Derivatives Q1-00
LarraƱaga
Emily.Abramsky
2000-06-02T19:30:53Z
2000-03-06T16:40:40Z
2010-12-20T18:27:12Z
11.9999
6270
10755
-15
-15
601
False
False
TABLE 1 |
NOTIONAL AMOUNT OF OFF BALANCE SHEET DERIVATIVES CONTRACTS OF THE 25 |
COMMERCIAL BANKS AND TRUST COMPANIES WITH THE MOST OFF BALANCE DERIVATIVE CONTRACTS |
MARCH 31, 2000, $ MILLIONS |
NOTE: DATA ARE PRELIMINARY |
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TOTAL |
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TOTAL |
TOTAL |
TOTAL |
TOTAL |
TOTAL |
CREDIT |
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TOTAL |
TOTAL |
FUTURES |
OPTIONS |
FORWARDS |
SWAPS |
OPTIONS |
DERIVATIVES |
SPOT |
|
RANK |
BANK NAME |
STATE |
ASSETS |
DERIVATIVES |
(EXCH TR) |
(EXCH TR) |
(OTC) |
(OTC) |
(OTC) |
(OTC) |
FX |
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1 |
CHASE MANHATTAN BANK |
NY |
312205 |
13346628 |
740376 |
276937 |
2764805 |
8213571 |
1324628 |
26311 |
144483 |
|
2 |
MORGAN GUARANTY TR CO OF NY |
NY |
182972.057 |
9338141.7340000011 |
516348.516 |
405134.90100000001 |
938876.69400000002 |
4888490.8940000003 |
2413472.773 |
175817.95600000001 |
2571.5970000000002 |
|
3 |
BANK OF AMERICA NA |
NC |
585373 |
6465602 |
343963 |
329830 |
1218302 |
3593381 |
945121 |
35005 |
92338 |
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4 |
CITIBANK N A |
NY |
337958 |
4506836 |
137553 |
56404 |
2259803 |
1307882 |
699067 |
46127 |
181948 |
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5 |
BANK ONE NATIONAL ASSN |
IL |
101026.356 |
926773.152 |
33249.764000000003 |
383.85300000000001 |
115178.23299999999 |
556505.60800000001 |
221205.59400000001 |
250.1 |
12092.097 |
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6 |
FIRST UNION NATIONAL BANK |
NC |
231716 |
899042 |
193435 |
148206 |
68466 |
265431 |
214972 |
8532 |
2934 |
|
7 |
BANK OF NEW YORK |
NY |
72954.027000000002 |
363352.56800000003 |
31042.128000000001 |
10418.975 |
56257.605000000003 |
101302.97100000001 |
164005.889 |
325 |
11740 |
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8 |
FLEET NATIONAL BANK |
RI |
148841 |
288520 |
11467 |
39378 |
67201 |
83817 |
83766 |
2891 |
8464 |
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9 |
HSBC BANK USA |
NY |
82270.46 |
208792.41800000001 |
28584.592000000001 |
16312.888999999999 |
67141.164000000004 |
46430.080999999998 |
49867.703000000001 |
455.98899999999998 |
10990.376 |
|
10 |
WELLS FARGO BANK NA |
CA |
99155 |
201524 |
68007 |
8005 |
29733 |
51069 |
44625 |
85 |
710 |
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11 |
BANKERS TRUST CO |
NY |
46280 |
192244 |
0 |
0 |
6155 |
155596 |
29550 |
943 |
0 |
|
12 |
STATE STREET BANK&TRUST CO |
MA |
56234.650999999998 |
139245.56599999999 |
3595 |
0 |
131498.03599999999 |
2988.328 |
1164.202 |
0 |
6508.7569999999996 |
|
13 |
KEYBANK NATIONAL ASSN |
OH |
75300.948000000004 |
64994.733 |
9332.366 |
1741 |
3615.8090000000002 |
43905.633000000002 |
6385.79 |
14.135 |
899.36300000000006 |
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14 |
NATIONAL CITY BANK |
OH |
34586.796000000002 |
59972.373000000007 |
18318 |
0 |
854.28899999999999 |
31418.809000000001 |
9265.28 |
115.995 |
256.48500000000001 |
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15 |
MELLON BANK NATIONAL ASSN |
PA |
39321.468999999997 |
58963.599000000002 |
6418.83 |
615 |
25543.040000000001 |
23178.758999999998 |
3207.97 |
0 |
4560.5 |
|
16 |
PNC BANK NATIONAL ASSN |
PA |
66820.251999999993 |
55839.154000000002 |
1346 |
0 |
5815.616 |
23339.653999999999 |
21013.210999999999 |
4324.6729999999998 |
1275.3979999999999 |
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17 |
LASALLE BANK NATIONAL ASSN |
IL |
46216.79 |
37613.951999999997 |
5377 |
0 |
392.49099999999999 |
26980.118999999999 |
4864.3419999999996 |
0 |
23.852 |
|
18 |
CHASE MANHATTAN BANK USA NA |
DE |
34340.171000000002 |
34633.641000000003 |
32 |
0 |
3323.7719999999999 |
9534.3610000000008 |
21743.508000000002 |
0 |
0 |
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19 |
SUNTRUST BANK |
GA |
93146.103000000003 |
34228.794999999998 |
1419 |
0 |
3292.203 |
21590.472000000002 |
7927.12 |
0 |
221.36099999999999 |
|
20 |
FIRST TENNESSEE BANK NA |
TN |
19158.892 |
31531.962 |
0 |
0 |
5581.7860000000001 |
1521.7 |
24226.948 |
201.52799999999999 |
0.32500000000000001 |
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21 |
WACHOVIA BANK NATIONAL ASSN |
NC |
64274.561999999998 |
30242.678 |
0 |
0 |
4710.4160000000002 |
22159.289000000001 |
3052.973 |
320 |
314.19 |
|
22 |
CITIBANK SOUTH DAKOTA N A |
SD |
15312.698 |
23307.73 |
7300 |
0 |
0 |
15389.65 |
618.08 |
0 |
0 |
|
23 |
NORTHERN TRUST CO |
IL |
27722.636999999999 |
20060.285 |
1 |
0 |
17443.248 |
2369.1610000000001 |
246.876 |
0 |
2874.808 |
|
24 |
CHASE BANK OF TEXAS NA |
TX |
25358.772000000001 |
15853.78 |
95 |
0 |
1586.3979999999999 |
5878.4859999999999 |
8293.8960000000006 |
0 |
918.08799999999997 |
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25 |
CITIBANK NEVADA NA |
NV |
7327.134 |
14180.225 |
3100 |
0 |
2.274 |
9936.7980000000007 |
1141.153 |
0 |
0 |
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TOP 25 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
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2805872.7749999999 |
37358124.345000006 |
2160360.196 |
1293366.618 |
7795578.0740000019 |
19503667.773000002 |
6303432.3080000002 |
301719.37599999999 |
486124.19699999999 |
OTHER 364 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
