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FEDERAL RESERVE -statistical release H.8 (510) ASSETS AND LIABILITIES OF COMMERCIAL BANKS IN THE UNITED STATES 1 Seasonally adjusted, billions of dollars For immediate release May 13, 1994 1993 Oct 1993 Nov 1993 Dec 1994 2,991.9 878.8 697.2 181.6 2,113.1 587.8 902.8 75.1 827.8 367.0 63.6 191.8 147.9 209.9 219.2 3,508.0 3,075.1 900.0 717.1 182.9 2,175.1 586.0 927.0 73.8 853.2 384.6 81.6 195.8 151.7 220.4 219.0 3,606.8 3,091.1 903.1 720.3 182.8 2,188.0 584.4 933.8 73.5 860.3 388.2 87.9 193.7 154.0 218.8 217.5 3,622.6 3,104.6 910.9 726.7 184.2 2,193.8 583.6 940.9 73.2 867.7 390.9 87.3 191.0 153.0 219.2 214.6 3,633.1 3,124.0 924.8 732.3 192.5 2,199.2 588.7 942.1 73.0 869.1 393.8 80.9 193.8 153.7 219.6 220.7 3,660.4 2,494.4 753.8 1,740.7 364.3 1,376.4 496.1 147.3 348.8 88.3 149.8 3,228.7 279.2 2,524.2 810.3 1,713.9 346.2 1,367.7 516.9 152.6 364.4 124.1 144.7 3,309.9 297.0 2,533.2 816.5 1,716.7 347.4 1,369.3 515.7 153.3 362.5 121.9 144.1 3,314.9 307.6 2,537.9 819.1 1,718.8 349.8 1,368.9 522.4 152.5 370.0 119.6 143.1 3,323.0 2,537.2 815.9 1,721.2 348.2 1,373.0 544.2 150.1 394.0 116.3 155.1 3,352.7 307.7 Account Jan 1994 Feb 1994 Mar 1994 Apr 3,138.3 930.1 732.3 197.8 3,165.6 3,193.1 967.6 758.9 208.7 3,192.4 969.8 763.9 205.8 3,185.3 965.0 756.4 208.6 2,208.1 591.0 940.9 73.1 867.8 397.1 82.2 197.0 153.5 225.4 223.5 3,683.3 2,215.7 595.7 940.8 73.1 867.6 401.2 83.3 194.7 145.9 216.9 223.5 2,225.5 602.3 943.0 73.2 869.8 407.3 76.8 196.1 146.1 2,220.3 604.4 942.5 73.2 869.3 407.4 69.5 196.4 134.4 3,694.6 209.8 230.8 3,722.4 2,222.6 599.1 943.3 73.2 870.1 406.3 78.3 195.6 147.9 209.4 228.8 3,721.1 2,515.9 814.4 1,701.5 331.7 1,369.8 552.8 141.5 411.3 157.8 159.0 3,385.5 309.1 2,504.0 800.0 1,704.0 334.0 1,369.9 577.0 144.7 432.3 173.7 165.5 3,420.2 302.2 2,506.3 802.7 1,703.6 332.2 1,371.5 585.3 148.8 436.6 171.1 164.9 3,427.7 293.4 ASSETS 1 2 3 4 Bank credit Securities in bank credit U.S. government securities Other securities 5 Loans and leases in bank credit 2 6 Commercial and industrial 7 Real estate 7a Revolving home equity 7b Other 8 Consumer 9 Security3 10 Other 11 Interbank loans 4 12 Cash assets 5 13 Other assets 6 14 Total assets7 950.0 747.7 202.2 211.5 233.6 3,707.4 3,198.1 966.0 754.4 211.6 2,232.1 603.3 942.9 73.2 869.7 408.6 80.9 196.4 161.0 205.1 227.7 3,734.5 2,496.9 792.5 1,704.4 337.4 1,366.9 577.7 132.0 445.7 177.1 165.2 3,416.9 2,509.2 802.7 1,706.5 336.8 1,369.7 580.9 156.9 424.0 164.5 164.2 3,418.9 290.5 315.6 3,184.5 964.0 752.5 211.6 2,220.5 605.0 943.5 73.3 870.2 409.8 68.6 193.6 147.6 202.2 239.9 3,716.9 LIABILITIES 15 16 17 18 19 20 21 22 23 24 25 26 Deposits Transaction Nonlransaction Large time Other Borrowings From banks in the U.S.a From nonbanks In the U.S. Net due to related foreign offices Other llabilitles9 Total liabilities Residual (assets less liabilities) 10 Footnotes appear on page 13. 310.2 2,530.9 818.1 1,712.8 339.9 1,372.9 542.1 149.5 392.6 136.3 162.0 3,371.2 312.1 2,492.4 784.0 1,708.3 336.4 1,372.0 563.4 145.2 418.1 175.6 167.2 3,398.5 318.4 H.a (510) ASSETS AND LIABILITIES OF DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES1 Not seasonally adjusted, billions of dollars Page 4 May 13, 1994 1993 Oct 1993 Nov 1993 Dec 1994 Jan 1994 Feb 1994 2,764.9 830.2 670.8 159.4 1,934.6 435.0 889.1 74.0 815.2 388.4 59.8 162.3 134.6 200.6 2,778.6 830.9 670.6 160.3 1,947.7 435.6 898.0 73.5 824.6 395.2 57.2 161.7 138.9 206.8 173.7 3,239.3 2,785.8 840.0 672.3 167.7 1,945.8 437.9 895.9 73.1 822.8 398.2 53.9 159.9 138.4 199.7 176.5 3,243.0 2,797.2 849.4 675.6 173.7 1,947.8 441.7 892.8 72.9 819.9 398.4 56.6 158.3 132.6 196.0 2,820.7 869.8 692.8 177.1 1,950.8 446.2 893.0 72.5 820.5 398.4 56.7 156.5 126.5 186.6 170.6 3,088.3 2,743.5 825.3 666.7 158.6 1,918.2 433.3 882.0 74.5 807.5 384.5 55.8 162.6 128.4 191.9 175.6 3,180.5 175.0 3,243.2 2,344.9 751.2 1,593.7 223.1 1,370.6 373.7 110.5 263.2 -9.9 102.5 2,811.2 2,369.3 791.8 1,577.4 212.9 1,364.5 417.5 117.7 299.8 ·6.6 108.6 2,888.7 2,394.0 816.5 1,577.5 211.3 1,366.2 420.1 121.3 298.8 -3.3 109.6 2,920.5 277.1 291.8 294.2 2,411.4 842.5 1,569.0 207.5 1,361.4 425.8 126.7 299.1 -1.8 107.3 2,942.8 296.5 2,386.6 814.3 1,572.2 208.8 