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HTLF Bank, Securities

2023-12-31Rank
Total securities$5,485,132,00074
U.S. Government securities$1,505,064,000135
U.S. Treasury securities$32,118,000656
U.S. Government agency obligations$1,472,946,000124
Securities issued by states & political subdivisions$1,579,486,00023
Other domestic debt securities$2,379,526,00034
Privately issued residential mortgage-backed securities$1,529,129,0009
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$217,370,00042
Structured financial products - Total$0705
Other domestic debt securities - All other$118,169,00087
Foreign debt securities$0304
Equity securitiesNANA
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$2,630,276,00077
Mortgage-backed securities$3,502,403,00069
Certificates of participation in pools of residential mortgagesNANA
Issued or guaranteed by U.S.$774,105,000101
Privately issued$0241
Collaterized mortgage obligationsNANA
CMOs issued by government agencies or sponsored agencies$619,523,00077
Privately issued$1,529,129,00010
Commercial mortgage-backed securitiesNANA
Commercial mortgage pass-through securities$59,780,000152
Other commercial mortgage-backed securities$519,866,00055
Held to maturity securities (book value)$838,241,000102
Available-for-sale securities (fair market value)$4,625,835,00068
Total debt securities$5,464,076,00072
Structured notes
Amortized cost$01,104
Fair value$01,104
Trading account assets$56,634,00051
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$56,634,00050
2023-09-30Rank
Total securities$5,633,962,00073
U.S. Government securities$1,545,412,000133
U.S. Treasury securities$31,805,000695
U.S. Government agency obligations$1,513,607,000122
Securities issued by states & political subdivisions$1,427,994,00028
Other domestic debt securities$2,643,024,00031
Privately issued residential mortgage-backed securities$1,655,170,0008
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$367,404,00029
Structured financial products - Total$15,747,000203
Other domestic debt securities - All other$42,759,000206
Foreign debt securities$0307
Equity securitiesNANA
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$2,336,986,00081
Mortgage-backed securities$3,689,670,00068
Certificates of participation in pools of residential mortgagesNANA
Issued or guaranteed by U.S.$694,734,000115
Privately issued$0237
Collaterized mortgage obligationsNANA
CMOs issued by government agencies or sponsored agencies$712,126,00070
Privately issued$1,655,170,0008
Commercial mortgage-backed securitiesNANA
Commercial mortgage pass-through securities$58,518,000149
Other commercial mortgage-backed securities$569,122,00051
Held to maturity securities (book value)$755,639,000112
Available-for-sale securities (fair market value)$4,860,791,00062
Total debt securities$5,616,432,00072
Structured notes
Amortized cost$01,123
Fair value$01,123
Trading account assets$61,024,00054
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$61,024,00055
2023-06-30Rank
Total securities$04,512
U.S. Government securities$04,431
U.S. Treasury securitiesNANA
U.S. Government agency obligations$13,555,284,00033
Securities issued by states & political subdivisions$03,857
Other domestic debt securitiesNANA
Privately issued residential mortgage-backed securities$380692
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$0535
Structured financial products - Total$0680
Other domestic debt securities - All other$102,0001,867
Foreign debt securities$84,560,00030
Equity securities$1,31116
Assets held in trading accounts for TFR Reporters$03
General valuation allowances for securities for TFR Reporters$03
Memoranda:
Pledged securitiesNANA
Mortgage-backed securities$1983,907
Certificates of participation in pools of residential mortgagesNANA
Issued or guaranteed by U.S.$3,061,0002,881
Privately issued$1,000203
Collaterized mortgage obligationsNANA
CMOs issued by government agencies or sponsored agencies$02,727
Privately issued$0526
Commercial mortgage-backed securitiesNANA
Commercial mortgage pass-through securities$3,6101,545
Other commercial mortgage-backed securitiesNANA
Held to maturity securities (book value)$701,791
Available-for-sale securities (fair market value)$04,256
Total debt securitiesNANA
Structured notes
Amortized costNANA
Fair value$01,169
Trading account assets$0212
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$11,541,50088
2023-03-31Rank
Total securities$3,358,212,000108
U.S. Government securities$877,243,000218
U.S. Treasury securities$2,996,0002,257
U.S. Government agency obligations$874,247,000193
Securities issued by states & political subdivisions$829,859,00044
Other domestic debt securities$1,640,888,00043
Privately issued residential mortgage-backed securities$1,015,850,00012
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$243,656,00038
Structured financial products - Total$0681
Other domestic debt securities - All other$26,633,000351
Foreign debt securities$0283
Equity securitiesNANA
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$1,403,703,000112
Mortgage-backed securities$2,225,883,00089
Certificates of participation in pools of residential mortgagesNANA
Issued or guaranteed by U.S.$475,668,000166
Privately issued$0218
Collaterized mortgage obligationsNANA
CMOs issued by government agencies or sponsored agencies$352,036,000119
Privately issued$1,015,850,00012
Commercial mortgage-backed securitiesNANA
Commercial mortgage pass-through securities$25,193,000273
Other commercial mortgage-backed securities$357,136,00073
Held to maturity securities (book value)$408,276,000167
Available-for-sale securities (fair market value)$2,939,714,00097
Total debt securities$3,347,990,000106
Structured notes
Amortized cost$01,198
Fair value$01,198
Trading account assets$11,084,000105
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$11,084,00080
2022-12-31Rank
Total securities$3,024,194,000124
U.S. Government securities$809,749,000236
U.S. Treasury securities$2,985,0002,298
U.S. Government agency obligations$806,764,000208
Securities issued by states & political subdivisions$771,662,00054
Other domestic debt securities$1,436,789,00050
Privately issued residential mortgage-backed securities$900,554,00013
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$187,632,00044
Structured financial products - Total$0699
Other domestic debt securities - All other$21,717,000406
Foreign debt securities$0287
Equity securitiesNANA
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$623,870,000175
Mortgage-backed securities$2,015,571,000104
Certificates of participation in pools of residential mortgagesNANA
Issued or guaranteed by U.S.$439,407,000182
Privately issued$0238
Collaterized mortgage obligationsNANA
CMOs issued by government agencies or sponsored agencies$321,530,000128
Privately issued$900,554,00012
Commercial mortgage-backed securitiesNANA
Commercial mortgage pass-through securities$24,833,000271
Other commercial mortgage-backed securities$329,247,00078
Held to maturity securities (book value)$401,007,000178
Available-for-sale securities (fair market value)$2,617,193,000113
Total debt securities$3,018,198,000122
Structured notes
Amortized cost$01,229
Fair value$01,229
Trading account assets$22,244,00089
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$22,244,00076
2022-09-30Rank
Total securities$1,496,176,000207
U.S. Government securities$343,394,000450
U.S. Treasury securities$999,0002,708
U.S. Government agency obligations$342,395,000370
Securities issued by states & political subdivisions$381,044,000117
Other domestic debt securities$771,738,00067
Privately issued residential mortgage-backed securities$461,409,00021
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$69,686,00074
Structured financial products - Total$0515
Other domestic debt securities - All other$1,875,0001,445
Foreign debt securities$0295
Equity securitiesNANA
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$257,427,000329
Mortgage-backed securities$1,037,278,000159
Certificates of participation in pools of residential mortgagesNANA
Issued or guaranteed by U.S.$211,341,000306
Privately issued$0223
Collaterized mortgage obligationsNANA
CMOs issued by government agencies or sponsored agencies$112,694,000242
Privately issued$461,409,00021
Commercial mortgage-backed securitiesNANA
Commercial mortgage pass-through securities$13,066,000414
Other commercial mortgage-backed securities$238,768,00098
Held to maturity securities (book value)$230,027,000245
Available-for-sale securities (fair market value)$1,266,149,000192
Total debt securities$1,496,175,000204
Structured notes
Amortized cost$01,214
Fair value$01,214
Trading account assets$15,475,00096
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0130
2022-06-30Rank
Total securities$890,122,000298
U.S. Government securities$211,382,000690
U.S. Treasury securities$02,920
U.S. Government agency obligations$211,382,000571
Securities issued by states & political subdivisions$233,873,000201
Other domestic debt securities$444,867,00094
Privately issued residential mortgage-backed securities$275,656,00034
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$22,922,000148
Structured financial products - Total$0168
Other domestic debt securities - All other$1,926,0001,427
Foreign debt securities$0289
Equity securitiesNANA
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$137,205,000553
Mortgage-backed securities$626,042,000234
Certificates of participation in pools of residential mortgages$122,282,000486
Issued or guaranteed by U.S.$122,282,000482
Privately issued$0231
Collaterized mortgage obligations$347,570,000145
CMOs issued by government agencies or sponsored agencies$71,914,000344
Privately issued$275,656,00033
Commercial mortgage-backed securities$156,190,000180
Commercial mortgage pass-through securities$11,827,000443
Other commercial mortgage-backed securities$144,363,000135
Held to maturity securities (book value)$737,0001,587
Available-for-sale securities (fair market value)$889,385,000243
Total debt securities$890,120,000296
Structured notes
Amortized cost$01,186
Fair value$01,186
Trading account assets$397,000223
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0133
2022-03-31Rank
Total securities$889,170,000303
U.S. Government securities$246,000,000602
U.S. Treasury securities$02,666
U.S. Government agency obligations$246,000,000514
Securities issued by states & political subdivisions$257,095,000189
Other domestic debt securities$386,075,00098
Privately issued residential mortgage-backed securities$262,120,00039
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$28,728,000133
Structured financial products - Total$0169
Other domestic debt securities - All other$01,905
Foreign debt securities$0286
Equity securitiesNANA
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$173,916,000438
Mortgage-backed securities$587,193,000244
Certificates of participation in pools of residential mortgages$132,610,000461
Issued or guaranteed by U.S.$132,610,000457
Privately issued$0238
Collaterized mortgage obligations$347,199,000144
CMOs issued by government agencies or sponsored agencies$85,079,000306
Privately issued$262,120,00038
Commercial mortgage-backed securities$107,384,000222
Commercial mortgage pass-through securities$12,157,000444
Other commercial mortgage-backed securities$95,227,000159
Held to maturity securities (book value)$728,0001,491
Available-for-sale securities (fair market value)$888,442,000258
Total debt securities$889,171,000301
Structured notes
Amortized cost$01,056
Fair value$01,056
Trading account assets$800,000208
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0137
2021-12-31Rank
Total securities$970,840,000274
U.S. Government securities$280,758,000520
U.S. Treasury securities$02,212
U.S. Government agency obligations$280,758,000463
Securities issued by states & political subdivisions$306,842,000167
Other domestic debt securities$383,240,00092
Privately issued residential mortgage-backed securities$239,309,00037
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$62,421,00085
Structured financial products - Total$0173
Other domestic debt securities - All other$01,853
Foreign debt securities$0278
Equity securitiesNANA
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$249,935,000322
Mortgage-backed securities$568,757,000250
Certificates of participation in pools of residential mortgages$140,654,000444
Issued or guaranteed by U.S.$140,654,000441
Privately issued$0246
Collaterized mortgage obligations$333,744,000148
CMOs issued by government agencies or sponsored agencies$94,435,000289
Privately issued$239,309,00035
