NCUA 5300 Call Report Form Detail
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- Stephen Wiggins
- 9 years ago
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1 002 Amount of Leases Receivable Loans Held for Sale Land and Building 2 00 Other Fixed Assets Total Other Assets 2 009A Accrued Interest on Loans 2 009B Accrued Interest on Investments 2 009C All Other Assets 2 009D Total Intangible Assets 2 009D1 Identifiable Intangible Assets 2 009D2 Goodwill 2 009E Non-Trading Derivative Assets, net 2 0 TOTAL ASSETS 2 0 TOTAL ASSETS 11 0 TOTAL ASSETS 12 0A Average of Daily Assets over the calendar quarter 11 0B Average of the three month-end balances over the calendar quarter 11 0C The average of the current and three preceding calendar quarter-end balances A Other Notes, Promissory Notes and Interest Payable < 1 Year 3 011B1 Other Notes, Promissory Notes and Interest Payable 1-3 Years 3 011B2 Other Notes, Promissory Notes and Interest Payable > 3 Years 3 011C Total Other Notes, Promissory Notes and Interest Payable Total Shares 3 013A Total Shares < 1 Year 3 013B1 Total Shares 1-3 Years 3 013B2 Total Shares > 3 Years TOTAL LIABILITIES, SHARES, AND EQUITY 4 01 Total Shares and Deposits 3 01A Total Shares and Deposits < 1 Year 3 01B1 Total Shares and Deposits 1-3 Years 3 01B2 Total Shares and Deposits > 3 Years 3 020A Total number of Delinquent Loans 30 to 59 Days 7 020B Total Delinquent Loans 30 to 59 Days 7 020C Amount of All Other Non-Real Estate Loans 30 to 59 days 7 020C1 Amount of New Vehicle Loans Delinquent 30 to 59 days 7 020C2 Amount of Used Vehicle Loans Delinquent 30 to 59 days 7 020D Leases Receivable 30 to 59 days 7 020E Indirect Lending Delinquency 30 to 59 days 020F Participation Loans Delinquent 30 to 59 days 020G1 Amount of Member Business Loans Secured by Real Estate Delinquent 30 to 59 days 020G2 Amount of Member Business Loans NOT Secured by Real Estate Delinquent 30 to 59 days 020H Delinquent Agricultural Loans 30 to 59 days 020I Amount of Interest Only and Payment Option 1st Mortgage Loans - 30 to 59 days 020M Amount of Interest Only & Payment Option Other RE/LOCs Loans- 30 to 59 days 020N Amount of Residential Construction- excluding Business Purposes & Development- 30 to 59 days 020P1 Amount of Nonmember Business Secured By Real Estate Delinquent 30 to 59 days 020P2 Amount of Nonmember Business NOT Secured By Real Estate Delinquent 30 to 59 Days 020Q Amount of Business Construction & Development Loans- 30 to 59 days 020T Amount of Non-Federally Guaranteed Student Loans - 30 to 59 days 7 020U Amount of TDR Loans secured by First Mortgages 30 to 59 days 020V Amount of TDR Loans secured by Other RE/LOCs 30 to 59 days 020W Amount of TDR RE Loans also reported as business loans 30 to 59 days Page 1 of 42
2 020X Amount of TDR Consumer Loans not secured by real estate 30 to 59 days 020Y Amount of TDR Business Loans not secured by real estate 30 to 59 days 0A Total number of Delinquent Loans 60 to 179 Days 7 0B Total Delinquent Loans 60 to 179 Days 7 0C Amount of all Other Non-Real Estate Loans 60 to 179 days 7 0C1 Amount of New Vehicle Loans Delinquent 60 to 179 days 7 0C2 Amount of Used Vehicle Loans Delinquent 60 to 179 days 7 0D Leases Receivable 60 to 179 days 7 0E Indirect Lending Delinquency 60 to 179 days 0F Participation Loans Delinquent 60 to 179 days 0G1 Amount of Member Business Loans Secured by Real Estate Delinquent 60 to 179 Days 0G2 Amount of Member Business Loans NOT Secured by Real Estate Delinquent 60 to 179 days 0H Delinquent Agricultural Loans 60 to 179 days 0I Amount of Interest Only and Payment Option 1st Mortgage loans 60 to 179 days 0M Amount of Interest Only & Payment Option Other RE/LOCs Loans- 60 to 179 days 0N Amount of Residential Construction- excluding Business Purposes- 60 to 179 days 0P1 Amount of Nonmember Business Secured By Real Estate Delinquent 60 to 179 days 0P2 Amount of Nonmember Business NOT Secured By Real Estate Delinquent 60 to 179 days 0Q Amount of Business Construction & Development Loans- 60 to 179 days 0T Amount of Non-Federally Guaranteed Student Loans - 60 to 179 days 7 0U Amount of TDR Loans secured by First Mortgages 60 to 179 days 0V Amount of TDR Loans secured by Other RE/LOCs 60 to 179 days 0W Amount of TDR RE Loans also reported as business loans 60 to 179 days 0X Amount of TDR Consumer Loans not secured by real estate 60 to 179 days 0Y Amount of TDR Business Loans not secured by real estate 60 to 179 days 0A Total number of Delinquent Loans to 359 Days 7 0B Total Delinquent Loans to 359 Days 7 0C Amount of All Other Non-Real Estate Loans to 359 days 7 0C1 Amount of New Vehicle Loans Delinquent to 359 days 7 0C2 Amount of Used Vehicle Loans Delinquent to 359 days 7 0D Leases Receivable to 359 days 7 0E Indirect Lending Delinquency to 359 days 0F Participation Loans Delinquent to 359 days 0G1 Amount of Member Business Loans Secured by Real Estate Delinquent to 359 days 0G2 Amount of Member Business Loans NOT Secured by Real Estate Delinquent to 359 days 0H Delinquent Agricultural Loans to 359 days 0I Amount of Interest Only and Payment Option 1st Mortgage Loans - to 359 days 0M Amount of Interest Only & Payment Option Other RE/LOCs Loans- to 359 days 0N Amount of Residential Construction- excluding Business Purposes- to 359 days 0P1 Amount of Nonmember Business Secured By Real Estate Delinquent to 359 days 0P2 Amount of Nonmember Business NOT Secured By Real Estate Delinquent to 359 days 0Q Amount of Business Construction & Development Loans- to 359 days 0T Amount of Non-Federally Guaranteed Student Loans - to 359 days 7 0U Amount of TDR Loans secured by First Mortgages to 359 days Page 2 of 42
3 0V Amount of TDR Loans secured by Other RE/LOCs to 359 days 0W Amount of TDR RE Loans also reported as business loans to 359 days 0X Amount of TDR Consumer Loans not secured by real estate to 359 days 0Y Amount of TDR Business Loans not secured by real estate to 359 days 0A Total number of Delinquent Loans >= 360 Days 7 0B Total Delinquent Loans >= 360 Days 7 0C Amount of All Other Non-Real Estate Loans 360 days and over 7 0C1 Amount of New Vehicle Loans Delinquent >=360 days 7 0C2 Amount of Used Vehicle Loans Delinquent >=360 days 7 0D Leases Receivable 360 days and over 7 0E Indirect Lending Delinquency 360 days and over 0F Participation Loans Delinquent 360 days and over 0G1 Amount of Member Business Loans Secured by Real Estate Delinquent >=360 days 0G2 Amount of Member Business Loans NOT Secured by Real Estate Delinquent >=360 days 0H Delinquent Agricultural Loans 360 days and over 0I Amount of Interest Only and Payment Option 1st Mortgage Loans days and over 0M Amount of Interest Only & Payment Option Other RE/LOCs Loans 360 days and over 0N Amount of Residential Construction - excluding Business Purposes- 360 days and over 0P1 Amount of Nonmember Business Secured By Real Estate Delinquent >=360 days 0P2 Amount of Nonmember Business NOT Secured By Real Estate Delinquent >=360 days 0Q Amount of Business Construction & Development Loans- 360 days and over 0T Amount of Non-Federally Guaranteed Student Loans days and over 7 0U Amount of TDR Loans secured by First Mortgages 360 days and over 0V Amount of TDR Loans secured by Other RE/LOCs 360 days and over 0W Amount of TDR RE Loans also reported as business loans 360 days and over 0X Amount of TDR Consumer Loans not secured by real estate 360 days and over 0Y Amount of TDR Business Loans not secured by real estate 360 days and over 0A Number of Unsecured Credit Card loans 30 to 59 days 7 0B Unsecured Credit Card Loans 30 to 59 days 7 025A Total number of Loans and Leases 2 025B Total Amount of Loans and Leases 2 026A Number of Unsecured Credit Card loans 60 to 179 days 7 026B Unsecured Credit Card Loans 60 to 179 days 7 027A Number of Unsecured Credit Card loans to 359 days 7 027B Unsecured Credit Card Loans to 359 days 7 02A Number of Unsecured Credit Card loans 360 days and over 7 02B Unsecured Credit Card Loans 360 days and over 7 029A Number of 1st Mortgage RE Loans/Line of Credit Fixed Rate (including hybrid/balloon 7 >5 yrs) loans 30 to 59 days 029B Number of 1st Mortgage RE Loans/Line of Credit Fixed Rate (including hybrid/balloon 7 >5 yrs) loans 60 to 179 days 029C Number of 1st Mortgage RE Loans/Line of Credit Fixed Rate (including hybrid/balloon 7 >5 yrs) loans to 359 days 029D Number of 1st Mortgage RE Loans/Line of Credit Fixed Rate (including hybrid/balloon 7 >5 yrs) loans 360 days and over 029E Total number of Reportable Mortgage RE Loans/Line of Credit Fixed Rate (including hybrid/balloon >5 yrs) loans 7 Page 3 of 42
4 030A Number of 1st Mortgage RE Loans/Line of Credit Adjustable Rate (including 7 hybrid/balloon 5 yrs or less) loans 30 to 59 days 030B Number of 1st Mortgage RE Loans/Line of Credit Adjustable Rate (including 7 hybrid/balloon 5 yrs or less) loans 60 to 179 days 030C Number of 1st Mortgage RE Loans/Line of Credit Adjustable Rate (including 7 hybrid/balloon 5 yrs or less) loans to 359 days 030D Number of 1st Mortgage RE Loans/Line of Credit Adjustable Rate (including 7 hybrid/balloon 5 yrs or less) loans 360 days and over 030E Total number of Reportable Mortgage RE Loans/Line of Credit Adjustable Rate 7 (including hybrid/balloon 5 yrs or less) loans 031A Number of Loans Granted Year-to-Date 2 031B Amount of Loans Granted Year-to-Date 2 031C Number of Payday Alternative Loans (PAL loans) Granted Year-to-Date (FCU Only) 2 031D Amount of Payday Alternative Loans (PAL loans) Granted Year-to-Date (FCU Only) 2 032A Number of Other RE Loans/Line of Credit Fixed Rate/Hybrid/Balloon loans 30 to 59 7 days 032B Number of Other RE Loans/Line of Credit Fixed Rate/Hybrid/Balloon loans 60 to days 032C Number of Other RE Loans/Line of Credit Fixed Rate/Hybrid/Balloon loans to days 032D Number of Other RE Loans/Line of Credit Fixed Rate/Hybrid/Balloon loans 360 days 7 and over 032E Total number of Reportable Other RE Loans/Line of Credit Fixed Rate/Hybrid/Balloon 7 loans 033A Number of Other RE Loans/Line of Credit Adjustable Rate loans 30 to 59 days 7 033B Number of Other RE Loans/Line of Credit Adjustable Rate loans 60 to 179 days 7 033C Number of Other RE Loans/Line of Credit Adjustable Rate loans to 359 days 7 033D Number of Other RE Loans/Line of Credit Adjustable Rate loans 360 days and over 7 033E Total number of Reportable Other RE Loans/Line of Credit Adjustable Rate 7 loans 034A Number of Leases Receivable loans 30 to 59 days 7 034B Number of Leases Receivable loans 60 to 179 days 7 034C Number of Leases Receivable loans to 359 days 7 034D Number of Leases Receivable loans 360 days and over 7 034E Total number of Reportable Leases Receivable loans 7 035A Number of all other loans 30 to 59 days 7 035A1 Number of New Vehicle Loans Delinquent 30 to 59 days 7 035A2 Number of Used Vehicle Loans Delinquent 30 to 59 days 7 035B Number of all other loans 60 to 179 days 7 035B1 Number of New Vehicle Loans Delinquent 60 to 179 days 7 035B2 Number of New Vehicle Loans Delinquent 60 to 179 days 7 035C Number of all other loans to 359 days 7 035C1 Number of New Vehicle Loans Delinquent to 359 days 7 035C2 Number of Used Vehicle Loans Delinquent to 359 days 7 035D Number of all other loans 360 days and over 7 035D1 Number of New Vehicle Loans Delinquent >=360 days 7 035D2 Number of Used Vehicle Loans Delinquent >=360 days 7 035E Total number of all other loans 7 035E1 Number of Reportable Delinquent New Vehicle Loans 7 035E2 Number of Reportable Delinquent Used Vehicle Loans 7 036A Number of indirect loans 30 to 59 days 036B Number of indirect loans 60 to 179 days 036C Number of indirect loans to 359 days 036D Number of indirect loans 360 days and over Page 4 of 42
5 036E Total number of indirect loans 037A Number of Participation loans 30 to 59 days 037B Number of Participation loans 60 to 179 days 037C Number of Participation loans to 359 days 037D Number of Participation loans 360 days and over 037E Total number of Participation loans 03A Number of Interest Only and Payment Option 1st Mortgage loans 30 to 59 days 03B Number of Interest Only and Payment Option 1st Mortgage loans 60 to 179 days 03C Number of Interest Only and Payment Option 1st Mortgage loans to 359 days 03D Number of Interest Only and Payment Option 1st Mortgage loans 360 days and over 03E Total number of Interest Only and Payment Option 1st Mortgage loans 039A Number of Interest Only and Payment Option Other RE/LOCs loans 30 to 59 days 039B Number of Interest Only and Payment Option Other RE/LOCs loans 60 to 179 days 039C Number of Interest Only and Payment Option Other RE/LOCs loans to 359 days 039D Number of Interest Only and Payment Option Other RE/LOCs loans 360 days and over 039E Total number of Interest Only and Payment Option Other RE/LOCs loans 040A Number of Residential Construction - excluding business purpose loans 30 to 59 days 040B Number of Residential Construction - excluding business purpose loans 60 to 179 days 040C Number of Residential Construction - excluding business purpose loans to 359 days 040D Number of Residential Construction - excluding business purpose loans 360 days and over 040E Total number of Residential Construction - excluding business purpose loans 041A Total number of Delinquent Loans 7 041B Total Reportable Delinquent Loans 7 041C Amount of All Other Delinquent Loans 7 041C1 Amount of Reportable Delinquent New Vehicle Loans 7 041C2 Amount of Reportable Delinquent Used Vehicle Loans 7 041D Total Reportable Delinquency Leases Receivable 7 041E Total Reportable Indirect Lending Delinquency 041F Total Reportable Delinquent Participation Loans 041G1 Amount of Reportable Delinquent Member Business Loans Secured by Real Estate 041G2 Amount of Reportable Delinquent Member Business Loans NOT Secured by Real Estate 041H Total Reportable Delinquent Agricultural Loans 041I Amount of Delinquent Interest Only and Payment Option 1st Mortgage Loans 041M Amount of Interest Only & Payment Option Other RE/LOCs Loans- Total Reportable Delinquency 041N Amount of Residential Construction- excluding Business Purposes- Total Reportable Delinquency 041P1 Amount of Nonmember Business Secured By Real Estate Delinquent 30 to 59 days 041P2 Amount of Reportable Delinquent Nonmember Business NOT Secured By Real Estate 041Q Amount of Business Construction & Development Loans- Total Reportable Delinquency 041T Total Amount of Reportable Delinquency Non-Federally Guaranteed Student Loans 7 041U Amount of Total Reportable Delinquent TDR Loans secured by First Mortgages 041V Amount of Total Reportable Delinquent TDR Loans secured by Other RE/LOCs Page 5 of 42
