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The Federal Reserve Board compiles quarterly data on financial institutions that participate in the Department of the Treasury's Minority Bank Deposit Program and releases the data about twelve weeks after the end of each quarter. The data come from the Board's National Information Center database and from the quarterly reports of condition that commercial banks and thrift institutions file with their federal supervisory agencies. These quarterly reports are the commercial bank Consolidated Reports of Condition (FFIEC 031 and 041), the Thrift Financial Report (OTS Form 1313), and the National Credit Union Administration Statement of Financial Condition (NCUA 5300; NCUA 5310 for Corporate Credit Unions).
Explanations of codes appear at the end of the table.