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: March 14, 1997

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 H.8(510)         April 4, 1997



Data on the attached H.8 release have been benchmarked through the December 1996 Call
report.  Data on the previous release were benchmarked to the September 1996 Call report.

Historical data are available on the Department of Commerce Economic Bulletin Board.
For information, call (202) 482-1986.


 H.8 (510)                                         pg.1
ASSETS AND LIABILITIES OF COMMERCIAL BANKS IN THE UNITED STATES (1) For release at 4:15 p.m. Eastern Time
Seasonally adjusted, billions of dollars March 14, 1997
             Week ending
Account 1996
Feb
1996
Aug
1996
Sep
1996
Oct
1996
Nov
1996
Dec
1997
Jan
1997
Feb
Feb 12 Feb 19 Feb 26 Mar 5
A S S E T S            
1   Bank credit                                       3,645.6   3,674.5   3,693.0   3,718.8   3,743.3   3,770.6   3,805.7   3,844.1   3,840.0    3,850.3    3,847.5    3,854.5 
             
2     Securities in bank credit                       1,000.1     972.1     968.9     970.4     982.3     992.5   1,005.5   1,022.5   1,024.2    1,027.5    1,020.0    1,015.1 
3        U.S. government securities                     710.9     702.2     703.4     703.9     707.9     707.4     706.1     703.2     705.2      700.7      702.2      702.5 
4        Other securities                               289.2     269.9     265.5     266.5     274.4     285.1     299.4     319.3     318.9      326.9      317.8      312.6 
             
5     Loans and leases in bank credit (2)             2,645.5   2,702.4   2,724.1   2,748.4   2,761.1   2,778.1   2,800.2   2,821.6   2,815.9    2,822.8    2,827.5    2,839.3 
6        Commercial and industrial                      724.2     746.9     761.0     770.6     776.2     787.0     791.1     800.9     797.3      803.2      805.0      806.3 
7        Real estate                                  1,090.9   1,109.4   1,112.2   1,116.1   1,120.8   1,125.9   1,131.7   1,137.3   1,137.6    1,136.9    1,137.0    1,144.1 
8          Revolving home equity                         79.7      80.5      81.2      83.2      84.2      85.3      85.8      86.4      86.2       86.4       86.6       86.7 
9          Other                                      1,011.2   1,028.9   1,031.0   1,032.9   1,036.7   1,040.7   1,045.9   1,051.0   1,051.4    1,050.5    1,050.4    1,057.4 
10        Consumer                                      497.4     512.8     515.8     518.1     518.8     519.0     521.1     519.0     518.5      519.8      519.9      516.4 
11        Security (3)                                   87.6      72.3      73.8      76.6      77.4      79.0      82.5      83.8      84.3       81.3       82.9       88.3 
12       Other loans and leases                         245.4     261.0     261.4     266.9     267.8     267.1     273.8     280.5     278.2      281.7      282.7      284.3 
             
13  Interbank loans                                     191.9     197.6     205.3     203.9     212.4     204.6     198.1     203.9     201.8      201.6      205.4      211.4 
             
14  Cash assets (4)                                     219.2     223.3     224.2     226.2     232.9     232.4     232.1     231.6     228.9      239.0      229.2      235.3 
             
15  Other assets (5)                                    233.7     257.8     260.1     254.4     262.0     271.6     266.3     280.1     276.2      281.8      285.5      295.2 
             
16  TOTAL ASSETS (6)                                  4,233.8   4,295.8   4,323.8   4,338.4   4,385.9   4,414.7   4,438.2   4,498.2   4,483.3    4,508.4    4,511.3    4,540.1 
       L I A B I L I T I E S                
17  Deposits                                          2,678.6   2,751.0   2,772.3   2,782.3   2,822.8   2,859.1   2,876.1   2,899.6   2,885.5    2,920.8    2,886.8    2,915.4 
18    Transaction                                       764.7     733.3     725.4     715.3     719.7     719.1     715.1     705.6     696.3      725.4      694.0      694.2 
19    Nontransaction                                  1,913.9   2,017.6   2,046.8   2,067.0   2,103.1   2,140.0   2,161.0   2,194.0   2,189.2    2,195.5    2,192.8    2,221.2 
20       Large time                                     427.3     458.8     471.8     480.1     490.6     509.4     520.1     535.4     533.0      537.7      537.5      538.8 
21       Other                                        1,486.7   1,558.8   1,575.1   1,586.9   1,612.5   1,630.5   1,640.9   1,658.6   1,656.2    1,657.8    1,655.3    1,682.4 
             
22  Borrowings                                          694.3     701.5     706.4     688.3     708.6     707.3     727.9     743.4     755.3      739.4      736.0      745.5 
23    From banks in the U.S.                            295.2     290.1     295.4     290.3     303.1     308.3     305.1     311.5     325.2      306.6      295.8      326.6 
24    From others                                       399.1     411.4     411.0     398.0     405.5     399.1     422.8     431.9     430.1      432.8      440.2      418.8 
25    Net due to related foreign offices                270.6     247.7     251.0     244.3     238.1     231.2     222.1     220.2     226.0      211.2      217.6      237.4 
             
26  Other liabilities                                   233.4     222.2     221.8     243.8     253.2     260.8     269.1     287.1     289.9      294.2      283.2      283.1 
             
27  TOTAL LIABILITIES                                 3,876.9   3,922.4   3,951.5   3,958.7   4,022.8   4,058.4   4,095.2   4,150.2   4,156.7    4,165.6    4,123.6    4,181.4 
             
28  Residual (assets less liabilities) (7)              356.8     373.3     372.4     379.7     363.1     356.3     343.0     348.0     326.6      342.8      387.7      358.7 
 

 

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

         Week ending
Account1996
Feb
1996
Aug
1996
Sep
1996
Oct
1996
Nov
1996
Dec
1997
Jan
1997
Feb
Feb 12 Feb 19 Feb 26 Mar 5
A S S E T S            
1   Bank credit                                       3,638.5   3,675.7   3,695.4   3,720.5   3,747.6   3,769.4   3,804.0   3,837.0   3,838.1    3,838.8    3,832.8    3,855.9 
             
2     Securities in bank credit                         996.3     976.5     969.6     970.3     980.9     978.4     996.7   1,019.1   1,023.1    1,021.9    1,014.0    1,021.4 
3        U.S. government securities                     708.7     704.5     704.4     704.4     708.3     703.2     700.1     701.9     704.5      699.5      700.4      705.4 
4        Other securities                               287.6     271.9     265.1     265.9     272.6     275.2     296.5     317.2     318.6      322.4      313.6      316.0 
             
5     Loans and leases in bank credit (2)             2,642.2   2,699.2   2,725.9   2,750.2   2,766.7   2,790.9   2,807.3   2,817.9   2,815.0    2,816.9    2,818.9    2,834.5 
6        Commercial and industrial                      723.8     743.0     755.9     767.0     774.4     784.0     788.8     800.6     796.8      801.9      804.9      808.2 
7        Real estate                                  1,087.8   1,110.9   1,115.2   1,119.2   1,125.1   1,130.8   1,133.7   1,134.3   1,136.7    1,132.7    1,131.6    1,139.0 
8          Revolving home equity                         79.3      80.8      81.8      83.7      84.6      85.4      85.8      86.0      86.0       86.0       86.1       86.2 
9          Other                                      1,008.6   1,030.1   1,033.4   1,035.5   1,040.5   1,045.4   1,047.9   1,048.3   1,050.8    1,046.7    1,045.6    1,052.8 
10        Consumer                                      498.1     513.1     517.9     518.3     519.2     523.8     526.7     519.7     520.2      520.5      519.0      513.0 
11        Security (3)                                   88.9      70.8      73.0      76.5      78.8      80.3      81.7      85.0      85.1       82.7       84.4       90.8 
12       Other loans and leases                         243.6     261.3     263.8     269.2     269.2     272.1     276.4     278.4     276.1      279.2      279.0      283.5 
             
13  Interbank loans                                     196.1     192.9     199.6     198.7     216.7     213.9     207.9     208.3     208.9      205.2      203.1      217.5 
             
14  Cash assets (4)                                     220.1     212.3     221.5     227.1     239.9     248.6     242.4     232.8     220.7      252.1      232.9      230.1 
             
