ASSETS AND LIABILITIES OF CREDIT UNIONS, 2004-2008
($ billions, end of year)
Total financial assets |
$654.7 |
$685.7 |
$716.2 |
$758.7 |
$812.4 |
Reserves at Federal Reserve |
0.0 |
0.0 |
0.0 |
0.0 |
3.8 |
Checkable deposits and currency |
40.2 |
38.1 |
44.4 |
43.3 |
38.5 |
Time and savings deposits |
26.4 |
21.9 |
17.0 |
17.0 |
28.3 |
Federal funds and security repos (1) |
4.1 |
6.7 |
5.1 |
2.5 |
-2.3 |
Credit market instruments |
556.4 |
592.6 |
622.7 |
657.9 |
697.9 |
Open market paper |
0.8 |
0.8 |
1.0 |
0.4 |
0.0 |
U.S. government securities |
102.0 |
94.1 |
79.9 |
78.8 |
91.7 |
Treasury |
8.9 |
7.7 |
7.4 |
10.4 |
8.8 |
Agency- and GSE (2)-backed securities |
93.1 |
86.4 |
72.5 |
68.4 |
82.9 |
Corporate and foreign bonds |
25.0 |
23.5 |
30.6 |
34.6 |
25.7 |
Home mortgages |
213.2 |
245.6 |
276.6 |
308.4 |
345.5 |
Consumer credit |
215.4 |
228.6 |
234.5 |
235.7 |
235.0 |
Mutual fund shares |
3.1 |
2.2 |
2.1 |
2.1 |
2.0 |
Miscellaneous assets |
24.5 |
24.2 |
24.9 |
35.9 |
44.2 |
Total liabilities |
$595.2 |
$622.7 |
$648.7 |
$688.2 |
$742.7 |
Shares/deposits |
574.5 |
596.1 |
620.6 |
652.3 |
697.4 |
Checkable |
74.1 |
81.1 |
72.6 |
73.7 |
75.3 |
Small time and savings |
440.4 |
452.5 |
483.0 |
508.7 |
551.7 |
Large time |
60.0 |
62.5 |
65.0 |
69.9 |
70.4 |
Other loans and advances |
11.4 |
14.7 |
18.9 |
32.3 |
40.6 |
Miscellaneous liabilities |
9.3 |
11.9 |
9.2 |
3.6 |
4.7 |
|
(1) Security repurchase agreements; short-term agreements to sell and repurchase government securities at a specified date and at a set price.
(2) Government-sponsored enterprise.
Source: Board of Governors of the Federal Reserve System, June 11, 2009.
ASSETS AND LIABILITIES OF CREDIT UNIONS, 2005-2009
($ billions, end of year)
Total financial assets |
$685.7 |
$716.2 |
$758.7 |
$812.4 |
$882.7 |
Reserves at Federal Reserve |
0.0 |
0.0 |
0.0 |
4.7 |
22.8 |
Checkable deposits and currency |
38.1 |
44.4 |
43.3 |
37.6 |
39.1 |
Time and savings deposits |
21.9 |
17.0 |
17.0 |
28.3 |
37.8 |
Federal funds and security repos (1) |
6.7 |
5.1 |
2.5 |
-2.3 |
0.1 |
Credit market instruments |
592.6 |
622.7 |
657.9 |
697.9 |
731.0 |
Open market paper |
0.8 |
1.0 |
0.4 |
0.0 |
0.0 |
U.S. government securities |
94.1 |
79.9 |
78.8 |
91.7 |
125.0 |
Treasury |
7.7 |
7.4 |
10.4 |
8.8 |
14.2 |
Agency- and GSE (2)-backed securities |
86.4 |
72.5 |
68.4 |
82.9 |
110.8 |
Corporate and foreign bonds |
23.5 |
30.6 |
34.6 |
25.7 |
18.6 |
Other loans and advances |
25.9 |
26.8 |
26.9 |
29.6 |
32.3 |
Home mortgages |
219.7 |
249.7 |
281.5 |
314.7 |
317.9 |
Consumer credit |
228.6 |
234.5 |
235.7 |
236.2 |
237.2 |
Mutual fund shares |
2.2 |
2.1 |
2.1 |
2.0 |
1.3 |
Miscellaneous assets |
24.2 |
24.9 |
35.9 |
44.2 |
50.6 |
Total liabilities |
$622.7 |
$648.7 |
$688.2 |
$742.7 |
$815.3 |
Shares/deposits |
596.1 |
620.6 |
652.3 |
697.4 |
769.4 |
Checkable |
81.1 |
72.6 |
73.7 |
75.3 |
86.9 |
Small time and savings |
452.5 |
483.0 |
508.7 |
551.7 |
655.1 |
Large time |
62.5 |
65.0 |
69.9 |
70.4 |
27.3 |
Other loans and advances |
14.7 |
18.9 |
32.3 |
40.6 |
26.5 |
Miscellaneous liabilities |
11.9 |
9.2 |
3.6 |
4.7 |
19.4 |
|
(1) Security repurchase agreements; short-term agreements to sell and repurchase government securities at a specified date and at a set price.
