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·-.. . FEDERAL RESERVE statistical release H.8(510) March 12, 1990 The attached H.8 release for February 14, 1990 contains data which have been benchmarked to the June 1989 call report; prior to this release, the December 1988 call report had been used as a benchmark. In order to provide a comparison with earlier weeks on the same basis, releases for February 7 and February 14, both benchmarked to the June 1989 call report, are included in this week's release. Data for domestically-chartered commercial banks have been revised back to January 1988. Beginning in January 1986 data on individual loans at foreign-related institutions have not been available as a separate item, and therefore have been included in all other loans. Requests for back data are available by calling (202) 452-3012, or by writing to the Banking and Money Market Statistics Section, Stop 84, Board of Governors of the Federal Reserve System, Washington, DC 20551. FEDERAL RESERVE statistical release FOR IMMEDIATE RELEASE MARCH 12, 1990 H.8 (510) ASSETS AND LIABILITIES OF INSURED DOMESTICALLY CHARTERED AND FOREIGN RELATED BANKING INSTITUTIONS <PARTLY ESTIMATED, IN MILLIONS OF DOLLARS) FEBRUARY 14, 1990 (1) DOMESTICALLY CHARTERED COMMERCIAL BANKS tOTAL DOMESTIC AND FOREIGN RELAtED --------------------------------------tOTAL LARGE ,.. ___________ BANKS (2) SMALL BAtiKS ------------ FOREIGN RELATED BAll KING INSTITUTIONS (3) ---------------- ------------ ----·----- 2,794.681 565,539 2,560,281 539,113 1,333,272 218,450 1,,227,009 320,663 234,400 26.426 392.127 173.413 379,915 159,199 151.922 66,529 227.993 92,670 12.212 14.214 30.632 30,632 30.632 n.a. n.a. 23.501 653 6,478 23,501 653 6,478 23,501 653 6.478 n.a. n.a. n.a. n.a. n.a. n.a. 2.198.509 189,552 2.008.957 635.981 764,304 378,383 230.289 1,990.535 152.059 1,838.476 515,054 733.794 378,383 211.245 1.084.190 74.146 1.010,043 321.021 363.755 178.577 146.691 906.345 77.913 828.433 194.033 370.039 199,806 64.554 207.974 37,493 170.481 120.927 30.510 n.a. 19.044 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 216,068 29.001 27.664 28.186 191,435 27.331 27.632 26.389 107,834 18,070 15.231 6,328 83,601 9,261 12.401 20.061 24,633 1,670 32 1.797 82.061 49,156 80.641 29.441 60.578 7.626 20.063 21.815 1,420 19,715 3. Other assets 215,853 140,162 92,895 47,267 75,691 3,226,601 2,891,877 1,534,001 1,357,876 334,724 2,244,073 600.959 -·-5.119 38.579 557.260 2.161,887 591,248 5,114 35,947 550,186 1,036,420 307.148 3,184 25,618 278.345 1,125,467 284.100 1,930 10,329 271,841 82,186 9,711 544.673 356,329 188,343 541,803 354.245 187.557 277.758 193.734 84,024 264,045 160.511 103,533 2.870 2,084 786 639,254 459.188 636.893 391,944 233,780 217.734 403,113 174.210 2,361 67.244 6. Borrowings 550,298 403,375 30!,761 99,614 146,92! 7. Other liabilities 225.052 12!,041 93,921 29.120 102,011 a. 207.179 203,575 99,900 103,675 3,604 Memoranda , Treasury tax and loan notes included in borrowings above 20.177 20,177 15,340 4.837 0 Real estate loans. revolving Real estate loans. other 50.700 713,604 50,700 683.094 28.712 335,043 21.988 348,051 0 30,510 ASSETS ---------------------------------------1. Loans and securities A. Investment securities (1l 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 (I) Interbank loans (2) Loans excluding interbank CAl Commercial and industrial !Bl Real estate CCl Individual ( Dl All other 4. Total assets or liabilities LIABILITIES ---------------------------------------- 5. Total deposits A. Transaction accounts (1) Demand, U.S. Government (2) Demand, depository institutions (3) Other deaand and all checkable deposits B. Savings, excl. checkable deposits (I l MMDAs (2) Other c. Small time deposits D. Time deposits over $100,000 Residual (assets less liabilities) (1) Excludes assets and liabilities of international banking facilities. <2> Large banks include all banks that submit weekly reports of condition CFR 2416). (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. 