20
JUNE 10, 1985 Commercial Banking Sufcsectors UNADJUSTED NET FLOWS(I WILL) Subsector Statements foe Component Grotips in Connercial Banking Connercial Banking Subsectors UNADJUSTED MET FLOiS (I MILL) | 1983 | 1984 II III | 1985 I? | I 1975 U.S.-Chartered Connercial Banks 1 Current surplus 2 Plant and equipment 3 Net aeg. of financial assets 4 Total bank credit 5 U.S. governaent securities 6 Treasury issues 7 Agency issues 8 Tax-exenpt Obligations 9 Corporate bonds 10 Total loans 11 Mortgages 12 Consumer credit 13 Bank loans n.e.c. 14 Open-market paper 15 Security credit 16 Vault cash • mem. tank res. 17 Miscellaneous assets 18 Net increase in liabilities 19 Checkable deposits 20 U.S. government 21 Foreign 22 Private domestic 3,439 3,795 56,591 57,549 4,140 5,757 -1,617 5,522 377 47,510 8,569 12,990 21,976 -1 3,976 4,335 -5,293 54,780 13,360 -11,315 677 23,998 4,380 3,643 32,527 36,912 7,451 8,836 -1,385 -591 1,993 28,059 8,946 6,087 14,781 -773 -982 -2,942 -1,443 30,772 -5,877 1,519 -324 -7,072 3,461 3,803 47,468 46,239 -7,213 -7,335 122 -267 -52 53,771 12,516 16,229 24,185 1,586 -745 -1,175 2,404 46,706 2,560 -1,000 92 3,468 2,714 3,791 36,384 34,674 152 -548 700 5,429 821 28,272 11,219 12,548 2,224 1,718 563 3,632 -1,922 33,824 2,371 12,678 121 •10,428 2,676 3,505 61,013 59,435 918 1,559 -641 8,042 446 50,029 11,521 11,102 22,825 -1,261 5,842 4,100 -2,522 61,259 31,174 -9,172 3,026 37,320 4,312 3,711 14,282 1«,537 12,000 10,479 1,521 -6,757 396 8,898 8,373 9,116 -5,165 -357 -3,069 -778 523 12,556 -25,531 881 2,996 -29,408 23 Small tine*savings deposits 24,151 13,313 18,806 12,486 29,978 23,040 24 Large time deposits 25 Fed. funds and security fiP*s 26 Net interbank liabilities 27 Federal Reserve float 28 Borrowing at f.B. banks 29 To domestic banks 30 To foreign banks 31 Corporate equities 32 Corporate bonds 33 Profit taxes payable 34 Miscellaneous liabilities 35 Discrepancy 36 Memo: Credit okt. funds adv. 7,154 3,062 12,544 1,623 -707 -1,285 12,913 188 -289 -14 -5,376 2,521 6,258 17,347 -9,666 2,565 -776 -22 9,682 3,681 12,638 -1,442 3,864 4,822 5,394 195 -211 202 2,226 -3 2,596 11,164 1,999 4,063 944 1,873 94 1,152 209 -720 4 2,248 2,869 -1,110 -6,825 566 -3,056 -1,944 -2,391 216 2,26 4 -4,786 -4,777 16,959 -557 -995 6,524 11,987 223 1,200 15 6,213 BILLIONS OF DOLLABS 1976 1977 1978 -2,167 -1,018 -1,104 -3,637 -583 -1,125 53,573 37,894 46,984 34,111 53,593 17,606 inks 4.3 2.3 29.0 30.7 30.1 28.4 1.6 1.6 1.8 -2.8 3.7 3.1 •12.8 1.1 2.2 .8 -2.5 27.1 7.0 -1.7 -.5 9.2 39.9 •13.3 3.5 •10.9 1.7 -.1 -4.2 -8,3 1.0 .2 -.3 .1 .1 28.5 4.5 4.1 59.6 61.3 19.6 18.1 1.5 2.6 -.6 39.8 15.1 12.0 3.2 3.2 6.2 -1.0 -.6 57.9 11.0 -.1 1.7 9.4 54.6 -15.6 13.6 -9.8 -1.1 -.2 .3 -8.7 1.6 .7 1.7 -1.4 55.1 5.3 6.7 91.0 83.7 -1.3 -2.2 .9 9.2 -.3 76.1 27.3 22.3 24.6 .2 1.8 3.5 3.7 86.3 21.5 4.3 1.7 15.5 28.2 23.8 9.0 -2.8 1.2 .2 -2.7 -1.5 .6 • 6 .2 5.4 -6.1 81.9 6.7 9.3 119.5 106.7 .1 -6.7 6.8 9.4 -.6 97.8 35.3 26.2 41.6 -2.3 -3.0 5.9 7.0 114.1 22.9 6.8 * 16.2 13.2 42.1 IS.5 2.5 2.7 .9 -3.5 2.3 1.1 .2 .1 12.4 -8.0 10S.6 7.9 1 10.7 2 111.5 3 107.8 4 7.4 5 -.2 6 7.6 7 9.7 8 -.3 9 91.0 10 30.6 11 19.9 12 39.9 13 1.6 14 -.8 15 1.6 16 2.1 17 104.9 18 25.6 19 • 4 20 3.4 21 21.8 22 29.5 23 10.2 24 15.6 25 13.0 26 .3 27 .3 28 -4.0 29 16.5 30 1.3 31 .2 32 .5 33 9.1 34 -9.4 35 108.6 36 Domestic Affiliates of Commercial Eanks 1 Net acq. of financial assets 2 Inv. in finance co. subs. 3 Bank loans n.e.c. 4 Net increase in liabilities 5 Net interbank claims 6 Credit market debt 7 Corporate bonds 8 Commercial paper 9 Miscellaneous liabilities 1,269 1,206 63 1,269 1,739 2,556 1,708 848 452 -3 4 3 —— 846 811 35 846 ,441 ,212 835 ,377 75 ——— 5,168 4,954 214 5,168 -1,894 5,811 1,291 4,520 1,251 ———— -1,598 -1,832 234 -1,598 -24 -1,537 1,220 -2,757 -37 .__._—. 5,080 4,725 355 5,080 1,263 2,440 1,306 1,134 1,377 "• ——-« -2,020 -2,442 422 -2,020 -2,791 2,770 1,413 1,357 -1,999 2.9 3.4 -.5 2.9 2.0 .6 .3 .3 .2 6.1 6.4 -.3 6.1 -.3 5.4 6.2 -.8 .9 * -.5 .6 * -1.6 2.0 .7 1.3 -.3 1.7 2.7 -1.0 1.7 -3.0 7.2 .5 6.7 -2.4 5.4 5.5 -. 1 5.4 -1.4 6.5 1.9 4.5 .3 1 2 3 4 5 6 7 8 9 foreign Banking offices in U.S. 1 Net acq. of financial assets 2 Credit market instruments 3 U.S. government securities 4 Tax-exempt Obligations 5 Corporate bonds 6 Bank loans n.e.c. 7 Open-market paper 8 Corporate equities 9 Security credit 10 Miscellaneous assets 11 Net increase in liabilities 12 Demand deposits 13 Time deposits 14 Net interbank liabilities 15 To foreign banks 16 To domestic banks 17 Miscellaneous liabilities 3,288 385 387 -82 157 -276 199 -6 592 2,317 3,288 501 3,860 2,832 790 3,622 133 686 -252 -12 88 774 88 2 51 -606 133 -93 -7,698 8,674 3,405 5,269 6,193 68 -119 -50 635 -808 410 - -406 6,531 6,193 190 1,127 1,926 1,099 827 -1,289 904 85 65 746 1,394 -1,386 -4 225 -2,414 -1,289 -759 -4,567 1,991 138 1,853 3,504 4,173 -34 3 -94 296 4,357 -43 -71 1,246 -1,844 3,504 -372 3,092 631 -1,980 2,611 -605 -2,166 -1,114 -2 -224 -926 100 . -300 1,861 -605 501 -1,473 -82 -328 246 1.6 1.1 -.2 * * 1.2 * * -. 1 .6 1.6 .6 3.4 •3.0 •1.4 1.6 5.3 4.4 .5 * -.1 3.5 .5 .4 • 4 5.3 2.4 .4 2.2 3.0 -.9 5.7 4.9 -.1 * .2 4.7 .1 * .5 .3 5.7 3.0 2.2 -.2 .9 -1.1 21.8 19.6 .5 -.1 . 1 18.1 1.0 * .1 2.0 21.8 2.5 6.4 10.6 3.4 7.3 16.5 1 14.5 2 .5 3 .1 4 . 1 5 13.2 6 .6 7 * 8 * 9 2.1 10 16.5 11 .8 12 3.6 13 9.5 14 5.8 15 3.7 16 1,759 -750 2,950 2,046 153 .7 2.3 Banks in U.S. Possessions 1 Net acq. of financial assets 2 Demand deposits and currency 3 Credit market instruments 4 U.S. government securities 5 Tax-exempt Obligations 6 Corporate bonds 7 Uome mortgages 8 Commercial mortgages 9 Miscellaneous assets 930 595 71 119 -2 -56 84 -74 264 953 625 108 134 -8 -68 86 -36 220 974 651 129 147 -21 -86 88 1 194 997 681 226 160 -10 -24 90 10 90 1,019 708 228 174 -22 -49 92 33 83 1,041 737 291 187 -16 -5 94 31 13 1.1 .1 .4 .1 .1 .2 • 6 • 4 -.2 .5 .3 .2 -.1 .1 * .1 1. 1 1 .7 2 -.2 . 1 1 10 Net increase in deposit liab. 930 997 1/85 BASED ON INCOMPLETE INFORMATION. Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis 1985-06-10 | 1st Quarter 1985

35976_1985-1989

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Page 1: 35976_1985-1989

JUNE 10, 1985 Commercial Banking Sufcsectors

UNADJUSTED NET FLOWS(I WILL)

Subsector Statements foe Component Grotips in Connercial Banking

Connercial Banking Subsectors

UNADJUSTED MET FLOiS (I MILL)

| 1983 | 1984 II III

| 1985 I? | I 1975

U.S.-Chartered Connercial Banks

1 Current surplus 2 Plant and equipment

3 Net aeg. of financial assets 4 Total bank credit 5 U.S. governaent securities 6 Treasury issues 7 Agency issues

8 Tax-exenpt Obligations 9 Corporate bonds

10 Total loans 11 Mortgages 12 Consumer credit 13 Bank loans n.e.c. 14 Open-market paper 15 Security credit

16 Vault cash • mem. tank res. 17 Miscellaneous assets

18 Net increase in liabilities 19 Checkable deposits 20 U.S. government 21 Foreign 22 Private domestic

3,439 3,795

56,591 57,549

4,140 5,757

- 1 , 6 1 7

5,522 377

47,510 8,569

12,990 21,976

- 1 3,976

4,335 -5,293

54,780 13,360

-11 ,315 677

23,998

4,380 3,643

32,527 36,912

7,451 8,836

- 1 , 3 8 5

-591 1,993

28,059 8,946 6,087

14,781 -773 -982

-2,942 -1,443

30,772 - 5 , 8 7 7

1,519 -324

-7 ,072

3,461 3,803

47,468 46,239 -7,213 -7,335

122

-267 -52

53,771 12,516 16,229 24,185 1,586 -745

- 1 ,175 2,404

46,706 2,560

- 1 ,000 92

3,468

2,714 3,791

36,384 34,674

152 - 5 4 8

700

5,429 821

28,272 11,219 12,548 2,224 1,718

563

3,632 - 1 , 9 2 2

33,824 2,371

12,678 121

•10,428

2,676 3,505

61,013 59,435

918 1,559 - 6 4 1

8,042 446

50,029 11,521 11,102 22,825 - 1 , 2 6 1

5,842

4,100 -2 ,522

61,259 31,174 -9,172 3,026

37,320

4,312 3,711

14,282 1«,537 12,000 10,479 1,521

-6,757 396

8,898 8,373 9,116

-5,165 -357

-3,069

-778 523

12,556 -25,531

881 2,996

-29,408

23 Small tine*savings deposits 24,151 13,313 18,806 12,486 29,978 23,040

24 Large time deposits 25 Fed. funds and security fiP*s

26 Net interbank liabilities 27 Federal Reserve float 28 Borrowing at f.B. banks 29 To domestic banks 30 To foreign banks

31 Corporate equities 32 Corporate bonds 33 Profit taxes payable 34 Miscellaneous liabilities

35 Discrepancy

36 Memo: Credit okt. funds adv.

7,154 3,062

12,544 1,623 -707

-1,285 12,913

188 -289 -14

-5,376

2,521 6,258

17,347 -9,666

2,565 -776 -22

9,682 3,681

12,638 -1,442 3,864 4,822 5,394

195 -211

202 2,226

-3 2,596

11,164 1,999

4,063 944

1,873 94

1,152

209 -720

4 2,248

2,869 -1,110

-6,825 566

-3,056 -1,944 -2,391

216 2,26 4

-4,786 -4,777

16,959 -557 -995 6,524 11,987

223 1,200

15 6,213

BILLIONS OF DOLLABS 1976 1977 1978

-2,167 -1,018 -1,104 -3,637 -583 -1,125

53,573 37,894 46,984 34,111 53,593 17,606

inks

4.3 2.3

29.0 30.7 30.1 28.4 1.6

1.6 1.8

-2.8 3.7 3.1

•12.8 1.1 2.2

.8 -2.5

27.1 7.0

-1.7 -.5 9.2

39.9

•13.3 3.5

•10.9 1.7 -.1

-4.2 -8,3

1.0 .2

-.3 .1

.1

28.5

4.5 4.1

59.6 61.3 19.6 18.1 1.5

2.6 -.6

39.8 15.1 12.0 3.2 3.2 6.2

-1.0 -.6

57.9 11.0 -.1 1.7 9.4

54.6

-15.6 13.6

-9.8 -1.1 -.2 .3

-8.7

1.6 .7

1.7

-1.4

55.1

5.3 6.7

91.0 83.7 -1.3 -2.2

.9

9.2 -.3

76.1 27.3 22.3 24.6 .2 1.8

3.5 3.7

86.3 21.5 4.3 1.7 15.5

28.2

23.8 9.0

-2.8 1.2 .2

-2.7 -1.5

.6 • 6 .2 5.4

-6.1

81.9

6.7 9.3

119.5 106.7

.1 -6.7 6.8

9.4 -.6

97.8 35.3 26.2 41.6 -2.3 -3.0

5.9 7.0

114.1 22.9 6.8

* 16.2 13.2

42.1 IS.5

2.5 2.7 .9

-3.5 2.3

1.1 .2 .1

12.4

-8.0

10S.6

7.9 1 10.7 2

111.5 3 107.8 4 7.4 5 -.2 6 7.6 7

9.7 8 -.3 9

91.0 10 30.6 11 19.9 12 39.9 13 1.6 14 -.8 15

1.6 16 2.1 17

104.9 18 25.6 19 • 4 20 3.4 21 21.8 22

29.5 23

10.2 24 15.6 25

13.0 26 .3 27 .3 28

-4.0 29 16.5 30

1.3 31 .2 32 .5 33

9.1 34

-9.4 35

108.6 36

Domestic Affiliates of Commercial Eanks

1 Net acq. of financial assets 2 Inv. in finance co. subs. 3 Bank loans n.e.c.

4 Net increase in liabilities 5 Net interbank claims 6 Credit market debt 7 Corporate bonds 8 Commercial paper 9 Miscellaneous liabilities

1,269 1,206

63

1,269 1,739 2,556 1,708 848 452

-3 4

3

— — 846 811 35

846 ,441 ,212 835 ,377 75

— — — 5,168 4,954

214

5,168 -1,894 5,811 1,291 4,520 1,251

———— -1,598 -1,832

234

-1,598 -24

-1,537 1,220

-2,757 -37

.__._—. 5,080 4,725 355

5,080 1,263 2,440 1,306 1,134 1,377

"• — — - « -2,020 -2,442

422

-2,020 -2,791 2,770 1,413 1,357

-1,999

2.9 3.4 -.5

2.9 2.0 .6 .3 .3 .2

6.1 6.4 -.3

6.1 -.3 5.4 6.2 -.8 .9

* -.5 .6

* -1.6 2.0 .7 1.3 -.3

1.7 2.7

-1.0

1.7 -3.0 7.2 .5

6.7 -2.4

5.4 5.5 -. 1

5.4 -1.4 6.5 1.9 4.5 .3

1 2 3

4 5 6 7 8 9

foreign Banking offices in U.S.

1 Net acq. of financial assets 2 Credit market instruments 3 U.S. government securities 4 Tax-exempt Obligations 5 Corporate bonds 6 Bank loans n.e.c. 7 Open-market paper

8 Corporate equities 9 Security credit 10 Miscellaneous assets

11 Net increase in liabilities 12 Demand deposits 13 Time deposits

14 Net interbank liabilities 15 To foreign banks 16 To domestic banks

17 Miscellaneous liabilities

3,288 385 387 -82 157

-276 199

-6 592

2,317

3,288 501

3,860

2,832 790

3,622

133 686

-252 -12 88

774 88

2 51

-606

133 -93

-7,698

8,674 3,405 5,269

6,193 68

-119 -50 635

-808 410

--406 6,531

6,193 190

1,127

1,926 1,099 827

-1,289 904 85 65

746 1,394

-1,386

-4 225

-2,414

-1,289 -759

-4,567

1,991 138

1,853

3,504 4,173 -34 3 -94 296

4,357 -43

-71 1,246

-1,844

3,504 -372 3,092

631 -1,980 2,611

-605 -2,166 -1,114

-2 -224 -926 100

. -300 1,861

-605 501

-1,473

-82 -328 246

1.6 1.1 -.2

* * 1.2

* *

-. 1 .6

1.6 .6

3.4

•3.0 •1.4 1.6

5.3 4.4 .5

* -.1 3.5 .5

.4 • 4

5.3 2.4 .4

2.2 3.0 -.9

5.7 4.9 -.1

* .2 4.7 .1

* .5 .3

5.7 3.0 2.2

-.2 .9

-1.1

21.8 19.6 .5

-.1 . 1

18.1 1.0

* .1 2.0

21.8 2.5 6.4

10.6 3.4 7.3

16.5 1 14.5 2 .5 3 .1 4 . 1 5

13.2 6 .6 7

* 8 * 9

2.1 10

16.5 11 .8 12

3.6 13

9.5 14 5.8 15 3.7 16

1,759 -750 2,950 2,046 153 .7 2.3

Banks in U.S. Possessions

1 Net acq. of financial assets 2 Demand deposits and currency

3 Credit market instruments 4 U.S. government securities 5 Tax-exempt Obligations 6 Corporate bonds 7 Uome mortgages 8 Commercial mortgages 9 Miscellaneous assets

930 595

71 119 -2 -56 84

-74 264

953 625

108 134 -8 -68 86

-36 220

974 651

129 147 -21 -86 88 1

194

997 681

226 160 -10 -24 90 10 90

1,019 708

228 174 -22 -49 92 33 83

1,041 737

291 187 -16 -5 94 31 13

1.1 .1

.4

.1

.1

.2 • 6

• 4 -.2 .5

.3

.2 -.1 .1 *

.1

1. 1 1 .7 2

-.2 . 1 • 1

10 Net increase in deposit liab. 930 997

1/85 BASED ON INCOMPLETE INFORMATION.

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1985-06-10 | 1st Quarter 1985

Page 2: 35976_1985-1989

SEPTEMBEfi 23, 1985 Commercial Banking Subsectors

UNADJUSTED MET FLOWS ($ BILL)

Subsector Statements for Component Groups in Commercial Banking

1 Current surplus 2 Plant and equipment

3 Met a eg. of financial assets 4 Total bank credit 5 U.S. Government securities 6 Treasury issues 7 Agency issues

8 Tax-exempt Obligations 9 Corporate bonds

10 Total loans 11 Mortgages 12 consumer credit 13 Bank loans n.e.c. 14 Open-market paper 15 Security credit

16 fault cash • men. tank res. 17 Miscellaneous assets

18 Net increase in liabilities 19 Checkable deposits 20 U.S. Government 21 Foreign 22 Private domestic

23 Small tiae*savings deposits

24 large time deposits 25 Fed. funds and security fiPas

26 Met interbank liabilities 27 Federal £eserve float 28 Borrowing at f.B. banks 29 To domestic banks 30 To foreign banks

31 Corporate equities 3 2 Corporate bonds 33 Profit taxes payable 34 fliscellaneous liabilities

35 Discrepancy

36 Memo: Credit mkt. funds adv.

1 Met aoj. of financial assets 2 lav. in finance co. subs. 3 Bank loans n.e.c.

4 Met increase in liabilities 5 Met interbank claims 6 Credit market debt 7 Corporate bonds 3 Commercial paper 9 Miscellaneous liabilities

1 Met dCv of financial assets 2 Credit market instruments 3 U.S. Government securities 4 Tax-exempt Obligations 5 Corporate nonds 6 Bank loans n.e.c. 7 Open-market paper

8 Corporate equities 9 Security credit 10 fliscellaneous assets

11 Net increase in liabilities 12 Demand deposits 13 Time deposits

14 Net interbank liabilities 15 To foreign banks 16 To domestic banks

£ — . . • « . « • ' »

— — 4,380 3,710

32,527 36,912

» 7,451 8,836

-1,385

-591 1,993

28,059 8,946 6,087

14,781 -773 -982

-2,942 -1,443

30,772 -5,877 1,519 -324

-7,072

13,313

2,521 > 6,258

12,565 -776 -22

9,682 3,681

195 -211

2,008

-1,085

37,894

— — 846 811 35

846 -3,441 4,212

835 3,377

75

...

133 686

5 -2 52 -12 88

774 88

2 51

-606

133 -93

-7,698

8,674 3,405 5,269

1984 II III

........ - — — ™

3,461 3,878

47,468 46,239 -7,213 -7,335

122

-267 -52

53,771 12,516 16,229 24,185 1,586 -745

-1,175 2,404

46,706 2,560

-1,000 92

3,468

18,806

17,347 -9,666

12,638 -1,442 3,864 4,622 5,394

202 2,226

-3 2,596

-1,179

46,984

———— 5,168 4,954

214

5,168 -1,894 5,811 1,291 4,520 1,251

.. ....

6,193 68

-119 -50 635

-808 410

-406 6,531

6,193 190

1,127

1,920 1,099 827

........ ———•

2,714 3,862

36,364 34,674

152 -548 700

5,429 821

28,272 11,332 12,548 2,111 1,718 563

3,632 -1,922

33,824 2,371 12,678

132 -10,439

12,466

11,164 1,999

4,063 944

1,673 94

1,152

209 -720

4 2,248

-3,708

34,111

........

——-— -3,598 -3,832

234

-3,596 -24

-1,537 1,220

-2,757 -2,037

——..-.

-1,269 904 85 65

746 1,394

-1,386

-4 225

-2,414

-1,269 -759

-4,567

1,991 138

1,853

IV

.......... 0

— — — 2,676 3,564

63,172 61,435

918 1,559 -641

8,042 446

52,029 11,400 11,102 24,946 -1,261 5,842

4,100 -2,363

63,268 31,174 -9,172 2,922

37,424

29,978

2,869 -1,110

-4,825 566

-3,056 -1,944

-391

216 2,264

4 2,698

-792

55,593

........

| 1985 1 I II

. . . . . • - . . . .

.S.-Chartered Coma

—— — —• 4,405 3,804

10,443 13,651 10,598 11,081 -483

-4,765 -71

7,669 8,638 9,116

-4,104 -2,792 -2,969

-1,002 -2,206

6,070 -29,529 -1,907 -1,813

-25,809

24,999

-324 3,666

8,736 -557 -995 3,529 6,759

223 1,505

15 -1,221

-1,772

16,620

........

4,329 3,574

54,629 46,140 3,900 3,749

151

800 5,066

36,374 12,163 12,784 3,979

448 7,000

1,003 7,486

54,270 27,067 1C,618 -163

16,612

23,967

-9,311 -2,230

15,426 -36

-1,244 8,018 £,688

230 2,161

18 -3,058

396

39,140

-.—.-..-Domestic Affiliates of

— — -5,080 4,725

355

5,080 1,263 2,440 1,306 1,134 1,377

........

— ™ — -

-2,020 -2,442

422

-2,020 -2,791 2,770 1,413 1,357

-1,999

........

