Most recent year Previous year
Cash and due from depository institutions 345,000 358,000
U.S. Treasury securities 176,000 178,000
Other securities 339,000 343,000
Pledged securities 287,000 223,000
Federal funds sold and reverse repurchase agreements 175,000 131,000
Loans and leases net 2,148,000 1,948,000
Total assets 3,500,000 3,250,000 3,470,000 3,181,000
Demand deposits 600,000 556,000
Savings deposits 730,000 721,000
Time deposits 1,100,000 853,000 0.700288 0.669601
Total Deposits 2,430,000 2,130,000 2,430,000 2,130,000
Core deposits 850,000 644,000
Brokered deposits 58,000 37,000
Federal funds purchased and repurchase agreements 217,000 237,000
Other money market borrowings 25,000 16,000
Cash position indicator 9.86% 11.02%
Liquid securities indicator 5.03% 5.48%
Net federal funds and repurchase agreement position -1.20% -3.26%
Capacity ratio 61.37% 59.94%
pledged securities ratio 55.73% 42.80%
Hot money ratio (not enough information)
Deposit brokerage index 2.39% 1.74%
Core deposit ratio 24.29% 19.82%
Deposit composition ratio 54.55% 65.18%