured by nonfarm nonresidential properties 29  --   264.9   264.5   264.4   263.9   263.5   263.3   263.2   263.1   263.1   263.1   263.7 
53  Commercial and industrial loans to U.S. addressees 30  --   275.6   276.7   277.9   278.7   278.8   280.3   281.1   281.7   280.2   279.9   281.7 

H.8; Page 8
Assets and Liabilities of Domestically Chartered Commercial Banks in the United States 1

Not seasonally adjusted, billions of dollars
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets
Bank credit  9,931.4   10,270.0   10,285.8   10,338.1   10,392.3   10,451.0   10,546.0   10,670.1   10,654.1   10,705.3   10,725.1   10,717.1 
Securities in bank credit 2  2,748.4   2,841.5   2,824.6   2,838.2   2,834.8   2,853.5   2,888.4   2,904.4   2,905.8   2,905.5   2,905.8   2,918.8 
Treasury and agency securities 3  1,963.7   2,055.2   2,043.5   2,056.2   2,058.8   2,075.1   2,107.4   2,122.7   2,123.3   2,123.6   2,126.1   2,138.0 
Mortgage-backed securities (MBS) 4  1,382.3   1,462.1   1,461.9   1,481.4   1,491.2   1,512.6   1,531.9   1,539.3   1,540.3   1,540.6   1,541.6   1,545.5 
Non-MBS 5  581.3   593.1   581.6   574.8   567.6   562.5   575.5   583.4   582.9   583.0   584.4   592.5 
Other securities  784.7   786.2   781.1   782.0   776.0   778.4   781.0   781.7   782.5   781.9   779.7   780.8 
Mortgage-backed securities 6  126.1   123.6   122.8   122.0   120.8   120.7   120.1   119.2   119.4   118.8   117.9   117.8 
Non-MBS 7  658.7   662.6   658.3   659.9   655.2   657.8   660.9   662.5   663.1   663.1   661.8   663.0 
Loans and leases in bank credit 8  7,183.0   7,428.6   7,461.3   7,499.9   7,557.5   7,597.5   7,657.6   7,765.7   7,748.3   7,799.8   7,819.3   7,798.3 
10  Commercial and industrial loans  1,466.1   1,551.7   1,548.8   1,555.8   1,564.0   1,579.6   1,596.9   1,614.5   1,613.4   1,623.1   1,623.1   1,612.7 
11  Real estate loans  3,608.7   3,703.0   3,720.0   3,735.9   3,750.8   3,766.1   3,799.8   3,823.7   3,819.0   3,827.5   3,832.1   3,839.0 
12  Residential real estate loans  2,033.8   2,057.5   2,058.7   2,061.9   2,061.7   2,063.7   2,084.9   2,086.0   2,083.4   2,084.2   2,087.0   2,090.8 
13  Revolving home equity loans  458.3   447.9   445.2   443.0   441.8   440.1   439.2   438.3   438.4   438.2   437.9   437.1 
14  Closed-end residential loans 9  1,575.5   1,609.6   1,613.5   1,618.8   1,619.9   1,623.6   1,645.6   1,647.7   1,645.0   1,645.9   1,649.1   1,653.6 
15  Commercial real estate loans  1,574.9   1,645.5   1,661.3   1,674.0   1,689.1   1,702.4   1,714.9   1,737.7   1,735.7   1,743.4   1,745.1   1,748.2 
16  Construction and land development loans 10  --   237.9   240.8   244.0   246.9   248.9   253.5   256.4   256.6   256.9   256.5   256.1 
17  Secured by farmland 11  --   84.5   85.2   85.6   86.0   86.3   86.4   86.9   86.8   87.0   87.3   87.5 
18  Secured by multifamily properties 12  --   247.0   251.1   254.9   259.0   261.8   265.3   270.9   270.2   273.0   272.6   273.4 
19  Secured by nonfarm nonresidential properties 13  --   1,076.0   1,084.3   1,089.6   1,097.1   1,105.3   1,109.7   1,123.5   1,122.1   1,126.4   1,128.7   1,131.2 
20  Consumer loans  1,213.8   1,217.0   1,225.1   1,237.4   1,248.0   1,253.8   1,262.6   1,289.3   1,284.8   1,294.5   1,302.8   1,298.8 
21  Credit cards and other revolving plans  637.4   626.8   631.0   638.5   643.0   645.1   651.2   674.0   670.0   678.6   685.9   681.2 
22  Other consumer loans  576.4   590.2   594.1   598.9   605.0   608.7   611.3   615.3   614.8   615.9   616.9   617.6 
23  Automobile loans 14  --   367.8   370.4   373.5   377.0   379.8   382.3   384.8   384.6   385.1   385.4   386.1 
24  All other consumer loans 15  --   222.4   223.6   225.5   228.0   228.8   229.0   230.5   230.2   230.8   231.6   231.5 
25  Other loans and leases  894.3   956.9   967.4   970.8   994.7   998.0   998.3   1,038.2   1,031.0   1,054.6   1,061.3   1,047.8 
26  Fed funds and reverse RPs with nonbanks 16  117.8   126.7   130.2   124.6   137.2   128.1   124.8   138.5   135.1   147.8   149.4   139.2 
27  All other loans and leases 17  776.6   830.2   837.2   846.2   857.6   869.9   873.5   899.7   895.9   906.8   911.9   908.6 
28  Loans to nondepository financial institutions 18  --   241.8   246.5   250.2   253.1   261.2   261.9   274.4   272.6   276.6   281.2   280.3 
29  Other loans not elsewhere classified 19  --   588.4   590.7   596.0   604.5   608.7   611.5   625.2   623.3   630.2   630.7   628.3 
30  LESS: Allowance for loan and lease losses  108.6   105.8   105.3   106.6   106.1   105.5   105.6   105.7   106.0   105.7   104.9   105.3 

H.8; Page 9
Assets and Liabilities of Domestically Chartered Commercial Banks in the United States 1

Not seasonally adjusted, billions of dollars (continued)
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets (continued)
31  Interbank loans  60.3   52.0   49.1   46.8   45.9   46.2   46.9   48.1   49.0   49.8   48.2   44.8 
32  Fed funds and reverse RPs with banks 16  52.9   42.7   41.6   39.9   38.3   38.5   38.9   39.6   40.8   41.6   38.9   36.2 
33  Loans to commercial banks 20  7.4   9.3   7.6   6.9   7.6   7.7   8.0   8.5   8.2   8.3   9.3   8.5 
34  Cash assets 21  1,606.7   1,457.4   1,485.1   1,516.1   1,479.7   1,469.0   1,496.9   1,427.5   1,464.6   1,373.0   1,366.3   1,396.7 
35  Trading assets 22  138.9   134.3   137.3   141.9   140.4   144.7   140.5   129.9   128.4   128.4   129.0   133.8 
36  Other assets 23  1,067.5   1,080.7   1,075.0   1,078.3   1,080.6   1,073.8   1,076.7   1,080.5   1,076.7   1,087.5   1,078.5   1,087.4 
37  Total assets  12,696.1   12,888.6   12,927.0   13,014.6   13,032.7   13,079.1   13,201.3   13,250.4   13,266.7   13,238.5   13,242.1   13,274.4 
Liabilities
38  Deposits  9,435.9   9,592.1   9,646.7   9,697.0   9,737.2   9,776.0   9,880.0   9,955.8   9,969.2   9,948.2   9,961.1   9,964.3 
39  Large time deposits  803.0   841.0   859.3   860.4   841.5   847.2   856.5   866.6   862.7   864.8   870.4   862.1 
40  Other deposits  8,632.9   8,751.1   8,787.4   8,836.6   8,895.7   8,928.8   9,023.5   9,089.2   9,106.5   9,083.4   9,090.6   9,102.1 
41  Borrowings  1,026.6   1,073.0   1,066.9   1,054.2   1,039.6   1,059.5   1,062.5   1,075.1   1,066.0   1,081.1   1,092.3   1,084.9 
42  Borrowings from banks in the U.S.  76.6   73.0   70.4   67.0   65.6   67.3   66.5   69.9   68.7   73.2   72.2   68.5 
43  Borrowings from others  950.0   1,000.1   996.5   987.2   974.1   992.1   996.0   1,005.3   997.2   1,008.0   1,020.2   1,016.4 
44  Trading liabilities 24  145.0   133.7   142.3   144.4   134.5   138.5   141.5   133.5   137.5   134.2   131.8   147.2 
45  Net due to related foreign offices  97.4   86.2   87.8   109.3   100.9   83.7   88.8   69.6   74.5   60.6   59.5   71.9 
46  Other liabilities 25  369.8   357.5   336.4   346.8   348.1   348.1   346.3   329.0   331.5   322.4   312.6   326.1 
47  Total liabilities  11,074.7   11,242.5   11,280.2   11,351.7   11,360.4   11,405.9   11,519.2   11,563.0   11,578.8   11,546.6   11,557.3   11,594.4 
48  Residual (assets less liabilities) 26  1,621.5   1,646.2   1,646.9   1,662.8   1,672.3   1,673.2   1,682.0   1,687.4   1,688.0   1,691.9   1,684.8   1,680.0 
Memoranda
49  Net unrealized gains (losses) on available-for-sale securities 27  16.8   9.7   11.9   13.2   13.0   16.1   8.6   5.5   4.4   4.5   3.7   8.0 
50  U.S. Treasury and agency securities, MBS 28  --   6.8   7.1   9.1   9.6   12.0   6.3   3.0   2.4   2.0   1.4   3.6 
51  Loans with original amounts of $1,000,000 or less  --   542.0   542.0   542.6   542.0   540.6   541.5   543.4   543.0   543.7   544.3   544.9 
52  Loans secured by nonfarm nonresidential properties 29  --   264.9   264.4   264.7   264.2   263.5   263.3   263.3   263.3   263.2   263.2   263.9 
53  Commercial and industrial loans to U.S. addressees 30  --   277.1   277.6   278.0   277.8   277.1   278.2   280.1   279.7   280.5   281.0   281.0 

