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FEDERAL RESERVE statistical release
June 9, 1986

H.8 Series Revised
Data in this release have been benchmarked to the June, 1985 quarterly
condition reports, whereas previous releases were benchmarked to the
December, 1983 condition reports. In addition, this release reflects
several data revisions that have occurred in recent months but were
omitted from the old series in order to avoid breaks in series•
Total loans and securities estimates are higher in the new series
than in the old, and there have been some shifts between loan
categories—commercial loans and individual loans are higher, while
real estate and other loans are lower.
On the liability side of the balance sheet, the new series shows
higher MMDA deposits and lower other savings than the old series,
as well as higher large time deposits and lower small time deposits.
These changes reflect better estimates made possible by use of the
June, 1985 condition data.
In order to enable users of the H.8 series to make comparisons with
earlier data, this w e e k 1 s release includes revised data for May 7,
1986, the last date for which H.8 data were published on the old
basis. Revised data for the period from January, 1984 to April,
1986 are available from the Banking Section, Federal Reserve Board,
Washington, D, G., 20551.




FEDERAL RESERVE statistical release
H.8 (510)

FOR IMMEDIATE RELEASE
JUNE 9, 1986

ASSETS AND LIABILITIES OF INSURED DOMESTICALLY CHARTERED AND FOREIGN RELATED BANKING INSTITUTIONS
(PARTLY ESTIMATED, IN MILLIONS OF DOLLARS)
MAY 7, 1986

DOMESTICALLY CHARTERED COMMERCIAL BANKS
TOTAL
DOMESTIC
AND FOREIGN
RELATED

TOTAL

BANKS OF
$1.4 BILLION
AND OVER

(1)

(2)

BANKS
UNDER
$1.4 BILLION

FOREIGN
RELATED
BANKING
INSTITUTIONS

ASSETS
1. Loans and securities

A. Investment securities
(1) U.S. Treasury and Federal
agency securities
(2) Other securities

B. Trading account assets
CI) U.S. Treasury and Federal
agency securities
(2) Other securities
(3) Other assets
C. Total loans
CI) Interbank loans
C2) Loans excluding interbank
CA) Commercial and industrial
CB) Real estate
CC) 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

2,110,639
429,384

1,992,037
416,178

948,876
136,114

1,043,161
280,064

118,602
13,206

256,704
172,680

249,683
166,495

72,297
63,817

177,386
102,678

7,021
6,185

28,012

28,012

28,012

n.a.

n.a.

18,598
4,738
4,676

18,598
4,738
4,676

18,598
4,738
4,676

n. a.

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

1,653,243
159,318
1,493,926
510,721
442,331
300,195
240,680

1,547,846
132,318
1,415,529
452,775
437,089
299,902
225,763

784,750
50,444
734.306
262,408
188,811
134,781
148.307

763,096
81,874
681,223
190,367
248,278
165,121
77,456

105,397
27,000
78,397
57,946
5,242
293
14,917

197,534

182,763

94,896

19,861
9,576
6,377

87,867

9,070
11,021
23,502

14,771

69,263
45,567

68,699
34,056

51,452
7,030

17,247
27,026

564
11,511

30,049
20,627
32,027

28,931
20,597
30,479

1,118
30
1,548

204,348

148,725

111,235

37,490

55,623

2,512,521

2,323,525

1,155,007

1,168,518

188,996

1,786,139

1,737,423

518,262
4,881
39,673
473,709

253,109
2,960
29,904
220,245

746,495

990,928

48,716

471,032
344,259
126,774

469,008
342,855
126,154

202,730
157,326
45,405

266,278
185,529
80,749

2,024
1,404
620

449,019
340,183

447,575
302,578

134,468
156,188

313,107
146,390

1,444
37,605

6. Borrowings

387,565

308,285

243,281

65,004

79,280

7. Other liabilities

168,057

110,186

83,022

27,164

57,871

8. Residual (assets less liabilities)

170,761

167,631

82,209

85,422

3,130

23,483

23,483

18,889

4,594

0

4. Total assets or liabilities

LIABILITIES
5. Total deposits

A. Transaction accounts
CI) Demand, U.S. Government
C2) Demand, depository institutions
C3) Other demand and all checkable
deposits
B. Savings, excl. checkable deposits
C1) MMDAs
C2) Other
C. Small time deposits
D. Time deposits over $100,000

