H.8 (510) ASSETS AND LIABILITIES OF COMMERCIAL BANKS IN THE UNITED STATES (1) For use at 4:15 p.m. Eastern Time Seasonally adjusted, billions of dollars June 24, 2005 Account 2004 2004 2004 2005 2005 2005 2005 2005 Week ending May Nov Dec Jan Feb Mar Apr May May 25 Jun 1 Jun 8 Jun 15 -------- -------- -------- -------- -------- -------- -------- -------- ------- ------- ------- ------- A S S E T S 1 Bank credit 6,547.2 6,757.6 6,790.8 6,875.1 6,982.0 7,069.3 7,092.1 7,141.6 7,164.5 7,195.1 7,200.9 7,154.7 2 Securities in bank credit 1,929.6 1,924.1 1,936.7 1,979.8 2,027.6 2,046.8 2,032.8 2,059.6 2,065.0 2,076.8 2,074.3 1,988.8 3 Treasury and Agency securities (2) 1,188.9 1,146.6 1,151.0 1,183.9 1,219.8 1,220.4 1,196.4 1,202.2 1,202.4 1,196.0 1,203.1 1,129.1 4 Other securities 740.7 777.6 785.7 795.8 807.9 826.4 836.3 857.5 862.6 880.9 871.1 859.6 5 Loans and leases in bank credit (3) 4,617.6 4,833.5 4,854.0 4,895.3 4,954.4 5,022.5 5,059.3 5,082.0 5,099.5 5,118.2 5,126.6 5,166.0 6 Commercial and industrial 886.5 917.5 927.0 944.2 954.6 961.2 974.0 985.4 993.0 991.6 985.6 993.2 7 Real estate 2,396.5 2,522.1 2,544.6 2,571.1 2,599.5 2,653.5 2,679.0 2,684.3 2,684.3 2,697.2 2,711.3 2,721.8 8 Revolving home equity 327.9 393.3 399.0 406.4 408.2 416.1 420.3 423.8 424.3 426.0 426.2 427.1 9 Other 2,068.6 2,128.8 2,145.6 2,164.7 2,191.3 2,237.4 2,258.8 2,260.5 2,260.0 2,271.2 2,285.1 2,294.8 10 Consumer 659.5 685.6 695.3 702.9 700.7 708.7 711.4 704.7 706.0 704.3 707.5 708.7 11 Security (4) 235.2 236.9 215.7 200.3 221.0 228.0 223.5 235.8 237.4 248.4 244.4 248.3 12 Other loans and leases 440.1 471.5 471.5 476.8 478.5 471.1 471.4 471.8 478.8 476.8 477.8 494.0 13 Interbank loans 308.4 354.8 329.6 289.5 293.7 276.4 287.4 285.6 288.9 275.6 278.9 273.9 14 Cash assets (5) 333.1 320.2 319.8 337.5 334.5 350.5 332.8 340.2 336.2 356.4 358.9 336.2 15 Other assets (6) 592.1 648.3 655.6 660.4 667.1 688.0 681.1 679.5 678.4 693.3 706.1 690.1 16 TOTAL ASSETS (7) 7,709.0 8,010.0 8,025.2 8,092.9 8,208.4 8,315.8 8,325.0 8,378.5 8,399.7 8,452.0 8,476.5 8,386.5 L I A B I L I T I E S 17 Deposits 5,060.6 5,291.6 5,327.0 5,367.8 5,388.0 5,449.8 5,494.0 5,504.2 5,503.6 5,551.3 5,535.1 5,566.5 18 Transaction 661.7 670.1 677.6 663.6 676.5 704.3 674.7 678.8 735.8 667.3 649.5 666.1 19 Nontransaction 4,398.9 4,621.5 4,649.4 4,704.2 4,711.6 4,745.5 4,819.4 4,825.4 4,767.8 4,884.0 4,885.7 4,900.4 20 Large time 1,098.1 1,182.3 1,196.4 1,224.4 1,223.4 1,246.4 1,291.3 1,293.6 1,299.0 1,297.5 1,319.8 1,326.9 21 Other 3,300.8 3,439.3 3,453.0 3,479.8 3,488.1 3,499.1 3,528.0 3,531.8 3,468.8 3,586.5 3,565.9 3,573.5 22 Borrowings 1,545.3 1,590.5 1,573.5 1,533.7 1,575.4 1,604.5 1,594.7 1,608.0 1,610.6 1,603.9 1,608.5 1,611.1 23 From banks in the U.S. 423.4 430.4 399.7 362.6 376.3 363.9 374.6 362.6 357.0 354.6 349.5 374.7 24 From others 1,121.9 1,160.1 1,173.8 1,171.2 1,199.1 1,240.7 1,220.1 1,245.4 1,253.7 1,249.2 1,259.0 1,236.4 25 Net due to related foreign offices 81.5 14.0 28.7 67.1 63.0 72.0 40.5 67.9 81.6 70.0 64.0 -8.3 26 Other liabilities 411.2 493.0 483.9 479.2 481.9 493.4 511.9 494.4 487.0 506.0 519.5 492.7 27 TOTAL LIABILITIES 7,098.6 7,389.1 7,413.1 7,448.0 7,508.4 7,619.8 7,641.1 7,674.5 7,682.9 7,731.2 7,727.1 7,662.0 28 Residual (assets less liabilities) (8) 610.4 620.8 612.1 645.0 700.1 696.1 683.9 704.0 716.8 720.8 749.3 724.4 ------------------------------------------------- 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 June 24, 2005 Account 2004 2004 2004 2005 2005 2005 2005 2005 Week ending May Nov Dec Jan Feb Mar Apr May May 25 Jun 1 Jun 8 Jun 15 -------- -------- -------- -------- -------- -------- -------- -------- ------- ------- ------- ------- A S S E T S 1 Bank credit 6,539.3 6,792.7 6,834.0 6,885.5 6,967.5 7,035.3 7,071.4 7,133.2 7,146.4 7,193.7 7,192.5 7,150.2 2 Securities in bank credit 1,932.9 1,932.8 1,944.6 1,982.3 2,024.2 2,037.5 2,028.8 2,063.1 2,067.6 2,083.6 2,082.2 1,988.8 3 Treasury and Agency securities (2) 1,196.4 1,154.3 1,154.7 1,179.3 1,215.0 1,215.8 1,199.6 1,210.5 1,211.2 1,205.9 1,212.0 1,131.2 4 Other securities 736.5 778.5 789.9 803.0 809.3 821.7 829.1 852.6 856.5 877.7 870.2 857.7 5 Loans and leases in bank credit (3) 4,606.4 4,859.9 4,889.4 4,903.2 4,943.2 4,997.8 5,042.6 5,070.1 5,078.8 5,110.1 5,110.3 5,161.4 6 Commercial and industrial 890.4 917.4 927.2 940.0 954.3 964.3 978.8 989.8 995.1 995.1 987.3 994.5 7 Real estate 2,396.4 2,538.5 2,553.6 2,570.2 2,594.3 2,638.0 2,666.8 2,684.0 2,684.1 2,694.2 2,709.2 2,714.8 8 Revolving home equity 328.6 393.3 397.9 404.6 408.4 413.0 418.9 424.7 425.2 426.6 426.9 428.5 9 Other 2,067.8 2,145.2 2,155.6 2,165.7 2,185.8 2,225.0 2,247.8 2,259.3 2,258.9 2,267.7 2,282.3 2,286.3 10 Consumer 653.9 690.1 707.1 716.3 705.8 702.2 702.9 698.8 700.7 697.6 698.9 699.4 10a