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


Release Date: September 22, 2003

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H.8 (510)
ASSETS AND LIABILITIES OF COMMERCIAL BANKS IN THE UNITED STATES (1)                                                                              For use at 4:15 p.m. Eastern Time

Seasonally adjusted, billions of dollars                                                                                                                        September 22, 2003

                  Week ending
Account 2002
Aug
2003
Feb
2003
Mar
2003
Apr
2003
May
2003
Jun
2003
Jul
2003
Aug
Aug 20 Aug 27 Sep 3 Sep 10
                         
A S S E T S                        
  1   Bank credit   5,661.4   5,961.9   5,993.0   6,026.6   6,128.6   6,183.7   6,220.5   6,206.3   6,186.7   6,190.4   6,211.7   6,237.2
                         
  2     Securities in bank credit   1,629.5   1,753.9   1,766.7   1,780.1   1,837.2   1,859.2   1,811.3   1,768.0   1,764.5   1,759.8   1,766.5   1,774.2
  3        Treasury and Agency securities (2)   943.7   1,059.2   1,072.1   1,103.7   1,135.3   1,151.5   1,115.6   1,077.0   1,066.3   1,071.7   1,082.3   1,079.7
  4        Other securities   685.8   694.8   694.5   676.3   701.9   707.7   695.7   691.0   698.2   688.1   684.2   694.6
                         
  5     Loans and leases in bank credit (3)   4,031.9   4,208.0   4,226.4   4,246.5   4,291.5   4,324.5   4,409.2   4,438.4   4,422.2   4,430.6   4,445.2   4,463.0
  6        Commercial and industrial   978.6   953.6   948.0   946.5   937.2   924.1   926.7   918.9   918.3   920.5   916.9   912.8
  7        Real estate   1,903.7   2,079.8   2,094.9   2,111.0   2,133.5   2,155.9   2,193.5   2,239.0   2,233.8   2,234.1   2,258.3   2,277.2
  8          Revolving home equity   197.3   222.7   230.5   234.8   238.4   244.8   249.0   253.4   253.7   254.4   255.5   257.3
  9          Other   1,706.4   1,857.1   1,864.4   1,876.2   1,895.0   1,911.1   1,944.6   1,985.7   1,980.1   1,979.7   2,002.8   2,019.9
  10       Consumer   574.3   591.8   586.9   583.9   587.9   592.5   592.5   593.3   594.2   594.3   596.4   596.5
  11       Security (4)   176.9   181.3   193.6   190.4   209.8   211.2   213.7   205.8   193.6   200.2   198.1   200.3
  12       Other loans and leases   398.4   401.5   402.9   414.7   423.2   440.8   482.8   481.3   482.3   481.5   475.5   476.2
                         
  13  Interbank loans   304.1   304.2   313.1   304.8   317.6   321.7   323.1   327.6   326.8   324.4   308.3   301.2
                         
  14  Cash assets (5)   320.3   318.3   323.5   319.4   317.6   331.4   337.1   342.1   343.7   348.6   352.6   327.3
                         
  15  Other assets (6)   504.2   536.0   526.1   530.4   552.8   563.8   572.0   585.0   584.7   568.6   592.8   565.8
                         
  16  TOTAL ASSETS (7)   6,714.9   7,043.9   7,079.3   7,106.0   7,240.9   7,324.8   7,377.1   7,384.5   7,365.2   7,355.4   7,388.6   7,355.2
                         
L I A B I L I T I E S                        
  17  Deposits   4,462.5   4,535.4   4,585.7   4,613.5   4,646.6   4,706.8   4,753.5   4,804.8   4,784.5   4,789.6   4,821.3   4,776.9
  18    Transaction   598.6   613.7   619.4   632.1   633.3   637.9   653.8   653.6   662.8   694.1   622.2   611.3
  19    Nontransaction   3,863.9   3,921.6   3,966.3   3,981.4   4,013.3   4,068.9   4,099.7   4,151.2   4,121.8   4,095.4   4,199.1   4,165.6
  20       Large time   1,046.6   995.2   1,001.6   985.4   999.1   1,002.5   1,019.8   1,030.5   1,026.3   1,022.7   1,032.3   1,032.7
  21       Other   2,817.3   2,926.4   2,964.7   2,996.0   3,014.2   3,066.4   3,079.9   3,120.7   3,095.4   3,072.7   3,166.8   3,132.9
                         
  22  Borrowings   1,290.6   1,368.4   1,390.0   1,397.1   1,438.8   1,479.0   1,515.5   1,518.4   1,496.5   1,502.4   1,497.4   1,507.0
  23    From banks in the U.S.   403.7   388.1   397.3   396.8   389.0   407.2   409.3   414.6   414.3   409.5   402.7   394.8
  24    From others   886.8   980.3   992.7   1,000.3   1,049.8   1,071.8   1,106.2   1,103.9   1,082.2   1,092.9   1,094.7   1,112.2
                         
  25  Net due to related foreign offices   87.2   144.2   135.7   139.2   146.4   126.4   142.7   126.1   143.5   141.9   123.3   124.0
                         
  26  Other liabilities   430.3   455.7   450.5   457.1   481.6   493.8   463.2   452.0   449.7   430.3   479.2   477.4
                         
  27  TOTAL LIABILITIES   6,270.6   6,503.7   6,561.9   6,606.9   6,713.5   6,806.0   6,874.9   6,901.3   6,874.3   6,864.2   6,921.1   6,885.4
                         
  28  Residual (assets less liabilities) (8)   444.3   540.1   517.4   499.1   527.5   518.8   502.2   483.1   490.9   491.2   467.5   469.8
                         
  Footnotes appear on page 14.

H.8 (510)                                                                                                                                                                   Page 2
ASSETS AND LIABILITIES OF COMMERCIAL BANKS IN THE UNITED STATES (1)
Not seasonally adjusted, billions of dollars                                                                                                                    September 22, 2003

                  Week ending
Account 2002
Aug
2003
Feb
2003
Mar
2003
Apr
2003
May
2003
Jun
2003
Jul
2003
Aug
Aug 20 Aug 27 Sep 3 Sep 10
                         
A S S E T S                        
  1   Bank credit   5,642.6   5,965.3   5,981.8   6,021.1   6,123.3   6,180.2   6,195.8   6,186.5   6,164.1   6,163.6   6,205.8   6,226.5
                         
  2     Securities in bank credit   1,622.9   1,763.1   1,771.7   1,777.9   1,834.9   1,853.0   1,796.1   1,760.7   1,756.0   1,752.2   1,768.0   1,775.3
  3        Treasury and Agency securities (2)   940.2   1,065.5   1,077.1   1,103.6   1,133.2   1,146.8   1,107.5   1,073.1   1,061.8   1,067.2   1,084.2   1,082.3
  4        Other securities   682.7   697.6   694.5   674.3   701.7   706.3   688.6   687.6   694.3   685.0   683.7   693.0
                         
  5     Loans and leases in bank credit (3)   4,019.7   4,202.2   4,210.1   4,243.2   4,288.4   4,327.2   4,399.7   4,425.8   4,408.1   4,411.4   4,437.8   4,451.2
  6        Commercial and industrial   974.5   951.7   949.4   950.3   940.9   928.1   927.8   915.1   914.5   913.8   913.0   907.4
  7        Real estate   1,903.7   2,075.6   2,085.9   2,107.3   2,137.3   2,157.2   2,192.0   2,239.1   2,233.0   2,233.9   2,258.6   2,279.7
  8          Revolving home equity   197.4   223.0   228.4   234.5   239.6   245.7   249.0   253.5   253.8   254.8   256.0   257.9
  9          Other   1,706.3   1,852.6   1,857.5   1,872.8   1,897.7   1,911.5   1,943.0   1,985.6   1,979.2   1,979.1   2,002.6   2,021.7
  10       Consumer   571.0   595.0   584.7   581.1   586.7   589.2   586.9   589.6   591.1   592.5   593.9   593.3
  10a        Credit card and related plans   224.1   225.8   219.6   215.3   220.5   221.4   217.9   218.0   219.2   219.2   221.0   219.3
  10b        Other   346.9   369.1   365.0   365.9   366.3   367.8   369.0   371.6   371.9   373.3   372.9   374.1
  11       Security (4)   172.4   183.0   189.2   189.6   202.0   209.8   207.6   200.5   187.2   193.6   191.2   193.0
  12       Other loans and leases   398.2   397.0   401.0   414.9   421.5   442.9   485.4   481.4   482.3   477.5   481.1   477.8
                         
