Home > Firstar Bank Racine > Securities
Firstar Bank Racine, Securities
1993-12-31 | Rank | |
Total securities | $51,120,000 | 2,708 |
U.S. Government securities | $24,905,000 | 4,262 |
U.S. Treasury securities | $16,058,000 | 2,290 |
U.S. Government agency obligations | $8,847,000 | 6,009 |
Securities issued by states & political subdivisions | $23,909,000 | 476 |
Other domestic debt securities | $1,217,000 | 3,045 |
Privately issued residential mortgage-backed securities | $467,000 | 1,779 |
Commercial mortgage-backed securities - Total | NA | NA |
Asset backed securities | NA | NA |
Structured financial products - Total | NA | NA |
Other domestic debt securities - All other | $750,000 | 2,860 |
Foreign debt securities | $25,000 | 495 |
Equity securities | $1,064,000 | 2,024 |
Assets held in trading accounts for TFR Reporters | NA | NA |
General valuation allowances for securities for TFR Reporters | NA | NA |
Memoranda: | ||
Pledged securities | $7,235,000 | 3,565 |
Mortgage-backed securities | $5,777,000 | 4,906 |
Certificates of participation in pools of residential mortgages | $2,784,000 | 5,051 |
Issued or guaranteed by U.S. | $2,784,000 | 5,010 |
Privately issued | $0 | 731 |
Collaterized mortgage obligations | $2,993,000 | 3,421 |
CMOs issued by government agencies or sponsored agencies | $2,526,000 | 3,499 |
Privately issued | $467,000 | 1,436 |
Commercial mortgage-backed securities | $0 | 1 |
Commercial mortgage pass-through securities | NA | NA |
Other commercial mortgage-backed securities | NA | NA |
Held to maturity securities (book value) | NA | NA |
Available-for-sale securities (fair market value) | NA | NA |
Total debt securities | $50,056,000 | 2,682 |
Structured notes | ||
Amortized cost | NA | NA |
Fair value | NA | NA |
Trading account assets | $0 | 330 |
Revaluation gains on off-balance sheet contracts | $0 | 1 |
Revaluation losses on off-balance sheet contracts | NA | NA |
1992-12-31 | Rank | |
Total securities | $49,112,000 | 2,784 |
U.S. Government securities | $21,396,000 | 4,806 |
U.S. Treasury securities | $9,678,000 | 3,614 |
U.S. Government agency obligations | $11,718,000 | 4,954 |
Securities issued by states & political subdivisions | $21,445,000 | 516 |
Other domestic debt securities | $4,766,000 | 1,758 |
Privately issued residential mortgage-backed securities | $0 | 4,133 |
Commercial mortgage-backed securities - Total | NA | NA |
Asset backed securities | NA | NA |
Structured financial products - Total | NA | NA |
Other domestic debt securities - All other | $4,766,000 | 1,247 |
Foreign debt securities | $25,000 | 526 |
Equity securities | $1,480,000 | 1,515 |
Assets held in trading accounts for TFR Reporters | NA | NA |
General valuation allowances for securities for TFR Reporters | NA | NA |
Memoranda: | ||
Pledged securities | $6,020,000 | 3,967 |
Mortgage-backed securities | $8,471,000 | 4,125 |
Certificates of participation in pools of residential mortgages | $4,219,000 | 4,328 |
Issued or guaranteed by U.S. | $4,219,000 | 4,277 |
Privately issued | $0 | 831 |
Collaterized mortgage obligations | $4,252,000 | 2,885 |
CMOs issued by government agencies or sponsored agencies | $4,252,000 | 2,637 |
Privately issued | $0 | 3,547 |
Commercial mortgage-backed securities | $0 | 1 |
Commercial mortgage pass-through securities | NA | NA |
Other commercial mortgage-backed securities | NA | NA |
Held to maturity securities (book value) | NA | NA |
Available-for-sale securities (fair market value) | NA | NA |
Total debt securities | $47,632,000 | 2,791 |
Structured notes | ||
Amortized cost | NA | NA |
Fair value | NA | NA |
Trading account assets | $0 | 344 |
Revaluation gains on off-balance sheet contracts | $0 | 1 |
Revaluation losses on off-balance sheet contracts | NA | NA |