L.112 Foreign banking offices in U.S.1

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 FL754090005 3717.4 3622.7 4061.3 3670.4 3622.7 3928.8 3953.3 4026.2 4061.3
Line 2 Interbank assets FL754010005 1924.1 1727.4 1924.1 1808.8 1727.4 1937.1 1882.5 1936.5 1924.1
Line 3 Reserves at Federal Reserve FL753013003 1016.4 907.4 1010.1 980.7 907.4 1131.2 1044.0 1065.1 1010.1
Line 4 Due from rest of the world FL754016005 887.0 800.3 896.6 805.2 800.3 783.3 816.2 850.3 896.6
Line 5 Due from domestic banks FL754012205 20.7 19.7 17.4 22.8 19.7 22.6 22.4 21.0 17.4
Line 6 Currency (vault cash) FL753025003 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Line 7 Federal funds and security repos FL752050005 335.2 360.6 418.6 365.8 360.6 432.9 426.4 429.7 418.6
Line 8 Debt securities LM754022005 271.5 298.5 333.4 297.3 298.5 295.1 316.5 319.0 333.4
Line 9 Open market paper FL753069603 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Line 10 Treasury securities LM753061103 93.5 100.3 125.2 111.7 100.3 108.4 122.3 124.1 125.2
Line 11 Agency- and GSE-backed securities LM753061703 43.0 49.3 63.7 49.5 49.3 51.8 54.3 57.7 63.7
Line 12 Municipal securities LM753062003 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Line 13 Corporate and foreign bonds LM753063005 135.0 148.9 144.5 136.1 148.9 134.9 139.9 137.2 144.5
Line 14 Loans FL754023005 1077.1 1144.6 1280.2 1101.8 1144.6 1149.6 1205.0 1213.4 1280.2
Line 15 Depository institution loans n.e.c. FL753068005 965.2 1030.3 1163.1 987.1 1030.3 1037.1 1089.1 1098.3 1163.1
Line 16 Other loans and advances FL753069703 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Line 17 Mortgages FL753065005 111.9 114.3 117.2 114.7 114.3 112.5 115.9 115.0 117.2
Line 18 Corporate equities FL753064103 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Line 19 Miscellaneous assets FL753093005 109.4 91.5 105.0 96.7 91.5 114.1 122.9 127.6 105.0
Line 20 Total liabilities and equity FL754194005 4119.0 4137.9 4588.2 4148.4 4137.9 4338.1 4425.6 4546.2 4588.2
Line 21 Total liabilities FL754190005 3577.0 3515.9 3863.4 3513.5 3515.9 3729.7 3764.1 3837.6 3863.4
Line 22 Interbank liabilities FL754110005 1500.4 1471.5 1674.2 1456.4 1471.5 1586.4 1561.0 1609.3 1674.2
Line 23 Due to rest of the world FL754116005 1463.4 1431.7 1632.7 1418.9 1431.7 1540.6 1513.4 1567.8 1632.7
Line 24 Due to domestic banks FL754112205 37.0 39.8 41.5 37.5 39.8 45.9 47.7 41.5 41.5
Line 25 Checkable deposits FL753127005 279.7 319.2 376.6 337.8 319.2 370.4 369.6 375.6 376.6
Line 26 Time and savings deposits FL753130005 928.0 970.5 1006.0 940.9 970.5 973.0 989.2 995.3 1006.0
Line 27 Federal funds and security repos FL752150005 551.5 436.4 471.9 456.8 436.4 470.4 488.6 490.2 471.9
Line 28 Debt securities (open market paper) FL753169175 146.0 173.3 180.4 167.4 173.3 164.5 183.7 198.6 180.4
Line 29 Foreign direct investment: intercompany debt LM753192305 14.3 15.1 14.5 15.4 15.1 15.1 14.6 14.2 14.5
Line 30 Miscellaneous liabilities FL753193005 157.1 129.9 139.8 138.9 129.9 150.0 157.4 154.5 139.8
Line 31 Total equity FL753181115 542.0 621.9 724.8 634.9 621.9 608.4 661.5 708.5 724.8
Line 32 Foreign direct investment: equity LM753192103 426.4 522.8 599.7 516.4 522.8 485.2 538.8 586.1 599.7
Line 33 Investment by other financial business FL753194503 115.6 99.1 125.1 118.5 99.1 123.2 122.7 122.4 125.1
 
Memo:
Line 34 Uninsured deposits2 FL753139105 1207.7 1289.7 1382.6 1278.7 1289.7 1343.3 1358.8 1370.9 1382.6

Notes:

  1. Branches and agencies of foreign banks, Edge Act and Agreement corporations, New York investment companies (through 1996:Q2), and American Express Bank (through 2008:Q4).
  2. All checkable deposits (line 22) and time and savings deposits (line 26) are considered uninsured according to the Federal Deposit Insurance Act.

Last Update: 2026-03-19