The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
FEDERAL RESERVE statistical release H.8 <510) FOR IMMEDIATE RELEASE .JUNE 10, 1985 ASSETS AND LIABILITIES OF INSURED DOMESTICALLY CHARTERED AND FOREIGN RELATED BANKING INSTITUTIONS <PARTLY ESTIMATED, IN MILLIONS~F DOLLARS> MAY 15, 1985 DOMESTICALLY CHARTERED COMMERCIAL BANKS TOTAL DO~IESTIC AND FOREIGN RELATED ASSETS ---------------------------------------1. Loans and securities A. Investment securities (1) U.S. Treasury and Federal agency securities (2) Other securities B. Trading account assets (1) U.S. Treasury and Federal agency securities (2) Other securities (3) Other assets c. Total loans (1) Interbank loans (2) Loans excluding interbank (A) Commercial and industrial (B) Real estate (C) Individual (D) All other 2. Total cash assets A. Balances with the FRB B. Cash in vault C. Demand balances at U.S. depository institutions D. Cash ite11s E. Other cash assets 3. other assets 4. Total assets or liabilities (2) -------------------------------------------TOTAL BANKS OF $1.4 BILLION AND OVER (1) BANKS UNDER $1.4 BILLION ------------ FOREIGN RELATED BA!~KING INSTITUTIONS ------------ ---------- ------------ 1,923,453 386,491 1,827,506 379,769 872,281 116,236 955,225 263.533 95,947 6,722 252.219 134,272 248.276 131,493 72.128 44.108 176.148 87.385 3.943 2,779 23,758 23,758 23,758 n.a. n.a. 15,994 4,393 3,371 15,994 4,393 3,371 15,994 4,393 3,371 n.a. n.a. n.a. n.a. n.a. n.a. 1,513,204 137,820 1,375.384 483.390 393,201 266,233 232,560 1,423,979 114,640 1,309,339 437,839 387,701 265,995 217,805 732,287 51.973 680,314 255,187 167.659 119,561 137,908 691,692 62,667 629,025 182.652 220.042 146.434 79.897 89,225 23.180 66.045 45.551 5,500 238 14.755 200,521 21,404 20.978 32,950 188,949 20,708 20,952 31,445 98,410 14.143 9,585 7.293 90,539 6,565 11.367 24.152 11,572 696 26 1,505 76.844 48.346 76,560 39,284 58,231 9,158 18.329 30.126 284 9,062 188,800 1:54,810 111.768 23,042 53,990 2.312.774 2.151,265 1,082,459 1,068,806 161.509 1,666,922 492.361 6,184 43.493 442,685 1.623,880 485,953 6,179 40,915 438,860 705,647 238,458 3,389 30,739 204,331 918.233 247.495 2.790 10.176 234,529 43,042 6,408 5 2,578 3,825 414.737 291,507 123.230 413,513 290,604 122,909 179,281 136,821 42.460 234.232 153.783 80,449 1,224 903 321 437,367 322.455 436,009 288,404 132,243 155,665 303.766 132.739 1,358 34,051 LIABILITIES ---------------------------------------- 5. Total depoSits A. Transaction accounts (1) Demand, U.S. Governaent (2) Demand, depository institutions (3) Other demand and all checkable deposits B. Savings, excl. checkable deposits (1) MMDAs (2) Other c. Small time deposits D. Time deposits over $100,000 6. Borrowings 321.666 257,634 207,763 49,871 64,032 7. Other liabilities 173.710 121,942 95,389 26,553 51,768 8. Residual (assets less liabilities) 150,478 147,811 73,661 74,150 2,667 16,569 16,569 12.510 4.059 0 Memorandum • Treasury tax and loan notes included in borrowings above (1) Excludes assets and liabilities of international banking facilities. (2) Size classification is based on total assets in domestic offices as of December 31, 1982. (3) Includes agencies and branches of foreign banks, Edge Act corporations engaged in banking, and New York State chartered foreign investment company subsidiaries of foreign banks. (3) ----------------