5 2.632 7,074 FEDERAL RESERVE statistical release H.8 U10) FOR IMMEDIATE RELEASE MARCH 12, 1990 ASSETS AND LIABILITIES OF INSURED DOMESTICALLY CHARTERED AND FOREIGN RELATED BANKING INSTITUTIONS (PARTLY ESTIMATED, IN MILLIONS OF DOLLARS) FEBRUARY 7, 1990 (1) DOMESTICALLY CHARTERED COMMERCIAL BANKS TOTAL DOMESTIC AND FOREIGN RELATED --------------------------------------TOTAL LARGE BANKS ------------ ---------- ------------ 2,789,7JJ 562,666 2,558,914 536,446 389,335 173.332 (2) SMALL BANKS FOREIGN RELATED BANKING lNS'l'l'l'UTlONS (J) ------------ ---------------- 1,:526,708 217,423 1.2:52.206 319,023 2:50,819 26.220 377,437 159,010 151,088 66,336 226,349 92,674 11,898 14,322 32.100 32.100 32,100 n.a. n.a. 24,643 681 6.777 24,643 681 6,777 24,643 681 6,777 n.a. n.a. n.a. n.a. n.a. n.a. 2,194,966 190,263 2.004.703 638,344 762,196 378,126 226,037 1,990,367 157,439 1,832,928 515,713 731.836 378,126 207,253 1,077,184 75,149 1,002,035 321.208 360,552 178,216 142.059 913,183 82,290 830,893 194,505 371.284 199,910 65,194 204,599 32,824 171.775 122,631 30,360 n.a. 18,784 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 211,942 26,494 26,331 27.868 185,298 25,480 26,299 26,186 102,872 16,689 14,517 6,098 82,426 8,791 11,782 20,088 26,644 1,014 32 1,682 79.460 51,789 77.892 29,440 57,917 7.650 19,975 21,790 1,568 22,349 3. Other assets 21J,8JO 140,:598 9:5,467 46,9:51 7:5,432 :5,215,506 2,884,610 1,523,047 1,:561,563 330,896 2.241,747 599,767 5,356 38,521 555,890 2,158,608 589,735 5.351 35.748 548,637 1,027,680 302.184 3.492 25,323 273.370 1,1:50,928 287,551 1.859 10.425 275,267 u,t:s9 10,032 5 2,773 7,253 544,637 355,994 188,641 541.710 353,949 187,760 276,310 192,430 83.880 265.400 161,519 103,880 2,927 2,045 881 638,124 459.220 635,774 391,389 231,849 217,337 403,925 174,052 2.350 67.831 :507,052 97,648 142,845 ASSETS ---------------------------------------1. Loans and secu~ities A. Investment securities (1) U.S. Treasury and agency securities (2) Other securities Fede~al B. Trading account assets (1) U.S. Treasury and Fede~al agency securities (2) Other securities (3) Other assets c. Total loans (1) Interbank loans (2) Loans excluding interbank <Al Commercial and industrial <Bl Real estate (C) Individual CD) All other 4. Total assets or liabilities LIABILITIES ---------------------------------------Total deposits s. 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. S•all time deposits D. Time deposits over $100,000 '· Borrowings 547.545 404,700 7. Other liabilities 218.604 117.297 88,655 28,642 101.:507 •• 207,609 204,005 99,659 104.346 :5,604 He•oranda • Treasury tax and loan notes included in bor~owings above 19,224 19,224 14.805 4.419 0 Real estate loans, revolving Real estate loans, other 50,496 711,700 50,496 681.340 28.244 332,308 22,252 349,032 0 30,360 Residual (assets less liabilities) (1) Excludes assets and liabilities of international banking facilities. (2) Large banks include all banks that submit weekly reports of condition CFR 2416), (3) Includes agencies and branches of foreign hanks, Edge Act corporations engaged in banking, and New York State chartered foreign investment company subsidiaries of foreign banks.