H.8; Page 10
Assets and Liabilities of Large Domestically Chartered Commercial Banks in the United States 1

Seasonally adjusted, billions of dollars
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets
Bank credit  6,371.2   6,583.7   6,595.8   6,637.1   6,649.0   6,680.7   6,741.0   6,791.5   6,800.2   6,795.7   6,784.1   6,806.1 
Securities in bank credit 2  1,920.3   1,994.8   1,989.3   2,001.0   1,995.4   2,007.4   2,027.6   2,037.0   2,044.0   2,033.8   2,032.6   2,048.7 
Treasury and agency securities 3  1,377.3   1,450.9   1,450.4   1,464.1   1,466.1   1,480.7   1,498.5   1,507.2   1,513.3   1,505.5   1,506.1   1,519.4 
Mortgage-backed securities (MBS) 4  974.7   1,040.8   1,042.8   1,062.9   1,070.6   1,087.0   1,099.0   1,107.6   1,111.8   1,110.8   1,107.6   1,109.4 
Non-MBS 5  402.7   410.1   407.7   401.3   395.5   393.7   399.5   399.6   401.5   394.7   398.5   410.0 
Other securities  543.0   543.9   538.9   536.8   529.3   526.7   529.1   529.8   530.7   528.3   526.5   529.3 
Mortgage-backed securities 6  113.0   110.5   109.5   108.2   107.3   106.9   106.0   105.3   105.5   104.8   103.9   104.4 
Non-MBS 7  430.0   433.4   429.3   428.6   421.9   419.8   423.1   424.5   425.3   423.5   422.6   424.8 
Loans and leases in bank credit 8  4,450.9   4,588.9   4,606.4   4,636.2   4,653.7   4,673.3   4,713.4   4,754.5   4,756.2   4,762.0   4,751.5   4,757.3 
10  Commercial and industrial loans  934.2   988.2   990.2   999.3   1,004.2   1,011.6   1,025.9   1,035.8   1,039.0   1,035.6   1,032.6   1,030.5 
11  Real estate loans  1,950.3   1,964.8   1,973.1   1,980.0   1,977.7   1,979.3   2,000.1   2,006.2   2,003.5   2,009.1   2,009.3   2,007.0 
12  Residential real estate loans  1,379.2   1,376.3   1,376.5   1,376.0   1,370.4   1,370.0   1,388.6   1,386.5   1,385.0   1,387.4   1,386.3   1,380.7 
13  Revolving home equity loans  340.5   326.8   324.4   321.9   319.7   317.3   316.0   313.6   313.7   313.0   312.6   311.9 
14  Closed-end residential loans 9  1,038.7   1,049.5   1,052.1   1,054.1   1,050.7   1,052.7   1,072.6   1,072.9   1,071.3   1,074.4   1,073.7   1,068.9 
15  Commercial real estate loans  571.0   588.4   596.6   603.9   607.3   609.3   611.5   619.7   618.5   621.7   623.0   626.2 
16  Construction and land development loans 10  --   88.2   89.3   90.4   91.3   92.1   93.2   94.1   94.0   94.1   94.2   94.6 
17  Secured by farmland 11  --   7.6   7.7   7.9   7.9   7.9   7.9   8.0   7.9   7.9   8.0   8.1 
18  Secured by multifamily properties 12  --   113.3   115.7   117.5   118.8   119.3   121.3   123.3   122.6   124.7   124.2   124.6 
19  Secured by nonfarm nonresidential properties 13  --   379.4   383.9   388.1   389.3   390.0   389.1   394.3   393.9   394.9   396.5   399.0 
20  Consumer loans  887.7   905.2   909.0   913.5   916.1   919.9   924.0   928.6   927.3   928.7   930.5   933.6 
21  Credit cards and other revolving plans  477.6   485.8   488.2   489.9   491.1   492.6   493.7   496.9   496.6   496.6   497.5   499.8 
22  Other consumer loans  410.1   419.4   420.9   423.5   425.0   427.4   430.3   431.8   430.7   432.1   433.1   433.8 
23  Automobile loans 14  --   297.7   299.2   301.5   303.5   306.7   309.4   311.2   310.6   311.3   311.8   312.3 
24  All other consumer loans 15  --   121.7   121.7   122.0   121.5   120.6   120.9   120.6   120.1   120.8   121.3   121.5 
25  Other loans and leases  678.7   730.8   734.1   743.5   755.7   762.4   763.3   783.9   786.4   788.5   779.0   786.3 
26  Fed funds and reverse RPs with nonbanks 16  108.5   116.5   113.8   115.2   120.0   116.2   114.1   123.3   125.3   127.8   120.6   121.0 
27  All other loans and leases 17  570.2   614.3   620.3   628.2   635.7   646.3   649.2   660.6   661.2   660.7   658.4   665.3 
28  Loans to nondepository financial institutions 18  --   202.5   206.9   211.6   214.4   221.5   222.2   228.5   229.6   227.7   229.1   232.6 
29  Other loans not elsewhere classified 19  --   411.8   413.4   416.6   421.3   424.8   427.0   432.1   431.5   433.0   429.2   432.7 
30  LESS: Allowance for loan and lease losses  71.9   68.7   69.1   70.0   69.0   68.8   68.3   68.3   68.1   68.3   68.5   68.4 

H.8; Page 11
Assets and Liabilities of Large Domestically Chartered Commercial Banks in the United States 1