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1745886.8649999998 |
273674.65499999374 |
6833.4840000001714 |
10191.43200000003 |
29922.985999997705 |
161851.39699999988 |
64682.012000000104 |
193.68400000000838 |
3378.0830000000424 |
TOTAL AMOUNTS FOR ALL 389 BKS & TCs WITH DERIVATIVES |
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4551759.64 |
37631799 |
2167193.68 |
1303558.05 |
7825501.0599999996 |
19665519.170000002 |
6368114.3200000003 |
301913.06 |
489502.28 |
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Note: Currently, the Call Report does not differentiate credit derivatives by contract type. Credit derivatives have been included in the sum of total derivatives here. |
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Note: Before the first quarter of 1995 total derivatives included spot foreign exchange. Beginning in the first quarter, 1995, spot foreign exchange was reported separately. |
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Data source: Call Report, schedule RC-L |
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58
600
600
75
3
35
14
False
False
TABLE 2 |
NOTIONAL AMOUNT OF OFF BALANCE SHEET DERIVATIVE CONTRACTS OF THE 25 |
HOLDING COMPANIES WITH THE MOST OFF BALANCE SHEET DERIVATIVES CONTRACTS |
MARCH 31, 2000, $ MILLIONS |
NOTE: DATA ARE PRELIMINARY |
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CREDIT |
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TOTAL |
TOTAL |
FUTURES |
OPTIONS |
FORWARDS |
SWAPS |
OPTIONS |
DERIVATIVES |
SPOT |
|
RANK |
HOLDING COMPANY |
STATE |
ASSETS |
DERIVATIVES |
(EXCH TR) |
(EXCH TR) |
(OTC) |
(OTC) |
(OTC) |
(OTC) |
FX |
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1 |
CHASE MANHATTAN CORPORATION, THE |
NY |
391484 |
13604220 |
763346 |
458925 |
2799895 |
8223074 |
1332669 |
26311 |
145359 |
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2 |
J.P. MORGAN & CO. INCORPORATED |
NY |
284562.37199999997 |
9422083.5160000008 |
574299.73499999999 |
418745.64299999998 |
999482.83700000006 |
4844155.06 |
2409582.2850000001 |
175817.95600000001 |
2571.5970000000002 |
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3 |
CITIGROUP INC. |
NY |
738205 |
7619065 |
651091 |
67294 |
2238032 |
3692998 |
919340 |
50310 |
173748 |
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4 |
BANK OF AMERICA CORPORATION |
NC |
656113 |
5729989 |
352348 |
335637 |
1069882 |
3151199 |
794957 |
25966 |
73998 |
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5 |
BANK ONE CORPORATION |
IL |
273008 |
924218 |
36144 |
1201 |
116173 |
546428 |
223982 |
290 |
12092 |
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6 |
FIRST UNION CORPORATION |
NC |
253648 |
900599 |
196244 |
151456 |
71489 |
259837 |
213041 |
8532 |
2934 |
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7 |
BANK OF NEW YORK COMPANY, INC., THE |
NY |
76040.691999999995 |
361892.60200000001 |
31042.128000000001 |
10418.975 |
56257.604999999996 |
99847.51 |
164001.38400000002 |
325 |
11740 |
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8 |
FLEETBOSTON FINANCIAL CORPORATION B*B |
MA |
187814 |
291229 |
12020 |
39553 |
67201 |
85155 |
84409 |
2891 |
8464 |
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9 |
TAUNUS CORPORATION |
NY |
211666 |
249631 |
11272 |
33123 |
6155 |
161277 |
32720 |
5084 |
0 |
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10 |
WELLS FARGO & COMPANY |
CA |
222276 |
221706 |
68007 |
8005 |
30960 |
58794 |
55755 |
185 |
870 |
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11 |
HSBC NORTH AMERICA INC. |
NY |
86439.932000000001 |
207411.693 |
28584.592000000001 |
16312.888999999999 |
67166.244000000006 |
45024.276000000005 |
49867.703000000001 |
455.98899999999998 |
10990.482 |
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12 |
STATE STREET CORPORATION |
MA |
60531.597999999998 |
139201.06599999999 |
3640.5 |
522.5 |
131498.03599999999 |
2375.828 |
1164.202 |
0 |
6508.7569999999996 |
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13 |
KEYCORP |
OH |
83454.020999999993 |
71091.948999999993 |
9332.366 |
1741 |
3659.8090000000002 |
47508.296000000002 |
8836.3430000000008 |
14.135 |
899.36300000000006 |
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14 |
NATIONAL CITY CORPORATION |
OH |
86895.392999999996 |
63213.097000000002 |
18318 |
660 |
3428.279 |
31422.544000000002 |
9268.2789999999986 |
115.995 |
256.48500000000001 |
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15 |
MELLON FINANCIAL CORPORATION |
PA |
47604.535000000003 |
57079.26 |
6637.23 |
649 |
25543.544999999998 |
21041.514999999999 |
3207.97 |
0 |
4560.5 |
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16 |
ABN AMRO NORTH AMERICA, INC. |
IL |
65942.574999999997 |
56602.648999999998 |
10207 |
0 |
392.49099999999999 |
37531.815999999999 |
8471.3420000000006 |
0 |
23.852 |
|
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17 |
PNC FINANCIAL SERVICES GROUP, INC., THE |
PA |
74320.832999999999 |
54754.05 |
1348.5 |
0 |
5821.8180000000002 |
22118.322 |
21140.737000000001 |
4324.6729999999998 |
1275.3979999999999 |
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18 |
SUNTRUST BANKS, INC. |
GA |
96040.91 |
33198.595000000001 |
1419 |
0 |
3292.203 |
20560.272000000001 |
7927.12 |
0 |
221.36099999999999 |
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19 |
FIRST TENNESSEE NATIONAL CORPORATION |
TN |
20073.2 |
31531.962 |
0 |
24226.948 |
5581.7860000000001 |
1521.7 |
0 |
201.52799999999999 |
0.35199999999999998 |