1,363.4 439.1 123.9 315.2 3.0 114.4 2,943.1 299.9 2,370.2 797.6 1,572.7 208.7 1,364.0 446.1 123.9 322.2 5.4 118.5 2,940.3 302.9 Account Mar 1994 Apr ASSETS 2 3 4 5 6 7 7a 7b 8 9 10 11 12 13 14 Bank credit Securities in bank credit U.S. government securities Other securities Loans and teases in bank credit2 Commercial and industrial Real estate Revolving home equity Other Consumer Security3 Other Interbank loans 4 Cash assets 5 Other assets 6 Total assets 7 LIABILITIES 15 Deposits Transaction 16 Nontransaction 17 Large time 18 Other 19 20 Borrowings From banks In the U.S.a 21 From nonbanks In the U.S. 22 23 Net due to related foreign offices 24 Other liabilitles9 25 Total liabilities 26 Residual (assets less liabllities) 10 Foolnoles appear on page 13. 2,665.3 809.6 653.3 156.2 1,855.8 439.2 850.4 74.5 775.9 364.1 47.0 155.0 131.8 181.2 173.7 3,214.7 2,840.2 2,836.3 2,841.9 872.1 692.2 179.8 1,964.3 451.4 897.5 73.0 824.5 406.7 53.4 155.2 179.8 3,279.5 878.0 698.3 179.7 1,962.1 452.8 898.0 72.8 825.3 404.4 49.2 157.7 120.6 185.0 180.3 3,268.9 127.2 171.8 180.3 3,258.5 874.9 693.2 181.7 1,967.0 455.3 900.8 73.1 827.7 407.9 47.2 155.8 126.9 179.6 191.1 3,282.2 2,387.0 813.0 1,574.0 205.8 1,368.2 448.3 121.6 326.7 19.4 118.2 2,972.9 306.5 2,358.1 795.1 1,563.0 207.5 1,355.5 467.4 110.7 356.7 22.5 116.8 2,964.7 304.1 2,337.1 775.4 1,561.7 207.9 1,353.8 473.5 122.2 351.3 24.8 117.7 2,953.1 305.4 2,353.9 784.3 1,569.6 209.0 1,360.6 469.6 122.1 347.5 24.6 119.4 2,967.4 314.8 2,843.5 882.5 702.8 179.7 1,961.0 448.0 900.6 72.4 828.1 402.2 54.9 155.4 128.9 184.4 176.1 3,252.3 2,841.8 879.6 699.1 180.6 1,962.2 450.9 898.6 72.7 825.9. 404.1 . 51.9 156.7 126.4 181.9 181.0 3,273.9 2,363.7 791.8 1,571.9 206.6 1,365.3 449.9 117.2 332.7 16.0 117.9 2,947.5 304.8 2,366.3 797.7 1,568.5 206.8 1,361.8 461.4 118.5 342.9 21.2 118.7 2,967.6 306.3 H.8 (510) ASSETS AND LIABILITIES OF SMALL DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES1 Seasonally adjusted, adjusted for mergers, billions of dollars Account PageS May 13, 1994 1993 1993 Oct 1993 Nov 1993 Dec 1994 Jan 1994 Feb 1994 Mar 1994 Apr 1,278.2 439.6 352.0 87.6 838.5 156.9 443.0 29.6 413.4 175.0 5.5 58.2 59.5 72.3 47.3 1,435.9 1,308.6 446.1 358.0 88.1 862.5 155.2 460.1 29.1 431.0 181.4 5.9 59.9 60.4 75.5 46.6 1,470.5 1,322.1 450.5 362.4 88.1 871.6 156.2 465.9 29.2 436.7 183.3 6.1 60.2 58.9 75.1 47.2 1,482.7 1,331.6 451.7 363.6 88.1 879.9 156.9 472.0 29.2 442.9 184.4 6.4 60.2 58.5 75.0 47.7 1,492.4 1,342.3 455.7 367.7 88.0 886.5 158.9 473.1 29.2 443.9 187.0 6.6 61.0 58.3 76.2 48.5 1,504.8 1,347.8 456.5 369.0 87.5 891.2 159.6 474.5 29.2 445.3 189.6 6.4 61.1 56.0 1,355.0 461.3 372.5 88.7 893.8 159.4 475.4 29.1 446.3 191.4 6.2 61.4 52.7 76.9 49.7 1,513.8 1,363.4 464.2 375.3 88.9 899.3 160.6 476.5 29.2 447.3 194.8 6.0 61.4 50.1 74.7 51.1 1,518.7 1,190.8 345.1 845.7 111.3 734.3 87.9 24.9 63.0 3.0 26.6 1,308.2 1,211.3 368.1 843.2 109.8 733.4 97.9 28.8 69.1 2.8 25.4 1,337.4 1,221.3 373.3 848.0 110.3 737.7 101.6 30.1 71.5 3.0 26.2 1,352.0 1,227.0 376.2 850.9 111.0 739.9 108.4 29.8 78.6 3.2 26.8 1,365.5 111.1 30.9 80.3 4.0 27.1 1,371.7 1,227.9 376.3 851.7 111.8 739.9 113.7 29.3 84.4 4.9 27.3 1,373.9 127.6 133.1 1,217.2 370.8 846.5 109.8 736.7 98.8 29.7 69.1 3.1 25.8 1,344.9 137.8 140.4 139.3 139.9 139.9 ASSETS Bank credit Securities in bank credit U.S. government securities Other securities Loans and leases in bank credit2 Commercial and industrial Real estate Revolving home equity Other Consumer Securitfl Other Interbank loans 4 Cash assets 5 2 3 4 5 6 7 7a 7b 8 9 10 11 12 13 Other assets 6 14 Total assets 7 LIABILITIES 15 16 17 18 19 20 21 22 23 24 25 Deposits Transaction Nontransaction Large time Other Borrowings From banks in the u.s.8 From nonbanks in the U.S. Net due to related foreign offices Other liabilities9 Total liabilities 10 26 Residual (assets less liabllities) Footnotes appear on page 13. 77.2 51.1 1,511.6 1,229.4 378.3 851.1 111.5 739,6 1,363.6 464.5 375.6 88.9 899.1 160.8 476.8 29.1 447.7 194.3 6.1 61.2 50.8 76.2 50.5 1,520.4 1,360.9 462.8 374.1 88.7 898.1 161.0 476.0 29.2. 