Seasonally adjusted, billions of dollars (continued)
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets (continued)
31  Interbank loans  31.0   30.5   27.0   26.6   24.2   22.3   20.3   22.1   22.4   23.9   21.5   20.5 
32  Fed funds and reverse RPs with banks 16  24.6   21.9   19.7   19.5   17.2   15.4   13.2   14.7   15.1   16.5   13.7   13.5 
33  Loans to commercial banks 20  6.4   8.6   7.4   7.1   7.0   6.9   7.1   7.5   7.4   7.4   7.8   7.0 
34  Cash assets 21  1,204.4   1,155.8   1,176.9   1,202.7   1,149.4   1,145.5   1,120.4   1,031.6   1,047.6   1,020.2   965.9   1,031.8 
35  Trading assets 22  133.2   134.1   138.8   140.6   140.0   143.9   139.2   126.6   122.7   127.4   124.9   123.4 
36  Other assets 23  795.4   800.4   791.9   797.2   798.3   793.1   796.4   795.7   793.3   800.8   788.9   802.2 
37  Total assets  8,463.3   8,635.8   8,661.2   8,734.3   8,691.8   8,716.7   8,749.0   8,699.3   8,718.1   8,699.7   8,616.7   8,715.7 
Liabilities
38  Deposits  6,073.8   6,216.0   6,239.1   6,276.3   6,298.9   6,295.3   6,335.4   6,316.2   6,331.5   6,322.9   6,257.2   6,314.9 
39  Large time deposits  424.4   452.2   460.8   468.1   455.2   460.0   466.3   473.0   475.0   471.4   468.2   466.8 
40  Other deposits  5,649.4   5,763.8   5,778.3   5,808.3   5,843.7   5,835.3   5,869.1   5,843.1   5,856.5   5,851.5   5,789.1   5,848.1 
41  Borrowings  756.6   776.9   778.7   772.2   752.1   773.6   777.4   779.7   783.5   775.5   781.3   772.8 
42  Borrowings from banks in the U.S.  23.4   21.8   20.5   20.9   20.9   21.1   21.3   23.2   23.2   26.3   23.6   20.1 
43  Borrowings from others  733.1   755.1   758.3   751.3   731.2   752.5   756.1   756.5   760.3   749.2   757.7   752.7 
44  Trading liabilities 24  135.8   136.3   146.9   147.2   138.9   142.3   141.6   125.5   129.2   126.8   121.2   128.4 
45  Net due to related foreign offices  89.3   72.3   67.4   82.4   80.6   67.6   77.1   61.5   59.7   55.0   54.8   79.6 
46  Other liabilities 25  308.7   302.6   279.1   288.7   284.1   281.8   278.3   263.0   264.7   255.9   254.1   264.6 
47  Total liabilities  7,364.2   7,504.0   7,511.3   7,566.8   7,554.6   7,560.6   7,609.8   7,545.9   7,568.5   7,536.1   7,468.5   7,560.3 
48  Residual (assets less liabilities) 26  1,099.1   1,131.8   1,149.9   1,167.5   1,137.2   1,156.1   1,139.2   1,153.4   1,149.6   1,163.7   1,148.1   1,155.3 
Memoranda
49  Net unrealized gains (losses) on available-for-sale securities 27  14.5   7.8   11.0   11.9   11.5   13.7   6.6   4.7   3.5   3.7   3.1   8.0 
50  U.S. Treasury and agency securities, MBS 28  --   4.6   5.8   7.4   7.7   9.5   4.4   2.2   1.6   1.2   0.7   3.8 
51  Loans with original amounts of $1,000,000 or less  --   181.5   182.3   183.1   182.5   180.0   181.0   180.9   181.3   180.1   179.7   181.4 
52  Loans secured by nonfarm nonresidential properties 29  --   58.8   58.8   58.8   58.2   57.7   57.3   57.0   57.0   56.9   57.0   57.0 
53  Commercial and industrial loans to U.S. addressees 30  --   122.6   123.6   124.3   124.3   122.3   123.7   123.9   124.3   123.2   122.7   124.4 

H.8; Page 12
Assets and Liabilities of Large Domestically Chartered Commercial Banks in the United States 1

Not seasonally adjusted, billions of dollars
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets
Bank credit  6,408.4   6,578.1   6,570.9   6,619.2   6,642.9   6,682.4   6,753.4   6,831.1   6,829.7   6,850.1   6,848.9   6,846.8 
Securities in bank credit 2  1,926.1   1,992.0   1,976.4   1,988.0   1,985.7   2,003.3   2,032.2   2,040.9   2,043.9   2,040.8   2,039.4   2,051.0 
Treasury and agency securities 3  1,379.9   1,450.7   1,440.5   1,452.5   1,457.4   1,474.4   1,501.4   1,509.0   1,510.9   1,508.8   1,509.5   1,520.5 
Mortgage-backed securities (MBS) 4  974.2   1,038.7   1,038.7   1,057.7   1,067.4   1,087.5   1,104.2   1,106.8   1,107.9   1,107.5   1,107.5   1,110.7 
Non-MBS 5  405.7   412.1   401.8   394.8   390.1   386.8   397.2   402.2   403.0   401.3   402.0   409.8 
Other securities  546.2   541.3   535.9   535.5   528.3   528.9   530.7   531.9   533.0   532.0   529.9   530.5 
Mortgage-backed securities 6  112.8   110.3   109.1   108.0   106.8   106.7   105.9   105.0   105.0   104.5   104.0   104.0 
Non-MBS 7  433.4   431.1   426.8   427.5   421.5   422.2   424.8   426.9   428.0   427.5   425.9   426.5 
Loans and leases in bank credit 8  4,482.3   4,586.1   4,594.5   4,631.2   4,657.2   4,679.1   4,721.2   4,790.1   4,785.8   4,809.3   4,809.6   4,795.8 
10  Commercial and industrial loans  935.8   990.6   986.2   992.8   998.1   1,010.6   1,025.1   1,037.4   1,038.0   1,043.8   1,040.8   1,031.0 
11  Real estate loans  1,953.9   1,967.1   1,973.2   1,982.5   1,981.4   1,980.6   2,003.8   2,009.7   2,008.2   2,009.9   2,009.3   2,012.5 
12  Residential real estate loans  1,379.7   1,378.4   1,377.2   1,378.2   1,372.2   1,371.2   1,390.6   1,386.9   1,385.7   1,384.6   1,384.8   1,387.2 
13  Revolving home equity loans  341.1   326.8   323.7   321.2   319.3   317.2   315.8   314.2   314.5   314.1   313.7   312.7 
14  Closed-end residential loans 9  1,038.6   1,051.7   1,053.5   1,057.0   1,052.9   1,054.1   1,074.8   1,072.6   1,071.3   1,070.5   1,071.1   1,074.5 
15  Commercial real estate loans  574.2   588.6   596.0   604.3   609.2   609.4   613.2   622.8   622.4   625.3   624.5   625.3 
16  Construction and land development loans 10  --   88.6   89.7   90.8   91.8   91.6   93.0   93.9   94.1   94.0   93.8   93.3 
17  Secured by farmland 11  --   7.6   7.7   8.0   8.1   8.0   8.0   8.0   8.0   8.0   8.0   8.1 
18  Secured by multifamily properties 12  --   113.7   115.6   117.4   118.9   118.9   121.4   123.8   123.2   125.3   124.1   124.3 
19  Secured by nonfarm nonresidential properties 13  --   378.7   383.0   388.1   390.5   390.9   390.9   397.1   397.1   398.1   398.6   399.6 
20  Consumer loans  901.5   902.0   907.3   916.1   920.5   920.2   926.2   944.5   941.4   948.1   952.7   950.2 
21  Credit cards and other revolving plans  491.7   482.8   485.7   490.6   492.5   492.1   495.8   511.8   509.1   515.1   519.3   516.6 
22  Other consumer loans  409.8   419.3   421.5   425.4   428.0   428.1   430.4   432.7   432.4   432.9   433.4   433.6 
23  Automobile loans 14  --   297.4   299.1   302.2   305.2   307.5   309.8   311.6   311.5   311.8   311.9   312.5 
24  All other consumer loans 15  --   121.9   122.4   123.2   122.8   120.6   120.7   121.1   120.9   121.1   121.5   121.1 
25  Other loans and leases  691.1   726.4   727.8   739.9   757.2   767.7   766.1   798.5   798.2   807.5   806.7   802.1 
26  Fed funds and reverse RPs with nonbanks 16  111.8   114.1   110.2   112.6   121.7   118.3   113.5   127.0   127.8   130.5   129.2   126.8 
27  All other loans and leases 17  579.4   612.3   617.6   627.3   635.5   649.5   652.6   671.5   670.4   677.0   677.5   675.3 
28  Loans to nondepository financial institutions 18  --   202.3   207.7   211.8   213.6   221.8   223.2   232.2   231.9   233.7   236.0   235.9 
29  Other loans not elsewhere classified 19  --   410.0   409.9   415.5   421.9   427.6   429.4   439.4   438.5   443.3   441.5   439.3 
30  LESS: Allowance for loan and lease losses  72.1   68.9   68.7   70.0   69.4   68.6   68.6   68.5   68.7   68.6   68.1   67.9 

H.8; Page 13
Assets and Liabilities of Large Domestically Chartered Commercial Banks in the United States 1