Credit card and related plans 259.2 294.2 311.3 318.7 305.5 302.7 304.3 302.4 303.9 302.5 301.7 305.8 10b Other 394.8 395.9 395.8 397.6 400.3 399.5 398.6 396.4 396.8 395.1 397.3 393.6 11 Security (4) 227.4 242.1 225.8 202.4 219.0 227.0 225.0 227.7 225.4 241.9 236.2 256.4 12 Other loans and leases 438.2 471.8 475.8 474.3 469.9 466.4 469.1 469.8 473.6 481.3 478.7 496.3 13 Interbank loans 309.5 358.5 333.7 285.6 288.7 279.9 295.7 286.1 281.1 282.3 281.1 279.0 14 Cash assets (5) 327.6 330.1 338.6 347.1 331.6 337.3 328.2 334.9 321.0 382.4 337.4 332.9 15 Other assets (6) 591.9 650.7 657.1 661.1 662.2 683.2 679.3 679.2 670.8 692.3 702.8 686.3 16 TOTAL ASSETS (7) 7,696.3 8,061.2 8,092.7 8,109.8 8,180.9 8,267.1 8,306.4 8,365.0 8,351.1 8,482.1 8,445.3 8,379.7 L I A B I L I T I E S 17 Deposits 5,051.0 5,302.4 5,356.0 5,369.2 5,390.7 5,443.1 5,513.3 5,495.4 5,462.6 5,582.5 5,558.1 5,586.0 18 Transaction 652.4 676.0 715.0 676.2 668.2 694.9 681.4 669.2 711.2 685.2 630.7 665.3 19 Nontransaction 4,398.7 4,626.4 4,641.0 4,693.0 4,722.4 4,748.2 4,831.9 4,826.3 4,751.4 4,897.3 4,927.5 4,920.7 20 Large time 1,106.7 1,172.6 1,194.2 1,235.1 1,234.1 1,249.7 1,297.9 1,303.3 1,310.0 1,310.1 1,333.1 1,338.2 21 Other 3,292.0 3,453.8 3,446.8 3,457.9 3,488.3 3,498.5 3,534.0 3,523.0 3,441.5 3,587.2 3,594.4 3,582.5 22 Borrowings 1,561.6 1,583.4 1,560.1 1,530.4 1,573.5 1,592.4 1,601.2 1,626.2 1,617.6 1,625.0 1,611.1 1,620.1 23 From banks in the U.S. 423.9 427.8 398.1 359.6 373.8 365.1 379.0 363.2 354.0 355.2 347.9 373.2 24 From others 1,137.7 1,155.6 1,162.0 1,170.8 1,199.7 1,227.4 1,222.2 1,263.1 1,263.6 1,269.8 1,263.2 1,246.9 25 Net due to related foreign offices 77.2 23.2 36.2 72.2 68.0 65.2 23.7 63.5 81.9 67.9 58.6 -14.3 26 Other liabilities 407.4 505.7 493.7 484.8 488.2 485.1 490.5 489.8 487.9 504.6 514.4 486.2 27 TOTAL LIABILITIES 7,097.3 7,414.7 7,445.9 7,456.6 7,520.3 7,585.8 7,628.7 7,675.0 7,650.0 7,780.0 7,742.2 7,678.0 28 Residual (assets less liabilities) (8) 599.0 646.5 646.8 653.2 660.5 681.2 677.8 690.0 701.1 702.1 703.1 701.7 ------------------------------------------------- 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 June 24, 2005 Account 2004 2004 2004 2005 2005 2005 2005 2005 Week ending May Nov Dec Jan Feb Mar Apr May May 25 Jun 1 Jun 8 Jun 15 -------- -------- -------- -------- -------- -------- -------- -------- ------- ------- ------- ------- A S S E T S 1 Bank credit 5,912.5 6,076.7 6,148.2 6,218.5 6,301.4 6,381.3 6,403.4 6,435.4 6,448.2 6,481.1 6,480.7 6,452.1 2 Securities in bank credit 1,670.9 1,641.9 1,663.5 1,683.5 1,723.1 1,740.8 1,733.4 1,755.9 1,759.4 1,766.7 1,762.7 1,684.1 3 Treasury and Agency securities (2) 1,096.6 1,055.9 1,067.0 1,096.4 1,122.7 1,125.6 1,109.4 1,113.9 1,112.5 1,109.6 1,113.1 1,039.8 4 Other securities 574.3 586.1 596.5 587.1 600.4 615.2 624.0 642.0 646.9 657.1 649.6 644.2 5 Loans and leases in bank credit (3) 4,241.6 4,434.7 4,484.7 4,535.1 4,578.4 4,640.5 4,670.1 4,679.5 4,688.8 4,714.4 4,718.0 4,768.1 6 Commercial and industrial 758.1 781.5 787.8 801.2 809.7 816.7 823.6 830.9 835.5 836.8 831.6 839.4 7 Real estate 2,378.9 2,503.8 2,526.1 2,552.0 2,580.6 2,634.6 2,659.7 2,666.0 2,666.1 2,678.9 2,693.0 2,703.6 8 Revolving home equity 327.9 393.3 399.0 406.4 408.2 416.1 420.3 423.8 424.3 426.0 426.2 427.1 9 Other 2,051.0 2,110.5 2,127.1 2,145.6 2,172.4 2,218.5 2,239.4 2,242.2 2,241.8 2,252.9 2,266.8 2,276.5 10 Consumer 659.5 685.6 695.3 702.9 700.7 708.7 711.4 704.7 706.0 704.3 707.5 708.7 11 Security (4) 94.7 88.6 97.7 99.0 107.8 107.9 104.9 106.7 104.7 117.0 108.6 123.3 12 Other loans and leases 350.4 375.1 377.7 380.0 379.5 372.5 370.4 371.2 376.5 377.4 377.3 393.1 13 Interbank loans 275.5 304.5 279.5 244.2 252.0 233.4 242.3 237.6 241.3 227.8 227.6 230.0 14 Cash assets (5) 271.8 257.5 258.8 270.7 270.4 285.4 268.7 275.9 271.2 294.6 294.8 273.2 15 Other assets (6) 559.0 611.9 617.3 629.2 635.9 654.7 646.8 643.7 641.9 653.1 666.0 650.9 16 TOTAL ASSETS (7) 6,947.4 7,180.0 7,233.5 7,293.5 7,391.3 7,486.8 7,493.3 7,524.8 7,534.7 7,588.6 7,601.1 7,538.1 L I A B I L I T I E S 17 Deposits 4,564.2 4,743.5 4,776.3 4,803.1 4,834.6 4,888.7 4,905.5 4,917.3 4,910.1 4,963.1 4,928.8 4,961.2 18 Transaction 650.0 658.6 665.8 651.8 663.3 689.8 660.4 664.7 721.7 653.8 635.2 651.2 19 Nontransaction 3,914.2 4,084.9 4,110.5 4,151.3 4,171.3 4,198.9 4,245.1 4,252.6 4,188.5 4,309.3 4,293.5 4,310.0 20 Large time 620.1 659.5 669.8 687.3 707.1 720.4 734.3 739.7 739.7 740.9 746.0 750.9 21 Other 3,294.2 3,425.5 3,440.7 3,464.0 3,464.1 3,478.6 3,510.8 3,512.9 3,448.7 3,568.4 3,547.5 3,559.1 22 Borrowings 1,213.2 1,225.1 1,232.2 1,201.2 1,229.6 1,253.9 1,248.9 1,256.4 1,259.6 1,251.4 1,273.3 1,251.6 23 From banks in the U.S. 380.6 377.7 347.1 322.4 332.1 320.0 330.3 322.8 319.4 311.9 311.9 315.5 24 