15  Other assets (5)                                    234.1     260.8     262.6     251.8     260.8     271.5     266.9     279.9     275.9      279.9      284.1      294.7 
             
16  TOTAL ASSETS (6)                                  4,232.2   4,284.2   4,320.0   4,333.3   4,400.0   4,438.7   4,457.3   4,496.5   4,479.8    4,511.6    4,496.7    4,542.0 
       L I A B I L I T I E S                
17  Deposits                                          2,664.3   2,740.4   2,772.8   2,787.1   2,839.9   2,891.2   2,880.0   2,884.6   2,866.0    2,909.1    2,866.2    2,912.9 
18    Transaction                                       757.0     720.4     723.9     713.0     729.9     752.2     726.5     698.6     684.1      723.8      683.0      692.5 
19    Nontransaction                                  1,907.3   2,020.0   2,048.9   2,074.1   2,110.0   2,139.1   2,153.4   2,185.9   2,181.9    2,185.3    2,183.2    2,220.4 
20       Large time                                     426.4     459.1     469.8     485.6     495.1     509.6     516.7     533.3     531.3      534.0      537.2      537.6 
21       Other                                        1,480.9   1,560.9   1,579.2   1,588.5   1,614.9   1,629.4   1,636.7   1,652.6   1,650.6    1,651.3    1,646.1    1,682.8 
             
22  Borrowings                                          684.4     707.2     710.7     680.6     698.4     699.7     722.1     727.0     725.3      727.1      728.9      722.8 
23    From banks in the U.S.                            289.6     295.4     297.9     283.7     296.8     303.0     299.3     299.1     298.9      297.6      296.7      307.9 
24    From others                                       394.7     411.8     412.8     397.0     401.5     396.7     422.8     427.9     426.4      429.5      432.2      415.0 
25    Net due to related foreign offices                278.1     243.4     245.2     245.9     235.3     230.1     232.5     231.0     232.2      225.2      238.6      238.6 
             
26  Other liabilities                                   235.0     221.6     222.3     242.9     257.0     256.7     266.3     288.9     293.1      294.7      285.5      285.4 
             
27  TOTAL LIABILITIES                                 3,861.8   3,912.6   3,951.0   3,956.5   4,030.6   4,077.7   4,100.9   4,131.5   4,116.6    4,156.0    4,119.2    4,159.8 
             
28  Residual (assets less liabilities) (7)              370.5     371.6     369.0     376.8     369.5     360.9     356.4     364.9     363.2      355.6      377.5      382.2 
                         
                     MEMO                                                    
29  Reval. gains on off-bal. sheet items (8)                --         --         --       62.3       65.5       69.5       88.2      103.0      104.6       107.5       100.2       101.5 
30  Reval. losses on off-bal. sheet items (8)               --         --         --       58.3       60.5       64.2       83.9       98.2      100.6       102.8        94.8        97.1 
 

H.8 (510) pg.3
ASSETS AND LIABILITIES OF DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Seasonally adjusted, billions of dollars
 

         Week ending
Account1996
Feb
1996
Aug
1996
Sep
1996
Oct
1996
Nov
1996
Dec
1997
Jan
1997
Feb
Feb 12 Feb 19 Feb 26 Mar 5
A S S E T S            
1   Bank credit                                       3,194.2   3,210.0   3,225.5   3,237.0   3,246.2   3,260.3   3,283.8   3,304.6   3,300.1    3,308.9    3,306.4    3,312.9 
             
2     Securities in bank credit                         853.4     824.6     822.4     821.0     822.6     825.2     834.0     843.0     842.8      846.3      841.1      839.7 
3        U.S. government securities                     640.0     621.3     620.4     620.8     619.9     618.2     623.2     616.7     618.5      614.0      614.4      616.2 
4        Other securities                               213.5     203.3     201.9     200.2     202.7     207.0     210.8     226.3     224.3      232.2      226.6      223.5 
             
5     Loans and leases in bank credit (2)             2,340.7   2,385.5   2,403.1   2,416.0   2,423.6   2,435.1   2,449.7   2,461.5   2,457.4    2,462.6    2,465.3    2,473.1 
6        Commercial and industrial                      540.1     552.6     560.3     563.5     565.3     569.5     571.1     577.4     575.1      578.3      580.3      580.4 
7        Real estate                                  1,056.5   1,076.4   1,079.4   1,083.3   1,088.1   1,093.4   1,099.2   1,104.4   1,104.7    1,103.9    1,104.0    1,111.0 
8          Revolving home equity                         79.7      80.5      81.2      83.2      84.2      85.3      85.8      86.4      86.2       86.4       86.6       86.7 
9          Other                                        976.8     995.8     998.2   1,000.0   1,003.9   1,008.2   1,013.4   1,018.0   1,018.5    1,017.5    1,017.4    1,024.2 
10        Consumer                                      497.4     512.8     515.8     518.1     518.8     519.0     521.1     519.0     518.5      519.8      519.9      516.4 
11        Security (3)                                   52.1      42.5      44.7      44.0      42.9      43.6      45.4      45.2      45.1       44.2       44.8       46.9 
12       Other loans and leases                         194.6     201.3     203.0     207.1     208.6     209.5     212.9     215.5     214.1      216.4      216.3      218.5 
             
13  Interbank loans                                     173.0     181.2     185.0     182.9     191.5     181.8     174.3     181.4     179.4      180.0      180.5      192.9 
             
14  Cash assets (4)                                     190.1     194.8     194.7     196.4     201.8     200.9     200.2     197.7     195.3      204.8      195.1      198.7 
             
15  Other assets (5)                                    184.7     214.1     219.0     220.6     225.5     234.2     227.0     237.3     233.6      239.0      243.0      248.2 
             
16  TOTAL ASSETS (6)                                  3,685.4   3,742.8   3,765.5   3,772.1   3,800.5   3,812.8   3,821.5   3,859.7   3,845.0    3,868.6    3,868.9    3,896.6 
       L I A B I L I T I E S                
17  Deposits                                          2,510.2   2,570.7   2,586.3   2,584.5   2,617.8   2,637.9   2,645.7   2,655.5   2,643.3    2,673.7    2,641.0    2,667.0 
18    Transaction                                       754.3     722.9     715.7     704.8     709.2     708.3     704.3     695.2     686.3      714.0      684.1      683.6 
19    Nontransaction                                  1,756.0   1,847.9   1,870.6   1,879.7   1,908.6   1,929.6   1,941.5   1,960.3   1,957.0    1,959.7    1,956.9    1,983.4 
20       Large time                                     273.1     292.2     298.9     295.4     299.7     303.0     303.0     307.2     306.5      308.1      307.2      308.3 
21       Other                                        1,482.8   1,555.7   1,571.7   1,584.3   1,609.0   1,626.6   1,638.5   1,653.1   1,650.5    1,651.5    1,649.6    1,675.1 
             
22  Borrowings                                          575.7     572.9     583.6     569.6     580.4     581.7     594.4     596.2     611.5      589.1      587.2      599.1 
23    From banks in the U.S.                            265.0     255.6     261.4     256.9     267.6     272.0     273.4     273.1     289.6      267.1      257.8      282.6 
24    From others                                       310.7     317.3     322.1     312.7     312.7     309.6     321.1     323.2     321.9      322.0      329.4      316.4 
25    Net due to related foreign offices                 90.5      74.5      74.7      76.6      70.9      68.9      72.0      79.3      85.0       76.4       77.8       82.4 
             
26  Other liabilities                                   155.7     152.8     153.1     169.1     173.0     177.7     179.8     187.2     184.9      192.5      187.3      184.0 
             
27  TOTAL LIABILITIES                                 3,332.1   3,370.9   3,397.7   3,399.7   3,442.1   3,466.2   3,492.0   3,518.3   3,524.7    3,531.8    3,493.3    3,532.5 
             
28  Residual (assets less liabilities) (7)              353.3     371.9     367.8     372.4     358.4     346.6     329.5     341.4     320.3      336.9      375.6      364.1 
 

 

H.8 (510) pg.4
ASSETS AND LIABILITIES OF DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Not seasonally adjusted, billions of dollars
 