Not seasonally adjusted, billions of dollars (continued)
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets (continued)
31  Interbank loans  31.3   29.9   26.9   26.4   24.5   22.4   20.5   22.2   22.4   23.5   22.5   21.6 
32  Fed funds and reverse RPs with banks 16  24.9   21.3   19.8   19.5   17.7   15.6   13.5   14.7   15.2   16.3   14.2   14.1 
33  Loans to commercial banks 20  6.5   8.6   7.1   6.9   6.8   6.8   7.0   7.5   7.2   7.3   8.3   7.5 
34  Cash assets 21  1,274.4   1,141.6   1,166.9   1,181.5   1,150.2   1,132.3   1,141.9   1,090.7   1,118.2   1,048.2   1,061.2   1,076.1 
35  Trading assets 22  135.1   130.7   133.7   138.1   136.6   140.4   136.4   125.8   124.3   124.2   125.1   129.7 
36  Other assets 23  797.2   799.9   793.5   795.0   798.1   792.8   795.4   797.1   794.4   803.3   793.1   803.4 
37  Total assets  8,574.3   8,611.2   8,623.1   8,690.3   8,682.9   8,701.6   8,779.0   8,798.3   8,820.3   8,780.7   8,782.7   8,809.8 
Liabilities
38  Deposits  6,151.3   6,191.3   6,218.5   6,241.8   6,260.8   6,280.3   6,343.1   6,395.9   6,409.6   6,384.7   6,403.4   6,401.2 
39  Large time deposits  427.5   454.4   471.2   471.9   451.8   457.2   466.1   476.4   472.9   473.9   479.8   471.2 
40  Other deposits  5,723.8   5,736.9   5,747.3   5,769.9   5,809.1   5,823.1   5,877.0   5,919.5   5,936.7   5,910.8   5,923.6   5,930.0 
41  Borrowings  755.5   779.7   772.2   762.0   748.6   770.2   775.8   778.7   774.6   781.6   784.2   776.2 
42  Borrowings from banks in the U.S.  24.2   21.6   20.3   20.8   21.1   21.8   21.4   23.8   23.8   26.5   24.1   20.8 
43  Borrowings from others  731.3   758.1   751.9   741.2   727.5   748.4   754.4   755.0   750.8   755.1   760.2   755.3 
44  Trading liabilities 24  141.1   129.8   138.3   140.2   130.2   133.6   136.9   129.0   133.0   129.7   127.5   142.6 
45  Net due to related foreign offices  85.6   76.1   79.3   100.5   92.6   73.7   75.9   59.5   64.7   51.4   50.7   61.8 
46  Other liabilities 25  312.8   299.2   275.1   287.7   287.3   286.9   283.7   266.3   267.7   259.2   253.7   267.4 
47  Total liabilities  7,446.3   7,476.0   7,483.4   7,532.2   7,519.6   7,544.7   7,615.5   7,629.4   7,649.6   7,606.5   7,619.5   7,649.3 
48  Residual (assets less liabilities) 26  1,128.0   1,135.2   1,139.7   1,158.0   1,163.3   1,156.9   1,163.5   1,168.9   1,170.7   1,174.2   1,163.2   1,160.5 
Memoranda
49  Net unrealized gains (losses) on available-for-sale securities 27  14.5   7.8   11.0   11.9   11.5   13.7   6.6   4.7   3.5   3.7   3.1   8.0 
50  U.S. Treasury and agency securities, MBS 28  --   4.6   5.8   7.4   7.7   9.5   4.4   2.2   1.6   1.2   0.7   3.8 
51  Loans with original amounts of $1,000,000 or less  --   182.0   181.6   182.5   181.5   179.4   180.1   181.2   181.3   181.6   181.2   180.8 
52  Loans secured by nonfarm nonresidential properties 29  --   58.6   58.4   58.6   58.3   57.6   57.4   57.2   57.2   57.1   57.1   57.1 
53  Commercial and industrial loans to U.S. addressees 30  --   123.3   123.3   123.9   123.3   121.8   122.7   124.1   124.1   124.5   124.1   123.7 

H.8; Page 14
Assets and Liabilities of Small Domestically Chartered Commercial Banks in the United States 1

Seasonally adjusted, billions of dollars
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets
Bank credit  3,509.1   3,689.6   3,715.4   3,718.7   3,747.0   3,768.9   3,783.1   3,823.0   3,815.2   3,841.5   3,843.4   3,847.7 
Securities in bank credit 2  822.2   848.9   852.8   851.0   851.5   852.3   854.1   864.0   862.3   866.6   868.4   869.7 
Treasury and agency securities 3  583.4   604.7   606.8   605.0   604.6   604.0   605.2   613.7   613.1   615.7   616.9   617.5 
Mortgage-backed securities (MBS) 4  408.5   421.7   425.7   426.3   427.4   428.1   427.9   432.5   432.7   433.3   434.5   434.5 
Non-MBS 5  174.9   183.1   181.1   178.7   177.2   175.9   177.4   181.2   180.3   182.5   182.4   183.0 
Other securities  238.8   244.2   246.1   246.0   246.9   248.3   248.8   250.2   249.3   250.9   251.5   252.2 
Mortgage-backed securities 6  13.1   13.2   13.8   14.1   14.0   14.0   14.1   14.1   14.3   14.0   13.9   13.9 
Non-MBS 7  225.7   231.0   232.3   231.9   232.9   234.3   234.8   236.2   235.0   236.9   237.6   238.2 
Loans and leases in bank credit 8  2,686.8   2,840.7   2,862.5   2,867.7   2,895.5   2,916.6   2,929.1   2,959.0   2,952.9   2,974.9   2,975.0   2,978.1 
10  Commercial and industrial loans  531.1   558.8   562.5   564.5   567.2   570.6   573.3   577.8   578.1   578.2   579.1   581.5 
11  Real estate loans  1,650.1   1,737.5   1,745.8   1,752.5   1,768.5   1,784.6   1,792.0   1,809.3   1,807.4   1,815.2   1,815.8   1,817.1 
12  Residential real estate loans  651.7   678.8   680.4   681.8   687.8   691.8   691.7   696.9   696.5   699.1   699.4   698.8 
13  Revolving home equity loans  116.8   121.1   121.7   121.9   122.3   123.0   122.9   123.5   123.5   124.1   123.8   124.2 
14  Closed-end residential loans 9  534.9   557.7   558.7   559.9   565.5   568.9   568.8   573.4   573.0   575.1   575.6   574.6 
15  Commercial real estate loans  998.4   1,058.7   1,065.4   1,070.7   1,080.7   1,092.8   1,100.3   1,112.4   1,110.9   1,116.1   1,116.5   1,118.3 
16  Construction and land development loans 10  --   149.4   151.4   153.5   155.6   157.8   160.3   161.7   161.6   162.2   162.0   162.4 
17  Secured by farmland 11  --   76.9   77.3   77.3   77.8   78.2   78.4   78.8   78.6   78.9   78.9   79.3 
18  Secured by multifamily properties 12  --   134.1   135.6   137.3   139.4   142.0   143.4   146.5   146.4   147.1   147.6   147.8 
19  Secured by nonfarm nonresidential properties 13  --   698.4   701.1   702.6   707.9   714.7   718.1   725.4   724.2   727.8   728.0   728.8 
20  Consumer loans  306.8   316.5   319.5   321.6   326.6   330.9   332.6   338.9   338.7   339.5   341.7   342.9 
21  Credit cards and other revolving plans  140.1   145.5   146.7   148.2   150.5   152.7   154.2   155.2   154.9   154.8   156.5   158.3 
22  Other consumer loans  166.7   171.1   172.8   173.4   176.0   178.2   178.4   183.7   183.9   184.7   185.2   184.6 
23  Automobile loans 14  --   70.3   71.1   71.1   72.0   72.3   72.4   73.2   73.1   73.4   73.5   73.5 
24  All other consumer loans 15  --   100.8   101.8   102.4   104.1   105.9   106.0   110.6   110.8   111.3   111.8   111.1 
25  Other loans and leases  198.9   227.8   234.8   229.1   233.2   230.5   231.1   233.0   228.7   242.0   238.4   236.6 
26  Fed funds and reverse RPs with nonbanks 16  4.7   12.5   18.6   12.3   14.4   11.4   11.6   10.2   7.6   18.0   13.8   8.2 
27  All other loans and leases 17  194.1   215.3   216.2   216.8   218.8   219.1   219.5   222.8   221.0   224.1   224.6   228.4 
28  Loans to nondepository financial institutions 18  --   37.9   38.1   38.3   39.0   39.6   37.9   39.9   38.7   40.8   41.3   40.9 
29  Other loans not elsewhere classified 19  --   177.4   178.1   178.5   179.8   179.5   181.6   182.9   182.3   183.3   183.3   187.5 
30  LESS: Allowance for loan and lease losses  36.6   36.9   36.7   36.2   36.5   36.9   36.9   37.4   37.4   37.4   37.5   37.9 

H.8; Page 15
Assets and Liabilities of Small Domestically Chartered Commercial Banks in the United States 1

