Description |
2003 |
2004 |
2005 |
2006 |
2007 |
2008 |
2009 Q1 |
2009 Q2 |
2009 Q3 |
2009 Q4 |
2010 Q1 |
Line |
Commercial banking total financial assets |
8229.7 |
9057.8 |
9843.7 |
10821.0 |
11809.5 |
14001.4 |
14446.2 |
14184.8 |
14133.2 |
14133.0 |
14438.6 |
1 |
U.S.-chartered commercial banks vault cash asset |
48.0 |
41.5 |
50.1 |
51.7 |
55.0 |
57.7 |
50.3 |
51.1 |
50.7 |
54.9 |
51.9 |
2 |
Commercial banking depository institution reserves at the Federal Reserve, excluding vault cash asset |
19.7 |
20.8 |
16.3 |
16.7 |
18.2 |
816.3 |
731.7 |
584.4 |
790.0 |
908.7 |
963.6 |
3 |
Banks in U.S.-affiliated areas checkable deposits and currency asset |
2.5 |
3.5 |
3.0 |
2.9 |
2.6 |
3.2 |
4.3 |
3.3 |
2.8 |
4.2 |
3.9 |
4 |
Commercial banking total bank credit asset |
6239.6 |
6851.5 |
7546.6 |
8402.1 |
9186.6 |
9672.4 |
9551.9 |
9519.0 |
9318.1 |
9297.5 |
9538.0 |
5 |
Commercial banking open market paper (commercial paper) asset |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
15.7 |
4.5 |
9.8 |
0.1 |
0.0 |
0.0 |
6 |
Commercial banking total Treasury securities asset |
132.1 |
107.8 |
97.0 |
94.9 |
112.3 |
93.2 |
117.1 |
123.7 |
180.3 |
185.4 |
252.2 |
7 |
Commercial banking agency and GSE-backed securities asset |
1000.3 |
1095.1 |
1089.6 |
1135.6 |
1022.3 |
1169.4 |
1175.4 |
1221.3 |
1185.8 |
1276.9 |
1270.9 |
8 |
Commercial banking municipal securities and loans asset |
132.7 |
140.8 |
157.7 |
180.2 |
192.9 |
216.7 |
214.8 |
219.7 |
218.0 |
218.6 |
219.3 |
9 |
Commercial banking corporate and foreign bonds asset |
481.2 |
563.6 |
687.0 |
780.3 |
978.2 |
979.9 |
957.4 |
939.0 |
949.4 |
867.7 |
786.1 |
10 |
Commercial banking bank loans not elsewhere classified asset |
1335.1 |
1410.1 |
1577.9 |
1704.8 |
2026.9 |
2230.3 |
2124.0 |
2029.4 |
1864.1 |
1778.9 |
1766.3 |
11 |
Commercial banking total mortgages asset |
2255.8 |
2595.6 |
2958.0 |
3403.1 |
3644.4 |
3841.4 |
3853.3 |
3897.6 |
3795.4 |
3818.7 |
3760.6 |
12 |
U.S.-chartered commercial banks consumer credit asset |
669.4 |
704.3 |
707.0 |
741.2 |
804.1 |
878.6 |
850.7 |
837.8 |
832.7 |
855.3 |
1163.2 |
13 |
Commercial banking security credit from brokers and dealers asset |
200.9 |
195.8 |
230.7 |
302.2 |
334.5 |
221.0 |
216.6 |
194.1 |
222.0 |
219.6 |
232.7 |
14 |
Commercial banking corporate equities asset |
15.0 |
20.3 |
24.1 |
35.3 |
41.5 |
6.7 |
4.5 |
10.5 |
20.5 |
30.3 |
34.7 |
15 |
U.S.-chartered commercial banks mutual fund shares asset |
17.1 |
18.1 |
17.4 |
24.5 |
29.6 |
19.6 |
33.5 |
36.0 |
49.7 |
46.1 |
52.1 |
16 |
All nonfinancial sectors except federal government customers' liabilities on acceptances (other loans and advances) liability |
4.4 |
4.0 |
4.0 |
0.4 |
0.5 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
17 |
Commercial banking total miscellaneous financial claims asset |
1915.7 |
2136.4 |
2223.7 |
2347.2 |
2546.6 |
3451.8 |
4108.0 |
4027.1 |
3971.6 |
3867.7 |
3881.3 |
18 |
Commercial banking total financial liabilities |
7379.4 |
8096.8 |
8685.2 |
9463.6 |
10400.8 |
12470.7 |
12669.4 |
12387.3 |
12493.1 |
12503.5 |
12756.2 |
19 |
Commercial banking net interbank liabilities |
119.3 |
144.2 |