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20 |
WACHOVIA CORPORATION |
NC |
68817.487999999998 |
28981.306000000004 |
13.2 |
0 |
4760.8440000000001 |
20834.289000000001 |
3052.9730000000004 |
320 |
314.19 |
|
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21 |
NORTHERN TRUST CORPORATION |
IL |
33219.419000000002 |
19325.285000000003 |
1 |
0 |
17443.248000000003 |
1749.1610000000001 |
131.876 |
0 |
2874.808 |
|
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22 |
UNIONBANCAL CORPORATION |
CA |
33625.190999999999 |
13039.862999999999 |
0 |
0 |
1356.607 |
3850.1880000000001 |
7833.0680000000002 |
0 |
479.65499999999997 |
|
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23 |
U.S. BANCORP |
MN |
83072 |
12032 |
28 |
0 |
2508 |
7938 |
1558 |
0 |
312 |
|
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24 |
COMERICA INCORPORATED |
MI |
39683.544999999998 |
11373.638999999999 |
0 |
6.0090000000000003 |
1496.645 |
9329.9580000000005 |
496.84199999999998 |
44.185000000000002 |
199.73500000000001 |
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25 |
IMPERIAL BANCORP |
CA |
7013.7849999999999 |
10823.173000000001 |
0 |
9000 |
135.27799999999999 |
481.79 |
1206.105 |
0 |
11.348000000000001 |
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TOTALS FOR THE TOP 25 HOLDING COMPANIES WITH DERIVATIVES |
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4181551.489000001 |
40134292.704999991 |
2775343.2510000002 |
1577476.9640000002 |
7729612.2750000004 |
21396052.525000002 |
6354619.2290000003 |
301188.46100000001 |
460704.88300000003 |
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Note: Currently, the Y-9 report does not differentiate credit derivatives by contract type. Credit derivatives have been included in the sum of total derivatives. |
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Note: In previous quarters, total derivatives included spot foreign exchange. Beginning in the first quarter, 1995, spot foreign exchange is reported separately. |
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Data source: Consolidated Financial Statements for Bank Holding Companies, FR Y- 9, schedule HC-F |
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57
600
600
75
1
3
32
13
False
False
TABLE 3 |
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DISTRIBUTION OF OFF BALANCE SHEET DERIVATIVES CONTRACTS OF THE 25 |
COMMERCIAL BANKS AND TRUST COMPANIES WITH THE MOST OFF BALANCE SHEET DERIVATIVE CONTRACTS |
MARCH 31, 2000, $ MILLIONS, RATIOS IN PERCENT |
NOTE:DATA ARE PRELIMINARY |
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PERCENT |
PERCENT |
PERCENT |
PERCENT |
PERCENT |
PERCENT |
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TOTAL |
TOTAL |
EXCH TRADED |
OTC |
INT RATE |
FOREIGN EXCH |
OTHER |
CREDIT |
|
RANK |
BANK NAME |
STATE |
ASSETS |
DERIVATIVES |
CONTRACTS |
CONTRACTS |
CONTRACTS |
CONTRACTS |
CONTRACTS |
DERIVATIVES |
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(%) |
(%) |
(%) |
(%) |
(%) |
(%) |
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1 |
CHASE MANHATTAN BANK |
NY |
312205 |
13346628 |
7.6222473571601759 |
92.377752642839823 |
86.719874113521414 |
11.943248886535235 |
0.5375964625671743 |
0.60214460161772698 |
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2 |
MORGAN GUARANTY TR CO OF NY |
NY |
182972.057 |
9338141.7340000011 |
9.86795278170705 |
90.132047218292939 |
80.21969134100101 |
12.422701572158424 |
4.7973710590501515 |
0.67744220212110984 |
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3 |
BANK OF AMERICA NA |
NC |
585373 |
6465602 |
10.421195118412795 |
89.578804881587203 |
82.78267050771143 |
14.107348395400768 |
2.1474411818110672 |
0.42113634584993015 |
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4 |
CITIBANK N A |
NY |
337958 |
4506836 |
4.3036178818133166 |
95.69638211818669 |
55.23584616791026 |
40.847769921071013 |
2.3381591875098184 |
0.55473507356380392 |
|
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|
5 |
BANK ONE NATIONAL ASSN |
IL |
101026.356 |
926773.152 |
3.6291099852663842 |
96.370890014733618 |
88.03247582640374 |
10.72911680548985 |
1.079752901603261 |
0.13166835890386261 |
|
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6 |
FIRST UNION NATIONAL BANK |
NC |
231716 |
899042 |
38.000560596724071 |
61.999439403275929 |
96.321973834370368 |
2.3843157494310612 |
0.34314303447447392 |
1.5572131224125235E-3 |
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7 |
BANK OF NEW YORK |
NY |
72954.027000000002 |
363352.56800000003 |
11.410708675657412 |
88.589291324342568 |
68.570480833921053 |
31.338213907985917 |
1.8604519674125432E-3 |
0 |
|
|
|
8 |
FLEET NATIONAL BANK |
RI |
148841 |
288520 |
17.62269513378622 |
82.377304866213777 |
70.27311798142243 |
27.897199500901152 |
0.73062525994731731 |
9.7046998474975735E-2 |
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9 |
HSBC BANK USA |
NY |
82270.46 |
208792.41800000001 |
21.503405837275182 |
78.496594162724818 |
51.99338608167276 |
34.974848559874424 |
0.21075621625302504 |
12.602615675440859 |
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10 |
WELLS FARGO BANK NA |
CA |
99155 |
201524 |
37.71858438697128 |
62.28141561302872 |
97.941684365137647 |
2.0101824100355294 |
0 |
5.9546257517715008E-3 |
|
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|
11 |
BANKERS TRUST CO |
NY |
46280 |
192244 |
0 |
100 |
78.152764195501547 |
11.04065666548761 |
3.5132435862757747 |
6.8028130916959695 |
|
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12 |