Seasonally adjusted, billions of dollars (continued)
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets (continued)
31  Interbank loans  27.1   23.0   22.9   20.9   21.5   23.2   25.8   24.5   24.3   25.6   25.1   22.4 
32  Fed funds and reverse RPs with banks 16  26.2   22.2   22.2   20.7   20.8   22.3   24.9   23.5   23.4   24.7   24.1   21.5 
33  Loans to commercial banks 20  0.9   0.8   0.7   0.2   0.7   0.8   0.9   0.9   1.0   0.9   0.9   0.9 
34  Cash assets 21  330.3   333.5   326.6   329.6   334.2   337.5   341.9   333.0   333.9   324.8   318.2   344.4 
35  Trading assets 22  3.7   3.7   3.8   4.1   4.0   4.4   4.0   4.0   4.0   4.1   4.0   4.1 
36  Other assets 23  270.4   281.3   282.6   282.6   281.0   281.3   281.8   283.4   282.3   284.9   283.9   284.9 
37  Total assets  4,103.9   4,294.1   4,314.6   4,319.7   4,351.2   4,378.3   4,399.7   4,430.4   4,422.4   4,443.5   4,436.9   4,465.6 
Liabilities
38  Deposits  3,255.5   3,421.5   3,442.3   3,461.9   3,465.0   3,499.6   3,519.7   3,528.9   3,522.5   3,543.0   3,524.0   3,542.0 
39  Large time deposits  374.8   383.4   386.0   386.5   388.4   391.5   394.0   390.0   388.7   389.9   390.5   392.1 
40  Other deposits  2,880.7   3,038.1   3,056.3   3,075.4   3,076.6   3,108.1   3,125.6   3,139.0   3,133.9   3,153.1   3,133.5   3,149.9 
41  Borrowings  271.4   288.5   287.9   291.4   290.7   290.4   290.8   297.2   293.9   300.7   303.5   305.6 
42  Borrowings from banks in the U.S.  52.9   50.8   50.2   47.4   44.0   45.4   45.8   46.8   45.5   48.4   48.2   46.6 
43  Borrowings from others  218.4   237.6   237.7   243.9   246.7   245.0   245.0   250.4   248.4   252.3   255.3   258.9 
44  Trading liabilities 24  3.7   4.3   4.4   4.8   4.8   5.2   5.1   4.5   4.5   4.5   4.3   4.3 
45  Net due to related foreign offices  9.2   11.1   8.8   8.9   8.0   10.1   10.8   7.6   7.9   6.3   6.5   7.3 
46  Other liabilities 25  55.2   59.7   62.5   59.5   60.3   60.8   60.6   61.0   61.4   62.7   57.7   59.4 
47  Total liabilities  3,595.0   3,785.0   3,806.0   3,826.5   3,828.8   3,866.1   3,886.9   3,899.2   3,890.2   3,917.2   3,896.0   3,918.5 
48  Residual (assets less liabilities) 26  508.9   509.1   508.6   493.2   522.4   512.2   512.8   531.3   532.2   526.3   540.9   547.1 
Memoranda
49  Net unrealized gains (losses) on available-for-sale securities 27  2.3   1.9   0.9   1.3   1.5   2.5   2.0   0.8   0.9   0.9   0.6   0.0 
50  U.S. Treasury and agency securities, MBS 28  --   2.2   1.4   1.7   1.9   2.5   1.8   0.8   0.8   0.8   0.7   -0.2 
51  Loans with original amounts of $1,000,000 or less  --   359.0   358.9   359.1   360.1   362.3   362.6   363.4   363.5   363.2   363.4   363.9 
52  Loans secured by nonfarm nonresidential properties 29  --   206.0   205.8   205.6   205.6   205.8   206.0   206.2   206.1   206.2   206.2   206.7 
53  Commercial and industrial loans to U.S. addressees 30  --   152.9   153.2   153.6   154.4   156.5   156.7   157.2   157.4   157.0   157.2   157.3 

H.8; Page 16
Assets and Liabilities of Small Domestically Chartered Commercial Banks in the United States 1

Not seasonally adjusted, billions of dollars
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets
Bank credit  3,523.0   3,691.9   3,714.9   3,718.8   3,749.4   3,768.5   3,792.6   3,839.1   3,824.3   3,855.2   3,876.1   3,870.3 
Securities in bank credit 2  822.3   849.4   848.1   850.2   849.1   850.2   856.2   863.5   861.8   864.7   866.4   867.8 
Treasury and agency securities 3  583.8   604.5   603.0   603.7   601.4   600.7   606.0   613.7   612.4   614.8   616.6   617.5 
Mortgage-backed securities (MBS) 4  408.1   423.5   423.2   423.7   423.8   425.0   427.6   432.5   432.4   433.1   434.1   434.8 
Non-MBS 5  175.6   181.0   179.8   180.0   177.6   175.7   178.3   181.2   179.9   181.7   182.5   182.7 
Other securities  238.5   244.9   245.1   246.5   247.7   249.5   250.3   249.8   249.5   249.9   249.8   250.3 
Mortgage-backed securities 6  13.3   13.3   13.6   14.0   14.1   13.9   14.2   14.3   14.5   14.3   13.9   13.8 
Non-MBS 7  225.2   231.6   231.5   232.4   233.7   235.6   236.1   235.6   235.0   235.6   235.9   236.5 
Loans and leases in bank credit 8  2,700.7   2,842.5   2,866.8   2,868.7   2,900.3   2,918.3   2,936.4   2,975.6   2,962.5   2,990.5   3,009.8   3,002.5 
10  Commercial and industrial loans  530.4   561.2   562.6   563.0   565.9   569.0   571.8   577.1   575.4   579.3   582.3   581.6 
11  Real estate loans  1,654.8   1,735.9   1,746.8   1,753.4   1,769.3   1,785.5   1,796.0   1,814.0   1,810.9   1,817.6   1,822.8   1,826.5 
12  Residential real estate loans  654.1   679.1   681.5   683.6   689.5   692.5   694.3   699.1   697.6   699.6   702.2   703.5 
13  Revolving home equity loans  117.3   121.1   121.5   121.8   122.5   122.9   123.4   124.1   123.9   124.2   124.3   124.4 
14  Closed-end residential loans 9  536.9   558.0   560.0   561.8   567.0   569.6   570.9   575.1   573.7   575.4   577.9   579.1 
15  Commercial real estate loans  1,000.7   1,056.9   1,065.4   1,069.7   1,079.9   1,093.0   1,101.7   1,114.9   1,113.3   1,118.0   1,120.6   1,123.0 
16  Construction and land development loans 10  --   149.3   151.1   153.2   155.1   157.3   160.6   162.4   162.5   162.9   162.7   162.8 
17  Secured by farmland 11  --   76.9   77.5   77.5   78.0   78.4   78.4   78.9   78.8   79.1   79.2   79.5 
18  Secured by multifamily properties 12  --   133.3   135.5   137.5   140.1   143.0   143.9   147.1   146.9   147.8   148.5   149.0 
19  Secured by nonfarm nonresidential properties 13  --   697.3   701.3   701.5   706.7   714.4   718.8   726.4   725.0   728.3   730.1   731.6 
20  Consumer loans  312.2   314.9   317.8   321.3   327.5   333.6   336.4   344.8   343.4   346.5   350.1   348.6 
21  Credit cards and other revolving plans  145.7   144.0   145.3   147.8   150.5   153.0   155.5   162.1   160.9   163.5   166.6   164.6 
22  Other consumer loans  166.6   170.9   172.5   173.5   177.0   180.6   180.9   182.7   182.4   183.0   183.5   184.0 
23  Automobile loans 14  --   70.4   71.3   71.2   71.8   72.3   72.6   73.2   73.1   73.3   73.4   73.6 
24  All other consumer loans 15  --   100.6   101.2   102.3   105.2   108.3   108.3   109.5   109.3   109.7   110.1   110.4 
25  Other loans and leases  203.2   230.5   239.5   231.0   237.6   230.2   232.2   239.7   232.9   247.1   254.6   245.7 
26  Fed funds and reverse RPs with nonbanks 16  6.0   12.6   19.9   12.0   15.5   9.8   11.3   11.6   7.3   17.3   20.3   12.4 
27  All other loans and leases 17  197.2   217.9   219.6   218.9   222.1   220.4   220.8   228.1   225.5   229.8   234.3   233.3 
28  Loans to nondepository financial institutions 18  --   39.4   38.8   38.4   39.4   39.3   38.7   42.3   40.7   42.9   45.2   44.4 
29  Other loans not elsewhere classified 19  --   178.4   180.8   180.6   182.6   181.1   182.1   185.9   184.8   186.9   189.2   189.0 
30  LESS: Allowance for loan and lease losses  36.5   36.9   36.6   36.6   36.8   36.9   37.0   37.2   37.4   37.1   36.8   37.4 

H.8; Page 17
Assets and Liabilities of Small Domestically Chartered Commercial Banks in the United States 1