——..... -1,661 -2,173

512

-1,661 -1,618 1,305 1,438 -133

-1,348

-.-..-...-Foreign Banking Off

3,504 4,173 -343 -94 296

4,357 -43

-71 1,246

-1,844

3,504 -372

3,092

631 -1,980 2,611

400 -51 -21 -2 614

-1,227 385

65 -728 1,114

400 276

-3,513

2,427 -811 3,238

9,363 580

1,614

-616 -549 131

-389 1,172

1,363 268

-2,504

-242 997

-1,239

Commercial Banking Subsectors

UNADJUSTED Nil FLOWS ($ BILL)

BILLIONS OF DCLLAfiS 1976 1977 1978 1979

4.3 2.3

29.0 30.7 30.1 28.4 1.6

1.6 1.8

-2.6 3.7 3. 1

-12.8 1.1 2.2

• 8 -2.5

27.1 7.0

-1.7 -.5 9.2

39.9

-13.3 3.5

-10.9 1.7 -.1

-4.2 -8.3

1.0 .2

-.3 .1

.1

28.5

:ial Banks

— — — 2*9 3.4 -.5

2.9 2.0 .6 .3 .3 • 2

4.5 4.1

59.6 61.3 19.6 18. 1 1.5

2.6 -.6

39.6 15.1 12.0 3.2 3.2 6.2

-1.0 -.6

57.9 11.0 -. 1 1.7 9.4

54.6

-15.6 13.6

-9.8 -1. 1 -.2 .3

-8.7

1.6 .7

-1.7

-1.4

55.1

—-—~ 6.1 6.4 -.3

6.1 -.3 5.4 6.2 -.6 .9

5.3 6.7

91.0 83.7 -1.3 -2.2

.9

9.2 -.3

76. 1 27.3 22.3 24.6

.2 1.8

3.5 3.7

86.3 21.5 4.3 1.7 15.5

28.2

23.8 9.0

-2.8 1.2 .2

-2.7 -1.5

• 6 • 6 .2

5.4

-6.1

81.9

6.7 9.5

119.5 106.7

.1 -6.7 6.8

9.4 -.6

97.8 35.3 26.2 41.6 -2.3 -3.0

5.9 7.0

114.1 22.9 6.8

* 16.2

13.2

42.1 IS.5

2.5 2.7 .9

-3.5 2.3

1. 1 .2 .1

12.4

-8.2

109.6

— — — — — — *

-.5 .6

* -1.6 2.0 .7

1.3 -.3

1.7 2.7

-1.0

1.7 -3.0 7.2 .5

6.7 -2.4

7.9 1 10.8 2

111.5 3 107.8 4 7.4 5 -.2 6 7.6 7

9.7 8 -.3 9

91.0 10 30.6 11 19.9 12 39.9 13 1.6 14 -.8 15

1.6 16 2.1 17

104.9 18 25.6 19

• 4 20 3.4 21 21.8 22

29.5 23

10.2 24 15.6 25

13.0 26 .3 27 • 3 28

-4.0 29 16.5 30

1.3 31 • 2 32 .5 33 9. 1 34

-9.5 35

108.6 36

— — — — 5.4 1 5.5 2 -.1 3

5.4 4 -1.4 5 6.5 6 1.9 7 4.5 8 .3 9

1.6 1.1 -.2

* * 1.2 •

• -. 1 .6

1.6 • 6

3.4

•3.0 •1.4 •1.6

5.3 4.4 .5

* -. 1 3.5 .5

• • 4 .4

5.3 2.4 .4

2.2 3.0 -.9

5.7 4.9 -. 1

* .2

4.7 .1

* .5 .3

5.7 3.0 2.2

-.2 .9

-1.1

21.8 19.6 .5

-. 1 .1

18.1 1.0

* .1

2.0

21.8 2.5 6.4

1C.6 3.4 7.3

16.5 14.5 .5 • 1 . 1

13.2 .6

* *

2.1

16.5 • 6

3.6

9.5 5.8 3.7

1 2 3 4 5 6 7

8 9 10

11 12 13

14 15 16

fliscellaneous liabilities -750 2,950 2,046 153 1,210 3,841

Banks in O.S. Possessions

1 Met act*, of financial assets 2 Demand deposits and currency

3 Credit market instruments 4 U.S. Government securities 5 Tax-exempt Obligations 6 Corporate nonds 7 Uome mortgages 8 Commercial mortgages 9 Miscellaneous assets

953 f 625

108 S 134

-8 -66 86

-36 220

974 651

129 147 -21 -86 88 1

194

997 681

226 160 -10 -24 90 10 90

1,019 708

228 174 ^22 -49 92 33 83

1,041 737

291 187 -16 -5 94 31 13

1,063 765

323 201 -21 -5 96 52

-25

1.1 .1

.4

.1

.1

• 2 .6

.4 -.2

• 6 . 1 .4 . 1 .1

-.1 -.1

• 8 .5

1.1 1 .7 2

-.2 . 1 .1

10 Net increase in deposit iiab. 953 974 997 1,019 1,041 1,063 .4 1.1 10

11/85 BASED ON INCOMPLETE INFO&AAIION Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1985-09-23 | 2nd Quarter 1985 and Annual Revisions

Page 3: 35976_1985-1989

DECEMBER 6, 1985 Coaaercial Banking Sabsectors

UNADJUSTED NET FLOWS($ HILL)

Subsector Stateaents for Coapoaent Groaps in Coaaercial Banking

1984 III I II III 1975

O.S.-Chartered coaaercial Banks

Coaaercial Banking Sabsectors

UNADJUSTED NET PLOWS (S MILL)

1979 BILLIONS OF DOLLARS 1976 1977 1978

1 Current surplus 2 Plant and eguipaent

3 Net acq. of financial assets 4 Total bank credit 5 D.S. Governnent securities 6 Treasury issues 7 Agency issues

8 Tax-exeapt Obligations 9 Corporate bonds

10 Total loans 11 Mortgages 12 Consuaer credit 13 Bank loans n.e.c. 14 Open-aarket paper 15 Security credit

16 Vault cask • aea. bank res. 17 Miscellaneous assets

18 Net increase in liabilities 19 Checkable deposits 20 U.S. Governnent 21 Foreign 22 Private doaestic

3,461 3,878

47,468 46,239 -7,213 -7,335

122

-267 -52

53,771 12,516 16,229 24,185 1,586 -745

-1,175 2,404

46,706 2,560

-1,000 92

3,468

2,714 3,862

36,384 34,674

152 -548 700

5,429 821

28,272 11,332 12,548 2,111 1,718

563

3,632 -1,922

33,824 2,371 12,678

132 •10,439

2,676 3,564

63,172 61,435

918 1,559 -641

8,042 446

52,029 11,400 11,102 24,946 -1,261 5,842

4,100 -2,363

63,268 31,174 -9,172 2,922

37,424

3,955 3,688

10,443 13,651 10,598 11,081

-483

-4 ,765 -71

7,889 8,539 9,116

-4 ,005 -2,792 -2,969

-1 ,002 -2 ,206

8,070 •29,529 -1,907 -1,830 -25,792

3,454 3,270

47,356 49,407

6,062 3,689 2,373

2,045 2,947

38,353 12,364 11,008 9,769

-1,231 6,443

1,038 -3,089

45,815 27,656 10,365

995 16,296

3,427 3,335

35,487 28,745 -2,400

-899 -1 ,501

5,754 2,914

22,477 12,116 10,785 1,990 1,186

-3,600

2,044 4,698

32,026 14,384 -7,836 1,908

20,312

23 Snail tiae+savings deposits 18,806 12,486 29,978 24,994 24,452 10,994

24 Large tiae deposits 17,347 11,164 2,869 -324 -7,404 5,728 25 Fed- funds and security BP's -9,666 1,999 -1,110 6,671 1,732 -8,449

26 Net interbank liabilities 12,638 4,063 -4,825 5,736 -5,521 9,763 27 Federal Reserve float -1,442 944 566 -557 -36 -130 28 Borrowing at F.H. banks 3,864 1,873 -3,056 -995 -1,244 1,182 29 To doaestic banks 4,822 94 -1,944 529 -3,787 11,388 30 To foreign banks 5,394 1,152 -391 6,759 -454 -2,677

31 Corporate equities 202 209 216 223 230 237 32 Corporate bonds 2,226 -720 2,264 1,505 625 243 33 Profit taxes payable -3 4 4 15 18 20 34 Miscellaneous liabilities 2,596 2,248 2,698 -1,221 4,027 -894

35 Discrepancy -1,179 -3,708 -792 -2,106 -1,357 -3,369

36 Seao: Credit akt. funds adv. 46,984 34,111 55,593 16,620 42,964 32,345

4 . 3 2 - 3

29-0 30-7 30.1 28. 4

1.6

1 .6 1 .8

- 2 . 8 3 . 7 3 - 1

•12-8 1-1 2 . 2

. 8 - 2 . 5

27.1 7 - 0

- 1 -7 - . 5 9 . 2

39.9

•13.3 3 . 5

•10.9 1.7 - . 1

- 4 . 2 - 8 . 3

1.0 . 2

- . 3 - 1

. 1

28.5

4 . 5 4. 1

59.6 61.3 19.6 18.1

1 .5

2 . 6 - . 6

39.8 15.1 12.0

3.2 3.2 6 . 2

- 1 . 0 - . 6

57.9 11.0 - . 1 1.7 9 . 4

54.6

-15 .6 13.6

- 9 . 8 - 1 . 1

- . 2 . 3

- 8 . 7

1 .6 - 7

-1.7

- 1 . 4

55.1

5 - 3 6 . 7

91.0 83.7 - 1 -3 -2.2

- 9

9 . 2 - . 3

7b. 1 27.3 22.3 24.6

. 2 1 .8

3 - 5 3 . 7

86.3 21.5

4 . 3 1.7

15.5

28.2

23.8 9 . 0

- 2 . 8 1.2

. 2 - 2 . 7 - 1 . 5

. 6

. 6

. 2 5 . 4

- 6 . 1

81.9

6 . 7 9 . 5

119.5 106.7

. 1 - 6 . 7

6 . 8

9 . 4 - . 6

97-8 35-3 26.2 41.6 -2.3 - 3 . 0

5 . 9 7 . 0

114.1 22.9

6 . 8

* 16.2

13.2

42.1 19.5

2 . 5 2 . 7

- 9 - 3 . 5

2 . 3

1 .1 - 2 . 1

12.4

- 8 . 2

109.6

7.9 1 10.8 2

111.5 3 107.8 4

7.4 5 - . 2 6 7.6 7

9.7 8 - . 3 9

91.0 10 30.6 11 19.9 12 39.9 13

1.6 14 - . 8 15

1.6 16 2.1 17

104.9 18 25.6 19

. 4 20 3.4 21

21.8 22

29.5 23

10-2 24 15.6 25

13-0 26 -3 27 . 3 28

- 4 . 0 29 16.5 30

1.3 3i . 2 32 . 5 33

9. 1 34

- 9 - 5 35

108.6 36

Doaestic Affiliates of Coaaercial Banks

1 Net acq. of financial assets 2 Inv. in finance co. subs. 3 Bank loans n.e.c.

5,168 4,954

214

598 832 234

5,080 4,725

355

230 89 -776 58 -173 -1,122

172 262 346

2-9 3-4 -.5

6.1 b. 4 -.3

1.7 2.7

-1.0

5.4 5.5 -.1

4 Net increase in liabilities 5,168 -3,598 5,080 230 89 -776 5 Net interbank claias -1,894 -24 1,263 209 -1,368 -1,073 6 Credit aarket debt 5,811 -1,537 2,440 3,020 1,555 1,849 7 Corporate bonds 1,291 1,220 1,306 1,663 1,688 1,797 8 Coaaercial paper 4,520 -2,757 1,134 1,357 -133 52 9 Miscellaneous liabilities 1,251 -2,037 1,377 -2,999 -98 -1,552

2-9 2-0 .b .3 .3 .2

6. 1 -.3 5-4 6-2 -.8

-1.6 2.0 .7

1.3 -.3

1-7 -3-0 7.2 -5

6.7 -2.4

5.4 -1.4 6.5 1.9 4.5 .3

Foreign Banking Offices in U.S.

1 Net acq. of financial assets 2 Credit aarket instruaents 3 U.S. Governnent securities 4 Tax-exeapt Obligations 5 Corporate bonds 6 Bank loans n .e . c . 7 Open-aarket paper

8 Corporate equities 9 Security credit

10 Miscellaneous assets

11 Net increase xn liabilities 12 Demand deposits 13 Tine deposits

14 Net interbank liabilities 15 To foreign banks 16 To doaestic banks

17 Miscellaneous liabilities

6,193 68

-119 -50 635

-808 410

-406 6,531

6,193 190

1,127

1,926 1,099

827

-1,289 904 85 65

746 1,394

-1,386

-4 225

-2,414

-1,289 -759

-4,567

1,991 138

1,853

3,504 4,173 -343 -94 296

4,357 -43

-71 1,246

-1,844

3,504 -372

3,092

631 -1,980 2,611

400 -51 -21 -2

814 -1,227

385

65 -728 1,114

400 276

-3,513

2,427 -811 3,238

5,583 2,205 -806

12 655

2,437 -93

5 751

2,62 2

5,58 3 253

-2,634

7,656 1,226 6,430

9,488 2,027 -624

-7 -373

2,866 165

117 7,343

9,488 379

-626

897 7,416

-6,519

1.6 1.1

-. 1 .6

-3.0 -1.4 -1.6

-. 1 3.5 .5

5-3 2-4

2.2 3.0

5.7 4.9 -.1 *

.2 4.7 .1

.5

.3

5.7 3.0 2.2

-.2 .9

-1.1

21.8 19.6

-5 -.1 .1

18.1 1.0

21.8 2.5 6.4

10.6 3.4 7.3

16.5 14.5

.5

* 9 2. 1 10

16.5 11 .8 12

3.6 13

9.5 14 5.8 15 3.7 16

2,950 2,046 153 1,210 308 8,838

Banks in O.S. Possessions

1 Net acq. of financial assets 974 2 Denand deposits and currency 651

3 Credit aarket instruaents 129 4 U.S. Governnent securities 147 5 Tax-exeapt Obligations -21 6 Corporate bonds -86 7 Hoae aortgages 88 8 Coaaercial aortgages 1 9 Miscellaneous assets 194

10 Net increase in deposit liab. 974

997 681

226 160 -10 -24 90 10 90

1,019 708

228 174 -22 -49 92 33 83

1,041 737

291 187 -16 -5 94 31 13

,063 765

323 201 -21 -5 96 52

-25

1,085 793

369 214 -19 19 98 57

-77

.1

.1

.3

.2 -.1 -1

1.1 .7

-.2 . 1 . 1

997 1,019 1,041 1,063 1,085

.4 9

1.1 10

111/85 BASED ON INCOMPLETE INFORMATION

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1985-12-06 | 3rd Quarter 1985

Page 4: 35976_1985-1989

MARCH 12, 1986 Coaaercxal Banking Subsectors

UNADJUSTED NET FLOWS ($ HILL)

Coaaercxal Banking Subsectors

Subsector Stateaents for Coaponent Groups in Coaaercxal Banking

1 1984 1 | III IV |

1985 II III IV 1976

U.S.-Chartered Coaaercial Banns

UNADJUSTED NET FLOWS(J HILL)

1980 BILLIONS OF DOLLARS 1977 1978 1979

1 Current surplus 2 Plant and equipment

3 Net acq. of financial assets 4 Total bank credit 5 U.S. Government securities 6 Treasury issues 7 Agency issues

8 Tax-exempt Obligations 9 Corporate bonds

10 Total loans 11 Mortgages 12 Consumer credit 13 Bank loans n.e.c. 14 Open-aarket paper 15 Security credit

16 Vault cash • mem. bank res. 17 Miscellaneous assets

18 Net increase in liabilities 19 Checkable deposits 20 U.S. Government 21 Foreign 22 Private domestic

23 Small time+savings deposits

24 Large time deposits 25 Fed. funds and security RP»s

26 Net interbank liabilities 27 Federal Reserve float 28 Borrowing at F.R. banks 29 To domestic banks 30 To foreign banks

31 Corporate equities 32 Corporate bonds 33 Profit taxes payable 34 Miscellaneous liabilities

35 Discrepancy

36 Memo: Credit mkt. funds adv.

2,041 3,757

36,384 34,674

152 -548 700

5,429 821

28,272 11,407 12,548 2,036 1,718

563

3,632 -1,922

33,824 2,371

12,678 132

•10,439

12,486

11,164 1,999

4,063 944

1,873 94

1,152

209 -720

4 2,248

-4,276

34,111

2,007 3,500

63,172 61,435

918 1,559 -641

8,042 446

52,029 11,599 11,102 25,191 -1,705 5,842

4,100 -2,363

63,268 31,174 -9,172 2,922

37,424

29,978

2,869 -1,110

-4,825 566

-3,056 -1,944

-391

216 2,264

4 2,698

-1,397

55,593

3,467 3,616

11,443 13,651 10.598 11,081

-483

-4,765 -71

7,889 8,793 9,116

-4,396 -2,655 -2,969

-1,002 -1,206

9,070 -29,529 -1,907 -1,830

-25,792

24,994

-324 5,671

6,736 -557 -995

1,529 6,759

223 1,505

15 -221

-2,522

16,620

2,906 3,205

47,356 49,407 6,062 3,689 2,373

2,045 2,947

38,353 12,518 11,008 9,867

-1,483 6,443

1,038 -3,089

45,815 27,656 10,365

995 16,296

24,452

-7,404 1,732

-5,521 -36

-1,244 -3,787

-454

230 625 18

4,027

-1,840

42,964

2,892 3,490

40,119 39,453 -4,191

-2 0 -4,171

10,850 104

32,690 14,487 12,660 3,332 1,614

59 7

2,139 -1,473

37,084 15,564 -7,352

575 22,341

12,845

7,32 9 13,820

260 -193 1,182 1,508

-2,237

237 660 20

-13,651

-3,633

38,856

3,644 3,808

64,709 63,826 -5,300 -4,470

-830

31,290 1,282

36,554 12,325 10,111 7,581 1,337 5,200

5,883 -5,000

61,990 35,610 8,700

921 25,989

16,558

10,357 -3,302

14,492 919 540

10,208 2,825

244 83 22

-12,074

-2,883

58,626

4.3 4.1

59.6 61.3 19.6 18.1 1.5

2-6 -.6

39.8 15.1 12.0

3.2 3.2 o.2

-1.0 -.6

57.9 11.0 -.1 1.7 9.4

54.6

15. b 13.6

-9.8 -1-1 -.2 .3

-b. 7

1.b .7

-1.7

-1.6

55.1

5-2 6.7

91.0 83.7 -1.3 -2.2

.9

9.2 -.3

7b. 1 27.3 22.3 24.6

-2 1.8

3-5 3.7

86.3 21.5 4.3 1.7

15.5

28.2

23.8 9.0

-2.8 1.2 .2

-2.7 -1.5

.6 -b .2

5.4

-6. 1

81.y

6.8 9.5

119.5 106-7

. 1 -6.7 6.8

9-4 -.6

97-8 35.3 26.2 41-6 -2.3 -3.0

5-9 7.0

114. 1 22.9 6.8

* 16.2

13.2

42. 1 19.5

2-5 2-7 .9

-3-5 2.3

1.1 .2 .1

12.4

-8.2

109.b

7.9 10,8

111.5 107.8

7.4 -.2 7.6

9.7 -.3

91.0 30.6 19.9 39.9 1.6 -.8

1.6 2.1

104.9 25.6

.4 3.4

21.8

29.5

10.2 15.6

13.0 .3 .3

-4.0 16.5

1.3 .2 .5

9.1

-9.5

108.b

6.5 1 9.9 2

84.2 3 84.2 4 25.0 5 15.3 6 9.7 7

13.2 8 .5 9

45.6 10 17.4 11 -6.2 12 32.2 13 1.0 14 1.2 15

-1.0 16 .9 17

76.7 18 10.7 19 -2.6 20 -.2 21 13.4 22

44.8 23

39.3 24 17.8 25

-36.7 26 -2.3 27

.4 28 -12.4 29 -22,3 30

.4 31

.2 32 -.5 33 .8 34

-10.9 35

83. 1 36

Domestic Affiliates of Commercial BanKs

1 Net acq. of financial assets 2 Inv. in finance co. subs. 3 Bank loans n.e.c.

4 Net increase in liabilities 5 Net interbank claims 6 Credit market debt 7 Corporate bonds 8 Commercial paper 9 Miscellaneous liabilities

3,598 3,832

234

3,598 -24 -37

2,720 2,757 3,537

5,080 4,725

355

5,080 1,263 3,940 2,806 1,134 -123

230 58

172

230 -791

3,020 1,6b3 1,357

-1,999

89 -173 262

89 -1,368 1,555 1,688 -133 -98

224 -122 346

224 -1,073 1,849 1,797

52 -552

3,834 1,000 2,834

3,834 -1,188 2,759 1,93 6

823 2,263

b.1 b.4 -.3

b. 1 -.3 5.4 6.2 -.8 -9

* -. 5 .6

* -1.6 2.0 .7 1.3 -.3

1.7 2.7

-1.0

1.7 -3.0 7.2 -5

6.7 -2.4

5.4 5.5 -. 1

5.4 -1.4 6.5 1-9 4-5 .3

4.3 4.4 -. 1

4.3 -2.7 6. 9 1. 4 5.6 . 1

1 2 3

4 5 6 7 8 9

Foreign Banking Offices in U.S.

1 Net acq. of financial assets 2 Credit market instruments 3 U.Sm Governaent securities 4 Tax-exempt Obligations 5 Corporate bonds 6 Bank loans n.e.c. 7 Open-market paper

8 Corporate equities 9 Security credit 10 Miscellaneous assets

11 Net increase in liabilities 12 Demand deposits 13 Time deposits

15 16

Net interbank liabilities To foreign banks To domestic banks

Miscellaneous liabilities

1,289 904 85 65

746 1,394 1,386

-4 225

2,414

1,289 -759 1,542

-995 138

1,133

3,504 4,173 -343 -94 296

4,357 -43

-71 1,246

-1,844

3,504 -372 4,817

-1,133 -1,980

847

400 -51 -21 -2

814 -1,227

385

65 -728

1,114

400 276

1,293

-2,379 -811

-1,568

5,583 2,205 -806

12 655

2,437 -93

5 751

2,622

5,583 2 53

-3,048

8,070 1,226 6,844

3,859 7,052

550 -16

1,219 5,930 -63 1

11 397

-3,b01

3,859 1,153 4,453

493 994

-50 1

1,035 23

-210 4

-792 825 196

_ 620 392

1,035 -366 211

-634 4,269

-4,903

5.3 4.4 -5

* -. 1 3.5 .5

* » 4

.4

5.3 2.4 .4

2.2 3.0 -.9

5.7 4-9 - . 1

* .2 4. 7

. 1

* - 5

.3

5.7 3.0 2.2

-.2 -9

- 1 , 1

21-8 19. b

.5 -. 1 .1

18. 1 1.0

* . 1

2.0

21-8 2-5 6.4

10.6 3.4 7.3

16-5 14.5

.5

. 1

. 1 13.2

.6

* *

2. 1

lb-5 .8

3.6

9.:> 5.8 3-7

18. 1 17.0

.5

.2

* 15.5 .8

* -. 4 1.5

•id. 1 -5.6 7.9

10.9 -.8 11.7

1 2 3 4 5 6 7

8 9 10

11 \2 13

14 15 1o

2,007 192 1,210 308 -2,240 1,824

Banks in U.S. Possessions

1 Net acq. of financial assets 2 Demand deposits and currency

3 Credit market instruments 4 U.S. Government securities 5 Tax-exempt Obligations 6 Corporate bonds 7 Home mortgages 8 Commercial mortgages 9 Miscellaneous assets

10 Net increase in deposit liab.

997 681

151 160 -10 -24 20 5

165

1,019 708

128 174 -22 -49 20 5

183

1,041 737

191 187 -16 -5 20 5

113

1,063 765

200 201 -21 -5 20 5

98

1,085 793

239 214 -19 19 20 5

53

1,107 821

266 228 -20 33 20 5

20

1,019 1,041 1,063 1,085 1,107

8 5

8

.6

.3

.2 -. 1 -3 .2 - 1

-.3 . 1

- 6

1- 1 .7

* * -.2

.. 1 - 1

* .4

1- 1

1.6 .6

.5

. 1

.3

* . 1

* .5

1-6

1 2

3 4 5 6 7 8 9

10

IV/85 BASED ON INCOMPLETE INFORMATION

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1986-03-12 | 4th Quarter 1985

Page 5: 35976_1985-1989

JUNE 4, 1986 Commercial Banking Subsectors

18 Subsector Statements for Component Groups in Commercial Banking

UNADJUSTED NET FLOWS($ MILL)

Commercial Banking Subsectors

UNADJUSTED NET FLOWS($ MILL)

1984 I IV I I

1985 II III

I 1986 IV I I 1976

U.S.-Chartered Commercial Banks

BILLIONS OF DOLLARS 1977 1978 1979 1980

1 Current surplus 2 Plant and equipment

3 Net acq. of financial assets 4 Total bank credit 5 U.S. Government securities 6 Treasury issues 7 Agency issues

8 Tax-exempt Obligations 9 Corporate bonds

10 Total loans 11 Mortgages 12 Consumer credit 13 Bank loans n.e.c. 14 Open-market paper 15 Security credit

16 Vault cash • mem. bank res. 17 Miscellaneous assets

18 Net increase in liabilities 19 Checkable deposits 20 U.S. Government 21 Foreign 22 Private domestic

23 Small time+savings deposits

24 Large time deposits 25 Fed. funds and security RP's

26 Net interbank liabilities 27 Federal Reserve float 28 Borrowing at F.R. banks 29 To domestic banks 30 To foreign banks