  13  Interbank loans   298.2   301.5   319.6   315.9   313.3   322.9   318.5   321.7   322.0   306.4   312.0   300.9
                         
  14  Cash assets (5)   304.6   318.8   312.7   317.7   314.0   322.3   326.3   325.5   324.3   322.0   366.0   329.3
                         
  15  Other assets (6)   501.1   533.4   525.2   529.8   550.6   557.9   569.9   581.3   578.7   560.8   595.6   570.5
                         
  16  TOTAL ASSETS (7)   6,671.3   7,042.0   7,062.6   7,109.3   7,225.3   7,307.4   7,335.1   7,338.3   7,312.2   7,276.1   7,402.2   7,350.4
                         
L I A B I L I T I E S                        
  17  Deposits   4,413.8   4,556.3   4,592.8   4,638.7   4,639.6   4,695.9   4,723.9   4,754.6   4,725.5   4,703.4   4,810.1   4,761.4
  18    Transaction   583.8   606.1   611.0   638.0   623.1   632.5   645.1   637.3   642.7   662.0   635.0   613.9
  19    Nontransaction   3,830.0   3,950.2   3,981.8   4,000.7   4,016.5   4,063.4   4,078.8   4,117.3   4,082.7   4,041.5   4,175.0   4,147.4
  20       Large time   1,028.8   1,005.8   1,004.3   989.8   1,002.7   1,000.7   1,008.7   1,014.4   1,009.3   1,007.1   1,013.5   1,013.9
  21       Other   2,801.2   2,944.3   2,977.5   3,010.9   3,013.7   3,062.7   3,070.1   3,102.9   3,073.4   3,034.4   3,161.5   3,133.6
                         
  22  Borrowings   1,273.5   1,370.6   1,386.4   1,401.3   1,444.6   1,478.1   1,508.5   1,498.5   1,478.2   1,477.1   1,485.9   1,489.9
  23    From banks in the U.S.   399.4   391.6   400.7   400.9   391.3   405.4   406.0   410.1   411.1   402.5   397.7   385.3
  24    From others   874.1   979.0   985.7   1,000.4   1,053.2   1,072.7   1,102.6   1,088.4   1,067.1   1,074.6   1,088.3   1,104.6
                         
  25  Net due to related foreign offices   85.3   149.6   133.9   130.1   146.0   123.5   133.5   124.4   141.9   147.6   123.5   123.9
                         
  26  Other liabilities   428.8   462.0   446.8   444.5   480.8   490.6   453.2   450.3   448.2   435.9   479.6   477.4
                         
  27  TOTAL LIABILITIES   6,201.4   6,538.4   6,559.8   6,614.6   6,710.9   6,788.1   6,819.1   6,827.8   6,793.7   6,764.0   6,899.1   6,852.6
                         
  28  Residual (assets less liabilities) (8)   469.9   503.6   502.8   494.7   514.4   519.3   515.9   510.5   518.5   512.1   503.0   497.8
                         
  Footnotes appear on page 14.

H.8 (510)                                                                                                                                                                   Page 3
ASSETS AND LIABILITIES OF DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Seasonally adjusted, billions of dollars                                                                                                                        September 22, 2003

                  Week ending
Account 2002
Aug
2003
Feb
2003
Mar
2003
Apr
2003
May
2003
Jun
2003
Jul
2003
Aug
Aug 20 Aug 27 Sep 3 Sep 10
                         
A S S E T S                        
  1   Bank credit   5,041.5   5,315.2   5,329.4   5,372.0   5,460.4   5,514.9   5,575.2   5,581.5   5,573.0   5,562.4   5,588.4   5,605.3
                         
  2     Securities in bank credit   1,381.4   1,474.8   1,482.7   1,502.6   1,548.3   1,571.3   1,544.9   1,503.1   1,498.6   1,493.9   1,497.6   1,504.0
  3        Treasury and Agency securities (2)   862.0   942.7   949.5   978.3   1,004.4   1,022.3   996.3   965.2   956.3   961.9   969.9   964.9
  4        Other securities   519.4   532.1   533.2   524.3   544.0   549.0   548.6   537.8   542.3   532.0   527.7   539.1
                         
  5     Loans and leases in bank credit (3)   3,660.1   3,840.4   3,846.7   3,869.3   3,912.0   3,943.6   4,030.3   4,078.4   4,074.4   4,068.5   4,090.9   4,101.3
  6        Commercial and industrial   789.5   779.5   776.3   774.4   767.2   761.7   765.0   763.6   764.0   765.6   763.4   760.3
  7        Real estate   1,884.8   2,060.1   2,075.1   2,092.0   2,114.3   2,136.7   2,174.4   2,220.2   2,215.1   2,215.5   2,239.6   2,258.5
  8          Revolving home equity   197.3   222.7   230.5   234.8   238.4   244.8   249.0   253.4   253.7   254.4   255.5   257.3
  9          Other   1,687.6   1,837.4   1,844.6   1,857.2   1,875.9   1,891.9   1,925.4   1,966.8   1,961.4   1,961.1   1,984.1   2,001.2
  10       Consumer   574.3   591.8   586.9   583.9   587.9   592.5   592.5   593.3   594.2   594.3   596.4   596.5
  11       Security (4)   85.4   73.2   72.2   72.4   91.3   90.0   95.6   95.0   91.9   87.3   88.3   83.0
  12       Other loans and leases   326.0   335.9   336.2   346.6   351.3   362.6   402.8   406.3   409.2   405.8   403.2   403.0
                         
  13  Interbank loans   286.2   277.2   285.9   282.3   292.9   290.9   289.9   295.1   291.7   291.1   274.6   267.9
                         
  14  Cash assets (5)   272.5   279.6   279.7   269.3   265.5   275.3   281.0   285.6   287.6   291.9   294.8   271.8
                         
  15  Other assets (6)   476.5   500.9   495.0   495.4   511.1   518.6   528.1   537.8   534.9   524.8   552.0   525.6
                         
  16  TOTAL ASSETS (7)   6,002.0   6,296.8   6,314.0   6,344.2   6,454.7   6,524.3   6,599.1   6,623.9   6,610.9   6,594.0   6,633.5   6,594.6
                         
L I A B I L I T I E S                        
  17  Deposits   3,964.8   4,092.5   4,137.2   4,177.1   4,207.8   4,256.3   4,290.5   4,340.2   4,320.9   4,330.0   4,363.4   4,312.5
  18    Transaction   588.5   603.5   607.9   620.8   622.3   626.3   642.1   641.5   650.7   681.0   610.7   599.6
  19    Nontransaction   3,376.3   3,489.0   3,529.4   3,556.3   3,585.5   3,630.0   3,648.4   3,698.7   3,670.1   3,649.0   3,752.7   3,712.9
  20       Large time   565.0   583.5   583.6   582.1   595.3   589.9   585.6   599.5   597.2   597.7   604.3   603.9
  21       Other   2,811.3   2,905.5   2,945.8   2,974.2   2,990.2   3,040.1   3,062.8   3,099.1   3,072.9   3,051.3   3,148.4   3,109.0
                         
  22  Borrowings   1,076.7   1,093.8   1,096.7   1,098.4   1,131.7   1,160.1   1,215.2   1,221.7   1,215.4   1,215.3   1,202.4   1,209.9
  23    From banks in the U.S.   382.4   357.0   363.6   369.3   357.4   372.1   372.1   380.3   381.5   376.9   366.9   364.9
  24    From others   694.3   736.7   733.1   729.1   774.3   788.0   843.2   841.4   833.9   838.5   835.4   845.0
                         
  25  Net due to related foreign offices   173.4   222.7   219.5   212.1   224.3   208.3   229.0   230.2   240.7   235.8   225.0   225.5
                         
  26  Other liabilities   332.7   355.8   355.1   365.9   376.3   383.8   359.1   340.3   333.1   319.4   368.1   367.4
                         
  27  TOTAL LIABILITIES   5,547.7   5,764.7   5,808.5   5,853.5   5,940.1   6,008.5   6,093.8   6,132.5   6,110.0   6,100.5   6,158.8   6,115.3
                         
  28  Residual (assets less liabilities) (8)   454.3   532.1   505.5   490.7   514.5   515.8   505.4   491.4   500.9   493.5   474.7   479.4
                         
  Footnotes appear on page 14.