Commercial mortgage-backed securities$94,359,000242
Commercial mortgage pass-through securities$12,849,000428
Other commercial mortgage-backed securities$81,510,000186
Held to maturity securities (book value)$720,0001,403
Available-for-sale securities (fair market value)$970,120,000240
Total debt securities$970,839,000272
Structured notes
Amortized cost$01,002
Fair value$01,002
Trading account assets$2,381,000170
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0137
2021-09-30Rank
Total securities$962,341,000267
U.S. Government securities$237,338,000556
U.S. Treasury securities$02,008
U.S. Government agency obligations$237,338,000501
Securities issued by states & political subdivisions$282,665,000170
Other domestic debt securities$442,338,00079
Privately issued residential mortgage-backed securities$230,529,00030
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$128,119,00061
Structured financial products - Total$0173
Other domestic debt securities - All other$01,795
Foreign debt securities$0261
Equity securitiesNANA
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$307,242,000264
Mortgage-backed securities$551,557,000252
Certificates of participation in pools of residential mortgages$123,139,000472
Issued or guaranteed by U.S.$123,139,000470
Privately issued$0234
Collaterized mortgage obligations$329,495,000148
CMOs issued by government agencies or sponsored agencies$98,966,000281
Privately issued$230,529,00027
Commercial mortgage-backed securities$98,923,000233
Commercial mortgage pass-through securities$15,233,000378
Other commercial mortgage-backed securities$83,690,000185
Held to maturity securities (book value)$1,713,0001,219
Available-for-sale securities (fair market value)$960,628,000236
Total debt securities$962,341,000266
Structured notes
Amortized cost$0900
Fair value$0901
Trading account assets$900,000203
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0137
2021-06-30Rank
Total securities$886,608,000272
U.S. Government securities$152,720,000753
U.S. Treasury securities$01,913
U.S. Government agency obligations$152,720,000690
Securities issued by states & political subdivisions$298,170,000150
Other domestic debt securities$435,718,00075
Privately issued residential mortgage-backed securities$229,977,00026
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$136,743,00060
Structured financial products - Total$0166
Other domestic debt securities - All other$01,761
Foreign debt securities$0266
Equity securitiesNANA
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$332,413,000246
Mortgage-backed securities$451,695,000269
Certificates of participation in pools of residential mortgages$32,595,0001,204
Issued or guaranteed by U.S.$32,595,0001,177
Privately issued$0247
Collaterized mortgage obligations$334,354,000142
CMOs issued by government agencies or sponsored agencies$104,377,000263
Privately issued$229,977,00022
Commercial mortgage-backed securities$84,746,000250
Commercial mortgage pass-through securities$15,425,000367
Other commercial mortgage-backed securities$69,321,000196
Held to maturity securities (book value)$1,711,0001,211
Available-for-sale securities (fair market value)$884,897,000242
Total debt securities$886,608,000270
Structured notes
Amortized cost$0836
Fair value$0838
Trading account assets$1,210,000190
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0139
2021-03-31Rank
Total securities$918,169,000252
U.S. Government securities$160,357,000666
U.S. Treasury securities$01,631
U.S. Government agency obligations$160,357,000622
Securities issued by states & political subdivisions$275,460,000159
Other domestic debt securities$482,352,00065
Privately issued residential mortgage-backed securities$253,340,00025
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$180,679,00048
Structured financial products - Total$0158
Other domestic debt securities - All other$01,722
Foreign debt securities$0279
Equity securitiesNANA
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$255,077,000288
Mortgage-backed securities$430,364,000262
Certificates of participation in pools of residential mortgages$26,470,0001,329
Issued or guaranteed by U.S.$26,470,0001,292
Privately issued$0261
Collaterized mortgage obligations$339,272,000134
CMOs issued by government agencies or sponsored agencies$85,932,000283
Privately issued$253,340,00022
Commercial mortgage-backed securities$64,622,000283
Commercial mortgage pass-through securities$15,408,000351
Other commercial mortgage-backed securities$49,214,000227
Held to maturity securities (book value)$1,709,0001,180
Available-for-sale securities (fair market value)$916,460,000226
Total debt securities$918,171,000249
Structured notes
Amortized cost$0636
Fair value$0635
Trading account assets$1,176,000186
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0137
2020-12-31Rank
Total securities$900,522,000244
U.S. Government securities$145,884,000646
U.S. Treasury securities$01,194
U.S. Government agency obligations$145,884,000613
Securities issued by states & political subdivisions$275,132,000152
Other domestic debt securities$479,506,00059
Privately issued residential mortgage-backed securities$239,213,00024
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$190,706,00044
Structured financial products - Total$0156
Other domestic debt securities - All other$01,665
Foreign debt securities$0277
Equity securitiesNANA
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$285,888,000263
Mortgage-backed securities$410,598,000253
Certificates of participation in pools of residential mortgages$24,151,0001,284
Issued or guaranteed by U.S.$24,151,0001,259
Privately issued$0245
Collaterized mortgage obligations$320,062,000135
CMOs issued by government agencies or sponsored agencies$80,849,000289
Privately issued$239,213,00021
Commercial mortgage-backed securities$66,385,000261
Commercial mortgage pass-through securities$15,781,000324
Other commercial mortgage-backed securities$50,604,000212
Held to maturity securities (book value)$1,707,0001,177
Available-for-sale securities (fair market value)$898,815,000224
Total debt securities$900,522,000241
Structured notes
Amortized cost$0404
Fair value$0404
Trading account assets$1,679,000176
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0137
2020-09-30Rank
Total securities$862,820,000241
U.S. Government securities$146,628,000609
U.S. Treasury securities$01,216
U.S. Government agency obligations$146,628,000571
Securities issued by states & political subdivisions$231,406,000165
Other domestic debt securities$484,786,00057
Privately issued residential mortgage-backed securities$253,921,00024
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$187,065,00045
Structured financial products - Total$0152
Other domestic debt securities - All other$01,641
Foreign debt securities$0284
Equity securities$019
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$306,460,000246
Mortgage-backed securities$419,099,000236
Certificates of participation in pools of residential mortgages$33,053,0001,008
Issued or guaranteed by U.S.$33,053,000983
Privately issued$0251
Collaterized mortgage obligations$325,215,000129
CMOs issued by government agencies or sponsored agencies$71,294,000300
Privately issued$253,921,00021
Commercial mortgage-backed securities$60,831,000254
Commercial mortgage pass-through securities$15,833,000313
Other commercial mortgage-backed securities$44,998,000215
Held to maturity securities (book value)$1,705,0001,171
Available-for-sale securities (fair market value)$861,115,000221
Total debt securities$862,820,000239
Structured notes
Amortized cost$0394
Fair value$0393
Trading account assets$1,854,000181
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0131
2020-06-30Rank
Total securities$729,751,000263
U.S. Government securities$110,569,000761
U.S. Treasury securities$01,251
U.S. Government agency obligations$110,569,000721
Securities issued by states & political subdivisions$162,232,000225
Other domestic debt securities$456,950,00058
Privately issued residential mortgage-backed securities$212,635,00027
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$181,736,00040
Structured financial products - Total$0154
Other domestic debt securities - All other$01,594
Foreign debt securities$0293
Equity securities$068
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$348,342,000224
Mortgage-backed securities$359,944,000252
Certificates of participation in pools of residential mortgages$30,031,0001,035
Issued or guaranteed by U.S.$30,031,0001,006
Privately issued$0251
Collaterized mortgage obligations$250,342,000152
CMOs issued by government agencies or sponsored agencies$37,707,000478
Privately issued$212,635,00024
Commercial mortgage-backed securities$79,571,000217
Commercial mortgage pass-through securities$15,780,000305
Other commercial mortgage-backed securities$63,791,000173
Held to maturity securities (book value)$1,703,0001,176
Available-for-sale securities (fair market value)$728,048,000236
Total debt securities$729,751,000257
Structured notes
Amortized cost$0423
Fair value$0423
Trading account assets$1,947,000184
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0132
2020-03-31Rank
Total securities$570,895,000305
U.S. Government securities$123,332,000696
U.S. Treasury securities$01,297
U.S. Government agency obligations$123,332,000659
Securities issued by states & political subdivisions$138,398,000232
Other domestic debt securities$309,165,00077
Privately issued residential mortgage-backed securities$73,585,00058
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$134,263,00045
Structured financial products - Total$0155
Other domestic debt securities - All other$01,513
Foreign debt securities$0300
Equity securities$0317
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$72,428,000749
Mortgage-backed securities$271,414,000319
Certificates of participation in pools of residential mortgages$31,928,000985
Issued or guaranteed by U.S.$31,928,000959
Privately issued$0267
Collaterized mortgage obligations$121,249,000234
CMOs issued by government agencies or sponsored agencies$47,664,000411
Privately issued$73,585,00041
Commercial mortgage-backed securities$118,237,000183
Commercial mortgage pass-through securities$15,698,000288
Other commercial mortgage-backed securities$102,539,000143
Held to maturity securities (book value)$1,701,0001,186
Available-for-sale securities (fair market value)$569,194,000266
Total debt securities$570,895,000299
Structured notes
Amortized cost$0586
Fair value$0586
Trading account assets$1,944,000172
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0129
2019-12-31Rank
Total securities$595,372,000284
U.S. Government securities$152,188,000593
U.S. Treasury securities$01,363
U.S. Government agency obligations$152,188,000555
Securities issued by states & political subdivisions$120,636,000247
Other domestic debt securities$322,548,00074
Privately issued residential mortgage-backed securities$60,560,00056
Commercial mortgage-backed securities - Total$104,061,00030
Asset backed securities$157,927,00041
Structured financial products - Total$0159
Other domestic debt securities - All other$01,491
Foreign debt securities$0278
Equity securities$0374
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$80,078,000651
Mortgage-backed securities$288,022,000295
Certificates of participation in pools of residential mortgages$30,275,0001,003
Issued or guaranteed by U.S.$30,275,000981
Privately issued$0249
Collaterized mortgage obligations$137,635,000217
CMOs issued by government agencies or sponsored agencies$77,075,000303
Privately issued$60,560,00041
Commercial mortgage-backed securities$120,112,000178
Commercial mortgage pass-through securities$14,835,000305
Other commercial mortgage-backed securities$105,277,000137
Held to maturity securities (book value)$1,700,0001,234
Available-for-sale securities (fair market value)$593,672,000255
Total debt securities$595,372,000279
Structured notes
Amortized cost$0739
Fair value$0739
Trading account assets$861,000177
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0128
2019-09-30Rank
Total securities$631,812,000269
U.S. Government securities$183,580,000504
U.S. Treasury securities$01,429
U.S. Government agency obligations$183,580,000475
Securities issued by states & political subdivisions$96,955,000311
Other domestic debt securities$351,277,00070
Privately issued residential mortgage-backed securities$42,371,00077
Commercial mortgage-backed securities - Total$148,778,00029
Asset backed securities$160,128,00042
Structured financial products - Total$0154
Other domestic debt securities - All other$01,498
Foreign debt securities$0294
