F.112 Foreign Banking Offices in U.S. (1)
Billions of dollars; quarterly figures are seasonally adjusted annual rates
Description Series code 2021 2022 2023 2023 Q1 2023 Q2 2023 Q3 2023 Q4 2024 Q1 2024 Q2 Line
Foreign banking offices in the U.S.; consumption of fixed capital, nonresidential structures, equipment, and intellectual property products, current cost basis (gross saving) FA756330005 7.6 8.9 9.6 9.4 9.5 9.6 9.7 9.9 10.1 1
Foreign banking offices in the U.S.; gross fixed investment, nonresidential structures, equipment, and intellectual property products FA755013005 8.7 10.2 11 10.8 10.9 11 11.2 11.3 11.6 2
Foreign banking offices in the U.S., including IBFs; total financial assets FA754090005 225.8 378.5 188.7 544.8 124.3 235.5 -149.6 487.1 -94.4 3
Foreign banking offices in the U.S.; interbank transactions; asset FA754010005 202.2 95.5 151.2 504.5 79.1 184.7 -163.7 289.7 -234.2 4
Foreign banking offices in the U.S.; depository institution reserves; asset FA753013003 227.8 128.7 57.5 658.2 -183.1 -58.8 -186.4 300.2 -209.1 5
Foreign banking offices in the U.S., including IBFs; interbank transactions with banks in foreign countries; asset FA754016005 -24.5 -32.3 94.6 -163.9 250.8 242.3 49.3 -24 -23.6 6
Foreign banking offices in the U.S., including IBFs; interbank transactions due from U.S. depository institutions; asset FA754012205 -1.1 -1 -0.9 10.3 11.4 1.2 -26.5 13.5 -1.5 7
Foreign banking offices in the U.S.; vault cash; asset FA753025003 0.1 -0.1 -0 -0 0 0 -0 0 0 8
Foreign banking offices in the U.S. including IBFs; federal funds and security repurchase agreements; asset FA752050005 -47.8 -10.6 69.9 285.3 52.5 -63.8 5.6 121.3 -4.9 9
Foreign banking offices in the U.S.; debt securities; asset FA754022005 -12.5 58.4 -36.7 -100.1 52.9 -18.4 -81.2 60.2 36.9 10
Foreign banking offices in the U.S.; bankers' acceptances; asset FA753069603 0 0 0 0 0 0 0 0 0 11
Foreign banking offices in the U.S.; Treasury securities; asset FA753061103 -7.6 16.4 2.3 1.3 32.9 -20 -5 33.5 32.4 12
Foreign banking offices in the U.S.; agency- and GSE-backed securities; asset FA753061703 -5.7 -0.2 -6.2 -26.3 13.8 -8 -4.3 0.2 2.6 13
Foreign banking offices in the U.S.; municipal securities; asset FA753062003 0 0 0 0 0 0 0 0 0 14
Foreign banking offices in the U.S., including IBFs; corporate and foreign bonds; asset FA753063005 0.8 42.2 -32.8 -75.1 6.3 9.6 -71.8 26.5 1.8 15
Foreign banking offices in the U.S.; loans; asset FA754023005 84.4 174.2 32.9 -8.6 -66.7 79.5 127.6 12.1 93.3 16
Foreign banking offices in the U.S.; depository institution loans n.e.c.; asset FA753068005 74.3 157.8 29 -21.5 -77.6 87.6 127.5 4.4 81.9 17
Foreign banking offices in the U.S.; customers' liability on acceptances; asset FA753069703 0 0 0 0 0 0 0 0 0 18
Foreign banking offices in the U.S.; total mortgages; asset FA753065005 10.1 16.4 3.9 12.9 10.9 -8.1 0.1 7.7 11.3 19
Foreign banking offices in the U.S.; corporate equities; asset FA753064103 0 0 0 0 0 0 0 0 0 20
Foreign banking offices in the U.S., including IBFs; unidentified miscellaneous assets FA753093005 -0.7 61.1 -28.6 -136.3 6.4 53.5 -38 3.7 14.5 21
Foreign banking offices in the U.S.; total liabilities and equity FA754194005 93.6 411.2 221.6 441.6 240.3 103.3 101.1 548 -70.2 22
Foreign banking offices in the U.S., including IBFs; total liabilities FA754190005 79.8 397.7 203.1 395 236.5 7.4 173.7 488 -45.1 23
Foreign banking offices in the U.S.; interbank transactions; liability FA754110005 74.7 229.5 134.7 438.7 -121 -36.1 257.2 -0.6 30.6 24
Foreign banking offices in the U.S.; interbank transactions with banks in foreign countries; liability FA754116005 72.6 229.3 131.1 419.5 -121.8 -35.9 262.7 0.1 31.5 25
Foreign banking offices in the U.S.; interbank transactions due to U.S. banks; liability FA754112205 2.1 0.2 3.6 19.2 0.8 -0.2 -5.5 -0.7 -0.9 26
Foreign banking offices in the U.S.; checkable deposits; liability FA753127005 25.7 -12.3 10.1 41.7 31.1 59.9 -92.3 193.2 -60 27
Foreign banking offices in the U.S., including IBFs; total time and savings deposits; liability FA753130005 4.2 104.1 -38.3 -163.3 39.4 -56.1 26.7 64 -55.1 28
Foreign banking offices in the U.S., including IBFs; federal funds and security repurchase agreements; liability FA752150005 -17.5 -63.3 87.3 269.8 179.8 -19.1 -81.1 180.7 34.8 29
Foreign banking offices in the U.S.; open market paper; liability FA753169175 -11.5 53 41.3 1.9 43.1 11 109.2 26.1 18.5 30
Foreign banking offices in the U.S.; foreign direct investment in U.S.: intercompany debt; liability (market value) FA753192305 -2.6 -0.5 0.5 0.9 2.1 -0.2 -1 1.9 0.1 31
Foreign banking offices in the U.S., including IBFs; unidentified miscellaneous liability FA753193005 6.9 87.2 -32.4 -194.8 62 47.9 -44.8 22.7 -14 32
Foreign banking offices in the U.S.; other equity; liability FA753181115 13.8 13.5 18.4 46.6 3.8 96 -72.6 60 -25.1 33
Foreign banking offices in the U.S.; foreign direct investment in U.S.: equity; liability (market value) FA753192103 -2.8 12.7 12.2 15.7 15.5 2.8 14.8 16.6 20.6 34
Foreign banking offices in the U.S.; equity investment by funding corporations; liability FA753194503 16.6 0.9 6.2 30.9 -11.8 93.2 -87.4 43.4 -45.7 35
Foreign banking offices in the U.S.; sector discrepancy FA757005005 -133.2 31.4 31.5 -104.6 114.6 -133.5 249.3 59.4 22.7 36
Foreign banking offices in the U.S., including IBFs; uninsured checkable and time and savings deposits; liability (2) FA753139105 29.9 91.8 -28.2 -121.5 70.5 3.8 -65.6 257.3 -115.1 37

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 27) and time and savings deposits (line 28) are considered uninsured according to the Federal Deposit Insurance Act.
Last Update: September 12, 2024