31 Corporate equities 32 Corporate bonds 33 Profit taxes payable 34 Miscellaneous liabilities

35 Discrepancy

36 Memo: Credit mkt. funds adv.

2,007 3,500

63-172 61-435

918 1-559 -641

8,042 446

52,029 11-599 11,102 25,191 -1-705 5,842

4,100 -2,363

63,268 31,174 -9-172 2,922 37-424

29,978

2,869 -1,110

-4-825 566

-3,056 -1-944

-391

216 2,264

4 2,698

-1,397

55,593

3-320 3-551

11-443 13-651 10-593 11-081 -483

-4-765 -71

7-889 9,050 8-537 -4,074 -2-655 -2-969

-1,002 -1,206

9-070 -29-529 -1,907 -1-830

-25,792

24-994

-324 5,671

6-736 -557 -995 1,529 6,759

223 1-505

15 -221

-2,604

16,620

2,653 3,100

47-356 49-407 6-062 3-689 2,373

2,045 2,947

38-353 12-669 9-132 11-592 -1-483 6,443

1-038 -3-089

45-815 27,656 10,3o5

995 16-296

24-452

-7-404 1-732

-5-521 -36

-1-244 -3-787

-454

230 625 18

4-027

-1,988

42-964

2-547 3,354

40-119 39-453 -4-191

-20 -4-171

10-850 104

32-690 14-473 10-037 5,969 1-614 597

2-139 -1,473

37,084 15,564 -7,352

575 22,341

12,845

7-329 13,820

260 -193 1-182 1-508

-2,237

237 660 20

-13,651

-3-842

38,856

2-289 3,803

79-775 76-518 -7-974 -7-378

-596

49-0«5 1,966

33-431 13-019 8-440 7,891 l-3b2 2,719

5-931 -2-674

79,980 37-879 9,144

370 28,365

15,999

11-166 12,030

3-096 919 540

-745 2,382

244 1,689

22 -2,145

-1,309

73,799

4-362 3-456

10-175 9-743 5-800 5-000 800

-3,300 -1,840

9-083 10-579

43 -5-334 1,295 2-500

-2,148 2,580

6,612 -22,692 -12-617

-817 -9,258

13,662

-3-158 15-484

-7,177 -305

-2-242 -6-927 2-297

251 -6 34

10-214

-2.657

7,243

4.3 4.1

59.6 61.3 19.6 18.1 1.5

2.6 -.6

39.8 15.1 12.0 3.2 3.2 6.2

-1.0 -.6

57.9 11.0 -.1 1.7 9.4

54.6

15.6 13.6

-9.8 -1.1 - .2 .3

-8.7

1.6 .7

-1.7 -1.6

55.1

5.2 6.7

91.0 83.7 -1.3 -2 .2

, 9

9.2 -.3

76.1 27.3 22.3 24.6

.2 1.8

3.5 3.7

86.3 21.5 4.3 1.7 15.5

28.2

23.8 9.0

-2.8 1.2 .2

-2.7 -1.5

.6

.6

.2 5.4

-6.1

81.9

6.8 9.5

119.5 106.7

.1 -6.7 6.8

9.4 -.6

97.8 35.3 2t>.2 41.6 -2.3 -3.0

5.9 7.0

114.1 22.9 6.8

X

16.2

13.2

42.1 19.5

2.5 2.7 .9

-3.5 2.3

1.1 .2 .1

12.4

-8.2

109.6

7.9 10.8

111.5 107.8 7.4 -.2 7.6

9.7 -.3

91.0 30.6 19.9 39.9 1.6 -.8

1.6 2.1

104.9 25.6

.4 3.4

21.8

29.5

10.2 15.6

13.0 .3 .3

-4.0 16.5

1.3 .2 .5

9.1

-9.5

108.6

6.5 1 9.9 2

84.2 3 84.2 4 25.0 5 15.3 6 9.7 7

13.2 8 .5 9

45.6 10 17.4 11 -6.2 12 32.2 13 1.0 14 1.2 15

-1.0 16 .9 17

76.7 18 10.7 19 -2.6 20 -.2 21 13.4 22

44.8 23

39.3 24 17.8 25

-36.7 26 -2.3 27

.4 28 -12.4 29 -22.3 30

.4 31

.2 32 -.5 33 .8 34

-10.9 35

83.1 36

Domestic Affiliates of Commercial Banks

1 Net acq. of financial assets 2 Inv. in finance co. subs. 3 Bank loans n.e.c.

4 Net increase in liabilities 5 Net interbank claims 6 Credit market debt 7 Corporate Donds 8 Commercial paper 9 Miscellaneous liabilities

5-080 4,725

355

5,080 1,263 3-940 2,806 1-134 -123

230 58 172

230 -791 3,020 1-663 1-357

-1-999

89 -173 262

89 -1-368 1-555 1,688 -133 -98

224 -122 346

224 -1-073 1-849 1-797

52 -552

3-334 1,000 2-334

3,334 -1-188 2-759 1-936 823

l-7»>3

-2,070 -2-189

119

-2,070 -1,169 -1-509 2-010

-3-519 608

6.1 6.4 -.3

6.1 -.3 5.4 6.2 -.8 .9

X

-.5 .6

x -1.6 2.0 .7

1.3 -.3

1.7 2.7

-1.0

1.7 -3.0 7.2 .5

6.7 -2.4

5.4 5.5 -.1

5.4 -1.4 6.5 1.9 4.5 .3

4.3 4.4 -.1

4.3 -2.7 6.9 1.4 5.6 .1

1 2 3

4 5 6 7 8 9

Foreign Banking Offices in U.S.

1 Net acq. of financial assets 2 Credit market instruments 3 U.S. Government securities 4 Tax-exempt Obligations 5 Corporate bonds 6 Bank loans n.e.c. 7 Open-market paper

8 Corporate equities 9 Security credit 10 Miscellaneous assets

11 Net increase in liabilities 12 Demand deposits 13 Time deposits

14 Net interbank liabilities 15 To foreign banks 16 To domestic banks

17 Miscellaneous liabilities

3,504 4,173 -343 -94 296

4,357 -43

-71 1,246 1,844

3,504 -372 4,817

1-133 1-980 847

400 -51 -21 -2

814 -1,227

385

65 -728 1,114

400 276

1,293

-2,379 -811

-1,568

5,583 2,205 -806

12 655

2-437 -93

5 751

2-622

5,583 253

-3-048

8-070 1-226 6,844

3-859 7-052 550 -16

1-219 5,930 -631

11 397

-3-601

3-859 1-153 4,453

493 994

-501

12-088 11-132

721 -71 534

10-061 -113

5 3-663

-2-712

12-088 417

-1,784

10-492 1-375 9-117

14-107 8-350 -463

-302 7,902

609

.. 957

4,800

14,107 325 262

8-019 3-453 4,566

5.3 4.4 .5

¥

-.1 3.5 .5

« .4 .4

5.3 2.4 .4

2.2 3.0 -.9

5.7 4.9 -.1

X

.2 4.7 .1

K

.5

.3

5.7 3.0 2.2

-.2 .9

-1.1

21.8 19.6

.5 -.1 .1

18.1 1.0

¥

.1 2.0

21.8 2.5 6.4

10.6 3.4 7.3

16.5 14.5

.5

.1

.1 13.2

.6

K

K

2.1

16.5 .8

3.6

9.5 5.8 3.7

18.1 1 17.0 2

.5 3

.2 4 * 5

15.5 6 .8 7

* 8 -.4 9 1.5 10

18.1 11 -5.6 12 7.9 13

10.9 14 -.8 15 11.7 16

2,963 5,501

Banks in U.S. Possessions

1 Net acq. of financial assets 2 Demand deposits and currency

3 Credit market instruments 4 U.S. Government securities 5 Tax-exempt Obligations 6 Corporate bonds 7 Home mortgages 8 Commercial mortgages 9 Miscellaneous assets

10 Net increase in deposit liab.

1,019 f 7 0 8

128 174 -22 -49 20 5

183

1-041 737

191 187 -16 -5 20 5

113

1-063 7b5

200 201 -21 -5 20 5 98

1,085 793

239 214 -19 19 20 5

53

1,107 821

266 228 -20 33 20 5

20

1-129 849

296 241 -19 49 20 5

-16

1-019 1,041 1-085 1-107

.4 •2

.4

.8

.5

.3

.2 -. 1 .1

¥

.1 X

.8

.6

.3

,2 -.1 .3 .2 .1

-.3 .1

.6

1

-

1

.1

.7

« X

.2

.1

.1 x .4

.1

1.6 1 .6 2

.5 3

.1 4

.3 5 ¥. 6

.1 7 * 8 .5 9

1.6 10

1/86 BASED ON INCOMPLETE INFORMATION

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1986-06-04 | 1st Quarter 1986

Page 6: 35976_1985-1989

SEPTEMBER 26. 1986 Commercial Banking Subsectors

20 UNADJUSTED NET FLOWS($ MILL)

Subsector Statements for Component Groups in Commercial Banking

Commercial Banking Subsectors

UNADJUSTED NET FLOWS($ MILL)

1985 II III

1986 I II

BILLIONS OF DOLLARS 1977 1978 1979

U.S.-Chartered Commercial Banks

1 Current surplus 2 Plant and equipment

3 Net acq. of financial assets 4 Total bank credit 5 U.S. government securities 6 Treasury issues 7 Agency issues

8 Tax-exempt obligations 9 Corporate bonds

10 Total loans 11 Mortgages 12 Consumer credit 13 Bank loans n.e.c. 14 Open-market paper 15 Security credit

16 Cust. liabs. on acceptances 17 Vault cash S res. at F.R. 18 Miscellaneous assets

19 Net increase in liabilities 20 Checkable deposits 21 U.S. government 22 Foreign 23 Private domestic

24 Small time&savings deposits

25 Large time deposits 26 Fed. funds and security RPs

27 Net interbank liabilities 28 Federal Reserve float 29 Borrowing at F.R. banks 30 To domestic banking 31 To foreign banks

32 Acceptance liabilities 33 Corporate equities 34 Corporate bonds 35 Profit taxes payable 36 Miscellaneous liabilities 37 Inv. by dom. affiliates 38 Other

39 Discrepancy

40 Memo: Credit mkt. funds adv.

1 Net acq. of financial assets 2 Credit market instruments 3 U.S. govt, securities 4 Bank loans n.e.c. 5 Miscellaneous assets 6 Inv. in bank subsidiaries 7 Inv. in finance co. subs. 8 Other

9 Net increase in liabilities 10 Net interbank claims 11 To domestic banks 12 To foreign banks 13 Credit market debt 14 Corporate bonds 15 Commercial paper 16 Miscellaneous liabilities 17 Equity* etc. 18 Other

4,702 3*551

13.587 15*945 10*598 11*081 -483

-4,765 -71

10*183 8*800 8,537 -723

-3,462 -2.969

-2,987 -1,152 1,781

12,415 •29,529 -1,907 -1*830 -25.792

24.994

-324 6*462

7,727 -557 -995 226

9,053

-3,311 300

1,505 15

4,576 1*486 3.090

-21

15,927

3,507 3*100

44*932 47,133 6,062 3*689 2.373

2*045 2,947

36,079 12,602 9,132 7,088 814

6,443

-3.908 888 819

45,727 27,656 10,365

995 16,296

24,452

-7,404 3,100

-9,097 -36

-1,244 -5,089 -2,728

-3,646 350 625 18

9*673 2,000 7*673

1,202

36,782

3,680 3*354

41,841 41,024 -4,191

-20 -4,171

10*850 104

34*261 14,692 10,037 9,832 -897 597

-794 2,039 -428

39,464 15,564 -7,352

575 22,341

12,845

7,329 14,893

944 -193 1,182 370

-415

-1,344 360 660 20

-11*807 500

-12,307

-2,051

39,633

3,725 3,803

92,757 79,320 -7,878 -7,294

-584

49,095 -710

38,813 13,288 8-440 13*626

740 2*719

-3,383 5,622 11,198

91,043 38,085 9.145 365

28.575

18,057

11,248 12,968

-286 919 540

-4,631 2,886

-2.554 375

1.689 22

11,439 1,559 9,880

-1,792

73,218

5,933 3,106

2,914 7,013 9*054 5*472 3,582

-17*640 2*353

13*246 11,316 -169

-2,226 91

4,234

-2,375 -1,973

249

-238 -23,506 -13,849

-212 -9,445

14,764

-1,329 14,524

-281 -428

-2,242 -2.778 5.167

-3,597 390 695 34

-1,932 541

-2.473

-325

404

4,767 2,776

36,144 24*811 3,000 2-000 1,000

-500 14

22,297 15,633 8*592

515 257

-2,700

132 1,771 9,430

34,447 36.891 12.395

210 24.286

18*224

-10,917 2,128

-3,738 -281 134

5,303 -8,894

-868 395

-2,901 -17

-4,750 213

-4,963

294

27.643

Domestic Affiliates of Commercial Banks

4.314 597 719

-122 3.717 1*486 2,692 -461

4.314 -1,041

-2 -1,039 4,002 2,645 1,357 1.353 1,928 -575

6.943 900

1.000 -100 6,043 2,000 3,643 400

6,943 1,643 955 688

2.867 3.000 -133 2,433 2,000

433

9,581 1,400 1,500 -100

8,181 500

7,081 600

9,581 4,081 1,274 2,807 3,052 3,000

52 2,448 2.000

448

3 ,446 1.150 1.453 -303

2.296 1.559 1,547 -810

3,446 -1,982

978 -2,960 4,606 3,783 823 822

1,601 -779

5,753 50 47 3

5,703 541

4,027 1,135

5,753 -19 -504 485

-1,302 2,217 -3,519 7,074 999

6,075

5 , 3 1 2 1 ,313 1 ,000 313

3,999 213

3,287 499

5,312 62

578 -516 4,854 1,500 3,354

396 775

-379

4.3 4.1

60.8 61.1 19.6 18.1 1.5

2.6 -.6

39.6 15.2 12.0 3.0 3.2 6.2

3.0 -1.0 -2.4

64.4 11.0 -.1 1.7 9.4

54.6

-15.6 13.9

-9.4 -1.1 -.2 .8

-8.9

3.1 1.6 .7

-4.5 4.6 -.1

3.8

58.0

il Banks

9,1 2.8 .6

2.2 6.3 4.6 3.9

-2.2

9.1 -.9 -.8 -.1 2.0 2.8 -.8 8.0 4.7 3.3

———-5.2 6.7

91.4 83.6 -1.3 -2.2

.9

9.2 -.3

75.9 27.3 22.3 24^4

.2 1.8

2.5 3.5 1.8

92.8 21.5 4.3 1.7

15.5

28.2

23.8 10.6

-4.2 1.2 .2

-4.0 -1.7

2.5 .6 .6 .2

9.3 6.5 2.8

.1

84.3

9.5 1.3 1.3

K

8.2 6.5 1.6 .1

9.5 -1.5 -1.4 -.1 3.8 2.5 1.3 7.1 5.1 2.0

-6.8 9.5

121.5 106.4

.1 -6.7 6.8

9.4 -.6

97.5 35.2 26.2 41.4 -2.3 -3.0

-.4 5.3 10.2

121.5 22.9 6.8

M

16.2

13.2

42.1 22.5

-.6 2.7 .9

-6.3 2.1

-.4 1.1 .2 .1

20.3 4.8 15.5

-2.8

109.0

8.4 -.5

-1.3 .8

8.9 4.8 4.4 -.3

8.4 -.3 -1.3 1.0 7.5 .8

6.7 1.2 3.6

-2.4

7.9 10.8

111.5 105.8 7.4 -.2 7.6

9.7 -.3

89.1 29.8 19.9 38.6 1.6 -.8

6.0 1.6

-2.0

109.3 25.6

.4 3.4

21.8

29.5

10.2 17.0

7.3 .3 .3

-7.7 14.5

7.1 1.3 .2 .5

10.7 5.4 5.3

-5.0

112.7

10.0 2.0 1.7 .3

8.0 5.4 3.4 -.8

10.0 2.5 1.7 .8

4.1 -.5 4.5 3.4 5.1

-1.7

6.5 1 9.9 2

92.8 3 82.9 4 25.0 5 15.3 6 9.7 7

13.2 8 .5 9

44.3 10 16.1 11 -6.2 12 32.2 13 1.0 14 1.2 15

5.8 16 -1.2 17 5.2 18

92.0 19 10.7 20 -2.6 21 -.2 22 13.4 23

44.8 24

39.3 25 20.5 26

-39.9 27 -2.3 28

.4 29 -14.3 30 -23.6 31

6.2 32 .4 33 .2 34

-.5 35 10.4 36 6.9 37 3.5 38

-4.1 39

87.6 40

8.9 1 -.3 2 .2 3

-.5 4 9.3 5 6.9 6 2.8 7 -.4 8

8.9 9 -2.1 10

.1 11 -2.1 12 6.7 13 1.1 14 5.6 15 4.3 16 6.3 17

-2.0 18

Foreign Banking Offices in U.S.

1 Net acq. of financial assets 2 Credit market instruments 3 U.S. government securities 4 Tax-exempt obligations 5 Mortgages 6 Corporate bonds 7 Bank loans n.e.c. 8 Open-market paper 9 Cust. liabs. on accepts.

10 Corporate equities 11 Security credit 12 Member bank reserves 13 Miscellaneous assets

14 Net increase in liabilities 15 Demand deposits 16 Time deposits

17 Net interbank liabilities 18 To foreign banks, 19 To domestic banks

20 21

Acceptance liabilities Miscellaneous liabilities

400 -659 -21 -2

-163 814

-877 35

-445

65 -728 150

1,572

400 276

1.293

-2,379 -811

-1,568

-416 1*626

5,583 2,761 -806

12 -73 655

2,067 277 629

5 751 150

1*916

5,583 253

-3,048

8,070 1*226 6*844

654 -346

3*859 7,576 550 -16 91

1,219 5,194

105 433

11 397 100

-4,225

3 ,859 1 ,153 4 , 4 5 3

493 994

-501

-147 -2,093

12,279 7,239

720 4

272 831

4*310 -91

1*193

5 3,773

314 948

12,279 429

-1,786

10,193 1-316 8,877

1,404 2,039

947 -101 -121

429 216

-119 -358 -148

9 -373 -162 1,574

947 -508

-1,342

-70 4,701 -4,771

-106 2,973

-5,075 1,322 1,380

-474 -28 198 180 66

-10 1.420

100 -7,907

-5,075 295

2,009

-1,851 -535

-1,316

66 -5,594

5.3 5.0 .5

* -.1 -.1 3.5 .5 .8

* .4

-_#2

5.3 2.4 .4

2.1 3.0 -.9

.8 -.4

5.7 5.5 -.1

* K

.2 4.7 .1 .6

K

.5

--.3 5.7 3.0 2.2

-.9 .9

-1.7

.6

.7

21.8 19.3

.5

-. * K

.1 18.1 1.0 -.3

if

.1

.6 1.7

21.8 2.5 6.4

10.4 3.4 7.1

-.3 2.7

16.5 16.8

.5

.1

.8

.1 13.2

.6 1.5

K If K

-.2

16.5 .8

3.6

10.8 5.8 5.0

1.8 -.5

18.1 1 J19.8 2

.5 3

.2 4 1.3 5 * 6

15.5 7 .8 8

1.5 9

* 10 -.4 11 .2 12

-1.5 13

18.1 14 -5.6 15 7.9 16

9.8 17 -.8 18 10.7 19

1.9 20 4.1 21

11/86 BASED ON INCOMPLETE INFORMATION

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1986-09-26 | 2nd Quarter 1986 and Annual Revisions

Page 7: 35976_1985-1989

DECEMBER 22* 1986 Commercial Banking Subsactors

20 Subsector Statements for Component Groups in Commercial Bankins

UNADJUSTED NET FLOWS($ MILL)

Commercial Bankins Subsactors

UNADJUSTED NET FLOWS($ MILL)

1 2

3 4 5 6 7

8 9

10 11 12 13 14 15

16 17 18

19 20 21 22 23

24

25 26

27 28 29 30 31

32 S3 34 35 36 37 38

Currant surplus Plant and equipment

Nat acq. of financial assats Total bank credit

U.S. sovernment sacuritias Treasury issues Agency issues

Tax-exempt oblisations Corporate bonds

Total loans Mortsases Consumer credit Bank loans n.e.c. Open-market paper Security credit

Cust. liabs. on acceptances Vault cash 8 res. at F.R. Miscellaneous assets

Net increase in liabilities Checkable deposits

U.S. government Foreign Private domestic

Small tlmetsavinss deposits

Larse tine deposits Fed. funds and security RPs

Net interbank liabilities Federal Reserve float Borrowins at F.R. banks To domestic bankins To foreisn banks

Acceptance liabilities Corporate equities Corporate bonds Profit taxes payable Miscellaneous liabilities

Inv. by don. affiliates Other

39 Discrepancy

40

1 2 3 4 5 6 7 8

9 10 11 12 13 14 15 16 17 18

1 2 3 4 5 6 7 8 9

10 11 12 13

14 15 16

17 18 19

20 21

Memo: Credit nkt. funds adv.

Net acq. of financial assets Credit market instruments

U.S. sovt. securities Bank loans n.e.c.

Miscellaneous assets Inv. in bank subsidiaries Inv. in finance co. subs. Other

Net Increase in liabilities Net interbank clains

To domestic banks To foreisn banks

Credit market debt Corporate bonds Commercial paper

Miscellaneous liabilities Equity* etc. Other

Net acq* of financial assets Credit market instrunents

U.S. sovernment securities Tax-exempt obligations Mortsases Corporate bonds Bank loans n.e.c. Open-market paper Cust. liabs. on accepts.

Corporate equities Security credit Member bank reserves Miscellaneous assets

Net increase in liabilities Demand deposits Tine deposits

Net interbank liabilities To foreisn banks To donestic banks

Acceptance liabilities Miscellaneous liabilities

I

4,577 6.203

13,587 15,945 10,598 11*081 -483

-4,765 -71

10*183 8*800 8*537 -723

-3*462 -2*969

-2*987 -1,152 1,781

12*415 -29.529 -1*907 -1*830 -25,792

24,994

-324 6,462

7.727 -557 -995 226

9.053

-3,311 300

1*505 15

4*576 1*486 3*090

-2.798

15,927

4.314 597 719

-122 3.717 1.486 2.692 -461

4.314 -1.041

-2 -1.039 4.002 2*645 1*357 1*353 1*928 -575

400 -659 -21 -2

-163 814

-877 35

-445

65 -728 150

1*572

400 276

1.293

-2.379 -811

-1.568

-416 1.626

1985 II

3.357 5.449

44.932 47*133 6*062 3*689 2*373

2*045 2*947

36*079 12*602 9*132 7*088 814

6*443

-3*908 888 819

45*727 27*656 10*365

995 16*296

24*452

-7.404 3.100

-9.097 -36

-1.244 -5*089 -2,728

-3*646 350 625 18

9*673 2*000 7.673

-1.297

36.782

6.943 900

1.000 -100 6.043 2.000 3.643 400

6.943 1.643 955 688

2.867 3.000 -133 2.433 2.000 433

5.583 2.761 -806 12

-73 655

2.067 277 629

5 751 150

1.916

5.583 253

-3.048

8.070 1.226 6.844

654 -346

III

3*530 5*808

41*841 41,024 -4*191

-20 -4*171

10*850 104

34*261 14*692 10*037 9*832 -897 597

-794 2*039 -428

39*464 15*564 -7.352

575 22.341

12.845

7.329 14,893

944 -193 1.182 370

-415

-1*344 360 660 20

-11.807 500

-12*307

-4*655

39*633

9*581 1*400 1.500 -100

8*181 500

5*081 2*600

9*581 4*081 1*274 2.807 3,052 3,000

52 2,448 2,000 448

3*859 7*576 550 -16 91

1*219 5*194 105 433

11 397 100

-4«. 225

3*859 1*153 4.453

493 994

-501

-147 -2.093

I IV 1

U

3*550 4*982

92,757 79.320 -7.878 -7,294

-584

49*095 -710

38*813 13*467 8*440 13*447

740 2*719

-3*383 5*622 11.198

91.043 38.085 9.145 365

28.575

18.057

11.248 12.833

-151 919 540

-4.496 2.886

-2.554 375

1.689 22

11.439 1.559 9.880

-3.146

.73.218

I 1986 II

.S.-Chartered Co

5,658 5,214

2,914 7,013 9,054 5.472 3,582

-17,640 2,353

13,246 11,443 -169

-2.353 91

4.234

-2,375 -1.973

249

-684 -23.506 -13.849

-211 -9.446

14.764

-1,329 14,657

-156 -428

-2,242 -2.653 5.167

-3,597 390 695 34

-2,636 -163

-2,473

-3,154

404

4.467 4.890

34.625 35.276 7.157

-1.249 8.406

-5.241 5.178

28.182 14.416 8,592 8*484 -650

-2*660

-1.819 1.414 -246

32.087 40.631 13.276

169 27.186

19.589

-10.495 -10.299

-5,901 -277 134

1,173 -6,931

-1,814 395 804 -17 -806 -164 -642

-2,961

36,117

III

mmercial Banks

4.173 4.331

52.701 44,862 18,300 13,300 5,000

10,200 4*958

11*404 15,899 6,556

-12,037 986 -

-1,444 6,338 2,945

48,503 6,145 6,743 258

-856

18,595

3,825 11,650

4.629 566 -73

1.758 2.378

2 411 995 -2

2.253 -32

2.285

-4.356

43.418

1978

6.8 9.5

121.5 106.4

.1 -6.7 6.8

9.4 -.6

97.5 35.2 26.2 41.4 -2.3 -3.0

-.4 5.3 10.2

121.5 22.9 6.8

M

16.2

13.2

42.1 22.5

-.6 2.7 .9

-6.3 2.1

-.4 1.1 .2 .1

20.3 4.8 15.5

-2.8

109.0

Domestic Affiliates of Commercial Banks

3.446 1.150 1.453 -303 2*296 1*559 3*547

-2*810

3*446 -1.982

978 -2.960 4.606 3.783 823 822

1.601 -779

17,936 -1,475 -1,309 -166

19,411 -163

16,408 3.166

17.936 4.465 -762 5.227

-3.016 503

-3,519 16,487

999 15.488

7,344 -1.475 -1,309

-166 8,819 -164 7,316 1,667

7,344 -1,628

-447 -1,181 3,858 504

3,354 5,114 775

4,339

2.954 -50 -35 -15

3.004 -32

1.409 1.627

2.954 -1,575

-15 -1,560 -2,070

210 -2,280 6,599 502

6,097

Foreisn Bankins Offices in U.S.