From others 832.6 847.4 885.1 878.7 897.5 933.9 918.5 933.5 940.2 939.5 961.3 936.0 25 Net due to related foreign offices 258.0 190.3 216.3 265.1 248.7 253.3 244.1 260.8 274.9 260.6 249.3 207.0 26 Other liabilities 313.4 393.6 390.7 387.2 385.9 402.0 418.6 401.5 393.0 405.8 415.0 397.7 27 TOTAL LIABILITIES 6,348.8 6,552.5 6,615.6 6,656.6 6,698.8 6,797.8 6,817.1 6,835.9 6,837.7 6,881.0 6,866.3 6,817.4 28 Residual (assets less liabilities) (8) 598.7 627.5 617.9 636.9 692.5 689.0 676.2 688.9 697.1 707.6 734.8 720.7 ------------------------------------------------- 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 June 24, 2005 Account 2004 2004 2004 2005 2005 2005 2005 2005 Week ending May Nov Dec Jan Feb Mar Apr May May 25 Jun 1 Jun 8 Jun 15 -------- -------- -------- -------- -------- -------- -------- -------- ------- ------- ------- ------- A S S E T S 1 Bank credit 5,907.4 6,110.2 6,185.7 6,226.4 6,285.1 6,344.0 6,377.3 6,429.5 6,435.8 6,481.4 6,478.1 6,443.5 2 Securities in bank credit 1,674.3 1,650.6 1,671.4 1,686.0 1,719.7 1,731.5 1,729.4 1,759.4 1,762.0 1,773.5 1,770.6 1,684.1 3 Treasury and Agency securities (2) 1,104.1 1,063.6 1,070.7 1,091.7 1,117.9 1,120.9 1,112.6 1,122.2 1,121.3 1,119.5 1,122.0 1,041.8 4 Other securities 570.1 587.0 600.7 594.3 601.8 610.6 616.8 637.2 640.7 654.0 648.6 642.3 5 Loans and leases in bank credit (3) 4,233.1 4,459.6 4,514.3 4,540.4 4,565.4 4,612.5 4,647.9 4,670.2 4,673.9 4,707.9 4,707.5 4,759.4 6 Commercial and industrial 762.1 782.1 787.2 796.3 807.7 817.7 827.3 835.2 838.2 840.4 833.7 841.5 7 Real estate 2,378.8 2,520.3 2,535.1 2,551.2 2,575.4 2,619.1 2,647.4 2,665.7 2,665.9 2,675.9 2,690.9 2,696.5 8 Revolving home equity 328.6 393.3 397.9 404.6 408.4 413.0 418.9 424.7 425.2 426.6 426.9 428.5 9 Other 2,050.2 2,127.0 2,137.1 2,146.6 2,166.9 2,206.0 2,228.5 2,241.1 2,240.8 2,249.4 2,264.0 2,268.0 9a Other residential -- 1,082.6 1,083.9 1,081.1 1,089.0 1,110.8 1,122.9 1,123.1 1,121.1 1,127.8 1,139.6 1,139.3 9b Commercial -- 1,044.4 1,053.2 1,065.6 1,077.9 1,095.2 1,105.6 1,118.0 1,119.7 1,121.6 1,124.4 1,128.7 10 Consumer 653.9 690.1 707.1 716.3 705.8 702.2 702.9 698.8 700.7 697.6 698.9 699.4 10a Credit card and related plans 259.2 294.2 311.3 318.7 305.5 302.7 304.3 302.4 303.9 302.5 301.7 305.8 10d Other 394.8 395.9 395.8 397.6 400.3 399.5 398.6 396.4 396.8 395.1 397.3 393.6 11 Security (4) 90.3 89.7 102.0 98.0 103.7 105.5 103.3 101.7 97.5 113.8 107.5 128.4 12 Other loans and leases 348.1 377.3 383.0 378.6 372.9 368.1 367.0 368.7 371.5 380.1 376.5 393.7 13 Interbank loans 276.6 308.2 283.6 240.3 247.0 236.9 250.6 238.1 233.5 234.5 229.8 235.0 14 Cash assets (5) 266.9 267.4 275.3 280.7 268.4 274.4 264.7 271.3 257.5 320.3 274.0 270.3 15 Other assets (6) 558.2 615.0 618.1 627.9 629.3 650.0 646.4 642.8 633.6 651.2 661.9 646.7 16 TOTAL ASSETS (7) 6,937.6 7,230.4 7,292.5 7,306.3 7,361.0 7,437.0 7,471.3 7,513.8 7,492.5 7,619.3 7,575.8 7,527.3 L I A B I L I T I E S 17 Deposits 4,543.3 4,767.6 4,808.6 4,797.1 4,829.9 4,876.5 4,913.0 4,895.1 4,854.8 4,980.3 4,939.4 4,970.3 18 Transaction 640.9 664.5 702.8 664.0 655.1 680.9 667.4 655.3 697.5 671.6 617.0 650.5 19 Nontransaction 3,902.5 4,103.0 4,105.8 4,133.1 4,174.9 4,195.6 4,245.6 4,239.9 4,157.3 4,308.7 4,322.4 4,319.9 20 Large time 617.3 662.7 671.2 691.3 710.8 717.9 729.2 736.3 736.4 740.0 746.8 751.9 21 Other 3,285.2 3,440.3 3,434.6 3,441.8 3,464.0 3,477.7 3,516.5 3,503.6 3,420.9 3,568.7 3,575.6 3,568.0 22 Borrowings 1,229.4 1,218.1 1,218.8 1,197.9 1,227.7 1,241.8 1,255.4 1,274.6 1,266.6 1,272.6 1,275.8 1,260.5 23 From banks in the U.S. 381.1 375.2 345.5 319.5 329.7 321.2 334.8 323.4 316.5 312.5 310.3 314.0 24 From others 848.3 842.9 873.3 878.4 898.0 920.6 920.7 951.2 950.1 960.1 965.6 946.5 25 Net due to related foreign offices 255.6 197.0 222.4 269.4 254.0 247.1 229.8 258.5 277.4 261.0 247.6 204.2 26 Other liabilities 311.2 404.2 399.6 392.2 392.5 394.0 399.1 398.4 395.5 406.2 412.6 393.4 27 TOTAL LIABILITIES 6,339.5 6,586.8 6,649.4 6,656.6 6,704.1 6,759.5 6,797.3 6,826.6 6,794.3 6,920.1 6,875.5 6,828.4 28 Residual (assets less liabilities) (8) 598.1 643.6 643.1 649.6 656.9 677.5 674.1 687.2 698.2 699.2 700.3 698.9 ------------------------------------------------- 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 June 24, 2005 Account 2004 2004 2004 2005 2005 2005 2005 2005 Week ending May Nov Dec Jan Feb Mar Apr May May 25 Jun 1 Jun 8 Jun 15 -------- -------- -------- -------- -------- -------- -------- -------- ------- ------- ------- ------- A S S E T S 1 Bank credit 3,309.8 3,390.6 3,440.5 3,495.0 3,547.9 3,573.3 3,562.9 3,569.6 3,577.5 3,601.3 3,597.8 3,558.1 2 Securities in bank credit 949.2 930.5 951.7 966.9 1,005.3 1,024.7 1,010.8 1,031.2 1,035.9 1,044.3 1,040.6 969.4 3 Treasury and Agency securities (2) 587.4 561.0 573.9 598.0 624.6 632.6 610.9 611.4 610.4 608.6 612.3 544.8 3a Trading account 45.5 45.7 35.1 34.1 51.3 52.2 47.9 54.0 54.2 51.7 56.7 49.3 3b Investment account 542.0 515.3 538.8 563.9 573.3 580.5 563.0 557.5 556.1 556.9 555.5 495.5 3c Mortgage-backed 436.3 410.5 435.5 459.1 467.7 472.6 464.2 458.2 457.1 458.3 456.8 397.4 3b Other 105.7 104.8 103.3 104.8 105.6 107.9 98.8 99.3 99.0 98.5 98.7 98.1 4 Other securities 361.7 369.5 377.9 368.9 380.6 392.1 399.9 419.8 425.5 435.7 428.3 424.6 4a Trading account 180.1 202.1 211.0 201.1 203.3 204.9 207.9 218.6 223.7 231.7 226.1 220.0 4b Investment account 181.6 167.3 166.9 167.8 177.4 187.2 192.0 201.1 201.8 204.1 202.2 204.6 4c State and local government 33.4 33.5 33.0 33.2 34.3 35.2 36.1 36.8 37.0 37.3 35.8 36.1 4d Other 148.2 133.9 133.9 134.6 143.1 152.0 155.9 164.3 164.8 166.8 166.4 168.5 5 Loans and leases in bank credit (3) 2,360.6 2,460.1 2,488.8 2,528.1 2,542.7 2,548.5 2,552.1 2,538.3 2,541.6 2,557.0 2,557.2 2,588.8 6 Commercial and industrial 453.6 460.0 463.5 471.8 478.1 480.8 484.1 488.0 492.4 492.6 487.2 493.0 7 Real estate 1,200.3 1,261.9 1,273.9 1,298.3 1,296.7 1,307.2 1,315.0 1,301.8 1,296.5 1,302.5 1,314.0 1,313.8 8 Revolving home equity 231.6 280.3 285.5 291.1 292.3 297.3 298.9 299.8 300.9 299.4 299.8 300.0 9 Other 968.7 981.6 988.4 1,007.2 1,004.4 1,010.0 1,016.0 1,002.1 995.6 1,003.1 1,014.2 1,013.7 9a Other residential 614.6 614.9 620.1 635.7 629.5 634.2 638.9 623.1 615.2 623.7 633.3 630.3 9b Commercial 354.1 366.7 368.3 371.6 375.0 375.8 377.1 378.9 380.3 379.4 380.9 383.5 10 Consumer 367.2 384.4 385.8 390.2 391.3 389.9 388.5 382.0 383.7 379.0 381.1 378.9 11 Security (4) 87.7 80.8 90.1 91.0 99.8 100.0 96.6 98.4 96.1 108.8 100.7 114.8 11a Fed funds and RPs with broker/dealer 64.2 59.9 69.5 69.1 77.9 77.3 81.5 82.7 80.3 94.1 84.9 99.9 11b Other 23.5 20.9 20.5 21.9 21.9 22.7 15.0 15.7 15.9 14.8 15.8 15.0 12a State and local government 15.3 16.6 16.9 16.9 16.7 16.8 16.9 16.9 16.9 17.1 16.8 16.6 12b Agricultural 9.3 9.6 9.6 9.4 9.3 9.2 9.2 9.1 9.1 9.1 9.0 9.0 12c Fed funds and RPs with others 18.0 27.4 27.3 27.5 27.3 28.1 22.1 20.6 24.1 24.6 24.8 35.7 12d All other loans 112.0 125.5 126.0 127.3 127.9 121.8 125.9 128.8 130.1 130.7 131.0 134.5 12e Lease financing receivables 97.2 93.9 95.8 95.6 95.5 94.7 93.9 92.7 92.7 92.7 92.6 92.5 13 Interbank loans 199.1 220.3 199.4 164.4 171.9 157.7 171.9 164.4 166.2 153.8 161.2 156.5 13a Fed funds and RPs with banks 91.7 123.5 125.5 104.9 106.9 92.7 108.2 98.9 99.0 92.1 94.3 92.3 13b Other 107.4 96.8 73.8 59.5 65.0 65.1 63.7 65.5 67.2 61.6 66.9 64.2 14 Cash assets (5) 155.4 145.1 150.1 158.4 156.2 170.3 157.0 163.2 159.8 180.3 182.3 164.3 15 Other assets (6) 419.5 447.5 453.3 454.7 458.1 470.6 458.5 447.0 443.0 446.2 459.5 457.2 16 TOTAL ASSETS (7) 4,044.5 4,165.1 4,205.7 4,235.8 4,298.1 4,336.8 4,315.5 4,309.7 4,312.0 4,347.1 4,366.4 4,301.7 ------------------------------------------------- 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) June 24, 2005 Account 2004 2004 2004 2005 2005 2005 2005 2005 Week ending May Nov Dec Jan Feb Mar Apr May May 25 Jun 1 Jun 8 Jun 15 -------- -------- -------- -------- -------- -------- -------- -------- ------- ------- ------- ------- L I A B I L I T I E S 17 Deposits 2,363.4 2,443.0 2,459.6 2,462.7 2,469.6 2,498.1 2,501.1 2,504.7 2,502.6 2,534.9 2,511.6 2,536.3 18 Transaction 309.7 322.5 326.7 315.3 322.0 334.8 312.8 316.1 351.7 311.6 299.9 316.9 19 Nontransaction 2,053.7 2,120.5 2,132.9 2,147.4 2,147.6 2,163.3 2,188.3 2,188.6 2,150.9 2,223.3 2,211.7 2,219.4 20 Large time 287.9 306.7 315.3 324.6 337.2 341.2 348.7 350.4 349.7 348.7 351.4 356.5 21 Other 1,765.8 1,813.8 1,817.6 1,822.8 1,810.4 1,822.1 1,839.6 1,838.2 1,801.2 1,874.7 1,860.2 1,862.9 22 Borrowings 738.4 736.7 744.4 717.8 735.0 758.9 750.0 742.6 740.6 740.4 768.9 750.4 23 From banks in the U.S. 193.8 195.8 174.2 162.1 165.9 153.2 162.5 152.3 144.4 143.9 149.6 147.1 24 From others 544.5 540.9 570.1 555.6 569.1 605.8 587.4 590.3 596.2 596.4 619.3 603.3 25 Net due to related foreign offices 235.2 183.0 207.6 253.5 240.0 247.4 238.6 250.2 261.4 250.9 238.9 198.1 26 Other liabilities 242.4 321.1 318.6 314.2 316.7 329.1 346.1 327.8 317.2 331.3 339.8 319.1 27 TOTAL LIABILITIES 3,579.4 3,683.7 3,730.2 3,748.2 3,761.3 3,833.5 3,835.8 3,825.3 3,821.9 3,857.5 3,859.3 3,803.8 28 Residual (assets less liabilities) (8) 465.1 481.4 475.5 487.6 536.8 503.2 479.7 484.4 490.2 489.6 507.1 497.9 ------------------------------------------------- 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 June 24, 2005 Account 2004 2004 2004 2005 2005 2005 2005 2005 Week ending May Nov Dec Jan Feb Mar Apr May May 25 Jun 1 Jun 8 Jun 15 -------- -------- -------- -------- -------- -------- -------- -------- ------- ------- ------- ------- A