Equity securities$0472
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$96,261,000556
Mortgage-backed securities$343,548,000258
Certificates of participation in pools of residential mortgages$31,746,000932
Issued or guaranteed by U.S.$31,746,000905
Privately issued$0287
Collaterized mortgage obligations$136,737,000216
CMOs issued by government agencies or sponsored agencies$94,366,000260
Privately issued$42,371,00057
Commercial mortgage-backed securities$175,065,000142
Commercial mortgage pass-through securities$15,075,000310
Other commercial mortgage-backed securities$159,990,000108
Held to maturity securities (book value)$1,698,0001,294
Available-for-sale securities (fair market value)$630,114,000244
Total debt securities$631,812,000264
Structured notes
Amortized cost$0889
Fair value$0889
Trading account assets$1,140,000171
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0127
2019-06-30Rank
Total securities$515,212,000314
U.S. Government securities$164,997,000570
U.S. Treasury securities$01,467
U.S. Government agency obligations$164,997,000529
Securities issued by states & political subdivisions$58,692,000562
Other domestic debt securities$291,523,00077
Privately issued residential mortgage-backed securities$93,775,00037
Commercial mortgage-backed securities - Total$126,524,00032
Asset backed securities$70,460,00064
Structured financial products - Total$0152
Other domestic debt securities - All other$764,0001,241
Foreign debt securities$0311
Equity securities$0505
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$97,076,000565
Mortgage-backed securities$368,876,000250
Certificates of participation in pools of residential mortgages$25,934,0001,064
Issued or guaranteed by U.S.$25,934,0001,053
Privately issued$0244
Collaterized mortgage obligations$113,037,000247
CMOs issued by government agencies or sponsored agencies$19,262,000771
Privately issued$93,775,00035
Commercial mortgage-backed securities$229,905,000120
Commercial mortgage pass-through securities$31,176,000182
Other commercial mortgage-backed securities$198,729,00089
Held to maturity securities (book value)$1,697,0001,343
Available-for-sale securities (fair market value)$513,515,000275
Total debt securities$515,212,000309
Structured notes
Amortized cost$0951
Fair value$0951
Trading account assets$843,000176
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0135
2019-03-31Rank
Total securities$502,754,000322
U.S. Government securities$151,312,000609
U.S. Treasury securities$01,516
U.S. Government agency obligations$151,312,000571
Securities issued by states & political subdivisions$83,372,000385
Other domestic debt securities$268,070,00080
Privately issued residential mortgage-backed securities$79,195,00038
Commercial mortgage-backed securities - Total$109,842,00032
Asset backed securities$77,885,00058
Structured financial products - Total$0154
Other domestic debt securities - All other$1,148,0001,116
Foreign debt securities$0327
Equity securities$0520
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$80,572,000665
Mortgage-backed securities$334,194,000258
Certificates of participation in pools of residential mortgages$20,756,0001,264
Issued or guaranteed by U.S.$20,756,0001,249
Privately issued$0248
Collaterized mortgage obligations$119,335,000235
CMOs issued by government agencies or sponsored agencies$40,140,000432
Privately issued$79,195,00037
Commercial mortgage-backed securities$194,103,000120
Commercial mortgage pass-through securities$31,396,000167
Other commercial mortgage-backed securities$162,707,00096
Held to maturity securities (book value)$1,695,0001,353
Available-for-sale securities (fair market value)$501,059,000282
Total debt securities$502,754,000317
Structured notes
Amortized cost$0972
Fair value$0972
Trading account assets$345,000195
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0138
2018-12-31Rank
Total securities$556,400,000301
U.S. Government securities$158,359,000584
U.S. Treasury securities$01,513
U.S. Government agency obligations$158,359,000548
Securities issued by states & political subdivisions$85,230,000380
Other domestic debt securities$312,811,00071
Privately issued residential mortgage-backed securities$95,612,00037
Commercial mortgage-backed securities - Total$134,145,00027
Asset backed securities$80,949,00053
Structured financial products - Total$0154
Other domestic debt securities - All other$2,105,000896
Foreign debt securities$0330
Equity securities$0696
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$83,040,000653
Mortgage-backed securities$381,652,000238
Certificates of participation in pools of residential mortgages$21,288,0001,244
Issued or guaranteed by U.S.$21,288,0001,233
Privately issued$0211
Collaterized mortgage obligations$136,733,000215
CMOs issued by government agencies or sponsored agencies$41,121,000425
Privately issued$95,612,00033
Commercial mortgage-backed securities$223,631,000108
Commercial mortgage pass-through securities$29,065,000172
Other commercial mortgage-backed securities$194,566,00084
Held to maturity securities (book value)$3,765,0001,162
Available-for-sale securities (fair market value)$552,635,000263
Total debt securities$556,400,000296
Structured notes
Amortized cost$0995
Fair value$0995
Trading account assets$276,000200
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0138
2018-09-30Rank
Total securities$546,019,000303
U.S. Government securities$161,747,000573
U.S. Treasury securities$01,500
U.S. Government agency obligations$161,747,000535
Securities issued by states & political subdivisions$84,268,000384
Other domestic debt securities$300,004,00075
Privately issued residential mortgage-backed securities$86,935,00041
Commercial mortgage-backed securities - Total$125,995,00028
Asset backed securities$84,729,00051
Structured financial products - Total$0171
Other domestic debt securities - All other$2,345,000869
Foreign debt securities$0330
Equity securities$0721
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$90,275,000614
Mortgage-backed securities$367,650,000244
Certificates of participation in pools of residential mortgages$18,381,0001,390
Issued or guaranteed by U.S.$18,381,0001,384
Privately issued$0145
Collaterized mortgage obligations$135,086,000215
CMOs issued by government agencies or sponsored agencies$48,151,000380
Privately issued$86,935,00038
Commercial mortgage-backed securities$214,183,000103
Commercial mortgage pass-through securities$27,690,000183
Other commercial mortgage-backed securities$186,493,00081
Held to maturity securities (book value)$3,765,0001,183
Available-for-sale securities (fair market value)$542,254,000266
Total debt securities$546,019,000299
Structured notes
Amortized cost$0976
Fair value$0976
Trading account assets$511,000186
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$0141
2018-06-30Rank
Total securities$531,299,000311
U.S. Government securities$142,136,000644
U.S. Treasury securities$01,475
U.S. Government agency obligations$142,136,000604
Securities issued by states & political subdivisions$79,178,000436
Other domestic debt securities$309,985,00068
Privately issued residential mortgage-backed securities$85,507,00042
Commercial mortgage-backed securities - Total$122,417,00028
Asset backed securities$102,061,00048
Structured financial products - Total$0186
Other domestic debt securities - All other$01,555
Foreign debt securities$0330
Equity securities$0754
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$97,003,000596
Mortgage-backed securities$327,634,000263
Certificates of participation in pools of residential mortgages$17,311,0001,497
Issued or guaranteed by U.S.$17,311,0001,437
Privately issued$0453
Collaterized mortgage obligations$177,067,000185
CMOs issued by government agencies or sponsored agencies$91,560,000260
Privately issued$85,507,00039
Commercial mortgage-backed securities$133,256,000137
Commercial mortgage pass-through securities$9,581,000381
Other commercial mortgage-backed securities$123,675,000103
Held to maturity securities (book value)$3,765,0001,199
Available-for-sale securities (fair market value)$527,534,000272
Total debt securities$531,299,000305
Structured notes
Amortized cost$0980
Fair value$0980
Trading account assets$545,000179
Revaluation gains on off-balance sheet contracts$01
Revaluation losses on off-balance sheet contracts$545,000121
2018-03-31Rank
Total securities$524,187,000317
U.S. Government securities$167,004,000578
U.S. Treasury securities$01,426
U.S. Government agency obligations$167,004,000544
Securities issued by states & political subdivisions$79,511,000436
Other domestic debt securities$277,672,00073
Privately issued residential mortgage-backed securities$35,986,00063
Commercial mortgage-backed securities - Total$90,693,00028
Asset backed securities$150,993,00040
Structured financial products - Total$0193
Other domestic debt securities - All other$01,603
Foreign debt securities$0319
Equity securities$0789
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$100,684,000594
Mortgage-backed securities$269,789,000295
Certificates of participation in pools of residential mortgages$15,883,0001,627
Issued or guaranteed by U.S.$15,883,0001,624
Privately issued$067
Collaterized mortgage obligations$153,452,000197
CMOs issued by government agencies or sponsored agencies$117,466,000222
Privately issued$35,986,00059
Commercial mortgage-backed securities$100,454,000152
Commercial mortgage pass-through securities$9,761,000302
Other commercial mortgage-backed securities$90,693,000113
Held to maturity securities (book value)$3,765,0001,227
Available-for-sale securities (fair market value)$520,422,000279
Total debt securities$524,187,000313
Structured notes
Amortized cost$0955
Fair value$0956
Trading account assets$279,000185
Revaluation gains on off-balance sheet contracts$279,000126
Revaluation losses on off-balance sheet contracts$279,000125
2017-12-31Rank
Total securities$541,889,000298
U.S. Government securities$215,604,000455
U.S. Treasury securities$01,328
U.S. Government agency obligations$215,604,000434
Securities issued by states & political subdivisions$94,913,000369
Other domestic debt securities$231,372,00082
Privately issued residential mortgage-backed securities$37,493,00063
Commercial mortgage-backed securities - Total$80,992,00029
Asset backed securities$112,887,00043
Structured financial products - Total$0204
Other domestic debt securities - All other$01,619
Foreign debt securities$0316
Equity securities$01,064
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$116,664,000524
Mortgage-backed securities$304,815,000275
Certificates of participation in pools of residential mortgages$60,002,000638
Issued or guaranteed by U.S.$60,002,000638
Privately issued$064
Collaterized mortgage obligations$153,878,000200
CMOs issued by government agencies or sponsored agencies$116,385,000225
Privately issued$37,493,00060
Commercial mortgage-backed securities$90,935,000153
Commercial mortgage pass-through securities$9,943,000304
Other commercial mortgage-backed securities$80,992,000120
Held to maturity securities (book value)$3,766,0001,255
Available-for-sale securities (fair market value)$538,123,000267
Total debt securities$541,889,000293
Structured notes
Amortized cost$0980
Fair value$0981
Trading account assets$192,000198
Revaluation gains on off-balance sheet contracts$192,000130
Revaluation losses on off-balance sheet contracts$192,000130
2017-09-30Rank
Total securities$473,575,000340
U.S. Government securities$221,167,000443
U.S. Treasury securities$01,313
U.S. Government agency obligations$221,167,000425
Securities issued by states & political subdivisions$95,728,000370
Other domestic debt securities$156,680,00099
Privately issued residential mortgage-backed securities$30,114,00068
Commercial mortgage-backed securities - Total$43,806,00035
Asset backed securities$82,760,00056
Structured financial products - Total$0214
Other domestic debt securities - All other$01,656
Foreign debt securities$0334
Equity securities$01,090
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$143,720,000437
Mortgage-backed securities$264,112,000297
Certificates of participation in pools of residential mortgages$62,840,000613
Issued or guaranteed by U.S.$62,840,000613
Privately issued$069
Collaterized mortgage obligations$147,479,000198
CMOs issued by government agencies or sponsored agencies$117,365,000227
Privately issued$30,114,00065
Commercial mortgage-backed securities$53,793,000210
Commercial mortgage pass-through securities$9,987,000297
Other commercial mortgage-backed securities$43,806,000148
Held to maturity securities (book value)$3,765,0001,295