         Week ending
Account1996
Feb
1996
Aug
1996
Sep
1996
Oct
1996
Nov
1996
Dec
1997
Jan
1997
Feb
Feb 12 Feb 19 Feb 26 Mar 5
A S S E T S            
1   Bank credit                                       3,187.2   3,207.8   3,229.2   3,240.0   3,250.9   3,263.3   3,285.1   3,296.8   3,295.2    3,298.3    3,293.4    3,309.4 
             
2     Securities in bank credit                         849.5     825.8     824.2     821.0     821.6     817.7     829.3     838.7     839.4      840.0      835.6      840.9 
3        U.S. government securities                     637.0     622.1     622.6     621.9     620.3     616.5     616.2     613.7     615.6      611.0      611.8      615.7 
4        Other securities                               212.5     203.6     201.6     199.1     201.2     201.2     213.1     225.0     223.9      229.0      223.8      225.1 
             
5     Loans and leases in bank credit (2)             2,337.7   2,382.0   2,405.0   2,419.0   2,429.4   2,445.6   2,455.8   2,458.2   2,455.7    2,458.3    2,457.8    2,468.5 
6        Commercial and industrial                      539.8     548.6     556.4     561.1     563.5     566.1     569.0     577.1     574.0      577.7      580.3      582.8 
7        Real estate                                  1,053.4   1,077.8   1,082.3   1,086.2   1,091.9   1,098.1   1,101.2   1,101.3   1,103.7    1,099.8    1,098.7    1,105.7 
8          Revolving home equity                         79.3      80.8      81.8      83.7      84.6      85.4      85.8      86.0      86.0       86.0       86.1       86.2 
9          Other                                        974.1     997.0   1,000.5   1,002.4   1,007.3   1,012.7   1,015.4   1,015.3   1,017.8    1,013.8    1,012.6    1,019.5 
10        Consumer                                      498.1     513.1     517.9     518.3     519.2     523.8     526.7     519.7     520.2      520.5      519.0      513.0 
11        Security (3)                                   53.3      41.0      43.9      43.8      44.3      44.9      44.6      46.3      45.8       45.5       46.3       49.4 
12        Other loans and leases                         193.0     201.5     204.4     209.5     210.4     212.8     214.3     213.7     211.9      214.8      213.4      217.5
             
13  Interbank loans                                     177.2     176.6     179.3     177.7     195.8     191.0     184.1     185.8     186.4      183.5      178.2      199.1 
             
14  Cash assets (4)                                     191.6     183.8     192.6     197.0     208.6     216.1     210.2     199.6     187.8      219.1      199.5      194.6 
             
15  Other assets (5)                                    184.2     216.3     221.1     218.3     224.0     233.3     228.3     236.2     232.0      236.8      240.6      246.8 
             
16  TOTAL ASSETS (6)                                  3,683.8   3,726.9   3,763.2   3,768.3   3,814.5   3,839.2   3,844.0   3,857.2   3,837.9    3,873.6    3,855.8    3,893.9 
       L I A B I L I T I E S                
17  Deposits                                          2,497.7   2,561.6   2,587.2   2,583.9   2,632.3   2,667.4   2,649.4   2,643.7   2,626.8    2,667.4    2,622.6    2,667.7 
18    Transaction                                       746.3     710.2     713.7     702.4     719.4     740.7     715.6     688.1     673.9      712.1      672.9      682.1 
19    Nontransaction                                  1,751.4   1,851.5   1,873.5   1,881.5   1,913.0   1,926.6   1,933.8   1,955.6   1,952.9    1,955.3    1,949.6    1,985.6 
20       Large time                                     275.3     292.9     296.6     295.2     300.3     299.7     301.7     310.0     309.9      311.3      309.9      310.5 
21       Other                                        1,476.1   1,558.6   1,576.9   1,586.3   1,612.7   1,626.9   1,632.1   1,645.7   1,643.0    1,643.9    1,639.8    1,675.1 
             
22  Borrowings                                          571.1     573.6     586.7     565.3     573.5     575.0     591.7     586.6     585.7      586.8      590.0      579.9 
23    From banks in the U.S.                            261.2     260.3     264.6     252.8     261.3     266.0     266.3     263.1     264.3      262.2      262.7      266.0 
24    From others                                       309.9     313.3     322.2     312.5     312.2     309.1     325.4     323.6     321.4      324.6      327.4      313.9 
25    Net due to related foreign offices                 92.4      72.2      70.9      78.2      68.4      66.2      73.6      81.1      83.4       78.3       84.9       84.9 
             
26  Other liabilities                                   155.4     151.8     153.7     169.8     176.2     175.0     177.9     186.5     184.8      191.7      186.5      183.5 
             
27  TOTAL LIABILITIES                                 3,316.6   3,359.3   3,398.6   3,397.1   3,450.5   3,483.6   3,492.6   3,497.9   3,480.7    3,524.1    3,484.1    3,516.0 
             
28  Residual (assets less liabilities) (7)              367.1     367.7     364.7     371.1     364.0     355.6     351.4     359.3     357.2      349.5      371.7      377.9 
                         
                      MEMO                                                   
29  Reval. gains on off-bal. sheet items (8)                --         --         --       32.4       33.1       36.2       47.4       55.8       55.4        58.7        54.7        55.4 
30  Reval. losses on off-bal. sheet items (8)               --         --         --       28.9       28.9       31.8       43.9       50.8       50.9        53.8        49.3        50.7 
31  Mortgage-backed securities (9)                          --         --         --      236.8      238.8      242.3      245.7      244.4      245.9       242.1       244.4       244.0 
 

H.8 (510) pg.5
ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Seasonally adjusted, adjusted for mergers, billions of dollars
 

         Week ending
Account1996
Feb
1996
Aug
1996
Sep
1996
Oct
1996
Nov
1996
Dec
1997
Jan
1997
Feb
Feb 12 Feb 19 Feb 26 Mar 5
A S S E T S            
1   Bank credit                                       1,825.5   1,788.5   1,797.4   1,806.5   1,809.8   1,817.8   1,831.5   1,850.4   1,847.6    1,853.9    1,850.0    1,858.6 
             
2     Securities in bank credit                         445.7     407.1     405.5     405.9     408.8     411.2     416.5     427.0     426.7      430.0      425.9      423.4 
3        U.S. government securities                     311.3     284.0     283.7     286.0     286.6     284.9     287.5     281.9     283.6      279.0      280.4      281.3 
3a         Trading account                               22.1      20.2      20.9      21.2      21.5      19.4      17.2      16.1      17.2       15.7       15.1       16.2 
3b         Investment account                           289.1     263.8     262.8     264.8     265.1     265.5     270.3     265.7     266.4      263.3      265.3      265.0 
4        Other securities                               134.4     123.2     121.8     119.9     122.2     126.3     129.0     145.1     143.1      151.1      145.5      142.1 
4a         Trading account                               63.4      56.9      56.4      55.1      57.8      60.9      64.5      79.8      78.0       85.4       80.3       76.3 
4b         Investment account                            71.0      66.2      65.5      64.8      64.4      65.5      64.5      65.3      65.1       65.7       65.2       65.8 
4c         State and local government                    21.5      20.5      20.3      20.2      20.2      20.3      20.5      21.0      21.1       21.0       20.9       20.8 
4d         Other                                         49.6      45.8      45.1      44.5      44.2      45.2      44.1      44.3      44.0       44.7       44.3       45.0 
5     Loans and leases in bank credit (2)             1,379.8   1,381.4   1,391.9   1,400.7   1,401.0   1,406.6   1,415.0   1,423.4   1,420.9    1,423.8    1,424.1    1,435.2 
6        Commercial and industrial                      367.9     372.7     378.9     381.6     381.9     384.5     385.2     389.4     387.5      390.1      391.5      392.1 
7        Real estate                                     563.0      556.6      556.1      558.4      559.2      561.1      561.2      562.0      563.2       561.1       560.2       566.2 
8          Revolving home equity                          53.1       53.2       53.5       53.7       54.2       54.9       55.0       55.3       55.2        55.4        55.4        55.6 
9          Other                                         509.9      503.4      502.6      504.7      505.0      506.2      506.3      506.7      508.0       505.7       504.9       510.6 
10       Consumer                                        271.4      277.9      279.4      279.2      278.8      279.1      282.1      284.1      284.1       284.8       283.6       284.7 
11       Security (3)                                     46.4       37.3       39.5       39.0       37.8       38.5       40.3       39.9       39.9        38.8        39.5        41.3 
12a      State and local government                       11.3       11.1       10.8       10.9       11.1       11.3       11.1       11.0       11.0        11.1        11.0        10.9 
12b      All other                                       119.8      125.7      127.1      131.6      132.1      132.1      135.0      137.0      135.2       137.9       138.3       140.0 
             
