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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.