The Federal Reserve Board eagle logo links to home page


Statistical Supplement | May 2007

Statistical Supplement to the Federal Reserve Bulletin, May 2007

3.17  Liabilities to Foreigners, Reported by Banks in the United States1
Payable in U.S. dollars
Millions of dollars, end of period
Item 2004 2005 2006 2006 2007
Sept Oct Nov Dec Jan Feb Marp
By Holder and Type of Liability  
1 Total, all foreigners 2,911,516 3,080,907 3,768,459r 3,623,865r 3,682,948r 3,859,275 3,768,459r 3,897,284r 4,024,736r 4,043,270
 
2 Banks' own liabilities 2,082,981 2,299,950 2,853,112r 2,730,322r 2,789,985r 2,950,833 2,853,112r 2,964,046r 3,070,656r 3,070,480
  By type of liability  
3 Deposits2 955,072 1,043,801 1,316,468r 1,203,192r 1,279,418r 1,375,739 1,316,468r 1,321,956r 1,351,430r 1,345,187
4 Other 1,127,909 1,256,149 1,536,644r 1,527,130r 1,510,567r 1,575,094 1,536,644r 1,642,090r 1,719,226r 1,725,293
5 Of which: repurchase agreements3 665,127 713,327 961,546r 955,013 948,356 1,010,571 961,546r 1,043,900r 1,120,971r 1,140,580
6 Banks' custody liabilities4 828,535 780,957 915,347 893,543 892,963 908,442 915,347 933,238 954,080 972,790
  By type of liability  
7 U.S. Treasury bills and certificates5 318,783 259,843 250,811 242,183 246,243 255,711 250,811 252,019 257,269 277,693
8 Other negotiable and readily transferable instruments6 315,169 319,598 371,321 368,063 358,520 363,721 371,321 384,483 387,515 386,363
9 Of which: negotiable time certificates of deposit held in custody for foreigners 48,260 53,594 66,145 60,954 60,480 64,756 66,145 66,456 69,592 70,622
10 Of which: short-term agency securities7 152,789 136,783 113,755 116,930 104,177 105,747 113,755 108,181 108,847 112,775
11 Other 194,583 201,516 293,215 283,297 288,200 289,010 293,215 296,736 309,296 308,734
 
12 International and regional organizations8 15,654 20,793 29,425 30,971 30,220 32,845 29,425 32,539 37,648 35,739
13 Banks' own liabilities 10,363 15,612 25,770 25,655 25,570 28,676 25,770 28,908 28,819 27,914
14 Deposits2 6,098 8,361 19,021 18,901 19,988 18,977 19,021 22,234 21,539 22,527
15 Other 4,265 7,251 6,749 6,754 5,582 9,699 6,749 6,674 7,280 5,387
16 Banks' custody liabilities4 5,291 5,181 3,655 5,316 4,650 4,169 3,655 3,631 8,829 7,825
17 U.S. Treasury bills and certificates5 1,879 1,085 800 1,327 814 1,281 800 380 5,679 4,535
18 Other negotiable and readily transferable instruments6 3,412 4,096 2,855 3,989 3,836 2,888 2,855 3,251 3,150 3,290
 
19 Official institutions9 515,586 498,510 461,331r 479,388 447,936 453,746 461,331r 476,057r 498,008 507,086
20 Banks' own liabilities 145,516 170,984 178,629r 187,389 168,237 167,488 178,629r 192,557r 213,082 206,301
21 Deposits2 26,613 45,426 51,020r 50,320r 50,620r 51,298 51,020r 56,099r 55,454 50,368
22 Other 118,903 125,558 127,609 137,069r 117,617r 116,190 127,609 136,458 157,628 155,933
 
23 Banks' custody liabilities4 370,070 327,526 282,702 291,999 279,699 286,258 282,702 283,500 284,926 300,785
24 U.S. Treasury bills and certificates5 245,199 201,863 176,829 179,394 178,474 186,164 176,829 181,356 181,798 194,914
25 Other negotiable and readily transferable instruments6 124,871 125,663 105,873 112,605 101,225 100,094 105,873 102,144 103,128 105,871
 