13  Interbank loans                                      112.4      131.9      133.8      132.0      137.9      126.8      119.9      123.7      123.1       121.8       122.9       129.9 
             
14  Cash assets (4)                                     125.9     129.4     128.1     128.2     132.4     130.5     130.5     127.6     126.1      131.0      127.1      129.5 
             
15  Other assets (5)                                    134.4     158.0     161.6     163.5     167.6     175.5     168.7     175.5     172.6      178.0      179.9      178.6 
             
16  TOTAL ASSETS (6)                                  2,161.7   2,171.2   2,183.1   2,186.2   2,204.1   2,207.2   2,207.9   2,237.0   2,227.2    2,241.7    2,245.0    2,261.4 
L I A B I L I T I E S              
17  Deposits                                          1,311.3   1,339.1   1,345.6   1,355.1   1,366.5   1,373.6   1,366.0   1,364.2   1,355.7    1,373.2    1,355.0    1,376.3 
18    Transaction                                       420.0     400.3     392.7     387.0     387.3     385.6     382.4     373.3     367.1      386.1      363.5      368.4 
19    Nontransaction                                    891.3     938.8     952.9     968.1     979.1     987.9     983.6     991.0     988.5      987.1      991.5    1,007.9 
20       Large time                                     125.7     139.8     146.5     151.8     153.4     155.1     153.4     156.3     156.0      157.1      156.0      156.7 
21       Other                                          765.6     799.0     806.4     816.3     825.7     832.8     830.2     834.7     832.6      830.0      835.5      851.3 
             
22  Borrowings                                          436.4     411.9     420.5     404.3     414.4     415.8     426.1     427.1     439.2      419.4      422.7      427.9 
23    From banks in the U.S.                             188.7      172.9      177.7      170.6      181.4      188.2      187.1      186.4      199.6       180.2       175.9       193.6 
24    From others                                       247.7     239.0     242.8     233.7     233.0     227.6     239.0     240.7     239.5      239.2      246.8      234.3 
25    Net due to related foreign offices                 84.3      70.1      68.9      73.2      68.7      66.1      68.0      75.3      80.9       72.8       73.7       78.3 
             
26  Other liabilities                                   123.7     125.7     126.3     141.2     146.2     151.9     155.5     162.7     160.5      169.0      162.1      157.9 
             
27  TOTAL LIABILITIES                                 1,955.8   1,946.8   1,961.2   1,973.8   1,995.8   2,007.5   2,015.7   2,029.4   2,036.3    2,034.3    2,013.5    2,040.4 
             
28  Residual (assets less liabilities) (7)              205.9     224.3     221.9     212.4     208.3     199.7     192.2     207.6     190.9      207.4      231.5      221.0 
 

H.8 (510) pg.6
ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Not seasonally adjusted, adjusted for mergers, billions of dollars
 

         Week ending
Account1996
Feb
1996
Aug
1996
Sep
1996
Oct
1996
Nov
1996
Dec
1997
Jan
1997
Feb
Feb 12 Feb 19 Feb 26 Mar 5
 A S S E T             
1   Bank credit                                       1,824.2   1,786.7   1,797.1   1,807.0   1,812.9   1,818.1   1,834.7   1,848.2   1,847.3    1,849.7    1,842.8    1,861.4 
             
2     Securities in bank credit                         443.4     410.2     406.9     406.9     409.4     404.1     413.2     424.3     424.5      425.9      421.6      426.3 
3        U.S. government securities                     309.7     286.5     285.3     288.2     288.8     283.6     281.8     280.2     281.5      277.7      278.9      282.5 
3a         Trading account                               22.5      20.9      21.0      22.0      22.7      18.1      16.3     16.3      17.3       16.4       15.0       17.8  
3b         Investment account                           287.2     265.6     264.3     266.2     266.0     265.5     265.5     263.9     264.2      261.3      263.9      264.7 
4        Other securities                               133.7     123.7     121.6     118.8     120.6     120.5     131.4     144.1     143.0      148.2      142.8      143.7 
4a         Trading account                               62.6      57.8      56.1      53.5      55.4      54.4      66.4      78.7      77.8       82.5       77.5       77.9 
4b         Investment account                            71.1      65.9      65.5      65.3      65.3      66.1      65.0      65.4      65.3       65.7       65.2       65.8 
4c         State and local government                    21.4      20.3      20.3      20.2      20.3      20.4      20.5      21.0      21.1       21.0       20.9       20.8 
4d         Other                                         49.7      45.6      45.2      45.0      44.9      45.7      44.6      44.4      44.2       44.7       44.3       45.0 
5     Loans and leases in bank credit (2)             1,380.8   1,376.5   1,390.2   1,400.1   1,403.5   1,413.9   1,421.5   1,423.9   1,422.8    1,423.8    1,421.2    1,435.2 
6        Commercial and industrial                      367.9     369.9     376.0     379.8     380.9     381.6     383.0     389.4     386.9      389.9      391.7      394.5 
7        Real estate                                    562.6     556.9     556.9     559.1     560.8     563.9     563.6     561.5     564.6      559.9      557.6      564.1 
8          Revolving home equity                         53.0      53.4      53.7      54.0      54.5      54.9      55.1      55.1      55.1       55.2       55.1       55.2 
9          Other                                        509.6     503.5     503.1     505.0     506.3     508.9     508.6     506.4     509.5      504.7      502.5      508.9 
10       Consumer                                       271.4     278.3     280.6     278.7     278.6     283.0     286.8     284.0     284.4      284.6      282.4      282.4 
11       Security (3)                                    47.5      35.9      38.9      38.9      39.0      39.5      39.4      40.9      40.4       40.1       41.1       43.5 
12a      State and local government                      11.2      11.2      10.9      10.9      11.2      11.2      11.0      11.0      10.9       11.1       11.0       10.9 
12b      All other                                      120.2     124.3     126.9     132.6     133.1     134.8     137.7     137.2     135.6      138.3      137.4      139.8 
             
13  Interbank loans                                     114.3     128.2     129.8     126.4     137.4     133.0     128.3     126.0     127.0      124.5      121.1      130.6 
             
14  Cash assets (4)                                     128.1     120.8     127.5     127.7     136.5     141.8     138.3     130.3     121.9      143.9      131.5      126.1 
             
15  Other assets (5)                                    132.6     160.0     163.1     161.4     165.5     174.1     169.1     173.0     170.4      174.1      176.5      176.6 
             
16  TOTAL ASSETS (6)                                  2,162.7   2,158.9   2,179.5   2,178.7   2,208.5   2,223.4   2,227.9   2,237.3   2,224.2    2,249.1    2,236.9    2,259.5 
       L I A B I L I T I E S                
17  Deposits                                          1,308.7   1,332.9   1,344.5   1,352.2   1,373.3   1,389.6   1,372.3   1,362.2   1,352.2    1,376.8    1,348.1    1,379.0 
18    Tranlgdtion                                       416.4     391.1     391.5     384.1     393.9     406.9     390.1     369.9     360.3      388.2      358.6      366.4 
19    Nontranlgdtion                                    892.3     941.8     953.0     968.1     979.5     982.8     982.2     992.3     991.9      988.6      989.5    1,012.6 
20       Large time                                     127.3     140.7     144.5     151.2     153.7     152.7     153.4     158.4     158.8      159.6      157.6      158.3 
21       Other                                          765.0     801.1     808.5     816.9     825.7     830.0     828.8     833.9     833.2      829.0      831.9      854.3 
             
22  Borrowings                                          432.2     414.5     424.0     399.9     409.0     409.6     421.7     418.8     418.7      416.2      421.9      415.9 
23    From banks in the U.S.                            185.6     177.8     180.1     167.0     176.8     182.6     180.3     178.3     180.0      175.8      177.9      183.3 
24    From others                                       246.6     236.7     244.0     232.8     232.2     227.0     241.4     240.5     238.7      240.4      244.0      232.6 
25    Net due to related foreign offices                 86.2      67.8      65.0      74.8      66.2      63.4      69.7      77.1      79.3       74.7       80.8       80.8 
             
