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H.8 C510l FOR IMMEDIATE RELEASE APRIL 11, 1988 ASSETS AND LIABILITIES OF INSURED DOMESTICALLY CHARTERED AND FOREIGN RELATED BANKING INSTITUTIONS <PARTLY ESTIMATED, IN MILLIONS OF DOLLARS> MARCH 16, 1988 C1l DOMESTICALLY CHARTERED COMMERCIAL BANKS TOTAL DOMESTIC AND FOREIGN RELATED --------------------------------------TOTAL LARGE BANKS C2l ---------- ------------ 2,443,036 515.510 2.255,063 487,032 1,146.674 185,557 1,108,389 301,475 324,273 191,238 312,181 174,851 115,313 70,244 196,868 104,607 12.092 16.387 21.990 21,990 21,990 n.a. n.a. 17,399 1,790 2,801 17.399 1 '790 2,801 17,399 1 '790 2.801 n.a. n.a. n.a. n.a. n.a. n.a. 1,905,535 172,991 1.732,545 573,322 596,331 330,791 232,102 1.746.040 140,719 1,605,322 478,540 584,289 330,471 212,023 939,127 68,978 870,149 292,318 272,139 160,374 145.318 806.913 71,741 735,173 186,222 312.150 170,097 66,705 159,495 32,272 127,223 94,782 12,042 320 20,079 214,710 33,007 23,895 32,100 199,319 31.386 23,863 30.296 109,052 21.384 12,449 7.933 90,267 10,002 11.414 22.363 15,391 1,621 32 1.804 80,564 45,146 80,005 33,770 60,538 6,749 19,467 27,021 559 11,376 ---------------------------------.------B. Trading account assets C1l U.~. Treasury and Federal agency securities (2) Other securities (3) Other assets c. Total loans ( l) Interbank loans (2) Loans excluding interbank CAl Commercial and industrial CBl Real estate CCl Individual CD) 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 items E. Other cash assets 3. Other assets 4. Total assets or liabilities FOREIGN RELATED BANKING INSTITUTIONS (3) ------------ ASSETS 1. Loans and securities A. Investment securities ( 1 ) u.s. Treasury and Federal agency securities (2) Other securities SMALL BANKS ------------ ---------------187,973' 28,478 191,425 130,266 88,970 41,296 61,159 2,849,167 2,584,649 1,344,697 1,239,952 264,518 2,014.677 598,583 6.408 45,056 547.119 1,951,231 590,256 6.403 42,371 541.482 900,316 304,192 3.782 31,240 269,170 1,050,915 286.064 2,621 11.131 272,312 63,446 8,327 5 2,685 5.637 540,172 359,778 180,394 537.869 358,123 179.746 252.773 175,498 77,275 285,096 182,625 102,471 2.303 1,655 648 478,658 397,264 476,873 346,233 159.156 184,195 317,717 162,038 1. 785 51,031 453,422 348,422 279,511 68,911 105,000 27,184 92,874 LIABILITIES ---------------------------------------5. Total deposits A. Transaction accounts C1l Demand. U.S. Government C2l Demand, depository institutions (3) Other deaand and all checkable deposits B. Savings, excl. checkable deposits (1) MMDAs (2) Other c. Small time deposits , D. Tiae deposits over $100,000 6. Borrowings 7. Other liabilities 200,004 107.130 79,946 a. 181,064 177.866 84.924 92,942 3,198 23,884 23,884 19.233 4,651 0 Residual (assets less liabilities> Memorandum I Treasury tax and loan notes included in borrowings above C1l Excludes assets and liabilities of international banking facilities. (2) Large banks includes all banks which submit weekly reports of condition. (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.