Available-for-sale securities (fair market value)$469,810,000293
Total debt securities$473,575,000333
Structured notes
Amortized cost$01,014
Fair value$01,015
Trading account assets$209,000203
Revaluation gains on off-balance sheet contracts$209,000130
Revaluation losses on off-balance sheet contracts$209,000131
2017-06-30Rank
Total securities$166,254,000872
U.S. Government securities$104,809,000871
U.S. Treasury securities$01,351
U.S. Government agency obligations$104,809,000832
Securities issued by states & political subdivisions$41,502,000988
Other domestic debt securities$19,943,000406
Privately issued residential mortgage-backed securities$14,396,000105
Commercial mortgage-backed securities - Total$5,547,00073
Asset backed securities$0352
Structured financial products - Total$0219
Other domestic debt securities - All other$01,687
Foreign debt securities$0346
Equity securities$01,093
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$72,721,000788
Mortgage-backed securities$113,340,000595
Certificates of participation in pools of residential mortgages$13,119,0001,926
Issued or guaranteed by U.S.$13,119,0001,925
Privately issued$067
Collaterized mortgage obligations$87,707,000289
CMOs issued by government agencies or sponsored agencies$73,311,000296
Privately issued$14,396,000100
Commercial mortgage-backed securities$12,514,000460
Commercial mortgage pass-through securities$6,967,000356
Other commercial mortgage-backed securities$5,547,000405
Held to maturity securities (book value)$3,766,0001,315
Available-for-sale securities (fair market value)$162,488,000770
Total debt securities$166,254,000862
Structured notes
Amortized cost$01,085
Fair value$01,086
Trading account assets$171,000207
Revaluation gains on off-balance sheet contracts$171,000131
Revaluation losses on off-balance sheet contracts$171,000133
2017-03-31Rank
Total securities$171,658,000858
U.S. Government securities$109,337,000852
U.S. Treasury securities$01,390
U.S. Government agency obligations$109,337,000811
Securities issued by states & political subdivisions$45,799,000908
Other domestic debt securities$16,522,000455
Privately issued residential mortgage-backed securities$13,771,000104
Commercial mortgage-backed securities - Total$2,751,00087
Asset backed securities$0358
Structured financial products - Total$0221
Other domestic debt securities - All other$01,725
Foreign debt securities$0350
Equity securities$01,112
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$76,081,000779
Mortgage-backed securities$114,037,000597
Certificates of participation in pools of residential mortgages$13,982,0001,890
Issued or guaranteed by U.S.$13,982,0001,890
Privately issued$066
Collaterized mortgage obligations$90,461,000285
CMOs issued by government agencies or sponsored agencies$76,690,000288
Privately issued$13,771,000100
Commercial mortgage-backed securities$9,594,000505
Commercial mortgage pass-through securities$6,843,000350
Other commercial mortgage-backed securities$2,751,000528
Held to maturity securities (book value)$3,766,0001,347
Available-for-sale securities (fair market value)$167,892,000767
Total debt securities$171,658,000848
Structured notes
Amortized cost$01,166
Fair value$01,167
Trading account assets$112,000211
Revaluation gains on off-balance sheet contracts$112,000129
Revaluation losses on off-balance sheet contracts$112,000131
2016-12-31Rank
Total securities$196,036,000743
U.S. Government securities$116,874,000796
U.S. Treasury securities$01,367
U.S. Government agency obligations$116,874,000762
Securities issued by states & political subdivisions$62,094,000634
Other domestic debt securities$17,068,000432
Privately issued residential mortgage-backed securities$17,068,00098
Commercial mortgage-backed securities - Total$0137
Asset backed securities$0358
Structured financial products - Total$0226
Other domestic debt securities - All other$01,733
Foreign debt securities$0347
Equity securities$01,116
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$81,191,000739
Mortgage-backed securities$118,261,000558
Certificates of participation in pools of residential mortgages$14,922,0001,848
Issued or guaranteed by U.S.$14,922,0001,846
Privately issued$071
Collaterized mortgage obligations$96,494,000275
CMOs issued by government agencies or sponsored agencies$79,426,000276
Privately issued$17,068,00094
Commercial mortgage-backed securities$6,845,000574
Commercial mortgage pass-through securities$6,845,000332
Other commercial mortgage-backed securities$0857
Held to maturity securities (book value)$3,767,0001,360
Available-for-sale securities (fair market value)$192,269,000669
Total debt securities$196,036,000732
Structured notes
Amortized cost$01,171
Fair value$01,171
Trading account assets$163,000214
Revaluation gains on off-balance sheet contracts$0145
Revaluation losses on off-balance sheet contracts$0147
2016-09-30Rank
Total securities$153,450,000937
U.S. Government securities$110,596,000826
U.S. Treasury securities$01,214
U.S. Government agency obligations$110,596,000791
Securities issued by states & political subdivisions$30,536,0001,319
Other domestic debt securities$12,318,000519
Privately issued residential mortgage-backed securities$12,318,000123
Commercial mortgage-backed securities - Total$0131
Asset backed securities$0360
Structured financial products - Total$0228
Other domestic debt securities - All other$01,742
Foreign debt securities$0338
Equity securities$01,131
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$86,677,000694
Mortgage-backed securities$107,907,000617
Certificates of participation in pools of residential mortgages$20,455,0001,541
Issued or guaranteed by U.S.$20,455,0001,541
Privately issued$067
Collaterized mortgage obligations$85,232,000295
CMOs issued by government agencies or sponsored agencies$72,914,000308
Privately issued$12,318,000118
Commercial mortgage-backed securities$2,220,000845
Commercial mortgage pass-through securities$2,220,000533
Other commercial mortgage-backed securities$0824
Held to maturity securities (book value)$3,767,0001,358
Available-for-sale securities (fair market value)$149,683,000831
Total debt securities$153,450,000924
Structured notes
Amortized cost$01,157
Fair value$01,159
Trading account assets$852,000186
Revaluation gains on off-balance sheet contracts$0144
Revaluation losses on off-balance sheet contracts$0145
2016-06-30Rank
Total securities$132,835,0001,073
U.S. Government securities$97,624,000936
U.S. Treasury securities$01,253
U.S. Government agency obligations$97,624,000890
Securities issued by states & political subdivisions$27,104,0001,473
Other domestic debt securities$8,107,000681
Privately issued residential mortgage-backed securities$7,607,000159
Commercial mortgage-backed securities - Total$0142
Asset backed securities$0370
Structured financial products - Total$0235
Other domestic debt securities - All other$500,0001,518
Foreign debt securities$0339
Equity securities$01,149
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$71,155,000839
Mortgage-backed securities$97,060,000667
Certificates of participation in pools of residential mortgages$24,165,0001,364
Issued or guaranteed by U.S.$24,165,0001,360
Privately issued$071
Collaterized mortgage obligations$72,362,000335
CMOs issued by government agencies or sponsored agencies$64,755,000331
Privately issued$7,607,000150
Commercial mortgage-backed securities$533,0001,100
Commercial mortgage pass-through securities$533,000728
Other commercial mortgage-backed securities$0798
Held to maturity securities (book value)$3,767,0001,402
Available-for-sale securities (fair market value)$129,068,000972
Total debt securities$132,835,0001,060
Structured notes
Amortized cost$01,289
Fair value$01,290
Trading account assets$953,000194
Revaluation gains on off-balance sheet contracts$0146
Revaluation losses on off-balance sheet contracts$0145
2016-03-31Rank
Total securities$131,510,0001,090
U.S. Government securities$106,640,000875
U.S. Treasury securities$01,296
U.S. Government agency obligations$106,640,000840
Securities issued by states & political subdivisions$18,951,0001,924
Other domestic debt securities$5,919,000804
Privately issued residential mortgage-backed securities$5,419,000174
Commercial mortgage-backed securities - Total$0153
Asset backed securities$0367
Structured financial products - Total$0235
Other domestic debt securities - All other$500,0001,520
Foreign debt securities$0334
Equity securities$01,159
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$50,317,0001,131
Mortgage-backed securities$103,360,000637
Certificates of participation in pools of residential mortgages$30,851,0001,150
Issued or guaranteed by U.S.$30,851,0001,149
Privately issued$066
Collaterized mortgage obligations$71,989,000344
CMOs issued by government agencies or sponsored agencies$66,570,000339
Privately issued$5,419,000167
Commercial mortgage-backed securities$520,0001,076
Commercial mortgage pass-through securities$520,000710
Other commercial mortgage-backed securities$0778
Held to maturity securities (book value)$3,768,0001,438
Available-for-sale securities (fair market value)$127,742,000982
Total debt securities$131,510,0001,077
Structured notes
Amortized cost$01,470
Fair value$01,471
Trading account assets$1,001,000180
Revaluation gains on off-balance sheet contracts$0141
Revaluation losses on off-balance sheet contracts$0143
2015-12-31Rank
Total securities$41,396,0002,785
U.S. Government securities$21,769,0002,932
U.S. Treasury securities$01,367
U.S. Government agency obligations$21,769,0002,826
Securities issued by states & political subdivisions$16,819,0002,114
Other domestic debt securities$2,808,0001,127
Privately issued residential mortgage-backed securities$2,808,000227
Commercial mortgage-backed securities - Total$0131
Asset backed securities$0376
Structured financial products - Total$0235
Other domestic debt securities - All other$01,770
Foreign debt securities$0322
Equity securities$01,170
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$13,489,0002,709
Mortgage-backed securities$20,200,0002,049
Certificates of participation in pools of residential mortgages$2,111,0003,752
Issued or guaranteed by U.S.$2,111,0003,749
Privately issued$066
Collaterized mortgage obligations$17,578,000844
CMOs issued by government agencies or sponsored agencies$14,770,000902
Privately issued$2,808,000217
Commercial mortgage-backed securities$511,0001,035
Commercial mortgage pass-through securities$511,000684
Other commercial mortgage-backed securities$0722
Held to maturity securities (book value)$3,768,0001,468
Available-for-sale securities (fair market value)$37,628,0002,692
Total debt securities$41,396,0002,765
Structured notes
Amortized cost$01,623
Fair value$01,624
Trading account assets$28,000235
Revaluation gains on off-balance sheet contracts$0142
Revaluation losses on off-balance sheet contracts$0145
2015-09-30Rank
Total securities$38,190,0002,951
U.S. Government securities$24,900,0002,770
U.S. Treasury securities$01,303
U.S. Government agency obligations$24,900,0002,683
Securities issued by states & political subdivisions$10,431,0002,780
Other domestic debt securities$2,859,0001,137
Privately issued residential mortgage-backed securities$2,859,000229
Commercial mortgage-backed securities - Total$0140
Asset backed securities$0388
Structured financial products - Total$0235
Other domestic debt securities - All other$01,789
Foreign debt securities$0326
Equity securities$01,191
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$13,258,0002,750
Mortgage-backed securities$23,246,0001,907
Certificates of participation in pools of residential mortgages$2,412,0003,708
Issued or guaranteed by U.S.$2,412,0003,706
Privately issued$065
Collaterized mortgage obligations$18,702,000825
CMOs issued by government agencies or sponsored agencies$15,843,000877
Privately issued$2,859,000220
Commercial mortgage-backed securities$2,132,000713
Commercial mortgage pass-through securities$2,132,000432
Other commercial mortgage-backed securities$0687
Held to maturity securities (book value)$3,769,0001,465
Available-for-sale securities (fair market value)$34,421,0002,885
Total debt securities$38,190,0002,927
Structured notes
Amortized cost$01,824
Fair value$01,825
Trading account assets$41,000241
Revaluation gains on off-balance sheet contracts$0148
Revaluation losses on off-balance sheet contracts$0147
2015-06-30Rank
Total securities$39,570,0002,929
U.S. Government securities$29,250,0002,595
U.S. Treasury securities$01,348
U.S. Government agency obligations$29,250,0002,508
Securities issued by states & political subdivisions$8,771,0003,000