6 041W Amount of Total Reportable Delinquent TDR RE Loans also reported as business 041X lamount of Total Reportable Delinquent TDR Consumer Loans not secured by real estate 041Y Amount of Total Reportable Delinquent TDR Business Loans not secured by real estate 042A Total Amount of Agricultural Related Loans Outstanding 042A1 NMBLB of member business loans Secured by Farmland 042A2 NMBLB of member business loans to finance agricultural production and other loans to farmers 042A3 NMBLB of purchased business loans or participation interests to nonmembers Secured by Farmland 042A4 NMBLB of purchased business loans or participation interests to nonmembers to finance agricultural production and other loans to farmers 043A1 Number of Member Business Loans Secured by Real Estate Delinquent 30 to 59 days 043A2 Number of Member Business Loans NOT Secured by Real Estate Delinquent 30 to 59 days 043B1 Number of Member Business Loans Secured by Real Estate Delinquent 60 to 179 Days 043B2 Number of Member Business Loans NOT Secured by Real Estate Delinquent 60 to 179 Days 043C1 Number of Member Business Loans Secured by Real Estate Delinquent to 359 Days 043C2 Number of Member Business Loans NOT Secured by Real Estate Delinquent to 359 Days 043D1 Number of Member Business Loans Secured by Real Estate Delinquent >=360 days 043D2 Number of Member Business Loans NOT Secured by Real Estate Delinquent >=360 days 043E1 Number of Reportable Delinquent Member Business Loans Secured by Real Estate 043E2 Number of Reportable Delinquent Member Business Loans NOT Secured by Real Estate 044A Number of Agricultural loans 30 to 59 days 044B Number of Agricultural loans 60 to 179 days 044C Number of Agricultural loans to 359 days 044D Number of Agricultural loans 360 days and over 044E Total number of Agricultural loans 045A Total number of Reportable Unsecured Credit Card loans 7 045B Total Reportable Delinquency Unsecured Credit Card Loans 7 046A1 Number of Nonmember Business Secured By Real Estate Delinquent 30 to 59 days 046A2 Number of Nonmember Business NOT Secured By Real Estate Delinquent 30 to 59 days 046B1 Number of Nonmember Business Secured By Real Estate Delinquent 60 to 179 days 046B2 Number of Nonmember Business NOT Secured By Real Estate Delinquent 60 to 179 Days 046C1 Number of Nonmember Business Secured By Real Estate Delinquent to 359 days 046C2 Number of Nonmember Business NOT Secured By Real Estate Delinquent to 359 days 046D1 Number of Nonmember Business Secured By Real Estate Delinquent >=360 days 046D2 Number of Nonmember Business NOT Secured By Real Estate Delinquent >=360 days 046E1 Number of Reportable Delinquent Nonmember Business Secured By Real Estate 046E2 Number of Reportable Delinquent Nonmember Business NOT Secured By Real Estate 047A Number of Business Construction & Development Loans 30 to 59 days 047B Number of Business Construction & Development Loans 60 to 179 days Page 6 of 42
7 047C Number of Business Construction & Development Loans to 359 days 047D Number of Business Construction & Development Loans 360 days and over 047E Total number of Business Construction & Development loans 053A Number of Non-Federally Guaranteed Student Loans - 30 to 59 days 7 053B Number of Non-Federally Guaranteed Student Loans - 60 to 179 days 7 053C Number of Non-Federally Guaranteed Student Loans - to 359 days 7 053D Number of Non-Federally Guaranteed Student Loans days and over 7 053E Total number of reportable Non-Federally Guaranteed Student Loans 7 054A Number of TDR Loans secured by First Mortgages 30 to 59 days 054B Number of TDR Loans secured by First Mortgages 60 to 179 days 054C Number of TDR Loans secured by First Mortgages to 359 days 054D Number of TDR Loans secured by First Mortgages 360 days and over 054E Number of Total Reportable Delinquent TDR Loans secured by First Mortgages 055A Number of TDR Loans secured by Other RE/LOCs 30 to 59 days 055B Number of TDR Loans secured by Other RE/LOCs 60 to 179 days 055C Number of TDR Loans secured by Other RE/LOCs to 359 days 055D Number of TDR Loans secured by Other RE/LOCs 360 days and over 055E Number of Total Reportable Delinquent TDR Loans secured by Other RE/LOCs 056A Number of TDR RE Loans also reported as business loans 30 to 59 days 056B Number of TDR RE Loans also reported as business loans 60 to 179 days 056C Number of TDR RE Loans also reported as business loans to 359 days 056D Number of TDR RE Loans also reported as business loans 360 days and over 056E Number of Total Reportable Delinquent TDR RE Loans also reported as business loans 057A Number of TDR Consumer Loans not secured by real estate 30 to 59 days 057B Number of TDR Consumer Loans not secured by real estate 60 to 179 days 057C Number of TDR Consumer Loans not secured by real estate to 359 days 057D Number of TDR Consumer Loans not secured by real estate 360 days and over 057E Number of Total Reportable Delinquent TDR Consumer Loans not secured by real estate 05A Borrowing Repurchase Transactions < 1 Year 3 05B1 Borrowing Repurchase Transactions 1-3 Years 3 05B2 Borrowing Repurchase Transactions > 3 Years 3 05C Total Borrowing Repurchase Transactions 3 059A Number of TDR Business Loans not secured by real estate 30 to 59 days 059B Number of TDR Business Loans not secured by real estate 60 to 179 days 059C Number of TDR Business Loans not secured by real estate to 359 days 059D Number of TDR Business Loans not secured by real estate 360 days and over 059E Number of Total Reportable Delinquent TDR Business Loans not secured by real estate 060A Number of Loans Held for Sale Delinquent 30 to 59 days 060B Number of Loans Held for Sale Delinquent 60 to 179 days 060C Number of Loans Held for Sale Delinquent to 359 days 060D Number of Loans Held for Sale Delinquent >=360 days 060E Number of Reportable Delinquent Loans Held for Sale 065A1 Uninsured IRA/Keogh Member Shares and Deposits over $250, A3 Uninsured KEOGH Member Shares and Deposits for Employee Benefit Plans over 4 $250, A4 Total Uninsured Member Shares and Deposits over $250, B1 Uninsured Employee Benefit Member Shares and Deposits over $250,000 4 Page 7 of 42
8 065C1 Uninsured Member 529 Plan Deposits over $250, D1 Uninsured Member Accts Held by Government Depositors over $250, E1 Other Uninsured Member Shares and Deposits over $250, A1 Uninsured Nonmember Employee Benefit Shares and Deposits over $250, A2 Total Uninsured Nonmember Shares and Deposits over $250, B1 Uninsured Nonmember Accts Held by Government Depositors over $250, C1 Other Uninsured Nonmember Shares and Deposits over $250, A Total Uninsured Shares and Deposits over $250, A Total Insured Shares and Deposits under HR F Amount of Loans Held for Sale Delinquent 30 to 59 days 071G Amount of Loans Held for Sale Delinquent 60 to 179 Days 071H Amount of Loans Held for Sale Delinquent to 359 days 071I Amount of Loans Held for Sale Delinquent >=360 days 071J Amount of Reportable Delinquent Loans Held for Sale 01 Number of Member with loans who have filed for Chapter 7 bankruptcy YTD 9 02 Number of Member with loans who have filed for Chapter 13 bankruptcy YTD 9 03 Number of current members 6 04 Number of potential members 6 0 Number of Member with loans who have filed for Chapter 11 & 12 bankruptcy YTD 9 09A Number of Payday Alternative Loans (PAL loans) 30 to 59 days 7 09B Payday Alternative Loans (PAL loans) 30 to 59 days 7 090A Total number of member business loans granted or purchased YTD 090B Total number of purchased business loans or participation interests to nonmembers granted or purchased YTD 090C1 Number of Unsecured Business Loans granted or purchased YTD 090C2 Number of Unsecured Revolving Lines of Credit granted for Business Purposes granted or purchased YTD 090C3 Number of purchased business loans or participation interests to nonmembers purchased YTD unsecured business loans 090C4 Number of purchased business loans or participation interests to nonmembers purchased YTD unsecured revolving lines of credit granted for business purposes 090G Number of Secured by Non-Farm Residential Property member business loans granted or purchased YTD 090G1 Number of purchased business loans or participation interests to nonmembers purchased YTD non-farm residential property 090H Number of Secured by Owner Occupied Non-farm, Non- Residential Property member business loans granted or purchased YTD 090H1 Number of purchased business loans or participation interests to nonmembers purchased YTD secured by owner occupied non-farm, non- residential property 090J Number of Secured by Non-Owner Occupied Non-farm, Non- Residential Property member business loans granted or purchased YTD 090J1 Number of purchased business loans or participation interests to nonmembers purchased YTD secured by non-owner occupied non-farm, non- residential 090K Number of real estate secured member business loans granted or purchased YTD 090K1 Number of purchased YTD purchased real estate secured business loans or participation interests to nonmembers 090L Number of Commercial and industrial loans granted or purchased YTD 090L1 Number of purchased business loans or participation interests to nonmembers purchased YTD commercial and industrial loans 099A1 Number of Secured by Farmland member business loans granted or purchased YTD 099A2 Number of Loans to finance agricultural production and other loans to farmers outstanding 099A3 Number of purchased business loans or participation interests to nonmembers purchased YTD farmland to nonmembers 099A4 Number of purchased business loans or participation interests to nonmembers purchased YTD to finance agricultural production and other loans to farmers 1 Interest on Loans 5 1 Total Interest Income 5 Page of 42
9 1 Net Interest Income after Provision for Loan and Lease Expense Total Non-Interest Income (Less) Interest Refunded Income from Investments (Including Interest and Dividends) 5 1 Trading Profits and Losses (Realized and unrealized Gains/Losses) 5 127A Number of Payday Alternative Loans (PAL loans) Loans 60 to 179 days 7 127B Payday Alternative Loans (PAL loans) 60 to 179 days 7 12A Number of Payday Alternative Loans (PAL loans) Loans to 359 days 7 12B Payday Alternative Loans (PAL loans) to 359 days 7 129A Number of Payday Alternative Loans (PAL loans) Loans greater than 360 days and 7 over 129B Payday Alternative Loans (PAL loans) 360 days and over 7 130A Total Number of Reportable Payday Alternative Loans (PAL loans) Delinquent Loans 7 130B Total Reportable Payday Alternative Loans (PAL loans) Delinquent Loans Fee Income Payday Alternative Loans (PAL loans) YTD Charge Offs Payday Alternative Loans (PAL loans) YTD Recoveries 9 143A Number of construction and development loans meeting the requirements of 7.3(a) 143A1 Number of construction and development member business loans 143A2 Number of purchased business loans or participation interests to nonmembers secured by construction and development property 143B NMBLB of construction and development loans meeting the requirements of 7.3(a) 143B1 NMBLB of construction and development member business loans 143B2 NMBLB of purchased business loans or participation interests to nonmembers secured by construction and development property 143C1 Number of construction and development member business loans granted or purchased YTD 143C2 Number of purchased business loans or participation interests to nonmembers secured by construction and development property purchased YTD 143D1 NMBLB of construction and development member business loans granted or purchased YTD 143D2 NMBLB of purchased business loans or participation interests to nonmembers secured by construction and development property purchased YTD 0 Total Employee Compensation and Benefits 5 0 Travel and Conference Expense Office Occupancy Expense Office Operations Expense Educational and Promotional Expenses 5 20 Loan Servicing Expense Professional and Outside Services Provision for Loan & Lease Losses 5 3 Member Insurance 5 3A Other Member Insurance Expense Temporary Corporate CU Stabilization 5 311A NCUSIF Premium Expense Operating Fees (Examination and/or supervision fees) Interest on Borrowed Money Total Interest Expense Miscellaneous Operating Expenses Amount of Used Vehicle Loans 2 30 Dividends on Shares 5 31 Interest on Deposits (State Credit Union Only) 5 35 Amount of New Vehicle Loans 2 36 Amount of Total Other RE Loans/Lines of Credit Transfer to Regular Reserves Amount of Unsecured Credit Card Loans Amount of All Other Unsecured Loans/Lines of Credit 2 Page 9 of 42
