View original document

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 27, 1988

ASSETS AND LIABILITIES OF INSURED DOMESTICALLY CHARTERED AND FOREIGN RELATED BANKING INSTITUTIONS
<PARTLY ESTIMATED, IN MILLIONS OF DOLLARS>
JUNE 1, 1988

(1)

DOMESTICALLY CHARTERED COMMERCIAL BANKS
TOTAL
DOMESTIC
AND FOREIGN
RELATED

TOTAL

LARGE
BANKS ( 2)

SMALL
BANKS

FOREIGN
RELATED
BANKING
INSTITUTIONS (3)

ASSETS

---------------------------------------1. Loans and securities
A. Investment securities
(1) u.s. Treasury and Federal
agency securities
(2) Other securities

2,506,833
522.033

2,311,627
495,436

1,187,976
189,051

1.123,651
306,385

195,206
26,597

328,679
193,353

317.204
178,231

117,167
71.883

200,037
106,348

11.475
15.122

B. Trading account assets
( 1) u.s. Treasury and Federal

21,289

21.289

21,289

n.a.

n.a.

agency securities

16,312
1. 713
3,264

16,312
1. 713
3,264

16,312
1 '713
3,264

n.a.
n.a.
n.a.

n.a.
n.a.
n.a.

1,963,512
170.184
1.793,329
592.543
615. 113
337,589
248,083

1,794.902
141.624
1,653,279
489.560
601.774
337.269
224,675

977,636
76.356
901 .281
300,245
280,343
164.037
156,655

817,266
65,268
751,998
189.315
321 .431
173.232
68.020

168.610
28.560
140.050
102.983
13.339
320
23,408

254,640
32,074
25,484
38,881

236,456
30,664
25,449
37,044

134,732
20.501
13,052
9,834

101,724
10. 163
12,397
27.210

18,184
1.410
35
1. 837

110.465
47.735

109,921
33,377

84,598
6,747

25,323
26.630

544
14,358

(2) Other securities
(3) Other assets

c.

Total loans
(1) Interbank loans
(2) Loans excluding interbank
(Al Commarcial and industrial
(8) Real estate
(Cl 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

187,857

127,223

86' 198

41,025

60,634

2,949,324

2,675,305

1,408,906

1,266,399

274,019

2. 0.84, 793
655,646
3.022
56.551
596.072

2,020,962
646.987
3.018
53.680
590.288

949,153
344.815
1. 561
40.686
302.567

1,071,809
302.172
1. 457
12.994
287.721

63,831
8. 659.

546,741
360,674
186,068

544,206
358,855
185.352

257.778
177.618
80,160

286.428
181 .237
105.192

2.535
1. 619
716

488,393
394,014

486,470
343,299

163.628
182,933

322.842
160.366

1. 923
50.715

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) MMDAs
(2) Other
C. Small time deposits
D. Time deposits over $100,000

4

2.871
5.784

6. Borrowings

468,652

358,158

286,403

71.755

110,494

1. Other liabilities

211,673

115,177

85,102

30,075

96,496

184,206

181,008

88,247

92,761

3,198

16.469

16,469

13.623

2.846

0

8. Residual (assets less liabilities)
Memorandum :
Treasury tax and loan notes
included in borrowings above

(1) 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 charter~d foreign investment company subsidiaries of foreign banks.