H.8 (510)                                                                                                                                                                   Page 4
ASSETS AND LIABILITIES OF DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Not seasonally adjusted, billions of dollars                                                                                                                    September 22, 2003

                  Week ending
Account 2002
Aug
2003
Feb
2003
Mar
2003
Apr
2003
May
2003
Jun
2003
Jul
2003
Aug
Aug 20 Aug 27 Sep 3 Sep 10
                         
A S S E T S                        
  1   Bank credit   5,028.8   5,314.2   5,320.0   5,366.7   5,459.8   5,514.8   5,557.9   5,568.1   5,557.1   5,543.2   5,591.9   5,602.9
                         
  2     Securities in bank credit   1,374.8   1,484.0   1,487.7   1,500.5   1,546.1   1,565.2   1,529.7   1,495.8   1,490.1   1,486.3   1,499.0   1,505.1
  3        Treasury and Agency securities (2)   858.5   949.1   954.5   978.2   1,002.4   1,017.6   988.1   961.3   951.7   957.4   971.8   967.6
  4        Other securities   516.4   534.9   533.2   522.3   543.7   547.5   541.5   534.5   538.4   528.9   527.2   537.6
                         
  5     Loans and leases in bank credit (3)   3,654.0   3,830.2   3,832.3   3,866.2   3,913.7   3,949.7   4,028.2   4,072.3   4,067.0   4,056.9   4,092.9   4,097.7
  6        Commercial and industrial   786.8   776.1   776.2   779.2   772.8   766.3   767.1   761.0   761.0   760.6   760.7   755.9
  7        Real estate   1,884.8   2,055.9   2,066.1   2,088.3   2,118.1   2,138.0   2,172.8   2,220.3   2,214.3   2,215.3   2,240.0   2,261.0
  8          Revolving home equity   197.4   223.0   228.4   234.5   239.6   245.7   249.0   253.5   253.8   254.8   256.0   257.9
  9          Other   1,687.5   1,832.8   1,837.7   1,853.9   1,878.5   1,892.3   1,923.8   1,966.8   1,960.5   1,960.5   1,984.0   2,003.1
  10       Consumer   571.0   595.0   584.7   581.1   586.7   589.2   586.9   589.6   591.1   592.5   593.9   593.3
  10a        Credit card and related plans   224.1   225.8   219.6   215.3   220.5   221.4   217.9   218.0   219.2   219.2   221.0   219.3
  10d        Other   346.9   369.1   365.0   365.9   366.3   367.8   369.0   371.6   371.9   373.3   372.9   374.1
  11       Security (4)   84.3   72.0   71.9   71.3   85.8   91.1   94.3   93.8   90.2   85.7   89.2   82.2
  12       Other loans and leases   327.0   331.3   333.4   346.3   350.2   365.1   407.1   407.5   410.4   402.9   409.2   405.3
                         
  13  Interbank loans   280.4   274.4   292.3   293.4   288.6   292.1   285.3   289.2   286.9   273.1   278.3   267.6
                         
  14  Cash assets (5)   258.8   279.1   270.1   269.8   263.5   268.8   273.3   271.3   270.4   267.5   310.1   275.3
                         
  15  Other assets (6)   473.7   497.8   493.3   494.9   508.9   514.6   527.5   534.8   529.9   517.1   554.6   530.1
                         
  16  TOTAL ASSETS (7)   5,966.8   6,289.0   6,299.5   6,350.1   6,445.4   6,514.7   6,569.0   6,587.2   6,567.9   6,524.7   6,658.3   6,599.5
                         
L I A B I L I T I E S                        
  17  Deposits   3,933.1   4,103.3   4,140.3   4,196.3   4,195.5   4,247.2   4,270.8   4,305.8   4,278.7   4,258.4   4,370.8   4,316.8
  18    Transaction   574.0   595.8   599.8   627.3   612.5   621.2   633.5   625.5   631.0   649.3   623.6   602.4
  19    Nontransaction   3,359.1   3,507.4   3,540.5   3,569.0   3,582.9   3,626.0   3,637.3   3,680.3   3,647.6   3,609.1   3,747.3   3,714.5
  20       Large time   563.7   584.4   582.1   580.2   593.5   589.5   583.9   598.1   595.9   595.5   603.4   603.8
  21       Other   2,795.4   2,923.0   2,958.4   2,988.7   2,989.4   3,036.5   3,053.4   3,082.1   3,051.7   3,013.7   3,143.9   3,110.7
                         
  22  Borrowings   1,059.7   1,096.0   1,093.0   1,102.6   1,137.4   1,159.1   1,208.2   1,201.7   1,197.1   1,190.0   1,190.9   1,192.8
  23    From banks in the U.S.   378.1   360.5   367.0   373.4   359.7   370.2   368.7   375.8   378.3   369.8   361.9   355.4
  24    From others   681.6   735.4   726.0   729.2   777.7   788.9   839.5   826.0   818.8   820.1   829.0   837.3
                         
  25  Net due to related foreign offices   173.3   226.8   215.4   203.5   223.5   207.3   222.9   229.9   240.9   240.5   225.3   225.3
                         
  26  Other liabilities   332.2   361.2   349.8   353.6   375.2   382.2   351.7   339.8   333.3   324.2   368.7   367.4
                         
  27  TOTAL LIABILITIES   5,498.3   5,787.3   5,798.5   5,855.9   5,931.5   5,995.8   6,053.6   6,077.3   6,050.0   6,013.1   6,155.8   6,102.3
                         
  28  Residual (assets less liabilities) (8)   468.5   501.7   501.0   494.1   513.8   519.0   515.3   509.9   517.9   511.5   502.5   497.2
                         
  Footnotes appear on page 14.

H.8 (510)                                                                                                                                                                   Page 5
ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Seasonally adjusted, adjusted for mergers, billions of dollars                                                                                                  September 22, 2003

                  Week ending
Account 2002
Aug
2003
Feb
2003
Mar
2003
Apr
2003
May
2003
Jun
2003
Jul
2003
Aug
Aug 20 Aug 27 Sep 3 Sep 10
                         
A S S E T S                        
  1   Bank credit   2,763.2   2,932.0   2,929.4   2,949.7   3,024.9   3,060.1   3,096.6   3,082.9   3,070.1   3,060.1   3,087.8   3,099.9
                         
  2     Securities in bank credit   738.1   805.5   803.2   810.2   856.7   880.7   847.4   801.7   796.6   791.8   797.9   802.0
  3        Treasury and Agency securities (2)   427.9   479.7   476.5   493.3   520.0   536.0   502.9   467.6   457.6   466.7   473.2   467.0
  3a         Trading account   47.8   54.5   41.8   40.7   43.6   38.7   37.6   33.5   29.4   36.8   43.6   44.7
  3b         Investment account   380.1   425.3   434.7   452.6   476.4   497.3   465.3   434.1   428.3   429.9   429.5   422.2
  4        Other securities   310.1   325.7   326.6   316.9   336.7   344.7   344.4   334.1   339.0   325.1   324.7   335.0
  4a         Trading account   174.9   172.6   171.7   161.6   183.5   188.2   173.2   162.2   165.3   155.7   154.2   164.3
  4b         Investment account   135.3   153.1   155.0   155.3   153.2   156.5   171.2   171.9   173.7   169.4   170.6   170.7
  4c           State and local government   28.1   29.6   30.1   30.9   31.3   32.2   32.3   31.4   31.3   31.4   31.2   31.4
  4d           Other   107.2   123.5   124.9   124.4   121.9   124.3   138.9   140.5   142.4   138.0   139.4   139.4
                         