STATE STREET BANK&TRUST CO |
MA |
56234.650999999998 |
139245.56599999999 |
2.5817698209507083 |
97.418230179049289 |
5.2869906105304638 |
94.713009389469534 |
0 |
0 |
|
|
|
13 |
KEYBANK NATIONAL ASSN |
OH |
75300.948000000004 |
64994.733 |
17.037328240120626 |
82.962671759879385 |
91.300291979043905 |
8.372519970195123 |
0.30544013466445041 |
0 |
|
|
|
14 |
NATIONAL CITY BANK |
OH |
34586.796000000002 |
59972.373000000007 |
30.544064014275371 |
69.455935985724636 |
98.437837368883152 |
1.3287801701626845 |
3.9968403451369178E-2 |
0 |
|
|
|
15 |
MELLON BANK NATIONAL ASSN |
PA |
39321.468999999997 |
58963.599000000002 |
11.929105616500783 |
88.070894383499208 |
55.206067051639771 |
43.290932766841451 |
1.3789948608801847 |
0.12400532063858584 |
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16 |
PNC BANK NATIONAL ASSN |
PA |
66820.251999999993 |
55839.154000000002 |
2.4104949727569296 |
97.589505027243064 |
86.851657888656405 |
5.3577101114390091 |
4.5756423888513781E-2 |
0 |
|
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17 |
LASALLE BANK NATIONAL ASSN |
IL |
46216.79 |
37613.951999999997 |
14.295227473039793 |
85.704772526960213 |
97.667982348677441 |
2.2547271820839248 |
7.7290469238648477E-2 |
0 |
|
|
|
18 |
CHASE MANHATTAN BANK USA NA |
DE |
34340.171000000002 |
34633.641000000003 |
9.2395714328736028E-2 |
99.907604285671269 |
98.579675755142219 |
6.7570140835033765E-2 |
1.3527541040227331 |
0 |
|
|
|
19 |
SUNTRUST BANK |
GA |
93146.103000000003 |
34228.794999999998 |
4.1456323542794893 |
95.854367645720529 |
92.90898496426766 |
5.1610435015313865 |
1.8715411979884189 |
5.8430336212536842E-2 |
|
|
|
20 |
FIRST TENNESSEE BANK NA |
TN |
19158.892 |
31531.962 |
0 |
100 |
99.349415681777117 |
5.2835278692775281E-3 |
6.1778585170183826E-3 |
0 |
|
|
|
21 |
WACHOVIA BANK NATIONAL ASSN |
NC |
64274.561999999998 |
30242.678 |
0 |
100 |
79.282403496145406 |
19.164036994342894 |
0.4954521553944396 |
0 |
|
|
|
22 |
CITIBANK SOUTH DAKOTA N A |
SD |
15312.698 |
23307.73 |
31.320081363564793 |
68.679918636435204 |
100 |
0 |
0 |
0 |
|
|
|
23 |
NORTHERN TRUST CO |
IL |
27722.636999999999 |
20060.285 |
4.9849740419939201E-3 |
99.995015025958011 |
12.935125298568789 |
87.064874701431208 |
0 |
0 |
|
|
|
24 |
CHASE BANK OF TEXAS NA |
TX |
25358.772000000001 |
15853.78 |
0.5992261782363576 |
99.40077382176365 |
81.952682577908874 |
11.33747282982355 |
6.641419270356975 |
6.8425321910610598E-2 |
|
|
|
25 |
CITIBANK NEVADA NA |
NV |
7327.134 |
14180.225 |
21.861430266444994 |
78.138569733555002 |
100 |
0 |
0 |
0 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
TOP 25 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
|
|
|
2805872.7749999999 |
37358124.345000006 |
3453726.81 |
33904397.530000001 |
29914759.640000001 |
6115004.2699999996 |
1026641.06 |
301719.38 |
|
OTHER 364 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
|
|
|
1745886.8649999998 |
273675.00499999523 |
17024.919999999925 |
256650.08999999613 |
245867.83999999985 |
25824.740000000224 |
1788.7399999999907 |
193.67999999999302 |
TOTAL AMOUNTS FOR ALL 389 BKS & TCs WITH DERIVATIVES |
|
|
|
4551759.64 |
37631799.350000001 |
3470751.73 |
34161047.619999997 |
30160627.48 |
6140829.0099999998 |
1028429.8 |
301913.06 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
TOP 25 COMMERCIAL BANKS & TC: % OF ALL 389 BKS &TCs WITH DERIVATIVES |
|
|
|
|
99.272755994326388 |
9.1776818266862925 |
90.095074154353455 |
79.493301294932621 |
16.249566525178658 |
2.7281211043128075 |
0.80176708318891476 |
OTHER 364 COMMERCIAL BANKS & TCS: % OF ALL 389 BKS &TCs WITH DERIVATIVES |
|
|
|
|
0.72724400567360914 |
4.5240781185234308E-2 |
0.68200323777501248 |
0.65335127271824123 |
6.8624781291517542E-2 |
4.7532672657067364E-3 |
5.1467111152098816E-4 |
TOTAL AMOUNTS FOR ALL 389 BKS & TCS: % OF ALL 389 BKS & TCs WITH DERIVATIVES |
|
|
|
|
100 |
9.2229226078715261 |
90.777077392128461 |
80.146652567650861 |
16.318191306470176 |
2.7328743715785144 |
0.8022817543004358 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Note: Currently, the Call Report does not differentiate credit derivatives by over the counter or exchange traded. Credit derivatives have been included in the "over the counter" category as well as in the sum of total derivatives here. |
|
|
|
|
|
|
|
|
|
|
|
Note: "Foreign Exchange" does not include spot fx. |
|
|
|
|
|
|
|
|
|
|
|
Note: "Other" is defined as the sum of commodity and equity contracts. |
|
|
|
|
|
|
|
|
|
|
|
Note: Before the first quarter of 1995 total derivatives included spot foreign exchange. Beginning in the first quarter, 1995, spot foreign exchange was reported separately. |
|
|
|
|
|
|
|
|
|
|
|
Note: Numbers may not add due to rounding. |
|
|
|
|
|
|
|
|
|
|
|
Data source: Call Report, schedule RC-L |
|
|
|
|
|
|
|
|
|
|
|
65
600
600
75
28
3
33
12
False
False
TABLE 4 |
|
CREDIT EQUIVALENT EXPOSURE OF THE 25 |
COMMERCIAL BANKS AND TRUST COMPANIES WITH THE MOST OFF BALANCE SHEET DERIVATIVES CONTRACTS |
MARCH 31, 2000, $ MILLIONS, RATIOS IN PERCENT |
NOTE:DATA ARE PRELIMINARY |
|
|
|
|
|
BILATERALLY |
FUTURE |
TOTAL CREDIT |
TOTAL CREDIT |
|
|
|
|
|
NETTED |
EXPOSURE |
EXPOSURE |
EXPOSURE |
|
|
|
TOTAL |
TOTAL |
CURRENT |
(NEW RBC |
FROM ALL |
TO CAPITAL |
RANK |
BANK NAME |
STATE |
ASSETS |
DERIVATIVES |
EXPOSURE |
ADD ON) |
CONTRACTS |
RATIO |
|
|
(%) |
1 |
CHASE MANHATTAN BANK |
NY |
312205 |
13346628 |
35356 |
76549.524999999994 |
111905.52499999999 |
419.54214428313009 |
2 |
MORGAN GUARANTY TR CO OF NY |
NY |
182972.057 |