14.152 6.750 720 -71 272 831

4.094 -91 995

5 3.773 314

3.310

14*152 429

-1*786

11.610 2*866 8.744

1.404 2.495

1.134 313

-121

-431 216 96

-358 49

9 -373 -162 1.347

1.134 -509

-1.343

127 4.766

-4.639

-107 2.966

7*552 8*301 1*844

-413

1.368 4.576 209

-109

-19 -1.297

714 -147

7.552 1,225 -142

264 -2.527 2.791

645 5.560

2,919 6*980 2*855

--321 305

4*675 -29

-505

. 217

-807 -3,471

2,919 -602 6,383

-515 -1,225

710

-954 -1,393

8.4 -.5 -1.3 .8

8.9 4.8 4.4 -.3

8.4 -.3

-1.3 1.0 7.5 .8

6.7 1.2 3.6

-2.4

21.8 19.3 .5

-.1 * .1

18.1 1.0 -.3

M

.1

.6 1.7

21.8 2.5 6.4

10.4 3.4 7.1

-.3 2.7

BILLIONS OF DOLLARS 1979

7.9 10.8

111.5 105.8 7.4 -.2 7.6

9.7 -.3

89.1 29.8 19.9 38.6 1.6 -.8

6.0 1.6

-2.0

109.3 25.6 .4

3.4 21.8

29.5

10.2 17.0

7.3 .3 .3

-7.7 14.5

7.1 1.3 .2 .5

10.7 5.4 5.3

-5.0

112.7

10.0 2.0 1.7 .3

8.0 5.4 3.4 -.8

10.0 2.5 1.7 .8

4.1 -.5 4.5 3.4 5.1

-1.7

16.5 16.8 .5 .1 .8 .1

13.2 .6 1.5

» K K

-.2

16.5 .8 3.6

10.8 5.8 5.0

1.8 -.5

1980

6.5 9.9

92.8 82.9 25.0 15.3 9.7

13.2 .5

44.3 16.1 -6.2 32.2 1.0 1.2

5.8 -1.2 5.2

92.0 10.7 -2.6 -.2 13.4

44.8

39.3 20.5

-39.9 -2.3

.4 -14.3 -23.6

6.2 .4 .2

-.5 10.4 6.9 3.5

-4.1

87.6

8.9 -.3 .2

-.5 9.3 6.9 2.8 -.4

8.9 -2.1

.1 -2.1 6.7 1.1 5.6 4.3 6.3

-2.0

18.1 19.8 .5 .2 1.3

M

15.5 .8 1.5

K

-.4 .2

-1.5

18.1 -5.6 7.9

9.8 -.8 10.7

1.9 4.1

1981

8.9 1 10.6 2

99.0 3 91.4 4 11.4 5 1.8 6 9.6 7

5.7 8 « 9

74.3 10 19.7 11 4.0 12 46.1 13 -.2 14 4.7 15

8.2 16 -4.0 17 3.4 18

108.1 19 14.8 20 -1.1 21 -3.0 22 18.9 23

40.3 24

43.9 25 14.5 26

-26.6 27 -2.7 28 -.2 29 -8.5 30 -15.1 31

8.5 32 .5 33

-.1 34 -.4 35 12.6 36 7.8 37 4.8 38

7.4 39

95.0 40

6.1 1 .2 2

-.1 3 .3 4

5.9 5 7.8 6

-2.6 7 .7 8

6.1 9 -11.1 10 -4.9 11 -6.1 12 9.2 13 2.1 14 7.0 15 8.1 16 8.1 17 » 18

16.1 1 12.5 2 .6 3

-.1 4 1.7 5 .3 6

5.8 7 1.0 8 3.0 9

-.1 10 .6 11 .6 12

2.5 13

16.1 14 -6.1 15 7.6 16

12.2 17 -.8 18 13.0 19

3.2 20 -.7 21

II1/86 BASED ON INCOMPLETE INFORMATION

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1986-12-22 | 3rd Quarter 1986

Page 8: 35976_1985-1989

MARCH 2. 1987 Commercial Banking Subsectors

20 Subsector Statements for Component Groups in Commercial Banking

UNADJUSTED NET FLOWS($ MILL)

Commercial Banking Subsectors

UNADJUSTED NET FLOWS($ MILL)

1 2

3 4 5 6 7

8 9

10 11 12 13 14 15

16 17 18

19 20 21 22 23

24

25 26

27 28 29 30 31

32 33 34 35 36 37 38

39

40

1 2 3 4 5 6 7 8

9 10 11 12 13 14 15 16 17 18

1 2 3 4 5 6 7 8 9

10 11 12 13

14 15 16

17 18 19

20 21

Current surplus Plant and equipment

Net acq. of financial assets Total bank credit

U.S. government securities Treasury issues Agency issues

Tax-exempt obligations Corporate bonds

Total loans Mortgages Consumer credit Bank loans n.e.c. Open-market paper Security credit

Cust. llabs. on acceptances Vault cash 8 res. at F.R. Miscellaneous assets

Net increase in liabilities Checkable deposits

U.S. government Foreign Private domestic

Small timeSsavlngs deposits

Large time deposits Fed. funds and security RPs

Net interbank liabilities Federal Reserve float Borrowing at F.R. banks To domestic banking To foreign banks

Acceptance liabilities Corporate equities Corporate bonds Profit taxes payable Miscellaneous liabilities

Inv. by dom. affiliates Other

Discrepancy

Memo: Credit mkt. funds adv.

Net acq. of financial assets Credit market instruments

U.S. govt, securities Bank loans n.e.c.

Miscellaneous assets Inv. In bank subsidiaries Inv. in finance co. subs. Other

Net increase in liabilities Net interbank claims

To domestic banks To foreign banks

Credit market debt Corporate bonds Commercial paper

Miscellaneous liabilities Equity* etc. Other

Net acq. of financial assets Credit market instruments

U.S. government securities Tax-exempt obligations Mortgages Corporate bonds Bank loans n.e.c. Open-market paper Cust. llabs. on accepts.

Corporate equities Security credit Member bank reserves Miscellaneous assets

Net Increase in liabilities Demand deposits Time deposits

Net interbank liabilities To foreign banks To domestic banks

Acceptance liabilities Miscellaneous liabilities

1985 1 III

3*530 5*808

41*841 41*024 -4,191

-20 -4,171

10,850 104

34,261 14,692 10,037 9,832 -897 597

-794 2,039 -428

39,464 15,564 -7,352

575 22,341

12,845

7,329 14,893

944 -193 1,182 370

-415

-1.344 360 660 20

-11,807 500

-12.307

-4,655

39,633

9,581 1,400 1,500 -100

8,181 500

5,081 2,600

9,581 4,081 1.274 2.807 3.052 3,000

52 2,448 2,000

448

3,859 7.576 550 -16 91

1,219 5.194

105 433

11 397 100

-4.225

3.859 1.153 4.453

493 994

-501

-147 -2.093

IV 1

3*550 4,982

92,757 79,320 -7,878 -7,294

-584

49,095 • -710

38*813 13,467 8*440 13,447

740 2,719

-3,383 5,622 11*198

91*043 38*085 9*145

365 28*575

18,057

11,248 12.833

-151 919 540

-4.496 2.886

-2,554 375

1*689 22

11,439 1*559 9*880

-3,146

73,218

3,446 1,150 1*453 -303 2*296 1*559 3,547

-2,810

3,446 -1*982

978 -2,960 4,606 3,783 823 822

1,601 -779

14,152 6,750

720 -71 272 831

4,094 -91 995

5 3,773

314 3,310

14,152 429

-1,786

11,610 2,866 8,744

1,404 2,495

I

5.658 5.214

2.914 7,013 9,054 5,472 3.582

-17.640 2.353

13.246 11.436 -169

-2.346 91

4.234

-2,375 -1.973

249

-749 -23.506 -13.849

-211 -9.446

14.764

-1.329 14.657

-156 -428

-2.242 -2.653 5.167

-3,597 325 695 34

-2,636 -163

-2.473

-3.219

404

17.936 -1.475 -1.309

-166 19.411 -163

16.408 3.166

17,936 4,465 -762 5.227

-3.016 503

-3.519 16,487

999 15,488

1,134 313

-121

-431 216 96

-358 49

9 -373 -162 1,347

1,134 -509

-1,343

127 4.766

-4.639

-107 2.966

1986 II

U

4,467 4,890

34,625 35,276 7,157

-1.249 8.406

-5,241 5,178

28,182 14,432 8,592 8,468 -650

-2,660

-1,819 1,414 -246

32,017 40,631 13,276

497 26,858

19,589

-10.495 -10,299

-5,901 -277 134

1,173 -6,931

-1,814 325 804 -17 -806 -164 -642

-3,031

36,117

III IV

.S.-Chartered Commercial

4.173 4,260

46.938 41.576 12.477 -617

13.094

8,719 4,988

15*392 17,847 6,556

-2,627 -1,356 -5 * 028

-1*458 5*843

977

44*394 -175

2*987 19

-3.181

18,531

3,161 18,548

3,581 566 -73 700

2,388

-802 350 316 -2

886 -32 918

-2,631

45,146

4,481 4,115

98,155 86,678 15,400 2,400

13,000

-5,700 -2,225

79,203 23,712 5,424

54,015 452

-4,400

-725 15,216 -3.014

99,376 72,703

-513 2,052

71,164

15,593

3,934 6,751

4,652 412 369

3,143 728

12 350 579 -36

-5,162 306

-5,468

1,587

90,353

1977

Banks

5.2 6.7

91.4 83.6 -1.3 -2.2

.9

9.2 -.3

75.9 27.3 22.3 24.4

.2 1.8

2.5 3.5 1.8

92.8 21.5 4.3 1.7

15.5

28.2

23.8 10.6

-4.2 1.2 .2

-4.0 -1.7

2.5 .6 .6 .2

9.3 6.5 2.8

.1

84.3

BILLIONS OF DOLLARS 1978

6.8 9.5

121.5 106.4

.1 -6.7 6.8

9.4 -.6

97.5 35.2 26.2 41.4 -2.3 -3.0

-.4 5.3

10.2

121.5 22.9 6.8

* 16.2

13.2

42.1 22.5

-.6 2.7 .9

-6.3 2.1

-.4 1.1 .2 .1

20.3 4.8

15.5

-2.8

109.0

Domestic Affiliates of Commercial Banks

7,344 -1,475 -1,309

-166 8,819 -164 7,316 1,667

7,344 -1,628

-447 -1,181 3,858 504

3,354 5,114

775 4,339

2,954 450 465 -15

2,504 -32

1,409 1.127

2,954 -1,575

-15 -1,560 -2,070

210 -2,280 6,599 502

6,097

8,365 1,020 1,000

20 7.345

306 3,820 3.219

8.365 -2.635

-427 -2,208 5,690 2,000 3.690 5.310

642 4.668

Foreign Banking Offices i

7,552 8,301 1,844

-413 1,368 4,576

209 -109

-19 -1,297

714 -147

7,552 1,225 -142

264 -2,527 2,791

645 5,560

12,424 10,838 1,101

-406 2,204 4,419

66 2,642

5 140

-601 2,042

12,424 -385

4,256

4,620 2,100 2,520

2,955 978

8.596 12.874

606

-181 553

10.906 5

623

-177

-853 -3.602

8.596 220

5.526

9.966 8.953 1,013

-1.909 -5,207

9.5 1.3 1.3

K

8.2 6.5 1.6 .1

9.5 -1.5 -1.4 -.1 3.8 2.5 1.3 7.1 5.1 2.0

n U.S.

5.7 5.5 -.1

« » .2

4.7 .1 .6

* .5

— -.3

5.7 3.0 2.2

-.9 .9

-1.7

.6

.7

8.4 -.5

-1.3 .8

8.9 4.8 4.4 -.3

8.4 -.3

-1.3 1.0 7.5 .8

6.7 1.2 3.6

-2.4

21.8 19.3

.5 -.1

K

.1 18.1 1.0 -.3

K

.1

.6 1.7

21.8 2.5 6.4

10.4 3.4 7.1

-.3 2.7

1979

7.9 10.8

111.5 105.8 7.4 -.2 7.6

9.7 -.3

89.1 29.8 19.9 38.6 1.6 -.8

6.0 1.6

-2.0

109.3 25.6

.4 3.4

21.8

29.5

10.2 17.0

7.3 .3 .3

-7.7 14.5

7.1 1.3 .2 .5

10.7 5.4 5.3

-5.0

112.7

10.0 2.0 1.7 .3

8.0 5.4 3.4 -.8

10.0 2.5 1.7 .8

4.1 -.5 4.5 3.4 5.1

-1.7

16.5 16.8

.5

.1

.8

.1 13.2

.6 1.5

II V M

-.2

16.5 .8

3.6

10.8 5.8 5.0

1.8 -.5

1980

6.5 9.9

92.8 82.9 25.0 15.3 9.7

13.2 .5

44.3 16.1 -6.2 32.2 1.0 1.2

5.8 -1.2 5.2

92.0 10.7 -2.6 -.2 13.4

44.8

39.3 20.5

-39.9 -2.3

.4 -14.3 -23.6

6.2 .4 .2

-.5 10.4 6.9 3.5

-4.1

87.6

8.9 -.3 .2

-.5 9.3 6.9 2.8 -.4

8.9 -2.1

.1 -2.1 6.7 1.1 5.6 4.3 6.3

-2.0

18.1 19.8

.5

.2 1.3

N

15.5 .8

1.5

* -.4 .2

-1.5

18.1 -5.6 7.9

9.8 -.8 10.7

1.9 4.1

1981

8.9 1 10.6 2

99.0 3 91.4 4 11.4 5 1.8 6 9.6 7

5.7 8 « 9

74.3 10 19.7 11 4.0 12

46.1 13 -.2 14 4.7 15

8.2 16 -4.0 17 3.4 18

108.1 19 14.8 20 -1.1 21 -3.0 22 18.9 23

40.3 24

43.9 25 14.5 26

-26.6 27 -2.7 28 -.2 29

-8.5 30 -15.1 31

8.5 32 .5 33

-.1 34 -.4 35 12.6 36 7.8 37 4.8 38

7.4 39

95.0 40

6.1 1 .2 2

-.1 3 .3 4

5.9 5 7.8 6

-2.6 7 .7 8

6.1 9 -11.1 10 -4.9 11 -6.1 12 9.2 13 2.1 14 7.0 15 8.1 16 8.1 17

» 18

16.1 1 12.5 2

.6 3 -.1 4 1.7 5 .3 6

5.8 7 1.0 8 3.0 9

-.1 10 .6 11 .6 12

2.5 13

16.1 14 -6.1 15 7.6 16

12.2 17 -.8 18 13.0 19

3.2 20 -.7 21

IV/86 BASED ON INCOMPLETE INFORMATION

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1987-03-02 | 4th Quarter 1986

Page 9: 35976_1985-1989

JUNE 5, 1987 Commercial Banking Subsectors

20 Subsector Statements for Component Groups in Commercial Banking

UNADJUSTED NET FLOHS($ HILL)

Commercial Banking Subsectors

UNADJUSTED NET FLOWS($ HILL)

I 1985 I I IV I I

1986 II III

I 1987 IV I I

BILLIONS OF DOLLARS 1977 1978 1979 1980 1981

U.S.-Chartered Commercial Banks

-5,241 8,719 -14,224 5,178 4,988 5,857

1 Current surplus 3,550 5,658 4,467 4,173 4,256 2 Plant and equipment 4,982 5,214 4.890 4,130 4,925

S Net acq. of financial assets 92,757 2,914 34,625 46,938 92,999 4 Total bank credit 79,320 7,013 35,276 41,576 79,987 5 U.S. government securities -7,878 9.054 7.157 12.477 13,681 6 Treasury issues -7,294 5,472 -1.249 -617 2,274 7 Agency issues -584 3,582 8,406 13,094 11,407

8 Tax-exempt obligations 49,095 -17,640 9 Corporate bonds -710 2,353

10 Total loans 38,813 13,246 28,182 15,392 74,673 11 Hortga9es 13.467 11,436 14,630 17,765 23,179 12 Consumer credit 8,440 1,542 8,905 8,444 4,376 13 Bank loans n.e.c. 13,447 -4,057 7.957 -4,433 48,400 14 Open-market paper 740 91 -650 -1.356 1.201 15 Security credit 2,719 4.234 -2.660 -5.028 -2.483

16 Cust. liabs. on acceptances -3.383 -2.375 -1.819 -1,458 -1,600 17 Vault cash 8 res. at F.R. 5.622 -1,973 1,414 5,843 13,715 18 Miscellaneous assets 11.198 249 -246 977 897

19 Net increase in liabilities 91,043 -749 31,974 43,029 92,847 20 Checkable deposits 38,085 -23,506 40,631 -175 76,246 21 U.S. government 9,145 -13,849 13,276 2,987 -731 22 Foreign 365 -211 497 -18 2,464 23 Private domestic 28,575 -9,446 26,858 -3.144 74,513

5.372 4.288

•17.085 -9,371 6,662 -486 7.148

-5.702 -1,951

-8,380 17,399 -4.437 -20,105 -1,703

466

375 -12,014 3,925

-18,536 -66,480 -17,963 -1,282 -47,235

24 Small tlme&savings deposits 18.057 14,764 19,589 18.531 18.666 5.100

25 Large time deposits 26 Fed. funds and security RPs

27 Net interbank liabilities 28 Federal Reserve float 29 Borrowing at F.R. banks 30 To domestic banking 31 To foreign banks

32 Acceptance liabilities 33 Corporate equities 34 Corporate bonds 35 Profit taxes payable 36 Miscellaneous liabilities 37 Inv. by dom. affiliates 38 Other

39 Discrepancy

40 Hemo: Credit mkt. funds adv.

11*248 12,833

-151 919 540

-4,496 2,886

-2,554 375

1,689 22

11,439 1,559 9,880

-1,329 14,657

-156 -428

-2,242 -2,653 5,167

-3,597 325 695 34

-2,636 -163

-2,473

10,495 10.299

-5.944 -277 134

1.130 -6.931

-1.814 325 804 -17

-806 -164 -642

-3.146 -3,219 -3,074

73,218 404 36,117

3,161 18,548

2,216 566 -73

-665 2,388

-802 350 316 -2 886 -32 918

-3,866

45,146

2.093 -7.035

4.333 412 686

6.258 -3,023

-2,468 350 399 -36 299 706

-407

-821

3,509 14,677

13,842 3,980

22 -623

10,463

-520 369 401 18

10,548 762

9.786

-367

80,870 -9.462

5.2 6.7

91.4 83.6 -1.3 -2.2

.9

9.2 -.3

75.9 27.3 22.3 24.4

.2 1.8

2.5 3.5 1.8

92.8 21.5 4.3 1.7

15.5

28.2

23.8 10.6

-4.2 1.2 .2

-4.0 -1.7

2.5 .6 .6 .2

9.3 6.5 2.8

.1

84.3

6.8 9.5

121.5 106.4

.1 -6.7 6.8

9.4 -.6

97.5 35.2 26.2 41.4 -2.3 -3.0

-.4 5.3 10.2

121.5 22.9 6.8

K

16.2

13.2

42.1 22.5

-.6 2.7 .9

-6.3 2.1

-.4 1.1 .2 .1

20.3 4.8 15.5

-2.8

109.0

7.9 10.8

111.5 105.8 7.4 -.2 7.6

9.7 -.3

89.1 29.8 19.9 38.6 1.6 -.8

6.0 1.6

-2.0

109.3 25.6

.4 3.4

21.8

29.5

10.2 17.0

7.3 .3 .3

-7.7 14.5

7.1 1.3 .2 .5

10.7 5.4 5.3

-5.0

112.7

6.5 9.9

92.8 82.9 25.0 15.3 9.7

13.2 .5

44.3 16.1 -6.2 32.2 1.0 1.2

5.8 -1.2 5.2

92.0 10.7 -2.6 -.2 13.4

44.8

39.3 20.5

-39.9 -2.3

.4 -14.3 -23.6

6.2 .4 .2

-.5 10.4 6.9 3.5

-4.1

87.6

8.9 1 10.6 2

99.0 3 91.4 4 11.4 5 1.8 6 9.6 7

5.7 8 » 9

74.3 10 19.7 11 4.0 12

46.1 13 -.2 14 4.7 15

8.2 16 -4.0 17 3.4 18

108.1 19 14.8 20 -l.l 21 -3.0 22 18.9 23

40.3 24

43.9 25 14.5 26

-26.6 27 -2.7 28 -.2 29

-8.5 30 -15.1 31

8.5 32 .5 33

-.1 34 -.4 35 12.6 36 7.8 37 4.8 38

7.4 39

95.0 40

Domestic Affiliates of Commercial Banks

1 2 3 4 5 6 7 8

9 10 11 12 13 14 15 16 17 18

Net acq* of financial assets Credit market instruments

U.S. govt, securities Bank loans n.e.c.

Miscellaneous assets Inv. in bank subsidiaries Inv. in finance co. subs. Other

Net increase in liabilities Net Interbank claims

To domestic banks To foreign banks

Credit market debt Corporate bonds Commercial paper

Miscellaneous liabilities Equity, etc. Other

3,446 1,150 1,453 -303 2,296 1,559 3,547

-2.810

3,446 -1,982

978 -2,960 4,606 3,783 823 822

1,601 -779

17,936 -1,475 -1,309 -166

19,411 -163

16,408 3.166

17.936 4.465 -762 5.227

-3.016 503

-3,519 16,487 7,399 9,088

7.360 -1.480 -1.311

-169 8.840 -164

10.834 -1.830

7.360 -1.585

-404 -1,181 3,854 500

3,354 5,091 2,344 2,747

7,053 449 113 336

6,604 -32

6,734 -98

7,053 -210 1,350

-1,560 576

2,856 -2,280 6,687 4,270 2,417

6,566 -541 -275 -266 7,107

706 6,323

78

6,566 -2,090 -882

-1,208 3,103 -587 3,690 5,553 3,020 2.533

5,828 97 29 68

5,731 762

6,925 -1,956

5,828 -2,009

185 -2,194 6,569

945 5,624 1,268 2,366

-1,098

9.5 1.3 1.3

K

8.2 6.5 1.6 .1

9.5 -1.5 -1.4 -.1 3.8 2.5 1.3 7.1 5.1 2.0

8.4 -.5 -1.3

.8 8.9 4.8 4.4 -.3

8.4 -.3

-1.3 1.0 7.5 .8

6.7 1.2 3.6

-2.4

10.0 2.0 1.7 .3

8.0 5.4 3.4 -.8

10.0 2.5 1.7 .8

4.1 -.5 4.5 3.4 5.1

-1.7

8.9 -.3 .2

-.5 9.3 6.9 2.8 -.4

8.9 -2.1

.1 -2.1 6.7 1.1 5.6 4.3 6.3

-2.0

6.1 1 .2 2

-.1 3 .3 4

5.9 5 7.8 6

-2.6 7 .7 8

6.1 9 -11.1 10 -4.9 11 -6.1 12 9.2 13 2.1 14 7.0 15 8.1 16 8.1 17

* 18

Foreign Banking Offices in U.S.

1 Net acq. of financial assets 2 Credit market Instruments 5 U.S. government securities 4 Tax-exempt obligations 5 Mortgages 6 Corporate bonds 7 Bank loans n.e.c. 8 Open-market paper 9 Cust. liabs. on accepts.