  5     Loans and leases in bank credit (3)   2,025.1   2,126.5   2,126.2   2,139.5   2,168.2   2,179.4   2,249.2   2,281.2   2,273.4   2,268.3   2,289.9   2,298.0
  6        Commercial and industrial   500.2   482.4   478.5   476.4   468.5   461.9   464.5   459.1   459.0   459.9   458.0   453.8
  7        Real estate   908.9   1,030.9   1,038.2   1,043.9   1,058.6   1,066.2   1,090.2   1,123.4   1,116.6   1,116.3   1,141.0   1,156.7
  8          Revolving home equity   125.2   142.5   147.9   150.4   152.8   156.2   159.9   163.7   163.8   164.4   165.4   166.9
  9          Other   783.7   888.4   890.3   893.4   905.8   909.9   930.3   959.7   952.8   951.9   975.7   989.8
  10       Consumer   311.3   317.4   313.7   312.3   312.5   314.1   311.6   312.7   311.6   315.0   314.1   315.1
  11       Security (4)   78.3   65.0   64.0   64.3   82.6   80.9   86.6   86.0   83.0   78.1   79.3   74.3
  11a        Fed funds and RPs with broker/dealer   67.1   54.2   52.6   52.4   63.0   63.5   68.7   66.8   64.0   60.0   61.7   56.7
  11b        Other   11.3   10.7   11.4   11.8   19.5   17.4   17.9   19.2   19.0   18.2   17.6   17.7
  12a      State and local government   13.0   12.3   12.5   12.4   12.5   12.7   13.0   13.3   13.2   13.4   13.3   13.3
  12b      Agricultural   8.3   7.9   7.9   7.7   7.5   7.4   7.3   7.4   7.4   7.5   7.5   7.5
  12c      Fed funds and RPs with others   17.5   24.4   24.0   25.2   27.0   28.4   25.8   24.2   24.2   24.9   25.1   24.7
  12d      All other loans   67.2   75.5   77.0   88.0   89.3   97.0   140.4   145.6   149.3   143.9   142.1   143.1
  12e      Lease financing receivables   120.3   110.8   110.5   109.4   109.8   110.7   109.9   109.4   109.2   109.3   109.5   109.5
                         
  13  Interbank loans   190.7   161.9   171.5   170.7   170.6   164.8   168.5   178.3   175.4   171.0   160.1   159.6
  13a   Fed funds and RPs with banks   98.5   90.9   100.0   98.7   100.4   97.4   97.4   98.8   95.8   80.5   94.0   90.5
  13b   Other   92.3   71.0   71.5   72.0   70.2   67.4   71.1   79.5   79.5   90.6   66.1   69.1
                         
  14  Cash assets (5)   151.3   151.0   148.2   135.7   132.8   141.5   144.2   146.7   150.2   149.1   157.4   130.6
                         
  15  Other assets (6)   332.9   355.1   347.5   347.4   357.4   360.6   365.3   368.5   368.1   361.9   377.6   376.1
                         
  16  TOTAL ASSETS (7)   3,394.1   3,555.3   3,551.7   3,559.6   3,641.5   3,682.8   3,731.0   3,732.3   3,719.5   3,697.9   3,738.7   3,722.4
                         
  Footnotes appear on page 14.

H.8 (510)                                                                                                                                                                   Page 6
ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Seasonally adjusted, adjusted for mergers, billions of dollars (continued)                                                                                      September 22, 2003

                  Week ending
Account 2002
Aug
2003
Feb
2003
Mar
2003
Apr
2003
May
2003
Jun
2003
Jul
2003
Aug
Aug 20 Aug 27 Sep 3 Sep 10
                         
L I A B I L I T I E S                        
  17  Deposits   1,915.9   1,993.0   2,011.9   2,036.3   2,043.1   2,072.3   2,090.1   2,124.8   2,113.3   2,118.9   2,142.8   2,106.0
  18    Transaction   288.1   290.7   290.9   296.1   297.2   300.0   307.0   304.0   309.4   325.3   284.4   273.0
  19    Nontransaction   1,627.8   1,702.3   1,721.0   1,740.3   1,745.9   1,772.3   1,783.1   1,820.8   1,803.9   1,793.7   1,858.4   1,833.1
  20       Large time   265.6   273.7   269.1   267.2   279.1   271.1   269.0   283.2   282.5   282.3   288.1   287.9
  21       Other   1,362.2   1,428.6   1,451.9   1,473.1   1,466.8   1,501.2   1,514.1   1,537.6   1,521.5   1,511.3   1,570.3   1,545.2
                         
  22  Borrowings   742.6   696.9   702.9   700.7   726.3   750.2   797.9   789.1   777.0   771.3   772.5   772.1
  23    From banks in the U.S.   263.7   200.6   209.1   213.4   204.6   217.7   214.9   214.2   210.4   200.5   212.9   210.3
  24    From others   478.9   496.3   493.9   487.3   521.7   532.5   583.0   574.8   566.6   570.8   559.6   561.9
                         
  25  Net due to related foreign offices   165.0   210.1   208.9   199.3   211.9   196.3   217.2   218.2   228.9   220.4   211.2   211.7
                         
  26  Other liabilities   268.1   280.1   275.4   285.3   293.2   299.3   272.5   252.2   243.9   232.3   279.0   282.0
                         
  27  TOTAL LIABILITIES   3,091.6   3,180.0   3,199.1   3,221.6   3,274.5   3,318.1   3,377.7   3,384.2   3,363.2   3,343.0   3,405.5   3,371.9
                         
  28  Residual (assets less liabilities) (8)   302.5   375.2   352.6   338.0   367.0   364.7   353.3   348.0   356.3   354.8   333.2   350.5
                         
  Footnotes appear on page 14.

H.8 (510)                                                                                                                                                                   Page 7
ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Not seasonally adjusted, adjusted for mergers, billions of dollars                                                                                              September 22, 2003

                  Week ending
Account 2002
Aug
2003
Feb
2003
Mar
2003
Apr
2003
May
2003
Jun
2003
Jul
2003
Aug
Aug 20 Aug 27 Sep 3 Sep 10
                         
A S S E T S                        
  1   Bank credit   2,753.3   2,934.1   2,923.3   2,946.2   3,025.9   3,062.3   3,084.3   3,072.6   3,057.7   3,042.2   3,091.9   3,097.1
                         
  2     Securities in bank credit   733.0   813.8   805.5   806.5   855.2   875.0   834.0   796.2   790.7   784.6   800.3   802.9
  3        Treasury and Agency securities (2)   425.9   485.2   478.8   491.7   518.8   531.7   496.7   465.4   455.7   462.6   476.0   469.4
  3a         Trading account   47.6   55.1   42.1   40.6   43.5   38.4   37.2   33.3   29.2   36.4   43.9   44.9
  3b         Investment account   378.3   430.1   436.7   451.1   475.2   493.3   459.5   432.1   426.4   426.1   432.2   424.4
  3c           Mortgage-backed   306.7   331.3   334.7   354.4   380.2   389.4   364.1   335.5   329.9   329.1   334.1   327.6
  3d           Other   71.7   98.8   102.0   96.7   95.0   103.9   95.4   96.6   96.5   97.0   98.0   96.8
  3e             1 year or less   17.3   22.9   24.4   24.6   23.2   24.3   24.1   24.4   24.7   24.2   24.4   24.9
  3f             Between 1 and 5 years   42.5   57.4   57.3   55.2   55.2   57.3   51.2   52.5   52.7   53.2   54.1   52.1
  3g             More than 5 years   11.9   18.6   20.3   16.9   16.7   22.3   20.1   19.7   19.1   19.6   19.5   19.8
  4        Other securities   307.1   328.5   326.7   314.8   336.5   343.3   337.3   330.8   335.1   322.0   324.2   333.5
  4a         Trading account   173.1   174.1   171.7   160.6   183.4   187.4   169.6   160.6   163.4   154.2   153.9   163.5
  4b         Investment account   133.9   154.4   155.0   154.3   153.1   155.8   167.7   170.2   171.7   167.8   170.3   170.0
  4c           State and local government   27.8   29.8   30.1   30.7   31.3   32.1   31.6   31.1   30.9   31.1   31.1   31.2
  4d           Other   106.1   124.6   124.9   123.6   121.8   123.8   136.1   139.1   140.8   136.7   139.2   138.7
                         