10 397A Amount of Payday Alternative Loans (PAL loans) (FCU Only) Loans and participation interests qualifying for RBNW A Total NMBLB of member business loans 400B Total NMBLB of nonmember business loans 400C Amount of unsecured business loans outstanding meeting the requirements of 7.7(c) - (d) 400C1 NMBLB of Unsecured Member Business Loans 400C2 NMBLB of Unsecured Revolving Lines of Credit Granted to Members for Business Purposes 400C3 NMBLB of purchased Unsecured Business Loans or participation interests to nonmembers 400C4 NMBLB of purchased Unsecured Revolving Lines of Credit for Business Purposes or participation interests to nonmembers 400D Amount of purchased business loans or participation interests to members outstanding 400F Amount of Small Business Administration Loans Outstanding 400G NMBLB of member business loans Secured by Non-Farm Residential Property 400G1 NMBLB of purchased business loans or participation interests to nonmembers Secured by Non-Farm Residential Property 400H NMBLB of member business loans Secured by Owner Occupied, Non-Farm, Non- Residential Property 400H1 NMBLB of purchased business loans or participation interests to nonmembers Secured by Owner Occupied, Non-Farm, Non-Residential Property 400J NMBLB of member business loans Secured by Non-Owner Occupied, Non-Farm, Non- Residential Property 400J1 NMBLB of purchased business loans or participation interests to nonmembers Secured by Non-Owner Occupied, Non-Farm, Non-Residential Property 400L NMBLB of Commercial and Industrial member business loans 400L1 NMBLB of purchased Commercial and Industrial business loans or participation interests to nonmembers 400T NMBLB of total business loans 400 Loans and participation interests qualifying for RBNW 420 Gain (Loss) on Investments 5 420A Total Other-Than-Temporary Impairment (OTTI) Losses 5 420B Less: Portion OTTI Losses in Other Comprehensive Income 5 420C OTTI Losses Recognized in Earnings (Include in Line 14) 5 420D Gain (Loss) associated with the Hedged Item (Investments) in a Non-Trading, FV 5 Derivatives Hedge (Include in Item 14) 4 Gain (Loss) on Non-Trading Derivatives Gain (Loss) on Disposition of Fixed Assets Gain from Bargain Purchase (Merger) Other Non-operating Income (Expense) Number of Share Certificates Number of Share Drafts Number of IRA/KEOGH Accounts Number of Regular Share Accounts Number of All Other Shares Number of Non-Member Deposits 3 45 Number of Money Market Shares Accounts Total Shares and Deposits, Number 3 463A1 NMBLB of member business loans Secured by Farmland granted or purchased YTD 463A2 NMBLB of member business loans to finance agricultural production and other loans to farmers granted or purchased YTD 463A3 NMBLB of purchased business loans or participation interests to nonmembers Secured by Farmland purchased YTD 463A4 NMBLB of purchased business loans or participation interests to nonmembers to finance agricultural production and other loans to farmers purchased YTD 475A Total NMBLB of member business loans granted or purchased YTD Page of 42
11 475B Total NMBLB of nonmember business loans purchased YTD 475C1 NMBLB of Unsecured Member Business Loans granted or purchased YTD 475C2 NMBLB of Unsecured Revolving Lines of Credit Granted to Members for Business Purposes granted or purchased YTD 475C3 NMBLB of purchased Unsecured Business Loans or participation interests to nonmembers purchased YTD 475C4 NMBLB of purchased Unsecured Revolving Lines of Credit for Business Purposes or participation interests to nonmembers purchased YTD 475G NMBLB of member business loans Secured by Non-Farm Residential Property granted or purchased YTD 475G1 NMBLB of purchased business loans or participation interests to nonmembers Secured by Non-Farm Residential Property purchased YTD 475H NMBLB of member business loans Secured by Owner Occupied Non-farm, Non- Residential Property granted or purchased YTD 475H1 NMBLB of purchased business loans or participation interests to nonmembers Secured by Owner Occupied, Non-Farm, Non-Residential Property purchased YTD 475J NMBLB of member business loans Secured by Non-Owner Occupied Non-Farm, Non- Residential Property granted or purchased YTD 475J1 NMBLB of purchased business loans or participation interests to nonmembers Secured by Non-Owner Occupied, Non-Farm, Non-Residential Property purchased YTD 475K Total NMBLB of real estate secured member business loans granted or purchased YTD 475K1 Total NMBLB of real estate secured business loans to nonmembers purchased YTD 475L NMBLB of Commercial and Industrial member business loans granted or purchased YTD 475L1 NMBLB of purchased Commercial and Industrial business loans or participation interests to nonmembers purchased YTD 5 Interest rate of Unsecured Credit Card Loans 2 5 Interest Rate of All Other Unsecured Loans/Lines of Cred 2 5A Interest Rate of Payday Alternative Loans (PAL loans). 2 5 Interest rate of New Vehicle Loans 2 5 Interest rate of Used Vehicle Loans Money Market Shares Dividend Rate Share Certificates Dividend Rate 3 54 Total 1st Mortgage Loans YTD Charge Offs Total Other Real Estate Loans YTD Charge Offs Total YTD Charge Offs 9 550C Total Amount of All Other Loans Charged Off YTD 9 550C1 Amount of New Vehicle Loans YTD Charge Offs 9 550C2 Amount of Used Vehicle Loans YTD Charge Offs 9 550D Leases Receivable YTD Charge Offs 9 550E Indirect Loans YTD Charge Offs 9 550F Participation Loans YTD Charge Offs 9 550G1 Amount of Member Business Loans Secured by Real Estate YTD Charge Offs 9 550G2 Amount of Member Business Loans NOT Secured by Real Estate YTD Charge Offs 9 550H Agricultural Loans YTD Charge Offs 9 550I Total Amount of Delinquent Interest Only and Payment Option 1st Mortgage Loans 9 Charged Off Year-to-Date 550M Total Amount of Interest Only & Payment Option Other RE/LOCs Loans- Charged Off 9 Year-to-Date 550N Total Amount of Residential Construction - excluding Business Purposes- Charged Off 9 Year-to-Date 550P1 Amount of Nonmember Business Secured By Real Estate YTD Charge Offs 9 550P2 Amount of Nonmember Business NOT Secured By Real Estate YTD Charge Offs 9 550Q Total Amount of Business Construction & Development Loans- Charged Off Year-to- 9 Date 550T Non-Federally Guaranteed Student Loans YTD Charge Offs 9 Page 11 of 42
12 550U Total Amount of TDR Loans secured by First Mortgages Charged Off YTD 9 550V Total Amount of TDR Loans secured by Other RE/LOCs Charged Off YTD 9 550W Total Amount of TDR RE Loans also reported as business loans Charged Off YTD 9 550X Total Amount of TDR Consumer Loans NOT Secured by Real Estate Charged Off 9 550Y Total Amount of TDR Business Loans NOT Secured by Real Estate Charged Off YTD Total YTD Recoveries 9 551C Amount of All YTD Recoveries on charged-off all other loans 9 551C1 Amount of New Vehicle Loans YTD Recoveries 9 551C2 Amount of Used Vehicle Loans YTD Recoveries 9 551D Leases Receivable YTD Recoveries 9 551E Indirect Loans YTD Recoveries 9 551F Participation Loans YTD Recoveries 9 551G1 Amount of Member Business Loans Secured by Real Estate YTD Recoveries 9 551G2 Amount of Member Business Loans NOT Secured by Real Estate YTD Recoveries 9 551H Agricultural Loans YTD Recoveries 9 551I Total Amount of All Year-to-Date Recoveries on Charged-Off Interest Only and 9 Payment Option 1st Mtg Loans 551M Total Amount of Recoveries on Charged Off Interest Only & Payment Option Other 9 RE/LOCs Loans- Year-to-Date 551N Total Amount of Recoveries on Charged Off Residential Construction - excluding 9 Business Purposes- Year-to-Date 551P1 Amount of Nonmember Business Secured By Real Estate YTD Recoveries 9 551P2 Amount of Nonmember Business NOT Secured By Real Estate YTD Recoveries 9 551Q Total Amount of Recoveries on Charged Off Business Construction & Development 9 Loans-Year-to-Date 551T Non-Federally Guaranteed Student Loans YTD Recoveries 9 551U Total Amount of TDR Loans secured by First Mortgages Recovered YTD 9 551V Total Amount of TDR Loans secured by Other RE/LOCs Recovered YTD 9 551W Total Amount of TDR RE Loans also reported as business loans Recovered YTD 9 551X Total Amount of TDR Consumer Loans NOT Secured by Real Estate Recovered YTD 9 551Y Total Amount of TDR Business Loans NOT Secured by Real Estate Recovered YTD Regular Shares Dividend Rate Share Drafts Dividend Rate IRA/KEOGH Accounts Dividend Rate Interest rate of Total Other RE Loans/Lines of Credit Interest rate of Total 1st Mortgage RE Loans/Lines of Credit 2 564A Number of full-time (26 hours or more per week) credit union employees 6 564B Number of Part-Time (25 hours or less per week) credit union employees Interest rate of Leases Receivable 2 566B Does the credit union plan to add any new branches or expand existing facilities in the 6 next 12 months? 567 Dollar amount of loan with interest rates that exceed % 9 56 Aggregate weighted average interest rate for the loans with interest rates that exceed 9 % 55 All Other Shares Dividend Rate Interest rate of Total All Other Loans/Lines of Credit 2 595A Interest Rate of Non-Federally Guaranteed Student Loans Non-Member Deposits Dividend Rate Net Income (unless this amount is already included in Undivided Earnings) Net Income (unless this amount is already included in Undivided Earnings) Total 1st Mortgage Loans YTD Recoveries 9 60 Total Other Real Estate Loans YTD Recoveries Number of loans purchased in full from other sources YTD Amount of loans purchased in full from other sources YTD Number of Loans Purchased from Other Financial Institutions YTD 14 6 Amount of Loans Purchased from Other Financial Institutions YTD 14 6 Number of Loans, Excluding Real Estate Loans, Sold in Full Year-To-Date 14 Page 12 of 42
13 6A Amount of Loans, Excluding Real Estate Loans, Sold in Full Year-To-Date A Total Number of Outstanding Indirect Loans B Number of Indirect Loans - Point of Sale Arrangement C Number of Indirect Loans - Outsourced Lending Relationship 13 61A Total Amount of Outstanding Indirect Loans 13 61B Amount of Indirect Loans - Point of Sale Arrangement 13 61C Amount of Indirect Loans - Outsourced Lending Relationship A1 Number of Purchased Participation Loans with Recourse Outstanding A2 Number of Purchased Participation Loans without Recourse Outstanding A3 Total Number of Purchased Participation Loans Outstanding B Total Amount of Purchased Participation Loans Outstanding B1 Amount of Purchased Participation Loans with Recourse Outstanding B2 Amount of Purchased Participation Loans without Recourse Outstanding Total All Other Shares 3 630A All Other Shares < 1 Year 3 630B1 All Other Shares 1-3 Years 3 630B2 All Other Shares > 3 Years Supplemental Share Information - Accounts Held by Member Government Depositors Supplemental Share Information - Accounts Held by Non-Member Government 3 Depositors 633 Supplemental Share Information - Employee Benefit Member Shares Supplemental Share Information - Employee Benefit Non-Member Shares Supplemental Share Information Plan Member Deposits Supplemental Share Information - Non-dollar Denominated Deposits Supplemental Share Information - Health Savings Accounts 3 63 Supplemental Share Information - Dollar Amount of Share Certificates = or > $0,000 3 (Excluding brokered share certificates participated out by the broker shares of less than $0,000) 639 Supplemental Share Information - Dollar Amount of IRA/Keogh Accounts = or > 3 $0, Supplemental Share Information - Dollar Amount of Share Drafts Swept to Regular 3 Shares or Money Market Accounts as Part of an Official Sweep Program 643 Business Share Accounts Negative Shares as Included in All Other Unsecured Loans/Lines of Credit 3 652A All other investments in corporate credit unions < = 1 Year 1 652B All other investments in corporate credit unions > 1-3 Years 1 652C Total all other investments in corporate credit unions 1 652C1 All other investments in corporate credit unions > 3-5 Years 1 652C2 All other investments in corporate credit unions > 5 - Years 1 652D All other investments in corporate credit unions > Years Total Amount of Regular Share Accounts 3 657A Amount of Regular Share Accounts < 1 Year 3 65 Other Reserves (Appropriations of Undivided Earnings) 4 65 Other Reserves (Appropriations of Undivided Earnings) 11 65A Equity Acquired in Merger Other Operating Income 5 660A Net Income (Loss) excluding NCUSIF Premiums and Temporary Corporate CU 5 Stabilization Fund Assessment 661A Net Income (Loss) 5 66 Appropriation for Non-Conforming Investments (SCU Only) 4 66 Appropriation for Non-Conforming Investments (SCU Only) Total Non-Interest Expense 5 672A Loans to and investments in natural person credit unions <= 1 Year 1 672B Loans to and investments in natural person credit unions >1-3 Years 1 672C Total loans to and investments in natural person credit unions 1 672C1 Loans to and investments in natural person credit unions > 3-5 Years 1 672C2 Loans to and investments in natural person credit unions > 5 - Years 1 672D Loans to and investments in natural person credit unions > Years 1 Page 13 of 42
