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Crestar Bank MD, Securities
1995-12-31 | Rank | |
Total securities | $216,836,000 | 624 |
U.S. Government securities | $159,875,000 | 672 |
U.S. Treasury securities | $19,960,000 | 1,447 |
U.S. Government agency obligations | $139,915,000 | 589 |
Securities issued by states & political subdivisions | $0 | 9,009 |
Other domestic debt securities | $55,119,000 | 223 |
Privately issued residential mortgage-backed securities | $26,218,000 | 198 |
Commercial mortgage-backed securities - Total | NA | NA |
Asset backed securities | NA | NA |
Structured financial products - Total | NA | NA |
Other domestic debt securities - All other | $28,901,000 | 193 |
Foreign debt securities | $0 | 553 |
Equity securities | $1,842,000 | 1,504 |
Assets held in trading accounts for TFR Reporters | NA | NA |
General valuation allowances for securities for TFR Reporters | NA | NA |
Memoranda: | ||
Pledged securities | $109,464,000 | 398 |
Mortgage-backed securities | $156,133,000 | 447 |
Certificates of participation in pools of residential mortgages | $85,453,000 | 466 |
Issued or guaranteed by U.S. | $85,453,000 | 453 |
Privately issued | $0 | 558 |
Collaterized mortgage obligations | $70,680,000 | 357 |
CMOs issued by government agencies or sponsored agencies | $44,462,000 | 442 |
Privately issued | $26,218,000 | 122 |
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) | $1,571,000 | 6,960 |
Available-for-sale securities (fair market value) | $215,265,000 | 458 |
Total debt securities | $214,994,000 | 614 |
Structured notes | ||
Amortized cost | $10,113,000 | 268 |
Fair value | $10,114,000 | 260 |
Trading account assets | $0 | 261 |
Revaluation gains on off-balance sheet contracts | $0 | 85 |
Revaluation losses on off-balance sheet contracts | $0 | 79 |
1994-12-31 | Rank | |
Total securities | $267,371,000 | 551 |
U.S. Government securities | $188,016,000 | 617 |
U.S. Treasury securities | $19,301,000 | 1,830 |
U.S. Government agency obligations | $168,715,000 | 492 |
Securities issued by states & political subdivisions | $0 | 9,545 |
Other domestic debt securities | $77,513,000 | 187 |
Privately issued residential mortgage-backed securities | $47,160,000 | 142 |
Commercial mortgage-backed securities - Total | NA | NA |
Asset backed securities | NA | NA |
Structured financial products - Total | NA | NA |
Other domestic debt securities - All other | $30,353,000 | 218 |
Foreign debt securities | $0 | 600 |
Equity securities | $1,842,000 | 1,378 |
Assets held in trading accounts for TFR Reporters | NA | NA |
General valuation allowances for securities for TFR Reporters | NA | NA |
Memoranda: | ||
Pledged securities | $83,114,000 | 474 |
Mortgage-backed securities | $205,950,000 | 387 |
Certificates of participation in pools of residential mortgages | $97,609,000 | 433 |
Issued or guaranteed by U.S. | $97,609,000 | 420 |
Privately issued | $0 | 564 |
Collaterized mortgage obligations | $108,341,000 | 273 |
CMOs issued by government agencies or sponsored agencies | $61,181,000 | 375 |
Privately issued | $47,160,000 | 87 |
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) | $176,091,000 | 471 |
Available-for-sale securities (fair market value) | $91,280,000 | 618 |
Total debt securities | $265,529,000 | 545 |
Structured notes | ||
Amortized cost | NA | NA |
Fair value | NA | NA |
Trading account assets | $0 | 286 |
Revaluation gains on off-balance sheet contracts | $0 | 64 |
Revaluation losses on off-balance sheet contracts | $0 | 62 |
1993-12-31 | Rank | |
Total securities | $315,872,000 | 496 |
U.S. Government securities | $230,545,000 | 536 |
U.S. Treasury securities | $156,732,000 | 260 |
U.S. Government agency obligations | $73,813,000 | 1,017 |
Securities issued by states & political subdivisions | $0 | 9,845 |
Other domestic debt securities | $84,324,000 | 198 |
Privately issued residential mortgage-backed securities | $67,896,000 | 124 |
Commercial mortgage-backed securities - Total | NA | NA |
Asset backed securities | NA | NA |
Structured financial products - Total | NA | NA |
Other domestic debt securities - All other | $16,428,000 | 429 |
Foreign debt securities | $0 | 649 |
Equity securities | $1,003,000 | 2,114 |
Assets held in trading accounts for TFR Reporters | NA | NA |
General valuation allowances for securities for TFR Reporters | NA | NA |
Memoranda: | ||
Pledged securities | $88,093,000 | 428 |
Mortgage-backed securities | $131,709,000 | 547 |
Certificates of participation in pools of residential mortgages | $9,275,000 | 2,600 |
Issued or guaranteed by U.S. | $9,275,000 | 2,573 |
Privately issued | $0 | 731 |
Collaterized mortgage obligations | $122,434,000 | 274 |
CMOs issued by government agencies or sponsored agencies | $54,538,000 | 458 |
Privately issued | $67,896,000 | 60 |
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 | $314,869,000 | 490 |
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 | $278,782,000 | 537 |
U.S. Government securities | $174,815,000 | 638 |
U.S. Treasury securities | $105,747,000 | 354 |
U.S. Government agency obligations | $69,068,000 | 1,040 |
Securities issued by states & political subdivisions | $0 | 9,981 |
Other domestic debt securities | $102,964,000 | 171 |
Privately issued residential mortgage-backed securities | $89,812,000 | 109 |
Commercial mortgage-backed securities - Total | NA | NA |
Asset backed securities | NA | NA |
Structured financial products - Total | NA | NA |
Other domestic debt securities - All other | $13,152,000 | 573 |
Foreign debt securities | $0 | 699 |
Equity securities | $1,003,000 | 1,893 |
Assets held in trading accounts for TFR Reporters | NA | NA |
General valuation allowances for securities for TFR Reporters | NA | NA |
Memoranda: | ||
Pledged securities | $51,301,000 | 606 |
Mortgage-backed securities | $148,880,000 | 484 |
Certificates of participation in pools of residential mortgages | $15,529,000 | 1,835 |
Issued or guaranteed by U.S. | $15,529,000 | 1,800 |
Privately issued | $0 | 831 |
Collaterized mortgage obligations | $133,351,000 | 237 |
CMOs issued by government agencies or sponsored agencies | $43,539,000 | 491 |
Privately issued | $89,812,000 | 48 |
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 | $277,779,000 | 529 |
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 |