Other domestic debt securities$1,549,0001,429
Privately issued residential mortgage-backed securities$1,549,000308
Commercial mortgage-backed securities - Total$0123
Asset backed securities$0391
Structured financial products - Total$0242
Other domestic debt securities - All other$01,813
Foreign debt securities$0330
Equity securities$01,206
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$4,124,0004,194
Mortgage-backed securities$23,866,0001,931
Certificates of participation in pools of residential mortgages$6,167,0002,980
Issued or guaranteed by U.S.$6,167,0002,977
Privately issued$067
Collaterized mortgage obligations$15,593,000977
CMOs issued by government agencies or sponsored agencies$14,044,000976
Privately issued$1,549,000292
Commercial mortgage-backed securities$2,106,000679
Commercial mortgage pass-through securities$2,106,000412
Other commercial mortgage-backed securities$0666
Held to maturity securities (book value)$3,770,0001,490
Available-for-sale securities (fair market value)$35,800,0002,876
Total debt securities$39,570,0002,908
Structured notes
Amortized cost$01,969
Fair value$01,970
Trading account assets$0255
Revaluation gains on off-balance sheet contracts$0150
Revaluation losses on off-balance sheet contracts$0151
2015-03-31Rank
Total securities$35,560,0003,207
U.S. Government securities$30,125,0002,582
U.S. Treasury securities$01,327
U.S. Government agency obligations$30,125,0002,494
Securities issued by states & political subdivisions$3,770,0003,875
Other domestic debt securities$1,665,0001,423
Privately issued residential mortgage-backed securities$1,665,000323
Commercial mortgage-backed securities - Total$0117
Asset backed securities$0401
Structured financial products - Total$0236
Other domestic debt securities - All other$01,846
Foreign debt securities$0332
Equity securities$01,216
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$3,144,0004,498
Mortgage-backed securities$24,608,0001,941
Certificates of participation in pools of residential mortgages$6,103,0003,027
Issued or guaranteed by U.S.$6,103,0003,024
Privately issued$070
Collaterized mortgage obligations$16,348,000975
CMOs issued by government agencies or sponsored agencies$14,683,000982
Privately issued$1,665,000306
Commercial mortgage-backed securities$2,157,000653
Commercial mortgage pass-through securities$2,157,000389
Other commercial mortgage-backed securities$0640
Held to maturity securities (book value)$3,770,0001,499
Available-for-sale securities (fair market value)$31,790,0003,124
Total debt securities$35,560,0003,178
Structured notes
Amortized cost$02,098
Fair value$02,100
Trading account assets$0251
Revaluation gains on off-balance sheet contracts$0145
Revaluation losses on off-balance sheet contracts$0147
2014-12-31Rank
Total securities$26,679,0003,769
U.S. Government securities$20,912,0003,262
U.S. Treasury securities$01,361
U.S. Government agency obligations$20,912,0003,158
Securities issued by states & political subdivisions$5,767,0003,504
Other domestic debt securities$02,403
Privately issued residential mortgage-backed securities$0830
Commercial mortgage-backed securities - Total$0120
Asset backed securities$0400
Structured financial products - Total$0236
Other domestic debt securities - All other$01,865
Foreign debt securities$0316
Equity securities$01,226
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$3,148,0004,558
Mortgage-backed securities$17,485,0002,374
Certificates of participation in pools of residential mortgages$6,276,0003,055
Issued or guaranteed by U.S.$6,276,0003,052
Privately issued$075
Collaterized mortgage obligations$9,067,0001,390
CMOs issued by government agencies or sponsored agencies$9,067,0001,324
Privately issued$0785
Commercial mortgage-backed securities$2,142,000644
Commercial mortgage pass-through securities$2,142,000391
Other commercial mortgage-backed securities$0605
Held to maturity securities (book value)$3,771,0001,519
Available-for-sale securities (fair market value)$22,908,0003,702
Total debt securities$26,679,0003,745
Structured notes
Amortized cost$02,200
Fair value$02,202
Trading account assets$0249
Revaluation gains on off-balance sheet contracts$0141
Revaluation losses on off-balance sheet contracts$0145
2014-09-30Rank
Total securities$32,569,0003,473
U.S. Government securities$26,808,0002,890
U.S. Treasury securities$01,381
U.S. Government agency obligations$26,808,0002,798
Securities issued by states & political subdivisions$5,761,0003,545
Other domestic debt securities$02,460
Privately issued residential mortgage-backed securities$0863
Commercial mortgage-backed securities - Total$0141
Asset backed securities$0406
Structured financial products - Total$0253
Other domestic debt securities - All other$01,894
Foreign debt securities$0309
Equity securities$01,242
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$3,152,0004,621
Mortgage-backed securities$23,354,0002,109
Certificates of participation in pools of residential mortgages$6,508,0003,097
Issued or guaranteed by U.S.$6,508,0003,095
Privately issued$073
Collaterized mortgage obligations$12,926,0001,165
CMOs issued by government agencies or sponsored agencies$12,926,0001,110
Privately issued$0821
Commercial mortgage-backed securities$3,920,000508
Commercial mortgage pass-through securities$3,920,000314
Other commercial mortgage-backed securities$0572
Held to maturity securities (book value)$3,772,0001,544
Available-for-sale securities (fair market value)$28,797,0003,397
Total debt securities$32,569,0003,445
Structured notes
Amortized cost$02,301
Fair value$02,301
Trading account assets$0245
Revaluation gains on off-balance sheet contracts$0140
Revaluation losses on off-balance sheet contracts$0145
2014-06-30Rank
Total securities$31,508,0003,595
U.S. Government securities$25,100,0003,070
U.S. Treasury securities$01,342
U.S. Government agency obligations$25,100,0002,979
Securities issued by states & political subdivisions$6,408,0003,464
Other domestic debt securities$02,520
Privately issued residential mortgage-backed securities$0882
Commercial mortgage-backed securities - Total$0128
Asset backed securities$0427
Structured financial products - Total$0259
Other domestic debt securities - All other$01,954
Foreign debt securities$0311
Equity securities$01,253
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$2,125,0004,930
Mortgage-backed securities$21,597,0002,241
Certificates of participation in pools of residential mortgages$6,584,0003,145
Issued or guaranteed by U.S.$6,584,0003,144
Privately issued$075
Collaterized mortgage obligations$11,050,0001,292
CMOs issued by government agencies or sponsored agencies$11,050,0001,229
Privately issued$0840
Commercial mortgage-backed securities$3,963,000508
Commercial mortgage pass-through securities$3,963,000318
Other commercial mortgage-backed securities$0556
Held to maturity securities (book value)$3,772,0001,556
Available-for-sale securities (fair market value)$27,736,0003,490
Total debt securities$31,508,0003,566
Structured notes
Amortized cost$02,363
Fair value$02,363
Trading account assets$0246
Revaluation gains on off-balance sheet contracts$0140
Revaluation losses on off-balance sheet contracts$0146
2014-03-31Rank
Total securities$21,603,0004,329
U.S. Government securities$15,243,0003,989
U.S. Treasury securities$01,198
U.S. Government agency obligations$15,243,0003,885
Securities issued by states & political subdivisions$6,360,0003,503
Other domestic debt securities$02,593
Privately issued residential mortgage-backed securities$0918
Commercial mortgage-backed securities - Total$0127
Asset backed securities$0444
Structured financial products - Total$0268
Other domestic debt securities - All other$02,008
Foreign debt securities$0314
Equity securities$01,272
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$2,129,0004,965
Mortgage-backed securities$15,243,0002,665
Certificates of participation in pools of residential mortgages$7,072,0003,078
Issued or guaranteed by U.S.$7,072,0003,078
Privately issued$076
Collaterized mortgage obligations$8,171,0001,496
CMOs issued by government agencies or sponsored agencies$8,171,0001,430
Privately issued$0874
Commercial mortgage-backed securities$01,020
Commercial mortgage pass-through securities$0748
Other commercial mortgage-backed securities$0525
Held to maturity securities (book value)$3,773,0001,568
Available-for-sale securities (fair market value)$17,830,0004,273
Total debt securities$21,603,0004,306
Structured notes
Amortized cost$02,410
Fair value$02,410
Trading account assets$0247
Revaluation gains on off-balance sheet contracts$0143
Revaluation losses on off-balance sheet contracts$0144
2013-12-31Rank
Total securities$24,428,0004,107
U.S. Government securities$17,007,0003,778
U.S. Treasury securities$01,131
U.S. Government agency obligations$17,007,0003,680
Securities issued by states & political subdivisions$7,421,0003,310
Other domestic debt securities$02,651
Privately issued residential mortgage-backed securities$0953
Commercial mortgage-backed securities - Total$0125
Asset backed securities$0447
Structured financial products - Total$0292
Other domestic debt securities - All other$02,056
Foreign debt securities$0320
Equity securities$01,295
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$2,133,0005,003
Mortgage-backed securities$17,007,0002,539
Certificates of participation in pools of residential mortgages$9,901,0002,672
Issued or guaranteed by U.S.$9,901,0002,671
Privately issued$081
Collaterized mortgage obligations$7,106,0001,606
CMOs issued by government agencies or sponsored agencies$7,106,0001,529
Privately issued$0906
Commercial mortgage-backed securities$0964
Commercial mortgage pass-through securities$0699
Other commercial mortgage-backed securities$0502
Held to maturity securities (book value)$3,774,0001,549
Available-for-sale securities (fair market value)$20,654,0004,042
Total debt securities$24,428,0004,073
Structured notes
Amortized cost$02,397
Fair value$02,397
Trading account assets$0246
Revaluation gains on off-balance sheet contracts$0144
Revaluation losses on off-balance sheet contracts$0140
2013-09-30Rank
Total securities$20,553,0004,438
U.S. Government securities$11,203,0004,528
U.S. Treasury securities$01,131
U.S. Government agency obligations$11,203,0004,429
Securities issued by states & political subdivisions$7,440,0003,318
Other domestic debt securities$1,910,0001,599
Privately issued residential mortgage-backed securities$1,910,000398
Commercial mortgage-backed securities - Total$0126
Asset backed securities$0459
Structured financial products - Total$0318
Other domestic debt securities - All other$02,104
Foreign debt securities$0328
Equity securities$01,315
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$2,218,0005,024
Mortgage-backed securities$13,113,0002,882
Certificates of participation in pools of residential mortgages$3,888,0003,746
Issued or guaranteed by U.S.$3,888,0003,742
Privately issued$080
Collaterized mortgage obligations$9,225,0001,433
CMOs issued by government agencies or sponsored agencies$7,315,0001,521
Privately issued$1,910,000381
Commercial mortgage-backed securities$0950
Commercial mortgage pass-through securities$0679
Other commercial mortgage-backed securities$0496
Held to maturity securities (book value)$02,651
Available-for-sale securities (fair market value)$20,553,0004,075
Total debt securities$20,553,0004,407
Structured notes
Amortized cost$02,389
Fair value$02,389
Trading account assets$0250
Revaluation gains on off-balance sheet contracts$0135
Revaluation losses on off-balance sheet contracts$0137
2013-06-30Rank
Total securities$23,057,0004,235
U.S. Government securities$13,624,0004,194
U.S. Treasury securities$01,152
U.S. Government agency obligations$13,624,0004,092
Securities issued by states & political subdivisions$7,493,0003,304
Other domestic debt securities$1,940,0001,629
Privately issued residential mortgage-backed securities$1,940,000411
Commercial mortgage-backed securities - Total$0134
Asset backed securities$0469
Structured financial products - Total$0318
Other domestic debt securities - All other$02,151
Foreign debt securities$0316
Equity securities$01,319
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$2,235,0005,037
Mortgage-backed securities$14,459,0002,775
Certificates of participation in pools of residential mortgages$5,054,0003,462
Issued or guaranteed by U.S.$5,054,0003,458
Privately issued$083
Collaterized mortgage obligations$9,405,0001,447
CMOs issued by government agencies or sponsored agencies$7,465,0001,528
Privately issued$1,940,000394