  5     Loans and leases in bank credit (3)   2,020.3   2,120.3   2,117.8   2,139.7   2,170.7   2,187.3   2,250.3   2,276.4   2,267.0   2,257.7   2,291.7   2,294.2
  6        Commercial and industrial   498.7   480.4   478.4   478.9   471.6   464.2   465.6   457.7   457.2   456.7   457.2   452.1
  7        Real estate   909.6   1,026.6   1,031.4   1,042.0   1,062.9   1,068.6   1,090.3   1,124.3   1,116.6   1,115.8   1,142.4   1,159.7
  8          Revolving home equity   125.6   142.7   146.2   150.4   153.9   157.2   160.4   164.2   164.3   165.1   166.2   167.5
  9a         Other residential   465.7   560.3   561.2   569.9   588.4   591.6   613.2   643.5   635.2   634.2   660.0   675.5
  9b         Commercial   318.3   323.6   323.9   321.8   320.6   319.8   316.7   316.6   317.0   316.5   316.2   316.7
  10       Consumer   309.2   320.6   314.3   312.9   313.4   314.3   309.7   310.1   309.2   312.9   311.3   311.3
  10a        Credit card and related plans   114.9   109.8   105.9   103.6   103.9   104.9   100.0   99.7   99.0   101.9   100.1   99.5
  10f        Other   194.2   210.8   208.3   209.3   209.5   209.4   209.7   210.4   210.2   210.9   211.2   211.8
  11       Security (4)   77.3   63.9   63.5   62.9   77.3   82.1   85.4   84.8   81.4   76.9   79.9   73.2
  11a        Fed funds and RPs with broker/dealer   66.2   53.4   52.2   51.3   59.0   64.5   67.7   65.9   62.7   59.0   62.2   55.8
  11b        Other   11.1   10.6   11.3   11.6   18.3   17.6   17.6   18.9   18.6   17.9   17.7   17.4
  12a      State and local government   13.0   12.3   12.5   12.4   12.5   12.7   13.0   13.3   13.2   13.4   13.3   13.3
  12b      Agricultural   8.4   7.8   7.8   7.7   7.6   7.5   7.4   7.5   7.5   7.5   7.5   7.5
  12c      Fed funds and RPs with others   17.5   24.4   24.0   25.2   27.0   28.4   25.8   24.2   24.2   24.9   25.1   24.7
  12d      All other loans   67.4   72.1   74.8   87.8   88.7   99.2   143.7   146.0   149.6   141.4   146.7   144.6
  12e      Lease financing receivables   119.2   112.1   111.2   109.8   109.8   110.3   109.4   108.4   108.2   108.1   108.3   107.9
                         
  13  Interbank loans   185.7   160.1   171.5   174.1   171.4   169.0   168.6   173.2   172.2   161.0   158.3   151.4
  13a   Fed funds and RPs with banks   96.1   90.0   100.0   100.6   100.9   99.9   97.4   96.1   94.1   75.7   92.9   85.9
  13b   Other   89.6   70.2   71.5   73.4   70.5   69.1   71.1   77.1   78.1   85.2   65.3   65.6
                         
  14  Cash assets (5)   141.6   150.9   143.3   138.5   131.9   137.1   138.7   137.1   139.3   133.9   163.5   129.8
                         
  15  Other assets (6)   330.2   352.0   345.9   347.0   355.2   356.6   364.6   365.5   363.1   354.2   380.2   380.6
                         
  16  TOTAL ASSETS (7)   3,366.6   3,552.0   3,538.7   3,561.7   3,639.9   3,680.7   3,712.8   3,704.0   3,687.9   3,647.0   3,749.3   3,714.7
                         
  Footnotes appear on page 14.

H.8 (510)                                                                                                                                                                   Page 8
ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Not seasonally adjusted, adjusted for mergers, billions of dollars (continued)                                                                                  September 22, 2003

                  Week ending
Account 2002
Aug
2003
Feb
2003
Mar
2003
Apr
2003
May
2003
Jun
2003
Jul
2003
Aug
Aug 20 Aug 27 Sep 3 Sep 10
                         
L I A B I L I T I E S                        
  17  Deposits   1,901.1   1,997.0   2,009.9   2,043.8   2,038.8   2,072.8   2,084.1   2,108.4   2,092.8   2,079.3   2,151.0   2,109.7
  18    Transaction   277.0   286.4   286.5   302.2   292.9   297.2   301.1   291.8   295.7   303.3   288.5   269.9
  19    Nontransaction   1,624.1   1,710.6   1,723.5   1,741.6   1,745.9   1,775.6   1,783.0   1,816.6   1,797.1   1,776.1   1,862.5   1,839.8
  20       Large time   264.3   274.6   267.6   265.3   277.3   270.7   267.3   281.8   281.2   280.1   287.1   287.7
  21       Other   1,359.9   1,436.0   1,455.9   1,476.2   1,468.6   1,504.9   1,515.7   1,534.8   1,515.9   1,496.0   1,575.4   1,552.0
                         
  22  Borrowings   725.6   699.0   699.3   704.8   732.0   749.2   790.9   769.1   758.8   746.0   761.1   755.0
  23    From banks in the U.S.   259.4   204.1   212.5   217.5   206.9   215.9   211.5   209.7   207.2   193.5   207.9   200.8
  24    From others   466.2   494.9   486.8   487.4   525.1   533.4   579.3   559.4   551.5   552.5   553.2   554.3
                         
  25  Net due to related foreign offices   164.8   214.3   204.8   190.6   211.0   195.2   211.1   217.9   229.2   225.2   211.6   211.6
                         
  26  Other liabilities   267.7   285.5   270.1   273.0   292.1   297.7   265.1   251.6   244.1   237.1   279.6   282.0
                         
  27  TOTAL LIABILITIES   3,059.2   3,195.8   3,184.1   3,212.3   3,273.9   3,315.0   3,351.2   3,347.0   3,324.8   3,287.6   3,403.3   3,358.3
                         
  28  Residual (assets less liabilities) (8)   307.4   356.2   354.6   349.5   366.0   365.8   361.6   356.9   363.1   359.3   346.0   356.4
                         
  Footnotes appear on page 14.

H.8 (510)                                                                                                                                                                   Page 9
ASSETS AND LIABILITIES OF SMALL DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Seasonally adjusted, adjusted for mergers, billions of dollars                                                                                                  September 22, 2003

                  Week ending
Account 2002
Aug
2003
Feb
2003
Mar
2003
Apr
2003
May
2003
Jun
2003
Jul
2003
Aug
Aug 20 Aug 27 Sep 3 Sep 10
                         
A S S E T S                        
  1   Bank credit   2,278.3   2,383.2   2,400.0   2,422.3   2,435.5   2,454.8   2,478.6   2,498.6   2,503.0   2,502.3   2,500.6   2,505.4
                         
  2     Securities in bank credit   643.3   669.4   679.5   692.5   691.6   690.6   697.5   701.4   702.0   702.2   699.7   702.0
  3        Treasury and Agency securities (2)   434.0   463.0   473.0   485.0   484.4   486.3   493.3   497.7   498.7   495.3   496.7   498.0
  4        Other securities   209.3   206.4   206.5   207.4   207.2   204.3   204.2   203.7   203.3   206.9   203.0   204.1
                         