9338141.7340000011 |
50946.300999999999 |
70957.036699999997 |
121903.3377 |
872.858130490608 |
3 |
BANK OF AMERICA NA |
NC |
585373 |
6465602 |
38871 |
42791.084999999999 |
81662.084999999992 |
146.33819782820734 |
4 |
CITIBANK N A |
NY |
337958 |
4506836 |
24508 |
33123.535000000003 |
57631.535000000003 |
180.63709237505242 |
5 |
BANK ONE NATIONAL ASSN |
IL |
101026.356 |
926773.152 |
3100.7640000000001 |
6659.4222600000003 |
9760.1862600000004 |
106.60898960964488 |
6 |
FIRST UNION NATIONAL BANK |
NC |
231716 |
899042 |
4317 |
2957.5650000000001 |
7274.5650000000005 |
33.336762680756777 |
7 |
BANK OF NEW YORK |
NY |
72954.027000000002 |
363352.56800000003 |
752.51499999999999 |
722.62293 |
1475.1379299999999 |
21.550856690634088 |
8 |
FLEET NATIONAL BANK |
RI |
148841 |
288520 |
2926 |
1609.115 |
4535.1149999999998 |
27.858306479057351 |
9 |
HSBC BANK USA |
NY |
82270.46 |
208792.41800000001 |
1111.41 |
1440.2262650000002 |
2551.6362650000001 |
28.073469423545752 |
10 |
WELLS FARGO BANK NA |
CA |
99155 |
201524 |
418 |
421.72 |
839.72 |
8.2503347596515972 |
11 |
BANKERS TRUST CO |
NY |
46280 |
192244 |
2306 |
2058.57 |
4364.57 |
65.565931800206243 |
12 |
STATE STREET BANK&TRUST CO |
MA |
56234.650999999998 |
139245.56599999999 |
1606.9280000000001 |
1584.8427350000004 |
3191.7707350000005 |
105.77649183901599 |
13 |
KEYBANK NATIONAL ASSN |
OH |
75300.948000000004 |
64994.733 |
554.04 |
289.80593499999998 |
843.84593499999994 |
10.379231339095185 |
14 |
NATIONAL CITY BANK |
OH |
34586.796000000002 |
59972.373000000007 |
614.53499999999997 |
271.25926000000004 |
885.79426000000001 |
27.119351397902022 |
15 |
MELLON BANK NATIONAL ASSN |
PA |
39321.468999999997 |
58963.599000000002 |
669.56500000000005 |
404.56985999999995 |
1074.1348600000001 |
23.723128427164124 |
16 |
PNC BANK NATIONAL ASSN |
PA |
66820.251999999993 |
55839.154000000002 |
364.452 |
241.70619500000001 |
606.15819499999998 |
9.0824299348288449 |
17 |
LASALLE BANK NATIONAL ASSN |
IL |
46216.79 |
37613.951999999997 |
68.272000000000006 |
281.35543000000001 |
349.62743 |
7.9696456457464091 |
18 |
CHASE MANHATTAN BANK USA NA |
DE |
34340.171000000002 |
34633.641000000003 |
160.17099999999999 |
150.56124500000001 |
310.73224500000003 |
7.3990188909448253 |
19 |
SUNTRUST BANK |
GA |
93146.103000000003 |
34228.794999999998 |
520.81299999999999 |
235.53808500000002 |
756.35108500000001 |
8.0996756423762584 |
20 |
FIRST TENNESSEE BANK NA |
TN |
19158.892 |
31531.962 |
11.742000000000001 |
137.77250000000001 |
149.5145 |
10.144837607927297 |
21 |
WACHOVIA BANK NATIONAL ASSN |
NC |
64274.561999999998 |
30242.678 |
388.16399999999999 |
315.17512499999998 |
703.33912499999997 |
8.1303815590361843 |
22 |
CITIBANK SOUTH DAKOTA N A |
SD |
15312.698 |
23307.73 |
0.35499999999999998 |
69.627139999999997 |
69.982140000000001 |
3.6172542278325155 |
23 |
NORTHERN TRUST CO |
IL |
27722.636999999999 |
20060.285 |
185.32900000000001 |
150.93671000000001 |
336.26571000000001 |
14.420035472702057 |
24 |
CHASE BANK OF TEXAS NA |
TX |
25358.772000000001 |
15853.78 |
288.80200000000002 |
113.686615 |
402.48861500000004 |
17.243905338778422 |
25 |
CITIBANK NEVADA NA |
NV |
7327.134 |
14180.225 |
0 |
64.073849999999993 |
64.073849999999993 |
6.0737993084759401 |
|
|
|
|
|
|
|
|
|
|
|
|
|
Average% |
TOP 25 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
2805872.7749999999 |
37358124.345000006 |
170046.15800000002 |
243601.33384000001 |
413647.49183999997 |
86.8 |
OTHER 364 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
1745886.8649999998 |
273675.00499999523 |
2208.7919999999867 |
1639.2561599999899 |
3848.0481600000057 |
N/A |
TOTAL AMOUNTS FOR ALL 389 BKS & TCs WITH DERIVATIVES |
|
|
4551759.64 |
37631799.350000001 |
172254.95 |
245240.59 |
417495.54 |
7.13 |
|
|
|
|
|
Commercial banks also hold on-balance sheet assets in volumes that are multiples of bank capital. For example: |
|
|
|
|
EXPOSURE TO RISK |
|
|
EXPOSURES FROM OTHER ASSETS |
BASED CAPITAL: |
|
|
ALL COMMERCIAL BANKS |
ALL BANKS |
|
|
1-4 FAMILY MORTGAGES |
1.5256000000000001 |
|
|
C&I LOANS |
1.7709999999999999 |
|
|
SECURITIES NOT IN TRADING ACCOUNT |
1.8686 |
|
|
|
|
|
Note: The numbers reported above for future credit exposures reflect gross add-ons. |
|
Note: The total credit exposure to capital ratio is calculated using risk based capital (tier one plus tier two capital). |
|
Note: Currently, the Call Report does not differentiate credit derivatives by contract type. Credit derivatives have been included in the sum of total derivatives here. |
|
Note: Before the first quarter of 1995 total derivatives included spot foreign exchange. Beginning in the first quarter, 1995, spot foreign exchange was reported separately. |
|
|
|
Source: Call Report Schedule RC-R |
|
|
|
|
|
|
|
|
60
600
600
75
3
32
10
False
False
TABLE 5 |
|
|
NOTIONAL AMOUNTS OF OFF BALANCE SHEET DERIVATIVES CONTRACTS HELD FOR TRADING OF THE 7 |
COMMERCIAL BANKS AND TRUST COMPANIES WITH THE MOST OFF BALANCE SHEET DERIVATIVES CONTRACTS |
MARCH 31, 2000, $ MILLIONS, RATIOS IN PERCENT |
NOTE: DATA ARE PRELIMINARY |
|
|
|
|
|
|
TOTAL |
% |
TOTAL |
% |
|
|
|
|
|
|
HELD FOR |
HELD FOR |
NOT |
NOT |
|
|
|
|
TOTAL |
TOTAL |
TRADING |
TRADING |
TRADED |
TRADED |
|
RANK |
BANK NAME |
STATE |
ASSETS |
DERIVATIVES |
& MTM |
& MTM |
MTM & NOT MTM |
MTM & NOT MTM |
|
|
|
|
1 |
CHASE MANHATTAN BANK |
NY |
312205 |
13320317 |
13030036 |
97.820765076386692 |
290281 |
2.1792349236133042 |
|
2 |
MORGAN GUARANTY TR CO OF NY |
NY |
182972.057 |
9162323.7780000009 |