S S E T S 1 Bank credit 3,312.7 3,409.4 3,459.9 3,499.5 3,533.0 3,541.1 3,547.3 3,572.2 3,572.4 3,614.1 3,605.8 3,565.9 2 Securities in bank credit 954.8 940.7 956.7 970.3 1,002.1 1,008.2 1,003.3 1,036.8 1,040.6 1,053.6 1,049.0 969.0 3 Treasury and Agency securities (2) 597.2 570.2 574.6 594.2 620.1 620.7 610.5 621.9 621.3 621.0 621.6 546.4 3a Trading account 46.2 46.1 35.1 33.9 51.7 51.7 48.2 54.8 55.0 52.9 58.0 49.8 3b Investment account 551.1 524.1 539.5 560.3 568.4 569.0 562.3 567.1 566.3 568.1 563.5 496.6 3c Mortgage-backed 443.7 418.2 436.2 456.1 462.0 462.2 462.9 466.2 466.0 467.4 462.6 397.6 3d Other 107.4 105.9 103.3 104.2 106.3 106.9 99.4 100.8 100.4 100.7 100.9 99.0 4 Other securities 357.6 370.4 382.1 376.1 382.0 387.5 392.7 414.9 419.3 432.6 427.4 422.6 4a Trading account 178.1 202.7 213.3 205.0 204.0 202.5 204.2 216.1 220.5 230.0 225.6 218.9 4b Investment account 179.5 167.8 168.8 171.1 178.0 185.0 188.5 198.8 198.9 202.6 201.8 203.7 4c State and local government 33.0 33.6 33.4 33.8 34.4 34.8 35.4 36.4 36.4 37.0 35.8 35.9 4d Other 146.5 134.2 135.4 137.3 143.6 150.2 153.1 162.4 162.4 165.5 166.0 167.7 5 Loans and leases in bank credit (3) 2,357.9 2,468.7 2,503.2 2,529.1 2,530.9 2,532.9 2,544.0 2,535.4 2,531.8 2,560.6 2,556.9 2,597.0 6 Commercial and industrial 455.5 461.7 462.8 467.7 476.2 481.2 486.3 490.0 492.9 494.4 487.7 494.2 7 Real estate 1,204.3 1,265.5 1,275.7 1,296.7 1,292.1 1,298.9 1,311.9 1,306.3 1,299.7 1,307.2 1,319.4 1,318.3 8 Revolving home equity 232.3 280.5 284.8 289.7 292.8 294.8 297.9 300.6 301.7 300.2 300.3 301.5 9 Other 972.0 985.1 990.9 1,007.0 999.3 1,004.1 1,014.0 1,005.6 998.0 1,007.0 1,019.1 1,016.8 9a Other residential 616.7 617.1 621.7 635.5 626.3 630.5 637.7 625.3 616.7 626.1 636.4 632.2 9b Commercial 355.3 368.0 369.2 371.5 373.0 373.6 376.4 380.3 381.3 380.8 382.7 384.6 10 Consumer 364.6 385.1 390.0 397.0 394.4 387.8 385.1 379.2 381.0 376.7 377.8 376.2 10a Credit card and related plans 115.7 142.8 149.2 156.7 152.2 145.7 145.2 142.6 143.8 141.9 141.4 144.1 10f Other 248.9 242.2 240.8 240.3 242.2 242.1 239.9 236.7 237.3 234.7 236.4 232.1 11 Security (4) 83.5 81.8 94.3 90.3 95.7 97.3 94.9 93.6 89.3 105.6 99.2 119.8 11a Fed funds and RPs with broker/dealer 61.1 60.6 72.8 68.6 74.7 75.3 80.2 78.7 74.6 91.2 83.7 104.2 11b Other 22.4 21.2 21.5 21.7 21.0 22.1 14.8 14.9 14.8 14.3 15.5 15.6 12a State and local government 15.3 16.6 16.9 16.9 16.7 16.8 16.9 16.9 16.9 17.1 16.8 16.6 12b Agricultural 9.3 9.6 9.7 9.5 9.2 9.1 9.1 9.1 9.1 9.1 9.1 9.1 12c Fed funds and RPs with others 18.0 27.4 27.3 27.5 27.3 28.1 22.1 20.6 24.1 24.6 24.8 35.7 12d All other loans 110.5 126.9 131.0 127.5 124.2 119.3 123.9 127.0 126.3 133.4 129.6 134.8 12e Lease financing receivables 97.1 94.2 95.7 96.0 95.2 94.4 93.8 92.6 92.5 92.6 92.4 92.2 13 Interbank loans 202.6 222.5 203.6 163.8 166.8 157.2 176.7 167.2 163.8 160.9 159.3 161.3 13a Fed funds and RPs with banks 93.2 124.7 128.3 104.6 103.7 92.4 111.2 100.5 97.6 96.4 93.2 95.1 13b Other 109.3 97.8 75.4 59.3 63.1 64.8 65.5 66.7 66.2 64.5 66.1 66.2 14 Cash assets (5) 151.6 151.2 162.3 167.4 156.2 164.0 155.9 159.4 149.2 196.6 164.4 161.5 15 Other assets (6) 418.7 450.5 454.2 453.4 451.5 465.9 458.1 446.1 434.7 444.3 455.4 453.0 16 TOTAL ASSETS (7) 4,046.1 4,195.4 4,242.3 4,247.4 4,271.0 4,292.7 4,303.2 4,310.4 4,285.7 4,381.2 4,350.3 4,307.1 ------------------------------------------------- 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) June 24, 2005 Account 2004 2004 2004 2005 2005 2005 2005 2005 Week ending May Nov Dec Jan Feb Mar Apr May May 25 Jun 1 Jun 8 Jun 15 -------- -------- -------- -------- -------- -------- -------- -------- ------- ------- ------- ------- L I A B I L I T I E S 17 Deposits 2,347.0 2,455.7 2,478.6 2,461.8 2,475.2 2,487.6 2,504.3 2,487.2 2,461.7 2,543.7 2,511.9 2,543.9 18 Transaction 304.8 325.2 350.7 323.7 318.3 330.2 319.1 311.0 336.8 323.8 286.8 319.6 19 Nontransaction 2,042.2 2,130.6 2,128.0 2,138.1 2,156.9 2,157.4 2,185.2 2,176.2 2,124.9 2,219.9 2,225.0 2,224.3 20 Large time 285.1 309.9 316.7 328.6 340.9 338.7 343.6 347.0 346.4 347.8 352.2 357.4 21 Other 1,757.1 1,820.6 1,811.3 1,809.5 1,816.0 1,818.7 1,841.7 1,829.2 1,778.5 1,872.1 1,872.8 1,866.9 22 Borrowings 754.6 729.6 731.0 714.5 733.1 746.8 756.5 760.9 747.6 761.5 771.5 759.4 23 From banks in the U.S. 194.3 193.2 172.6 159.2 163.4 154.4 167.0 152.9 141.4 144.5 147.9 145.6 24 From others 560.3 536.4 558.4 555.3 569.7 592.5 589.5 608.0 606.2 617.1 623.5 613.7 25 Net due to related foreign offices 232.8 189.6 213.7 257.8 245.3 241.3 224.3 247.9 263.9 251.3 237.3 195.3 26 Other liabilities 240.3 331.7 327.4 319.2 323.3 321.2 326.5 324.7 319.8 331.6 337.4 314.7 27 TOTAL LIABILITIES 3,574.7 3,706.7 3,750.7 3,753.3 3,776.9 3,796.9 