Description |
2004 |
2005 |
2006 |
2007 |
2008 |
2009 |
2010 Q1 |
2010 Q2 |
2010 Q3 |
2010 Q4 |
2011 Q1 |
Line |
U.S.-chartered commercial banks; total financial assets |
6865.1 |
7392.5 |
8189.5 |
8840.8 |
10247.7 |
10044.6 |
10255.7 |
10152.4 |
10088.2 |
10076.5 |
10094.6 |
1 |
U.S.-chartered commercial banks; vault cash and reserves at the Federal Reserve; asset |
61.6 |
65.5 |
67.8 |
72.2 |
635.1 |
679.5 |
684.0 |
651.6 |
588.5 |
588.4 |
708.2 |
2 |
U.S.-chartered commercial banks; total bank credit; asset |
6118.0 |
6621.3 |
7320.5 |
7883.7 |
8382.9 |
8304.8 |
8547.8 |
8434.4 |
8464.3 |
8502.7 |
8368.9 |
3 |
U.S.-chartered commercial banks; open market paper; asset |
0.0 |
0.0 |
0.0 |
0.0 |
15.7 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
4 |
U.S.-chartered commercial banks; Treasury securities; asset |
74.2 |
64.2 |
61.9 |
73.0 |
53.4 |
117.7 |
181.6 |
181.2 |
220.2 |
211.6 |
210.0 |
5 |
U.S.-chartered commercial banks; agency- and GSE-backed securities; asset |
996.1 |
992.7 |
1040.3 |
928.9 |
1068.7 |
1221.3 |
1216.6 |
1210.5 |
1257.2 |
1308.3 |
1313.3 |
6 |
U.S.-chartered commercial banks; agency issued residential mortgage pass-through securities; asset |
581.7 |
579.0 |
647.8 |
592.8 |
744.9 |
744.3 |
707.2 |
670.8 |
700.6 |
729.6 |
739.3 |
7 |
U.S.-chartered commercial banks; agency issued commercial mortgage pass-through securities; asset |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.9 |
0.9 |
0.8 |
0.8 |
0.8 |
3.7 |
8 |
U.S.-chartered commercial banks; agency issued residential CMOs and other structured MBS; asset |
156.7 |
152.3 |
147.2 |
142.8 |
157.1 |
217.0 |
261.7 |
285.8 |
312.2 |
334.3 |
355.0 |
9 |
U.S.-chartered commercial banks; agency issued commercial CMOs and other structured MBS; asset |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
3.5 |
3.0 |
2.9 |
3.0 |
3.1 |
4.7 |
10 |
U.S.-chartered commercial banks; agency- and GSE-backed securities, excluding MBS and CMOs; asset |
257.7 |
261.5 |
245.3 |
193.3 |
166.7 |
255.7 |
243.8 |
250.2 |
240.6 |
240.5 |
210.6 |
11 |
U.S.-chartered commercial banks; municipal securities and loans; asset |
140.4 |
157.2 |
178.9 |
190.9 |
214.1 |
215.1 |
216.2 |
218.4 |
226.4 |
243.5 |
249.0 |
12 |
U.S.-chartered commercial banks; corporate and foreign bonds; asset |
364.6 |
411.6 |
470.7 |
572.4 |
542.0 |
583.9 |
524.2 |
499.1 |
498.8 |
474.4 |
459.6 |
13 |
U.S.-chartered commercial banks; private residential mortgage-backed securities; asset |
18.9 |
23.9 |
32.7 |
48.2 |
23.8 |
13.8 |
11.8 |
5.0 |
4.7 |
4.4 |
11.0 |
14 |
U.S.-chartered commercial banks; private commercial mortgage-backed securities; asset |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
19.0 |
18.1 |
11.7 |
10.9 |
10.7 |
9.1 |
15 |
U.S.-chartered commercial banks; private residential CMOs and other structured MBS; asset |