10 Corporate equities 11 Security credit 12 Member bank reserves 13 Miscellaneous assets

14 Net increase In liabilities 15 Demand deposits 16 Time deposits

17 Net interbank liabilities 18 To foreign banks 19 To domestic banks

20 Acceptance liabilities 21 Miscellaneous liabilities

14,152 6,750

720 -71 272 831

4,094 -91 995

5 3,773

314 3,310

14,152 429

-1.786

11,610 2,866 8,744

1,404 2,495

1,134 313

-121

431 216 96

-358 49

9 -373 -162 1.347

1,134 -509

-1.343

127 4,766

-4,639

-107 2,966

7,552 8,301 1,844

413 1,368 4,576

209 -109

-19 -1,297

714 -147

7,552 1,225 -142

264 -2,527 2,791

645 5,560

12,424 10,838 1,101

406 2,204 4,419

66 2,642

5 140

-601 2,042

12,424 -385 4,256

4,620 2,100 2,520

2,955 978

17,624 15,505

789

1,682 1,203 12,800

-69 -900

12 1,660 641

-194

17,624 593

7,020

7,263 9,034

-1,771

-669 3,417

959 3,346

655

-962 1,432 2,578 -580 223

-4 -2,369

530 -544

959 -920

-2,113

8,406 2.097 6,309

-1,526 -2.888

5.7 5.5 -.1

* * .2

4.7 .1 .6

K

.5

--.3 5.7 3.0 2.2

-.9 .9

-1.7

.6

.7

21.8 19.3

.5 -.1

K

.1 18.1 1.0 -.3

.1

.6 1.7

21.8 2.5 6.4

10.4 3.4 7.1

-.3 2.7

16.5 16.8

.5

.1

.8

.1 13.2

.6 1.5

M

* H

-.2

16.5 .8

3.6

10.8 5.8 5.0

1.8 -.5

18.1 19.8

.5

.2 1.3

K

15.5 .8

1.5

H

-.4 .2

-1.5

18.1 -5.6 7.9

9.8 -.8 10.7

1.9 4.1

16.1 1 12.5 2

.6 3 -.1 4 1.7 5 .3 6

5.8 7 1.0 8 3.0 9

-.1 10 .6 11 .6 12

2.5 13

16.1 14 -6.1 15 7.6 16

12.2 17 -.8 18 13.0 19

3.2 20 -.7 21

1/87 BASED ON INCOMPLETE INFORMATION

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1987-06-05 | 1st Quarter 1987

Page 10: 35976_1985-1989

SEPTEMBER 25. 1987 Commercial Bankin9 Subsectors

20 Subsector Statements for Component Groups in Commercial Banking

UNADJUSTED NET FLOWS($ MILL)

Commercial Bankins Subsectors

UNADJUSTED NET FLOWS($ MILL)

1986 II III

1987 I II

BILLIONS OF DOLLARS 1978 1979 1980

U.S.-Chartered Commercial Banks

1 Current surplus 2 Fixed nonres. investment

3 Net acq. of financial assets 4 Total bank credit 5 U.S. sovernment securities 6 Treasury issues 7 Agency issues

8 Tax-exempt obli9ations 9 Corporate bonds

10 Total loans 11 Mort9a9es 12 Consumer credit 13 Bank loans n.e.c. 14 Open-market paper 15 Security credit

16 Cust. liabs. on acceptances 17 Vault cash 8 res. at F.R. 18 Miscellaneous assets

19 Net increase in liabilities 20 Checkable deposits 21 U.S. government 22 Foreisn 23 Private domestic

24 Small time&savlnss deposits

25 26

Larse time deposits Fed. funds and security RPs

27 Net interbank liabilities 28 Federal Reserve float 29 Borrowins at F.R. banks 30 To domestic banking 31 To foreign banks

32 Acceptance liabilities 33 Corporate equities 34 Corporate bonds 35 Profit taxes payable 36 Miscellaneous liabilities 37 Inv. by dom. affiliates 38 Other

39 Discrepancy

40 Memo: Credit mkt. funds adv.

1 Net acq. of financial assets 2 Credit market instruments 3 U.S. govt, securities 4 Bank loans n.e.c. 5 Miscellaneous assets 6 Inv. in bank subsidiaries 7 Inv. in finance co. subs. 8 Other

9 Net increase in liabilities 10 Net interbank claims 11 To domestic banks 12 To foreign banks 13 Credit market debt 14 Corporate bonds 15 Commercial paper 16 Miscellaneous liabilities 17 Equity, etc. 18 Other

3,252 5,550

2,914 7,013 9,054 5.472 3,582

-17,640 2,353

13,246 11,436 1,542

-4,057 91

4,234

-2,375 -1,973

249

-749 -23,506 -13,849

-211 -9.446

14.764

-1.329 9.657

-156 -428

-2.242 -2.653 5.167

-3,597 325 695 34

2.364 -163 2,527

-5.961

404

2,084 6,006

34,625 35,276 7,157

-1,249 8,406

-5,241 5,178

28,182 14,630 8,905 7,957 -650

-2,660

-1,819 1,414 -246

31,974 40,631 13,276

497 26,858

19,589

-10,495 -4,299

-7,944 -277 134

-870 -6,931

-1,814 325 804 -17

-4,806 -164

-4,642

-6,573

36,117

2,028 4.642

46.938 41,576 12,477 -617

13,094

8,719 4,988

15,392 17.765 8.444 -4.433 -1.356 -5,028

-1,458 5,843

977

43,029 -175 2,987 -18

-3,144

18,531

3,161 12,548

4,216 566 -73

1,335 2,388

-802 350 316 -2

4,886 -32

4,918

-6,523

45,146

1.874 6.194

92,999 79,987 13,681 2,274 11,407

-14,224 5,857

74,673 23,179 4,376 48,400 1,201

-2,483

-1.600 .13,715

897

92,836 76,246 -731 2,464 74,513

18,666

2,093 -7,035

4.322 412 686

6.247 -3,023

-2.468 350 399 -36 299 706

-407

-4.483

80,870

3,514 4,750

-29,929 -28,223

4,208 -5,555 9,763

-10,789 6,157

-27,799 15,031 -4,437 -34,984 -1,520 -1,889

236 -10,737 8,795

-26,065 -71,018 -18,831 -1,102

-51,085

1,255

3,301 15,854

10,576 3,980

22 -5,439 12,013

351 369 376 18

12.853 762

12.091

2.628

-26,098

700 6,469

24,770 27,319 -1,489 -5,536 4.047

-16,400 10,116

35,092 24,739 2,452 3,275 -208 4,834

296 -2,481

-364

27,997 29,886 17,922 -459

12,423

1,956

9,639 7,133

-9,206 -3,662

-615 -8,046 3,117

-2,504 876 805 -8

-10,580 1,358

-11,938

-2,542

22,781

17,936 -1.475 -1,309

-166 19,411 -163

16,408 3,166

17,936 4,465 -762 5,227

-3,016 503

-3,519 16,487 7,399 9,088

7,360 -1,480 -1,311

-169 8.840 -164

10,834 -1,830

7,360 -1,585

-404 -1,181 3,854 500

3,354 5,091 2.344 2.747

7.053 449 113 336

6.604 -32

6,734 -98

7,053 -210 1,350

-1,560 576

2,856 -2,280 6,687 4,270 2,417

7,142 -569 -265 -304 7,711

706 6,854

151

7,142 -2,079

-871 -1,208 3,192 -498 3,690 6,029 3,403 2,626

8.103 1,241 724 517

6,862 762

5,089 1,011

8,103 -5,319 -2,125 -3,194 7,949 2,325 5,624 5,473 6,098 -625

6,040 484 395 89

5,556 1,358 2,488 1,710

6,040 890

-1,098 1,988 4,574 3,031 1,543 576

3,885 -3,309

4.1 3.2

91.4 83.6 -1.3 -2.2

.9

9.2 -.3

75.9 27.3 22.3 24.4

.2 1.8

2.5 3.5 1.8

92.8 21.5 4.3 1.7

15.5

28.2

23.8 10.6

-4.2 1.2 .2

-4.0 -1.7

2.5 .6 .6 .2

9.3 6.5 2.8

2.4

84.3

5.2 6.0

121.5 106.4

.1 -6.7 6.8

9.4 -.6

97.5 35.2 26.2 41.4 -2.3 -3.0

-.4 5.3 10.2

121.5 22.9 6.8

K

16.2

13.2

42.1 22.5

-.6 2.7 .9

-6.3 2.1

-.4 1.1 .2 .1

20.3 4.8 15.5

-.9

109.0

il Banks (BHC

9.5 1.3 1.3

* 8.2 6.5 1.6 .1

9.5 -1.5 -1.4 -.1 3.8 2.5 1.3 7.1 5.1 2.0

8.4 -.5

-1.3 .8

8.9 4.8 4.4 -.3

8.4 -.3

-1.3 1.0 7.5 .8

6.7 1.2 3.6

-2.4

6.0 6.8

111.5 105.8 7.4 -.2 7.6

9.7 -.3

89.1 29.8 19.9 38.6 1.6 -.8

6.0 1.6

-2.0

109.3 25.6

.4 3.4

21.8

29.5

10.2 17.0

7.3 .3 .3

-7.7 14.5

7.1 1.3 .2 .5

10.7 5.4 5.3

-3.0

112.7

s)

10.0 2.0 1.7 .3

8.0 5.4 3.4 -.8

10.0 2.5 1.7 .8

4.1 -.5 4.5 3.4 5.1

-1.7

4.1 6.3

92.8 82.9 25.0 15.3 9.7

13.2 .5

44.3 16.1 -6.2 32.2 1.0 1.2

5.8 -1.2 5.2

92.0 10.7 -2.6 -.2 13.4

44.8

39.3 20.5

-39.9 -2.3

.4 -14.3 -23.6

6.2 .4 .2

-.5 10.4 6.9 3.5

-2.9

87.6

8.9 -.3 .2

-.5 9.3 6.9 2.8 -.4

8.9 -2.1

.1 -2.1 6.7 1.1 5.6 4.3 6.3

-2.0

6.0 1 5.5 2

99.0 3 91,4 4 11.4 5 1.8 6 9.6 7

5.7 8 « 9

74.3 10 19.7 11 4.0 12

46.1 13 -.2 14 4.7 15

8.2 16 -4.0 17 3.4 18

108.1 19 14.8 20 -1.1 21 -3.0 22 18.9 23

40.1 24

43.9 25 14.8 26

-26.6 27 -2.7 28 -.2 29 -8.5 30

-15.1 31

8.5 32 .5 33

-.1 34 -.4 35 12.6 36 7.8 37 4.8 38

9.6 39

95.0 40

6.1 1 .2 2

-.1 3 .3 4

5.9 5 7.8 6

-2.6 7 .7 8

6.1 9 -11.1 10 -4.9 11 -6.1 12 9.2 13 2.1 14 7.0 15 8.1 16 8.1 17

* 18

Foreign Banking Offices in U.S.

1 2 3 4 5 6 7 8 9 10 11

12 13 14

15 16 17

18 19 20

21 22

Net acq. of financial assets Total bank credit

U.S. government securities Tax-exempt obligations Corporate bonds Total loans

Mortgages Bank loans n.e.c. Open-market paper Security credit

Corporate equities

Cust. liabs. on acceptances Member bank reserves Miscellaneous assets

Net increase in liabilities Demand deposits Time deposits

Net interbank liabilities To foreign banks To domestic banks

Acceptance liabilities Miscellaneous liabilities

1,134 -100 -121

-216 -204 431 96

-358 -373

9

49 -162 1,347

1.134 -509

-1.343

127 4,766

-4.639

-107 2,966

7,552 7,094 1,844

-1,368 3,901 413

4,576 209

-1,297 -19

-109 714

-147

7,552 1,225 -142

2,264 -2,527 4,791

645 3,560

12,424 8,341 1,101

-2,204 5,031

406 4,419

66 140 5

2,642 -601 2,042

12,424 -385 4,256

2,620 2,100 520

2,955 2.978

17,624 18,077

789

-1,203 16,073 1,682

12,800 -69

1,660 12

-900 641

-194

17,624 593

7,020

7,263 9,034

-1,771

-669 3,417

5,833 6,811 1,314

-1,357 4,132 -321 5,970 -22

-1,495 8

-855 -373 250

5,833 -792 -14

6,770 1,861 4,909

-162 31

9,863 2,360 -623

-1,802 1,181 546 155 730

-250

--463 -346

8.312

9.863 619

4,997

-238 -3,392 3,154

1.366 3,119

5.7 5.4 -.1

K

.2 5.2

* 4.7 .1 .5

* .6

--.3 5.7 3.0 2.2

-.9 .9

•1.7

.6

.7

21.8 19.8

.5 -.1 .1

19.3 N

18.1 1.0 .1 M

-.3 .6

1.7

21.8 2.5 6.4

10.4 3.4 7.1

-.3 2.7

16.5 15.2

.5

.1

.1 14.5

.8 13.2

.6 K K

1.5 N

-.2

16.5 .8

3.6

10.8 5.8 5.0

1.8 -.5

18.1 18.0

.5

.2 K

17.2 1.3 15.5

.8 -.4

M

1.5 .2

-1.5

18.1 -5.6 7.9

9.8 -.8 10.7

1.9 4.1

16.1 1 10.0 2

.6 3 -.1 4 .3 5

9.2 6 1.7 7 5.8 8 1.0 9 .6 10

-.1 11

3.0 12 .6 13

2.5 14

16.1 15 -6.1 16 7.6 17

12.2 18 -.8 19 13.0 20

3.2 21 -.7 22

11/87 BASED ON INCOMPLETE INFORMATION

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1987-09-25 | 2nd Quarter 1987 and Annual Revisions

Page 11: 35976_1985-1989

DECEMBER 4. 1987 Commercial Banking Subsectors

20 Subsector Statements for Component Groups In Commercial Banklns

UNADJUSTED NET FLOWSCs MILL)

Commercial Bankln9 Subsectors

UNADJUSTED NET FLOWS($ MILL)

1986 I 1987 II III IV I I II III

BILLIONS OF DOLLARS 1978 1979 1980 1981

U.S.-Chartered Commercial Banks

1 Current surplus 2 Fixed nonres. Investment

3 Net acq. of financial assets 4 Total bank credit 5 U.S. government securities 6 Treasury issues 7 Agency issues

8 Tax-exempt obli9ations 9 Corporate bonds

10 Total loans 11 Mortgages 12 Consumer credit 13 Bank loans n.e.c. 14 Open-market paper 15 Security credit

16 Cust. liabs. on acceptances 17 Vault cash a res. at F.R. 18 Miscellaneous assets

19 Net Increase in liabilities 20 Checkable deposits 21 U.S. government 22 Foreign 23 Private domestic

24 Small time&savings deposits

25 Large time deposits 26 Fed. funds and security RPs

27 Net Interbank liabilities 28 Federal Reserve float 29 Borrowing at F.R. banks 30 To domestic banking 31 To foreign banks

32 Acceptance liabilities 33 Corporate equities 34 Corporate bonds 35 Profit taxes payable 36 Miscellaneous liabilities 37 Inv. by dom. affiliates 38 Other

39 Discrepancy

40 Memo: Credit mkt. funds adv.

2.084 5,906

34,625 35.276 7,157

-1,249 8.406

-5,241 5,178

28,182 14,630 8,905 7,957 -650

-2,660

-1,819 1,414 -246

31,974 40,631 13,276

497 26,858

19,589

•10.495 -4,299

-7,944 -277 134

-870 -6,931

-1,814 325 804 -17

-4,806 -164

-4.642

2.028 4.942

46,938 41.576 12.477 -617

13.094

8.719 4.988

15.392 17,765 8,444

-4,433 -1.356 -5.028

-1,458 5,843

977

43.029 -175 2.987 -18

-3,144

18.531

3.161 12.548

4.216 566 -73

1.335 2.388

-802 350 316 -2

4.886 -32

4.918

1.874 5.991

92.998 79.986 13.681 2,274 11.407

-14,224 5,857

74,673 23,179 4,376 48,399 1.201

-2.483

-1,600 13,715

897

92.836 76.246 -731 2,464 74.513

18,666

2,093 -7,035

4.322 412 686

6,247 -3,023

-2.468 350 399 -36 299 706

-407

3,514 6,316

-29,929 -28,223

4,208 -5.555 9,763

-10,789 6.157

-27.799 17,234 -4.845 -36.779 -1.520 -1,889

236 -10.737 8.795

-26,038 -71.018 -18.831 -1,123

-51,064

1,255

3.301 15,854

10.603 3.980

22 -5.412 12.013

351 369 376 18

12.853 762

12.091

700 6.294

32,417 44,256 4,897 -24

4,921

-6,957 4,219

42.097 23.465 3.038 12.547

551 2.446

-1.051 -3.162 -7.626

25,239 36.938 22,275

622 14,041

6,324

11,380 -6,032

-4,927 -3,662

-615 -6,472 5,822

-1.192 876

3.019 -8

-21.139 1.358

-22.497

746 6.493

24,812 36,099 10.338 4,938 5,400

-3,014 10,399

18,376 16,372 3,961

12 -1.347

-622

190 3,023

-14,500

32,152 126

4,323 -1,540 -2.657

4.063

6.338 3.202

22,774 -1.307

969 11,102 12,010

1,096 827

1.551 23

-7,848 2,370

-10,218

-6.473 -6,823 -4.279 1,089 -12,772 1.593

36,117 45.146 80.869 -26.098 40.759 36.911

4.1 3.2

91.4 83.6 -1.3 -2.2

.9

9.2 -.3

75.9 27.3 22.3 24.4

.2 1.8

2.5 3.5 1.8

92.8 21.5 4.3 1.7

15.5

28.2

23.8 10.6

-4.2 1.2 .2

-4.0 -1.7

2.5 .6 .6 .2

9.3 6.5 2.8

2.4

84.3

5.2 6.0

121.5 106.4

.1 -6.7 6.8

9.4 -.6

97.5 35.2 26.2 41.4 -2.3 -3.0

-.4 5.3 10.2

121.5 22.9 6.8

* 16.2

13.2

42.1 22.5

-.6 2.7 .9

-6.3 2.1

-.4 1.1 .2 .1

20.3 4.8 15.5

-.9

109.0

6.0 6.8

111.5 105.8 7.4 -.2 7.6

9.7 -.3

89.1 29.8 19.9 38.6 1.6 -.8

6.0 1.6

-2.0

109.3 25.6

.4 3.4

21.8

29.5

10.2 17.0

7.3 .3 .3

-7.7 14.5

7.1 1.3 .2 .5

10.7 5.4 5.3

-3.0

112.7

4.1 6.3

92.8 82.9 25.0 15.3 9.7

13.2 .5

44.3 16.1 -6.2 32.2 1.0 1.2

5.8 -1.2 5.2

92.0 10.7 -2.6 -.2 13.4

44.8

39.3 20.5

-39.9 -2.3

.4 -14.3 -23.6

6.2 .4 .2

-.5 10.4 6.9 3.5

-2.9

87.6

6.0 1 5.5 2

99.0 3 91.4 4 11.4 5 1.8 6 9.6 7

5.7 8 » 9

74.3 10 19.7 11 4.0 12

46.2 13 -.2 14 4.7 15

8.2 16 -4.0 17 3.4 18

108.1 19 14.8 20 -1.1 21 -3.0 22 18.9 23

40.1 24

43.9 25 14.8 26

-26.6 27 -2.7 28 -.2 29 -8.5 30

-15.1 31

8.5 32 .5 33

-.1 34 -.4 35 12.6 36 7.8 37 4.8 38

9.6 39

95.0 40

Foreign Banking Offices in U.S.

1 Net acq. of financial assets 2 Total bank credit 3 U.S. government securities 4 Tax-exempt obligations 5 Corporate bonds 6 Total loans 7 Mortgages 8 Bank loans n.e.c. 9 Open-market paper 10 Security credit 11 Corporate equities

12 Cust. liabs. on acceptances 13 Member bank reserves 14 Miscellaneous assets

15 Net Increase in liabilities 16 Demand deposits 17 Tine deposits

18 Net interbank liabilities 19 To foreign banks 20 To domestic banks

21 Acceptance liabilities 22 Miscellaneous liabilities

7,552 7,094 1,844

1.368 3.901 413

4,576 209

-1.297 -19

-109 714

-147

7.552 1,225 -142

2.264 -2,527 4.791

645 3,560

12.424 8.341 1.101

2.204 5.031

406 4.419

66 140 5

2.642 -601 2.042

12.424 -385 4.256

2.620 2,100

520

2,955 2.978

17.624 18.077

789

1.203 16.073 1.682

12,800 -69

1.660 12

-900 641

-194

17.624 593

7,020

7,263 9,034

-1,771

-669 3,417

5,833 6.811 1.314

1.357 4.132 -321 5,970 -22

-1,495 8

-855 -373 250

5.833 -792 -14

6.770 1,861 4.909

-162 31

10.007 3.162 -695

1.881 1,971 1,423 2,064 -336

-1,180 5

6,492 565

-212

10,007 126

1,529

932 -5,542 6,474

5,592 1,828

-2,039 9,587 1,106

-247 8,732

680 6,124

733 1,195

-4

-187 610

-12,049

-2,039 375

1,862

-7,449 5,407

-12.856

1.330 1.843

5.7 5.4 -.1

N

.2 5.2

K

4.7 .1 .5 M

.6

--.3 5.7 3.0 2.2

-.9 .9

•1.7

.6

.7

21.8 19.8

.5 -.1 .1

19.3 a

18.1 1.0 .1 •

-.3 .6

1.7

21.8 2.5 6.4

10.4 3.4 7.1

-.3 2.7

16.5 15.2

.5

.1

.1 14.5

.8 13.2

.6 M

1.5 •

-.2

16.5 .8

3.6

10.8 5.8 5.0

1.8 -.5

18.1 18.0

.5

.2

* 17.2 1.3

15.5 .8

-.4 •

1.5 .2

-1.5

18.1 -5.6 7.9

9.8 -.8 10.7

1.9 4.1

16.1 1 10.0 2

.6 3 -.1 4 .3 5

9.2 6 1.7 7 5.8 8 1.0 9 .6 10

-.1 11

3.0 12 .6 13

2.5 14

16.1 15 -6.1 16 7.6 17

12.2 18 -.8 19 13.0 20

3.2 21 -.7 22

II1/87 BASED ON INCOMPLETE INFORMATION

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1987-12-04 | 3rd Quarter 1987

Page 12: 35976_1985-1989

MARCH 11, 1988 Commercial Banking Subsectors

20 Subsector Statements for Component Groups in Commercial Banking

UNADJUSTED NET FLOWSf$ MILL)

Commercial Bankin9 Subsectors

UNADJUSTED NET FLOWS($ MILL)

1986 I III IV I I

1987 II III 1978

BILLIONS OF DOLLARS 1979 1980 1981

U.S.-Chartered Commercial Banks

1982

1 Current surplus 2 Fixed nonres. Investment

3 Net acq. of financial assets 4 Total bank credit 5 U.S. government securities 6 Treasury issues 7 Agency issues

8 Tax-exempt obligations 9 Corporate bonds

10 Total loans 11 Mortgages 12 Consumer credit 13 Bank loans n.e.c. 14 Open-market paper 15 Security credit

16 Cust. llabs. on acceptances 17 Vault cash & res. at F.R. 18 Miscellaneous assets

19 Net Increase in liabilities 20 Checkable deposits 21 U.S. government 22 Foreign 23 Private domestic

24 Small tlme&savlngs deposits

25 Large time deposits 26 Fed. funds and security RPs

27 Net interbank liabilities 28 Federal Reserve float 29 Borrowing at F.R. banks 30 To domestic banking 31 To foreign banks

32 Acceptance liabilities 33 Corporate equities 34 Corporate bonds 35 Profit taxes payable 36 Miscellaneous liabilities 37 Inv. by dom. affiliates 38 Other

39 Discrepancy

40 Memo: Credit mkt. funds adv.

2,028 4,942

46,938 41,576 12.477 -617

13,094

8.719 4,988

15,392 17,765 8.444

-4.433 -1.356 -5,028

-1,458 5,843

977

42,577 -175 2,987 -18

-3,144

18,531

3,161 15,154

1,158 566 -73

-1,271 1,936

-802 350 316 -2

4,886 -32

4.918

-7,275

45,146

1,874 5,991

92,998 79,986 13,681 2,274 11.407

-14,224 5,857

74,673 23,179 4,376 48,399 1,201

-2,483

-1,600 13.715

897

96.854 76.246 -731 2.464 74.513

18,666

2,093 -3.643

4.948 412 686

2,855 995

-2.468 350 399 -36 299 706

-407

-261

80.869

3.514 6,316

-29,929 -28,223

4,208 -5,555 9.763

-10,789 6,157

-27,799 17,234 -4,845 -36.779 -1,520 -1,889

236 -10,737 8,795

-27,768 -71,018 -18,831 -1.123 -51,064

1,255

3,301 14,662

10,065 3,980

22 -4,213 10,276

351 369 376 18

12,853 762

12,091

-641

-26,098

1,475 6,294

32,417 44,256 4,897 -24

4,921

-6,957 4.219

42,097 23,465 3,088 12,547

551 2,446

-1.051 -3,162 -7.626

30,159 36,938 22.275

240 14,423

6,324

11,380 -4,555

-7,065 -3.662

-615 -7,192 4,404

-1,192 400 124 -8

-12,187 1,358

-13,545

-7,077

40,759

1,296 6.245

37.622 37.833 10.279 5,604 4,675

-5,583 3,348

29,789 18.254 3.987 7.000

-1.239 1.787

-2,033 3.494

-1.672

48.730 -2.761 2.051

-2,255 -2.557

4,764

5,827 -749

36.125 -1.331

969 23.885 12,602

-2,051 400

4 23

7,148 2,370 4,778

6,159

34,013

568 6,259

38,485 33,040 5.557 6,433 -876

569 877

26,037 19,735 7,682 8,089

71 -9.540

223 7,267

-2,045

25,214 17,461 -488 1,841

16,108

9,757

17,212 2,488

-9,648 577

1,874 -3,169 -8,930

3,149 400

2,000 20

-17,625 2,861

-20,486

-18,962

42,803

5.2 6.0

121.5 106.4

.1 -6.7 6.8

9.4 -.6

97.5 35.2 26.2 41.4 -2.3 -3.0

-.4 5.3 10.2

121.5 22.9 6.8

ft

16.2

13.2

42.1 22.5

-.6 2.7 .9

-6.3 2.1

-.4 1.1 .2 .1

20.3 4.8 15.5

-.9

109.0

6.0 6.8

111.5 105.8 7.4 -.2 7.6

9.7 -.3

89.1 29.8 19.9 38.6 1.6 -.8

6.0 1.6

-2.0

109.3 25.6

.4 3.4

21.8

29.5

10.2 17.0

7.3 .3 .3

-7.7 14.5

7.1 1.3 .2 .5

10.7 5.4 5.3

-3.0

112.7

4.1 6.3

92.8 82.9 25.0 15.3 9.7

13.2 .5

44.3 16.1 -6.2 32.2 1.0 1.2

5.8 -1.2 5.2

92.0 10.7 -2.6 -.2 13.4

44.8

39.3 20.5

-39.9 -2.3

.4 -14.3 -23.6

6.2 .4 .2

-.5 10.4 6.9 3.5

-2.9

87.6

6.0 5.5

99.0 91.4 11.4 1.8 9.6

5.7 H

74.3 19.7 4.0

46.2 -.2 4.7

8.2 -4.0 3.4

116.9 14.8 -l.l -3.0 18.9

40.1

43.9 14.8

-17.8 -2.7 -.2

-8.5 -6.4

8.5 .5

-.1 -.4 12.6 7.8 4.8

18.4

95.0

6.1 1 6.6 2

111.3 3 104.2 4 26.7 5 19.4 6 7.3 7

4.6 8 1.7 9

71.2 10 15.4 11 6.7 12

47.6 13 1.0 14 .5 15

7.0 16 1.8 17

-1.7 18

117.6 19 20.9 20 6.1 21

-2.2 22 17.1 23

96.4 24

2.3 25 9.2 26

-26.1 27 1.0 28 -.9 29

-2.7 30 -23.5 31

9.5 32 .6 33 .6 34

-.1 35 4.4 36 13.2 37 -8.8 38

5.9 39

110.7 40

Foreign Banking Offices in U.S.