128.3 |
115.7 |
12.8 |
983.1 |
751.3 |
388.6 |
369.6 |
220.7 |
96.7 |
20 |
Monetary authority net interbank transactions asset |
-0.3 |
1.0 |
1.0 |
-0.3 |
48.6 |
558.2 |
537.7 |
325.7 |
204.7 |
94.5 |
9.9 |
21 |
Instrument discrepancies (interbank) net interbank liabilities to domestic banks asset |
10.0 |
24.9 |
21.3 |
19.3 |
21.1 |
51.7 |
58.3 |
93.2 |
66.0 |
86.1 |
60.0 |
22 |
Commercial banking net interbank liabilities to foreign banks liability |
109.6 |
118.3 |
106.0 |
96.7 |
-56.9 |
373.3 |
155.2 |
-30.2 |
98.9 |
40.0 |
26.8 |
23 |
Commercial banking checkable deposits and currency liability |
607.2 |
646.7 |
610.3 |
574.4 |
587.7 |
729.1 |
666.6 |
729.4 |
735.9 |
814.0 |
770.0 |
24 |
U.S.-chartered commercial banks federal government transaction deposits liability |
30.2 |
26.9 |
33.9 |
28.0 |
42.9 |
3.5 |
4.3 |
4.0 |
3.7 |
3.8 |
4.1 |
25 |
Commercial banking checkable deposits due to rest of the world liability |
4.1 |
13.2 |
19.7 |
28.8 |
34.1 |
58.9 |
49.4 |
47.2 |
43.4 |
44.8 |
45.7 |
26 |
Commercial banking checkable deposits due to private domestic sectors liability |
573.0 |
606.6 |
556.8 |
517.6 |
510.7 |
666.7 |
612.9 |
678.1 |
688.8 |
765.5 |
720.3 |
27 |
Commercial banking small time and savings deposits liability |
2978.2 |
3258.7 |
3527.1 |
3814.7 |
4077.7 |
4619.1 |
4753.6 |
4777.9 |
4862.7 |
5003.5 |
5113.5 |
28 |
Commercial banking large time deposits liability |
928.1 |
1120.6 |
1363.7 |
1627.7 |
1925.3 |
1827.7 |
1763.7 |
1770.0 |
1784.9 |
1824.8 |
1713.5 |
29 |
Commercial banking federal funds transactions and loans made under security repurchase agreements (net) liability |
714.3 |
727.4 |
817.7 |
888.2 |
838.5 |
482.8 |
468.7 |
622.1 |
655.4 |
766.6 |
860.4 |
30 |
Commercial banking credit market instruments, excluding corporate equities liability |
660.4 |
738.7 |
823.9 |
998.0 |
1261.2 |
1422.0 |
1724.9 |
1720.8 |
1685.1 |
1625.3 |
1923.2 |
31 |
Commercial banking open market paper liability |
46.6 |
57.2 |
61.2 |
79.3 |
117.2 |
77.7 |
56.1 |
51.9 |
55.6 |
60.8 |
206.5 |
32 |
Commercial banking corporate and foreign bonds liability |
378.4 |
437.4 |
494.1 |
570.1 |
688.7 |
818.0 |
1211.0 |
1216.4 |
1225.4 |
1162.5 |
1359.7 |
33 |
U.S.-chartered commercial banks FHLB advances and SLMA loans (other loans and advances) liability |
235.3 |
244.1 |
268.5 |
348.5 |
455.2 |
526.3 |
457.8 |
452.5 |
404.2 |
402.0 |
357.0 |
34 |
U.S.-chartered commercial banks taxes payable (net) liability |
35.1 |
33.6 |
25.8 |
24.7 |
11.1 |
-74.6 |
-72.6 |
-80.9 |
-65.9 |
-67.5 |
-73.7 |
35 |
Commercial banking total miscellaneous financial claims liability |
1336.9 |
1426.8 |
1388.5 |
1420.3 |
1686.6 |
2481.5 |
2613.2 |
2459.4 |
2465.5 |
2316.2 |
2352.7 |
36 |
Commercial banking credit market instruments, excluding corporate equities, mutual fund shares, security credit and including customers' liability on acceptances asset |
6010.9 |
6621.2 |
7278.4 |
8040.5 |
8781.6 |
9425.1 |
9297.3 |
9278.3 |
9025.8 |
9001.4 |
9218.5 |
37 |
U.S.-chartered commercial banks leases to households (Call Report; consolidated) |
0.0 |
0.0 |
0.0 |
0.0 |
11.2 |
9.5 |
9.1 |
8.1 |
7.3 |
6.9 |
7.6 |
38 |