  5     Loans and leases in bank credit (3)   1,635.0   1,713.9   1,720.5   1,729.8   1,743.8   1,764.2   1,781.1   1,797.3   1,801.0   1,800.2   1,800.9   1,803.4
  6        Commercial and industrial   289.3   297.1   297.8   298.1   298.7   299.8   300.6   304.5   305.0   305.6   305.4   306.5
  7        Real estate   975.9   1,029.2   1,036.9   1,048.1   1,055.7   1,070.6   1,084.2   1,096.8   1,098.5   1,099.2   1,098.6   1,101.8
  8          Revolving home equity   72.0   80.2   82.6   84.3   85.6   88.6   89.0   89.7   89.8   90.0   90.1   90.4
  9          Other   903.9   949.0   954.3   963.8   970.1   982.0   995.2   1,007.1   1,008.7   1,009.2   1,008.4   1,011.5
  10       Consumer   263.0   274.4   273.2   271.6   275.5   278.4   280.9   280.7   282.6   279.3   282.3   281.4
  11       Security (4)   7.1   8.2   8.1   8.1   8.7   9.2   9.0   9.0   8.9   9.2   9.0   8.7
  12       Other loans and leases   99.7   105.0   104.4   103.9   105.3   106.3   106.5   106.3   105.9   106.9   105.7   104.9
                         
  13  Interbank loans   95.5   115.3   114.4   111.6   122.3   126.1   121.4   116.7   116.3   120.0   114.5   108.3
                         
  14  Cash assets (5)   121.3   128.6   131.5   133.6   132.7   133.8   136.8   138.9   137.4   142.9   137.4   141.1
                         
  15  Other assets (6)   143.6   145.7   147.4   147.9   153.7   157.9   162.8   169.3   166.8   162.9   174.4   149.5
                         
  16  TOTAL ASSETS (7)   2,607.9   2,741.5   2,762.3   2,784.6   2,813.1   2,841.5   2,868.2   2,891.6   2,891.5   2,896.1   2,894.8   2,872.2
                         
L I A B I L I T I E S                        
  17  Deposits   2,049.0   2,099.5   2,125.4   2,140.8   2,164.7   2,183.9   2,200.4   2,215.4   2,207.5   2,211.1   2,220.6   2,206.5
  18    Transaction   300.4   312.8   317.0   324.7   325.1   326.3   335.1   337.6   341.4   355.7   326.3   326.6
  19    Nontransaction   1,748.6   1,786.7   1,808.4   1,816.0   1,839.6   1,857.7   1,865.3   1,877.9   1,866.2   1,855.4   1,894.4   1,879.8
  20       Large time   299.4   309.8   314.5   314.9   316.2   318.8   316.6   316.3   314.7   315.4   316.3   316.0
  21       Other   1,449.1   1,476.9   1,493.9   1,501.1   1,523.4   1,538.9   1,548.7   1,561.5   1,551.4   1,540.0   1,578.1   1,563.8
                         
  22  Borrowings   334.1   396.9   393.7   397.8   405.4   409.9   417.4   432.7   438.4   444.0   429.9   437.7
  23    From banks in the U.S.   118.7   156.4   154.5   155.9   152.8   154.4   157.2   166.0   171.1   176.3   154.0   154.7
  24    From others   215.4   240.5   239.2   241.8   252.6   255.5   260.2   266.6   267.3   267.7   275.8   283.1
                         
  25  Net due to related foreign offices   8.5   12.6   10.7   12.8   12.4   12.0   11.8   12.0   11.8   15.3   13.8   13.8
                         
  26  Other liabilities   64.5   75.7   79.7   80.6   83.1   84.5   86.6   88.1   89.2   87.1   89.1   85.4
                         
  27  TOTAL LIABILITIES   2,456.1   2,584.7   2,609.4   2,631.9   2,665.6   2,690.3   2,716.1   2,748.2   2,746.9   2,757.5   2,753.3   2,743.3
                         
  28  Residual (assets less liabilities) (8)   151.8   156.8   152.9   152.7   147.5   151.2   152.1   143.4   144.6   138.6   141.5   128.9
                         
  Footnotes appear on page 14.

H.8 (510)                                                                                                                                                                  Page 10
ASSETS AND LIABILITIES OF SMALL DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES (1)
Not seasonally adjusted, adjusted for mergers, billions of dollars                                                                                              September 22, 2003

                  Week ending
Account 2002
Aug
2003
Feb
2003
Mar
2003
Apr
2003
May
2003
Jun
2003
Jul
2003
Aug
Aug 20 Aug 27 Sep 3 Sep 10
                         
A S S E T S                        
  1   Bank credit   2,275.5   2,380.1   2,396.7   2,420.5   2,433.9   2,452.5   2,473.6   2,495.5   2,499.4   2,501.0   2,500.0   2,505.8
                         
  2     Securities in bank credit   641.8   670.2   682.2   694.0   690.8   690.2   695.7   699.6   699.4   701.7   698.8   702.3
  3        Treasury and Agency securities (2)   432.5   463.8   475.7   486.5   483.6   485.9   491.5   495.9   496.1   494.9   495.8   498.2
  4        Other securities   209.3   206.4   206.5   207.4   207.2   204.3   204.2   203.7   203.3   206.9   203.0   204.1
                         
  5     Loans and leases in bank credit (3)   1,633.7   1,709.9   1,714.5   1,726.5   1,743.1   1,762.3   1,777.9   1,795.9   1,800.0   1,799.3   1,801.3   1,803.5
  6        Commercial and industrial   288.1   295.7   297.7   300.2   301.3   302.0   301.5   303.2   303.9   303.9   303.5   303.8
  7        Real estate   975.3   1,029.3   1,034.7   1,046.3   1,055.2   1,069.4   1,082.5   1,096.0   1,097.7   1,099.4   1,097.5   1,101.3
  8          Revolving home equity   71.7   80.3   82.2   84.1   85.7   88.5   88.6   89.3   89.5   89.7   89.7   90.4
  9          Other   903.5   949.0   952.5   962.2   969.5   980.9   993.9   1,006.7   1,008.2   1,009.7   1,007.8   1,010.9
  10       Consumer   261.8   274.3   270.4   268.2   273.4   274.9   277.2   279.5   281.9   279.7   282.6   282.0
  10a        Credit card and related plans   109.2   116.0   113.7   111.7   116.6   116.5   118.0   118.3   120.2   117.3   120.9   119.8
  10h        Other   152.6   158.3   156.7   156.5   156.8   158.4   159.3   161.2   161.7   162.4   161.7   162.3
  11       Security (4)   7.1   8.1   8.4   8.4   8.5   9.1   8.9   9.0   8.9   8.7   9.3   9.0
  12       Other loans and leases   101.5   102.5   103.2   103.4   104.7   106.9   107.8   108.1   107.7   107.6   108.3   107.4
                         
  13  Interbank loans   94.7   114.3   120.8   119.4   117.2   123.1   116.7   116.0   114.7   112.1   120.0   116.1
                         
  14  Cash assets (5)   117.2   128.2   126.9   131.4   131.6   131.7   134.6   134.3   131.1   133.6   146.6   145.5
                         
  15  Other assets (6)   143.6   145.7   147.4   147.9   153.7   157.9   162.8   169.3   166.8   162.9   174.4   149.5
                         
  16  TOTAL ASSETS (7)   2,600.2   2,737.0   2,760.8   2,788.3   2,805.4   2,834.0   2,856.2   2,883.2   2,880.0   2,877.7   2,909.0   2,884.8
                         
L I A B I L I T I E S                        
  17  Deposits   2,032.0   2,106.3   2,130.4   2,152.5   2,156.7   2,174.4   2,186.7   2,197.4   2,185.9   2,179.1   2,219.8   2,207.2
  18    Transaction   297.0   309.5   313.3   325.1   319.6   324.0   332.4   333.7   335.3   346.0   335.0   332.5
  19    Nontransaction   1,735.0   1,796.8   1,817.0   1,827.4   1,837.0   1,850.4   1,854.3   1,863.7   1,850.6   1,833.1   1,884.8   1,874.7
  20       Large time   299.4   309.8   314.5   314.9   316.2   318.8   316.6   316.3   314.7   315.4   316.3   316.0
  21       Other   1,435.6   1,487.0   1,502.5   1,512.5   1,520.8   1,531.6   1,537.7   1,547.3   1,535.8   1,517.7   1,568.5   1,558.7
                         