1 Net acq. of financial assets 2 Total bank credit 3 U.S. government securities 4 Tax-exempt obligations 5 Corporate bonds 6 Total loans 7 Mortgages 8 Bank loans n.e.c. 9 Open-market paper 10 Security credit 11 Corporate equities

12 Cust. llabs. on acceptances 13 Member bank reserves 14 Miscellaneous assets

15 Net Increase in liabilities 16 Demand deposits 17 Time deposits

18 Net Interbank liabilities 19 To foreign banks 20 To domestic banks

21 Acceptance liabilities 22 Miscellaneous liabilities

15,130 8,341 1,101

2,204 5,031

406 4,419

66 140 5

2,642 -601 4,748

15,130 -385 4,256

1*823 -1*303 3,126

2,955 6*481

18,946 18.077

789

1.203 16.073 1.682 12.800

-69 1.660

12

-900 641

1,128

18,946 593

7,020

10,491 8,870 1*621

-669 1,511

4,829 6,811 1,314

1,357 4,132 -321 5,970 -22

-1,495 8

-855 -373 -754

4,829 -792 -14

5,966 2,249 3,717

-162 -169

9,684 3,162 -695

1,881 1,971 1.423 2,064 -336

-1,180 5

6,492 565

-535

9,684 126

1,529

757 -7,194 7*951

5,592 1,680

6,106 7,281 903

-620 7,007 1,458 3,322

732 1.495

-9

1.241 -97

-2.319

6,106 366 785

3,993 18,972

-14,979

-61 1*023

9,185 7,539 -432

468 7,504 1,044 6,808

301 -649

-1

345 -692 1,993

9,185 -17

2,230

8.790 9.438 -648

391 -2*209

21.8 19.8

.5 -.1 .1

19.3

* 18.1 1.0 .1 ii

-.3 .6

1.7

21.8 2.5 6.4

10.4 3.4 7.1

-.3 2.7

16.5 15.2

.5

.1

.1 14.5

.8 13.2

.6

» II

1.5

« -.2

16.5 .8

3.6

10.8 5.8 5.0

1.8 -.5

18.1 18.0

.5

.2 K

17.2 1.3

15.5 .8

-.4

" 1.5 .2

-1.5

18.1 -5.6 7.9

9.8 -.8 10.7

1.9 4.1

10.6 10.0

.6 -.1 .3

9.2 1.7 5.8 1.0 .6

-.1

3.0 .6

-3.0

10.6 -6.1 7.6

4.5 -8.4 13.0

3.2 1.4

7.8 1 1.0 2 .8 3

-.1 4 .1 5 .1 6

l.l 7 .2 8

-.7 9 -.5 10

« 11

.8 12

.3 13 5.7 14

7.8 15 -1.7 16 10.7 17

-7.7 18 -10.0 19

2.3 20

1.5 21 4.9 22

LATEST QUARTER BASED ON INCOMPLETE INFORMATION.

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1988-03-11 | 4th Quarter 1987

Page 13: 35976_1985-1989

JUNE 7, 1988 Commercial Banking Subsectors

Subsector Statements for Component Groups in Commercial Banking

SEASONALLY ADJUSTED ANNUAL RATES

Commercial Banking Subsectors

21 SEASONALLY ADJUSTED ANNUAL RATES

1 2

3 4 5 6 7

8 9

10 11 12 13 14 15

16 17 18

19 20 21 22 23

24

25 26

27 28 29 30 31

32 33 34 35 36 37 38

39

40

1 2 3 4 5 6 7 8 9 10 11

12 13 14

15 16 17

18 19 20

21 22

1983

7.1 8.6

131.3 133.9 44.2 43.5

.7

3.8 3.6

82.3 29.0 22.7 27.5 1.1 2.0

4.6 -2.9 -4.3

143.1 15.6 -5.3 1.4

19.5

130.8

-38.7 14.8

3.1 -1.2

.2 -3.9 7.9

3.0 .8

-.2 -.1 14.0 12.6 1.4

10.2

136.5

1.3 1.9 1.7 -.1 .4

-.1 .2

-.4 -.4 .5 M

2.2 -.7 -2.2

1.3 .3

-9.6

7.4 7.7 -.3

2.2 1.0

1984

5.8 15.7

166.2 166.2 1.3 2.5

-1.2

12.6 3.2

149.1 44.4 45.2 55.4 -.6 4.7

-2.8 3.3 -.5

172.9 30.2 4.0 2.8 23.4

74.6

33.9 1.6

8.1 -.7 2.7 7.9

-1.8

-3.6 1.1 3.6

23.4 10.3 13.1

-3.1

158.7

13.4 7.3 -.6 -.1 1.8 6.3 .4

5.7 -.9 1.1 -.1

6.6 .3

-.9

13.4 -1.0 4.4

2.8 4.6

-1.9

7.3 m

1985

7.1 19.6

193.1 183.4 4.6 7.5

-2.9

57.2 2.3

119.3 49.4 37.5 28.5 -2.8 6.8

-11.1 7.4 13.4

190.0 51.8 10.3

.1 41.4

80.3

10.8 31.3

4.8 .1

-.5 -5.0 10.1

-10.9 1.4 4.5 .1

15.9 5.5 10.3

-15.6

165.6

21.3 19.1

.4 -.1 3.5 15.1

.1 10.5

.3 4.2 .1

1.6 .7

-.1

21.3 2.1 .9

14.4 4.9 9.5

1.5 2.4

1986

9.2 22.4

177.5 163.9 42.4 5.9 36.5

-28.4 18.4

131.5 67.0 23.3 47.9 -.7 -5.9

-7.3 19.0 1.9

166.8 93.2 1.7 2.7

88.8

71.6

-6.6 19.2

-8.2 .3

-1.5 -4.3 -2.7

-8.7 1.4 2.2

2.7 .3

2.4

-23.8

162.5

39.7 33.4 3.6

-5.0 24.8 2.9 21.9 -.2 .1 •

1.7 .6

4.0

39.7 .9

9.8

21.4 14.1 7.2

2.8 4.8

1987 1 1986 1 I IV 1 I

U.S.-Chartered Commercial Banks

7.7 23.5

90.5 97.0 24.8 -3.1 27.9

-29.1 20.7

80.6 80.5 18.1

-15.9 1.1

-3.2

-1.0 -6.7 1.1

81.0 -19.1 -5.8 -1.2 -12.1

27.4

37.7 10.9

21.8 -.5 2.3 2.9 17.1

-1.0 1.6 .7 .1

1.1 7.4

-6.2

-25.2

99.2

Foreign

43.7 25.3

.9

— 2.9 21.6 5.1 17.8

.8 -2.1 -.1

7.5 -.5 11.3

43.7 -.6 4.4

14.1 23.5 -9.4

7.4 18.3

9.7 24.0

279.3 268.7 67.9 18.2 49.6

-104.5 25.4

279.9 96.1 11.4

189.8 2.3

-19.7

-6.7 35.6

-18.2

288.8 158.9 -4.2 3.0

160.1

51.4

-3.4 -26.9

29.0 -.7 3.5 19.2 7.1

-11.0 1.4 1.6 -.1

88.0 1.3

86.7

-4.7

281.6

Banklns Offices

54.1 58.0 3.4

-4.8 49.8 6.7

41.3 -.3 2.0

-3.5 2.6

-3.0

54.1 3.1

22.0

39.1 33.2 5.9

-.9 -9.2

9.2 25.3

-120.8 -96.8 -9.8 -49.2 39.4

-15.3 25.3

-97.0 75.4 6.6

-176.1 -4.8 1.9

1.4 -31.4

5.9

-89.6 -130.6 -38.7 -1.2 -90.7

4.8

25.0 39.3

36.1 20.2 3.4

-28.8 41.3

2.8 1.5 1.5 .1

-70.0 5.0

-75.0

15.1

-97.2

in U.S.

55.4 40.3 3.3

-5.4 31.6 -1.3 34.7 -.1

-1.8 •

-1.1 -1.5 17.7

55.4 -3.9 9.7

36.8 9.0

27.8

2.2 10.5

1987 II

6.6 25.2

197.2 206.6 31.5 8.2 23.3

-4.1 12.3

166.8 93.6 16.3 48.6 4.1 4.3

-2.2 -5.7 -1.5

154.9 62.2 47.4

.2 14.6

30.2

63.6 11.8

-24.3 -13.6 -3.5 -26.3 19.0

-1.1 1.6 .5 •

10.5 5.4 5.1

-60.9

200.1

25.3 19.3

M

-7.5 11.8 5.7 9.8

-1.3 -2.4

25.6 2.3

-21.8

25.3 -.6 .7

-2.8 -27.1 24.4

22.3 5.6

III

6.9 25.0

181.8 146.3 39.8 29.8 10.0

-26.9 15.3

118.0 63.9 28.9 17.8 -4.7 12.1

-11.8 14.9 32.4

241.4 88.8 17.8 -5.3 76.3

38.7

8.7 .6

132.3 -9.5 1.3

94.8 45.7

-14.1 1.6

.1 -15.4 8.9

-24.2

41.5

122.4

30.6 25.0 2.3

--2.5 25.3 5.8 11.6 2.9 4.9

• 2.8 -.4 3.2

30.6 2.2 5.7

11.4 77.0

-65.6

-5.5 17.0

| IV 1

8.1 18.6

103.7 132.1 37.8 -1.1 38.8

-70.2 29.9

134.6 89.0 20.7 45.9 10.0

-30.9

8.4 -4.4 -32.3

17.5 -96.9 -49.8

1.6 -48.8

35.8

53.3 -8.0

-56.8 1.1 7.8

-28.2 -37.6

8.3 1.6 .6 .1

79.5 10.1 69.4

-96.7

171.4

63.3 16.7 -2.1

-1.3 17.9 10.2 14.8 1.9

-9.0 -.4

2.8 -2.2 45.9

63.3 -.2 1.6

11.1 35.3

-24.2

10.7 40.0

1988 I

9.1 20.8

213.7 213.1 55.5 49.7 5.8

16.2 32.2

109.2 60.4 21.0 13.2

-19.5 34.1

-10.5 -18.0 29.1

162.7 62.3 18.7 -.3 43.9

116.5

34.7 68.1

-55.2 2.3

-1.9 -58.2

2.7

3.9 1.6

13.6 .1

-83.0 6.7

-89.7

-62.7

168.4

17.8 33.6 5.9

-3.3 24.2 3.4 18.3 -.1 2.6 .3

-2.5 2.5

-15.9

17.8 -3.9 8.7

16.6 -49.6 66.2

-17.3 13.6

Current surplus Fixed nonres. investment

Net acq. of financial assets Total bank credit

U.S. government securities Treasury issues Agency issues

Tax-exempt obligations Corporate bonds

Total loans Mortgages Consumer credit Bank loans n.e.c. Open-market paper Security credit

Cust. liabs. on acceptances Vault cash & res. at F.R. Miscellaneous assets

Net increase In liabilities Checkable deposits

U.S. government Foreign Private domestic

Small tlme8ssvings deposits

Large time deposits Fed. funds and security RPs

Net Interbank liabilities Federal Reserve float Borrowing at F.R. banks To domestic banking To foreign banks

Acceptance liabilities Corporate equities Corporate bonds Profit taxes payable Miscellaneous liabilities

lnv. by dom. affiliates Other

Discrepancy

Memot Credit mkt. funds adv.

Net acq. of financial assets Total bank credit

U.S. government securities Tax-exempt obligations Corporate bonds Total loans Mortgages Bank loans n.e.c. Open-market paper Security credit

Corporate equities

Cust. liabs. on acceptances Member bank reserves Miscellaneous assets

Net Increase in liabilities Demand deposits Time deposits

Net interbank liabilities To foreign banks To domestic banks

Acceptance liabilities Miscellaneous liabilities

1 2

3 4 5 6 7

8 9

10 11 12 13 14 15

16 17 18

19 20 21 22 23

24

25 26

27 28 29 30 31

32 33 34 35 36 37 38

39

40

1 2 3 4 5 6 7 8 9 10 11

12 13 14

15 16 17

18 19 20

21 22

BILLIONS OF DOLLARS. LATEST QUARTER BASED ON INCOMPLETE INFORMATION.

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1988-06-07 | 1st Quarter 1988

Page 14: 35976_1985-1989

SEPTEMBER 30, 1988 Commercial Banking Subsectors

20 Subsector Statements for Component Groups in Commercial Banking

UNADJUSTED NET FLOWS(S MILL)

Commercial Banking Subsectors

UNADJUSTED NET FLOWS($ MILL)

1 Current surplus 2 Fixed nonres. investment

3 Net acq. of financial assets 4 Total bank credit 5 U.S. government securities 6 Treasury issues 7 Agency issues

8 Tax-exempt obligations 9 Corporate bonds

10 Total loans 11 Mortgages 12 Consumer credit 13 Bank loans n.e.c. 14 Open-market paper 15 Security credit

16 Cust. liabs. on acceptances 17 Vault cash a res. at F.R. 18 Miscellaneous assets

19 Net increase in liabilities 20 Checkable deposits 21 U.S. government 22 Foreign 23 Private domestic

24 Small time&savings deposits

25 Large time deposits 26 Fed. funds and security RPs

27 Net interbank liabilities 28 Federal Reserve float 29 Borrowing at F.R. banks 30 To domestic banking 31 To foreign banks

32 Acceptance liabilities 33 Corporate equities 34 Corporate bonds 35 Profit taxes payable 36 Miscellaneous liabilities 37 Inv. by dom. affiliates 38 Other

39 Discrepancy

40 Memo: Credit mkt. funds adv.

1 Net acq. of financial assets 2 Total bank credit 3 U.S. government securities 4 Tax-exempt obligations 5 Corporate bonds 6 Total loans 7 Mortgages 8 Bank loans n.e.c. 9 Open-market paper 10 Security credit 11 Corporate equities

12 Cust. liabs. on acceptances 13 Member bank reserves 14 Miscellaneous assets

15 Net Increase in liabilities 16 Demand deposits 17 Time deposits 18 Fed. funds and security RPs

19 Net interbank liabilities 20 To foreign banks 21 To domestic banks

22 23

Acceptance liabilities Miscellaneous liabilities

I

4,817 6,761

-29,929 -28,223

; 4,208 -5,555 9,763

-10,789 6,157

-27,799 17,366 -3,922

-37,834 -1,520 -1,889

236 -10,737 8,795

-21,369 -71,018 -18,831 -1.123 -51,064

1,255

3,301 15.721

9,006 3,980

22 -5,272 10,276

351 369 376 18

19,252 7,161 12.091

6,616

-26,098

4,829 6,811

i 1,314

-1,357 4,132 -321 5,970 -22

-1,495 8

-855 -373 -754

4,829 -792 -14

-1,059

7,025 2,249 4,776

-162 -169

1987 II

3,727 6,848

32,417 44,256 4,897 -24

4,921

-6,957 4,219

42,097 23,711 5,912 9,477 551

2.446

-1.051 -3,162 -7.626

32,566 36,938 22,275

240 14,423

6,324

11,380 -5,896

-5,724 -3,662 -615

-5,851 4,404

-1.192 400 124 -8

-9.780 3,765

-13,545

-2,972

40.759

9.684 3,162 -695

— 1.881 1.971 1,423 2,064 -336

-1,180 5

6,492 565

-535

9,684 126

1,529 1,341

-584 -7,194 6.610

5,592 1,680

III

3,671 7.004

37,622 37.833 10,279 5.604 4.675

-5.583 3.348

29,789 18,663 9,502 1,076

-1,239 1,787

-2,033 3.494

-1,672

49,584 -2,761 2,051

-2,536 -2,276

4.764

5,827 -580

35,956 -1,331

969 23,716 12,602

-2,051 400

4 23

8,002 3,224 4,778

8,629

34,013

6,106 7,281

903

--620 7,007 1,458 3,322

732 1.495

-9

1.241 -97

-2.319

6.106 366 785

-169

4,162 18,972

-14,810

-61 1,023

IV

U

3,323 7,080

50,364 43,175 5,451

-3,084 8,535

-5,776 6,983

36,517 21,043 6,848 10,818 3,326

-5,518

1,802 3,748 1,639

27,440 17,708

-11,331 2,272

26,767

15,010

17,145 3,400

-19,136 563

1,874 -11,407 -10,166

1,878 400 162 20

-9,147 382

-9,529

-26,681

50,495

1 1988 1 I

.S.-Char

5,789 5,985

12,332 19.649 7.022 502

6.520

-7,272 6,371

13,528 11,015

857 1,487

-2,951 3,120

-4.073 -4,739 1,495

10,111 -19,367

1,876 -1,507 -19,736

24,958

5,061 26,547

-17,575 -513

-1,504 -14,340 -1,218

-4,239 412

-107 34

-5,613 -2,644 -2,969

-2,417

12,456

II

tered Commercial

4,703 7,589

45,639 54,807 6,964 2,113 4,851

-6,383 10,789

43,437 18,061 8,355 19,329 -1,909

-399

1,763 -1,050 -9,881

57,371 20,419 9,784 1,366 9,269

16,685

1,877 1,645

3,827 -39 153

-8.067 11.780

1.733 411 121 42

10,611 6,276 4.335

8.846

56.969

Foreign Banking Offices in

23,035 8,082 -654

-321

8,509 2,543 6,399 466

-899 -94

643 -555

14,865

23,035 -329 2,136

-1,817

5,225 9,510

-4,285

2,069 15,751

-1,493 4,327 1,074

-318

2,928 1,227 796

-230 1.135

7

-2,465 -16

-3,339

-1,493 632

-no 1,969

2,192 -12,550 14,742

-1,903 -4,273

6.976 10,769

449

--1,053 11,310

755 10,356

-38 237 63

-1,176 -322

-2,295

6.976 85

1,919 1,654

4,376 2,387 1,989

-1,775 717

1978

Banks

5.2 6.0

121.5 106.4 0.1

-6.7 6.8

9.4 -.6

97.5 35.2 26.2 41.4 -2.3 -3.0

-.4 5.3 10.2

121.5 22.9 6.8 N

16.2

13.2

42.1 22.5

-.6 2.7 0.9

-6.3 2.1

-.4 1.1 0.2 0.1

20.3 4.8 15.5

-.9

109.0

U.S.

21.8 19.8 0.5 -.1 0.1 19.3

K

18.1 1.0 0.1

" -.3 0.6 1.7

21.8 2.5 6.4

-10.4 3.4 7.1

-.3 2.7

BILLIONS OF DOLLARS 1979

6.0 6.8

111.5 105.8 7.4 -.2 7.6

9.7 -.3

89.1 29.8 19.9 38.6 1.6 -.8

6.0 1.6

-2.0

109.3 25.6 0.4 3.4

21.8

29.5

10.2 17.0

7.3 0.3 0.3

-7.7 14.5

7.1 1.3 0.2 0.5 10.7 5.4 5.3

-3.0

112.7

16.5 15.2 0.5 0.1 0.1 14.5 0.8 13.2 0.6 K •

1.5 H

-.2

16.5 0.8 3.6

-10.8 5.8 5.0

1.8 -.5

1980

4.1 6.3

92.8 82.9 25.0 15.3 9.7

13.2 0.5

44.3 16.1 -6.2 32.2 1.0 1.2

5.8S -1.2 5.2

92.0 10.7 -2.6 -.2 13.4

44.8

39.3 20.5

-39.9 -2.3 0.4

-14.3 -23.6

6.2 0.4 0.2 -.5 10.4 6.9 3.5

-2.9

87.6

18.1 18.0 0.5 0.2 H

17.2 1.3

15.5 0.8 -.4

" 1.5 0.2

-1.5

18.1 -5.6 7.9

-9.8 -.8 10.7

1.9 4.1

1981

6.0 5.5

99.0 91.4 11.4 1.8 9.6

5.7

* 74.3 19.7 4.0

46.1 -.2 4.7

8.2 -4.0 3.4

116.9 14.8 -1.1 -3.0 18.9

40.1

43.9 14.8

-17.8 -2.7 -.2

-8.5 -6.4

8.5 0.5 -.1 -.4 12.6 7.8 4.8

18.4

95.0

10.6 10.0 0.6 -.1 0.3 9.2 1.7 5.8 1.0 0.6 -.1

3.0 0.6

-3.0

10.6. -6.1 7.6

-4.5

-8.4 13.0

3.2 1.4

1982

6.1 1 6.6 2

111.3 3 104.2 4 26.7 5 19.4 6 7.3 7

4.6 8 1.7 9

71.2 10 15.4 11 6.7 12

47.6 13 1.0 14 0.5 15

7.0 16 1.8 17

-1.7 18

117.6 19 20.9 20 6.1 21

-2.2 22 17.1 23

96.4 24

2.3 25 9.2 26

-26.1 27 1.0 28 -.9 29

-2.7 30 -23.5 31

9.5 32 0.6 33 0.6 34 -.1 35 4.4 36 13.2 37 -8.8 38

5.9 39

110.7 40

7.8 1 1.0 2 0,8 3 -.1 4 0.1 5 0.1 6 1.1 7 0.2 8 -.7 9 -.5 10 « 11

0.8 12 0.3 13 5.7 14

7.8 15 -1.7 16 10.7 17 - 18

-7.7 19 -10.0 20

2.3 21

1.6 22 4.9 2Z

LATEST QUARTER BASED ON INCOMPLETE INFORMATION.

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1988-09-30 | 2nd Quarter 1988 and Annual Revisions

Page 15: 35976_1985-1989

DECEMBER 2. 1988 Commercial Bankin9 Subsectors

20 Subsector Statements for Component Groups in Commercial Bankin9

UNADJUSTED NET FLOWS. $ MILLIONS

Commercial Banking Subsectors

UNADJUSTED NET FLOWS. $ MILLIONS

1 2

3 4 5 6 7

8 9

10 11 12 13 14 15

16 17 18

19 20 21 22 23

24

25 26

27 28 29 30 31

32 33 34 35 36 37 38

39

40

1 2 3 4 5 6 7 8 9 10 11

12 IS 14

15 16 17 18

19 20 21

22 23

Current surplus Fixed nonres. Investment

Net acq. of financial assets Total bank credit

U.S. government securities Treasury issues A9ency issues

Tax-exempt obligations Corporate bonds

Total loans Mortgages Consumer credit Bank loans n.e.c. Open-market paper Security credit

Cust. llabs. on acceptances Vault cash 8 res. at F.R. Miscellaneous assets

Net increase in liabilities Checkable deposits

U.S. government Foreign Private domestic

Small time&savlngs deposits

Large time deposits Fed. funds and security RPs

Net interbank liabilities Federal Reserve float Borrowing at F.R. banks To domestic banking To foreign banks

Acceptance liabilities Corporate equities Corporate bonds Profit taxes payable Miscellaneous liabilities

Inv. by dom. affiliates Other

Discrepancy

Memo: Credit mkt. funds adv.