108.0 |
146.2 |
158.8 |
223.7 |
222.2 |
170.5 |
140.7 |
128.1 |
117.4 |
106.0 |
98.9 |
16 |
U.S.-chartered commercial banks; private commercial CMOs and other structured MBS; asset |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
23.8 |
23.3 |
22.5 |
22.4 |
22.3 |
20.0 |
17 |
U.S.-chartered commercial banks; corporate and foreign bonds, excluding private MBS and CMOs; asset |
237.7 |
241.5 |
279.1 |
300.5 |
296.0 |
356.8 |
330.4 |
331.9 |
343.4 |
330.9 |
320.6 |
18 |
U.S.-chartered commercial banks; bank loans not elsewhere classified; asset |
1150.5 |
1249.3 |
1312.2 |
1532.9 |
1670.8 |
1338.4 |
1340.2 |
1332.3 |
1328.6 |
1350.7 |
1354.7 |
19 |
U.S.-chartered commercial banks; total mortgages; asset |
2547.3 |
2902.1 |
3338.9 |
3564.6 |
3754.7 |
3738.6 |
3681.9 |
3634.1 |
3603.0 |
3580.1 |
3482.2 |
20 |
U.S.-chartered commercial banks; consumer credit; asset |
704.3 |
707.0 |
741.2 |
804.1 |
878.6 |
855.3 |
1149.2 |
1133.7 |
1115.2 |
1098.7 |
1058.9 |
21 |
U.S.-chartered commercial banks; security credit; asset |
102.2 |
95.6 |
116.5 |
145.9 |
158.6 |
158.0 |
160.0 |
164.5 |
144.1 |
152.3 |
152.1 |
22 |
U.S.-chartered commercial banks; corporate equities; asset |
20.3 |
24.1 |
35.3 |
41.5 |
6.7 |
30.3 |
34.7 |
21.8 |
29.5 |
38.2 |
42.0 |
23 |
U.S.-chartered commercial banks; mutual fund shares; asset |
18.1 |
17.4 |
24.5 |
29.6 |
19.6 |
46.1 |
43.2 |
38.7 |
41.2 |
45.0 |
47.1 |
24 |
All nonfinancial sectors except federal government; customers' liability on acceptances outstanding to U.S.-chartered commercial banks; liability |
3.3 |
3.3 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
25 |
U.S.-chartered commercial banks; total miscellaneous assets |
682.2 |
702.5 |
801.2 |
884.8 |
1229.7 |
1060.3 |
1024.0 |
1066.4 |
1035.4 |
985.4 |
1017.5 |
26 |
U.S.-chartered commercial banks; total liabilities |
6660.8 |
7119.5 |
7822.1 |
8434.3 |
9818.3 |
9787.5 |
9957.2 |
9955.8 |
9964.1 |
9891.4 |
9960.9 |
27 |
U.S.-chartered commercial banks; net interbank transactions; liability |
271.9 |
288.5 |
363.0 |
502.0 |
1291.0 |
673.1 |
449.7 |
451.4 |
431.7 |
429.9 |
432.0 |
28 |
Monetary authority; Federal Reserve float; asset |
0.9 |
0.9 |
-0.3 |
-0.0 |
-1.5 |
-2.1 |
-1.6 |
-1.9 |
-1.6 |
-1.4 |
-1.4 |
29 |
Monetary authority; loans to domestic banks, including AMLF; asset |
0.0 |
0.1 |
0.1 |
48.6 |
559.7 |
96.6 |
11.5 |
0.7 |
0.3 |
0.2 |
0.1 |
30 |
U.S.-chartered commercial banks; net interbank transactions with U.S. banking; liability |
-22.8 |
-22.3 |
-57.1 |
-24.9 |
88.5 |
27.4 |
-26.4 |
-1.5 |
-29.4 |
-39.2 |
-14.1 |
31 |
U.S.-chartered commercial banks; net interbank transactions with banks in foreign countries; liability |
293.8 |
309.9 |
420.3 |
478.3 |
644.4 |
551.2 |
466.2 |
454.2 |
462.4 |
470.2 |
447.4 |
32 |
