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FEDERAL RESERVE statistical release H.8 (510) FOR IMMEDIATE RELEASE AUGUST 25, 1986 ASSETS AND LIABILITIES OF INSURED DOMESTICALLY CHARTERED AND FOREIGN ~LATEO BANKING INSTITUTIONS <PARTLY ESTIMATED, IN MILLIONS OF DOLLARS) ~ULY 30, 1986 DOMESTICALLY CHARtERED COMMERCIAL BANKS TOTAL DOMESTIC AND FOREIGN RELATED TOTAL BANKS OF $1.4 BILLION AND OVER (1) <2) DANKS UNDER $1.4 BILLION FOREIGN RELATED BANKING INSTITUTIONS (3) ASSETS 1. Loans and securities A. Investment securities (1) U.S. Treasury and Federal agency securities (2) Other securities 2,133,79.5 2,013,857 964,484 1,049,373 119,938 269,540 176,057 263,130 169,302 81,425 64,576 181,705 104,726 6,410 6,755 B. Trading account assets (1) U.S. Treasury and Federal agency securities <2> Other securities (3) Other assets 28,660 28,660 28,660 n.a. n.a. 19,237 5,434 3,988 19,237 5,434 3,988 19,237 5,434 3,988 n.a. n.a. n.a. n.a. n.a. n.a. 1,659.539 148,408 1,511 '131 507,653 457,595 305,672 240,211 1,552,766 122,549 1 '430 .217 448,690 451 ,887 305,343 224.297 789,823 49,962 739,861 258,552 196,077 138,363 146,869 762.943 72,587 690,356 190, 138 255,810 166,980 77.428 106,773 25,859 80.914 58,963 5.708 329 15,914 206,230 187,889 99,456 C. Total loans (1) Interbank loans (2) Loans excluding inte~bank <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 items E. Other cash assets 3. other assets 4. Total assets or liabilities 445,597 28,177 23.265 33,854 72,126 48,807 432.432 27,211 23,233 32,060 71,690 33,694 146.001 286,431 13,165 19,282 10,807 7.820 88,433 7.929 12,426 24,240 18,341 54,756 6,791 16,934 26,903 436 15,113 966 32 1,794 196,447 143,081 104.609 38,472 53,366 2,536,473 2,344,827 1,168,549 1,176,278 191,646 1,818,663 1,767,136 766,840 1,000,296 51,527 LIABILITIES 5. Total deposits A. Transaction accounts (1) Demand, U.S. Government <2> Demand. depository institutions (3) Other demand and all checkable deposits B. Savings, excl. checkable deposits <1 > miDAs <2> Other C. Small time deposits D. Time deposits over $100,000 540,017 5,029 43,229 491 '760 532,083 5.026 40,345 486.713 265,690 2,887 30,723 232,080 490,999 357,670 133,328 488,840 356,098 132,741 213,165 164,011 49,153 275.675 192.087 83,588 2.159 1,572 587 446,944 340,704 445.499 300,715 133,944 154,041 311,555 146,674 1,445 39,989 266.393 2.139 9,622. 254.633 7,934 3 2,884 5,047 6. Borrowings 379,162 300,498 238,131 62,367 78,664 7. Other liabilities 168.448 110.122 81.714 28,408 .58,326 8. Residual <assets less liabilities) 170,202 167,072 81,86.5 1.5,207 3.130 16,103 16,103 12.138 3,965 0 Memorandum 1 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.