446.9 194.7 5.7 60.6 46.3 75.1 50.3 1,511.8 1,364.5 463.9 374.9 89.0 900.6 160.1 476.5 29.2 447.3 195.5 6.2 62.2 52.2 73.1 50.4 1,519.5 55.7 1,523.3 1,226.4 372.9 853.5 112.5 740.9 119.6 29.8 89.8 5.6 27.9 1,379.5 1,228.2 375.2 853.0 112.3 740.7 119.4 31.4 87.9 5.6 27.7 1,380.8 1,223.0 370.7 852.3 112.6 739.7 117.0 26.1 90.9 5.8 27.9 1,373.8 1,228.5 374.1 854.4 112.9 741.5 124.7 32.5 92.2 5.4 27.5 1,386.0 1,220.7 363.2 857.5 113.0 744.5 122.7 31.0 91.7 5.5 29.4 1,378.3 139.2 139.6 138.1 133.5 145.0 1,366.9 464.8 375.8 89.0 902.0 160.6 477.3 29.3 448.0 196.4 6.1 61.7 51.2 70.3 H.a (510) ASSETS AND UABIUTIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES1 Seasonally adjusted, adjusted for mergers, billions of dollars 1993 1993 1993 1993 1994 Apr Oct Nov Dec Bank credit Securities in bank credit 2 U.S. government securities 3 Other securities 4 Loans and leases In bank credit 2 5 6 Commercial and industrial 7 Real estate 7a Revolving home equity 7b Other Consumer 8 9 Securitfl Other 10 11 Interbank loans 4 12 Cash assets 5 13 Other assets6 14 Total assets 7 LIABILITIES 1,387.0 367.5 298.2 69.3 1,019.5 279.7 410.0 45.4 364.5 192.1 39.3 98.5 70.3 110.8 125.8 1,654.4 1,429.9 376.5 307.0 69.5 1,053.4 278.6 419.6 44.7 374.9 203.2 50.7 101.3 69.5 118.1 126.6 1,705.6 1,434.0 375.6 305.8 69.9 1,058.4 278.0 420.9 44.3 376.5 204.9 53.9 100.7 74.0 118.1 125.2 1,713.2 15 Deposits Transaction 16 Nontransaction 17 Large time 18 Other 19 20 Borrowings From banks in the U.S. 8 21 From nonbanks in the U.S. 2.2. 23 Net due to related foreign offices 24 Other liabilities 9 25 Total liabilities 26 Residual (assets less llabilitles) 10 1,149.1 397.9 751.2 112.5 638.6 290.4 82.9 207.5 -12.2 79.7 1,507.0 147.4 1'160.3 429.9 730.5 102.0 628.5 314.0 91.7 2.22..3 -9.0 80.2 1,545.5 160.0 Account Page 6 May 13, 1994 Jan 1994 Feb 1994 Mar 1994 Apr 1,440.3 381.9 309.7 72.1 1,058.4 278.7 422.7 44.0 378.6 206.5 51.5 99.1 75.0 118.7 123.9 1,720;1 1,450.4 390,6 310.7 79.9 1,059.8 281.4 424.2 43.8 380.4 206.8 47.9 99.6 77.0 118.4 126.8 1,735.5 1,453.2 393.6 307.8 85.8 1,059.6 282.9 421.9 43.9 378.0 207.5 48.1 99.3 74.4 123.7 124.7 1,739.4 1,470.7 407.9 318.7 89.2 1,062.9 284.9 421.5 44.0 377.5 209.8 49;3 97.3 73.1 114.6 127.3 1,749.2 1,477.7 413.2 320.2 93.0 1,064.5 287.7 424.0 44.0 380.0 212.5 43.4 97.0 74.2 109.0 132.5 1,756.9 1,477.7 414.7 323.0 91.7 1,063.0 286.0 424.2 44.0 380.2 212.0 44.7 96.1 74.1 107.3 131.8 1,754.4 411.7 319.1 92.5 1,062.3 288.5 424.1 44.0 380.1 212.7 38.8 98.3 69.7 110.4 134.8 1,752.4 1,161.6 434.1 727.5 101.0 62.6.5 311.5 91.8 219.7 -5.8 79.1 1,546.5 1,158.1 434.9 72.3.2 98.6 62.4.6 315.6 91.8 223.8 ·1.3 78.5 1,550.9 1,154.6 428.8 725.8 99.4 62.6.4 329.0 89.4 239.6 0.2 86.3 1,570.1 1,152.0 42.8.4 723.6 97.1 62.6.5 329.1 89.8 239,3 -0.8 91.9 1,572.2 1,147.2 426.6 720.6 95.4 62.5.1 341.4 86.4 255.0 9.1 90.6 1,588.4 1,134.4 416.3 718.1 94.9 623.2 355.5 86.3 269.3 16.1 95.4 1,601.4 1,136.0 417.4 718.6 94.0 624.7 362.4 91.1 271.3 15.4 94.9 1,608.7 1,128.4 410.9 717.4 95.8 621.6 357.6 77.8 279.8 20.6 95.1 1,601.7 166.7 169.2 165.4 167.2 160.8 155.5 145.7 150.8 ASSETS 1 Foornores appear on page 13. 1,474.0 1,478.4 410.0 316.7 93.3 1,068.4 288.4 423.8 44.0 379.8 213.0 46.3 96.8 84.6 104.6 132.7 1,763.8 409.6 316.1 93.4 1,060.6 289.8 424.0 44.0 380.0 213.4 38.7 94.7 73.6 106.2 135.0 1,748.5 1,136.6 418.0 718.7 96.2 622.5 351.2 91.3 260.0 13.2 94.5 1,595.6 168.2 1 '127.9 410.4 717.5 96.1 621.4 345.1 85.4 259.7 17.7 94.2 1,584.9 163.6 1,470.1 H.B(510) ASSETS AND LIABILITIES OF SMAll DOMESTICAllY CHARTERED COMMERCIAl BANKS IN THE UNITED STATES 1 Seasonally adjusted, not adjusted for mergers, billions of dollars Account Page 7 May 13, 1994 1993 1993 Oct 1993 Nov 1993 Dec 1994 Jan 1994 Feb 1994 Mar 1994 Apr 1,313.7 1,324.2 450.1 361.5 88.6 1,333.6 1,339.2 454.5 366.1 88.4 884.7 158.1 474.3 29.4 444.9 185.1 6.5 60.6 59.8 1,347.3 457.4 369.2 88.3 889.9 159.7 474.7 29.4 445.4 187.5 6.6 61.3 58.9 1,352.7 458.2 370.4 87.8 1,364.9 464.6 375.7 89.0 900.3 160.8 477.0 29.2 447.7 195.0 6.0 61.5 50.3 76.2 76.6 894.5 160.4 476.1 29.4 446.8 190.1 6.4 61.4 56.5 77.7 1,358.5 462.3 373.4 88.9 896.2 160.0 476.7 29.3 447.4 191.7 6.2 61.6 53.0 77.1 ASSETS 1 Bank credit 2 Securities in bank credit U.S. government securities Other securities Loans and leases in bank credit2 Commercial and industrial Real estate Revolving home equity Other Consumer Security3 Other Interbank loans 4 Cash assets 5 ~ 5 6 7 7a 7b 8 9 10 11 12 assets6 13 Other 14 Total assets 7 LIABILITIES 15 16 17 18 19 Deposits Transaction Nontransaction Large time Other 20 21 22 23 Borrowings From banks in the u.s.8 From nonbanks in the U.S. Net due to related foreign offices Other liabilities9 24 25 Total liabilities 10 26 Residual (assets less liabilities) Footnotes appear on page \3. 