26 Banks10 1,574,793 1,792,040 2,194,764r 2,097,926 2,167,342 2,267,936 2,194,764r 2,231,525r 2,320,547r 2,306,856
27 Banks' own liabilities 1,354,437 1,566,967 1,855,852r 1,775,652 1,835,896 1,937,334 1,855,852r 1,904,414r 1,978,746r 1,964,521
28 Deposits2 773,703 841,248 1,023,546r 918,048r 990,627r 1,081,841 1,023,546r 1,021,388r 1,052,427r 1,042,952
29 Other 580,734 725,719 832,306r 857,604r 845,269r 855,493 832,306r 883,026r 926,319r 921,569
30 Banks' custody liabilities4 220,356 225,073 338,912 322,274 331,446 330,602 338,912 327,111 341,801 342,335
31 U.S. Treasury bills and certificates5 26,978 23,771 31,061 24,583 26,561 27,613 31,061 27,132 27,408 31,621
32 Other negotiable and readily transferable instruments6 52,400 48,776 66,350 62,000 64,509 62,682 66,350 56,361 57,411 55,633
33 Other 140,978 152,526 241,501 235,691 240,376 240,307 241,501 243,618 256,982 255,081
 
34 Other foreigners11 805,483 769,564 1,082,939r 1,015,580r 1,037,450r 1,104,748 1,082,939r 1,157,163r 1,168,533r 1,193,589
35 Banks' own liabilities 572,665 546,387 792,861r 741,626r 760,282r 817,335 792,861r 838,167r 850,009r 871,744
36 Deposits2 148,658 148,766 222,881r 215,923r 218,183r 223,623 222,881r 222,235r 222,010r 229,340
37 Other 424,007 397,621 569,980r 525,703r 542,099r 593,712 569,980r 615,932r 627,999r 642,404
 
38 Banks' custodial liabilities 232,818 223,177 290,078 273,954 277,168 287,413 290,078 318,996 318,524 321,845
39 U.S. Treasury bills and certificates5 44,727 33,124 42,121 36,879 40,394 40,653 42,121 43,151 42,384 46,623
40 Other negotiable and readily transferable instruments6 136,192 142,188 196,345 189,758 189,098 198,059 196,345 222,770 224,006 221,589
41 Other 51,899 47,865 51,612 47,317 47,676 48,701 51,612 53,075 52,134 53,633
 
  Memo  
42 Own foreign offices12 1,349,777 1,552,323 1,918,478 1,844,381 1,908,270 2,000,041 1,918,478 1,995,052 2,065,314r 2,076,396

1. Reporting banks include all types of depository institutions as well as some banks/financial holding companies and brokers and dealers. Excludes bonds and notes of maturities longer than one year. Effective February 2003, coverage is expanded to include liabilities of brokers and dealers to affiliated foreign offices.   Return to table

2. Non-negotiable deposits and brokerage balances.   Return to table

3. Data available beginning January 2001.   Return to table

4. Financial claims on residents of the United States, other than long-term securities, held by or through reporting banks for foreign customers. Effective February 2003, also includes loans to U.S. residents in managed foreign offices of U.S. reporting institutions.   Return to table

5. Includes nonmarketable certificates of indebtedness and Treasury bills issued to official institutions of foreign countries.   Return to table

6. Principally bankers acceptances, commercial paper, negotiable time certificates of deposit, and short-term agency securities.   Return to table

7. Data available beginning January 2001.   Return to table

8. Principally the International Bank for Reconstruction and Development, the Inter-American Development Bank, and the Asian Development Bank. Excludes "holdings of dollars" of the International Monetary Fund. Beginning with data for June 2006, also includes the Bank for International Settlements.   Return to table

9. Foreign central banks and foreign central governments. Before June 2006, also includes the Bank for International Settlements.   Return to table

10. Excludes central banks, which are included in "Official institutions." Includes positions with affiliated banking offices also included in memo line (44) above.   Return to table

11. As of February 2003, includes positions with affiliated non-banking offices also included in memo line (44) above.   Return to table

12. For U.S. banks, includes amounts owed to own foreign branches and foreign subsidiaries consolidated in the quarterly Consolidated Reports of Condition filed with bank regulatory agencies. For agencies, branches, and majority-owned subsidiaries of foreign banks, consists principally of amounts owed to the head office or parent foreign office, and to foreign branches, agencies, or wholly owned subsidiaries of the head office or parent foreign bank. Effective February 2003, includes amounts owed to affiliated foreign offices of U.S. brokers and dealers.   Return to table

Statistical Supplement | May 2007 | Tips for printing wide tables | Symbols and Abbreviations


Accessibility | Contact us
Last update: June 4, 2007