26  Other liabilities                                   122.8     124.6     127.2     141.9     149.5     149.7     153.3     161.8     159.8      167.9      161.0      157.2 
             
27  TOTAL LIABILITIES                                 1,950.0   1,939.8   1,960.7   1,968.8   1,998.1   2,012.4   2,016.9   2,019.8   2,010.0    2,035.5    2,011.8    2,032.8 
             
28  Residual (assets less liabilities) (7)              212.8     219.1     218.8     209.9     210.3     211.1     211.0     217.5     214.2      213.6      225.1      226.7 
             
                      MEMO                                                   
29  Reval. gains on off-bal. sheet itens(8)                 --         --         --       32.4       33.1       36.2       47.4       55.8       55.4        58.7        54.7        55.4 
30  Reval. losses on off-bal. sheet itens (8)               --         --         --       28.9       28.9       31.8       43.9       50.8       50.9        53.8        49.3        50.7 
31  Mortgage-backed securities (9)                          --         --         --      187.1      188.5      190.9      192.7      191.9      193.2       189.4       192.3       191.8 
 

H.8 (510) pg.7
ASSETS AND LIABILITIES OF SMALL DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Seasonally adjusted, adjusted for mergers, billions of dollars
 

         Week ending
Account1996
Feb
1996
Aug
1996
Sep
1996
Oct
1996
Nov
1996
Dec
1997
Jan
1997
Feb
Feb 12 Feb 19 Feb 26 Mar 5
A S S E T S            
1   Bank credit                                       1,368.7   1,421.5   1,428.1   1,430.4   1,436.4   1,442.5   1,452.3   1,454.1   1,452.5    1,455.0    1,456.4    1,454.3 
             
2     Securities in bank credit                         407.8     417.4     416.9     415.2     413.8     414.0     417.5     416.0     416.0      416.2      415.2      416.3 
3        U.S. government securities                     328.7     337.3     336.8     334.8     333.3     333.3     335.7     334.8     334.9      335.1      334.0      335.0 
4        Other securities                                79.1      80.1      80.1      80.3      80.5      80.6      81.8      81.2      81.2       81.2       81.1       81.4 
             
5     Loans and leases in bank credit (2)               960.9   1,004.1   1,011.2   1,015.3   1,022.6   1,028.5   1,034.7   1,038.1   1,036.5    1,038.8    1,041.2    1,038.0 
6        Commercial and industrial                      172.2     179.9     181.4     181.9     183.3     185.0     185.9     188.0     187.6      188.2      188.8      188.3 
7        Real estate                                    493.4     519.8     523.3     524.9     528.9     532.3     537.9     542.4     541.4      542.9      543.7      544.8 
8          Revolving home equity                         26.5      27.3      27.8      29.5      30.0      30.4      30.8      31.1      31.0       31.0       31.2       31.2 
9          Other                                        466.9     492.5     495.5     495.4     498.9     502.0     507.1     511.3     510.5      511.8      512.5      513.6 
10       Consumer                                       226.0     234.8     236.3     239.0     239.9     239.9     239.0     234.9     234.4      235.0      236.4      231.7 
11       Security (3)                                     5.7       5.1       5.2       5.0       5.1       5.2       5.1       5.3       5.2        5.3        5.3        5.6 
12       Other loans and leases                         63.5      64.5      65.0      64.6      65.4      66.1      66.8      67.5      67.8       67.4       67.0       67.6  
             
13  Interbank loans                                      60.6      49.4      51.2      51.0      53.5      54.9      54.5      57.7      56.3       58.2       57.6       63.0 
             
14  Cash assets (4)                                      64.2      65.4      66.6      68.2      69.4      70.4      69.6      70.1      69.2       73.8       68.1       69.3 
             
15  Other assets (5)                                     50.3      56.2      57.4      57.1      57.9      58.7      58.3      61.8      61.0       61.0       63.1       69.6 
             
16  TOTAL ASSETS (6)                                  1,523.8   1,571.6   1,582.4   1,585.9   1,596.4   1,605.6   1,613.6   1,622.7   1,617.9    1,626.9    1,624.0    1,635.3 
       L I A B I L I T I E S                
17  Deposits                                          1,198.9   1,231.6   1,240.6   1,229.4   1,251.4   1,264.3   1,279.7   1,291.3   1,287.7    1,300.5    1,286.0    1,290.7 
18    Transaction                                       334.2     322.5     322.9     317.7     321.8     322.7     321.8     322.0     319.2      327.9      320.6      315.3 
19    Nontransaction                                    864.7     909.1     917.7     911.6     929.5     941.6     957.8     969.3     968.5      972.6      965.4      975.4 
20       Large time                                     147.4     152.4     152.3     143.6     146.2     147.9     149.6     150.9     150.5      151.0      151.2      151.6 
21       Other                                          717.3     756.7     765.4     768.0     783.3     793.8     808.3     818.4     818.0      821.6      814.1      823.8 
             
22  Borrowings                                          139.3     161.0     163.1     165.3     166.0     165.8     168.3     169.1     172.3      169.7      164.5      171.2 
23    From banks in the U.S.                             76.3      82.7      83.7      86.2      86.2      83.8      86.2      86.6      90.0       86.9       81.9       89.0 
24    From others                                        63.0      78.3      79.4      79.0      79.8      82.0      82.0      82.5      82.3       82.8       82.6       82.2 
25    Net due to related foreign offices                  6.1       4.4       5.9       3.4       2.2       2.7       4.0       4.0       4.1        3.6        4.1        4.1 
             
26  Other liabilities                                    32.0      27.1      26.8      27.9      26.9      25.8      24.3      24.4      24.4       23.6       25.2       26.1 
             
27  TOTAL LIABILITIES                                 1,376.3   1,424.1   1,436.4   1,425.9   1,446.3   1,458.7   1,476.3   1,488.8   1,488.5    1,497.4    1,479.8    1,492.1 
             
28  Residual (assets less liabilities) (7)              147.5     147.5     146.0     160.0     150.0     146.9     137.3     133.8     129.4      129.5      144.1      143.2 
 

 

H.8 (510) pg.8
ASSETS AND LIABILITIES OF SMALL DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Not seasonally adjusted, adjusted for mergers, billions of dollars
 

         Week ending
Account1996
Feb
1996
Aug
1996
Sep
1996
Oct
1996
Nov
1996
Dec
1997
Jan
1997
Feb
Feb 12 Feb 19 Feb 26 Mar 5
A S S E T S            
1   Bank credit                                       1,363.0   1,421.1   1,432.1   1,433.0   1,438.0   1,445.2   1,450.4   1,448.6   1,447.8    1,448.6    1,450.6    1,447.9 
             
2     Securities in bank credit                         406.1     415.6     417.2     414.1     412.2     413.6     416.1     414.4     414.9      414.1      414.0      414.6 
3        U.S. government securities                     327.3     335.6     337.3     333.7     331.6     332.9     334.5     333.4     334.1      333.2      333.0      333.2 
4        Other securities                                78.8      79.9      80.0      80.4      80.6      80.7      81.6      80.9      80.8       80.9       81.0       81.4 
             
5     Loans and leases in bank credit (2)               956.9   1,005.6   1,014.9   1,018.9   1,025.8   1,031.7   1,034.3   1,034.2   1,032.9    1,034.5    1,036.6    1,033.4 
6        Commercial and industrial                      171.9     178.6     180.4     181.3     182.6     184.5     186.0     187.7     187.1      187.8      188.7      188.3 
7        Real estate                                    490.8     520.9     525.5     527.1     531.1     534.3     537.5     539.8     539.1      539.9      541.1      541.6 
8          Revolving home equity                         26.3      27.4      28.1      29.7      30.1      30.4      30.7      30.9      30.8       30.8       31.0       31.0 
9          Other                                        464.5     493.5     497.4     497.4     501.0     503.8     506.8     509.0     508.3      509.1      510.1      510.6 
10       Consumer                                       234.9     237.3     239.6     240.6     240.8     226.8     239.9     235.7     235.8      235.9      236.6      230.6 
11       Security (3)                                      5.8        5.1        5.1        4.9        5.3        5.4        5.2        5.4        5.4         5.4         5.3         5.9 
12       Other loans and leases                          61.6      66.0      66.6      66.0      66.2      66.7      65.6      65.6      65.5       65.4       65.0       66.9 
             