Commercial mortgage-backed securities$0927
Commercial mortgage pass-through securities$0680
Other commercial mortgage-backed securities$0456
Held to maturity securities (book value)$02,603
Available-for-sale securities (fair market value)$23,057,0003,895
Total debt securities$23,057,0004,203
Structured notes
Amortized cost$02,378
Fair value$02,378
Trading account assets$0247
Revaluation gains on off-balance sheet contracts$0131
Revaluation losses on off-balance sheet contracts$0130
2013-03-31Rank
Total securities$21,182,0004,409
U.S. Government securities$13,336,0004,269
U.S. Treasury securities$01,161
U.S. Government agency obligations$13,336,0004,161
Securities issued by states & political subdivisions$7,846,0003,215
Other domestic debt securities$02,789
Privately issued residential mortgage-backed securities$01,050
Commercial mortgage-backed securities - Total$0135
Asset backed securities$0464
Structured financial products - Total$0323
Other domestic debt securities - All other$02,120
Foreign debt securities$0322
Equity securities$01,338
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$1,255,0005,441
Mortgage-backed securities$10,102,0003,269
Certificates of participation in pools of residential mortgages$3,127,0003,988
Issued or guaranteed by U.S.$3,127,0003,983
Privately issued$083
Collaterized mortgage obligations$6,975,0001,723
CMOs issued by government agencies or sponsored agencies$6,975,0001,633
Privately issued$01,005
Commercial mortgage-backed securities$0850
Commercial mortgage pass-through securities$0638
Other commercial mortgage-backed securities$0383
Held to maturity securities (book value)$02,608
Available-for-sale securities (fair market value)$21,182,0004,083
Total debt securities$21,182,0004,383
Structured notes
Amortized cost$02,420
Fair value$02,419
Trading account assets$0241
Revaluation gains on off-balance sheet contracts$0126
Revaluation losses on off-balance sheet contracts$0128
2012-12-31Rank
Total securities$20,602,0004,429
U.S. Government securities$12,623,0004,321
U.S. Treasury securities$01,135
U.S. Government agency obligations$12,623,0004,218
Securities issued by states & political subdivisions$7,979,0003,155
Other domestic debt securities$02,785
Privately issued residential mortgage-backed securities$01,069
Commercial mortgage-backed securities - Total$0125
Asset backed securities$0438
Structured financial products - Total$0329
Other domestic debt securities - All other$02,093
Foreign debt securities$0317
Equity securities$01,323
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$1,000,0005,586
Mortgage-backed securities$9,162,0003,406
Certificates of participation in pools of residential mortgages$3,957,0003,777
Issued or guaranteed by U.S.$3,957,0003,774
Privately issued$085
Collaterized mortgage obligations$5,205,0002,009
CMOs issued by government agencies or sponsored agencies$5,205,0001,919
Privately issued$01,025
Commercial mortgage-backed securities$0744
Commercial mortgage pass-through securities$0571
Other commercial mortgage-backed securities$0317
Held to maturity securities (book value)$02,639
Available-for-sale securities (fair market value)$20,602,0004,084
Total debt securities$20,602,0004,401
Structured notes
Amortized cost$02,454
Fair value$02,454
Trading account assets$0242
Revaluation gains on off-balance sheet contracts$0124
Revaluation losses on off-balance sheet contracts$0126
2012-09-30Rank
Total securities$18,975,0004,625
U.S. Government securities$9,521,0004,873
U.S. Treasury securities$01,086
U.S. Government agency obligations$9,521,0004,779
Securities issued by states & political subdivisions$8,022,0003,132
Other domestic debt securities$1,432,0001,821
Privately issued residential mortgage-backed securities$01,116
Commercial mortgage-backed securities - Total$0122
Asset backed securities$0429
Structured financial products - Total$0340
Other domestic debt securities - All other$1,432,0001,375
Foreign debt securities$0302
Equity securities$01,347
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,124
Mortgage-backed securities$7,400,0003,800
Certificates of participation in pools of residential mortgages$2,798,0004,217
Issued or guaranteed by U.S.$2,798,0004,215
Privately issued$088
Collaterized mortgage obligations$4,602,0002,184
CMOs issued by government agencies or sponsored agencies$4,602,0002,084
Privately issued$01,068
Commercial mortgage-backed securities$0715
Commercial mortgage pass-through securities$0537
Other commercial mortgage-backed securities$0310
Held to maturity securities (book value)$02,698
Available-for-sale securities (fair market value)$18,975,0004,280
Total debt securities$18,975,0004,592
Structured notes
Amortized cost$1,465,0001,616
Fair value$1,431,0001,622
Trading account assets$0230
Revaluation gains on off-balance sheet contracts$0122
Revaluation losses on off-balance sheet contracts$0121
2012-06-30Rank
Total securities$19,983,0004,578
U.S. Government securities$10,741,0004,776
U.S. Treasury securities$01,068
U.S. Government agency obligations$10,741,0004,676
Securities issued by states & political subdivisions$7,889,0003,090
Other domestic debt securities$1,353,0001,861
Privately issued residential mortgage-backed securities$01,166
Commercial mortgage-backed securities - Total$0125
Asset backed securities$0386
Structured financial products - Total$0339
Other domestic debt securities - All other$1,353,0001,408
Foreign debt securities$0295
Equity securities$01,351
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,201
Mortgage-backed securities$8,551,0003,675
Certificates of participation in pools of residential mortgages$2,758,0004,267
Issued or guaranteed by U.S.$2,758,0004,266
Privately issued$094
Collaterized mortgage obligations$5,793,0002,008
CMOs issued by government agencies or sponsored agencies$5,793,0001,906
Privately issued$01,117
Commercial mortgage-backed securities$0679
Commercial mortgage pass-through securities$0499
Other commercial mortgage-backed securities$0292
Held to maturity securities (book value)$02,724
Available-for-sale securities (fair market value)$19,983,0004,229
Total debt securities$19,983,0004,552
Structured notes
Amortized cost$1,464,0001,806
Fair value$1,353,0001,837
Trading account assets$0226
Revaluation gains on off-balance sheet contracts$0111
Revaluation losses on off-balance sheet contracts$0119
2012-03-31Rank
Total securities$21,749,0004,454
U.S. Government securities$13,472,0004,463
U.S. Treasury securities$01,157
U.S. Government agency obligations$13,472,0004,368
Securities issued by states & political subdivisions$6,891,0003,195
Other domestic debt securities$1,386,0001,832
Privately issued residential mortgage-backed securities$01,202
Commercial mortgage-backed securities - Total$0130
Asset backed securities$0339
Structured financial products - Total$0346
Other domestic debt securities - All other$1,386,0001,382
Foreign debt securities$0227
Equity securities$01,343
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,234
Mortgage-backed securities$13,472,0003,089
Certificates of participation in pools of residential mortgages$5,200,0003,655
Issued or guaranteed by U.S.$5,200,0003,651
Privately issued$094
Collaterized mortgage obligations$8,272,0001,736
CMOs issued by government agencies or sponsored agencies$8,272,0001,643
Privately issued$01,155
Commercial mortgage-backed securities$0643
Commercial mortgage pass-through securities$0474
Other commercial mortgage-backed securities$0265
Held to maturity securities (book value)$02,785
Available-for-sale securities (fair market value)$21,749,0004,106
Total debt securities$21,749,0004,426
Structured notes
Amortized cost$1,464,0002,009
Fair value$1,386,0002,035
Trading account assets$0230
Revaluation gains on off-balance sheet contracts$0115
Revaluation losses on off-balance sheet contracts$0115
2011-12-31Rank
Total securities$24,716,0004,121
U.S. Government securities$16,496,0004,025
U.S. Treasury securities$2,019,000620
U.S. Government agency obligations$14,477,0004,181
Securities issued by states & political subdivisions$6,803,0003,172
Other domestic debt securities$1,417,0001,777
Privately issued residential mortgage-backed securities$01,281
Commercial mortgage-backed securities - Total$0110
Asset backed securities$0265
Structured financial products - Total$0321
Other domestic debt securities - All other$1,417,0001,274
Foreign debt securities$0182
Equity securities$01,386
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$05,916
Mortgage-backed securities$14,477,0002,927
Certificates of participation in pools of residential mortgages$5,184,0003,562
Issued or guaranteed by U.S.$5,184,0003,559
Privately issued$0121
Collaterized mortgage obligations$9,293,0001,646
CMOs issued by government agencies or sponsored agencies$9,293,0001,490
Privately issued$01,216
Commercial mortgage-backed securities$0561
Commercial mortgage pass-through securities$0410
Other commercial mortgage-backed securities$0215
Held to maturity securities (book value)$02,928
Available-for-sale securities (fair market value)$24,716,0003,777
Total debt securities$24,716,0004,088
Structured notes
Amortized cost$1,463,0001,968
Fair value$1,418,0001,978
Trading account assets$0209
Revaluation gains on off-balance sheet contracts$090
Revaluation losses on off-balance sheet contracts$092
2011-09-30Rank
Total securities$27,132,0003,825
U.S. Government securities$18,919,0003,709
U.S. Treasury securities$2,009,000658
U.S. Government agency obligations$16,910,0003,853
Securities issued by states & political subdivisions$6,795,0003,112
Other domestic debt securities$1,418,0001,785
Privately issued residential mortgage-backed securities$01,304
Commercial mortgage-backed securities - Total$092
Asset backed securities$0254
Structured financial products - Total$0323
Other domestic debt securities - All other$1,418,0001,262
Foreign debt securities$0176
Equity securities$01,426
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$05,942
Mortgage-backed securities$15,666,0002,758
Certificates of participation in pools of residential mortgages$5,277,0003,499
Issued or guaranteed by U.S.$5,277,0003,494
Privately issued$0132
Collaterized mortgage obligations$10,389,0001,553
CMOs issued by government agencies or sponsored agencies$10,389,0001,388
Privately issued$01,235
Commercial mortgage-backed securities$0499
Commercial mortgage pass-through securities$0374
Other commercial mortgage-backed securities$0176
Held to maturity securities (book value)$02,973
Available-for-sale securities (fair market value)$27,132,0003,526
Total debt securities$27,132,0003,787
Structured notes
Amortized cost$1,462,0002,064
Fair value$1,418,0002,078
Trading account assets$0212
Revaluation gains on off-balance sheet contracts$086
Revaluation losses on off-balance sheet contracts$089
2011-06-30Rank
Total securities$27,435,0003,813
U.S. Government securities$17,582,0003,944
U.S. Treasury securities$01,225
U.S. Government agency obligations$17,582,0003,845
Securities issued by states & political subdivisions$7,015,0003,011
Other domestic debt securities$2,838,0001,327
Privately issued residential mortgage-backed securities$1,421,000737
Commercial mortgage-backed securities - Total$087
Asset backed securities$0252
Structured financial products - Total$0330
Other domestic debt securities - All other$1,417,0001,178
Foreign debt securities$0168
Equity securities$01,444
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,008
Mortgage-backed securities$17,786,0002,529
Certificates of participation in pools of residential mortgages$5,095,0003,508
Issued or guaranteed by U.S.$5,095,0003,496
Privately issued$0125
Collaterized mortgage obligations$12,691,0001,370
CMOs issued by government agencies or sponsored agencies$11,270,0001,293
Privately issued$1,421,000700
Commercial mortgage-backed securities$0483
Commercial mortgage pass-through securities$0373
Other commercial mortgage-backed securities$0155
Held to maturity securities (book value)$03,025
Available-for-sale securities (fair market value)$27,435,0003,519
Total debt securities$27,435,0003,779
Structured notes
Amortized cost$1,461,0002,281
Fair value$1,417,0002,288
Trading account assets$0216
Revaluation gains on off-balance sheet contracts$089
Revaluation losses on off-balance sheet contracts$091
2011-03-31Rank
Total securities$30,652,0003,579
U.S. Government securities$18,241,0003,817
U.S. Treasury securities$01,272
U.S. Government agency obligations$18,241,0003,711
Securities issued by states & political subdivisions$9,504,0002,556
Other domestic debt securities$2,907,0001,340
Privately issued residential mortgage-backed securities$1,505,000761