14 60 Unsecured Credit Card Loans YTD Charge Offs 9 61 Unsecured Credit Card Loans YTD Recoveries 9 62 All loans charged off due to bankruptcy YTD Total Amount of Purchased Participation Loans Year-to-Date A Total Number of Participation Loans Purchased Year-to-Date A1 Number of Outstanding Loans Purchased with Recourse Year-to-Date A2 Number of Outstanding Loans Purchased without Recourse Year-to-Date B1 Amount of Outstanding Loans Purchased from FICU's with Recourse Year-to-Date B2 Amount of Outstanding Loans Purchased from Other Entities with Recourse Year-to- 14 Date 691 Total Amount of Participation Loans Sold and/or Serviced Year-to-Date A Total Number of Participation Loans Sold And/Or Serviced Year-to-Date A1 Number of Participation Loans Sold and/or Serviced to FICU's with Recourse Year-to- 14 Date 691A2 Number of Participation Loans Sold And/Or Serviced without Recourse Year-to-Date B Number of business loans and participations sold YTD 691C Amount of business loans and participations sold YTD 691D Total Number of Outstanding Participation Loans Sold That Are Retained D1 Number of Outstanding Participation Loans Sold with Recourse That Are Retained D2 Number of Outstanding Participation Loans Sold without Recourse That Are Retained E Total Amount of Outstanding Participation Loans Sold That Are Retained E1 Amount of Outstanding Participation Loans Sold with Recourse That Are Retained E2 Amount of Outstanding Participation Loans Sold without Recourse That Are Retained F Total Number of Outstanding Participation Loan Sold And/Or Serviced F1 Number of Outstanding Participation Loans Sold And/Or Serviced with Recourse F2 Number of Outstanding Participation Loans Sold And/Or Serviced without Recourse G Total Amount of Outstanding Participation Loans Sold And/Or Serviced G1 Amount of Outstanding Participation Loans Sold And/Or Serviced with Recourse G2 Amount of Outstanding Participation Loans Sold And/Or Serviced without Recourse H Total Number of Outstanding Participation Loans Sold That Are Retained Year-to-Date H1 Number of Participation Loans Sold with Recourse That Are Retained Year-to-Date H2 Number of Participation Loans Sold without Recourse That Are Retained Year-to-Date I Total Amount of Outstanding Participation Loans Sold That Are Retained Year-to-Date I1 Amount of Participation Loans Sold with Recourse That Are Retained Year-to-Date I2 Amount of Participation Loans Sold without Recourse That Are Retained Year-to-Date J1 Amount of Participation Loans Sold And/Or Serviced to FICU's with Recourse Year-to- 14 Date 691J2 Amount of Participation Loans Sold And/Or Serviced to FICUs without Recourse Yearto-Date K Total Outstanding Number of Participation Loans Purchased By Type K1 Outstanding Number of Consumer Participation Loans Purchased K2 Outstanding Number of Real Estate Participation Loans Purchased K3 Outstanding Number of Member Business Loans Excluding Construction and 14 Development Participation Loans Purchased 691K4 Outstanding Number of Non-Member Business Loans Excluding Construction and 14 Development Participation Loans Purchased 691K5 Outstanding Number of Commercial Construction and Development Participation 14 Loans Purchased 691K6 Outstanding Number of Loan Pools Participation Loans Purchased K7 Outstanding Number of Non-Federally Guaranteed Student Loans Participations 14 Purchased 691L Total Outstanding Amount of Participation Loans Purchased By Type L1 Outstanding Amount of Consumer Participation Loans Purchased L2 Outstanding Amount of Real Estate Participation Loans Purchased L3 Outstanding Amount of Member Business Loans Excluding Construction and Development Participation Loans Purchased 14 Page 14 of 42
15 691L4 Outstanding Amount of Non-Member Business Loans Excluding Construction and 14 Development Participation Loans Purchased 691L5 Outstanding Amount of Commercial Construction and Development Participation 14 Loans Purchased 691L6 Outstanding Amount of Loan Pools Participation Loans Purchased L7 Outstanding Amount of Non-Federally Guaranteed Student Loans Participations 14 Purchased 691M Total Outstanding Number of Participation Loans Sold By Type M1 Outstanding Number of Consumer Participation Loans Sold M2 Outstanding Number of Real Estate Participation Loans Sold M3 Outstanding Number of Member Business Loans Excluding Construction and 14 Development Participation Loans Sold 691M4 Outstanding Number of Non-Member Business Loans Excluding Construction and 14 Development Participation Loans Sold 691M5 Outstanding Number of Commercial Construction and Development Participation 14 Loans Sold 691M6 Outstanding Number of Loan Pools Participation Loans Sold M7 Outstanding Number of Non-Federally Guaranteed Student Loans Participations Sold N Total Outstanding Amount of Participation Loans Sold By Type N1 Outstanding Amount of Consumer Participation Loans Sold N2 Outstanding Amount of Real Estate Participation Loans Sold N3 Outstanding Amount of Member Business Loans Excluding Construction and 14 Development Participation Loans Sold 691N4 Outstanding Amount of Non-Member Business Loans Excluding Construction and 14 Development Participation Loans Sold 691N5 Outstanding Amount of Commercial Construction and Development Participation 14 Loans Sold 691N6 Outstanding Amount of Loan Pools Participation Loans Sold N7 Outstanding Amount of Non-Federally Guaranteed Student Loans Participations Sold Amount of Total All Other Loans/Lines of Credit 2 69A Amount of Non-Federally Guaranteed Student Loans 2 69B Amount of Non-Federally Guaranteed Student Loans in deferred status Net Worth Classification if credit union is not new (Based upon Call Report data only. 11 See instructions) 701 Net Worth Classification if credit union is a new credit union. New means credit union 11 is less than $ million in assets and was chartered in the last years (Based upon Call Report data only. See instructions) 703 Amount of Total 1st Mortgage RE Loans/Lines of Credit 2 704A Amount of Fixed rate first mortgage loans > year outstanding A1 Balance Outstanding of 1st Mtg Residential Construction Loans - Excluding Business 14 Purpose 704B Amount of Fixed rate first mortgage loans year or less outstanding C Amount of first mortgage Balloon/Hybrid loans > 5 years outstanding C1 Balance Outstanding of all Interest Only and Payment Option 1st Mortgage Loans C2 Number of Interest Only & Payment Option 1st Mortgage Loans Outstanding C3 Interest Only & Payment Option 1st Mortgage Loans- amount granted Year-to-Date D Amount of first mortgage Balloon/Hybrid loans 5 years or less outstanding D1 Number of Interest Only & Payment Option Other RE/LOCs Loans D2 Amount of Interest Only & Payment Option Other RE/LOCs Loans Outstanding D3 Amount of Interest Only & Payment Option Other RE/LOCs Loans granted Year-To- 13 Date 704E Amount of Other Fixed Rate first mortgage loans outstanding F1 No. of Federally Insured Home Equity Conversion Mortgage (HECM) Reverse 13 Mortgage Loans Outstanding 704F2 Amount of Federally Insured Home Equity Conversion Mortgage (HECM) Reverse Mortgage Loans Outstanding 13 Page of 42
16 704F3 No. of Federally Insured Home Equity Conversion Mortgage (HECM) Reverse 13 Mortgage Loans Granted YTD 704F4 Amount of Federally Insured Home Equity Conversion Mortgage (HECM) Reverse 13 Mortgage Loans Granted YTD 704G1 No. of Proprietary Reverse Mortgage Products - Loans Outstanding G2 Amount of Proprietary Reverse Mortgage Products - Loans Outstanding G3 No. of Proprietary Reverse Mortgage Products - Loans Granted YTD G4 Amount of Proprietary Reverse Mortgage Products Granted YTD A Amount of Adjustable Rate first mortgage loans 1 year or less outstanding B Amount of Adjustable Rate first mortgage loans > 1 year outstanding Amount of closed end fixed rate other real estate loans outstanding Amount of closed end adjustable rate other real estate loans outstanding Amount of open end adjustable rate other real estate loans outstanding 13 70B Amount of open end fixed rate other real estate loans outstanding 13 7 Total Amount of RE loans Outstanding 12 7 Total Amount of RE loans Outstanding Amount if RE loans outstanding that will contractually refinance, reprice or mature 12 within the next 5 years 712 Amount if RE loans outstanding that will contractually refinance, reprice or mature 14 within the next 5 years 713A Total Reportable Delinquency 1st Mortgage Fixed Rate/Hybrid/Balloon Loans 7 714A Total Reportable Delinquency 1st Mortgage Adjustable Rate Loans 7 7A Total Reportable Delinquency Other Real Estate Fixed Rate/Hybrid/Balloon Delinquent 7 Loans 7A Total Reportable Delinquency Other Real Estate Adjustable Rate Loans 7 71 Amount of RE loans included in line 11 on section 2 also reported as business loans 12 and participation interests qualifying for RBNW on line 32 above 71 Amount of RE loans included in line 11 on section 2 also reported as business loans and participation interests qualifying for RBNW on line 32 above 71A Portion of RE loans included in line of page 13 which are also reported as business loans on lines 1f and 2f above 71A1 Total NMBLB of real estate secured member business loans 71A2 Total NMBLB of real estate secured nonmember business loans 719 Allowance for Loan & Lease Losses Allowance for Loan & Lease Losses A Amount of Fixed rate first mortgage loans > year granted YTD B Amount of Fixed rate first mortgage loans year or less granted YTD C Amount of first mortgage Balloon/Hybrid loans > 5 years granted YTD D Amount of first mortgage Balloon/Hybrid loans 5 years or less granted YTD E Amount of Other Fixed Rate first mortgage loans granted YTD 13 7A Amount of Adjustable Rate first mortgage loans 1 year or less granted YTD 13 7B Amount of Adjustable Rate first mortgage loans > 1 year granted YTD 13 7 Amount of closed end fixed rate other real estate loans granted YTD 13 7 Amount of closed end adjustable rate other real estate loans granted YTD 13 7 Amount of open end adjustable rate other real estate loans granted YTD 13 7B Amount of open end fixed rate other real estate loans granted YTD Total amount of RE Loans granted YTD A Cash on Hand (Coin and Currency) 1 730A Cash on Hand (Coin and Currency) B Total Cash on Deposit (Amounts Deposited in Financial Institutions) 1 730B Total Cash on Deposit (Amounts Deposited in Financial Institutions) B1 Cash on Deposit in Corporate Credit Unions 1 730B2 Cash on deposit in Other Financial Institutions 1 730C Cash Equivalents (Investments with Original Maturities of Three Months or Less) 1 730C Cash Equivalents (Investments with Original Maturities of Three Months or Less) Allowance for Losses on all RE loans Collateralized Mortgage Obligations/RE Mortgage Investment Conduits A Commercial Mortgage-Backed Securities 17 Page of 42
17 736 Total amount of all 1st mortgage loans which have been sold in the secondary market 14 YTD 73 Total Variable Rate NCUA Guaranteed Notes 17 73A Variable Rate NCUA Guaranteed Notes < 1 year 12 73A Variable Rate NCUA Guaranteed Notes < 1 year 17 73B Variable Rate NCUA Guaranteed Notes > 1-3 years 12 73B Variable Rate NCUA Guaranteed Notes > 1-3 years 17 73C Variable Rate NCUA Guaranteed Notes > 3-5 years 12 73C Variable Rate NCUA Guaranteed Notes > 3-5 years 17 73D Variable Rate NCUA Guaranteed Notes > 5 - years 12 73D Variable Rate NCUA Guaranteed Notes > 5 - years 17 73E Variable Rate NCUA Guaranteed Notes > years Total Fixed Rate NCUA Guaranteed Notes A Fixed Rate NCUA Guaranteed Notes < 1 year A Fixed Rate NCUA Guaranteed Notes < 1 year B Fixed Rate NCUA Guaranteed Notes > 1-3 years B Fixed Rate NCUA Guaranteed Notes > 1-3 years C Fixed Rate NCUA Guaranteed Notes > 3-5 years C Fixed Rate NCUA Guaranteed Notes > 3-5 years D Fixed Rate NCUA Guaranteed Notes > 5 - years D Fixed Rate NCUA Guaranteed Notes > 5 - years E Fixed Rate NCUA Guaranteed Notes > years E Fixed Rate NCUA Guaranteed Notes > years Total NCUA Guaranteed Notes Total NCUA Guaranteed Notes A Total FDIC-Issued Guaranteed Notes C Total US Government Obligations C3 All Other U.S. Government Obligations C Total Federal Agency Securities C1 Agency/GSE Debt Instruments (not backed by mortgages) C2 Agency/GSE Mortgage-Backed Securities D Mutual Funds E Common Trusts A Deposits in commercial banks, S&Ls, savings banks <= 1 Year 1 744B Deposits in commercial banks, S&Ls, savings banks > 1-3 Years 1 744C Total deposits in commercial banks, S&Ls, savings banks 1 744C1 Deposits in commercial banks, S&Ls, savings banks > 3-5 Years 1 744C2 Deposits in commercial banks, S&Ls, savings banks > 5 - Years 1 744D Deposits in commercial banks, S&Ls, savings banks > Years Securities Issued by States and Political Sub-Divisions in the U.S Bank Issued FDIC-Guaranteed Bonds st Mortgage Fixed Rate/Hybrid/Balloon 30 to 59 days st Mortgage Fixed Rate/Hybrid/Balloon 60 to 179 days st Mortgage Fixed Rate/Hybrid/Balloon to 359 days st Mortgage Fixed Rate/Hybrid/Balloon 360 days and over Other Real Estate Fixed Rate/Hybrid/Balloon Delinquent Loans 30 to 59 days Other Real Estate Fixed Rate/Hybrid/Balloon Delinquent Loans 60 to 179 days Other Real Estate Fixed Rate/Hybrid/Balloon Delinquent Loans to 359 days 7 75 Other Real Estate Fixed Rate/Hybrid/Balloon Delinquent Loans 360 days and over 7 766A All Other Investments < = 1 Year 1 766B All Other Investments > 1-3 Years 1 766C1 All Other Investments > 3-5 Years 1 766C2 All Other Investments > 5 - Years 1 766D All Other Investments > Years 1 766E Total all Other Investments 1 769A Total Membership Capital at Corporate Credit Unions/Nonperpetual Capital Account 1 769A1 Membership Capital at Corporate Credit Unions/Nonperpetual Capital Account >1-3 years 1 Page 17 of 42