13  Interbank loans                                      62.9      48.4      49.5      51.3      58.4      58.0      55.8      59.7      59.4       59.0       57.2       68.5 
             
14  Cash assets (4)                                      63.5      63.1      65.1      69.3      72.1      74.3      71.8      69.4      65.9       75.2       68.1       68.5 
             
15  Other assets (5)                                     51.6      56.3      57.9      56.8      58.5      59.2      59.2      63.2      61.6       62.7       64.1       70.2 
             
16  TOTAL ASSETS (6)                                  1,521.0   1,568.1   1,583.7   1,589.6   1,606.1   1,615.7   1,616.1   1,620.0   1,613.7    1,624.5    1,618.9    1,634.3 
       L I A B I L I T I E S                
17  Deposits                                          1,189.0   1,228.8   1,242.8   1,231.6   1,259.0   1,277.7   1,277.2   1,281.5   1,274.6    1,290.5    1,274.4    1,288.7 
18    Transaction                                       329.9     319.1     322.2     318.3     325.5     333.9     325.6     318.1     313.7      323.9      314.4      315.7 
19    Nontransaction                                    859.1     909.6     920.5     913.4     933.5     943.9     951.6     963.3     960.9      966.6      960.1      973.0 
20       Large time                                     148.0     152.2     152.1     144.0     146.6     147.0     148.3     151.5     151.1      151.7      152.3      152.2 
21       Other                                          711.1     757.5     768.4     769.4     786.9     796.9     803.3     811.8     809.8      814.9      807.8      820.8 
             
22  Borrowings                                          138.9     159.1     162.7     165.4     164.5     165.4     170.0     167.9     167.0      170.6      168.2      164.0 
23    From banks in the U.S.                             75.6      82.5      84.5      85.7      84.5      83.3      86.0      84.8      84.3       86.4       84.8       82.6 
24    From others                                        63.3      76.6      78.2      79.7      80.0      82.1      84.0      83.1      82.7       84.2       83.4       81.4 
25    Net due to related foreign offices                  6.1       4.4       5.9       3.4       2.2       2.7       4.0       4.0       4.1        3.6        4.1        4.1 
             
26  Other liabilities                                    32.6      27.2      26.5      27.9      26.7      25.4      24.6      24.8      25.0       23.8       25.5       26.3 
             
27  TOTAL LIABILITIES                                 1,366.7   1,419.5   1,437.9   1,428.3   1,452.4   1,471.2   1,475.7   1,478.1   1,470.7    1,488.6    1,472.3    1,483.1 
             
            MEMO                                                             
28  Residual (assets less liabilities) (7)              154.4     148.6     145.8     161.3     153.7     144.5     140.4     141.8     143.0      136.0      146.6      151.2 
31  Mortgage-backed securities (9)                          --         --         --       49.7       50.3       51.4       53.0       52.5       52.7        52.7        52.1        52.2 
 

 

H.8 (510) pg.9
ASSETS AND LIABILITIES OF FOREIGN-RELATED INSTITUTIONS IN THE UNITED STATES (1)
Seasonally adjusted, billions of dollars
 

         Week ending
Account1996
Feb
1996
Aug
1996
Sep
1996
Oct
1996
Nov
1996
Dec
1997
Jan
1997
Feb
Feb 12 Feb 19 Feb 26 Mar 5
A S S E T S            
1   Bank credit                                         451.4     464.5     467.6     481.9     497.1     510.3     521.9     539.5     539.9      541.4      541.1      541.6 
             
2     Securities in bank credit                         146.7     147.5     146.5     149.4     159.7     167.3     171.5     179.5     181.4      181.3      178.9      175.4 
3        U.S. government securities                      70.9      80.9      82.9      83.1      88.0      89.2      82.9      86.5      86.8       86.7       87.8       86.3 
4        Other securities                                75.8      66.6      63.6      66.3      71.7      78.1      88.5      93.0      94.6       94.6       91.1       89.1 
             
5     Loans and leases in bank credit (2)               304.8     316.9     321.1     332.5     337.4     343.0     350.5     360.1     358.5      360.2      362.2      366.2 
6        Commercial and industrial                      184.0     194.3     200.7     207.1     211.0     217.5     220.0     223.5     222.2      224.9      224.7      225.9 
7        Real estate                                     34.4      33.1      32.8      32.9      32.8      32.5      32.6      33.0      32.9       32.9       33.0       33.2 
11       Security (3)                                    35.6      29.8      29.1      32.7      34.5      35.4      37.1      38.7      39.3       37.1       38.0       41.3 
12       Other loans and leases                          50.8      59.7      58.4      59.8      59.2      57.6      60.9      65.0      64.2       65.2       66.5       65.8 
             
13  Interbank loans                                      18.9      16.4      20.3      20.9      20.9      22.9      23.8      22.5      22.4       21.7       24.8       18.5 
             
14  Cash assets (4)                                      29.1      28.5      29.5      29.8      31.1      31.4      31.9      33.9      33.6       34.2       34.1       36.5 
             
15  Other assets (5)                                     49.0      43.7      41.1      33.9      36.5      37.4      39.3      42.8      42.5       42.7       42.5       47.0 
             
16  TOTAL ASSETS (6)                                    548.3     553.0     558.4     566.3     585.4     601.8     616.7     638.5     638.2      639.8      642.4      643.4 
       L I A B I L I T I E S                
17  Deposits                                            168.4     180.3     186.0     197.9     205.0     221.1     230.4     244.1     242.1      247.1      245.8      248.3 
18    Transaction                                        10.4      10.5       9.7      10.5      10.6      10.8      10.9      10.3       9.9       11.3        9.9       10.6 
19    Nontransaction                                    158.0     169.8     176.2     187.3     194.4     210.4     219.5     233.8     232.2      235.8      236.0      237.8 
20       Large time                                     154.1     166.7     172.9     184.7     190.9     206.4     217.1     228.3     226.6      229.5      230.3      230.4 
21       Other                                            3.8       3.1       3.4       2.6       3.5       4.0       2.4       5.5       5.6        6.3        5.7        7.3 
             
22  Borrowings                                          118.7     128.6     122.8     118.8     128.2     125.7     133.5     147.1     143.8      150.3      148.8      146.4 
23    From banks in the U.S.                             30.2      34.6      34.0      33.4      35.5      36.2      31.8      38.5      35.6       39.5       38.0       44.0 
24    From others                                        88.4      94.1      88.8      85.3      92.8      89.4     101.7     108.7     108.2      110.8      110.8      102.4 
25    Net due to related foreign offices                180.2     173.2     176.3     167.7     167.2     162.3     150.1     140.8     141.0      134.8      139.8      155.0 
             
26  Other liabilities                                    77.7      69.4      68.7      74.7      80.1      83.0      89.3      99.9     105.0      101.7       95.9       99.2 
             
27  TOTAL LIABILITIES                                   544.8     551.5     553.8     559.0     580.6     592.2     603.3     632.0     631.9      633.9      630.4      648.9 
             
28  Residual (assets less liabilities) (7)                3.5       1.5       4.6       7.3       4.8       9.7      13.5       6.6       6.3        5.9       12.1       -5.5 
 

 

H.8 (510) pg.10
ASSETS AND LIABILITIES OF FOREIGN-RELATED INSTITUTIONS IN THE UNITED STATES (1)
Not seasonally adjusted, billions of dollars
 

         Week ending
Account1996
Feb
1996
Aug
1996
Sep
1996
Oct
1996
Nov
1996
Dec
1997
Jan
1997
Feb
Feb 12 FeFeb 26 Mar 5
A S S E T S            
1   Bank credit                                        451.3     467.9     466.2     480.6     496.7     506.1     519.0     540.1     542.9      540.5      539.5      546.5  
             