448.6 359.7 88.9 1,365.2 74.8 465.0 376.1 89.0 900.2 161.1 477.4 29.2 448.2 194.4 6.1 61.3 51.0 76.3 1,362.5 463.3 374.5 88.8 899.2 161.2 476.6 29.2 447.4 194.9 5.8 60.7 46.4 75.2 1,366.1 464.4 375.3 89.1 901.6 160.4 477.1 29.3 447.8 195.6 6.2 62.3 52.4 73.2 1,366.9 464.8 375.8 89.0 902.0 160.6 477.3 29.3 448.0 196.4 6.1 61.7 51.2 70.3 75.4 874.1 158.1 464.9 29.5 435.4 183.9 6.1 61.2 63.9 77.7 453.7 365.2 88.5 879.9 158.4 469.2 29.4 439.8 184.8 6.3 61.1 61.8 77.0 49.7 1,482.0 47.8 1,492.5 48.1 1,499.6 48.2 1,502.7 48.8 1,511.0 51.4 1,517.5 49.9 1,517.9 51.2 1,520.4 50.6 1,522.4 50.3 1,513.6 50.5 1,521.3 55.7 1,523.3 1,230.0 357.7 872.3 114.4 757.9 91.0 26.2 64.8 3.0 27.3 1,351.3 1,230.9 375.9 854.9 111.0 743.9 98.7 29.2 69.5 2.8 1,230.5 377.2 853.3 110.7 742.6 1,231.6 377.8 853.8 112.0 741.8 113.8 29.4 84.5 4.9 27.4 1,377.7 1,227.9 373.6 854.3 112.6 741.7 119.7 29.9 89.8 5.6 27.9 1,381.1 1,230.0 376.0 854.0 112.4 741.5 101.9 30.3 71.6 3.0 26.3 1,361.7 1,232.4 378.4 854.0 111.3 742.7 108.7 30.0 78.7 3.2 26.9 1,371.3 1,234.5 380.4 854.1 111.7 742.3 25.7 1,358.0 1,232.4 377.3 855.1 110.7 744.4 99.3 29.9 69.5 3.1 26.0 1,360.8 27.7 1,382.7 1,224.6 371.4 853.2 112.7 740.5 117.1 26.2 90.9 5.8 27.9 1,375.4 1,230.0 374.8 855.2 113.0 742.3 124.7 32.5 92.2 5.4 27.5 1,387.6 1,220.7 363.2 857.5 113.0 744.5 122.7 31.0 91.7 5.5 29.4 1,378.3 130.7 134.5 138.8 141.0 139.7 140.2 139.3 139.7 138.2 133.6 145.0 865.1 162.4 454.9 30.8 424.1 181.7 5.8 60.4 65.5 111.4 31.0 80.4 4.0 27.2 1,377.2 140.3 119.4 31.4 88.0 5.6 H.8(510) ASSETS AND LIABILITIES OF SMALL DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES1 Not seasonally adjusted, not adjusted for mergers, billions of dollars Account Page 8 May 13, 1994 1993 Oct 1993 Nov 1993 Dec 1994 Jan 1994 1994 Mar 1994 Feb 1,314.4 1,325.9 1,333.0 1,340.0 1,354.8 1,365.4 1,365.0 1,364.9 1,366.7 1,367.6 452.4 363.3 89.2 451.4 362.6 88.8 862.0 162.8 454.0 30.6 423.4 179.8 5.8 59.6 65.5 877.9 158.0 466.8 29.8 437.0 184.7 6.1 62.3 63.9 457.2 369.2 88.1 889.1 159.6 473.5 29.2 444.3 189.5 6.4 60.0 57.9 464.1 375.1 88.9 890.7 160.4 474.2 29.0 445.2 189.4 6.2 60.5 53.8 78.1 48.8 1,495.6 48.1 1,505.6 49.4 1,508.9 76.7 51.0 1,511.3 74.3 49.7 468.6 379.3 89.2 896.8 161.2 476.0 29.0 447.0 192.9 6.0 60.7 50.4 73.5 51.1 1,519.5 469.0 379.6 89.4 896.0 161.1 476.1 28.9 447.2 191.8 6.2 60.8 54.4 75.9 50.3 1,524.8 467.9 378.8 89.2 897.0 162.0 476.1 29.0 447.1 193.1 5.7 60.1 46.0 74.1 49.6 1,481.3 881.7 158.0 470.0 29.5 440.5 185.3 6.5 61.9 65.3 80.1 453.2 364.4 88.8 886.8 158.0 474.2 29.4 444.8 186.9 6.6 61.1 62.1 80.3 48.1 1,509.7 1,342.4 455.3 366.7 88.6 1,346.3 447.9 359.4 88.5 468.6 379.2 89.4 898.1 161.1 476.4 29.1 447.3 194.3 5.7 60.6 45.3 70.4 50.0 1,511.5 467.6 378.4 89.2 900.0 161.5 477.0 29.2 447.8 194.9 6.0 60.7 49.4 70.7 57.5 1,524.4 1,232.1 360.7 871.4 114.0 757.4 1,232.5 375.0 857.6 112.0 745.5 1,238.2 382.1 856.2 111.4 744.8 1,240.1 388.3 851.8 110.5 741.3 1,232.5 381.3 851.2 110.7 740.5 88.9 26.8 62.1 2.6 26.8 1,350.4 99.8 28.3 71.5 2.7 101.7 29.6 72.1 3.3 103.8 31.2 72.6 2.9 111.1 29.3 81.8 4.7 1,230.1 376.6 853.5 112.3 741.2 115.4 30.3 85.1 5.1 1,239.9 384.3 855.6 112.3 743.3 110.9 30.2 80.7 5.1 26.1 1,361.1 26.4 1,369.7 1,217.0 366.4 850.6 112.5 738.1 121.8 32.6 89.1 5.0 27.2 1,220.0 366.2 853.8 112.5 741.4 119.5 32.5 87.0 5.0 28.7 1,373.3 130.9 134.4 135.9 1993 Apr ASSETS Bank credit 1 Securities in bank credit U.S. government securities Other securities 2 3 4 Loans and leases in bank credit 2 Commercial and industrial Real estate Revolving home equity Other a Consumer 9 Security3 10 Other 11 Interbank loans 4 12 Cash assets 5 13 Other assets6 14 Total assats 7 5 6 7 ?a 7b 887.1 158.9 473.2 29.3 443.9 188.0 6.5 60.4 59.5 78.2 1,512.0 74.1 49.4 1,513.6 LIABILITIES 15 Deposits Transaction 16 Nontransaction 17 Large time 18 Other 19 20 Borrowings From banks in the U.S. 8 21 From nonbanks in the U.S. 22 23 Net due to related foreign offices 24 Other llabllities9 25 Total liabilities 1 26 Residual (assets less liabilities) 0 Footnotes appear on page 13. 