Commercial mortgage-backed securities - Total$081
Asset backed securities$0252
Structured financial products - Total$0337
Other domestic debt securities - All other$1,402,0001,211
Foreign debt securities$0165
Equity securities$01,470
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,043
Mortgage-backed securities$16,550,0002,573
Certificates of participation in pools of residential mortgages$2,928,0004,025
Issued or guaranteed by U.S.$2,928,0004,016
Privately issued$0136
Collaterized mortgage obligations$13,622,0001,277
CMOs issued by government agencies or sponsored agencies$12,117,0001,194
Privately issued$1,505,000725
Commercial mortgage-backed securities$0474
Commercial mortgage pass-through securities$0367
Other commercial mortgage-backed securities$0152
Held to maturity securities (book value)$03,051
Available-for-sale securities (fair market value)$30,652,0003,286
Total debt securities$30,652,0003,548
Structured notes
Amortized cost$1,461,0002,326
Fair value$1,402,0002,339
Trading account assets$0210
Revaluation gains on off-balance sheet contracts$085
Revaluation losses on off-balance sheet contracts$087
2010-12-31Rank
Total securities$33,505,0003,250
U.S. Government securities$21,775,0003,299
U.S. Treasury securities$01,275
U.S. Government agency obligations$21,775,0003,195
Securities issued by states & political subdivisions$8,738,0002,660
Other domestic debt securities$2,992,0001,416
Privately issued residential mortgage-backed securities$1,604,000780
Commercial mortgage-backed securities - Total$0438
Asset backed securities$0234
Structured financial products - Total$0343
Other domestic debt securities - All other$1,388,0001,221
Foreign debt securities$0158
Equity securities$01,492
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,121
Mortgage-backed securities$17,378,0002,399
Certificates of participation in pools of residential mortgages$2,453,0004,077
Issued or guaranteed by U.S.$2,453,0004,068
Privately issued$0141
Collaterized mortgage obligations$14,925,0001,194
CMOs issued by government agencies or sponsored agencies$13,321,0001,097
Privately issued$1,604,000744
Commercial mortgage-backed securities$0438
Commercial mortgage pass-through securities$0352
Other commercial mortgage-backed securities$0118
Held to maturity securities (book value)$03,086
Available-for-sale securities (fair market value)$33,505,0002,976
Total debt securities$33,505,0003,222
Structured notes
Amortized cost$1,460,0002,174
Fair value$1,389,0002,198
Trading account assets$0209
Revaluation gains on off-balance sheet contracts$086
Revaluation losses on off-balance sheet contracts$086
2010-09-30Rank
Total securities$36,580,0003,045
U.S. Government securities$24,159,0003,044
U.S. Treasury securities$01,180
U.S. Government agency obligations$24,159,0002,944
Securities issued by states & political subdivisions$9,279,0002,489
Other domestic debt securities$3,142,0001,427
Privately issued residential mortgage-backed securities$1,693,000834
Commercial mortgage-backed securities - Total$0411
Asset backed securities$0226
Structured financial products - Total$0351
Other domestic debt securities - All other$1,449,0001,198
Foreign debt securities$0158
Equity securities$01,538
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,199
Mortgage-backed securities$18,754,0002,289
Certificates of participation in pools of residential mortgages$2,506,0004,031
Issued or guaranteed by U.S.$2,506,0004,021
Privately issued$0141
Collaterized mortgage obligations$16,248,0001,139
CMOs issued by government agencies or sponsored agencies$14,555,0001,032
Privately issued$1,693,000792
Commercial mortgage-backed securities$0411
Commercial mortgage pass-through securities$0327
Other commercial mortgage-backed securities$0110
Held to maturity securities (book value)$03,149
Available-for-sale securities (fair market value)$36,580,0002,761
Total debt securities$36,580,0003,021
Structured notes
Amortized cost$1,460,0002,230
Fair value$1,449,0002,230
Trading account assets$0210
Revaluation gains on off-balance sheet contracts$081
Revaluation losses on off-balance sheet contracts$081
2010-06-30Rank
Total securities$28,030,0003,632
U.S. Government securities$16,999,0003,821
U.S. Treasury securities$2,012,000662
U.S. Government agency obligations$14,987,0004,000
Securities issued by states & political subdivisions$7,831,0002,625
Other domestic debt securities$3,200,0001,410
Privately issued residential mortgage-backed securities$1,745,000857
Commercial mortgage-backed securities - Total$0407
Asset backed securities$0230
Structured financial products - Total$0352
Other domestic debt securities - All other$1,455,0001,148
Foreign debt securities$0158
Equity securities$01,578
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,254
Mortgage-backed securities$12,919,0002,787
Certificates of participation in pools of residential mortgages$2,517,0004,093
Issued or guaranteed by U.S.$2,517,0004,085
Privately issued$0148
Collaterized mortgage obligations$10,402,0001,394
CMOs issued by government agencies or sponsored agencies$8,657,0001,311
Privately issued$1,745,000822
Commercial mortgage-backed securities$0407
Commercial mortgage pass-through securities$0324
Other commercial mortgage-backed securities$0105
Held to maturity securities (book value)$03,223
Available-for-sale securities (fair market value)$28,030,0003,314
Total debt securities$28,030,0003,601
Structured notes
Amortized cost$1,459,0002,325
Fair value$1,455,0002,328
Trading account assets$0210
Revaluation gains on off-balance sheet contracts$077
Revaluation losses on off-balance sheet contracts$079
2010-03-31Rank
Total securities$22,913,0004,124
U.S. Government securities$13,609,0004,355
U.S. Treasury securities$2,001,000677
U.S. Government agency obligations$11,608,0004,563
Securities issued by states & political subdivisions$7,566,0002,648
Other domestic debt securities$1,738,0001,860
Privately issued residential mortgage-backed securities$1,738,000906
Commercial mortgage-backed securities - Total$0422
Asset backed securities$0238
Structured financial products - Total$0358
Other domestic debt securities - All other$02,133
Foreign debt securities$0171
Equity securities$01,606
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,343
Mortgage-backed securities$10,149,0003,188
Certificates of participation in pools of residential mortgages$06,066
Issued or guaranteed by U.S.$06,054
Privately issued$0145
Collaterized mortgage obligations$10,149,0001,358
CMOs issued by government agencies or sponsored agencies$8,411,0001,259
Privately issued$1,738,000869
Commercial mortgage-backed securities$0422
Commercial mortgage pass-through securities$0334
Other commercial mortgage-backed securities$0112
Held to maturity securities (book value)$03,274
Available-for-sale securities (fair market value)$22,913,0003,740
Total debt securities$22,913,0004,091
Structured notes
Amortized cost$03,015
Fair value$03,015
Trading account assets$0225
Revaluation gains on off-balance sheet contracts$083
Revaluation losses on off-balance sheet contracts$087
2009-12-31Rank
Total securities$26,032,0003,784
U.S. Government securities$16,492,0003,924
U.S. Treasury securities$1,002,000772
U.S. Government agency obligations$15,490,0003,964
Securities issued by states & political subdivisions$7,503,0002,666
Other domestic debt securities$1,837,0001,882
Privately issued residential mortgage-backed securities$1,837,000918
Commercial mortgage-backed securities - Total$0408
Asset backed securities$0262
Structured financial products - Total$0366
Other domestic debt securities - All other$02,182
Foreign debt securities$0171
Equity securities$200,0001,052
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,398
Mortgage-backed securities$10,889,0003,149
Certificates of participation in pools of residential mortgages$06,128
Issued or guaranteed by U.S.$06,113
Privately issued$0157
Collaterized mortgage obligations$10,889,0001,308
CMOs issued by government agencies or sponsored agencies$9,052,0001,194
Privately issued$1,837,000879
Commercial mortgage-backed securities$0408
Commercial mortgage pass-through securities$0323
Other commercial mortgage-backed securities$0109
Held to maturity securities (book value)$03,333
Available-for-sale securities (fair market value)$26,032,0003,428
Total debt securities$25,832,0003,770
Structured notes
Amortized cost$02,781
Fair value$02,782
Trading account assets$0223
Revaluation gains on off-balance sheet contracts$083
Revaluation losses on off-balance sheet contracts$085
2009-09-30Rank
Total securities$18,383,0004,626
U.S. Government securities$13,711,0004,329
U.S. Treasury securities$1,003,000726
U.S. Government agency obligations$12,708,0004,414
Securities issued by states & political subdivisions$2,668,0004,046
Other domestic debt securities$2,004,0001,915
Privately issued residential mortgage-backed securities$2,004,000950
Commercial mortgage-backed securities - Total$0419
Asset backed securities$0266
Structured financial products - Total$0375
Other domestic debt securities - All other$02,284
Foreign debt securities$0175
Equity securities$01,720
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,412
Mortgage-backed securities$11,474,0003,130
Certificates of participation in pools of residential mortgages$06,212
Issued or guaranteed by U.S.$06,192
Privately issued$0171
Collaterized mortgage obligations$11,474,0001,274
CMOs issued by government agencies or sponsored agencies$9,470,0001,155
Privately issued$2,004,000911
Commercial mortgage-backed securities$0419
Commercial mortgage pass-through securities$0320
Other commercial mortgage-backed securities$0123
Held to maturity securities (book value)$03,422
Available-for-sale securities (fair market value)$18,383,0004,196
Total debt securities$18,383,0004,580
Structured notes
Amortized cost$02,432
Fair value$02,433
Trading account assets$0238
Revaluation gains on off-balance sheet contracts$082
Revaluation losses on off-balance sheet contracts$082
2009-06-30Rank
Total securities$8,735,0006,063
U.S. Government securities$6,148,0005,870
U.S. Treasury securities$01,036
U.S. Government agency obligations$6,148,0005,784
Securities issued by states & political subdivisions$2,587,0004,060
Other domestic debt securities$03,425
Privately issued residential mortgage-backed securities$01,666
Commercial mortgage-backed securities - Total$0346
Asset backed securities$0288
Structured financial products - Total$0397
Other domestic debt securities - All other$02,390
Foreign debt securities$0183
Equity securities$01,777
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,462
Mortgage-backed securities$2,974,0004,820
Certificates of participation in pools of residential mortgages$06,269
Issued or guaranteed by U.S.$06,247
Privately issued$0181
Collaterized mortgage obligations$2,974,0002,191
CMOs issued by government agencies or sponsored agencies$2,974,0001,866
Privately issued$01,581
Commercial mortgage-backed securities$0346
Commercial mortgage pass-through securities$0245
Other commercial mortgage-backed securities$0120
Held to maturity securities (book value)$03,478
Available-for-sale securities (fair market value)$8,735,0005,556
Total debt securities$8,735,0006,010
Structured notes
Amortized cost$01,968
Fair value$01,968
Trading account assets$0240
Revaluation gains on off-balance sheet contracts$079
Revaluation losses on off-balance sheet contracts$081
2009-03-31Rank
Total securities$3,947,0007,067
U.S. Government securities$3,518,0006,698
U.S. Treasury securities$0981
U.S. Government agency obligations$3,518,0006,609
Securities issued by states & political subdivisions$429,0005,352
Other domestic debt securities$03,349
Privately issued residential mortgage-backed securities$01,686
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$0353
Structured financial products - TotalNANA
Other domestic debt securities - All other$02,517
Foreign debt securities$0181
Equity securities$01,804
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,516
Mortgage-backed securities$3,004,0004,888
Certificates of participation in pools of residential mortgages$06,333
Issued or guaranteed by U.S.$06,315
Privately issued$0191
Collaterized mortgage obligations$3,004,0002,223
CMOs issued by government agencies or sponsored agencies$3,004,0001,865
Privately issued$01,599
Commercial mortgage-backed securities$01
Commercial mortgage pass-through securitiesNANA
Other commercial mortgage-backed securitiesNANA
Held to maturity securities (book value)$03,516
Available-for-sale securities (fair market value)$3,947,0006,529
Total debt securities$3,947,0007,026