Not seasonally adjusted, billions of dollars (continued)
Account 2014
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2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets (continued)
31  Interbank loans  29.0   22.1   22.2   20.5   21.4   23.8   26.4   25.9   26.6   26.3   25.7   23.2 
32  Fed funds and reverse RPs with banks 16  28.0   21.4   21.8   20.4   20.7   22.8   25.4   24.9   25.6   25.3   24.7   22.2 
33  Loans to commercial banks 20  0.9   0.7   0.5   0.1   0.8   1.0   1.0   1.0   1.0   1.0   1.0   1.0 
34  Cash assets 21  332.4   315.8   318.2   334.5   329.4   336.6   355.0   336.8   346.4   324.9   305.1   320.6 
35  Trading assets 22  3.8   3.6   3.5   3.8   3.9   4.3   4.0   4.1   4.2   4.2   4.0   4.1 
36  Other assets 23  270.3   280.8   281.5   283.3   282.4   281.1   281.3   283.4   282.3   284.2   285.3   283.9 
37  Total assets  4,121.9   4,277.4   4,303.9   4,324.3   4,349.8   4,377.5   4,422.3   4,452.0   4,446.4   4,457.8   4,459.4   4,464.6 
Liabilities
38  Deposits  3,284.6   3,400.7   3,428.2   3,455.2   3,476.4   3,495.7   3,536.9   3,559.9   3,559.6   3,563.5   3,557.7   3,563.0 
39  Large time deposits  375.6   386.6   388.1   388.5   389.7   390.0   390.4   390.3   389.8   390.9   390.7   390.9 
40  Other deposits  2,909.1   3,014.1   3,040.1   3,066.7   3,086.6   3,105.7   3,146.5   3,169.7   3,169.9   3,172.6   3,167.0   3,172.1 
41  Borrowings  271.1   293.4   294.8   292.1   291.0   289.3   286.7   296.4   291.4   299.6   308.1   308.7 
42  Borrowings from banks in the U.S.  52.5   51.4   50.1   46.1   44.5   45.6   45.1   46.1   44.9   46.7   48.1   47.7 
43  Borrowings from others  218.7   242.0   244.6   246.0   246.5   243.7   241.6   250.3   246.4   252.9   260.0   261.0 
44  Trading liabilities 24  3.9   3.9   4.0   4.2   4.3   4.9   4.6   4.5   4.5   4.6   4.3   4.5 
45  Net due to related foreign offices  11.8   10.1   8.5   8.8   8.3   10.1   12.9   10.0   9.9   9.2   8.8   10.1 
46  Other liabilities 25  57.0   58.3   61.3   59.1   60.9   61.2   62.6   62.7   63.8   63.2   59.0   58.7 
47  Total liabilities  3,628.4   3,766.5   3,796.8   3,819.5   3,840.8   3,861.2   3,903.7   3,933.6   3,929.2   3,940.0   3,937.8   3,945.1 
48  Residual (assets less liabilities) 26  493.5   511.0   507.2   504.8   509.0   516.3   518.6   518.5   517.3   517.7   521.6   519.5 
Memoranda
49  Net unrealized gains (losses) on available-for-sale securities 27  2.3   1.9   0.9   1.3   1.5   2.5   2.0   0.8   0.9   0.9   0.6   0.0 
50  U.S. Treasury and agency securities, MBS 28  --   2.2   1.4   1.7   1.9   2.5   1.8   0.8   0.8   0.8   0.7   -0.2 
51  Loans with original amounts of $1,000,000 or less  --   360.0   360.4   360.1   360.5   361.2   361.4   362.2   361.7   362.2   363.1   364.1 
52  Loans secured by nonfarm nonresidential properties 29  --   206.2   206.1   206.1   206.0   205.9   205.9   206.1   206.1   206.1   206.1   206.8 
53  Commercial and industrial loans to U.S. addressees 30  --   153.8   154.3   154.1   154.5   155.3   155.5   156.0   155.6   156.1   157.0   157.3 

H.8; Page 18
Assets and Liabilities of Foreign-Related Institutions in the United States 1

Seasonally adjusted, billions of dollars
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets
Bank credit  968.5   1,022.0   1,038.5   1,044.4   1,029.5   1,049.2   1,060.4   1,074.2   1,075.8   1,079.1   1,059.5   1,093.7 
Securities in bank credit 2  182.5   184.7   181.0   184.5   180.8   183.5   185.6   196.5   197.7   195.1   194.8   189.4 
Treasury and agency securities 3  77.6   79.6   77.3   80.1   78.1   82.3   87.0   99.3   101.4   98.7   98.9   93.1 
Mortgage-backed securities (MBS) 4  11.4   14.2   12.9   13.5   13.5   12.7   14.5   14.2   13.9   13.9   13.8   14.0 
Non-MBS 5  66.2   65.5   64.5   66.5   64.6   69.6   72.5   85.2   87.5   84.8   85.1   79.1 
Other securities  104.9   105.1   103.7   104.4   102.8   101.2   98.6   97.2   96.3   96.4   95.8   96.3 
Mortgage-backed securities 6  3.2   3.3   3.3   3.1   2.8   2.9   2.9   3.2   3.3   3.4   3.0   3.1 
Non-MBS 7  101.7   101.8   100.5   101.4   100.0   98.3   95.7   94.0   93.0   93.0   92.8   93.2 
Loans and leases in bank credit 8  786.0   837.3   857.5   859.9   848.6   865.6   874.9   877.6   878.1   883.9   864.8   904.3 
10  Commercial and industrial loans  308.9   336.9   340.5   341.6   341.3   351.4   357.5   363.4   362.5   363.1   365.2   366.7 
11  Real estate loans  35.9   40.2   41.1   42.2   43.9   46.1   48.1   48.8   48.5   48.8   49.1   51.0 
12  Residential real estate loans  2.1   2.1   1.6   1.2   1.2   1.7   2.0   1.4   1.6   1.3   0.8   1.1 
13  Revolving home equity loans  0.4   0.4   0.4   0.3   0.3   0.3   0.4   0.5   0.5   0.5   0.4   0.4 
14  Closed-end residential loans 9  1.7   1.7   1.2   0.8   0.9   1.4   1.6   0.9   1.1   0.9   0.4   0.8 
15  Commercial real estate loans  33.8   38.1   39.5   41.0   42.6   44.4   46.1   47.4   47.0   47.5   48.3   49.9 
16  Construction and land development loans 10  --   3.3   3.5   3.6   3.7   3.8   4.0   4.3   4.3   4.3   4.4   4.5 
17  Secured by farmland 11  --   0.2   0.2   0.1   0.1   0.2   0.2   0.2   0.2   0.2   0.2   0.3 
18  Secured by multifamily properties 12  --   1.0   1.4   1.8   1.9   2.0   1.9   1.8   1.8   1.8   1.7   1.8 
19  Secured by nonfarm nonresidential properties 13  --   33.7   34.4   35.4   36.8   38.5   40.1   41.1   40.7   41.2   41.9   43.3 
20  Consumer loans  2.7   2.7   2.7   2.7   2.6   2.6   2.5   2.4   2.4   2.4   2.4   2.4 
21  Credit cards and other revolving plans  0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0 
22  Other consumer loans  2.7   2.7   2.7   2.7   2.6   2.6   2.5   2.4   2.4   2.4   2.4   2.4 
23  Automobile loans 14  --   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0 
24  All other consumer loans 15  --   2.7   2.7   2.7   2.6   2.6   2.5   2.4   2.4   2.4   2.4   2.4 
25  Other loans and leases  438.5   457.5   473.2   473.4   460.9   465.6   466.8   463.1   464.7   469.6   448.1   484.2 
26  Fed funds and reverse RPs with nonbanks 16  204.3   213.1   228.9   226.3   210.2   218.3   219.2   215.4   215.3   222.0   201.0   240.1 
27  All other loans and leases 17  234.2   244.4   244.3   247.1   250.7   247.4   247.6   247.6   249.4   247.6   247.1   244.1 
28  Loans to nondepository financial institutions 18  --   110.7   108.3   109.4   113.0   110.9   110.4   113.5   115.5   111.9   113.1   113.5 
29  Other loans not elsewhere classified 19  --   133.7   136.0   137.7   137.7   136.4   137.2   134.1   133.9   135.8   134.0   130.6 
30  LESS: Allowance for loan and lease losses  0.5   0.6   0.6   0.9   0.9   0.9   0.9   0.9   0.9   0.9   0.9   0.9 

H.8; Page 19
Assets and Liabilities of Foreign-Related Institutions in the United States 1