  22  Borrowings   334.1   396.9   393.7   397.8   405.4   409.9   417.4   432.7   438.4   444.0   429.9   437.7
  23    From banks in the U.S.   118.7   156.4   154.5   155.9   152.8   154.4   157.2   166.0   171.1   176.3   154.0   154.7
  24    From others   215.4   240.5   239.2   241.8   252.6   255.5   260.2   266.6   267.3   267.7   275.8   283.1
                         
  25  Net due to related foreign offices   8.5   12.6   10.7   12.8   12.4   12.0   11.8   12.0   11.8   15.3   13.8   13.8
                         
  26  Other liabilities   64.5   75.7   79.7   80.6   83.1   84.5   86.6   88.1   89.2   87.1   89.1   85.4
                         
  27  TOTAL LIABILITIES   2,439.1   2,591.4   2,614.4   2,643.7   2,657.6   2,680.8   2,702.4   2,730.2   2,725.2   2,725.5   2,752.5   2,744.0
                         
  28  Residual (assets less liabilities) (8)   161.1   145.5   146.4   144.7   147.8   153.2   153.7   153.0   154.8   152.2   156.5   140.8
                         
  Footnotes appear on page 14.

H.8 (510)                                                                                                                                                                  Page 11
ASSETS AND LIABILITIES OF FOREIGN-RELATED INSTITUTIONS IN THE UNITED STATES (1)
Seasonally adjusted, billions of dollars                                                                                                                        September 22, 2003

                  Week ending
Account 2002
Aug
2003
Feb
2003
Mar
2003
Apr
2003
May
2003
Jun
2003
Jul
2003
Aug
Aug 20 Aug 27 Sep 3 Sep 10
                         
A S S E T S                        
  1   Bank credit   619.9   646.7   663.6   654.6   668.3   668.8   645.3   624.8   613.6   628.0   623.3   631.9
                         
  2     Securities in bank credit   248.1   279.1   284.0   277.4   288.8   287.9   266.4   264.9   265.9   265.9   268.9   270.2
  3        Treasury and Agency securities (2)   81.8   116.4   122.6   125.4   130.9   129.1   119.4   111.8   110.0   109.7   112.4   114.7
  4        Other securities   166.3   162.7   161.3   152.0   158.0   158.8   147.0   153.1   155.9   156.2   156.5   155.5
                         
  5     Loans and leases in bank credit (3)   371.9   367.6   379.7   377.2   379.4   381.0   378.8   360.0   347.7   362.1   354.3   361.7
  6        Commercial and industrial   189.1   174.1   171.7   172.1   169.9   162.4   161.7   155.3   154.3   154.9   153.5   152.5
  7        Real estate   18.9   19.7   19.8   19.0   19.2   19.2   19.1   18.8   18.7   18.6   18.7   18.7
  11       Security (4)   91.5   108.1   121.4   118.0   118.5   121.2   118.1   110.7   101.7   112.9   109.8   117.3
  12       Other loans and leases   72.4   65.6   66.7   68.1   71.8   78.2   80.0   75.1   73.1   75.7   72.4   73.2
                         
  13  Interbank loans   17.9   27.0   27.2   22.5   24.7   30.8   33.2   32.5   35.1   33.3   33.7   33.3
                         
  14  Cash assets (5)   47.8   38.7   43.8   50.1   52.2   56.2   56.1   56.5   56.1   56.7   57.8   55.6
                         
  15  Other assets (6)   27.7   35.1   31.1   35.1   41.6   45.2   43.9   47.2   49.8   43.8   40.9   40.2
                         
  16  TOTAL ASSETS (7)   712.9   747.1   765.3   761.7   786.3   800.5   778.0   760.6   754.2   761.4   755.1   760.5
                         
L I A B I L I T I E S                        
  17  Deposits   497.6   442.9   448.4   436.4   438.7   450.6   463.0   464.6   463.7   459.6   457.9   464.4
  18    Transaction   10.1   10.3   11.5   11.3   11.0   11.6   11.7   12.0   12.0   13.2   11.6   11.7
  19    Nontransaction   487.5   432.6   436.9   425.1   427.7   439.0   451.3   452.5   451.6   446.4   446.4   452.7
                         
  22  Borrowings   213.8   274.7   293.4   298.7   307.1   318.9   300.3   296.7   281.1   287.1   295.0   297.1
  23    From banks in the U.S.   21.3   31.1   33.7   27.5   31.6   35.2   37.3   34.3   32.8   32.6   35.8   29.9
  24    From others   192.5   243.6   259.7   271.2   275.5   283.8   263.0   262.4   248.3   254.5   259.2   267.2
                         
  25  Net due to related foreign offices   -86.2   -78.4   -83.8   -72.9   -77.8   -81.9   -86.3   -104.2   -97.1   -93.8   -101.7   -101.5
                         
  26  Other liabilities   97.6   99.9   95.4   91.2   105.3   110.0   104.1   111.7   116.6   110.8   111.1   110.0
                         
  27  TOTAL LIABILITIES   722.9   739.0   753.4   753.4   773.3   797.5   781.1   768.8   764.2   763.7   762.3   770.1
                         
  28  Residual (assets less liabilities) (8)   -10.0   8.1   11.9   8.4   12.9   3.0   -3.1   -8.3   -10.0   -2.2   -7.2   -9.6
                         
  Footnotes appear on page 14.

H.8 (510)                                                                                                                                                                  Page 12
ASSETS AND LIABILITIES OF FOREIGN-RELATED INSTITUTIONS IN THE UNITED STATES (1)
Not seasonally adjusted, billions of dollars                                                                                                                    September 22, 2003

                  Week ending
Account 2002
Aug
2003
Feb
2003
Mar
2003
Apr
2003
May
2003
Jun
2003
Jul
2003
Aug
Aug 20 Aug 27 Sep 3 Sep 10
                         
A S S E T S                        
  1   Bank credit   613.8   651.1   661.8   654.4   663.6   665.4   637.9   618.4   606.9   620.3   613.8   623.6
                         
  2     Securities in bank credit (2)   248.1   279.1   284.0   277.4   288.8   287.9   266.4   264.9   265.9   265.9   268.9   270.2
  3        Treasury and Agency securities   81.8   116.4   122.6   125.4   130.9   129.1   119.4   111.8   110.0   109.7   112.4   114.7
  3a         Trading account   13.0   36.4   37.2   39.7   43.0   42.9   40.2   39.2   38.4   38.4   40.9   40.6
  3b         Investment account   68.7   80.0   85.5   85.7   87.9   86.2   79.2   72.5   71.6   71.4   71.5   74.1
  4        Other securities   166.3   162.7   161.3   152.0   158.0   158.8   147.0   153.1   155.9   156.2   156.5   155.5
  4a         Trading account   110.6   102.0   101.7   97.9   105.1   105.6   95.6   99.5   101.5   102.6   103.1   102.2
  4b         Investment account   55.8   60.7   59.7   54.2   52.9   53.2   51.4   53.6   54.4   53.5   53.4   53.2
                         
  5     Loans and leases in bank credit (3)   365.8   372.0   377.9   377.0   374.7   377.5   371.5   353.5   341.0   354.4   344.9   353.4
  6        Commercial and industrial   187.7   175.6   173.2   171.1   168.1   161.9   160.7   154.1   153.5   153.3   152.3   151.5
  7        Real estate   18.9   19.7   19.8   19.0   19.2   19.2   19.1   18.8   18.7   18.6   18.7   18.7
  11       Security (4)   88.1   111.0   117.3   118.3   116.2   118.7   113.3   106.7   97.0   107.9   102.0   110.8
  12       Other loans and leases   71.2   65.7   67.6   68.6   71.3   77.8   78.3   73.8   71.9   74.6   71.9   72.5
                         