3,811.6 3,820.7 3,793.0 3,888.0 3,858.0 3,813.3 28 Residual (assets less liabilities) (8) 471.4 488.7 491.6 494.1 494.1 495.7 491.6 489.7 492.7 493.2 492.3 493.9 ------------------------------------------------- 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 June 24, 2005 Account 2004 2004 2004 2005 2005 2005 2005 2005 Week ending May Nov Dec Jan Feb Mar Apr May May 25 Jun 1 Jun 8 Jun 15 -------- -------- -------- -------- -------- -------- -------- -------- ------- ------- ------- ------- A S S E T S 1 Bank credit 2,600.9 2,684.4 2,706.6 2,722.5 2,755.5 2,813.8 2,841.9 2,864.1 2,869.2 2,878.8 2,882.5 2,895.2 2 Securities in bank credit 719.9 709.7 710.7 715.6 719.8 721.9 723.9 723.0 722.0 721.4 721.7 715.9 3 Treasury and Agency securities (2) 507.3 493.1 492.1 497.4 500.0 498.7 499.8 500.7 500.6 500.0 500.5 496.3 4 Other securities 212.6 216.6 218.6 218.2 219.8 223.2 224.1 222.3 221.3 221.4 221.2 219.7 5 Loans and leases in bank credit (3) 1,881.0 1,974.7 1,995.9 2,007.0 2,035.7 2,091.9 2,118.0 2,141.1 2,147.3 2,157.4 2,160.8 2,179.3 6 Commercial and industrial 304.5 321.6 324.3 329.3 331.6 335.9 339.5 342.9 343.1 344.2 344.4 346.5 7 Real estate 1,178.6 1,242.0 1,252.3 1,253.7 1,283.9 1,327.4 1,344.8 1,364.2 1,369.7 1,376.4 1,379.0 1,389.8 8 Revolving home equity 96.3 113.0 113.6 115.3 115.9 118.9 121.4 124.0 123.5 126.6 126.4 127.0 9 Other 1,082.3 1,129.0 1,138.7 1,138.4 1,168.0 1,208.5 1,223.4 1,240.2 1,246.2 1,249.8 1,252.6 1,262.7 10 Consumer 292.3 301.2 309.5 312.7 309.5 318.7 322.9 322.8 322.3 325.2 326.4 329.8 11 Security (4) 7.0 7.8 7.7 8.0 8.0 7.9 8.3 8.3 8.5 8.2 8.0 8.5 12 Other loans and leases 98.6 102.1 102.1 103.2 102.7 102.0 102.5 103.0 103.7 103.3 103.0 104.8 13 Interbank loans 76.4 84.2 80.2 79.8 80.0 75.7 70.4 73.2 75.1 74.0 66.3 73.4 14 Cash assets (5) 116.4 112.4 108.6 112.3 114.2 115.1 111.7 112.8 111.4 114.4 112.5 108.9 15 Other assets (6) 139.5 164.5 164.0 174.5 177.8 184.1 188.3 196.7 198.9 206.9 206.5 193.7 16 TOTAL ASSETS (7) 2,901.1 3,013.2 3,026.8 3,056.7 3,095.1 3,155.8 3,179.2 3,213.3 3,221.2 3,240.6 3,234.4 3,237.6 L I A B I L I T I E S 17 Deposits 2,200.8 2,300.5 2,316.7 2,340.4 2,365.0 2,390.6 2,404.4 2,412.5 2,407.5 2,428.2 2,417.2 2,424.9 18 Transaction 340.3 336.1 339.1 336.5 341.3 355.0 347.6 348.6 370.0 342.2 335.3 334.2 19 Nontransaction 1,860.5 1,964.4 1,977.6 2,003.8 2,023.6 2,035.7 2,056.8 2,063.9 2,037.6 2,086.0 2,081.9 2,090.7 20 Large time 332.2 352.8 354.5 362.7 369.9 379.2 385.6 389.3 390.0 392.2 394.6 394.4 21 Other 1,528.4 1,611.6 1,623.1 1,641.1 1,653.7 1,656.5 1,671.2 1,674.7 1,647.5 1,693.8 1,687.3 1,696.2 22 Borrowings 474.8 488.5 487.8 483.4 494.6 495.0 498.9 513.8 519.0 511.1 504.4 501.2 23 From banks in the U.S. 186.8 182.0 172.9 160.3 166.3 166.8 167.8 170.5 175.0 168.0 162.4 168.4 24 From others 288.0 306.5 315.0 323.1 328.4 328.1 331.1 343.3 344.0 343.1 342.0 332.8 25 Net due to related foreign offices 22.8 7.3 8.7 11.6 8.7 5.8 5.5 10.6 13.5 9.7 10.3 8.9 26 Other liabilities 70.9 72.5 72.2 73.0 69.2 72.9 72.6 73.7 75.8 74.6 75.2 78.6 27 TOTAL LIABILITIES 2,769.4 2,868.8 2,885.4 2,908.4 2,937.5 2,964.3 2,981.3 3,010.6 3,015.8 3,023.5 3,007.1 3,013.6 28 Residual (assets less liabilities) (8) 131.7 144.4 141.3 148.3 157.6 191.5 197.9 202.8 205.4 217.0 227.3 224.0 ------------------------------------------------- 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 June 24, 2005 Account 2004 2004 2004 2005 2005 2005 2005 2005 Week ending May Nov Dec Jan Feb Mar Apr May May 25 Jun 1 Jun 8 Jun 15 -------- -------- -------- -------- -------- -------- -------- -------- ------- ------- ------- ------- A S S E T S 1 Bank credit 2,594.7 2,700.8 2,725.8 2,726.9 2,752.1 2,802.9 2,830.0 2,857.3 2,863.4 2,867.2 2,872.3 2,877.6 2 Securities in bank credit 719.5 710.0 714.7 715.7 717.6 723.3 726.1 722.5 721.3 719.9 721.6 715.1 3 Treasury and Agency securities (2) 506.9 493.4 496.1 497.5 497.9 500.1 502.0 500.3 500.0 498.5 500.4 495.5 4 Other securities 212.6 216.6 218.6 218.2 219.8 223.2 224.1 222.3 221.3 221.4 221.2 219.7 5 Loans and leases in bank credit (3) 1,875.3 1,990.9 2,011.1 2,011.3 2,034.5 2,079.6 2,103.9 2,134.8 2,142.1 2,147.3 2,150.7 2,162.5 6 Commercial and industrial 306.6 320.4 324.4 328.7 331.5 336.5 341.0 345.2 345.3 346.0 346.0 347.3 7 Real estate 1,174.5 1,254.8 1,259.4 1,254.5 1,283.3 1,320.1 1,335.5 1,359.5 1,366.2 1,368.7 1,371.5 1,378.2 8 Revolving home equity 96.3 112.9 113.2 114.9 115.6 118.2 121.0 124.0 123.5 126.3 126.6 127.0 9 Other 1,078.2 1,141.9 1,146.2 1,139.6 1,167.6 1,201.9 1,214.5 1,235.5 1,242.8 1,242.4 1,244.9 1,251.2 9b Other residential -- 465.5 462.2 445.5 462.8 480.4 485.2 497.7 504.3 501.7 503.2 507.2 9c Commercial -- 676.4 684.0 694.1 704.9 721.5 729.3 737.7 738.5 740.7 741.7 744.0 10 Consumer 289.4 305.0 317.1 