9106948.4719999991 |
99.395619415535549 |
55375.311000000002 |
0.60438063903574035 |
|
3 |
BANK OF AMERICA NA |
NC |
585373 |
6430597 |
6315099 |
98.20393036602978 |
115498 |
1.7960696339702209 |
|
4 |
CITIBANK N A |
NY |
337958 |
4460709 |
4319046 |
96.824204403380719 |
141532 |
3.1728588437398626 |
|
5 |
BANK ONE NATIONAL ASSN |
IL |
101026.356 |
926523.05200000003 |
918527.32299999997 |
99.137017801905685 |
7995.7290000000003 |
0.86298219809430066 |
|
6 |
FIRST UNION NATIONAL BANK |
NC |
231716 |
890510 |
567357 |
63.711468708942064 |
323153 |
36.288531291057936 |
|
7 |
BANK OF NEW YORK |
NY |
72954.027000000002 |
363027.56800000003 |
358942.56900000002 |
98.874741380522366 |
4084.9989999999998 |
1.1252586194776257 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
TOP 7 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
1824204.44 |
35554007.398000002 |
34615956.364 |
97.361616586565788 |
937920.03899999999 |
2.6380149739541321 |
|
OTHER 382 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
2727555.1999999997 |
1775878.8819999993 |
1080130.8559999987 |
60.822326733428611 |
693449.85099999991 |
39.048262695653825 |
|
TOP 25 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
2805872.78 |
37056404.969999999 |
35618963.869999997 |
96.120937524393639 |
1435420.06 |
3.8736085196663916 |
|
OTHER 364 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
1745886.8599999999 |
273481.31000000238 |
77123.35000000149 |
28.200592574315525 |
195949.82999999984 |
71.650172364611734 |
|
TOTAL AMOUNTS FOR ALL 389 BKS & TCs WITH DERIVATIVES |
|
|
|
4551759.64 |
37329886.280000001 |
35696087.219999999 |
95.623348413800741 |
1631369.89 |
4.3701442800109165 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Note: Currently, the Call Report does not differentiate between traded and non-traded credit derivatives. Credit derivatives have been excluded from the sum of total derivatives here. |
|
Note: In previous quarters, total derivatives included spot foreign exchange. Beginning in the first quarter, 1995, spot foreign exchange is reported separately. |
|
Data source: Call Report, schedule RC-L |
|
|
|
|
|
|
|
|
|
73
600
600
75
3
13
3
False
False
TABLE 6 |
|
GROSS FAIR VALUES OF OFF BALANCE SHEET DERIVATIVE CONTRACTS OF THE 7 |
COMMERCIAL BANKS AND TRUST COMPANIES WITH THE MOST OFF BALANCE SHEET DERIVATIVE CONTRACTS |
MARCH 31, 2000, $ MILLIONS |
NOTE: DATA ARE PRELIMINARY |
|
|
|
|
|
|
TRADED : |
TRADED : |
NOT TRADED : |
NOT TRADED : |
|
|
|
|
|
|
(MTM) |
(MTM) |
(MTM & NOT MTM) |
(MTM & NOT MTM) |
|
|
|
|
|
|
GROSS |
GROSS |
GROSS |
GROSS |
|
|
|
|
TOTAL |
TOTAL |
POSITIVE |
NEGATIVE |
POSITIVE |
NEGATIVE |
|
RANK |
BANK NAME |
STATE |
ASSETS |
DERIVATIVES |
FAIR VALUE* |
FAIR VALUE** |
FAIR VALUE* |
FAIR VALUE** |
|
|
|
|
1 |
CHASE MANHATTAN BANK |
NY |
312205 |
13320317 |
124065 |
119583 |
823 |
1230 |
|
2 |
MORGAN GUARANTY TR CO OF NY |
NY |
182972.057 |
9162323.7780000009 |
139994.15700000001 |
139101.30300000001 |
803.33400000000006 |
580.40499999999997 |
|
3 |
BANK OF AMERICA NA |
NC |
585373 |
6430597 |
73999 |
75072 |
506 |
1725 |
|
4 |
CITIBANK N A |
NY |
337958 |
4460709 |
54702 |
52947 |
356 |
783 |
|
5 |
BANK ONE NATIONAL ASSN |
IL |
101026.356 |
926523.05200000003 |
10705.307000000001 |
10660.739 |
151.72499999999999 |
19.273 |
|
6 |
FIRST UNION NATIONAL BANK |
NC |
231716 |
890510 |
4721 |
4333 |
1491 |
1005 |
|
7 |
BANK OF NEW YORK |
NY |
72954.027000000002 |
363027.56800000003 |
2964.451 |
3319.873 |
96.418000000000006 |
72.141999999999996 |
|
|
|
|
|
|
|
|
TOP 7 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
1824204.44 |
35554007.398000002 |
411150.91500000004 |
405016.91500000004 |
4227.476999999999 |
5414.82 |
|
OTHER 382 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
2727555.1999999997 |
1775878.8819999993 |
17339.784999999974 |
16918.584999999963 |
4295.8230000000003 |
7682.1399999999994 |
|
TOTAL AMOUNTS FOR ALL 389 BKS & TCs WITH DERIVATIVES |
|
|
4551759.64 |
37329886.280000001 |
428490.7 |
421935.5 |
8523.3 |
13096.96 |
|
|
|
|
|
Note: Currently, the Call Report does not differentiate credit derivatives by gross negative and positive fair values. Credit derivatives have been excluded from the sum of total derivatives here. |
|
|
Note: Before the first quarter of 1995 total derivatives included spot foreign exchange. Beginning in the first quarter, 1995, spot foreign exchange was reported separately. |
|
|
*Market value of contracts that have a positive fair value as of the end of the first quarter, 2000. |
|
|
**Market value of contracts that have a negative fair value as of the end of the first quarter, 2000. |
|
|
Note: Numbers may not sum due to rounding. |
|
|
Data source: Call Report, schedule RC-L |
|
|
|
|
|
|
|
|
74
600
600
75
3
19
10
False
False
TABLE 7 |
|
TRADING REVENUE FROM CASH INSTRUMENTS AND OFF BALANCE SHEET DERIVATIVES OF THE 7 |
COMMERCIAL BANKS AND TRUST COMPANIES WITH THE MOST OFF BALANCE SHEET DERIVATIVE CONTRACTS |
MARCH 31, 2000, $ MILLIONS |
|
|
|
|
|
|
|
|
|
|
|
NOTE: REVENUE FIGURES ARE FOR FIRST QUARTER (NOT YEAR-TO-DATE) |
DATA ARE PRELIMINARY |
|
|
|
|
|
|
TOTAL TRADING |
TRADING REV |
TRADING REV |
TRADING REV |
TRADING REV |
|
|
|
REV FROM CASH & |
FROM |
FROM |
FROM |
FROM |
|
TOTAL |
TOTAL |
OFF BAL SHEET |
INT RATE |
FOREIGN EXCH |
EQUITY |
COMMOD & OTH |
|
RANK |
BANK NAME |
STATE |
ASSETS |
DERIVATIVES |
POSITIONS |
POSITIONS |
POSITIONS |
POSITIONS |
POSITIONS |
|
|
|
|
|
|
|
|
|
1 |
CHASE MANHATTAN BANK |
NY |
312205 |
13320317 |
832 |
338 |
286 |