18 769B Total Paid in Capital at Corporate Credit Unions/Perpetual Contributed Capital 1 769B1 Paid in Capital at Corporate Credit Unions/Perpetual Contributed Capital >1-3 years st Mortgage Adjustable Rate 30 to 59 days st Mortgage Adjustable Rate 60 to 179 days st Mortgage Adjustable Rate to 359 days st Mortgage Adjustable Rate 360 days and over Other Real Estate Adjustable Rate Delinquent Loans 30 to 59 days Other Real Estate Adjustable Rate Delinquent Loans 60 to 179 days Other Real Estate Adjustable Rate Delinquent Loans to 359 days 7 77 Other Real Estate Adjustable Rate Delinquent Loans 360 days and over Mortgage Servicing Rights A Amount of real estate loans sold but serviced by the credit union Investment Repurchase Agreements 1 71 Borrowing Repurchase Transactions placed in investments for purpose of positive 1 arbitrage 74A Investments not authorized by the FCU Act or NCUA Rules and Regulations (SCU 1 Only) 75 Total Deposits and Shares meeting the requirements of section 703.(a) (FCU Only) 1 75A Market value of investments purchased under an investment pilot program (FCU Only) 76 Total Securities meeting the requirements of section (b) 17 76A Non-Mortgage Related Securities with Embedded Options or Complex Coupon 17 Formulas (FCU Only) 76B Non-Mortgage Related Securities with Maturities greater than 3 years that do not have 17 embedded options or complex coupon formulas 7 Outstanding balance of brokered certificates of deposit and share certificates 1 79C Securities 1 79D Other Investments 1 79E Other Assets - Split Dollar Life Insurance Arrangements - Collateral Assignment 1 79E1 Other Assets - Split Dollar Life Insurance Arrangements Endorsement - Endorsement 1 79E2 Other Assets - Other Insurance 1 79F Other Assets - Other Non-insurance 1 79G Amounts reported in Asset section of SFC to fund employee benefit plans or deferred 1 compensation plans under Section (c) of NCUA R&R (if FCU), or similar state provisions (if SCU), not authorized under Part 703 of NCUA R&R. - Total 79H Amounts reported in Asset section of the Statement of Financial Condition to fund 1 Charitable Donation Accounts 794 NCUA Share Insurance Capitalization Deposit NCUA Share Insurance Capitalization Deposit A Held-to-Maturity Securities <= 1 Year 1 796B Held-to-Maturity Securities > 1-3 Years 1 796C1 Held-to-Maturity Securities > 3-5 Years 1 796C2 Held-to-Maturity Securities > 5 - Years 1 796D Held-to-Maturity Securities > Years 1 796E Total Held-to-Maturity Securities 1 797A Available for Sale Securities <= 1 Year 1 797B Available for Sale Securities > 1-3 Years 1 797C1 Available for Sale Securities > 3-5 Years 1 797C2 Available for Sale Securities > 5 - Years 1 797D Available for Sale Securities > Years 1 797E Total Available for Sale Securities 1 79A Total Foreclosed and Repossessed Assets 2 79A1 Foreclosed and Repossessed Assets, Real Estate 2 79A2 Foreclosed and Repossessed Assets, Automobiles 2 79A3 Foreclosed and Repossessed Assets, Other 2 79B Total Number of Foreclosed and Repossessed Loans 2 79B1 Number of Foreclosed Real Estate Loans 2 Page 1 of 42
19 79B2 Number of Repossessed Auto Loans 2 79B3 Number of Other Foreclosed and Repossessed Loans 2 799A1 Total Investments <= 1 Year 1 799A1 Total Investments <= 1 Year B Total Investments > 1-3 Years 1 799B Total Investments > 1-3 Years C1 Total Investments > 3-5 Years 1 799C1 Total Investments > 3-5 Years C2 Total Investments > 5 - Years 1 799C2 Total Investments > 5 - Years D Total Investments > Years 1 799D Total Investments > Years I Total Investments 1 01 Fair value of Held to Maturity Investments 1 11 Total Unfunded Commitments for Non-Business Loans Revolving Open-End lines secured by 1-4 Family Residential Properties 11A Total Unfunded Commitments-Residential Construction Loans-Excluding Business Purpose 11A1 Amount Committed Directly by Credit Union, Residential Construction Loans-Excluding Business Purpose 11A2 Amount Committed through Third Party / Indirect, Residential Construction Loans- Excluding Business Purpose 11A3 Amount Committed Directly by Credit Union, Revolving Open-End lines secured by 1-4 Family Residential Properties 11A4 Amount Committed through Third Party / Indirect, Revolving Open-End lines secured by 1-4 Family Residential Properties 11B Total Unfunded Commitments for Federally Insured Home Equity Conversion Mortgages (HECM)(Reverse Mortgages) 11B1 Amount Committed Directly by Credit Union, Federally Insured Home Equity Conversion Mortgages (HECM)(Reverse Mortgages) 11B2 Amount Committed through Third Party / Indirect, Federally Insured Home Equity Conversion Mortgages (HECM)(Reverse Mortgages) 11C Total Unfunded Commitments for Proprietary Reverse Mortgage Products 11C1 Amount Committed Directly by Credit Union, Proprietary Reverse Mortgage Products 11C2 Amount Committed through Third Party / Indirect, Proprietary Reverse Mortgage Products 12 Total Unfunded Commitments for Credit Card Lines 12A Amount Committed Directly by Credit Union, Credit Card Lines 12B Amount Committed through Third Party / Indirect, Credit Card Lines 13 Total Outstanding Letters of Credit Unfunded Commitments 13A Amount Committed Directly by Credit Union, Outstanding Letters of Credit 13A Amount Committed Directly by Credit Union, Outstanding Letters of Credit 13B Amount Committed through Third Party / Indirect, Outstanding Letters of Credit 13B Amount Committed through Third Party / Indirect, Outstanding Letters of Credit 14A1 Total Construction & Land Development Unfunded Commitments 14A1 Total Construction & Land Development Unfunded Commitments 14A2 Amount Committed Directly by Credit Union, Construction & Land Development 14A2 Amount Committed Directly by Credit Union, Construction & Land Development 14A3 Amount Committed through Third Party / Indirect, Construction & Land Development 14A3 Amount Committed through Third Party / Indirect, Construction & Land Development 14B Unfunded Commitments for business loans and participation interests qualifying for 12 RBNW 14B Unfunded Commitments for business loans and participation interests qualifying for RBNW 14D Total Amount of Unfunded Commitments for Member Business Loans Secured by Real Estate Page 19 of 42
20 14D1 Unfunded Commitments for Member Business Loans Secured by Real Estate - Amount Committed Directly by Credit Union 14D2 Unfunded Commitments for Member Business Loans Secured by Real Estate - Amount Committed through Third Party / Indirect 14E Total Unfunded Commitments for Business Loans 14E1 Total Unfunded Commitments for Business Loans Committed Directly by the Credit Union 14E2 Total Unfunded Commitments for Business Loans Committed through Third Party/Indirect 14F Total Amount of Unfunded Commitments for Member Business Loans NOT Secured by Real Estate 14F1 Unfunded Commitments for Member Business Loans NOT Secured by Real Estate - Amount Committed Directly by Credit Union 14F2 Unfunded Commitments for Member Business Loans NOT Secured by Real Estate - Amount Committed through Third Party / Indirect 14G Total Amount of Unfunded Commitments for Nonmember Business Loans Secured By Real Estate 14G1 Unfunded Commitments for Nonmember Business Loans Secured By Real Estate - Amount Committed Directly by Credit Union 14G2 Unfunded Commitments for Nonmember Business Loans Secured By Real Estate - Amount Committed through Third Party / Indirect 14H Total Amount of Unfunded Commitments for Nonmember Business Loans NOT Secured By Real Estate 14H1 Unfunded Commitments for Nonmember Business Loans NOT Secured By Real Estate - Amount Committed Directly by Credit Union 14H2 Unfunded Commitments for Nonmember Business Loans NOT Secured By Real Estate - Amount Committed through Third Party / Indirect 14J Total Amount of Unfunded Commitments for Agricultural Related Business Loans 14J1 Unfunded Commitments for Agricultural Related Business Loans - Amount Committed Directly by Credit Union 14J2 Unfunded Commitments for Agricultural Related Business Loans - Amount Committed through Third Party / Indirect Total Unfunded Commitments for Unsecured Share Draft Lines of Credit A Amount Committed Directly by Credit Union, Unsecured Share Draft Lines of Credit B Amount Committed through Third Party / Indirect, Unsecured Share Draft Lines of Credit Total Other Unfunded Commitments A Total Unfunded Commitments for all loan types A1 Total Unfunded Commitments for all loan types, Amount Committed Directly by Credit Union A2 Total Unfunded Commitments for all loan types, Amount Committed through Third Party / Indirect B1 Amount Committed Directly by Credit Union, Other Unfunded Commitments B2 Amount Committed through Third Party / Indirect, Other Unfunded Commitments E Total Unfunded Commitments for Non-Business Loans E1 Unfunded Commitments for Non-Business Loans - Amount Committed Directly by Credit Union E2 Unfunded Commitments for Non-Business Loans - Amount Committed through Third Party / Indirect 1 Dollar Amount of Pending Bond Claims 1A Other Contingent Liabilities 19 Loans Transferred with Limited Recourse Qualifying for Sales Accounting 19 Loans Transferred with Limited Recourse Qualifying for Sales Accounting 12 20A Accrued Dividends & Interest Payable on Shares & Deposits 3 Total Unfunded Commitments for Overdraft Protection Program Commitments A Amount Committed Directly by Credit Union, Overdraft Protection Program Commitments Page 20 of 42
21 B Amount Committed through Third Party / Indirect, Overdraft Protection Program Commitments 25 Accounts Payable and Other Liabilities 3 25A Non-Trading Derivative Liabilities, net 3 44A CUSO EIN 19 44B CUSO EIN 19 44C CUSO EIN 19 44D CUSO EIN 19 44E CUSO EIN 19 44F CUSO EIN 19 44G CUSO EIN 19 44H CUSO EIN 19 44I CUSO EIN 19 44J CUSO EIN 19 44K CUSO EIN 19 44L CUSO EIN 19 44M CUSO EIN 19 44N CUSO EIN 19 44O CUSO EIN 19 44P CUSO EIN 19 44Q CUSO EIN 19 44R CUSO EIN 19 44S CUSO EIN 19 44T CUSO EIN 19 45A Full/Legal Name of CUSO 19 45B Full/Legal Name of CUSO 19 45C Full/Legal Name of CUSO 19 45D Full/Legal Name of CUSO 19 45E Full/Legal Name of CUSO 19 45F Full/Legal Name of CUSO 19 45G Full/Legal Name of CUSO 19 45H Full/Legal Name of CUSO 19 45I Full/Legal Name of CUSO 19 45J Full/Legal Name of CUSO 19 45K Full/Legal Name of CUSO 19 45L Full/Legal Name of CUSO 19 45M Full/Legal Name of CUSO 19 45N Full/Legal Name of CUSO 19 45O Full/Legal Name of CUSO 19 45P Full/Legal Name of CUSO 19 45Q Full/Legal Name of CUSO 19 45R Full/Legal Name of CUSO 19 45S Full/Legal Name of CUSO 19 45T Full/Legal Name of CUSO 19 46A Total Assets of CUSO 19 46B Total Assets of CUSO 19 46C Total Assets of CUSO 19 46D Total Assets of CUSO 19 46E Total Assets of CUSO 19 46F Total Assets of CUSO 19 46G Total Assets of CUSO 19 46H Total Assets of CUSO 19 46I Total Assets of CUSO 19 46J Total Assets of CUSO 19 46K Total Assets of CUSO 19 46L Total Assets of CUSO 19 46M Total Assets of CUSO 19 46N Total Assets of CUSO 19 Page of 42
22 46O Total Assets of CUSO 19 46P Total Assets of CUSO 19 46Q Total Assets of CUSO 19 46R Total Assets of CUSO 19 46S Total Assets of CUSO 19 46T Total Assets of CUSO 19 47A Total Capital of CUSO 19 47B Total Capital of CUSO 19 47C Total Capital of CUSO 19 47D Total Capital of CUSO 19 47E Total Capital of CUSO 19 47F Total Capital of CUSO 19 47G Total Capital of CUSO 19 47H Total Capital of CUSO 19 47I Total Capital of CUSO 19 47J Total Capital of CUSO 19 47K Total Capital of CUSO 19 47L Total Capital of CUSO 19 47M Total Capital of CUSO 19 47N Total Capital of CUSO 19 47O Total Capital of CUSO 19 47P Total Capital of CUSO 19 47Q Total Capital of CUSO 19 47R Total Capital of CUSO 19 47S Total Capital of CUSO 19 47T Total Capital of CUSO 19 4A Net Income/Loss of CUSO 19 4B Net Income/Loss of CUSO 19 4C Net Income/Loss of CUSO 19 4D Net Income/Loss of CUSO 19 4E Net Income/Loss of CUSO 19 4F Net Income/Loss of CUSO 19 4G Net Income/Loss of CUSO 19 4H Net Income/Loss of CUSO 19 4I Net Income/Loss of CUSO 19 4J Net Income/Loss of CUSO 19 4K Net Income/Loss of CUSO 19 4L Net Income/Loss of CUSO 19 4M Net Income/Loss of CUSO 19 4N Net Income/Loss of CUSO 19 4O Net Income/Loss of CUSO 19 4P Net Income/Loss of CUSO 19 4Q Net Income/Loss of CUSO 19 4R Net Income/Loss of CUSO 19 4S Net Income/Loss of CUSO 19 4T Net Income/Loss of CUSO 19 49A Total Delinquency of CUSO 19 49B Total Delinquency of CUSO 19 49C Total Delinquency of CUSO 19 49D Total Delinquency of CUSO 19 49E Total Delinquency of CUSO 19 49F Total Delinquency of CUSO 19 49G Total Delinquency of CUSO 19 49H Total Delinquency of CUSO 19 49I Total Delinquency of CUSO 19 49J Total Delinquency of CUSO 19 49K Total Delinquency of CUSO 19 49L Total Delinquency of CUSO 19 Page of 42
