L.111 U.S.-chartered depository institutions

Billions of dollars; amounts outstanding end of period, not seasonally adjusted

Line Description Series 2023 2024 2025 2024:Q3 2024:Q4 2025:Q1 2025:Q2 2025:Q3 2025:Q4
Line 1 Total financial assets FL764090005 21380.5 21634.4 22547.8 21566.7 21634.4 21855.0 22113.2 22226.2 22547.8
Line 2 Interbank assets FL764010005 2526.2 2365.3 2292.4 2365.9 2365.3 2426.0 2299.3 2233.8 2292.4
Line 3 Reserves at Federal Reserve FL763013005 1987.0 1843.5 1691.5 1797.2 1843.5 1839.1 1751.6 1652.8 1691.5
Line 4 Due from domestic banks FL754112205 37.0 39.8 41.5 37.5 39.8 45.9 47.7 41.5 41.5
Line 5 Due from rest of the world FL764016005 502.1 481.9 559.4 531.2 481.9 541.1 500.0 539.6 559.4
Line 6 Currency (vault cash) FL763025000 83.8 86.4 85.5 75.3 86.4 76.0 76.6 75.8 85.5
Line 7 Other deposits (FHLB deposits) FL403197033 13.2 14.3 16.0 13.9 14.3 14.5 16.6 15.6 16.0
Line 8 Federal funds and security repos FL762050005 321.6 337.7 378.1 363.2 337.7 349.3 390.5 357.6 378.1
Line 9 Debt securities LM764022005 5244.1 5336.5 5639.8 5467.3 5336.5 5499.3 5574.3 5685.0 5639.8
Line 10 Open market paper FL763069175 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Line 11 Treasury securities LM763061100 1329.2 1536.8 1744.8 1470.9 1536.8 1545.5 1637.1 1725.4 1744.8
Line 12 Agency- and GSE-backed securities LM763061705 2782.2 2748.3 2836.4 2851.2 2748.3 2828.4 2828.6 2849.0 2836.4
Line 13 Residential mortgage pass-through securities LM763061805 1871.1 1824.1 1864.1 1905.3 1824.1 1872.2 1862.2 1871.5 1864.1
Line 14 Commercial mortgage pass-through securities LM763061503 178.9 197.1 221.3 191.4 197.1 206.5 209.6 215.2 221.3
Line 15 Residential CMOs and other structured MBS LM763061603 435.7 463.2 505.0 468.4 463.2 486.0 496.4 508.4 505.0
Line 16 Commercial CMOs and other structured MBS LM763061403 143.4 128.2 128.7 142.1 128.2 131.1 130.6 128.2 128.7
Line 17 Other LM763061795 153.1 135.6 117.3 144.0 135.6 132.5 129.8 125.6 117.3
Line 18 Municipal securities LM763062005 414.4 374.5 362.1 387.7 374.5 367.0 361.1 366.9 362.1
Line 19 Corporate and foreign bonds LM763063005 718.3 676.9 696.5 757.5 676.9 758.4 747.5 743.7 696.5
Line 20 Priv. residential mortgage pass-through securities LM763063673 3.2 2.9 3.3 3.2 2.9 3.0 3.1 3.1 3.3
Line 21 Priv. commercial mortgage pass-through securities LM763063653 3.0 3.0 3.1 3.0 3.0 3.1 3.0 3.0 3.1
Line 22 Priv. residential CMOs and other structured MBS LM763063663 57.2 53.3 50.4 54.3 53.3 52.5 52.4 51.0 50.4
Line 23 Priv. commercial CMOs and other structured MBS LM763063693 52.3 48.1 42.9 49.9 48.1 47.4 46.6 44.8 42.9
Line 24 Other LM763063095 602.7 569.5 596.7 647.1 569.5 652.5 642.4 641.8 596.7
Line 25 Loans FL764023005 11847.0 12129.7 12797.2 11996.6 12129.7 12170.9 12399.9 12534.6 12797.2
Line 26 Depository institution loans n.e.c. FL763068005 3832.2 4122.6 4612.6 3914.4 4122.6 4214.8 4374.4 4457.2 4612.6
Line 27 Other loans and advances FL763069005 20.0 26.5 29.5 25.9 26.5 29.1 30.7 28.5 29.5
Line 28 Mortgages FL763065005 5893.5 5971.1 6096.5 5963.1 5971.1 5979.6 6021.2 6051.4 6096.5
Line 29 Consumer credit FL763066005 2101.3 2009.5 2058.6 2093.2 2009.5 1947.3 1973.6 1997.6 2058.6
Line 30 U.S. direct investment abroad: intercompany debt LM763092305 -2.7 -2.9 -4.4 -5.2 -2.9 -1.7 -4.0 -4.3 -4.4