Structured notes
Amortized cost$01,699
Fair value$01,699
Trading account assets$0234
Revaluation gains on off-balance sheet contracts$065
Revaluation losses on off-balance sheet contracts$065
2008-12-31Rank
Total securities$4,661,0006,973
U.S. Government securities$4,238,0006,616
U.S. Treasury securities$0973
U.S. Government agency obligations$4,238,0006,517
Securities issued by states & political subdivisions$423,0005,325
Other domestic debt securities$03,273
Privately issued residential mortgage-backed securities$01,641
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$0332
Structured financial products - TotalNANA
Other domestic debt securities - All other$02,447
Foreign debt securities$0172
Equity securities$01,803
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,541
Mortgage-backed securities$4,238,0004,505
Certificates of participation in pools of residential mortgages$06,376
Issued or guaranteed by U.S.$06,354
Privately issued$0188
Collaterized mortgage obligations$4,238,0001,906
CMOs issued by government agencies or sponsored agencies$4,238,0001,609
Privately issued$01,555
Commercial mortgage-backed securities$01
Commercial mortgage pass-through securitiesNANA
Other commercial mortgage-backed securitiesNANA
Held to maturity securities (book value)$03,539
Available-for-sale securities (fair market value)$4,661,0006,410
Total debt securities$4,661,0006,936
Structured notes
Amortized cost$01,735
Fair value$01,735
Trading account assets$0236
Revaluation gains on off-balance sheet contracts$062
Revaluation losses on off-balance sheet contracts$062
2008-09-30Rank
Total securities$4,732,0006,973
U.S. Government securities$4,314,0006,596
U.S. Treasury securities$01,019
U.S. Government agency obligations$4,314,0006,500
Securities issued by states & political subdivisions$418,0005,320
Other domestic debt securities$03,233
Privately issued residential mortgage-backed securities$01,618
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$0310
Structured financial products - TotalNANA
Other domestic debt securities - All other$02,412
Foreign debt securities$0181
Equity securities$01,898
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,576
Mortgage-backed securities$4,314,0004,402
Certificates of participation in pools of residential mortgages$06,411
Issued or guaranteed by U.S.$06,391
Privately issued$0192
Collaterized mortgage obligations$4,314,0001,823
CMOs issued by government agencies or sponsored agencies$4,314,0001,512
Privately issued$01,529
Commercial mortgage-backed securities$01
Commercial mortgage pass-through securitiesNANA
Other commercial mortgage-backed securitiesNANA
Held to maturity securities (book value)$03,569
Available-for-sale securities (fair market value)$4,732,0006,381
Total debt securities$4,732,0006,931
Structured notes
Amortized cost$01,731
Fair value$01,731
Trading account assets$0251
Revaluation gains on off-balance sheet contracts$066
Revaluation losses on off-balance sheet contracts$064
2008-06-30Rank
Total securities$4,848,0007,029
U.S. Government securities$4,410,0006,618
U.S. Treasury securities$01,021
U.S. Government agency obligations$4,410,0006,521
Securities issued by states & political subdivisions$438,0005,353
Other domestic debt securities$03,200
Privately issued residential mortgage-backed securities$01,597
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$0294
Structured financial products - TotalNANA
Other domestic debt securities - All other$02,402
Foreign debt securities$0189
Equity securities$01,972
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,612
Mortgage-backed securities$4,410,0004,364
Certificates of participation in pools of residential mortgages$06,439
Issued or guaranteed by U.S.$06,414
Privately issued$0202
Collaterized mortgage obligations$4,410,0001,801
CMOs issued by government agencies or sponsored agencies$4,410,0001,499
Privately issued$01,503
Commercial mortgage-backed securities$01
Commercial mortgage pass-through securitiesNANA
Other commercial mortgage-backed securitiesNANA
Held to maturity securities (book value)$03,596
Available-for-sale securities (fair market value)$4,848,0006,447
Total debt securities$4,848,0006,971
Structured notes
Amortized cost$01,774
Fair value$01,775
Trading account assets$0267
Revaluation gains on off-balance sheet contracts$066
Revaluation losses on off-balance sheet contracts$065
2008-03-31Rank
Total securities$5,083,0006,984
U.S. Government securities$4,647,0006,564
U.S. Treasury securities$01,044
U.S. Government agency obligations$4,647,0006,470
Securities issued by states & political subdivisions$436,0005,370
Other domestic debt securities$03,172
Privately issued residential mortgage-backed securities$01,589
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$0288
Structured financial products - TotalNANA
Other domestic debt securities - All other$02,362
Foreign debt securities$0199
Equity securities$01,949
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,633
Mortgage-backed securities$4,647,0004,203
Certificates of participation in pools of residential mortgages$06,441
Issued or guaranteed by U.S.$06,412
Privately issued$0205
Collaterized mortgage obligations$4,647,0001,746
CMOs issued by government agencies or sponsored agencies$4,647,0001,449
Privately issued$01,493
Commercial mortgage-backed securities$01
Commercial mortgage pass-through securitiesNANA
Other commercial mortgage-backed securitiesNANA
Held to maturity securities (book value)$03,628
Available-for-sale securities (fair market value)$5,083,0006,405
Total debt securities$5,083,0006,920
Structured notes
Amortized cost$01,922
Fair value$01,923
Trading account assets$0252
Revaluation gains on off-balance sheet contracts$061
Revaluation losses on off-balance sheet contracts$062
2007-12-31Rank
Total securities$5,157,0007,044
U.S. Government securities$5,157,0006,539
U.S. Treasury securities$01,146
U.S. Government agency obligations$5,157,0006,433
Securities issued by states & political subdivisions$06,012
Other domestic debt securities$03,016
Privately issued residential mortgage-backed securities$01,490
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$0272
Structured financial products - TotalNANA
Other domestic debt securities - All other$02,243
Foreign debt securities$0202
Equity securities$01,903
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,689
Mortgage-backed securities$3,156,0004,420
Certificates of participation in pools of residential mortgages$06,400
Issued or guaranteed by U.S.$06,379
Privately issued$0191
Collaterized mortgage obligations$3,156,0001,932
CMOs issued by government agencies or sponsored agencies$3,156,0001,631
Privately issued$01,403
Commercial mortgage-backed securities$01
Commercial mortgage pass-through securitiesNANA
Other commercial mortgage-backed securitiesNANA
Held to maturity securities (book value)$03,689
Available-for-sale securities (fair market value)$5,157,0006,406
Total debt securities$5,157,0006,990
Structured notes
Amortized cost$02,424
Fair value$02,424
Trading account assets$0237
Revaluation gains on off-balance sheet contracts$059
Revaluation losses on off-balance sheet contracts$056
2007-09-30Rank
Total securities$2,202,0007,765
U.S. Government securities$2,002,0007,556
U.S. Treasury securities$01,235
U.S. Government agency obligations$2,002,0007,445
Securities issued by states & political subdivisions$06,045
Other domestic debt securities$200,0002,689
Privately issued residential mortgage-backed securities$01,466
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$0271
Structured financial products - TotalNANA
Other domestic debt securities - All other$200,0002,017
Foreign debt securities$0200
Equity securities$01,839
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,710
Mortgage-backed securities$06,625
Certificates of participation in pools of residential mortgages$06,368
Issued or guaranteed by U.S.$06,345
Privately issued$0194
Collaterized mortgage obligations$03,707
CMOs issued by government agencies or sponsored agencies$03,327
Privately issued$01,378
Commercial mortgage-backed securities$01
Commercial mortgage pass-through securitiesNANA
Other commercial mortgage-backed securitiesNANA
Held to maturity securities (book value)$03,749
Available-for-sale securities (fair market value)$2,202,0007,098
Total debt securities$2,202,0007,722
Structured notes
Amortized cost$02,643
Fair value$02,645
Trading account assets$0244
Revaluation gains on off-balance sheet contracts$060
Revaluation losses on off-balance sheet contracts$055
2007-06-30Rank
Total securities$08,331
U.S. Government securities$08,206
U.S. Treasury securities$01,362
U.S. Government agency obligations$08,127
Securities issued by states & political subdivisions$06,106
Other domestic debt securities$02,951
Privately issued residential mortgage-backed securities$01,429
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$0267
Structured financial products - TotalNANA
Other domestic debt securities - All other$02,192
Foreign debt securities$0201
Equity securities$01,877
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,778
Mortgage-backed securities$06,667
Certificates of participation in pools of residential mortgages$06,409
Issued or guaranteed by U.S.$06,389
Privately issued$0207
Collaterized mortgage obligations$03,689
CMOs issued by government agencies or sponsored agencies$03,312
Privately issued$01,337
Commercial mortgage-backed securities$01
Commercial mortgage pass-through securitiesNANA
Other commercial mortgage-backed securitiesNANA
Held to maturity securities (book value)$03,791
Available-for-sale securities (fair market value)$07,721
Total debt securities$08,291
Structured notes
Amortized cost$02,714
Fair value$02,715
Trading account assets$0245
Revaluation gains on off-balance sheet contracts$067
Revaluation losses on off-balance sheet contracts$064
2007-03-31Rank
Total securities$08,365
U.S. Government securities$08,244
U.S. Treasury securities$01,448
U.S. Government agency obligations$08,164
Securities issued by states & political subdivisions$06,160
Other domestic debt securities$02,981
Privately issued residential mortgage-backed securities$01,398
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$0298
Structured financial products - TotalNANA
Other domestic debt securities - All other$02,233
Foreign debt securities$0207
Equity securities$01,899
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,814
Mortgage-backed securities$06,691
Certificates of participation in pools of residential mortgages$06,438
Issued or guaranteed by U.S.$06,414
Privately issued$0218
Collaterized mortgage obligations$03,669
CMOs issued by government agencies or sponsored agencies$03,314
Privately issued$01,292
Commercial mortgage-backed securities$01
Commercial mortgage pass-through securitiesNANA
Other commercial mortgage-backed securitiesNANA
Held to maturity securities (book value)$03,860
Available-for-sale securities (fair market value)$07,742
Total debt securities$08,320
Structured notes
Amortized cost$02,791
Fair value$02,792
Trading account assets$0267
Revaluation gains on off-balance sheet contracts$067
Revaluation losses on off-balance sheet contracts$064
2006-12-31Rank
Total securities$08,416
U.S. Government securities$08,295
U.S. Treasury securities$01,498
U.S. Government agency obligations$08,217
Securities issued by states & political subdivisions$06,206
Other domestic debt securities$03,032
Privately issued residential mortgage-backed securities$01,392
Commercial mortgage-backed securities - TotalNANA
Asset backed securities$0285
Structured financial products - TotalNANA
Other domestic debt securities - All other$02,305
Foreign debt securities$0210
Equity securities$01,944
Assets held in trading accounts for TFR ReportersNANA
General valuation allowances for securities for TFR ReportersNANA
Memoranda:
Pledged securities$06,854
Mortgage-backed securities$06,730
Certificates of participation in pools of residential mortgages$06,471
Issued or guaranteed by U.S.$06,445
Privately issued$0208
Collaterized mortgage obligations$03,687
CMOs issued by government agencies or sponsored agencies$03,329
Privately issued$01,297
Commercial mortgage-backed securities$01
Commercial mortgage pass-through securitiesNANA
Other commercial mortgage-backed securitiesNANA
Held to maturity securities (book value)$03,949
Available-for-sale securities (fair market value)$07,796
Total debt securities$08,369
Structured notes
Amortized cost$02,890
Fair value$02,890
Trading account assets$0156
Revaluation gains on off-balance sheet contracts$060
Revaluation losses on off-balance sheet contracts$057