23 49M Total Delinquency of CUSO 19 49N Total Delinquency of CUSO 19 49O Total Delinquency of CUSO 19 49P Total Delinquency of CUSO 19 49Q Total Delinquency of CUSO 19 49R Total Delinquency of CUSO 19 49S Total Delinquency of CUSO 19 49T Total Delinquency of CUSO 19 54A Total Loans of CUSO 19 54B Total Loans of CUSO 19 54C Total Loans of CUSO 19 54D Total Loans of CUSO 19 54E Total Loans of CUSO 19 54F Total Loans of CUSO 19 54G Total Loans of CUSO 19 54H Total Loans of CUSO 19 54I Total Loans of CUSO 19 54J Total Loans of CUSO 19 54K Total Loans of CUSO 19 54L Total Loans of CUSO 19 54M Total Loans of CUSO 19 54N Total Loans of CUSO 19 54O Total Loans of CUSO 19 54P Total Loans of CUSO 19 54Q Total Loans of CUSO 19 54R Total Loans of CUSO 19 54S Total Loans of CUSO 19 54T Total Loans of CUSO 19 55A Does this CUSO have any subsidiary CUSOs? 19 55B Does this CUSO have any subsidiary CUSOs? 19 55C Does this CUSO have any subsidiary CUSOs? 19 55D Does this CUSO have any subsidiary CUSOs? 19 55E Does this CUSO have any subsidiary CUSOs? 19 55F Does this CUSO have any subsidiary CUSOs? 19 55G Does this CUSO have any subsidiary CUSOs? 19 55H Does this CUSO have any subsidiary CUSOs? 19 55I Does this CUSO have any subsidiary CUSOs? 19 55J Does this CUSO have any subsidiary CUSOs? 19 55K Does this CUSO have any subsidiary CUSOs? 19 55L Does this CUSO have any subsidiary CUSOs? 19 55M Does this CUSO have any subsidiary CUSOs? 19 55N Does this CUSO have any subsidiary CUSOs? 19 55O Does this CUSO have any subsidiary CUSOs? 19 55P Does this CUSO have any subsidiary CUSOs? 19 55Q Does this CUSO have any subsidiary CUSOs? 19 55R Does this CUSO have any subsidiary CUSOs? 19 55S Does this CUSO have any subsidiary CUSOs? 19 55T Does this CUSO have any subsidiary CUSOs? Total Value of Investments in CUSOs Total Amount Loaned to CUSOs Total Aggregate Cash Outlay in CUSOs 19 60A Total Liabilities < 1 Year 3 60B1 Total Liabilities 1-3 Years 3 60B2 Total Liabilities > 3 Years 3 60C Total Liabilities 3 65A Amount of Borrowings subject to early repayment at Lender's Option 67A Subordinated Debt <1 Year 3 67B1 Subordinated Debt 1-3 Years 3 Page of 42
24 67B2 Subordinated Debt > 3 Years 3 67C Total Subordinated Debt 3 75 Does you credit union maintain share/deposit insurance coverage in addition to the 6 NCUSIF? 76 Company providing share/deposit insurance coverage in addition to the NCUSIF 6 77 Dollar amount of shares and/or deposits insured by the company above 6 7 Assets Pledged to Secure Borrowings 0 Total Non-Member Deposits 3 0A Non-Member Deposits < 1 Year 3 0B1 Non-Member Deposits 1-3 Years 3 0B2 Non-Member Deposits > 3 Years 3 1 Total Credit Lines (Lines of Credit) 2 Total Committed Credit Lines (Lines of Credit) 3A Draws Against Lines of Credit <1 Year 3 3B1 Draws Against Lines of Credit 1-3 Years 3 3B2 Draws Against Lines of Credit > 3 Years 3 3C Total Draws Against Lines of Credit 3 4 Total Credit Lines at Corporate Credit Unions 4A1 Credit Lines at Corporate Credit Unions - Uncommitted 4A2 Credit Lines at Corporate Credit Unions - Committed 4C Total Credit Lines at Natural Person Credit Unions 4C1 Credit Lines at Natural Person Credit Unions - Uncommitted 4C2 Credit Lines at Natural Person Credit Unions - Committed 4D Total Other Credit Lines 4D1 Other Credit Lines - Uncommitted 4D2 Other Credit Lines - Committed 4E Total Credit Lines - Uncommitted 5A Borrowings Outstanding from Corporate Credit Unions- Line of Credit 5A1 Draws Against LOCs from Natural Person Credit Unions 5A2 Draws Against LOCs from Other Sources 5A3 Draws Against LOCs from FHLB 5A4 Total Draws Against LOCs 5B Borrowings Outstanding from Corporate Credit Unions- Term Borrowings 5B1 Term Borrowings from Natural Person Credit Unions 5B2 Term Borrowings from Other Sources 5B3 Term Borrowings from FHLB 5B4 Term Borrowings from CLF 5B5 Total Term Borrowings 5C Other Borrowings from Corporate Credit Unions 5C1 Other Borrowings from Natural Person Credit Unions 5C2 Other Borrowings from Other Sources 5C3 Other Borrowings from FHLB 5C4 Other Borrowings from CLF 5C5 Other Borrowings from FRB 5C6 Total Other Borrowings 5D Total Borrowings from Corporate Credit Unions 5D1 Total Borrowings from Natural Person Credit Unions 5D2 Total Borrowings from Other Sources 5D3 Total Borrowings from FHLB 5D4 Total Borrowings from CLF 5D5 Total Borrowings from FRB 5D6 Total Borrowings 92B If you have a transactional world wide website, how many members use it 6 900A Total number of member business loans 900B Total number of nonmember business loans 900C Number of Unsecured Business Loans outstanding meeting the requirements of 7.7(c) - (d) 900C1 Number of Unsecured Member Business Loans Page of 42
25 900C2 Number of Unsecured Revolving Lines of Credit Granted to Members for Business Purposes 900C3 Number of purchased Unsecured Business Loans or participation interests to nonmembers 900C4 Number of purchased Unsecured Revolving Lines of Credit for Business Purposes or participation interests to nonmembers 900D Number of purchased business loans or participation interests to members outstanding 900F Number of Small Business Administration Loans Outstanding 900G Number of member business loans Secured by Non-Farm Residential Property 900G1 Number of purchased business loans or participation interests to nonmembers Secured by Non-Farm Residential Property 900H Number of member business loans Secured by Owner Occupied, Non-Farm, Non- Residential Property 900H1 Number of purchased business loans or participation interests to nonmembers Secured by Owner Occupied, Non-Farm, Non-Residential Property 900J Number of member business loans Secured by Non-Owner Occupied, Non-Farm, Non- Residential Property 900J1 Number of purchased business loans or participation interests to nonmembers Secured by Non-Owner Occupied, Non-Farm, Non-Residential Property 900K Total number of real estate secured member business loans 900K1 Total number of real estate secured nonmember business loans 900L Number of Commercial and Industrial member business loans 900L1 Number of purchased Commercial and Industrial business loans or participation interests to nonmembers 900T Number of business loans 902 Total Amount of Share Drafts 3 902A Amount of Share Drafts < 1 Year 3 906A IRA/KEOGH Accounts < 1 Year 3 906B1 IRA/KEOGH Accounts 1-3 Years 3 906B2 IRA/KEOGH Accounts > 3 Years 3 906C Total Amount of IRA/KEOGH Accounts 3 90A Share Certificates < 1 Year 3 90B1 Share Certificates 1-3 Years 3 90B2 Share Certificates > 3 Years 3 90C Total Amount of Share Certificates Total Amount of Money Market Shares 3 911A Amount of Money Market Shares <1 Year Total Uninsured Secondary Capital 6 925A Total Subordinated Debt included in Net Worth 3 925A Total Subordinated Debt included in Net Worth A1 Subordinated Debt included in Net Worth 1-3 years 3 925A2 Subordinated Debt included in Net Worth greater than 3 years 3 925B1 Uninsured Secondary Capital 1-3 Years 6 925B2 Uninsured Secondary Capital > 3 Years Amount of Grants Awarded Year-to-Date Amount of Grants Received Year-to-Date 6 92 Number of International Remittances originated Year-to-Date Regular Reserves Regular Reserves Undivided Earnings Undivided Earnings Accumulated Unrealized Gains (Losses) on Available for Sale Securities 4 945A Accumulated Unrealized Net Gains (Losses) on Cash Flow Hedges 4 945B Other Comprehensive Income 4 945C Accumulated Unrealized Losses for OTTI (Due to Other Factors) on HTM Debt 4 Securities 954 Number of Leases Receivable 2 Page 25 of 42
26 956 Amount of Loans Outstanding to Credit Union Officials and Senior Executive Staff 2 95 Number of New Vehicle Loans Number of Total 1st Mortgage RE Loans/Lines of Credit Number of Total Other RE Loans/Lines of Credit 2 961A Total number of Agricultural Related Loans Outstanding 961A1 Number of member business loans Secured by Farmland 961A2 Number of member business loans to finance agricultural production and other loans to farmers 961A3 Number of purchased business loans or participation interests to nonmembers Secured by Farmland 961A4 Number of purchased business loans or participation interests to nonmembers to finance agricultural production and other loans to farmers 963 Number of Total All Other Loans/Lines of Credit 2 963A Number of Non-Federally Guaranteed Student Loans 2 963B Number of Non-Federally Guaranteed Student Loans in deferred status Total Trading Securities 1 965A Trading Securities <= 1 Year 1 965B Trading Securities > 1-3 Years 1 965C1 Trading Securities > 3-5 Years 1 965C2 Trading Securities > 5 - Years 1 965D Trading Securities > Years Total Shares, Number of Accounts 3 96 Number of Used Vehicle Loans Total Outstanding loan balances subject to bankruptcies 9 972A Number of Fixed rate first mortgage loans > year outstanding B Number of Fixed rate first mortgage loans year or less outstanding C Number of first mortgage Balloon/Hybrid loans > 5 years outstanding D Number of first mortgage Balloon/Hybrid loans 5 years or less outstanding E Number of Other Fixed Rate first mortgage loans outstanding A Number of Adjustable Rate first mortgage loans 1 year or less outstanding B Number of Adjustable Rate first mortgage loans > 1 year outstanding Number of closed end fixed rate other real estate loans outstanding Number of closed end adjustable rate other real estate loans outstanding Number of open end adjustable rate other real estate loans outstanding B Number of open end fixed rate other real estate loans outstanding Total Number of RE Loans Outstanding Provide the aggregate of all capital and operating lease payments on fixed assets, 6 without discounting commitments for future payments to present value 91 Total Other Mortgage-Backed Securities 17 91A Privately Issued Mortgage-Related Securities 17 91B Privately Issued Mortgage-Backed Securities 17 91C Privately Issued Securities (exclude from 3.a.i.) that fail to meet the definition of a 17 mortgage-related security (i.e., downgraded below the two highest rating categories) after purchase (FCU Only) 92A Number of Fixed rate first mortgage loans > year granted YTD 13 92B Number of Fixed rate first mortgage loans year or less granted YTD 13 92C Number of first mortgage Balloon/Hybrid loans > 5 years granted YTD 13 92D Number of first mortgage Balloon/Hybrid loans 5 years or less granted YTD 13 92E Number of Other Fixed Rate first mortgage loans granted YTD 13 93A Number of Adjustable Rate first mortgage loans 1 year or less granted YTD 13 93B Number of Adjustable Rate first mortgage loans > 1 year granted YTD Number of closed end fixed rate other real estate loans granted YTD Number of closed end adjustable rate other real estate loans granted YTD Number of open end adjustable rate other real estate loans granted YTD 13 96B Number of open end fixed rate other real estate loans granted YTD 13 9 Total number of RE loans granted YTD Number of Unsecured Credit Card Loans Number of All Other Unsecured Loans/Lines of Credit 2 Page 26 of 42
27 994A Number of Payday Alternative Loans (PAL loans) Outstanding Number of Loans Outstanding to Credit Union Officials and Senior Executive Staff Miscellaneous Equity Total Net Worth Net Worth Ratio RBNW Requirement A Risk Based Net Worth (RBNW) Alternative Method under Section B Sum of standard components: RBNW requirement 12 00F Total Number of TDR Loans Outstanding 01F Total Amount of TDR Loans Outstanding 02F Amount of TDR Loans Approved YTD 03 Has the credit union completed a merger or acquisition that qualifies for Business 6 Combination Accounting (FAS 141R) after January 1, 2009? If this answer is "Yes" please complete line 7 on Page Current Quarter's Total Adjusted Retained Earnings acquired through Business 11 Combinations 04A Prior Quarter-End Adjusted Retained Earnings acquired through Business 11 Combinations 04B Adjustments made to Retained Earnings acquired through Business Combinations 11 during current quarter (See Instructions) 04C Adjusted Gain from Bargain Purchase due to Business Combinations completed 11 during current quarter (See Instructions) 05 Amount of Real Estate Loans Foreclosed Year-to-Date (Report Balance at time of 9 Foreclosure) 05A Number of Real Estate Loans Foreclosed Year-to-Date 9 06 Total number of TDR loans in accrual status 06A Number of TDR Loans secured by First Mortgages Outstanding- Accrual Status 06B Number of TDR Loans secured by Other RE/LOCs Outstanding- Accrual Status 06C Number of TDR RE Loans also reported as business loans Outstanding- Accrual Status 06D Number of TDR Consumer Loans NOT Secured by Real Estate Outstanding- Accrual Status 06E Number of TDR Business Loans NOT Secured by Real Estate Outstanding- Accrual Status 07 Total amount of TDR loans in accrual status 07A Amount of TDR Loans secured by First Mortgages Outstanding- Accrual Status 07B Amount of TDR Loans secured by Other RE/LOCs Outstanding- Accrual Status 07C Amount of TDR RE Loans also reported as business loans Outstanding- Accrual Status 07D Amount of TDR Consumer Loans NOT Secured by Real Estate Outstanding- Accrual Status 07E Amount of TDR Business Loans NOT Secured by Real Estate Outstanding- Accrual Status 0 Total number of TDR loans in nonaccrual status 0A Number of TDR Loans secured by First Mortgages Outstanding- Nonaccrual Status 0B Number of TDR Loans secured by Other RE/LOCs Outstanding- Nonaccrual Status 0C Number of TDR RE Loans also reported as business loans Outstanding- Nonaccrual Status 0D Number of TDR Consumer Loans NOT Secured by Real Estate Outstanding- Nonaccrual Status 0E Number of TDR Business Loans NOT Secured by Real Estate Outstanding- Nonaccrual Status 09 Total amount of TDR loans in nonaccrual status 09A Amount of TDR Loans secured by First Mortgages Outstanding- Nonaccrual Status 09B Amount of TDR Loans secured by Other RE/LOCs Outstanding- Nonaccrual Status 09C Amount of TDR RE Loans also reported as business loans Outstanding- Nonaccrual Status Page 27 of 42