Net acq. of financial assets Total bank credit

U.S. government securities Tax-exempt obligations Corporate bonds Total loans

Mortgages Bank loans n.e.c. Open-market paper Security credit

Corporate equities

Cust. llabs. on acceptances Member bank reserves Miscellaneous assets

Net increase in liabilities Checkable deposits Time deposits Fed. funds and sec RPs (net)

Net interbank liabilities To foreign banks To domestic banks

Acceptance liabilities Miscellaneous liabilities

1 1 II

3.727 6.580

32.417 44.256 4.897 -24

4.921

-6.957 4.219

42.097 23.711 5.912 9.477 551

2.446

-1.051 -3.162 -7.626

30.734 36.938 22.275

240 14.423

6.285

11.380 -5.857

-7.556 -3.662

-615 -7.683 4.404

-1.192 400 124 -8

-9.780 3.765

-13.545

-4.536

40.759

9.684 3.162 -695

-1.881 1.971 1.423 2.064 -336

-1.180 5

6.492 565

-535

9.684 126

1.529 1.341

-584 -7.194 6.610

5.592 1.680

1987 III

3.671 6.736

37.622 37.833 10,279 5.604 4.675

-5.583 3.348

29.789 18.663 9.502 1.076

-1,239 1.787

-2.033 3,494

-1.672

45.869 -2.761 2,051

-2,536 -2.276

4.803

5.827 -619

32.241 -1.331

969 20.001 12.602

-2,051 400

4 23

8,002 3,224 4,778

5.182

34.013

6.106 7.281

903

— -620 7.007 1.458 3.322

732 1.495

-9

1.241 -97

-2.319

6.106 366 785

-169

4,162 18.972

-14,810

-61 1,023

IV

3,323 6,812

50.364 43,175 ^.*51 -3.084 8,535

-5,776 6,983

36.517 21.043 6.848 10.818 3,326

-5,518

1,802 3,748 1.639

30.858 17.708

-11.331 1,937

27,102

15,010

17,145 3,400

-15,718 563

1,874 -7,989 -10,166

1,878 400 162 20

-9,147 382

-9,529

-22,995

50,495

23.035 8,082 -654

-321 8.509 2,543 6.399 466

-899 -94

643 -555

14.865

23.035 -329 2.136

-1.817

5.225 9.510

-4.285

2.069 15.751

1 1 1

U

5.789 6.744

12.332 19,649 7,022 502

6.520

-7,272 6.371

13.528 11.015

857 1.487

-2.951 3,120

-4,073 -4,739 1,495

10,698 -19,367

1,876 -1,160 -20,083

24.958

5.061 26.547

-16.988 -513

-1,504 -13,753 -1,218

-4,239 412

-107 34

-5,613 -2.644 -2,969

-2,589

12,456

1988 II

1 III 1

,S.-Chartered Commercial

4.703 7.440

39,850 39.657

715 -4.844 5.559

-5.407 2,800

41,549 22.141 8.160 14,077 -130

-2.699

93 200

-100

60,906 22.396 9,039 1,229

12,128

16,289

218 -835

11,885 -39 153

1,976 9,795

90 411

-305 42

10,715 6,276 4,439

18,319

42,449

4,722 7,512

31,402 33,168 7.889 501

7.388

-6.834 5,655

26,458 24.868 11,505 -3,244 -1.729 -4.942

-3,475 2,444 -735

37,120 -10,272 -1,049

-932 -8,291

12.785

20.677 7,288

8,771 1,431 -310

11.032 -3.382

-2,728 420 78 50 51

-992 1,043

2.928

34.635

Foreign Banking Offices ii

-1,493 4,327 1.074

-318 2.928 1.227 796

-230 1.135

7

-2.465 -16

-3.339

-1.493 632

-no 1.969

2.192 -12.550 14*742

-1.903 -4.273

20.477 11.613

244

--78 11.447 2.570 9,028 -82 -69

-1,564 -841

8.141

20.477 658

-1,046 4.338

6.559 2,929 3.630

1.030 8.938

-1.874 558

-186

--516 1.215 377 858 369

-389 45

1.485 204

-4.121

-1.874 391 479

1.263

-6.813 -1.945 -4,868

818 1,988

1978

Banks

5.2 6.0

121.5 106.4

.1 -6.7 6.8

9.4 -.6

97.5 35.2 26.2 41.4 -2.3 -3.0

-.4 5.3 10.2

122.2 22.9 6.8

• 16.2

13.2

42.1 22.5

.1 2.7 .9

-5.6 2.1

-.4 1.1 .2 .1

20.3 4.8 15.5

-.2

109.0

n U.S.

21.8 19.8

.5 -.1 .1

19.3 •

18.1 1.0 .1 M

-.3 .6

1.7

21.8 2.5 6.4

-10.4 3.4 7.1

-.3 2.7

ANNUAL 1 1979

6.0 6.8

111.5 105.8 7.4 -.2 7.6

9.7 -.3

89.1 29.8 19.9 38.6 1.6 -.8

6.0 1.6

-2.0

108.6 25.6

.4 3.4

21.8

29.5

10.2 17.0

6.6 .3 .3

-8.4 14.5

7.1 1.3 .2 .5

10.7 5.4 5.3

-3.7

112.7

16.5 15.2

.5

.1

.1 14.5

.8 13.2

.6

« K

1.5

« -.2

16.5 .8

3.6

-10.8 5.8 5.0

1.8 -.5

FLOWS, $ 1980

4.1 6.3

92.8 82.9 25.0 15.3 9.7

13.2 .5

44.3 16.1 -6.2 32.2 1.0 1.2

5.8 -1.2 5.2

92.1 10.7 -2.6 -.2 13<4

44.8

39.3 20.5

-39.8 -2.3

.4 -14.2 -23.6

6.2 .4 .2

-.5 10.4 6.9 3.5

-2.9

87.6

18.1 18.0

.5

.2

« 17.2 1.3

15.5 .8

-.4 M

1.5 .2

-1.5

18.1 -5.6 7.9

-9.8 -.8 10.7

1.9 4.1

BILLIONS 1981

6.0 5.5

99.0 91.4 11.4 1.8 9.6

5.7 •

74.3 19.7 4.0

46.1 _ #2

4 ^

8.2 -4.0 3.4

114.4 14.8 -1.1 -3.0 18.9

40.1

43.9 14.8

-20.3 -2.7 -.2

-11.0 -6.4

8.5 .5

-.1 -.4 12.6 7.8 4.8

15.8

95.0

10. $ 10 0

.6 -.1 .3

9.2 1.7 5.8 1.0 .6

-.1

3.0 .6

-3.0

10.6 -6.1 7.6

-4.5

-8.4 13.0

3.2 1.4

1982

6.1 1 6.6 2

111.3 3 104.2 4 26.7 5 19.4 6 7.3 7

4.6 8 1.7 9

71.2 10 15.4 11 6.7 12

47.6 13 1.0 14 .5 15

7.0 16 1.8 17

-1.7 18

117.8 19 20.9 20 6.1 21

-2.2 22 17.1 23

96.4 24

2.3 25 9.2 26

-26.0 27 1.0 28 -.9 29

-2.5 30 -23.5 31

9.5 32 .6 33 .6 34

-.1 35 4.4 36 13.2 37 -8.8 38

6.0 39

110.7 40

7.8 1 1.0 2 .8 3

-.1 4 .1 5 .1 6

1.1 7 .2 8

-.7 9 -.5 10

> 11

.8 12

.3 13 5.7 14

7.8 15 -1.7 16 10.7 17 - 18

-7.7 19 -10.0 20

2.3 21

1.6 22 4.9 23

LATEST QUARTER BASED ON INCOMPLETE INFORMATION.

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1988-12-02 | 3rd Quarter 1988

Page 16: 35976_1985-1989

MARCH 10, 1989 Commercial Banking Subsectors

20 Subsector Statements for Component Groups in Commercial Bankin9

UNADJUSTED NET FLOWS, $ MILLIONS

Commercial Banking Subsectors

UNADJUSTED NET FLOWS, $ MILLIONS

I 1987 I 1988 I I III IV I I II III IV I

ANNUAL FLOWS, $ BILLIONS 1979 1980 1981 1982 1983

1 Current surplus 2 Fixed nonres. investment

3 Net acq. of financial assets 4 Total bank credit 5 U.S. government securities 6 Treasury issues 7 Agency Issues

8 Tax-exempt obligations 9 Corporate bonds

10 Total loans 11 Mortgages 12 Consumer credit 13 Bank loans n.e.c. 14 Open-market paper 15 Security credit

16 Cust. liabs. on acceptances 17 Vault cash 8 res. at F.R. 18 Miscellaneous assets

19 Net increase in liabilities 20 Checkable deposits 21 U.S. government 22 Foreign 23 Private domestic

24 Small time&savings deposits

25 Large time deposits 26 Fed. funds and security RPs

27 Net Interbank liabilities 28 Federal Reserve float 29 Borrowing at F.R. banks 30 To domestic banking 31 To foreign banks

32 Acceptance liabilities 33 Corporate equities 34 Corporate bonds 35 Profit taxes payable 36 Miscellaneous liabilities 37 Inv. by dom. affiliates 38 Other

39 Discrepancy

40 Memo: Credit mkt. funds adv.

1 Net acq. of financial assets 2 Total bank credit 3 U.S. government securities 4 Tax-exempt obligations 5 Corporate bonds 6 Total loans 7 Mortgages 8 Bank loans n.e.c. 9 Open-market paper 10 Security credit 11 Corporate equities

12 Cust. liabs. on acceptances 13 Member bank reserves 14 Miscellaneous assets

15 Net increase in liabilities 16 Checkable deposits 17 Time deposits 18 Fed. funds and sec RPs (net)

19 Net interbank liabilities 20 To foreign banks 21 To domestic banks

22 23

Acceptance liabilities Miscellaneous liabilities

3,671 5,250

37,622 37,833

» 10,279 5,604 4,675

-5,583 3,348

29,789 18.663 9,502 1,076

-1,239 1,787

-2,033 3,494

-1,672

45,869 -2.761 2.051

-2.536 -2.276

4.803

5.827 -619

32,241 -1,331

969 20.001 12.602

-2,051 400 4 23

8,002 3,224 4,778

6,668

34,013

6,106 7.281

s 903

--620 7,007 1,458 3,522

732 1,495

-9

1,241 -97

-2.319

6,106 366 785

) -169

4.162 18.972

-14.810

-61 1.023

3.323 5.106

50.364 43.175 5,451

-3,084 8,535

-5,776 6.983

36.517 21.043 6.848 10.818 3,326

-5.518

1.802 3.748 1,639

30,858 17-708

-11,331 1.937

27.102

15.010

17.145 3.400

-15,718 563

1,874 -7,989

-10,166

1,878 400 162 20

-9,147 382

-9,529

-21,289

50,495

23.035 8.082 -654

-321 8.509 2.543 6.399 466

-899 -94

643 -555

14.865

23.035 -329 2.136

-1.817

5.225 9,510

-4.285

2,069 15.751

5,789 5,711

12,332 19,649 7,022 502

6,520

-7.272 6.371

13,528 12.075

857 427

-2,951 3.120

-4,073 -4,739 1,495

10,697 -19,367

1,876 -1,160

-20-083

24,958

5,061 26,547

-16,989 -513

-1,504 -13,754 -1.218

-4.239 412

-107 34

-5.613 -2.644 -2,969

-1,557

12,456

-1,493 4,327 1.074

-318 2.928 1,227 796

-230 1,135

7

-2,465 -16

-3,339

-1.493 632

-110 1.969

2.192 -12,550 14,742

-1,903 -4,273

U

4,703 5,505

39,850 39,657

715 -4,844 5,559

-5,407 2,800

41,549 21,332 8,520 14,526 -130

-2.699

93 200

-100

60.899 22.396 9,039 1,229

12,128

16,289

218 -835

11.878 -39 153

1,969 9,795

90 411

-305 42

10.715 6.276 4,439

20,247

42,449

.S.-Chartered Commercial

4,697 5,372

40,151 38.828 8,455

579 7,876

-2,999 1,407

31,965 18,546 11,106

751 1,246 316

631 -187 879

32,426 -12,869

1,595 -1,171 -13,293

12.081

21,998 6.048

810 940

-310 4,778

-4,598

544 420 25 50

3.319 -992 4,311

-8,400

39,143

4,214 5,439

54,169 38,392 5,838

451 5,387

-5,652 5,319

32,887 14-397 11,497 3,436

778 2,779

-3,914 4,691 15,000

54.817 21,915

-11,170 403

32,682

21,590

6,280 5.192

-3,319 87 16

1,144 -4,566

99 423

1 60

2,576 2,350

226

-577

31,699

Foreign Banking Offices ii

20,477 11,613

244

--78 11,447 2,570 9,028 -82 -69

-1.564 -841

8.141

20.477 658

-1,046 4.338

6.559 2,929 3,630

1.030 8.938

512 -403 372

--563 -212 2.195

-1.607 -110 -690

--934

72 1.777

512 -199 3.044

-1,348

-6,714 -1,960 -4,754

-1,250 6,979

18.875 9,281

132

--248 9,397 1,917 7,455 -570 595

-1,605 -41

8,030

18,875 248

2,834 2,455

10,962 13,922 -2,960

1,474 902

Banks

6.0 7.7

111.5 105.8 7.4 -.2 7.6

9.7 -.3

89.1 29.8 19.9 38.6 1.6 -.8

6.0 1.6

-2.0

108.6 25.6

.4 3.4

21.8

29.5

10.2 17.0

6.6 .3 .3

-8.4 14.5

7.1 1.3 .2 .5

10.7 5.4 5.3

-4.6

112.7

n U.S.

16.5 15.2

.5

.1

.1 14.5

.8 13.2

.6 K M

1.5

« -.2

16.5 .8

3.6

-10.8 5.8 5.0

1.8 -.5

4.1 7.8

92.8 82.9 25.0 15.3 9.7

13.2 .5

44.3 16.1 -6.2 32.2 1.0 1.2

5.8 -1.2 5.2

92.1 10.7 -2.6 -.2 13.4

44.8

39.3 20.5

-39.8 -2.3

.4 -14.2 -23.6

6.2 .4 .2

-.5 10.4 6.9 3.5

-4.3

87.6

18.1 18.0

.5

.2 K

17.2 1.3

15.5 .8

-.4

« 1.5 .2

-1.5

18.1 -5.6 7.9

-9.8 -.8 10.7

1.9 4.1

6.0 8.3

99.0 91.4 11.4 1.8 9.6

5.7 M

74.3 19.7 4.0

46.1 -.2 4.7

8.2 -4.0 3.4

114.4 14.8 -1.1 -3.0 18.9

40.1

43.9 14.8

-20.3 -2.7 _ #2

-11.0 -6.4

8.5 .5

-.1 -.4 12.6 7.8 4.8

13.1

95.0

10.6 10.0

.6 -.1 .3

9.2 1.7 5.8 1.0 .6

-.1

3.0 .6

-3.0

10.6 -6.1 7.6

-4.5

-8.4 13.0

3.2 1.4

6.1 8.5

111.3 104.2 26.7 19.4 7.3

4.6 1.7

71.2 15.4 6.7

47.6 1.0 .5

7.0 1.8

-1.7

117.8 20.9 6.1

-2.2 17.1

96.4

2.3 9.2

-26.0 1.0 -.9

-2.5 -23.5

9.5 .6 .6

-.1 4.4

13.2 -8.8

4.0

110.7

7.8 1.0 .8

-.1 .1 .1

1.1 .2

-.7 -.5

« .8 .3

5.7

7.8 -1.7 10.7

--7.7

-10.0 2.3

1.6 4.9

7.1 1 9.7 2

131.3 3 133.9 4 44.2 5 43.5 6

.7 7

3.8 8 3.6 9

82.3 10 29.0 11 22.7 12 27.5 13 1.1 14 2.0 15

4.6 16 -2.9 17 -4.3 18

144.7 19 15.6 20 -5.3 21 1.4 22

19.5 23

130.8 24

-38.7 25 11.3 26

8.2 27 -1.2 28

.2 29 1.2 30 7.9 31

3.0 32 .8 33

-.2 34 -.1 35 14.0 36 12.6 37 1.4 38

10.8 39

136.5 40

1.3 1 1.9 2 1.7 3 -.1 4 .4 5

-.1 6 .2 7

-.4 8 -.4 9 .5 10 * 11

2.2 12 -.7 13 -2.2 14

1.3 15 .3 16

-9.6 17 3.5 18

3.9 19 7.7 20

-3.8 21

2.2 22 1.0 23

LATEST QUARTER BASED ON INCOMPLETE INFORMATION.

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1989-03-07 | 4th Quarter 1988

Page 17: 35976_1985-1989

JUNE 2, 1989 Commercial Bankin9 Subsectors

20 UNADJUSTED NET FLOWS, $ MILLIONS

Subsector Statements for Component Groups in Commercial Bankin9

Commercial Banking Subsectors

UNADJUSTED NET FLOWS. $ MILLIONS

I 1987 I I IV I I

1988 II III

I 1989 IV I I

ANNUAL FLOWS, $ BILLIONS 1979 1980 1981 1982 1983

U.S.-Chartered Commercial Banks

1 Current surplus 2 Fixed nonres. investment

3 Net acq. of financial assets 4 Total bank credit 5 U.S. government securities 6 Treasury issues 7 Agency issues

8 Tax-exempt obligations 9 Corporate bonds

10 Total loans 11 Mortgages 12 Consumer credit 13 Bank loans n.e.c. 14 Open-market paper 15 Security credit

16 Cust. liabs. on acceptances 17 Vault cash S res. at F.R. 18 Miscellaneous assets

19 Net increase in liabilities 20 Checkable deposits 21 U.S. government 22 Foreign 23 Private domestic

24 Small timeSsavings deposits

25 Large time deposits 26 Fed. funds and security RPs

27 Net interbank liabilities 28 Federal Reserve float 29 Borrowing at F.R. banks 30 To domestic banking 31 To foreign banks

32 Acceptance liabilities 33 Corporate equities 34 Corporate bonds 35 Profit taxes payable 36 Miscellaneous liabilities 37 Inv. by dom. affiliates 38 Other

39 Discrepancy

40 Memo: Credit mkt. funds adv.

3,323 5.106

50,364 43,175 5,451

-3,084 8,535

-5.776 6,983

36,517 21,246 9,165 8,298 3,326

-5,518

1,802 3,748 1,639

30,858 17.708 -11,331 1,937

27.102

15,010

17,145 3,400

-15,718 563

1,874 -7.989 -10.166

1.878 400 162 20

-9.147 382

-9,529

-21,289

50.495

5,789 5.711

12.332 19,649 7,022 502

6,520

-7,272 6,371

13.528 12.077 1,211

71 -2,951 3,120

-4,073 -4,739 1,495

10,697 -19,367

1,876 -1,160

-20,083

24,958

5,061 26,547

-16,989 -513

-1.504 -13,754 -1,218

-4,239 412

-107 34

-5,613 -2,644 -2,969

-1,557

12,456

4,703 5,505

39,850 39,657

715 -4,844 5,559

-5,407 2,800

41,549 21,120 9,624 13,634 -130

-2,699

93 200

-100

59,898 22,396 9.039 1,229

12,128

16,289

218 -835

11,878 -39 153

1,969 9.795

90 411

-305 42

9,714 5,275 4,439

19,246

42,449

4,697 5,372

40,151 38,828 8,455

579 7.876

-2.999 1.407

31.965 18,806 10,532 1,065 1.246

316

631 -187 879

36,222 -12,869

1,595 -1,166

-13,298

12,081

21,998 6,048

812 940

-310 4,780

-4,598

544 420 25 50

7,113 2,802 4,311

-4,604

39,143

4,573 5,419

35,852 30,919 3,625

-5,679 9,304

-7,046 1,761

32,579 17,313 12,241 3,747 398

-1.120

281 6.089

-1.437

44,748 25,660 -5,175

772 30,063

20,021

7.932 -16,331

6,463 87 16

7.921 -1,561

336 423 127 60 57

1,436 -1.379

8.050

32.320

6,922 5,426

11.798 27,482 12,694 10,628 2.066

-1.420 -3,856

20,064 12,794 -2,838 1,322 1,863 6,923

-4,763 -5,464 -5,457

12,619 -50,134 -14,833

349 -35.650

18.431

14,730 13,229

-7,325 -727 284

-6,358 -524

1,572 429 51 68

21,568 621

20,947

2,317

15,796

6.0 7.7

111.5 105.8 7.4 -.2 7.6

9.7 -.3

89.1 29.8 19.9 38.6 1.6 -.8

6.0 1.6

-2.0

108.6 25.6

.4 3.4

21.8

29.5

10.2 17.0

6.6 .3 .3

-8.4 14.5

7.1 1.3 .2 .5

10.7 5.4 5.3

-4.6

112.7

4.1 7.8

92.8 82.9 25.0 15.3 9.7

13.2 .5

44.3 16.1 -6.2 32.2 1.0 1.2

5.8 -1.2 5.2

92.1 10.7 -2.6 -.2 13.4

44.8

39.3 20.5

-39.8 -2.3

.4 -14.2 -23.6

6.2 .4 .2

-.5 10.4 6.9 3.5

-4.3

87.6

6.0 8.3

99.0 91.4 11.4 1.8 9.6

5.7 K

74.3 19.7 4.0

46.1 -.2 4.7

8.2 -4.0 3.4

114.4 14.8 -1.1 -3.0 18.9

40.1

43.9 14.8

-20.3 -2.7 -.2

-11.0 -6.4

8.5 .5

-.1 -.4 12.6 7.8 4.8

13.1

95.0

6.1 8.5

111.3 104.2 26.7 19.4 7.3

4.6 1.7

71.2 15.4 6.7

47.6 1.0 .5

7.0 1.8

-1.7

117.8 20.9 6.1

-2.2 17.1

96.4

2.3 9.2

-26.0 1.0 -.9 -2.5 -23.5

9.5 .6 .6

-.1 4.4 13.2 -8.8

4.0

110.7

7.1 1 9.7 2

131.3 3 133.9 4 44.2 5 43.5 6

.7 7

3.8 8 3.6 9

82.3 10 29.0 11 22.7 12 27.5 13 1.1 14 2.0 15

4.6 16 -2.9 17 -4.3 18

144.7 19 15.6 20 -5.3 21 1.4 22

19.5 23

130.8 24

-38.7 25 11.3 26

8.2 27 -1.2 28

.2 29 1.2 30 7.9 31

3.0 32 .8 33

-.2 34 -.1 35 14.0 36 12.6 37 1.4 38

10.8 39

136.5 40

Foreign Banking Offices in U.S.

1 Net acq. of financial assets 2 Total bank credit 3 U.S. government securities 4 Tax-exempt obligations 5 Corporate bonds 6 Total loans 7 Mortgages 8 Bank loans n.e.c. 9 Open-market paper 10 Security credit 11 Corporate equities

12 Cust. liabs. on acceptances 13 Member bank reserves 14 Miscellaneous assets

15 Net increase in liabilities 16 Checkable deposits 17 Time deposits 18 Fed. funds and sec RPs (net)

19 Net interbank liabilities 20 To foreign banks 21 To domestic banks

22 Acceptance liabilities 23 Miscellaneous liabilities

23,035 8,082 -654

321 8,509 2,543 6,399 466

-899 -94

643 -555

14,865

23,035 -329 2,136

-1.817

5,225 9,510

-4.285

2.069 15.751

-1,493 4.327 1.074

318 2.928 1,227 796

-230 1.135

7

-2,465 -16

-3,339

-1,493 632

-110 1,969

2,192 -12,550 14.742

-1.903 -4,273

20,477 11,613

244

-78 11,447 2,570 9.028 -82 -69

-1,564 -841 8,141

20,477 658

-1,046 4,338

6,559 2,929 3,630

1,030 8,938

512 -403 372

-563 -212 2,195

-1,607 -110 -690

--934

72 1.777

512 -199 3,044

-1.348

-6,714 -1,960 -4,754

-1,250 6,979

12,371 12,868 -506

-248 13,630 2.268 11.602

231 -471

-8

1.480 -312

-1,665

12,371 -381 5,010 -749

3,124 14,257

-11,133

1,756 3,611

7,612 8,923

966

-1,088 9,039 1,230 7,760

134 -85

6

-707 -276 -328

7.612 -246 4.685 1,808

5,803 -4,608 10,411

-1,500 -2.938

16.5 15.2

.5

.1

.1 14.5

.8 13.2

.6 M

" 1.5

• -.2

16.5 .8

3.6

-10.8 5.8 5.0

1.8 -.5

18.1 18.0

.5

.2 H

17.2 1.3

15.5 .8

-.4

« 1.5 .2

-1.5

18.1 -5.6 7.9

-9.8 -.8 10.7

1.9 4.1

10.6 10.0

.6 -.1 .3

9.2 1.7 5.8 1.0 .6

-.1

3.0 .6

-3.0

10.6 -6.1 7.6

-4.5

-8.4 13.0

3.2 1.4

7.8 1.0 .8

-.1 .1 .1

1.1 .2

-.7 -.5

K

.8

.3 5.7

7.8 -1.7 10.7

--7.7

-10.0 2.3

1.6 4.9

1.3 1 1.9 2 1.7 3 -.1 4 .4 5

-.1 6 .2 7

-.4 8 -.4 9 .5 10 « 11

2.2 12 -.7 13 -2.2 14

1.3 15 .3 16

-9.6 17 3.5 18

3.9 19 7.7 20

-3.8 21

2.2 22 1.0 23

LATEST QUARTER BASED ON INCOMPLETE INFORMATION.

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1989-06-02 | 1st Quarter 1989

Page 18: 35976_1985-1989

SEPTEMBER 19, 1989 Commercial Banking Subsectors

20 Substctor Statements for Component Groups in Commercial Bankins

UNADJUSTED NET FLOWS, $ MILLIONS

Commercial Bankin9 Subsectors

UNADJUSTED NET FLOWS, $ MILLIONS

1 1 2

3 4 5 6 7

8 9

10 11 12 13 14 15

16 17 18

19 20 21 22 23

24

25 26

27 28 29 30 31

32 33 34 35 36 37 38

39

40

1 2 3 4 5 6 7 8 9 10 11

12 13 14

15 16 17 18

19 20 21

22 23

Current surplus Fixed nonres. investment

Net acq. of financial assets Total bank credit

U.S. government securities Treasury issues A9ency issues

Tax-exempt obligations Corporate bonds

Total loans Mort9ases Consumer credit Bank loans n.e.c. Open-market paper Security credit

Cust. liabs. on acceptances Vault cash & res. at F.R. Miscellaneous assets

Net increase in liabilities Checkable deposits

U.S. government Foreign Private domestic

Small time&savin9s deposits

Large time deposits Fed. funds and security RPs

Net interbank liabilities Federal Reserve float Borrowing at F.R. banks To domestic banking To foreign banks

Acceptance liabilities Corporate equities Corporate bonds Profit taxes payable Miscellaneous liabilities

Inv. by dom. affiliates Other

Discrepancy

Memo: Credit mkt. funds adv.