38 |
170 |
|
|
2 |
MORGAN GUARANTY TR CO OF NY |
NY |
182972.057 |
9162323.7780000009 |
897.13400000000001 |
552.86 |
63.847000000000001 |
296.89699999999999 |
-16.47 |
|
|
3 |
BANK OF AMERICA NA |
NC |
585373 |
6430597 |
616 |
327 |
155 |
119 |
15 |
|
|
4 |
CITIBANK N A |
NY |
337958 |
4460709 |
755 |
210 |
384 |
161 |
0 |
|
|
5 |
BANK ONE NATIONAL ASSN |
IL |
101026.356 |
926523.05200000003 |
52.172999999999995 |
29.902999999999999 |
19.744 |
1.5069999999999999 |
1.0189999999999999 |
|
|
6 |
FIRST UNION NATIONAL BANK |
NC |
231716 |
890510 |
74 |
58 |
17 |
-1 |
0 |
|
|
7 |
BANK OF NEW YORK |
NY |
72954.027000000002 |
363027.56800000003 |
69.194000000000003 |
9.3729999999999993 |
59.823999999999998 |
-3.0000000000000001E-3 |
0 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
TOP 7 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
1824204.44 |
35554007.398000002 |
3295.5009999999997 |
1525.1360000000002 |
985.41499999999996 |
615.40099999999984 |
169.54900000000001 |
OTHER 382 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
2727555.1999999997 |
1775878.8819999993 |
543.94900000000007 |
181.91399999999976 |
352.875 |
8.4960000000002083 |
0.65899999999999181 |
TOTAL AMOUNTS FOR ALL 389 BKS & TCs WITH DERIVATIVES |
|
|
|
4551759.64 |
37329886.280000001 |
3839.45 |
1707.05 |
1338.29 |
623.89700000000005 |
170.208 |
|
|
|
|
|
|
|
|
Note: Currently, the Call Report does not include trading revenues from credit derivatives. Credit derivatives have been excluded from the sum of total derivatives here. |
|
Note: Trading revenue is defined here as "trading revenue from cash instruments and off balance sheet derivative instruments." |
|
Note: Before the first quarter of 1995 total derivatives included spot foreign exchange. Beginning in the first quarter, 1995, spot foreign exchange was reported separately. |
|
Note: Numbers may not sum due to rounding. |
|
Data source: Call Report, schedule RC-I |
|
|
|
|
|
|
|
|
|
|
67
600
600
75
1
3
22
11
False
False
TABLE 8 |
NOTIONAL AMOUNT OF OFF BALANCE SHEET DERIVATIVES CONTRACTS BY CONTRACT TYPE & MATURITY FOR THE 7 |
COMMERCIAL BANKS AND TRUST COMPANIES WITH THE MOST OFF BALANCE DERIVATIVE CONTRACTS |
MARCH 31, 2000, $ MILLIONS |
NOTE: DATA ARE PRELIMINARY |
|
|
|
|
|
|
INT RATE |
INT RATE |
INT RATE |
INT RATE |
FOREIGN EXCH |
FOREIGN EXCH |
FOREIGN EXCH |
FOREIGN EXCH |
|
TOTAL |
TOTAL |
MATURITY |
MATURITY |
MATURITY |
ALL |
MATURITY |
MATURITY |
MATURITY |
ALL |
|
RANK |
BANK NAME |
STATE |
ASSETS |
DERIVATIVES |
< 1 YR |
1 - 5 YRS |
> 5 YRS |
MATURITIES |
< 1 YR |
1 - 5 YRS |
> 5 YRS |
MATURITIES |
|
|
|
|
|
|
1 |
CHASE MANHATTAN BANK |
NY |
312205 |
13320317 |
4124844 |
4079488 |
1602048 |
9806380 |
1222208 |
157831 |
71352 |
1451391 |
|
2 |
MORGAN GUARANTY TR CO OF NY |
NY |
182972.057 |
9162323.7780000009 |
1213070.27 |
2110309.48 |
1477037.96 |
4800417.71 |
614171.65500000003 |
160645.185 |
108749.738 |
883566.5780000001 |
|
3 |
BANK OF AMERICA NA |
NC |
585373 |
6430597 |
1915744 |
1450467 |
956803 |
4323014 |
696629 |
54779 |
23471 |
774879 |
|
4 |
CITIBANK N A |
NY |
337958 |
4460709 |
1324286 |
492447 |
291164 |
2107897 |
1496776 |
96050 |
33844 |
1626670 |
|
5 |
BANK ONE NATIONAL ASSN |
IL |
101026.356 |
926523.05200000003 |
166853.84099999999 |
302693.28899999999 |
195588.201 |
665135.33100000001 |
76001.069000000003 |
12283.601000000001 |
4601.5280000000002 |
92886.198000000004 |
|
6 |
FIRST UNION NATIONAL BANK |
NC |
231716 |
890510 |
226973 |
111946 |
132706 |
471625 |
10391 |
2279 |
963 |
13633 |
|
7 |
BANK OF NEW YORK |
NY |
72954.027000000002 |
363027.56800000003 |
47220.139000000003 |
70100.168000000005 |
24423.155999999999 |
141743.46299999999 |
550.43499999999995 |
0 |
0 |
550.43499999999995 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
TOP 7 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
1824204.44 |
35554007.398000002 |
9018991.25 |
8617450.9370000008 |
4679770.3170000007 |
22316212.504000001 |
4116727.1590000005 |
483867.78600000002 |
242981.266 |
4843576.2109999992 |
OTHER 382 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
2727555.1999999997 |
1775878.8819999993 |
265786.01999999955 |
489736.31299999915 |
172617.59299999941 |
928139.92599999905 |
280733.94099999918 |
33814.494000000006 |
2658.3839999999909 |
317206.81900000107 |
TOTAL AMOUNTS FOR ALL 389 BKS & TCs WITH DERIVATIVES |
|
|
|
4551759.64 |
37329886.280000001 |
9284777.2699999996 |
9107187.25 |
4852387.91 |
23244352.43 |
4397461.1 |
517682.28 |
245639.65 |
5160783.03 |
|
|
|
|
|
|
Note: Currently, the Call Report does not include maturity breakouts for credit derivatives. Credit derivatives have been excluded from the sum of total derivatives here. |
|
Note: Before the first quarter of 1995 total derivatives included spot foreign exchange. Beginning in the first quarter, 1995, spot foreign exchange was reported separately. |
|
Note: Figures above exclude foreign exchange contracts with an original maturity of 14 days or less, futures contracts, written options, basis swaps, and any contracts not subject to risk-based capital requirements. |
|
Data source: Call Report, schedule RC-R |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
55
600
600
75
3
19
14
False
False
TABLE 9 |
NOTIONAL AMOUNT OF OFF BALANCE SHEET DERIVATIVES CONTRACTS BY CONTRACT TYPE & MATURITY FOR THE 7 |
COMMERCIAL BANKS AND TRUST COMPANIES WITH THE MOST OFF BALANCE DERIVATIVE CONTRACTS |
MARCH 31, 2000, $ MILLIONS |
NOTE: DATA ARE PRELIMINARY |
|
|
|
|
|
GOLD |
GOLD |
GOLD |
GOLD |
PREC METALS |