28 09D Amount of TDR Consumer Loans NOT Secured by Real Estate Outstanding- Nonaccrual Status 09E Amount of TDR Business Loans NOT Secured by Real Estate Outstanding- Nonaccrual Status A Total Number of TDR Loans secured by First Mortgages B Total Number of TDR Loans secured by Other RE/LOCs C Total Number of TDR RE Loans also reported as business loans D Total Number of TDR Consumer Loans Not Secured by Real Estate E Total Number of TDR Business Loans Not Secured by Real Estate 11A Total Amount of TDR Loans secured by First Mortgages 11B Total Amount of TDR Loans secured by Other RE/LOCs 11C Total Amount of TDR RE Loans also reported as business loans 11D Total Amount of TDR Consumer Loans not Secured by Real Estate 11E Total Amount of TDR Business Loans not Secured by Real Estate 12A Number of TDR Loans Approved YTD 13 TDR portion of Allowance for Loan and Lease Losses 14 Number of outstanding Purchased Credit Impaired Loans - First Mortgages 14A Contractually Required Payments Receivable of Purchased Credit Impaired Loans - Secured by First Mortgages 14B Nonaccretable balance outstanding of Purchased Credit Impaired Loans - First Mortgages 14C Accretable yield outstanding of Purchased Credit Impaired Loans - First Mortgages 14D Recorded Investment in Purchased Credit Impaired Loan Receivables (Amount included in Loans on Page 2) - Secured by First Mortgages 14E YTD amount of Uncollectible amounts of Purchased Credit Impaired Loans charged off to the Allowance for Loan and Lease Losses Account - Secured by First Mortgages Number of outstanding Purchased Credit Impaired Loans - Other RE/LOCs A Contractually Required Payments Receivable of Purchased Credit Impaired Loans - Secured by Other RE/LOCs B Nonaccretable balance outstanding of Purchased Credit Impaired Loans - Other RE/LOCs C Accretable yield outstanding of Purchased Credit Impaired Loans - Other RE/LOCs D Recorded Investment in Purchased Credit Impaired Loan Receivables (Amount included in Loans on Page 2) - Secured by Other RE/LOCs E YTD amount of Uncollectible amounts of Purchased Credit Impaired Loans charged off to the Allowance for Loan and Lease Losses Account - Secured by Other RE/LOCs Number of outstanding Purchased Credit Impaired Loans - RE Loans also reported as business loans A Contractually Required Payments Receivable of Purchased Credit Impaired Loans - RE Loans also reported as business loans B Nonaccretable balance outstanding of Purchased Credit Impaired Loans - RE Loans also reported as business loans C Accretable yield outstanding of Purchased Credit Impaired Loans - RE Loans also reported as business loans D Recorded Investment in Purchased Credit Impaired Loan Receivables (Amount included in Loans on Page 2) - RE Loans also reported as business loans E YTD amount of Uncollectible amounts of Purchased Credit Impaired Loans charged off to the Allowance for Loan and Lease Losses Account - Secured by RE Loans also reported as business loans 17 Number of outstanding Purchased Credit Impaired Loans - Consumer Loans NOT Secured by Real Estate 17A Contractually Required Payments Receivable of Purchased Credit Impaired Loans - Consumer Loans NOT Secured by Real Estate 17B Nonaccretable balance outstanding of Purchased Credit Impaired Loans - Consumer Loans NOT Secured by Real Estate Page 2 of 42
29 17C Accretable yield outstanding of Purchased Credit Impaired Loans - Consumer Loans NOT Secured by Real Estate 17D Recorded Investment in Purchased Credit Impaired Loan Receivables (Amount included in Loans on Page 2) - Consumer Loans NOT Secured by Real Estate 17E YTD amount of Uncollectible amounts of Purchased Credit Impaired Loans charged off to the Allowance for Loan and Lease Losses Account - Consumer Loans NOT Secured by Real Estate 1 Number of outstanding Purchased Credit Impaired Loans - Business Loans NOT Secured by Real Estate 1A Contractually Required Payments Receivable of Purchased Credit Impaired Loans - Business Loans NOT Secured by Real Estate 1B Nonaccretable balance outstanding of Purchased Credit Impaired Loans - Business Loans NOT Secured by Real Estate 1C Accretable yield outstanding of Purchased Credit Impaired Loans - Business Loans NOT Secured by Real Estate 1D Recorded Investment in Purchased Credit Impaired Loan Receivables (Amount included in Loans on Page 2) - Business Loans NOT Secured by Real Estate 1E YTD amount of Uncollectible amounts of Purchased Credit Impaired Loans charged off to the Allowance for Loan and Lease Losses Account - Business Loans NOT Secured by Real Estate 19 Total number of outstanding Purchased Credit Impaired Loans 19A Total Outstanding Contractually Required Payments Receivable of Purchased Credit Impaired Loans Outstanding 19B Total nonaccretable balance outstanding of Purchased Credit Impaired Loans 19C Total accretable yield outstanding of Purchased Credit Impaired Loans 19D Total Outstanding Recorded Investment in Purchased Credit Impaired Loan Receivables (Amount included in Loans on Page 2) 19E Total Outstanding YTD amount of Uncollectible amounts of Purchased Credit Impaired Loans charged off to the Allowance for Loan and Lease Losses Account 20 Total Derivative Transactions Outstanding - Interest Rate Swaps: Pay-fixed - Total 20 Notional Amount 20A Total Derivative Transactions Outstanding - Interest Rate Swaps: Pay-fixed - Fair 20 Value of Derivatives in a Gain Position 20B Total Derivative Transactions Outstanding - Interest Rate Swaps: Pay-fixed - Fair 20 Value of Derivatives in a Loss Position 20C Total Derivative Transactions Outstanding - Interest Rate Swaps: Pay-fixed - Net Fair 20 Value Gain (Loss) 20D Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Swaps: Pay-fixed - Number of Trades 20E Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Swaps: Pay-fixed - Notional Amount 20F Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Swaps: Pay-fixed - Net Fair Value Gain (Loss) 20G Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Swaps: Pay-fixed - Number of Trades 20H Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Swaps: Pay-fixed - Notional Amount 20J Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Swaps: Pay-fixed - Net Fair Value Gain (Loss) 20K Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Swaps: Pay-fixed - Number of Trades 20L Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Swaps: Pay-fixed - Notional Amount 20M Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Swaps: Pay-fixed - Net Fair Value Gain (Loss) 20N Derivative Transaction Activity - Interest Rate Swaps: Pay-fixed - Total Notional Amount from Previous Quarter Page 29 of 42
30 20P Derivative Transaction Activity - Interest Rate Swaps: Pay-fixed - Notional Amount of Derivative Transactions Made in Current Quarter 20Q Derivative Transaction Activity - Interest Rate Swaps: Pay-fixed - Notional Amount Amortized, Matured, or Terminated in Current Quarter 20R Derivative Transaction Activity - Interest Rate Swaps: Pay-fixed - Outstanding Total Notional Amounts 20S Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Payfixed 1 yr 20S1 remaining in contract) - Interest Rate Swaps: Pay-fixed 1 yr 20T Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Payfixed 1 to 3 yrs 20T1 Current Net Fair Value Gains (Losses) based on Maturity (years remaining in contract) - Interest Rate Swaps: Pay-fixed 1 to 3 yrs 20U Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Payfixed 3 to 5 yrs 20U1 remaining in contract) - Interest Rate Swaps: Pay-fixed 3 to 5 yrs 20V Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Payfixed 5 to yrs 20V1 remaining in contract) - Interest Rate Swaps: Pay-fixed 5 to yrs 20W Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Payfixed yrs 20W1 remaining in contract) - Interest Rate Swaps: Pay-fixed yrs 20X Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Payfixed -Total 20X1 remaining in contract) - Interest Rate Swaps: Pay-fixed -Total 20Y Weighted Average yrs to Maturity - Interest Rate Swaps: Pay-fixed Total Derivative Transactions Outstanding - Interest Rate Swaps: Receive-fixed - 20 Total Notional Amount A Total Derivative Transactions Outstanding - Interest Rate Swaps: Receive-fixed - Fair 20 Value of Derivatives in a Gain Position B Total Derivative Transactions Outstanding - Interest Rate Swaps: Receive-fixed - Fair 20 Value of Derivatives in a Loss Position C Total Derivative Transactions Outstanding - Interest Rate Swaps: Receive-fixed - Net 20 Fair Value Gain (Loss) D Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Swaps: Receive-fixed - Number of Trades E Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Swaps: Receive-fixed - Notional Amount F Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Swaps: Receive-fixed - Net Fair Value Gain (Loss) G Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Swaps: Receive-fixed - Number of Trades H Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Swaps: Receive-fixed - Notional Amount J Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Swaps: Receive-fixed - Net Fair Value Gain (Loss) K Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Swaps: Receive-fixed - Number of Trades L Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Swaps: Receive-fixed - Notional Amount M Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Swaps: Receive-fixed - Net Fair Value Gain (Loss) Page 30 of 42
31 N Derivative Transaction Activity - Interest Rate Swaps: Receive-fixed - Total Notional Amount from Previous Quarter P Derivative Transaction Activity - Interest Rate Swaps: Receive-fixed - Notional Amount of Derivative Transactions Made in Current Quarter Q Derivative Transaction Activity - Interest Rate Swaps: Receive-fixed - Notional Amount Amortized, Matured, or Terminated in Current Quarter R Derivative Transaction Activity - Interest Rate Swaps: Receive-fixed - Outstanding Total Notional Amounts S Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Receive-fixed 1 yr S1 remaining in contract) - Interest Rate Swaps: Receive-fixed 1 yr T Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Receive-fixed 1 to 3 yrs T1 remaining in contract) - Interest Rate Swaps: Receive-fixed 1 to 3 yrs U Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Receive-fixed 3 to 5 yrs U1 Current Net Fair Value Gains (Losses) based on Maturity (years remaining in contract) - Interest Rate Swaps: Receive-fixed 3 to 5 yrs V Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Receive-fixed 5 to yrs V1 Current Net Fair Value Gains (Losses) based on Maturity (years remaining in contract) - Interest Rate Swaps: Receive-fixed 5 to yrs W Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Receive-fixed yrs W1 Current Net Fair Value Gains (Losses) based on Maturity (years remaining in contract) - Interest Rate Swaps: Receive-fixed yrs X Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Receive-fixed -Total X1 remaining in contract) - Interest Rate Swaps: Receive-fixed -Total Y Weighted Average yrs to Maturity - Interest Rate Swaps: Receive-fixed Total Derivative Transactions Outstanding - Interest Rate Swaps: Basis - Total 20 Notional Amount A Total Derivative Transactions Outstanding - Interest Rate Swaps: Basis - Fair Value 20 of Derivatives in a Gain Position B Total Derivative Transactions Outstanding - Interest Rate Swaps: Basis - Fair Value 20 of Derivatives in a Loss Position C Total Derivative Transactions Outstanding - Interest Rate Swaps: Basis - Net Fair 20 Value Gain (Loss) D Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Swaps: Basis - Number of Trades E Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Swaps: Basis - Notional Amount F Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Swaps: Basis - Net Fair Value Gain (Loss) G Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Swaps: Basis - Number of Trades H Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Swaps: Basis - Notional Amount J Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Swaps: Basis - Net Fair Value Gain (Loss) K Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Swaps: Basis - Number of Trades L Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Swaps: Basis - Notional Amount Page 31 of 42