Memorandum :
Treasury tax and loan notes
included in borrowings above

525,904
4,884
42,660
478,361

265,153
1,921
9,769
253,464

CI) Excludes assets and liabilities of international banking facilities.
C2) Size classification is based on total assets in domestic offices as of December 31, 1982.
C3) 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.




7,642
3
2,987
4,652

FEDERAL RESERVE statistical release
H.8 (510)

FOR IMMEDIATE RELEASE
JUNE 9, 1986

ASSETS AND LIABILITIES OF INSURED DOMESTICALLY CHARTERED AND FOREIGN RELATED BANKING INSTITUTIONS
(PARTLY ESTIMATED, IN MILLIONS OF DOLLARS)
MAY 14, 1986

DOMESTICALLY CHARTERED COMMERCIAL BANKS
TOTAL
DOMESTIC
AND FOREIGN
RELATED

TOTAL

BANKS OF
$1.4 BILLION
AND OVER

(1)

(2)

BANKS
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
B. Trading account assets

CI) U.S. Treasury and Federal

agency securities
(2) Other securities
(3) Other assets

C. Total loans
CI) Interbank loans
C2) Loans excluding interbank
CA) Commercial and industrial
CB) Real estate
CC) 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

2,099,806

1,983,670

941,740

1,041,930

116,136

256,593
173,217

249,596
166,985

71,299
63,840

178,297
103,145

6,997
6,232

27,989

27,989

27,989

n. a.

n.a.

19,494
4,001
4,494

19,494
4,001
4,494

19,494
4,001
4,494

n.a.
n. a.

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

1,642,008
145,704
1,496,304
509,612
444,791
300,807
241,094

1,539,101
121,995
1,417,106
452,405
439,376
300,501
224,825

778,612
44,330
734,282
261,916
189,956
135,078
147,333

760,489
77,665
682,824
190,489
249,420
165,423
77,492

102,907
23,709
79,198
57,207
5,415
306
16,269

201,305

185,812

97,234

19,735
10,223
6,954

88,578

7,872
11,968
23,658

15,493

71,635
46,185

71,257
34,145

53,297
7,025

17,960
27,120

378
12,040

429,809

28,727
22,220
32,537

416,580

27,607
22,191
30,612

135,139

281,441

13,229

1,120
29
1,925

201,100

147,564

109,417

38,147

53,536

2,502,210

2,317,046

1,148,391

1,168,655

185,164

1,786,507

1,738,299

518,532
4,490
39,540
474,503

254,328
2,468
29,848
222,012

747,958

990,341

48,208

472,797
345,693
127,104

470,792
344,286
126,506

203,447
157,855
45,592

267,345
186,431
80,914

2,005
1,407
598

448,259
339,681

446,814
302,161

134,062
156,121

312,752
146,040

1,445
37,520

372,500

299,885

234,716

65,169

72,615

LIABILITIES
5. Total deposits

A. Transaction accounts
C1) Demand, U.S. Government
C2) Demand, depository institutions
C3) Other demand and all checkable
deposits
B. Savings, excl. checkable deposits
CI) MMDAs
C2) Other
C. Small time deposits
D. Time deposits over $100,000

6. Borrowings

525,770
4,493
42,165
479,112

264,204
2,022
9,692
252,491

7,238
3
2,625
4,609

7. Other liabilities

172,648

111,437

83,720

27,717

61,211

8. Residual (assets less liabilities)

170,553

167,423

81,996

85,427

3,130

21,593

21,593

16,808

4,785

0

Memorandum ;
Treasury tax and loan notes
included in borrowings above

CI) Excludes assets and liabilities of international banking facilities.
C2) Size classification is based on total assets in domestic offices as of December 31, 1982.
C3) 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.