Seasonally adjusted, billions of dollars (continued)
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets (continued)
31  Interbank loans  24.4   19.5   19.3   17.6   14.8   15.9   18.0   15.1   14.9   13.0   14.2   15.2 
32  Fed funds and reverse RPs with banks 16  21.0   17.1   16.9   15.3   12.1   12.7   14.9   12.1   12.0   10.0   11.1   12.2 
33  Loans to commercial banks 20  3.4   2.4   2.5   2.3   2.7   3.1   3.1   3.0   2.9   3.0   3.1   3.0 
34  Cash assets 21  1,314.3   1,175.7   1,182.3   1,179.8   1,162.5   1,276.0   1,219.6   1,183.6   1,192.2   1,179.0   1,180.8   1,140.5 
35  Trading assets 22  85.9   72.4   74.1   75.4   72.3   72.9   71.4   68.6   68.2   68.1   66.9   69.8 
36  Other assets 23  76.5   72.0   71.6   71.3   68.1   56.7   58.3   61.8   63.9   62.4   64.9   66.8 
37  Total assets  2,469.1   2,361.0   2,385.2   2,387.6   2,346.3   2,469.8   2,426.8   2,402.3   2,414.1   2,400.6   2,385.4   2,385.1 
Liabilities
38  Deposits  1,125.7   1,115.5   1,117.9   1,126.4   1,106.0   1,132.5   1,108.1   1,067.4   1,060.0   1,073.2   1,051.3   1,067.8 
39  Large time deposits  908.3   873.0   870.5   872.1   852.3   869.6   840.9   805.8   798.2   807.2   792.6   807.9 
40  Other deposits  217.3   242.4   247.5   254.2   253.7   262.9   267.1   261.6   261.8   266.0   258.7   259.9 
41  Borrowings  746.3   771.2   780.1   780.7   772.8   815.1   816.1   807.8   812.5   813.5   788.7   804.9 
42  Borrowings from banks in the U.S.  35.8   31.9   34.1   37.2   34.7   36.6   38.8   35.3   36.8   32.7   32.0   38.9 
43  Borrowings from others  710.5   739.3   745.9   743.4   738.1   778.6   777.4   772.6   775.7   780.8   756.7   766.0 
44  Trading liabilities 24  86.1   75.3   74.3   76.0   71.2   68.4   67.1   70.6   68.5   70.8   70.4   74.6 
45  Net due to related foreign offices  417.3   354.3   359.9   352.3   341.9   397.5   348.9   375.3   379.2   369.2   407.6   371.6 
46  Other liabilities 25  57.3   61.2   60.0   58.6   56.8   56.6   57.6   58.5   58.6   54.8   64.2   47.9 
47  Total liabilities  2,432.7   2,377.3   2,392.1   2,393.9   2,348.7   2,470.2   2,397.9   2,379.6   2,378.8   2,381.5   2,382.1   2,366.8 
48  Residual (assets less liabilities) 26  36.5   -16.3   -6.9   -6.4   -2.4   -0.4   28.8   22.7   35.3   19.2   3.3   18.3 
Memoranda
49  Net unrealized gains (losses) on available-for-sale securities 27  1.0   0.2   0.3   0.3   0.2   0.5   0.3   0.4   0.2   0.3   0.2   0.6 
50  U.S. Treasury and agency securities, MBS 28  --   0.2   0.3   0.3   0.2   0.5   0.3   0.4   0.2   0.3   0.2   0.6 
51  Loans with original amounts of $1,000,000 or less  --   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0 
52  Loans secured by nonfarm nonresidential properties 29  --   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0 
53  Commercial and industrial loans to U.S. addressees 30  --   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0 

H.8; Page 20
Assets and Liabilities of Foreign-Related Institutions in the United States 1

Not seasonally adjusted, billions of dollars
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets
Bank credit  974.6   1,018.7   1,030.8   1,040.5   1,026.4   1,047.3   1,063.2   1,077.0   1,077.3   1,084.3   1,061.0   1,085.5 
Securities in bank credit 2  182.5   183.3   182.5   185.9   181.7   181.8   187.5   197.2   198.5   195.5   194.3   188.3 
Treasury and agency securities 3  77.4   79.6   78.5   80.8   77.3   79.5   87.4   99.5   101.9   98.9   97.8   91.0 
Mortgage-backed securities (MBS) 4  11.6   14.8   13.6   13.6   13.7   12.8   14.2   14.3   13.9   14.3   14.3   14.6 
Non-MBS 5  65.8   64.8   64.9   67.2   63.6   66.6   73.3   85.1   88.0   84.6   83.5   76.4 
Other securities  105.2   103.7   104.0   105.1   104.3   102.4   100.1   97.7   96.6   96.6   96.5   97.3 
Mortgage-backed securities 6  2.7   3.4   3.5   3.4   3.3   3.0   2.8   2.7   2.7   2.7   2.7   2.8 
Non-MBS 7  102.5   100.4   100.5   101.7   101.1   99.4   97.2   95.0   93.9   93.9   93.9   94.5 
Loans and leases in bank credit 8  792.0   835.4   848.3   854.6   844.7   865.5   875.6   879.7   878.8   888.8   866.7   897.1 
10  Commercial and industrial loans  308.5   338.1   340.4   341.0   339.2   348.2   353.5   363.4   362.2   366.9   366.7   365.2 
11  Real estate loans  36.6   40.3   41.1   42.5   44.5   46.3   48.1   49.8   49.6   50.0   50.3   51.7 
12  Residential real estate loans  2.0   2.0   1.9   1.8   2.0   1.8   1.5   1.3   1.3   1.2   1.1   1.0 
13  Revolving home equity loans  0.4   0.4   0.4   0.4   0.4   0.4   0.4   0.4   0.4   0.4   0.4   0.4 
14  Closed-end residential loans 9  1.6   1.6   1.5   1.4   1.6   1.4   1.1   0.9   1.0   0.8   0.7   0.7 
15  Commercial real estate loans  34.6   38.3   39.2   40.7   42.5   44.5   46.7   48.6   48.3   48.8   49.2   50.7 
16  Construction and land development loans 10  --   3.3   3.4   3.7   3.7   3.7   3.8   4.3   4.3   4.3   4.4   4.7 
17  Secured by farmland 11  --   0.2   0.2   0.2   0.2   0.2   0.2   0.2   0.2   0.2   0.2   0.2 
18  Secured by multifamily properties 12  --   1.1   1.4   1.8   1.9   1.9   1.8   1.7   1.8   1.8   1.7   1.7 
19  Secured by nonfarm nonresidential properties 13  --   33.7   34.3   35.1   36.7   38.8   40.8   42.3   42.1   42.5   42.9   44.1 
20  Consumer loans  2.7   2.6   2.7   2.7   2.6   2.6   2.6   2.3   2.3   2.3   2.3   2.3 
21  Credit cards and other revolving plans  0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0 
22  Other consumer loans  2.7   2.6   2.7   2.7   2.6   2.6   2.6   2.3   2.3   2.3   2.3   2.3 
23  Automobile loans 14  --   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0 
24  All other consumer loans 15  --   2.6   2.7   2.7   2.6   2.6   2.6   2.3   2.3   2.3   2.3   2.3 
25  Other loans and leases  444.2   454.4   464.1   468.4   458.5   468.4   471.4   464.2   464.7   469.6   447.4   477.9 
26  Fed funds and reverse RPs with nonbanks 16  209.0   212.6   221.9   223.1   209.6   220.5   225.7   219.0   218.6   224.5   201.8   234.1 
27  All other loans and leases 17  235.2   241.8   242.3   245.3   248.8   247.9   245.7   245.2   246.0   245.1   245.6   243.8 
28  Loans to nondepository financial institutions 18  --   106.8   105.1   107.4   113.3   114.5   112.7   114.6   116.8   112.8   113.2   113.9 
29  Other loans not elsewhere classified 19  --   135.0   137.2   137.9   135.6   133.4   133.0   130.5   129.2   132.3   132.4   129.9 
30  LESS: Allowance for loan and lease losses  0.5   0.6   0.7   0.8   0.8   0.8   0.9   1.0   0.9   1.0   1.0   1.0 

H.8; Page 21
Assets and Liabilities of Foreign-Related Institutions in the United States 1

