ALL FDIC INSURED INSTITUTIONS --- SECOND QUARTER, 2002
Fund Balances and Insured Deposits*
($ Millions)
|
| BIF
Balance
| BIF-Insured
Deposits
|
SAIF
Balance
| SAIF-Insured
Deposits
|
| 12/97 |
28,293 |
2,056,558 |
9,368 |
689,915 |
| 12/98 |
29,612 |
2,134,425 |
9,840 |
716,029 |
| 12/99 |
29,414 |
2,151,454 |
10,281 |
717,591 |
| 12/00 |
30,975 |
2,299,932 |
10,759 |
755,156 |
| 3/01 |
31,426 |
2,371,197 |
10,973 |
768,580 |
| 6/01 |
31,681 |
2,381,111 |
10,792 |
772,428 |
| 9/01 |
31,834 |
2,403,880 |
10,815 |
778,880 |
| 12/01 |
30,439 |
2,408,350 |
10,935 |
802,358 |
| 3/02 |
30,697 |
2,485,809 |
11,049 |
812,769 |
| 6/02 |
31,187 |
2,482,836 |
11,323 |
820,464 |
| * A reserve ratio is the fund balance as
a percentage of estimated insured deposits. As with other Call
Report items, prior periods may reflect adjustments. As a
result, prior period reserve ratios may differ from previously
reported values. Only year end fund balances
are audited by GAO. BIF-insured deposit
totals include U.S. branches of foreign banks. |
|