319.2 311.4 314.4 317.8 319.6 319.6 321.0 321.1 323.2 10a Credit card and related plans 143.5 151.3 162.1 162.0 153.3 157.0 159.1 159.9 160.1 160.6 160.2 161.7 10h Other 145.8 153.7 155.0 157.3 158.1 157.4 158.7 159.7 159.5 160.4 160.9 161.5 11 Security (4) 6.9 7.9 7.7 7.7 8.0 8.1 8.3 8.2 8.2 8.3 8.3 8.6 12 Other loans and leases 98.0 102.7 102.5 101.1 100.3 100.5 101.2 102.4 102.6 103.3 103.7 105.2 13 Interbank loans 74.0 85.7 80.0 76.5 80.2 79.7 73.9 71.0 69.7 73.6 70.6 73.7 14 Cash assets (5) 115.4 116.3 113.0 113.4 112.2 110.4 108.8 111.8 108.3 123.7 109.6 108.8 15 Other assets (6) 139.5 164.5 164.0 174.5 177.8 184.1 188.3 196.7 198.9 206.9 206.5 193.7 16 TOTAL ASSETS (7) 2,891.5 3,035.0 3,050.2 3,058.9 3,090.0 3,144.3 3,168.1 3,203.4 3,206.8 3,238.1 3,225.5 3,220.1 L I A B I L I T I E S 17 Deposits 2,196.4 2,311.8 2,329.9 2,335.3 2,354.7 2,388.9 2,408.7 2,407.9 2,393.1 2,436.7 2,427.6 2,426.5 18 Transaction 336.1 339.4 352.1 340.4 336.8 350.7 348.3 344.3 360.6 347.9 330.2 330.9 19 Nontransaction 1,860.3 1,972.5 1,977.8 1,995.0 2,017.9 2,038.2 2,060.4 2,063.6 2,032.4 2,088.8 2,097.4 2,095.6 20 Large time 332.2 352.8 354.5 362.7 369.9 379.2 385.6 389.3 390.0 392.2 394.6 394.4 21 Other 1,528.1 1,619.7 1,623.3 1,632.3 1,648.0 1,659.0 1,674.8 1,674.4 1,642.4 1,696.6 1,702.8 1,701.1 22 Borrowings 474.8 488.5 487.8 483.4 494.6 495.0 498.9 513.8 519.0 511.1 504.4 501.2 23 From banks in the U.S. 186.8 182.0 172.9 160.3 166.3 166.8 167.8 170.5 175.0 168.0 162.4 168.4 24 From others 288.0 306.5 315.0 323.1 328.4 328.1 331.1 343.3 344.0 343.1 342.0 332.8 25 Net due to related foreign offices 22.8 7.3 8.7 11.6 8.7 5.8 5.5 10.6 13.5 9.7 10.3 8.9 26 Other liabilities 70.9 72.5 72.2 73.0 69.2 72.9 72.6 73.7 75.8 74.6 75.2 78.6 27 TOTAL LIABILITIES 2,764.9 2,880.1 2,898.6 2,903.4 2,927.3 2,962.5 2,985.7 3,006.0 3,001.3 3,032.0 3,017.5 3,015.1 28 Residual (assets less liabilities) (8) 126.6 154.9 151.5 155.5 162.8 181.8 182.4 197.4 205.5 206.0 208.0 205.0 ------------------------------------------------- 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 June 24, 2005 Account 2004 2004 2004 2005 2005 2005 2005 2005 Week ending May Nov Dec Jan Feb Mar Apr May May 25 Jun 1 Jun 8 Jun 15 -------- -------- -------- -------- -------- -------- -------- -------- ------- ------- ------- ------- A S S E T S 1 Bank credit 634.7 681.0 642.6 656.5 680.6 688.1 688.7 706.2 716.3 713.9 720.2 702.6 2 Securities in bank credit 258.6 282.2 273.2 296.3 304.5 306.0 299.4 303.7 305.7 310.1 311.6 304.7 3 Treasury and Agency securities (2) 92.3 90.7 84.0 87.6 97.1 94.9 87.0 88.3 89.9 86.4 90.0 89.3 4 Other securities 166.4 191.5 189.2 208.7 207.5 211.1 212.4 215.4 215.8 223.7 221.6 215.4 5 Loans and leases in bank credit (3) 376.1 398.8 369.4 360.2 376.0 382.1 389.3 402.5 410.6 403.8 408.6 397.9 6 Commercial and industrial 128.3 136.0 139.1 143.0 144.9 144.5 150.4 154.5 157.4 154.8 154.0 153.8 7 Real estate 17.6 18.2 18.5 19.1 18.9 19.0 19.3 18.3 18.2 18.3 18.3 18.3 11 Security (4) 140.5 148.2 117.9 101.3 113.2 120.1 118.6 129.1 132.7 131.3 135.7 124.9 12 Other loans and leases 89.7 96.4 93.8 96.8 99.0 98.5 101.0 100.6 102.3 99.4 100.5 100.9 13 Interbank loans 32.9 50.3 50.1 45.3 41.7 43.0 45.0 48.0 47.6 47.8 51.3 44.0 14 Cash assets (5) 61.3 62.7 61.0 66.8 64.1 65.0 64.1 64.3 65.0 61.8 64.1 63.0 15 Other assets (6) 33.1 36.4 38.4 31.2 31.2 33.2 34.2 35.7 36.5 40.2 40.1 39.2 16 TOTAL ASSETS (7) 761.6 829.9 791.7 799.4 817.2 829.0 831.7 853.8 865.0 863.3 875.4 848.4 L I A B I L I T I E S 17 Deposits 496.4 548.2 550.7 564.7 553.4 561.1 588.5 587.0 593.5 588.2 606.4 605.3 18 Transaction 11.7 11.5 11.8 11.8 13.2 14.5 14.3 14.2 14.1 13.4 14.3 15.0 19 Nontransaction 484.7 536.6 538.9 552.9 540.3 546.6 574.2 572.8 579.3 574.7 592.1 590.3 22 Borrowings 332.2 365.3 341.3 332.5 345.8 350.6 345.8 351.6 351.0 352.4 335.3 359.6 23 From banks in the U.S. 42.8 52.6 52.6 40.1 44.1 43.8 44.3 39.8 37.5 42.7 37.6 59.2 24 From others 289.4 312.7 288.7 292.4 301.6 306.8 301.6 311.8 313.5 309.7 297.7 300.4 25 Net due to related foreign offices -176.5 -176.3 -187.6 -198.0 -185.7 -181.3 -203.6 -192.9 -193.2 -190.6 -185.3 -215.3 26 Other liabilities 97.8 99.4 93.1 92.0 96.0 91.4 93.3 92.9 94.0 100.2 104.4 95.0 27 TOTAL LIABILITIES 749.8 836.6 797.5 791.3 809.6 821.9 824.0 838.6 845.2 850.1 860.8 844.6 28 Residual (assets less liabilities) (8) 11.8 -6.7 -5.8 8.1 7.6 7.1 7.7 15.2 19.8 13.2 14.6 3.8 ------------------------------------------------- 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 June 24, 2005 Account 2004 2004 2004 2005 2005 2005 2005 2005 Week ending May Nov Dec Jan Feb Mar Apr May May 25 Jun 1 Jun 8 Jun 15 -------- -------- -------- -------- -------- -------- -------- -------- ------- ------- ------- ------- A S S E T S 1 Bank credit 631.9 