Not seasonally adjusted, billions of dollars (continued)
Account 2014
Dec
2015
Jun
2015
Jul
2015
Aug
2015
Sep
2015
Oct
2015
Nov
2015
Dec
Week ending
Dec 16 Dec 23 Dec 30 Jan 6
Assets (continued)
31  Interbank loans  22.9   20.5   19.6   17.1   13.9   15.1   17.1   14.1   14.5   11.7   11.1   14.6 
32  Fed funds and reverse RPs with banks 16  19.5   18.0   17.0   14.6   11.1   11.8   14.1   11.0   11.6   8.6   8.0   11.6 
33  Loans to commercial banks 20  3.4   2.4   2.6   2.4   2.8   3.2   3.0   3.0   3.0   3.1   3.1   3.0 
34  Cash assets 21  1,191.5   1,199.8   1,211.3   1,221.9   1,160.3   1,299.9   1,205.0   1,078.9   1,091.6   1,099.5   957.9   1,062.8 
35  Trading assets 22  88.6   69.3   69.7   72.6   70.7   72.4   72.5   70.4   69.7   69.7   68.8   71.8 
36  Other assets 23  74.8   73.2   69.1   70.4   71.1   57.9   57.9   60.2   62.6   60.7   61.0   63.4 
37  Total assets  2,351.9   2,380.9   2,399.7   2,421.7   2,341.7   2,491.8   2,414.8   2,299.5   2,314.8   2,324.9   2,158.8   2,297.0 
Liabilities
38  Deposits  1,113.7   1,113.5   1,109.1   1,121.1   1,107.1   1,129.9   1,101.0   1,056.4   1,050.2   1,063.1   1,038.1   1,068.3 
39  Large time deposits  894.9   873.8   862.1   865.0   853.4   867.0   831.4   793.1   787.4   793.2   777.3   804.3 
40  Other deposits  218.7   239.7   247.0   256.1   253.7   263.0   269.6   263.3   262.8   269.8   260.7   264.0 
41  Borrowings  731.6   768.3   777.4   780.6   763.0   816.2   828.9   791.5   799.9   806.9   731.7   791.2 
42  Borrowings from banks in the U.S.  35.1   31.6   33.7   37.7   34.7   36.9   39.4   35.1   38.0   33.1   28.2   37.9 
43  Borrowings from others  696.5   736.8   743.8   742.8   728.3   779.3   789.5   756.4   761.9   773.7   703.5   753.4 
44  Trading liabilities 24  88.1   72.8   69.2   73.7   71.5   69.6   70.0   72.6   71.6   71.7   70.4   74.9 
45  Net due to related foreign offices  355.9   361.0   381.1   385.6   341.9   417.2   352.5   316.8   332.1   322.2   250.2   312.7 
46  Other liabilities 25  58.5   61.1   58.3   57.4   55.5   55.2   57.9   59.7   59.4   58.9   64.0   45.8 
47  Total liabilities  2,347.7   2,376.8   2,395.2   2,418.3   2,339.0   2,488.2   2,410.3   2,297.0   2,313.3   2,322.8   2,154.4   2,292.9 
48  Residual (assets less liabilities) 26  4.2   4.1   4.6   3.4   2.7   3.6   4.5   2.6   1.6   2.2   4.3   4.1 
Memoranda
49  Net unrealized gains (losses) on available-for-sale securities 27  1.0   0.2   0.3   0.3   0.2   0.5   0.3   0.4   0.2   0.3   0.2   0.6 
50  U.S. Treasury and agency securities, MBS 28  --   0.2   0.3   0.3   0.2   0.5   0.3   0.4   0.2   0.3   0.2   0.6 
51  Loans with original amounts of $1,000,000 or less  --   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0 
52  Loans secured by nonfarm nonresidential properties 29  --   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0 
53  Commercial and industrial loans to U.S. addressees 30  --   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0   0.0 

Footnotes

1. Data include the following types of institutions in the fifty states and the District of Columbia: domestically chartered commercial banks; U.S. branches and agencies of foreign banks; and Edge Act and agreement corporations (foreign-related institutions). Data exclude International Banking Facilities. Weekly levels are Wednesday values; monthly levels are pro rata averages of Wednesday values. The data for domestically chartered commercial banks and U.S. branches and agencies of foreign banks are estimated by benchmarking weekly data provided by a sample of banks to quarter-end reports of condition (Call Reports). Large domestically chartered commercial banks are defined as the top 25 domestically chartered commercial banks, ranked by domestic assets as of the previous commercial bank Call Report to which the H.8 release data have been benchmarked. Small domestically chartered commercial banks are defined as all domestically chartered commercial banks not included in the top 25. The data for large and small domestically chartered banks, presented on pages 10 to 17, are adjusted to remove the estimated effects of mergers and panel shifts between these two groups. (See www.federalreserve.gov/releases/h8/about.htm for more information on how these data were constructed.)

2. Includes all securities, whether held-to-maturity reported at amortized cost, available-for-sale reported at fair value, or held as trading assets, also reported at fair value. Excludes all non-security trading assets, such as derivatives with a positive fair value (included in line 34) or loans held in trading accounts (included in line 9).

3. Treasury securities are liabilities of the U.S. government. Agency securities are liabilities of U.S. government agencies and U.S. government-sponsored enterprises.

4. Includes mortgage-backed securities (MBS) issued by U.S. government agencies or by U.S. government-sponsored enterprises such as the Government National Mortgage Association (GNMA), the Federal National Mortgage Association (FNMA), or the Federal Home Loan Mortgage Corporation (FHLMC). Includes pass-through securities, collateralized mortgage obligations (CMOs), real estate mortgage investment conduits (REMICs), CMO and REMIC residuals, and stripped MBS.

5. Includes U.S. Treasury securities and U.S. Government agency obligations other than MBS.

6. Includes pass-through securities not guaranteed by the U.S. government and other MBS issued by non-U.S. government issuers, including those collateralized by MBS issued or guaranteed by FNMA, FHLMC, or GNMA.

7. Includes securities issued by states and political subdivisions in the United States, asset-backed securities (ABS), other domestic and foreign debt securities, and investments in mutual funds and other equity securities with readily determinable fair values.

8. Excludes unearned income. Includes the allowance for loan and lease losses. Excludes federal funds sold to, reverse RPs with, and loans made to commercial banks, all of which are included in line 30. Includes all loans held in trading accounts under a fair value option.

9. Includes first and junior liens on closed-end loans secured by 1-4 family residential properties.

10. Includes construction, land development, and other land loans.

11. Includes loans secured by farmland, including grazing and pastureland.

12. Includes loans secured by multifamily (5 or more) residential properties, including apartment buildings.

13. Includes loans secured by nonfarm nonresidential properties, both owner-occupied and other nonfarm nonresidential properties.

14. Includes loans for purchasing new and used passenger cars and other vehicles. Includes direct and indirect consumer automobile loans as well as retail installment sales paper purchased from auto dealers.

15. Includes student loans, loans for medical expenses and vacations, and loans for other personal expenditures.

16. Fed funds are included in lines 26 and 31 by counterparty. Line 26 includes fed funds with brokers and dealers and with others, including the Federal Home Loan Banks (FHLB).

17. Includes loans for purchasing or carrying securities, loans to finance agricultural production, loans to foreign governments and foreign banks, obligations of states and political subdivisions, loans to nonbank depository institutions, loans to nondepository financial institutions, unplanned overdrafts, loans not elsewhere classified, and lease financing receivables.

18. Includes loans to real estate investment trusts, insurance companies, holding companies of other depository institutions, finance companies, mortgage finance companies, factors, federally-sponsored lending agencies, investment banks, banks' own trust departments, and other financial intermediaries.

19. Includes all loans not elsewhere classified as well as lease financing receivables.

20. Excludes loans secured by real estate, which are included in line 11.

21. Includes vault cash, cash items in process of collection, balances due from depository institutions, and balances due from Federal Reserve Banks.

22. Excludes most securities held in trading accounts (included in line 2). Trading account securities at some smaller domestically chartered commercial banks are included in this item. Also includes the fair value of derivative contracts (interest rate, foreign excahnge rate, other commodity and eqyuity contracts) in a gain/loss position, as determined under FASB Interpretation No. 39 (FIN 39).

23. Excludes the due-from position with related foreign offices, which is included in line 44. Includes other real estate owned, premises and fixed assets, investments in unconsolidated subsidiaries, intangible assets (including goodwill), direct and indirect investments in real estate ventures, accounts receivable, and other assets.

24. Includes liabilities for short positions and other trading liabilities to which fair value accounting has been applied.

25. Includes subordinated notes and debentures, net deferred tax liabilities, interest and other expenses accrued and unpaid, accounts payable, and other liabilities.

26. 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.

27. Difference between fair value and amortized cost for securities classified as available-for-sale under FASB Statement 115. Data have been adjusted to include an estimate of tax effects, omitted from the reported data.

28. Difference between fair value and amortized cost for U.S. Treasury and Governemnt agency obligations, mortgage-backed securities, classified as available-for-sale under FASB Statement 115. Data have been adjusted to include an estimate of tax effects, omitted from the reported data.

29. Includes the amount currently outstanding of loans secured by nonfarm nonresidential properties with original amounts of $1,000,000 or less, included in line 19 above.

30. Includes the amount currently outstanding of commercial amd industrial loans to U.S. addressees with original amounts of $1,000,000 or less, included in line 10 above.

Current and historical H.8 data are available from the Federal Reserve Board's Data Download Program (www.federalreserve.gov/datadownload/Choose.aspx?rel=H.8). “Notes on the Data” back to October 17, 1989, may be found on the Federal Reserve Board's website (www.federalreserve.gov/releases/h8/h8notes.htm).
Last update: January 15, 2016