(2) Government-sponsored enterprise.
Source: Board of Governors of the Federal Reserve System, June 10, 2010.
ASSETS AND LIABILITIES OF CREDIT UNIONS, 2006-2010
($ billions, end of year)
Total financial assets |
$716.2 |
$758.7 |
$812.4 |
$882.7 |
$912.0 |
Reserves at Federal Reserve |
0.0 |
0.0 |
4.7 |
22.8 |
36.9 |
Checkable deposits and currency |
44.4 |
43.3 |
37.6 |
39.1 |
32.8 |
Time and savings deposits |
17.0 |
17.0 |
28.3 |
37.8 |
43.2 |
Federal funds and security repos (1) |
5.1 |
2.5 |
-2.3 |
0.1 |
0.0 |
Credit market instruments |
622.7 |
657.9 |
697.9 |
731.0 |
744.3 |
Open market paper |
1.0 |
0.4 |
0.0 |
0.0 |
0.0 |
U.S. government securities |
79.9 |
78.8 |
91.7 |
125.0 |
164.0 |
Treasury |
7.4 |
10.4 |
8.8 |
14.2 |
18.4 |
Agency- and GSE (2)-backed securities |
72.5 |
68.4 |
82.9 |
110.8 |
145.6 |
Corporate and foreign bonds |
30.6 |
34.6 |
25.7 |
18.6 |
0.0 |
Other loans and advances |
26.8 |
26.9 |
29.6 |
32.3 |
33.1 |
Home mortgages |
249.7 |
281.5 |
314.7 |
317.9 |
320.8 |
Consumer credit |
234.5 |
235.7 |
236.2 |
237.2 |
226.5 |
Mutual fund shares |
2.1 |
2.1 |
2.0 |
1.3 |
1.5 |
Miscellaneous assets |
24.9 |
35.9 |
44.2 |
50.6 |
53.4 |
Total liabilities |
$648.7 |
$688.2 |
$742.7 |
$815.3 |
$840.9 |
Shares/deposits |
620.6 |
652.3 |
697.4 |
769.4 |
803.8 |
Checkable |
72.6 |
73.7 |
75.3 |
86.9 |
92.4 |
Small time and savings |
483.0 |
508.7 |
551.7 |
655.1 |
681.3 |
Large time |
65.0 |
69.9 |
70.4 |
27.3 |
30.1 |
Other loans and advances |
18.9 |
32.3 |
40.6 |
26.5 |
26.1 |
Miscellaneous liabilities |
9.2 |
3.6 |
4.7 |
19.4 |
11.0 |
|
(1) Security repurchase agreements; short-term agreements to sell and repurchase government securities at a specified date and at a set price.
(2) Government-sponsored enterprise.
Source: Board of Governors of the Federal Reserve System, June 9, 2011.