1,228.4 374.0 854.4 112.0 742.4 26.6 1,373.3 108.7 31.4 77.3 3.4 26.9 1,371.5 1,229.4 376.0 853.4 111.8 741.7 110.9 31.7 79.2 3.9 27.2 1,371.4 27.3 1,371.5 27.4 1,378.0 27.5 1,383.3 1,227.0 375.7 851.4 112.1 739.3 115.4 28.3 87.1 4.9 27.0 1,374.3 136.3 137.4 139.9 140.5 141.5 141.5 139.3 1,371.0 140.5 151.1 H.B (510) Page 9 ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES 1 Seasonally adjusted, not adjusted lor mergers, billions of dollars 1993 Account May 13, 1994 1993 1993 1993 1994 1994 1994 1994 Oct Nov Dec Jan Feb Mar Apr 1,351.4 1,414.2 1,422.5 1,432.7 1,445.4 1,448.3 1,467.3 1,476.2 1,476.1 1,472.5 1,476.9 1,470.1 358.5 290.5 22.9 267.6 83.1 184.5 39.5 75.2 69.8 68.0 14.2 53.8 19.8 33.9 372.4 303.5 24.6 278.9 87.7 191.3 49.9 70.9 70.5 68.9 13.4 55.5 20.3 35.2 372.4 302.9 24.5 278.4 87.9 190.5 50.3 71.0 69.2 69.5 14.0 55.5 20.6 34.8 379.0 307.2 23.8 283.4 89.5 193.9 53.0 72.8 68.1 71.9 16.2 55.7 20.9 34.7 388.9 309.2 26.3 283.0 90.0 193.0 50.0 73.9 69.1 79.7 22.8 56.9 21.2 35.7 391.9 306.3 23.8 282.6 88.8 193.7 47.6 74.7 71.4 85.6 28.2 57.3 21.3 36.0 406.8 317.8 26.8 291.0 89.3 201.7 49.5 79.5 72.7 89.1 31.6 57.4 21.7 35.8 412.8 319.8 26.6 293.2 88.6 204.6 47.8 83.3 73.5 93.0 34.8 58.2 21.8 36.4 414.2 322.6 27.0 295.6 89.7 206.0 46.5 85.4 74.1 91.6 33.4 58.2 21.8 36.4 411.2 318.7 25.8 292.9 89.5 203.4 47.6 82.2 73.5 92.5 34.0 58.4 21.9 36.6 409.5 316.2 26.2 290.1 86.4 203.7 49.6 81.2 72.9 93.3 35.2 58.1 21.8 36.3 409.6 316.1 27.0 289.2 86.3 202.9 48.5 81.7 72.8 93.4 35.2 58.2 21.7 36.5 992.9 274.2 398.0 44.2 353.8 185.4 39.0 96.3 19.6 13.9 62.8 1,041.8 275.7 414.8 44.3 370.5 200.8 50.5 100.0 21.7 13.5 64.8 1,050.1 275.9 417.5 44.1 373.4 203.3 53.7 99.7 21.5 13.0 65.2 1,053.7 277.5 420.4 43.8 376.6 205.7 51.4 98.6 21.5 12.7 64.4 1,056.5 280.6 422.5 43.6 378.9 206.3 47.8 99.3 20.6 12.4 66.3 1,056.4 282.1 420.3 43.7 376.5 207.0 48.0 99.0 19.2 12.3 67.5 1,060.4 284.3 420.2 43.9 376.3 209.5 49.3 97.1 18.5 12.1 66.5 1,063.5 287.4 423.5 44.0 379.5 212.3 43.4 96.9 18.5 11.9 66.5 1,061.9 285.7 423.6 44.0 379.6 211.9 44.7 96.0 18.5 12.0 65.5 1,061.3 288.2 423.6 44.0 379.6 212.6 38.8 98.2 18.5 11.9 67.8 1,067.3 288.2 423.2 43.9 379.3 212.9 46.3 96.7 18.3 11.9 66.6 1,060.6 289.8 424.0 44.0 380.0 213.4 38.7 94.7 17.5 11.9 65.3 64.4 107.6 123.3 66.0 116.0 125.4 71.2 116.2 124.2 73.8 117.6 123.4 76.4 117.9 126.6 73.9 123.3 124.4 72.8 114.3 127.1 74.1 108.9 132.5 73.9 107.2 131.7 69.6 110.3 134.8 84.5 104.5 132.6 73.6 106.2 135.0 1,608.3 1,683.5 1,696.3 1,709.8 1,729.3 1,733.5 1,745.1 1,755.2 1,752.4 1,750.6 1,762.0 1,748.5 1,109.8 385.3 724.5 109.5 615.0 1,140.8 422.0 718.7 100.8 617.9 1,146.5 427.6 718.9 100.1 618.8 1,148.9 431.0 717.9 98.1 619.7 1,149.2 426.5 722.7 99.1 623.6 1,146.9 426.3 720.6 96.9 623.7 1,143.6 425.1 718.5 95.3 623.2 1,132.9 415.6 717.3 94.8 622.5 1,134.3 416.6 717.7 93.9 623.8 1,126.8 410.2 716.6 95.8 620.8 1,135.1 417.3 717.8 96.1 621.8 1,127.9 410.4 717.5 96.1 621.4 287.3 81.5 205.8 -12.2 313.2 91.4 221.8 -9.0 311.0 91.6 219.4 -5.8 315.3 91.6 223.6 -1.3 328.7 89.2 239.4 0.2 328.8 89.7 239.1 -0.8 341.3 86.4 254.9 9.1 355.5 86.2 269.2 16.1 362.4 91.1 271.3 15.4 357.5 77.8 279.8 20.6 351.2 91.2 259.9 13.2 345.1 85.4 259.7 17.7 79.0 80.0 78.9 78.4 86.2 91.8 90.6 95.4 94.9 95.0 94.5 94.2 1,564.3 1,566.7 1,584.5 1,599.8 1,606.9 1,600.0 1,594.0 1,584.9 165.0 166.8 160.5 155.4 145.6 150.6 168.1 163.6 ASSETS Bank credit 2 3 1a J .JC 3d 3e 31 3g 4 4a 4b 4c 4d 5 6 7 7a 7b 8 9 10 lOa lOb IOC 11 12 13 14 Securities in bank credit U.S. government securities Trading account Investment account Mortgage-backed pass-through Other (including CMOs) 1 year or less Between 1 and 5 years More than 5 years Other securities Trading account Investment account State and local government Other Loans and leases in bank credit 2 Commercial and industrial Real estate Revolving home equity Other Consumer Security:! Other Nonbank financial State and local government All other Interbank loans 4 Cash assets 5 Other assets 6 Total assots 7 LIABILITIES 15 16 17 18 19 Deposits Transaction Nontransaction Large time Other 20 21 22 23 Borrowings From banks in the U.S.8 From nonbanks in the U.S. Net due to related foreign offices 24 Other liabilities 9 25 Total liabilities 26 Residual (assets less liabilities) Foo1no1es appear on page 13. 