U.S.-chartered commercial banks; checkable deposits; liability |
624.5 |
587.7 |
551.2 |
560.2 |
700.9 |
781.9 |
735.4 |
754.7 |
750.1 |
852.2 |
887.9 |
33 |
U.S.-chartered commercial banks; checkable deposits due to the federal government, including demand notes issued to U.S. Treasury and tax and loan accounts; liability |
26.9 |
33.9 |
28.0 |
42.9 |
3.5 |
3.8 |
4.1 |
3.2 |
3.6 |
3.6 |
3.6 |
34 |
U.S.-chartered commercial banks; checkable deposits due to rest of the world; liability |
11.2 |
17.4 |
26.8 |
31.7 |
62.9 |
34.1 |
34.7 |
36.5 |
31.5 |
29.8 |
42.1 |
35 |
U.S.-chartered commercial banks; checkable deposits due to private domestic sectors; liability |
586.4 |
536.5 |
496.4 |
485.5 |
634.6 |
744.0 |
696.6 |
715.0 |
715.0 |
818.7 |
842.1 |
36 |
U.S.-chartered commercial banks; small time and savings deposits; liability |
3230.2 |
3493.1 |
3770.9 |
4025.9 |
4566.2 |
4949.1 |
5056.5 |
5047.9 |
5128.1 |
5225.9 |
5303.2 |
37 |
U.S.-chartered commercial banks; large time deposits; liability |
671.3 |
838.1 |
968.0 |
991.1 |
1015.6 |
841.7 |
789.9 |
770.5 |
749.9 |
691.6 |
663.2 |
38 |
U.S.-chartered commercial banks; federal funds and security repurchase agreements (net); liability |
569.1 |
626.1 |
647.5 |
611.4 |
352.4 |
624.0 |
667.3 |
603.7 |
538.6 |
409.5 |
393.0 |
39 |
U.S.-chartered commercial banks; open market paper; liability |
3.4 |
3.3 |
0.0 |
0.0 |
0.0 |
0.0 |
132.5 |
135.8 |
129.2 |
112.9 |
109.2 |
40 |
U.S.-chartered commercial banks; corporate and foreign bonds; liability |
109.3 |
121.7 |
149.2 |
174.4 |
182.4 |
174.1 |
417.3 |
418.3 |
418.4 |
414.4 |
407.9 |
41 |
U.S.-chartered commercial banks; FHLB advances and Sallie Mae loans; liability |
244.1 |
268.5 |
348.5 |
455.2 |
526.3 |
402.0 |
357.0 |
327.6 |
289.0 |
277.9 |
256.4 |
42 |
U.S.-chartered commercial banks; taxes payable (net); liability |
33.6 |
25.8 |
24.7 |
11.1 |
-74.6 |
-67.5 |
-73.6 |
-64.6 |
-64.8 |
-60.6 |
-56.4 |
43 |
U.S.-chartered commercial banks; total miscellaneous liabilities |
903.4 |
866.6 |
999.2 |
1103.1 |
1258.1 |
1409.2 |
1425.2 |
1510.5 |
1593.8 |
1537.9 |
1564.5 |
44 |
U.S.-chartered commercial banks; equity investment by bank holding companies; liability |
857.0 |
897.0 |
1067.0 |
1197.8 |
1244.4 |
1413.5 |
1408.5 |
1431.6 |
1452.4 |
1366.8 |
1389.1 |
45 |
U.S.-chartered commercial banks; unidentified miscellaneous liabilities |
46.4 |
-30.4 |
-67.8 |
-94.7 |
13.6 |
-4.4 |
16.7 |
78.9 |
141.4 |
171.1 |
175.4 |
46 |
U.S.-chartered commercial banks; credit market instruments; asset |
5980.7 |
6487.4 |
7144.1 |
7666.8 |
8197.9 |
8070.3 |
8309.9 |
8209.4 |
8249.5 |
8267.3 |
8127.7 |
47 |
U.S.-chartered commercial banks; leases to households; asset (Call Report; consolidated) |
0.0 |
0.0 |
0.0 |
11.2 |
9.5 |
6.9 |
7.5 |
6.4 |
6.1 |
6.2 |
6.1 |
48 |