Line 31 Corporate equities LM763064103 59.7 79.8 95.6 82.0 79.8 81.2 85.0 91.1 95.6
Line 32 U.S. direct investment abroad: equity LM763092100 363.8 377.5 502.5 405.2 377.5 394.4 442.1 471.7 502.5
Line 33 Miscellaneous other equity FL763094905 65.4 62.5 61.9 62.7 62.5 60.9 63.8 61.6 61.9
Line 34 Mutual fund shares LM763064203 10.5 11.3 14.4 10.4 11.3 13.0 14.7 16.0 14.4
Line 35 Life insurance reserves FL763040005 202.7 207.0 213.2 206.1 207.0 208.3 210.0 211.6 213.2
Line 36 Miscellaneous assets FL763090005 645.4 629.2 455.6 523.3 629.2 562.9 544.3 476.0 455.6
Line 37 Total liabilities and equity FL764194005 22137.3 22479.5 23343.1 22331.4 22479.5 22640.3 22923.0 23012.0 23343.1
Line 38 Total liabilities FL764190005 19826.9 20046.3 20730.7 19886.9 20046.3 20164.2 20382.0 20429.0 20730.7
Line 39 Interbank liabilities FL764110005 667.0 517.6 551.1 553.6 517.6 520.8 536.8 523.1 551.1
Line 40 Federal Reserve float FL713022003 -0.6 -1.1 -1.1 -0.7 -1.1 -0.7 -0.7 -0.7 -1.1
Line 41 Borrowing from Federal Reserve banks FL713068715 134.0 8.6 9.7 80.0 8.6 3.7 8.6 8.2 9.7
Line 42 Due to domestic banks FL764112205 37.0 48.3 48.6 43.5 48.3 52.4 54.1 53.4 48.6
Line 43 Due to rest of the world FL764116005 496.5 461.7 493.9 430.8 461.7 465.4 474.7 462.2 493.9
Line 44 Checkable deposits FL763127005 5923.3 6424.6 7752.0 6177.2 6424.6 6549.7 6649.1 6684.8 7752.0
Line 45 Time and savings deposits FL763130005 11169.9 11095.3 10446.7 11109.5 11095.3 11123.2 11116.9 11180.5 10446.7
Line 46 Federal funds and security repos FL762150005 244.2 261.8 277.5 284.0 261.8 276.1 325.0 294.3 277.5
Line 47 Debt securities FL764122005 442.9 415.5 431.8 447.5 415.5 439.7 483.0 460.5 431.8
Line 48 Open market paper FL763169175 188.4 176.0 187.8 191.5 176.0 188.0 212.5 202.3 187.8
Line 49 Corporate bonds FL763163005 254.5 239.5 244.0 256.0 239.5 251.8 270.5 258.2 244.0
Line 50 Loans (other loans and advances) FL763169305 555.3 474.2 404.5 491.3 474.2 439.0 472.5 425.3 404.5
Line 51 Taxes payable (net) FL763178000 56.6 61.2 84.4 75.0 61.2 49.6 58.4 80.6 84.4
Line 52 Miscellaneous liabilities FL763190005 767.7 796.1 782.6 748.8 796.1 766.1 740.3 780.0 782.6
Line 53 Other investment by holding company parents FL763194705 237.0 239.0 235.2 251.7 239.0 245.2 226.3 235.3 235.2
Line 54 Other FL763193005 530.7 557.1 547.5 497.1 557.1 520.8 514.1 544.7 547.5
Line 55 Total equity FL763181105 2310.5 2433.3 2612.5 2444.4 2433.3 2476.0 2541.1 2583.0 2612.5
Line 56 Corporate equities (market value) LM763164105 98.7 105.8 113.0 98.9 105.8 96.6 98.0 102.9 113.0
Line 57 Equity investment by holding company parents FL763194603 2211.7 2327.5 2499.4 2345.6 2327.5 2379.5 2443.1 2480.1 2499.4
 
Memo:
Line 58 Consumer leases not included above1 FL763066303 9.9 10.9 11.1 10.6 10.9 11.0 11.0 11.0 11.1
Line 59 Uninsured deposits2 FL763139105 6835.1 7227.2 7747.3 7018.3 7227.2 7264.4 7443.8 7527.5 7747.3

Notes:

  1. Receivables from operating leases, such as consumer automobile leases, are booked as current income when payments are received and are not included in financial assets (or household liabilities). The leased automobile is a nonfinancial asset.
  2. Includes checkable deposits (line 39) and time and savings deposits (line 45) not insured by the Federal Deposit Insurance Corporation.

Last Update: 2026-03-19