10 1,463.9 1,524.9 1,530.6 1,541.3 144.3 158.6 165.8 168.6 H.B (510) ASSETS AND LIABILITIES OF LARGE DOMESTICALLY CHARTERED COMMERCIAL BANKS IN THE UNITED STATES1 Not seasonally adjusted, not adjusted for mergers, billions of dollars Account 1993 Page 10 May 13. 1994 1993 1993 1993 1994 1994 Nov Dec Jan 1994 Feb 1994 Oct Mar Apr 1,417.7 1,431.8 1,438.6 1,443.4 1,450.8 1,465.9 1,476.4 1,478.5 1,475.3 1,740.3 411.1 319.7 27.0 292.7 89.7 203.0 49.2 81.3 72.5 91.3 33.4 57.9 21.8 36.1 1,065.3 289.7 422.6 43.7 378.9 211.2 45.9 96.0 18.1 11.9 65.9 76.0 108.4 129.9 1,754.4 413.5 323.2 28.0 295.2 90.9 204.3 48.2 82.8 73.3 90.3 32.2 58.1 21.8 36.3 1,065.0 286.9 424.4 43.5 380.9 210.4 48.7 94.6 18.3 11.9 64.4 74.5 108.5 129.4 1,754.6 410.1 319.5 27.1 292.4 90.3 202.1 49.3 80.6 72.2 90.6 32.7 57.9 21.8 36.1 1,065.2 290.8 422.0 43.8 378.2 211.4 43.4 97.6 18.0 11.9 67.7 74.6 110.9 130.8 1,755.3 1.469.6 403.5 313.0 24.4 288.7 87.4 201.2 50.4 79.6 71.3 90.4 32.7 57.8 21.8 35.9 1,066.2 290.3 421.1 43.9 377.2 212.4 47.7 94.7 17.6 11.9 65.1 81.9 101.4 130.3 1,747.0 1,135.3 417.8 717.6 94.6 622.9 338.7 87.9 250.9 11.3 1,136.1 421.1 715.0 94.5 620.5 346.0 88.2 257.8 16.2 1,147.1 428.7 718.4 93.5 624.9 337.4 91.4 246.0 14.3 1,131.1 419.5 711.6 95.4 616.2 352.0 82.4 269.6 17.6 1,120.1 409.0 711.1 95.5 615.6 351.8 89.6 262.2 19.8 1,133.8 418.1 715.8 96.6 619.2 350.1 89.6 260.5 19.6 90.5 ASSETS 2 3 3a 3b 3c 3d 3e 3f 3g 4 4a 4b 4c 4d 5 6 l 7a 7b 8 9 10 10a 10b 10c Bank credit Securities In bank credit U.S. government securities Trading account Investment account Mortgage-backed pass-through Other (including CMOs) 1 year or less Between 1 and 5 years More than 5 years Other securities Trading account Investment account State and local government Other Loans and leases in bank credit2 Commercial and industrial Real estate Revolving home equity Other Consumer Securitf Other Nonbank financial State and local government All other 11 Interbank loans4 12 Cash assets5 13 Other assets 6 14 Total assets 7 1,350.9 357.1 290.0 23.1 266.9 84.0 182.9 40.8 73.4 68.7 67.1 13.6 53.5 19.8 33.7 1,729.6 392.1 306.5 25.5 281.0 88.0 193.0 47.9 74.5 70.7 85.7 28.4 57.3 21.3 35.9 1,058.7 282.1 419.3 43.7 375.7 208.8 50.2 98.2 18.9 12.2 67.2 74.8 119.3 124.0 1,731.9 1,171.3 454.2 717.1 97.0 620.1 322.0 95.5 226.5 -4.6 1,154.1 433.0 721.1 98.1 622.9 330.4 92.5 237.9 -0.4 1,140.8 421.6 719.2 96.9 622.3 87.5 1,571.6 91.3 90.6 1,550.8 80.7 1,569.5 1,568.9 1,576.0 91.4 1,589.6 90.8 1,589.6 89.8 1,590.4 1,582.1 90.6 1,594.2 158.4 160.1 162.5 163.0 164.4 164.8 165.0 164.8 164.9 163.7 1,053.0 277.0 419.1 44.4 374.7 203.1 53.3 100.5 22.4 13.0 65.1 69.3 120.5 125.6 377.7 306.2 22.7 283.5 89.5 194.0 51.9 72.9 69.2 71.5 15.5 55.9 20.9 35.1 1,060.9 277.6 423.8 44.1 379.8 208.3 50.6 100.5 22.4 12.7 65.5 76.8 126.6 125.7 1,684.9 1,709.2 1,112.8 390.5 722.3 109.1 613.2 284.8 83.8 201.0 ·12.5 1,136.7 416.9 719.8 100.8 619.0 317.7 89.4 228.2 -9.3 75.7 1,460.8 82.5 1,527.6 1,155.8 434.5 721.3 99.9 621.5 318.4 91.8 226.7 ·6.6 83.2 146.1 157.3 993.8 276.4 396.4 43.9 352.5 184.3 41.2 95.4 19.2 13.9 62.3 66.2 107.0 121.0 1,607.0 407.3 314.8 26.2 288.6 87.1 201.5 49.3 80.3 72.0 92.5 34.6 57.9 21.7 36.2 1,067.0 293.9 423.8 43.9 380.0 212.9 41.2 95.1 17.6 11.9 65.6 77.5 108.9 133.6 1,757.8 384.7 305.6 25.0 280.6 88.0 192.7 50.2 72.8 69.6 79.1 22.0 57.1 21.1 36.0 1,058.7 279.0 422.7 43.8 378.9 210.2 47.4 99.5 20.4 12.3 66.8 79.0 121.5 127.1 1,734.1 378.9 308.2 26.5 281.7 88.4 193.3 49.5 73.0 70.8 70.6 14.7 55.9 20.7 .35.2 377.4 307.3 25.6 281.7 87.9 193.8 48.7 72.9 72.2 70.1 14.3 55.8 20.4 35.4 1,040.3 275.3 415.2 44.7 370.5 199.9 49.6 100.3 22.0 13.5 64.8 64.5 113.8 126.8 405.8 317.6 27.7 1,474.2 2~0.0 90.0 200.0 49.7 78.7 71.5 88.1 30.6 57.5 21.7 35.8 1,060.2 285.9 418.9 43.5 375.4 209.1 50.5 95.9 18.2 12.1 65.6 72.6 112.3 126.4 LIABILITIES 15 16 17 18 19 Deposits Transaction Nontransaction Large time Other .:0 Borrowings From banks in the U.S. 8 21 From nonbanks in the U.S. 22 23 Net due to related foreign offices 24 Other liabilities 9 25 Total liabilities 10 26 Residual (assets less liabilities) Footnotes appear on page 13. 