Net acq. of financial assets Total bank credit

U.S. government securities Tax-exempt obligations Corporate bonds Total loans Mortgages Bank loans n.e.c. Open-market paper Security credit

Corporate equities

Cust. liabs. on acceptances Reserves at Federal Reserve Miscellaneous assets

Net increase in liabilities Checkable deposits Time deposits Fed. funds and sec RPs (net)

Net interbank liabilities To foreign banks To domestic banks

Acceptance liabilities Miscellaneous liabilities

1 1 I

2,957 7,212

11.814 19.649 7,022 502

6,520

-7,272 6,371

13,528 12,077 1,211

71 -2,951 3,120

-4,073 -5,257 1,495

14.054 -19,367

1,876 -1,160

-20.083

24.958

5.061 26,547

-17,104 -513

-1,504 -13,869 -1,218

-4,239 412

-107 34

-2,141 828

-2,969

-2,015

12,456

-1,493 4,327 1,074

-318 2,928 1,227 796

-230 1.135

7

-2,465 -16

-3,339

-1,493 632

-110 1,969

2,192 -12,550 14.742

-1,903 -4,273

1988 II

1,715 7,152

39.999 39,652

715 -4,844 5,559

-5,407 2,800

41,544 22.316 9,624 12,433 -130

-2,699

93 349 -95

62,203 22,396 9,039 1,229

12,128

16.289

218 -835

11.561 -39 153

1,652 9,795

90 411

-305 42

12,336 7,897 4,439

16,767

42,444

20,477 11,613

244

--78 11,447 2,570 9,028 -82 -69

~ 1,564 -841

8,141

20,477 658

-1,046 4.338

6,559 2.929 3,630

1.030 8.938

III

1.126 7,438

39,743 38,831 8,455

579 7.876

-2.999 1,407

31.968 18.961 10.532

913 1,246 316

631 -595 876

41.012 -12,869

1.595 -1.166 -13.298

12.081

21.998 6,048

700 940

-310 4,668

-4,598

544 420 25 50

12,015 7,704 4,311

-5,043

39,146

512 -403 372

--563 -212 2,195

-1,607 -110 -690

--934

72 1,777

512 -199 3,044

-1,348

-6,714 -1.960 -4.754

-1,250 6.979

IV

U

862 7,629

35,563 30,916 3,625

-5,679 9,304

-7,046 1,761

32,576 16.069 12,241 4,988

398 -1,120

281 5,800

-1,434

47,814 25,660 -5,175

865 29,970

20,021

7,932 -16,331

6,120 87 16

7,578 -1,561

336 423 127 60

3,466 4,845

-1,379

5,484

32,317

1 1989 1 I II

.S.-Chartered Commercial

2.790 8.155

21,038 26,349 17,145 7,445 9,700

-3,708 -16

12,928 18,233 -7,030

550 -918 2,093

-1,362 -6,426 2.477

17,682 -51,348 -15,466

547 -36,429

20,596

15,842 28,569

-2,535 -727 284

-487 -1,605

-1,494 429

-160 68

7,715 4,882 2,833

-8,721

22,894

501 8,194

35,306 46,839 11,942 5,730 6,212

-1,967 -1,148

38,012 25,648 9,215 3,473

998 -1,322

851 1,418

-13.802

36.376 16.860 13.552 -364 3.672

12,512

3.578 8,135

2,659 -762

-1,614 3,166 1,869

1.257 434 234 78

-9,371 4,269

-13,640

-6,623

49,012

Foreign Banking Offices 1

12,371 12,868 -506

--248 13,630 2,268 11,602

231 -471

-8

1,480 -312

-1,665

12,371 -381 5,010 -749

3,124 14,257

-11.133

1,756 3.611

15,290 1,108 -158

--727 1,992 1,247 1,043

136 -434

1

-3,671 -25

17,878

15,290 206

4,074 -4,432

3,716 -4,743 8,459

-3,783 15,509

6,155 -1,923

162

--1,577 -512 719

-1,167 219

-283 4

1,728 25

6,325

6,155 -236 3,546 1,845

-10,479 -9,194 -1,285

3,123 8,356

1979

Banks

2.7 7.4

111.5 105.7 7.4 -.2 7.6

9.7 -.3

88.9 29.8 19.9 38.5 1.6 -.8

6.0 1.6

-1.8

108.6 25.6

.4 3.4

21.8

29.5

10.2 17.0

6.6 .3 .3

-8.4 14.5

7.1 1.3 .2 .5

10.7 5.4 5.3

-7.6

112.5

n U.S.

16.5 15.2

.5

.1

.1 14.5

.8 13.2

.6 K X

1.5 K

-.2

16.5 .8

3.6

-10.8 5.8 5.0

1.8 -.5

ANNUAL 1 1980

.7 8.3

92.7 82.9 25.0 15.3 9.7

13.2 .5

44.3 16.1 -6.2 32.2 1.0 1.2

5.8 -1.2 5.2

92.1 10.7 -2.6 -.2 13.4

44.8

39.3 20.5

-39.8 -2.3

.4 -14.2 -23.6

6.2 .4 .2

-.5 10.4 6.9 3.5

-8.2

87.6

18.1 18.0

.5

.2

* 17.2 1.3

15.5 .8

-.4 K

1.5 .2

-1.5

18.1 -5.6 7.9

-9.8 -.8 10.7

1.9 4.1

FLOWS, $ 1981

1.9 8.9

98.9 91.4 11.4 1.8 9.6

5.7 K

74.3 19.7 4.0

46.1 -.2 4.7

8.2 -4.1 3.4

123.1 14.8 -1.1 -3.0 18.9

40.1

43.9 14.8

-21.3 -2.7 -.2

-12.0 -6.4

8.5 .5

-.1 -.4 22.3 17.5 4.8

17.1

95.0

10.6 10.0

.6 -.1 .3

9.2 1.7 5.8 1.0 .6

-.1

3.0 .6

-3.0

10.6 -6.1 7.6

-4.5

-8.4 13.0

3.2 1.4

BILLIONS 1982

1.2 9.3

111.0 104.2 26.7 19.4 7.3

4.6 1.7

71.2 15.4 6.7

47.6 1.0 .5

7.0 1.5

-1.7

121.3 20.9 6.1

-2.2 17.1

96.4

2.3 9.2

-25.4 1.0 -.9 -2.0

-23.5

9.5 .6 .6

-.1 7.4 16.2 -8.8

2.2

110.7

7.8 1.0 .8

-.1 .1 .1

1.1 .2

-.7 -.5

K

.8

.3 5.7

7.8 -1.7 10.7

--7.7

-10.0 2.3

1.6 4.9

1983

* 1 10.5 2

130.3 3 133.9 4 44.2 5 43.5 6

.7 7

3.8 8 3.6 9

82.3 10 29.0 11 22.7 12 27.5 13 1.1 14 2.0 15

4.6 16 -3.9 17 -4.3 18

146.2 19 15.6 20 -5.3 21 1.4 22

19.5 23

130.8 24

-38.7 25 11.3 26

6.9 27 -1.2 28

.2 29 -.1 30 7.9 31

3.0 32 .8 33

-.2 34 -.1 35 16.9 36 15.5 37 1.4 38

5.3 39

136.5 40

1.3 1 1.9 2 1.7 3 -.1 4 .4 5

-.1 6 .2 7

-.4 8 -.4 9 .5 10 * 11

2.2 12 -.7 13

-2.2 14

1.3 15 .3 16

-9.6 17 3.5 18

3.9 19 7.7 20

-3.8 21

2.2 22 1.0 23

LATEST QUARTER BASED ON INCOMPLETE INFORMATION.

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1989-09-19 | 2nd Quarter 1989 and Annual Revisions

Page 19: 35976_1985-1989

DECEMBER 6, 1989 Commercial Banking Subsectors

20 Subsector Statements for Component Groups in Commercial Banking

UNADJUSTED NET FLOWS, $ MILLIONS

Commercial Banking Subsectors

UNADJUSTED NET FLOWS, $ MILLIONS

I I II III IV I 1989

I II III ANNUAL FLOWS, $ BILLIONS

1981 1982 1983 1984

U.S.-Chartered Commercial Banks

1 Current surplus 2 Fixed nonres. investment

3 Net acq. of financial assets 4 Total bank credit 5 U.S. government securities 6 Treasury issues 7 Agency issues

8 Tax-exempt obligations 9 Corporate bonds

10 Total loans 11 Mortgages 12 Consumer credit 13 Bank loans n.e.c. 14 Open-market paper 15 Security credit

16 Cust. liabs. on acceptances 17 Vault cash S res. at F.R. 18 Miscellaneous assets

19 Net increase in liabilities 20 Checkable deposits 21 U.S. government 22 Foreign 23 Private domestic

24 Small time&savings deposits

25 Large time deposits 26 Fed. funds and security RPs

27 Net interbank liabilities 28 Federal Reserve float 29 Borrowing at F.R. banks 30 To domestic banking 31 To foreign banks

32 Acceptance liabilities 33 Corporate equities 34 Corporate bonds 35 Profit taxes payable 36 Miscellaneous liabilities 37 Inv. by dom. affiliates 38 Other

39 Discrepancy

40 Memo: Credit mkt. funds adv.

2,970 7,212

11,814 19,649 7,022 502

6,520

-7,272 6,371

13,528 12,077 1,211

71 -2,951 3,120

-4,073 -5,257 1,495

14,054 -19,367 1,876

-1,160 -20,083

24,958

5,061 26,547

-17.104 -513

-1,504 -13,869 -1,218

-4,239 412

-107 34

-2,141 828

-2,969

-2,002

12,456

1,722 7,152

39,999 39,652

715 -4,844 5,559

-5,407 2,800

41,544 22,316 9,624 12,433 -130

-2,699

93 349 -95

62,203 22,396 9,039 1,229

12,128

16,289

218 -835

11,561 -39 153

1,652 9,795

90 411

-305 42

12,336 7,897 4,439

16.774

42,444

1.148 7.438

39,743 38,831 8,455

579 7,876

-2,999 1,407

31,968 18,961 10,532

913 1,246 316

631 -595 876

41,012 -12,869

1,595 -1,166 -13,298

12,081

21,998 6,048

700 940

-310 4,668

-4,598

544 420 25 50

12,015 7,704 4,311

-5,021

39,146

856 7,629

35,563 30,916 3,625

-5,679 9,304

-7,046 1,761

32,576 16,069 12,241 4,988

398 -1,120

281 5,800

-1,434

47,814 25,660 -5,175

8b5 29,970

20,021

7,932 -16,331

6,120 87 16

7,578 -1,561

336 423 127 60

3,466 4,845

-1,379

5,478

32,317

2,887 8,155

21,038 26,349 17,145 7,445 9,700

-3,708 -16

12,928 18,233 -7,030

550 -918 2,093

-1,362 -6,426 2,477

17,760 -51,348 -15,466

547 -36,429

20,596

15,842 28,569

-2,557 -727 284

-509 -1,605

-1,494 429

-160 68

7,815 4,982 2,833

-8,546

22,894

1,094 8,095

46.200 47,276

734 -13,679 14,413

-4,564 259

50,847 24,098 9,218 15,555 -649 2,625

-1,035 -122 81

50,037 25,119 20,877 -379 4,621

16,054

2,539 10,667

-13,509 -762

-1,614 -13,225

2,092

-1,003 434 771 78

8,887 5,156 3,731

-3,164

43,616

745 8,376

40,578 30,211 6,045

-3,954 9,999

-2,659 -1,499

28.324 21.318 9,333 1,619 1,927

-5-873

386 -5,195 15,176

49-391 -231

-1-974 -166 1,909

24,717

3,636 16,976

-1,409 704

-242 -2,801

930

1,260 439 63 87

3,853 5,986

-2,133

1,182

36,470

1.9 8.9

98.9 91.4 11.4 1.8 9.6

5.7 if

74.3 19.7 4.0 46.1 -.2 4.7

8.2 -4.1 3.4

123.1 14.8 -1.1 -3.0 18.9

40.1

43.9 14.8

-21.3 -2.7 -.2

-12.0 -6.4

8.5 .5

-.1 -.4 22.3 17.5 4.8

17.1

95.0

1.2 9.3

111.0 104.2 26.7 19.4 7.3

4.6 1.7

71.2 15.4 6.7

47.6 1.0 .5

7.0 1.5

-1.7

121.3 20.9 6.1

-2.2 17.1

96.4

2.3 9.2

-25.4 1.0 -.9

-2.0 -23.5

9.5 .6 .6

-.1 7.4 16.2 -8.8

2.2

110.7

K

10.5

130.3 133.9 44.2 43.5

.7

3.8 3.6

82.3 29.0 22.7 27.5 1.1 2.0

4.6 -3.9 -4.3

146.2 15.6 -5.3 1.4 19.5

130.8

-38.7 11.3

6.9 -1.2

.2 -.1 7.9

3.0 .8

-.2 -.1 16.9 15.5 1.4

5.3

136.5

-1.9 1 18.4 2

165.3 3 166.2 4 1.3 5 2.5 6

-1.2 7

12.6 8 3.2 9

149.1 10 44.4 11 45.2 12 55.4 13 -.6 14 4.7 15

-2.8 16 2.5 17 -.5 18

178.5 19 30.2 20 4.0 21 2.8 22 23.4 23

74.6 24

33.9 25 1.9 26

4.8 27 -.7 28 2.7 29 4.6 30

-1.8 31

-3.6 32 1.1 33 3.6 34 * 35

32.0 36 18.9 37 13.1 38

-7.1 39

158.7 40

Foreign Banking Offices in U.S.

1 Net acq. of financial assets 2 Total bank credit 3 U.S. government securities 4 Tax-exempt obligations 5 Corporate bonds 6 Total loans 7 Mortgages 8 Bank loans n.e.c. 9 Open-market paper 10 Security credit 11 Corporate equities

12 Cust. liabs. on acceptances 13 Reserves at Federal Reserve 14 Miscellaneous assets

15 Net increase in liabilities 16 Checkable deposits 17 Time deposits 18 Fed. funds and sec.RPs (net)

19 Net interbank liabilities 20 To foreign banks 21 To domestic banks

22 Acceptance liabilities 23 Miscellaneous liabilities

-1-493 4,327 1,074

318 2,928 1,227 796

-230 1,135

7

-2,465 -16

-3,339

-1,493 632

-110 1,969

2,192 •12,550 14,742

-1,903 -4,273

20,477 11.613

244

-78 11,447 2,570 9,028 -82 -69

1,564 -841

8,141

20,477 658

-1,046 4,338

6.559 2,929 3.630

1.030 8,938

512 -403 372

-563 -212 2,195

-1,607 -110 -690

-934 72

1.777

512 -199 3.044

-1.348

-6.714 -1-960 -4,754

-1,250 6.979

12,371 12,868 -506

-248 13,630 2,268 11,602

231 -471

-8

1,480 -312

-1,665

12,371 -381 5,010 -749

3.124 14,257

-11.133

1.756 3.611

15,290 1,108 -158

-727 1,992 1,247 1,043

136 -434

1

-3,671 -25

17,878

15,290 206

4,074 -4,432

3,716 -4,743 8,459

-3,783 15,509

27,300 2,506

408

-470 2,567 2,269 -68 194 172 1

1,834 351

22,609

27,300 -8 201

5,330

-773 -9,205 8,432

1,432 21,118

9,049 4,494 -969

-47 5,500 1,594 3,432 482 -8 10

-114 318

4,351

9,049 198

1,286 -2,485

3,331 -1,813 5,144

-49 6,768

10.6 10.0

.6 -.1 .3

9.2 1.7 5.8 1.0 .6

-.1

3.0 .6

-3.0

10.6 -6.1 7.6

-4.5

-8.4 13.0

3.2 1.4

7.8 1.0 .8

-.1 .1 .1

1.1 .2

-.7 -.5

* .8 .3

5.7

7.8 -1.7 10.7

--7.7 -10.0

2.3

1.6 4.9

1.3 1.9 1.7 -.1 .4

-.1 .2

-.4 -.4 .5 K

2.2 -.7

-2.2

1.3 .3

-9.6 3.5

3.9 7.7

-3.8

2.2 1.0

13.4 1 7.3 2 -.6 3 -.1 4 1.8 5 6.3 6 .4 7

5.7 8 -.9 9 1.1 10 -.1 11

6.6 12 .3 13

-.9 14

13.4 15 -1.0 16 4.4 17 -.3 18

3.1 19 4.6 20

-1.5 21

7.3 22 » 23

LATEST QUARTER BASED ON INCOMPLETE INFORMATION.

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1989-12-06 | 3rd Quarter 1989

Page 20: 35976_1985-1989

MARCH 7, 1990 Commercial Banking Subsectors

20 Subsector Statements for Component Groups in Commercial Bankin9

UNADJUSTED NET FLOWS, $ MILLIONS

Commercial 6ankln9 Subsectors

UNADJUSTED NET FLOWS. $ MILLIONS

I 1988 I 1989 I II III IV I I II III IV

ANNUAL FLOWS, $ BILLIONS 1982 1983 1984 1985

U.S.-Chartered Commercial Banks

1 Current surplus 2 Fixed nonres. investment

3 Net acq. of financial assets 4 Total bank credit 5 U.S. 9overnment securities 6 Treasury issues 7 A9ency issues

8 Tax-exempt obligations 9 Corporate bonds

10 Total loans 11 Mort9a9es 12 Consumer credit 13 Bank loans n.e.c. 14 Open-market paper 15 Security credit

16 Cust. llabs. on acceptances 17 Vault cash & res. at F.R. 18 Miscellaneous assets

19 Net increase in liabilities 20 Checkable deposits 21 U.S. government 22 Foreign 23 Private domestic

24 Small time&savlngs deposits

25 Large time deposits 26 Fed. funds and security RPs

27 Net interbank liabilities 28 Federal Reserve float 29 Borrowing at F.R. banks 30 To domestic banking 31 To foreign banks

32 Acceptance liabilities 33 Corporate equities 34 Corporate bonds 35 Profit taxes payable 36 Miscellaneous liabilities 37 Inv. by dom. affiliates 38 Other

39 Discrepancy

40 Memo: Credit mkt. funds adv.

1 Net acq. of financial assets 2 Total bank credit 3 U.S. government securities 4 Tax-exempt obligations 5 Corporate bonds 6 Total loans 7 Mortgages 8 Bank loans n.e.c. 9 Open-market paper

10 Security credit 11 Corporate equities

12 Cust. llabs. on acceptances 13 Reserves at Federal Reserve 14 Miscellaneous assets

15 Net increase in liabilities 16 Checkable deposits 17 Time deposits 18 Fed. funds and sec.RPs (net)

19 Net interbank liabilities 20 To foreign banks 21 To domestic banks

22 23

Acceptance liabilities Miscellaneous liabilities

1,722 7,152

39,999 39.652

; 715 -4,844 5,559

-5,407 2.800

41,544 22 ,316 9.624 12.433 -130

-2.699

93 34 9 -95

62.203 22,396 9,039 1,219

12.138

16.289

218 -835

11.561 -39 153

1.652 9,795

90 411

-305 42

12.336 7,897 4,439

16,774

42,444

20,477 11,613

5 244

— -78 11,447 2,570 9,028 -82 -69

-1,564 -841

8,141

20,477 658

-1>046 1 4.338

6.559 2,929 3.630

1.030 8,938

1,148 7,438

39,743 38,831 8,455

579 7,876

-2,999 1,407

31,968 18,961 10,532

913 1.246

316

631 -595 876

41.012 -12.869

1,595 -1,036

-13,428

12,081

21,998 6,048

700 940

-310 4,668

-4,598

544 420 25 50

12.015 7.704 4,311

-5,021

39,146

512 -403 372

--563 -212 2,195

-1.607 -110 -690

--934

72 1,777

512 -199 3,044

-1.348

-6.714 -1,960 -4.754

-1,250 6.979

856 7,629

35,563 30.916 3,625

-5,679 9,304

-7,046 1,761

32,576 16,069 12,241 4,988

398 -1,120

281 5,800

-1,434

47,814 25,660 -5,175

786 30,049

20,021

7,932 -16,331

6,120 87 16

7,5 78 -1,561

336 423 127 60

3,466 4,845

-1,379

5,478

32,317

12,371 12,868 -506

— -248 13,630 2,268 11,602

231 -471

-8

1,480 -312

-1.665

12,371 -381 5.010 -749

3.124 14.257

-11.133

1.756 3.611

2,887 8,155

21,038 26,349 17,145 7,445 9,700

-3,708 -16

12,928 18,233 -7.030

550 -918 2.093

-1,362 -6,426 2,477

17,760 -51,348 -15,466

493 -36.375

20,596

15,842 28.569

-2,557 -727 284

-509 -1,605

-1,494 429

-160 68

7,815 4,982 2,833

-8,546

22,894

1,004 8,095

46,200 47,276

734 -13,679 14,413

-4,564 259

50,847 24,098 9,218 15,555 -649 2.625

-1.035 -122 81

50.138 25.119 20.877 -1,464 5,706

16,054

2,539 10,667

-13,408 -762

-1,614 -13,124

2,092

-1,003 434 771 78

8.887 5,156 3,731

-3,063

43,616

904 8.376

40.330 37,730 5,999

-11,536 17,535

-3.275 -364

35.370 20,549 9,332 6,235 -669 -77

-1,275 -4,194 8,069

26,879 -14,560 -4,112

278 -10,726

24,944

3,810 11,611

1,883 704

-242 586 835

-1,280 439

1,458 87

-1,513 -2,023

510

-20,923

36,532

1,505 8,492

57,115 38,276 13,447 5,877 7,570

-10,427 5.622

29,634 16,848 9,857

-1,892 5,450 -629

1,660 11,415 5,764

71,304 38,394 -9,560

-574 48,528

36.603

-4,644 -2,937

3,359 592

-117 -578 3,462

3.315 444

-653 96

-2.673 6.536

-9.209

7.202

40.565

Foreign Banking Offices in U.S.

15,290 1.108 -158

— -727 1,992 1,247 1,043

136 -434

1

-3,671 -25

17,878

15.290 206

4.074 -4,432

3.716 -4.743 8.459

-3,783 15.509

27,300 2,506

408

— -470 2,567 2,269 -68 194 172 1

1,834 351

22.609

27,300 -8 201

5.330

-773 -9,205 8.432

1.432 21.118

60,472 9,699 -767

— 1,276 9,190 2,363 5,991

334 502

-2,723 -458

48,508

60,472 718

1,555 -2.488

-6,701 -1.911 -4.790

2.290 65,298

11.941 9.459 836

— 2.321 6.280 3,061 3,788 -367 -202

22

-1,325 -526 4.333

11,941 127

1,853 4.435

518 574 -56

-236 5.244

1.2 9.3

111.0 104.2 26.7 19.4 7.3

4.6 1.7

71.2 15.4 6.7

47.6 1.0 .5

7.0 1.5

-1.7

121.3 20.9 6.1

-2.2 17.1

96.4

2.3 9.2

-25.4 1.0 -.9

-2.0 -23.5

9.5 .6 .6

-.1 7.4 16.2 -8.8

2.2

110.7

7.8 1.0 .8

-.1 .1 .1

1.1 .2

-.7 -.5

« .8 .3

5.7

7.8 -1.7 10.7

--7.7

-10.0 2.3

1.6 «.9

R

10.5

130.3 133.9 44,2 43.5

.7

3.8 3.6

82.3 29.0 22.7 27.5 1.1 2.0

4.6 -3.9 -4.3

146.2 15.6 -5.3 1.4

19.5

130.8

-38.7 11.3

6.9 -1.2

.2 -.1 7.9

3.0 .8

- .2 -.1 16.9 15.5 1.4

5.3

136.5

1.3 1.9 1.7 -.1 .4

-.1 .2

-.4 -.4 .5

* 2.2 -.7

-2.2

1.3 .3

-9.6 3.5

3.9 7.7

-3.8

2.2 1.0

-1.9 18.4

165.3 166.2

1.3 2.5

-1.2

12.6 3.2

149.1 44.4 45.2 55.4 -.6 4.7

-2.8 2.5 -.5

178.5 30.2 4.0 2.8

23.4

74.6

33.9 1.9

4.8 -.7 2.7 4.6

-1.8

-3.6 1.1 3.6

V

32.0 18.9 13.1

-7.1

158.7

13.4 7.3 -.6 -.1 1.8 6.3 .4

5.7 -.9 1.1 -.1

6.6 .3

-.9

13.4 -1.0 4.4 -.3

3.1 4.6

-1.5

7.3

*

.8 1 19.0 2

191.4 3 183.4 4 4.6 5 7.5 6

-2.9 7

57.2 8 2.3 9

119.3 10 49.4 11 37.5 12 28.5 13 -2.8 14 6.8 15

-11.1 16 5.7 17 13.4 18

198.9 19 51.8 20 10.3 21

.1 22 41.4 23

80.3 24

10.8 25 26.8 26

8.0 27 .1 28

-.5 29 -1.7 30 10.1 31

-10.9 32 1.4 33 4.5 34 .1 35

26.0 36 15.6 37 10.3 38

-10.8 39

165.6 40

21.3 1 19.1 2

.4 3 -.1 4 3.5 5 15.1 6

.1 7 10.5 8

.3 9 4.2 10 .1 11

1.6 12 .7 13

-.1 14"

21.3 15 2.1 16 .9 17

4.5 18

9.9 19 4.9 20 5.0 21

1.5 22 2.4 23

LATEST QUARTER BASED ON INCOMPLETE INFORMATION.

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1990-03-07 | 4th Quarter 1989