PREC METALS |
PREC METALS |
PREC METALS |
|
|
|
TOTAL |
TOTAL |
MATURITY |
MATURITY |
MATURITY |
ALL |
MATURITY |
MATURITY |
MATURITY |
ALL |
RANK |
BANK NAME |
STATE |
ASSETS |
DERIVATIVES |
< 1 YR |
1 - 5 YRS |
> 5 YRS |
MATURITIES |
< 1 YR |
1 - 5 YRS |
> 5 YRS |
MATURITIES |
|
|
|
|
|
|
|
|
|
|
|
|
|
1 |
CHASE MANHATTAN BANK |
NY |
312205 |
13320317 |
11286 |
14067 |
6167 |
31520 |
257 |
75 |
0 |
332 |
2 |
MORGAN GUARANTY TR CO OF NY |
NY |
182972.057 |
9162323.7780000009 |
24503.862000000001 |
7992.6589999999997 |
3838.7919999999999 |
36335.313000000002 |
635.62 |
305.346 |
197.82 |
1138.7860000000001 |
3 |
BANK OF AMERICA NA |
NC |
585373 |
6430597 |
0 |
0 |
0 |
0 |
346 |
41 |
0 |
387 |
4 |
CITIBANK N A |
NY |
337958 |
4460709 |
4739 |
4254 |
2838 |
11831 |
70 |
5 |
0 |
75 |
5 |
BANK ONE NATIONAL ASSN |
IL |
101026.356 |
926523.05200000003 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
6 |
FIRST UNION NATIONAL BANK |
NC |
231716 |
890510 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
7 |
BANK OF NEW YORK |
NY |
72954.027000000002 |
363027.56800000003 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
TOP 7 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
|
|
1824204.44 |
35554007.398000002 |
40528.862000000001 |
26313.659 |
12843.791999999999 |
79686.312999999995 |
1308.62 |
426.346 |
197.82 |
1932.7860000000001 |
OTHER 382 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
|
|
2727555.1999999997 |
1775878.8819999993 |
12254.328000000001 |
3217.6909999999989 |
383.75799999999981 |
15855.777000000016 |
2030.3600000000001 |
60.963999999999999 |
0 |
2091.3240000000001 |
TOTAL AMOUNTS FOR ALL 389 BKS & TCs WITH DERIVATIVES |
|
|
4551759.64 |
37329886.280000001 |
52783.19 |
29531.35 |
13227.55 |
95542.090000000011 |
3338.98 |
487.31 |
197.82 |
4024.11 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Note: Currently, the Call Report does not include maturity breakouts for credit derivatives. Credit derivatives have been excluded from the sum of total derivatives here. |
|
|
|
|
|
|
|
|
|
|
|
|
Note: Before the first quarter of 1995 total derivatives included spot foreign exchange. Beginning in the first quarter, 1995, spot foreign exchange was reported separately. |
|
|
|
|
|
|
|
|
|
|
|
|
Note: Figures above exclude foreign exchange contracts with an original maturity of 14 days or less, futures contracts, written options, basis swaps, and any contracts not subject to risk-based capital requirements. |
|
|
|
|
|
|
|
|
|
|
|
|
Data source: Call Report, schedule RC-R |
|
|
|
|
|
|
|
|
|
|
|
|
61
600
600
75
8
3
17
5
R18C6:R24C14
False
False
TABLE 10 |
NOTIONAL AMOUNT OF OFF BALANCE SHEET DERIVATIVES CONTRACTS BY CONTRACT TYPE & MATURITY FOR THE 7 |
COMMERCIAL BANKS AND TRUST COMPANIES WITH THE MOST OFF BALANCE DERIVATIVE CONTRACTS |
MARCH 31, 2000, $ MILLIONS |
NOTE: DATA ARE PRELIMINARY |
|
|
|
|
|
OTHER COMM |
OTHER COMM |
OTHER COMM |
OTHER COMM |
EQUITY |
EQUITY |
EQUITY |
EQUITY |
|
TOTAL |
TOTAL |
MATURITY |
MATURITY |
MATURITY |
ALL |
MATURITY |
MATURITY |
MATURITY |
ALL |
RANK |
BANK NAME |
STATE |
ASSETS |
DERIVATIVES |
< 1 YR |
1 - 5 YRS |
> 5 YRS |
MATURITIES |
< 1 YR |
1 - 5 YRS |
> 5 YRS |
MATURITIES |
|
|
|
|
|
1 |
CHASE MANHATTAN BANK |
NY |
312205 |
13320317 |
8607 |
14531 |
1702 |
24840 |
14940 |
18863 |
892 |
34695 |
2 |
MORGAN GUARANTY TR CO OF NY |
NY |
182972.057 |
9162323.7780000009 |
1621.212 |
3543.922 |
1315.894 |
6481.0280000000002 |
84929.793999999994 |
74820.191000000006 |
30392.607 |
190142.59199999998 |
3 |
BANK OF AMERICA NA |
NC |
585373 |
6430597 |
17738 |
5466 |
8373 |
31577 |
33094 |
42953 |
5865 |
81912 |
4 |
CITIBANK N A |
NY |
337958 |
4460709 |
1533 |
2522 |
831 |
4886 |
22554 |
17657 |
1607 |
41818 |
5 |
BANK ONE NATIONAL ASSN |
IL |
101026.356 |
926523.05200000003 |
544.43799999999999 |
414.79300000000001 |
88.525999999999996 |
1047.7570000000001 |
4091.66 |
1622.25 |
0.5 |
5714.41 |
6 |
FIRST UNION NATIONAL BANK |
NC |
231716 |
890510 |
14 |
0 |
0 |
14 |
528 |
901 |
120 |
1549 |
7 |
BANK OF NEW YORK |
NY |
72954.027000000002 |
363027.56800000003 |
0 |
0 |
0 |
0 |
0 |
3.38 |
0 |
3.38 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
TOP 7 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
1824204.44 |
35554007.398000002 |
30057.649999999998 |
26477.715 |
12310.42 |
68845.784999999989 |
160137.454 |
156819.821 |
38877.107000000004 |
355834.38199999993 |
OTHER 382 COMMERCIAL BANKS & TCs WITH DERIVATIVES |
2727555.1999999997 |
1775878.8819999993 |
3174.6500000000051 |
1714.2249999999985 |
225 |
5113.8750000000146 |
3302.0659999999916 |
4966.5690000000177 |
1334.3729999999996 |
9603.0080000000889 |
TOTAL AMOUNTS FOR ALL 389 BKS & TCs WITH DERIVATIVES |
|
|
4551759.64 |
37329886.280000001 |
33232.3 |
28191.94 |
12535.42 |
73959.66 |
163439.52 |
161786.39 |
40211.48 |
365437.39 |
|
|
|
|
|
|
|
|
Note: Currently, the Call Report does not include maturity breakouts for credit derivatives. Credit derivatives have been excluded from the sum of total derivatives here. |
|
Note: Before the first quarter of 1995 total derivatives included spot foreign exchange. Beginning in the first quarter, 1995, spot foreign exchange was reported separately. |
|
Note: Figures above exclude foreign exchange contracts with an original maturity of 14 days or less, futures contracts, written options, basis swaps, and any contracts not subject to risk-based capital requirements. |
|
Data source: Call Report, schedule RC-R |
|
|
|
|
|
|
|
|
|
|
|
|
58
600
600
75
7
3
8
False
False