2     Securities in bank credit                        146.8     150.7     145.4     149.3     159.4     160.8     167.4     180.4     183.7      181.9      178.4      180.6  
3        U.S. government securities                     71.7      82.4      81.9      82.6      88.0      86.7      83.9      88.3      88.9       88.5       88.6       89.6  
3a         Trading account                                --        --        --      18.8      22.0      20.2      16.9      21.3      21.8       21.3       21.8       21.6  
3b         Investment account                             --        --        --      63.7      66.0      66.5      67.0      67.0      67.1       67.2       66.7       68.0  
4        Other securities                               75.1      68.3      63.5      66.7      71.4      74.1      83.5      92.1      94.8       93.4       89.8       90.9  
4a         Trading account                                --        --        --      48.2      52.3      54.9      61.2      69.1      71.4       70.5       66.9       67.5  
4b         Investment account                             --        --        --      18.5      19.1      19.2      22.3      23.0      23.3       22.9       23.0       23.4  
5     Loans and leases in bank credit (2)              304.5     317.2     320.8     331.3     337.3     345.3     351.6     359.7     359.3      358.6      361.1      366.0  
6        Commercial and industrial                     184.0     194.4     199.5     205.9     210.8     217.9     219.9     223.5     222.8      224.2      224.6      225.4  
7        Real estate                                    34.5      33.1      32.9      33.1      33.2      32.7      32.5      33.0      33.0       32.9       32.9       33.3  
11       Security (3)                                   35.6      29.8      29.1      32.7      34.5      35.4      37.1      38.7      39.3       37.1       38.0       41.3  
12       Other loans and leases                         50.5      59.8      59.3      59.7      58.8      59.3      62.1      64.6      64.1       64.4       65.6       66.0  
             
13  Interbank loans                                     18.9      16.4      20.3      20.9      20.9      22.9      23.8      22.5      22.4       21.7       24.8       18.5  
             
14  Cash assets (4)                                     28.4      28.5      28.8      30.1      31.3      32.5      32.3      33.1      32.9       32.9       33.3       35.5  
             
15  Other assets (5)                                    49.9      44.5      41.5      33.6      36.8      38.2      38.5      43.7      43.9       43.1       43.4       47.9  
             
16  TOTAL ASSETS (6)                                   548.5     557.3     556.8     565.0     585.5     599.5     613.4     639.2     641.9      638.0      640.9      648.1  
       L I A B I L I T I E S                
17  Deposits                                           166.5     178.8     185.6     203.2     207.6     223.9     230.5     240.9     239.2      241.7      243.6      245.2  
18    Transaction                                       10.6      10.3      10.1      10.6      10.6      11.4      10.9      10.6      10.2       11.7       10.0       10.3  
19    Nontransaction                                   155.9     168.5     175.4     192.6     197.0     212.4     219.6     230.3     229.1      230.0      233.6      234.8  
20       Large time                                    151.1     166.2     173.2     190.4     194.8     209.9     215.1     223.4     221.4      222.7      227.3      227.1  
21       Other                                           4.8       2.3       2.3       2.2       2.3       2.5       4.6       7.0       7.7        7.4        6.3        7.7  
             
22  Borrowings                                         113.3     133.6     123.9     115.4     124.9     124.7     130.4     140.4     139.6      140.4      138.8      143.0  
23    From banks in the U.S.                            28.4      35.1      33.3      30.9      35.6      37.0      33.1      36.0      34.6       35.5       34.1       41.9  
24    From others                                        84.8       98.5       90.6       84.5       89.3       87.6       97.4      104.4      105.0       104.9       104.8       101.1  
25    Net due to related foreign offices                185.8      171.2      174.3      167.7      166.9      163.9      158.9      149.9      148.8       146.9       153.7       153.7  
             
26  Other liabilities                                   79.6      69.8      68.6      73.1      80.8      81.7      88.4     102.4     108.3      103.0       98.9      102.0  
             
27  TOTAL LIABILITIES                                   545.1      553.3      552.4      559.4      580.1      594.1      608.3      633.6      635.9       631.9       635.1       643.8  
             
28  Residual (assets less liabilities) (7)                3.3        3.9        4.4        5.6        5.4        5.3        5.1        5.6        6.0         6.0         5.8         4.3  
                         
                  MEMO                                                       
29  Reval. gains on off-bal. sheet items (8)               --         --         --       29.9       32.4       33.3       40.8       47.2       49.2        48.8        45.5        46.1  
30  Reval. losses on off-bal. sheet items (8)             --        --        --      29.4      31.6      32.5      40.0      47.4      49.7       49.0       45.5       46.4  
 

 

 

H.8 (510) pg.11
ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES, BY DISTRICT (1)
Not seasonally adjusted, billions of dollars. Data are as of March 5, 1997.
    Federal Reserve Distict
  National
total
Boston New York Philadelphia Cleveland Richmond Atlanta
ASSETS  
1  Bank credit                                    1,861.4     92.0      352.0      100.8      163.3     182.3      208.8 
2     Securities in bank credit (14)                426.3                                                                
3        U.S. government securities (14)            282.5                                                                
3a         Trading account (14)                      17.8                                                                
3b         Investment account                       264.7     16.7       77.6        5.0       23.1      30.3       29.4 
3c           Mortgage-backed                        173.0      7.3       56.0        1.9       17.7      18.7       18.9 
3d           Other                                   91.8      9.4       21.6        3.0        5.4      11.6       10.6 
3e             1 year or less                        24.1      3.6        3.5        0.9        1.0       3.1        2.6 
3f             Between 1 and 5 years                 51.9      5.2       12.2        1.7        3.4       7.5        6.1 
3g             More than 5 years                     15.8      0.6        5.9        0.4        1.0       0.9        1.9 
4        Other securities (14)                      143.7                                                                
4a         Trading account (14)                      77.9                                                                
4b         Investment account                        65.8      5.5       20.8        2.1        6.2       4.5        8.2 
4c           State and local government              20.8      1.9        7.3        0.6        0.7       1.0        2.0 
4d           Other                                   45.0      3.5       13.5        1.6        5.5       3.5        6.2 
5     Loans and leases in bank credit (2)         1,435.2     69.9      253.6       93.7      133.9     147.5      171.1 
5     Loans and leases in bank credit (2)           394.5     26.6       67.3       15.3       39.8      35.3       39.4 
6a         Bankers accep and commercial paper         1.4      0.1        0.7        0.0        0.0       0.0        0.0 
6b         Other                                    393.1     26.5       66.6       15.3       39.8      35.3       39.4 
7        Real estate                                564.1     19.9      100.4       28.3       48.3      74.9       81.9 
8          Revolving home equtiy                     55.2      3.1        7.9        3.3        5.7       6.9        6.0 
9a         Other residential                        328.0      8.6       64.5       20.4       28.1      46.3       47.7 
9b         Commercial                               180.9      8.2       28.0        4.6       14.5      21.6       28.3 
10       Consumer                                   282.4      7.1       35.3       43.2       30.9      19.0       37.0 
11       Security (3)                                43.5      7.5       18.2        0.1        0.9       3.6        1.2 
11a        Fed funds and RPs with broker/dealer      28.5      7.1       10.4        0.0        0.0       3.4        0.8 
11b        Other                                     14.9      0.4        7.8        0.1        0.9       0.2        0.4 
12a      State and local government                  10.9      0.2        1.5        0.7        1.2       2.0        2.1 
12b      Agricultural                                 7.5      0.0        0.2        0.1        0.2       0.5        0.4 
12c      Fed funds and RPs with others                4.8      0.3        2.0        0.0        0.1       1.0        0.4 
12d      All other loans                             61.2      3.5       16.1        1.6        2.6       5.0        3.4 
12e      Lease financing receivables                 66.3      4.8       12.6        4.5        9.8       6.1        5.3 
13    Interbank loans                               130.6      5.9       45.1        3.9        7.9      11.6       13.8 
13a     Fed funds and RPs with banks                 83.4      3.5       26.3        3.8        4.8       8.5       11.0 
13b     Other                                        47.1      2.5       18.9        0.1        3.0       3.1        2.9 
14    Cash assets(4)                                126.1      6.3       25.2        4.8        8.7       9.6       13.7 
15    Other assets (12)                             202.2     16.6      123.1       14.1       14.2      33.9       14.7 
16    TOTAL ASSETS (6)                            2,285.1    119.3      534.0      121.4      191.1     235.2      248.0 
 

H.8 (510) pg.12
ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES, BY DISTRICT (1)
Not seasonally adjusted, billions of dollars. Data are as of March 5, 1997.
 