  13  Interbank loans   17.9   27.0   27.2   22.5   24.7   30.8   33.2   32.5   35.1   33.3   33.7   33.3
                         
  14  Cash assets (5)   45.8   39.7   42.6   47.9   50.5   53.5   53.0   54.2   53.9   54.5   55.9   54.0
                         
  15  Other assets (6)   27.4   35.6   31.8   34.9   41.7   43.4   42.4   46.5   48.8   43.7   41.0   40.4
                         
  16  TOTAL ASSETS (7)   704.5   753.0   763.1   759.2   780.0   792.6   766.1   751.1   744.4   751.4   743.9   750.9
                         
L I A B I L I T I E S                        
  17  Deposits   480.7   453.0   452.5   442.4   444.1   448.7   453.1   448.8   446.8   445.0   439.2   444.5
  18    Transaction   9.8   10.3   11.1   10.7   10.6   11.3   11.6   11.7   11.7   12.7   11.5   11.6
  19    Nontransaction   470.8   442.8   441.3   431.7   433.6   437.5   441.5   437.0   435.1   432.3   427.8   433.0
                         
  22  Borrowings   213.8   274.7   293.4   298.7   307.1   318.9   300.3   296.7   281.1   287.1   295.0   297.1
  23    From banks in the U.S.   21.3   31.1   33.7   27.5   31.6   35.2   37.3   34.3   32.8   32.6   35.8   29.9
  24    From others   192.5   243.6   259.7   271.2   275.5   283.8   263.0   262.4   248.3   254.5   259.2   267.2
                         
  25  Net due to related foreign offices   -87.9   -77.3   -81.6   -73.3   -77.5   -83.7   -89.4   -105.5   -99.0   -92.9   -101.8   -101.4
                         
  26  Other liabilities   96.5   100.7   97.0   90.9   105.6   108.4   101.6   110.6   114.9   111.6   111.0   110.0
                         
  27  TOTAL LIABILITIES   703.1   751.1   761.3   758.6   779.4   792.3   765.5   750.5   743.8   750.9   743.3   750.3
                         
  28  Residual (assets less liabilities) (8)   1.4   1.9   1.8   0.6   0.6   0.3   0.6   0.6   0.6   0.6   0.6   0.6
                         
  Footnotes appear on page 14.

H.8 (510)                                                                                                                                                                  Page 13
MEMO ITEMS
Not seasonally adjusted, billions of dollars                                                                                                                    September 22, 2003

                  Week ending
Account 2002
Aug
2003
Feb
2003
Mar
2003
Apr
2003
May
2003
Jun
2003
Jul
2003
Aug
Aug 20 Aug 27 Sep 3 Sep 10
                         
LARGE DOMESTICALLY CHARTERED BANKS, adjusted for mergers                        
  29  Reval. gains on off-bal. sheet items (9)   112.3   116.8   115.1   105.8   128.3   135.1   112.5   96.5   96.4   92.3   100.1   111.1
                         
  30  Reval. losses on off-bal. sheet items (9)   94.2   94.9   91.3   81.5   105.2   110.1   85.3   79.4   80.7   76.7   79.7   92.6
                         
  31  Mortgage-backed securities (10)   340.4   376.9   381.4   400.8   427.1   436.7   412.6   387.6   382.8   379.9   387.6   380.4
  31a   Pass-through   254.1   276.9   276.2   288.6   314.2   324.7   301.5   274.1   269.6   271.9   274.1   268.3
  31b   CMO, REMIC, and other   86.3   100.0   105.1   112.2   112.9   111.9   111.1   113.5   113.2   108.0   113.5   112.1
                         
  32  Net unrealized gains (losses) on
        available-for-sale securities (11)
  9.1   11.7   11.7   10.1   11.2   12.8   6.8   -0.3   0.4   -0.6   -2.5   1.8
                         
  33  Offshore credit to U.S. residents (12)   19.0   18.2   18.2   17.5   17.3   16.6   15.5   14.7   14.0   15.5   13.9   13.9
                         
  34  Securitized consumer loans (13)   143.2   152.2   154.1   155.9   156.5   158.2   161.6   162.5   162.8   162.3   162.1   161.9
  34a   Credit card and related plans   125.5   134.8   136.7   138.7   139.4   140.6   144.0   144.5   144.8   144.5   144.4   144.3
  34b   Other   17.7   17.4   17.4   17.2   17.1   17.6   17.5   18.0   18.0   17.9   17.8   17.6
                         
  35  Securitized business loans (13)   11.0   10.6   10.4   10.0   10.2   9.9   8.4   7.2   6.8   6.8   6.8   8.1
                         
SMALL DOMESTICALLY CHARTERED BANKS, adjusted for mergers                        
  31  Mortgage-backed securities (10)   297.2   314.5   325.4   334.9   334.0   332.0   326.8   325.6   325.3   324.2   326.4   326.1
                         
  34  Securitized consumer loans (13)   201.7   203.8   202.4   204.7   204.6   204.6   201.3   202.6   201.2   203.6   203.4   203.4
  34a   Credit card and related plans   199.0   195.8   194.3   196.9   196.8   196.9   193.7   195.0   193.6   196.0   195.9   195.8
  34b   Other   2.7   8.0   8.1   7.9   7.8   7.7   7.6   7.6   7.6   7.6   7.6   7.6
                         
FOREIGN-RELATED INSTITUTIONS                        
  29  Reval. gains on off-bal. sheet items (9)   65.0   67.1   65.4   64.9   73.5   72.6   65.3   66.0   66.3   67.9   68.0   67.2
                         
  30  Reval. losses on off-bal. sheet items (9)   64.6   64.9   63.6   62.4   72.6   72.6   64.8   64.8   65.5   66.9   66.9   66.2
                         
  35  Securitized business loans (13)   9.1   4.6   4.1   3.3   3.0   2.5   1.6   1.5   1.5   1.5   1.4   1.3
                         
  Footnotes appear on page 14.

  H.8 (510)       Footnotes                                                                                                                                                Page 14
                                                                                                                                                                September 22, 2003

  Current and historical H.8 data are available on the Federal Reserve Board's web site (http://www.federalreserve.gov).  For information about individual copies or subscriptions,
  contact Publications Services at the Federal Reserve Board (phone 202-452-3244, fax 202-728-5886).  For paid electronic access to current and historical data, call STAT-USA at
  1-800-782-8872 or 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 10 are adjusted to remove the estimated effects of mergers between these two groups. The adjustment for
      mergers changes past levels to make them comparable with current levels. Estimated quantities of balance sheet items acquired in mergers are removed from past data for the
      bank group that contained the acquired bank and put into past data for the group containing the acquiring bank. Balance sheet data for acquired banks are obtained from
      call reports, and a ratio procedure is used to adjust past levels.
  2.  Treasury securities are liabilities of the U.S. Treasury.  Agency securities are liabilities of U.S. government agencies and U.S. government-sponsored enterprises.
  3.  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.
  4.  Consists of reverse RPs with brokers and dealers and loans to purchase and carry securities.
  5.  Includes vault cash, cash items in process of collection, balances due from depository institutions, and balances due from Federal Reserve Banks.
  6.  Excludes the due-from position with related foreign offices, which is included in line 25.
  7.  Excludes unearned income, reserves for losses on loans and leases, and reserves for transfer risk. Loans are reported gross of these items.
  8.  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.
  9.  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.  The fair value of derivative contracts in a gain position is included in "Other securities, trading account," balance sheet item 4a. The fair value 
      of derivative contracts in a loss position is included in "Other liabilities," balance sheet item 26.
  10. Includes mortgage-backed securities issued by U.S. government agencies, U.S. government-sponsored enterprises, and private entities.
  11. 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.
  12. Mainly commercial and industrial loans, but also includes an unknown amount of credit extended to entities other than nonfinancial businesses.
  13. Total amount outstanding.

                                                                                                                                                                                                                                                                                             
                                                                                                                                                                                                                                                                                             
                                                                                                                                                                                                                                                                                             
                                                                                                                                                                                                                                                                                             
                                                                                                                                                                                                                                                                                             
                                                                                                                                                                                                                                                                                             
                                                                                                                                                                                                                                                                                             
                                                                                                                                                                                                                                                                                             


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