682.5 648.4 659.0 682.3 691.3 694.1 703.7 710.6 712.3 714.4 706.7 2 Securities in bank credit (2) 258.6 282.2 273.2 296.3 304.5 306.0 299.4 303.7 305.7 310.1 311.6 304.7 3 Treasury and Agency securities 92.3 90.7 84.0 87.6 97.1 94.9 87.0 88.3 89.9 86.4 90.0 89.3 3a Trading account 33.0 32.4 27.4 30.5 38.3 38.8 30.9 31.1 33.1 29.2 31.1 31.2 3b Investment account 59.2 58.3 56.6 57.0 58.8 56.1 56.1 57.2 56.8 57.2 58.9 58.1 4 Other securities 166.4 191.5 189.2 208.7 207.5 211.1 212.4 215.4 215.8 223.7 221.6 215.4 4a Trading account 99.7 119.0 115.6 115.4 116.5 124.2 128.0 130.7 130.8 139.1 136.7 131.0 4b Investment account 66.6 72.4 73.6 93.3 91.0 86.9 84.4 84.7 85.0 84.6 84.8 84.4 5 Loans and leases in bank credit (3) 373.2 400.3 375.1 362.7 377.8 385.3 394.7 399.9 405.0 402.2 402.8 401.9 6 Commercial and industrial 128.4 135.3 140.1 143.7 146.6 146.6 151.5 154.6 156.8 154.6 153.6 153.0 7 Real estate 17.6 18.2 18.5 19.1 18.9 19.0 19.3 18.3 18.2 18.3 18.3 18.3 11 Security (4) 137.1 152.4 123.8 104.3 115.3 121.5 121.8 126.0 127.9 128.1 128.7 128.0 12 Other loans and leases 90.2 94.4 92.8 95.7 97.0 98.2 102.1 101.1 102.1 101.2 102.2 102.6 13 Interbank loans 32.9 50.3 50.1 45.3 41.7 43.0 45.0 48.0 47.6 47.8 51.3 44.0 14 Cash assets (5) 60.6 62.7 63.2 66.3 63.2 62.9 63.5 63.6 63.5 62.0 63.4 62.6 15 Other assets (6) 33.7 35.7 38.9 33.3 33.0 33.2 32.9 36.4 37.2 41.1 40.9 39.6 16 TOTAL ASSETS (7) 758.7 830.8 800.2 803.5 819.8 830.1 835.1 851.2 858.5 862.8 869.6 852.5 L I A B I L I T I E S 17 Deposits 507.7 534.8 547.4 572.0 560.7 566.6 600.3 600.3 607.9 602.2 618.7 615.7 18 Transaction 11.5 11.4 12.2 12.1 13.2 14.0 14.0 13.9 13.7 13.6 13.7 14.8 19 Nontransaction 496.2 523.4 535.2 559.9 547.6 552.6 586.3 586.4 594.1 588.6 605.1 600.9 22 Borrowings 332.2 365.3 341.3 332.5 345.8 350.6 345.8 351.6 351.0 352.4 335.3 359.6 23 From banks in the U.S. 42.8 52.6 52.6 40.1 44.1 43.8 44.3 39.8 37.5 42.7 37.6 59.2 24 From others 289.4 312.7 288.7 292.4 301.6 306.8 301.6 311.8 313.5 309.7 297.7 300.4 25 Net due to related foreign offices -178.3 -173.7 -186.3 -197.2 -186.1 -181.9 -206.1 -195.0 -195.5 -193.1 -189.0 -218.5 26 Other liabilities 96.2 101.4 94.1 92.6 95.7 91.0 91.4 91.4 92.4 98.4 101.7 92.8 27 TOTAL LIABILITIES 757.7 827.8 796.5 800.0 816.2 826.4 831.4 848.4 855.7 860.0 866.7 849.6 28 Residual (assets less liabilities) (8) 1.0 3.0 3.7 3.6 3.6 3.7 3.7 2.9 2.9 2.9 2.9 2.9 ------------------------------------------------- Footnotes appear on page 14. H.8 (510) Page 13 MEMO ITEMS Not seasonally adjusted, billions of dollars June 24, 2005 Account 2004 2004 2004 2005 2005 2005 2005 2005 Week ending May Nov Dec Jan Feb Mar Apr May May 25 Jun 1 Jun 8 Jun 15 -------- -------- -------- -------- -------- -------- -------- -------- ------- ------- ------- ------- LARGE DOMESTICALLY CHARTERED BANKS, adjusted for mergers 29 Reval. gains on off-bal. sheet items (9) 99.0 95.7 103.7 93.1 89.3 88.4 89.3 90.8 90.9 99.6 96.2 88.5 30 Reval. losses on off-bal. sheet items (9) 82.5 90.5 95.1 83.7 78.8 78.8 80.3 82.7 82.6 92.0 89.9 80.1 31 Mortgage-backed securities (10) 496.6 487.8 504.8 525.6 538.2 541.3 543.5 554.1 554.4 557.3 552.6 489.0 31a Pass-through 382.1 370.2 389.0 410.7 419.5 422.7 427.0 433.8 434.5 435.2 430.8 367.3 31b CMO, REMIC, and other 114.6 117.6 115.8 115.0 118.7 118.6 116.5 120.3 119.9 122.1 121.8 121.7 32 Net unrealized gains (losses) on available-for-sale securities (11) -4.1 4.3 4.7 3.9 1.5 -2.6 -3.6 0.7 0.7 3.7 2.9 0.8 33 Securitized consumer loans (12) 148.9 151.9 155.6 158.6 155.8 148.8 147.6 149.7 149.2 150.0 149.7 151.3 33a Credit card and related plans 129.2 130.3 133.2 136.6 134.3 127.7 127.0 129.5 129.1 130.1 129.7 128.3 33b Other 19.7 21.6 22.4 22.0 21.6 21.0 20.6 20.1 20.1 20.0 19.9 23.0 35 Securitized business loans (12) 7.4 6.5 6.4 6.4 6.4 6.4 6.2 6.1 6.1 6.1 6.1 6.1 SMALL DOMESTICALLY CHARTERED BANKS, adjusted for mergers 31 Mortgage-backed securities (10) 327.8 327.2 333.3 335.5 338.6 343.9 343.6 343.6 343.8 343.7 344.1 338.6 33 Securitized consumer loans (12) 212.7 221.2 221.5 222.2 208.5 211.1 210.7 209.5 209.9 209.7 209.7 209.5 33a Credit card and related plans 205.5 213.9 214.2 214.9 201.2 203.9 203.5 202.4 202.7 202.6 202.6 202.4 33b Other 7.2 7.3 7.3 7.3 7.2 7.2 7.2 7.1 7.1 7.1 7.1 7.1 FOREIGN-RELATED INSTITUTIONS 29 Reval. gains on off-bal. sheet items (9) 60.6 64.6 59.3 54.5 53.7 52.4 52.5 53.4 53.2 59.4 58.3 52.5 30 Reval. losses on off-bal. sheet items (9) 63.3 71.4 65.1 61.9 64.8 63.0 62.6 61.9 61.6 68.5 67.4 61.5 34 Securitized business loans (12) 0.3 0.2 0.2 0.2 0.2 0.2 0.2 0.2 0.2 0.2 0.2 0.2 ------------------------------------------------- Footnotes appear on page 14. H.8 (510) Footnotes Page 14 June 24, 2005 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. Total amount outstanding.