    Federal Reserve Distict
  National
total
Boston New York Philadelphia Cleveland Richmond Atlanta
17  Deposits                                      1,379.0     66.6      280.1       68.2      120.2     125.2      175.2 
18   Transaction                                    366.4     22.9       69.9       14.8       27.6      27.2       37.0 
19   Nontransaction                               1,012.6     43.6      210.2       53.4       92.7      98.0      138.2 
20      Large time                                  158.3      6.7       43.6       11.9        9.4      14.9       19.1 
21      Other                                       854.3     36.9      166.6       41.5       83.2      83.1      119.1 
22  Borrowings                                      415.9     27.6       83.5       31.4       44.2      59.5       37.1 
23      From banks in the U.S.                      183.3      9.6       23.8       14.9       17.9      28.9       21.4 
24      From others                                 232.6     18.0       59.8       16.5       26.4      30.6       15.7 
26  Other liabilities (13)                          263.6     14.5      103.9        9.7       12.2      33.7       14.6 
27  TOTAL LIABILITIES                             2,058.4    108.6      467.6      109.2      176.6     218.5      226.8 
        
28  Residual (assets less liabilities (13)          226.7     10.7       66.5       12.2       14.5      16.7       21.1 
        
                      MEMO                                    
29  Reval. gains on off-bal. sheet items (8,14)      55.4                                                                
30  Reval. losses on off-bal. sheet items (8,14)     50.7                                                                
31  Mortgage-backed securities (9)                  191.8      7.9       59.6        3.2       19.7      19.9       22.4 
31a   Pass-through                                  134.6      5.7       46.8        1.7       12.6      16.8       14.3 
31b   CMO, REMIC and other                           57.3      2.2       12.8        1.5        7.2       3.1        8.2 
32  Net unrealized ganis (losses)               
       on available-for-sale securities (10,14) 
     3.0 
 
         
 
          
 
          
 
          
 
         
 
         
 
33  Offshore credit to  U.S. residents (11,14)       32.8                                                                
 

H.8 (510) pg.13
ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES, BY DISTRICT (1)
Not seasonally adjusted, billions of dollars. Data are as of March 5, 1997.
 

  Federal Reserve Distict
  Chicago St.Louis Minneapolis Kansac City Dallas San Francisco
ASSETS  
  1  Bank credit                                    192.5     40.4     39.8     24.6     71.8     297.3 
  2     Securities in bank credit (14)                                                                  
  3        U.S. government securities (14)                                                              
  3a         Trading account (14)                                                                       
  3b         Investment account (14)                 27.1      5.7      3.8      5.2     13.1      27.8 
  3c           Mortgage-backed                       13.0      3.1      2.1      3.8     11.0      19.6 
  3d           Other                                 14.1      2.6      1.7      1.5      2.2       8.2 
  3e             1 year or less                       6.5      0.4      0.0      0.3      0.2       1.8 
  3f             Between 1 and 5 years                5.9      1.7      0.2      1.1      1.7       5.2 
  3g             More than 5 years                    1.6      0.4      1.4      0.0      0.3       1.2 
  4        Other securities (14)                                                                        
  4a         Trading account (14)                                                                       
  4b         Investment accout (14)                   6.4      1.1      0.6      0.8      2.2       7.4 
  4c           State and local government             3.5      0.7      0.2      0.5      0.6       1.7 
  4d           Other                                  2.9      0.4      0.4      0.2      1.5       5.7 
  5     Loans and leases in bank credit (2)         159.1     33.7     35.5     18.6     56.5     262.0 
  6        Commerical and industrial                 67.4      8.6      8.5      5.1     25.2      56.0 
  6a         Bankers accep and commercial paper       0.2      0.0      0.0      0.0      0.0       0.4 
  6b         Other                                   67.1      8.6      8.5      5.1     25.1      55.7 
  7        Real estate                               48.2     15.0      7.4      6.8     14.5     118.6 
  8          Revolving home equtiy                    4.9      1.3      0.4      0.4      0.3      15.1 
  9a         Other residential                       22.1     10.0      4.7      3.4      9.7      62.5 
  9b         Commercial                              21.3      3.8      2.3      2.9      4.5      41.1 
  10       Consumer                                  23.4      5.2     15.1      4.6     10.0      51.6 
  11       Security (3)                               5.0      2.7      1.5      0.0      0.6       2.2 
  11a        Fed funds and RPs with broker/dealer     2.1      2.4      1.0      0.0      0.3       1.0 
  11b        Other                                    2.9      0.3      0.5      0.0      0.3       1.2 
  12a      State and local government                 1.2      0.2      0.1      0.1      0.1       1.4 
  12b      Agricultural                               0.4      0.1      0.2      0.5      0.2       4.5 
  12c      Fed funds and RPs with others              0.6      0.0      0.0      0.0      0.3       0.1 
  12d      All other loans                            8.5      0.9      1.6      1.3      4.4      12.4 
  12e      Lease financing receivables                4.4      1.0      0.9      0.3      1.3      15.2 
  13    Interbank loans                               6.2      5.2      4.0      2.4      5.6      18.8 
  13a     Fed funds and RPs with banks                5.7      5.2      3.7      2.2      2.2       6.7 
  13b     Other                                       0.5      0.1      0.3      0.3      3.3      12.2 
  14    Cash assets(4)                               15.1      3.1      2.3      3.0     11.7      22.7 
  15    Other assets (12)                            21.9      5.0      3.0      2.7      6.4      42.3 
  16    TOTAL ASSETS                                232.8     53.3     48.4     32.4     94.6     374.6 
 

H.8 (510) pg.14
ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES, BY DISTRICT (1)
Not seasonally adjusted, billions of dollars. Data are as of March 5, 1997.
 

  Federal Reserve Distict
  Chicago St.Louis Minneapolis Kansas City Dallas San Francisco
  17  Deposits                                      139.5     30.0     22.4     24.3     68.2     259.1 
  18   Transaction                                   39.3      6.7      6.9      6.4     21.4      86.4 
  19   Nontransaction                               100.2     23.3     15.5     17.8     46.9     172.8 
  20      Large time                                 18.6      2.6      1.3      1.5      4.6      24.2 
  21      Other                                      81.7     20.7     14.3     16.4     42.3     148.6 
  22  Borrowings                                     43.9     15.5     16.3      3.4     12.6      41.0 
  23      From banks in the U.S.                     17.0     11.7     12.6      2.0      4.7      19.1 
  24      From others                                26.9      3.8      3.7      1.4      7.9      21.9 
  26  Other liabilities (13)                         27.5      2.7      5.5      1.0      5.5      32.7 
       
  27  TOTAL LIABILITIES                             210.9     48.1     44.2     28.7     86.3     332.8 
       
  28  Residual (assets less liabilities (13)         21.8      5.2      4.2      3.7      8.3      41.8 
       
                     MEMO                                     
  29  Reval. gains on off-bal. sheet items (8,14)                                                       
  30  Reval. losses on off-bal. sheet items (8,14)                                                      
  31  Mortgage-backed securities (9)                 15.0      3.2      2.2      3.8     11.8      22.9 
  31a   Pass-through                                  7.6      1.4      1.9      2.9      9.9      12.9 
  31b   CMO, REMIC and other                          7.4      1.8      0.3      0.9      1.9      10.0 
  32  Net unrealized ganis (losses)               
         on available-for-sale securities (10,14) 
        
 
        
 
        
 
        
 
        
 
        
 
  33  Offshore credit to  U.S. residents (11,14)                                                        
 

 

H.8 (510) Footnotes
 

Note: This release is available on the Federal Reserve Board's web site: http://www.bog.frb.fed.us/. Current and historical
data are available on the Commerce Department's economic bulletin board. For information call 202-482-1986.
 

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 condition (large domestic); other domestically chartered commercial banks
(small domestic); branches and agencies of foreign banks, and Edge Act and Agreement corporations (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 8 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
non-financial businesses.
12. Includes the due-from position with related foreign offices.
13. Includes the due-to position with related foreign offices.
14. Disaggregation by District not available. The trading account components of securities (lines 3a and 4a) are included
in line 15.

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