335.2 92.2 243.0 1.6 H.B (510) Page 11 ASSETS AND LIABILITIES OF FOREIGN-RELATED INSTITUTIONS IN THE UNITED STATES 1 Seasonally adjusted, billions of dollars 1993 Oct Account 1993 Nov 1993 Dec May 13, 1994 1994 Jan 1994 Feb 1994 Mar 1994 Apr ASSETS 1 Bank credit Securities in bank credit 2 U.S. government securities 3 Other securities 4 Loans and leases In bank credit2 5 Commercial and Industrial 6 Real estate 7 Security3 9 Other 10 Nonbank financial 10a All other 10c 11 12 13 14 Interbank loans4 Cash assets 5 Other assets6 Total assets7 326.8 71.7 47.0 24.7 255.1 151.2 49.9 18.9 35.2 21.0 14.2 336.6 335.0 77.4 52.2 25.3 259.1 152.2 47.3 25.0 34.7 19.3 15.4 77.0 52.2 24.8 258.0 150.2 47.1 27.9 32.9 18.6 14.3 331.3 337.3 255.4 148.0 46.2 29.4 31.8 17.9 13.9 90.2 63.4 26.8 261.7 154.1 42.5 27.4 37.7 19.7 18.0 351.1 90.5 65.3 25.3 260.5 152.3 42.3 27.6 38.3 20.0 18.3 350.4 80.0 55.5 24.5 257.3 148.6 44.5 27.7 36.6 18.1 18.5 339.8 80.8 56.5 24.3 259.0 151.4 43.9 27.8 35.9 18.5 17.5 351.9 78.5 53.9 24.6 252.8 148.3 44.8 26.4 33.2 17.7 15.5 90.5 63.2 27.4 259.8 154.9 42.4 25.0 37.5 19.4 18.2 355.1 92.1 62.8 29.2 263.1 154.7 42.6 28.5 37.3 19.7 17.6 347.5 89.6 60.5 29.1 257.9 154.5 42.2 23.9 37.3 20.1 17.1 18.0 26.9 46.1 417.7 21.8 26.7 45.8 430.8 21.0 25.6 45.1 426.6 19.5 25.5 43.0 420.6 18.4 25.1 45.3 420.1 23.0 24.4 47.7 432.3 20.0 25.4 46.5 431.6 21.7 26.1 47.1 446.8 23.0 25.6 46.5 446.2 18.4 25.9 48.4 443.1 24.1 27.4 44.6 451.2 22.7 25.8 49.1 445.0 154.6 10.8 143.9 140.4 3.5 117.8 39.6 78.2 97.5 152.5 12.3 140.2 134.4 5.8 158.4 10.9 147.6 141.0 6.6 39.2 423.5 3.1 38.4 420.0 0.6 140.7 11.4 129.3 124.5 4.8 97.6 25.7 71.9 143.8 41.1 423.3 8.3 143.2 10.6 132.4 126.6 5.8 101.8 28.6 73.2 152.0 42.2 439.2 7.5 142.1 10.1 132.0 125.9 6.1 103.5 26.3 77.3 150.2 42.4 438.2 8.1 145.5 10.9 134.6 129.0 5.6 39.1 426.9 3.9 155.5 10.9 144.6 137.8 6.8 106.8 30.9 75.9 112.9 42.0 417.2 3.0 149.5 11.4 136.1 131.3 6.8 105.0 32.0 73.0 130.3 154.3 11.6 142.7 136.7 6.0 105.4 31.8 73.6 124.6 144.1 10.7 133.4 127.6 5.6 105.0 33.1 71.9 146.0 42.2 437.3 13.9 143.7 10.4 133.4 127.2 6.1 95.6 28.8 66.8 152.4 43.6 435.3 9.7 43.5 413.5 4.2 332.7 77.3 53.4 23.9 LIABILITIES 15 16 17 16 19 20 21 22 23 24 25 26 Deposits Transaction Nontransactlon Large time Other Borrowings From banks in the U.S. 8 From nonbanks In the U.S. Net due to related foreign offices Other liabilities9 Total liabilities Residual (assets less liabilities) 10 Footnotes appear on page 13. 105.3 30.6 74.7 117.9 101.8 28.9 73.0 133.1 43.0 427.4 5.0 103.0 28.1 75.0 150.6 42.2 441.4 1.7 H.a (510) Page 12 ASSETS AND LIABILITIES OF FOREIGN-RELATED INSTITUTIONS IN THE UNITED STATES1 Not seasonally adjusted, billions ol dollars 1993 Oct Account 1993 Dec 1993 Nov May 13. 1994 1994 Jan 1994 Feb 1994 Mar 1994 Apr ASSETS 2 3 4 5 6 7 9 10 10a tOe 11 12 13 14 Bank credit Securities in bank credit U.S. government securities Other securities Loans and leases In bank credit2 Commercial and Industrial Real estate Security3 Other Nonbank financial All other Interbank loans" Cash assets 5 Other assets 6 Total assets7 LIABILITIES 15 Deposits Transaction 16 Nontransaction 17 Large time 18 Other 19 20 Borrowings From banks in the U.S.8 21 From nonbanks in the U.S. 22 23 Net due to related foreign offices 24 Other liabilities9 25 Total liabilities 26 Residual (assets less liabilities) 10 Foolnoles appear on page 13. 325.4 71.0 45.9 25.1 254.4 151.5 49.8 19.0 34.0 20.7 13.4 17.5 26.0 45.2 413.9 334.2 76.8 52.1 24.8 257.4 150.7 47.5 24.6 34.6 18.7 15.9 22.3 27.8 45.8 430.1 337.1 78.3 53.6 24.7 258.8 150.2 47.1 28.1 33.4 18.3 15.0 21.0 25.7 46.6 430.2 341.6 79.5 55.7 23.9 262.1 150.0 46.1 32.1 34.0 18.9 15.1 22.4 339.3 80.8 56.0 24.8 258.5 150.0 44.7 29.2 34.5 18.2 16.4 19.5 25.7 44.9 434.6 156.2 10.6 145.6 142.6 2.9 116.3 38.7 77.6 96.0 42.4 410.9 3.0 146.9 12.5 134.3 129.5 4.9 107.7 32.0 75.7 131.2 38.9 424.7 5.4 150.0 11.6 138.4 133.0 5.4 106.5 32.9 73.6 128.0 155.2 11.1 144.1 138.5 5.6 106.6 32.9 73.7 128.5 40.3 424.9 39.2 429.6 5.0 5.4 25.2 46.2 442.2 348.1 88.7 63.0 25.6 259.4 152.6 42.2 27.9 36.7 19.4 17.4 21.6 24.9 45.6 440.1 351.0 88.9 61.5 27.4 262.1 155.6 42.4 27.4 36.7 19.2 17.5 17.8 25.4 47.4 441.5 351.7 89.8 61.0 28.8 262.0 154.7 42.3 29.0 36.1 19.5 16.5 24.5 26.0 44.1 446.2 345.3 89.7 60.4 29.3 255.6 154.2 42.3 23.6 35.4 19.3 16.1 22.5 25.4 48.7 441.8 144.4 10.6 133.8 128.4 5.4 100.3 27.7 72.5 151.5 41.2 437.3 4.9 142.4 10.2 132.2 126.8 5.4 101.9 25.9 76.0 148.6 41.1 434.1 6.0 146.1 10.3 135.8 131.0 4.9 146.5 11.0 135.5 129.9 5.6 100.0 29.4 70.6 154.2 41.5 442.3 4.0 146.2 10.1 136.1 129.9 6.2 94.3 27.4 66.9 154.2 43.1 437.8 4.0 343.7 83.5 58.6 24.9 260.3 152.4 44.0 28.8 35.1 18.4 16.8 19.2 24.9 45.9 433.7 349.7 88.9 61.9 27.0 260.7 154.4 42.5 27.5 36.4 19.4 17.1 21.1 24.9 46.6 430.2 339.7 80.7 55.5 25.2 259.0 148.5 44.6 30.2 35.7 18.2 17.5 21.7 23.9 48.0 433.2 153.9 11.2 142.7 135.8 6.9 106.9 31.9 75.1 121.4 42.9 425.1 5.1 150.4 11.4 138.9 131.6 7.4 100.3 28.1 72.2 133.8 43.6 428.1 5.1 143.9 11.1 132.8 127.7 5.1 97.0 25.8 71.2 146.5 40.9 428.2 5.5 102.4 27.7 74.6 148.1 40.9 437.5 4.0 Page 13 H.S (51 0) May 13, 1994 Footnotes 1. Covers the following types of Institutions in the fifty states and the District of Columbia: domestically chartered commercial banks that submit a weekly report of condition (large domestic); other domestically chartered commercial banks (small domestic); branches and agencies of foreign banks, New York State Investment companies, and Edge Act corporations (foreign-related institutions). Excludes International banking facilities. Data are Wednesday values or pro rata averages of Wednesday values. Large domestic banks constitute a universe; small domestic and foreign-related Institutions are estimated based on weekly samples and on quarter-end condition reports. Data are adjusted for breaks caused by reclassifications of assets and liabilities. The data for small and large domestic banks presented on pages 5 and 6 are adjusted to remove the estimated effects of mergers between these two groups. The data for small and large domestic banks presented on pages 7-8 and pages 9-10 are based on reported data and are affected by mergers. The adjustment for mergers changes past levels to make them comparable with current levels. Estimated quantities of balance sheet items acquired In mergers are removed from past data for the bank group that contained the acquired bank and put into past data for the group containing the acquiring bank. Balance sheet data for acquired banks are obtained from call reports, and a ratio procedure is used to adjust past levels. 2. Excludes federal funds sold to, reverse RPs with, and loans to commercial banks in the United States. 3. Consists of reverse RPs with broker-dealers and loans to purchase and carry securities. For small domestic banks, consists of an estimate of other loans derived from weekly data for a sample of small banks multiplied by the share of security loans in other loans, calculated from quarterly Call Reports. 4. Consists of federal funds sold to, reverse RPs with, and loans to commercial banks In the United States. 5. Includes vault cash, cash Items In process of collection, demand balances due from depository Institutions In the United States, balances due from Federal Reserve Banks, and other cash assets. 6. Excludes the due-from position with related foreign offices, which Is Included In line 23. 7. Excludes unearned Income, reserves for losses on loans and leases, and reserves for transfer risk. loans are reported gross of these items. 8. Estimated with partial data; lor all banks, not seasonally adjusted, constrained to equal values In line 11.The seasonally adjusted aggregates lor all commercial banks in lines 11 and 21 are sums of seasonally adjusted components and are not necessarily equal • . 9. Excludes the due-to position with related foreign offices, which Is included In line 23. 1o. Assets Jess liabilities. This balancing item Is not Intended as a measure of equity capital for use In capital adequacy analysis. On a season any adjusted basis this item reflects any differences in the seasonal patterns estimated for total assets and total liabilities.