32 M Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Swaps: Basis - Net Fair Value Gain (Loss) N Derivative Transaction Activity - Interest Rate Swaps: Basis - Total Notional Amount from Previous Quarter P Derivative Transaction Activity - Interest Rate Swaps: Basis - Notional Amount of Derivative Transactions Made in Current Quarter Q Derivative Transaction Activity - Interest Rate Swaps: Basis - Notional Amount Amortized, Matured, or Terminated in Current Quarter R Derivative Transaction Activity - Interest Rate Swaps: Basis - Outstanding Total Notional Amounts S Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Basis 1 yr S1 remaining in contract) - Interest Rate Swaps: Basis 1 yr T Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Basis 1 to 3 yrs T1 remaining in contract) - Interest Rate Swaps: Basis 1 to 3 yrs U Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Basis 3 to 5 yrs U1 remaining in contract) - Interest Rate Swaps: Basis 3 to 5 yrs V Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Basis 5 to yrs V1 remaining in contract) - Interest Rate Swaps: Basis 5 to yrs W Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Basis yrs W1 remaining in contract) - Interest Rate Swaps: Basis yrs X Current Notional Amount of Derivatives based on Maturity - Interest Rate Swaps: Basis -Total X1 remaining in contract) - Interest Rate Swaps: Basis -Total Y Weighted Average yrs to Maturity - Interest Rate Swaps: Basis Total Derivative Transactions Outstanding - Interest Rate Options: Caps Purchased - 20 Total Notional Amount A Total Derivative Transactions Outstanding - Interest Rate Options: Caps Purchased - 20 Fair Value of Derivatives in a Gain Position B Total Derivative Transactions Outstanding - Interest Rate Options: Caps Purchased - 20 Fair Value of Derivatives in a Loss Position C Total Derivative Transactions Outstanding - Interest Rate Options: Caps Purchased - 20 Net Fair Value Gain (Loss) D Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Options: Caps Purchased - Number of Trades E Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Options: Caps Purchased - Notional Amount F Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Options: Caps Purchased - Net Fair Value Gain (Loss) G Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Options: Caps Purchased - Number of Trades H Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Options: Caps Purchased - Notional Amount J Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Options: Caps Purchased - Net Fair Value Gain (Loss) K Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Options: Caps Purchased - Number of Trades Page 32 of 42
33 L Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Options: Caps Purchased - Notional Amount M Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Options: Caps Purchased - Net Fair Value Gain (Loss) N Derivative Transaction Activity - Interest Rate Options: Caps Purchased - Total Notional Amount from Previous Quarter P Derivative Transaction Activity - Interest Rate Options: Caps Purchased - Notional Amount of Derivative Transactions Made in Current Quarter Q Derivative Transaction Activity - Interest Rate Options: Caps Purchased - Notional Amount Amortized, Matured, or Terminated in Current Quarter R Derivative Transaction Activity - Interest Rate Options: Caps Purchased - Outstanding Total Notional Amounts S Current Notional Amount of Derivatives based on Maturity - Interest Rate Options: Caps Purchased 1 yr S1 remaining in contract) - Interest Rate Options: Caps Purchased 1 yr T Current Notional Amount of Derivatives based on Maturity - Interest Rate Options: Caps Purchased 1 to 3 yrs T1 remaining in contract) - Interest Rate Options: Caps Purchased 1 to 3 yrs U Current Notional Amount of Derivatives based on Maturity - Interest Rate Options: Caps Purchased 3 to 5 yrs U1 remaining in contract) - Interest Rate Options: Caps Purchased 3 to 5 yrs V Current Notional Amount of Derivatives based on Maturity - Interest Rate Options: Caps Purchased 5 to yrs V1 remaining in contract) - Interest Rate Options: Caps Purchased 5 to yrs W Current Notional Amount of Derivatives based on Maturity - Interest Rate Options: Caps Purchased yrs W1 remaining in contract) - Interest Rate Options: Caps Purchased yrs X Current Notional Amount of Derivatives based on Maturity - Interest Rate Options: Caps Purchased -Total X1 remaining in contract) - Interest Rate Options: Caps Purchased -Total Y Weighted Average yrs to Maturity - Interest Rate Options: Caps Purchased Total Derivative Transactions Outstanding - Interest Rate Options: Floors Purchased - 20 Total Notional Amount A Total Derivative Transactions Outstanding - Interest Rate Options: Floors Purchased - 20 Fair Value of Derivatives in a Gain Position B Total Derivative Transactions Outstanding - Interest Rate Options: Floors Purchased - 20 Fair Value of Derivatives in a Loss Position C Total Derivative Transactions Outstanding - Interest Rate Options: Floors Purchased - 20 Net Fair Value Gain (Loss) D Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Options: Floors Purchased - Number of Trades E Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Options: Floors Purchased - Notional Amount F Derivative Transactions Outstanding with No Hedge Accounting Designation - Interest Rate Options: Floors Purchased - Net Fair Value Gain (Loss) G Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Options: Floors Purchased - Number of Trades H Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Options: Floors Purchased - Notional Amount J Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Interest Rate Options: Floors Purchased - Net Fair Value Gain (Loss) Page 33 of 42
34 K Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Options: Floors Purchased - Number of Trades L Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Options: Floors Purchased - Notional Amount M Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Interest Rate Options: Floors Purchased - Net Fair Value Gain (Loss) N Derivative Transaction Activity - Interest Rate Options: Floors Purchased - Total Notional Amount from Previous Quarter P Derivative Transaction Activity - Interest Rate Options: Floors Purchased - Notional Amount of Derivative Transactions Made in Current Quarter Q Derivative Transaction Activity - Interest Rate Options: Floors Purchased - Notional Amount Amortized, Matured, or Terminated in Current Quarter R Derivative Transaction Activity - Interest Rate Options: Floors Purchased - Outstanding Total Notional Amounts S Current Notional Amount of Derivatives based on Maturity - Interest Rate Options: Floors Purchased 1 yr S1 remaining in contract) - Interest Rate Options: Floors Purchased 1 yr T Current Notional Amount of Derivatives based on Maturity - Interest Rate Options: Floors Purchased 1 to 3 yrs T1 remaining in contract) - Interest Rate Options: Floors Purchased 1 to 3 yrs U Current Notional Amount of Derivatives based on Maturity - Interest Rate Options: Floors Purchased 3 to 5 yrs U1 remaining in contract) - Interest Rate Options: Floors Purchased 3 to 5 yrs V Current Notional Amount of Derivatives based on Maturity - Interest Rate Options: Floors Purchased 5 to yrs V1 remaining in contract) - Interest Rate Options: Floors Purchased 5 to yrs W Current Notional Amount of Derivatives based on Maturity - Interest Rate Options: Floors Purchased yrs W1 remaining in contract) - Interest Rate Options: Floors Purchased yrs X Current Notional Amount of Derivatives based on Maturity - Interest Rate Options: Floors Purchased -Total X1 remaining in contract) - Interest Rate Options: Floors Purchased -Total Y Weighted Average yrs to Maturity - Interest Rate Options: Floors Purchased 25 Total Derivative Transactions Outstanding - Treasury Futures: 2 & 3 Year Notes - 20 Total Notional Amount 25A Total Derivative Transactions Outstanding - Treasury Futures: 2 & 3 Year Notes - Fair 20 Value of Derivatives in a Gain Position 25B Total Derivative Transactions Outstanding - Treasury Futures: 2 & 3 Year Notes - Fair 20 Value of Derivatives in a Loss Position 25C Total Derivative Transactions Outstanding - Treasury Futures: 2 & 3 Year Notes - Net 20 Fair Value Gain (Loss) 25D Derivative Transactions Outstanding with No Hedge Accounting Designation - Treasury Futures: 2 & 3 Year Notes - Number of Trades 25E Derivative Transactions Outstanding with No Hedge Accounting Designation - Treasury Futures: 2 & 3 Year Notes - Notional Amount 25F Derivative Transactions Outstanding with No Hedge Accounting Designation - Treasury Futures: 2 & 3 Year Notes - Net Fair Value Gain (Loss) 25G Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Treasury Futures: 2 & 3 Year Notes - Number of Trades 25H Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Treasury Futures: 2 & 3 Year Notes - Notional Amount Page 34 of 42
35 25J Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Treasury Futures: 2 & 3 Year Notes - Net Fair Value Gain (Loss) 25K Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Treasury Futures: 2 & 3 Year Notes - Number of Trades 25L Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Treasury Futures: 2 & 3 Year Notes - Notional Amount 25M Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Treasury Futures: 2 & 3 Year Notes - Net Fair Value Gain (Loss) 25N Derivative Transaction Activity - Treasury Futures: 2 & 3 Year Notes - Total Notional Amount from Previous Quarter 25P Derivative Transaction Activity - Treasury Futures: 2 & 3 Year Notes - Notional Amount of Derivative Transactions Made in Current Quarter 25Q Derivative Transaction Activity - Treasury Futures: 2 & 3 Year Notes - Notional Amount Amortized, Matured, or Terminated in Current Quarter 25R Derivative Transaction Activity - Treasury Futures: 2 & 3 Year Notes - Outstanding Total Notional Amounts 25S Current Notional Amount of Derivatives based on Maturity - Treasury Futures: 2 & 3 Year Notes 1 yr 25S1 remaining in contract) - Treasury Futures: 2 & 3 Year Notes 1 yr 25T Current Notional Amount of Derivatives based on Maturity - Treasury Futures: 2 & 3 Year Notes 1 to 3 yrs 25T1 remaining in contract) - Treasury Futures: 2 & 3 Year Notes 1 to 3 yrs 25X Current Notional Amount of Derivatives based on Maturity - Treasury Futures: 2 & 3 Year Notes -Total 25X1 remaining in contract) - Treasury Futures: 2 & 3 Year Notes -Total 25Y Weighted Average yrs to Maturity - Treasury Futures: 2 & 3 Year Notes 26 Total Derivative Transactions Outstanding - Treasury Futures: 5 & Year Notes - 20 Total Notional Amount 26A Total Derivative Transactions Outstanding - Treasury Futures: 5 & Year Notes - 20 Fair Value of Derivatives in a Gain Position 26B Treasury Futures: 5 & Year Notes - Fair Value of Derivatives in a Loss Position 20 26C Total Derivative Transactions Outstanding - Treasury Futures: 5 & Year Notes - 20 Net Fair Value Gain (Loss) 26D Derivative Transactions Outstanding with No Hedge Accounting Designation - Treasury Futures: 5 & Year Notes - Number of Trades 26E Derivative Transactions Outstanding with No Hedge Accounting Designation - Treasury Futures: 5 & Year Notes - Notional Amount 26F Derivative Transactions Outstanding with No Hedge Accounting Designation - Treasury Futures: 5 & Year Notes - Net Fair Value Gain (Loss) 26G Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Treasury Futures: 5 & Year Notes - Number of Trades 26H Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Treasury Futures: 5 & Year Notes - Notional Amount 26J Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Treasury Futures: 5 & Year Notes - Net Fair Value Gain (Loss) 26K Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Treasury Futures: 5 & Year Notes - Number of Trades 26L Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Treasury Futures: 5 & Year Notes - Notional Amount 26M Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Treasury Futures: 5 & Year Notes - Net Fair Value Gain (Loss) 26N Derivative Transaction Activity - Treasury Futures: 5 & Year Notes - Total Notional Amount from Previous Quarter 26P Derivative Transaction Activity - Treasury Futures: 5 & Year Notes - Notional Amount of Derivative Transactions Made in Current Quarter Page 35 of 42
36 26Q Derivative Transaction Activity - Treasury Futures: 5 & Year Notes - Notional Amount Amortized, Matured, or Terminated in Current Quarter 26R Derivative Transaction Activity - Treasury Futures: 5 & Year Notes - Outstanding Total Notional Amounts 26S Current Notional Amount of Derivatives based on Maturity - Treasury Futures: 5 & Year Notes 1 yr 26S1 remaining in contract) - Treasury Futures: 5 & Year Notes 1 yr 26T Current Notional Amount of Derivatives based on Maturity - Treasury Futures: 5 & Year Notes 1 to 3 yrs 26T1 remaining in contract) - Treasury Futures: 5 & Year Notes 1 to 3 yrs 26U Current Notional Amount of Derivatives based on Maturity - Treasury Futures: 5 & Year Notes 3 to 5 yrs 26U1 remaining in contract) - Treasury Futures: 5 & Year Notes 3 to 5 yrs 26V Current Notional Amount of Derivatives based on Maturity - Treasury Futures: 5 & Year Notes 5 to yrs 26V1 remaining in contract) - Treasury Futures: 5 & Year Notes 5 to yrs 26W Current Notional Amount of Derivatives based on Maturity - Treasury Futures: 5 & Year Notes yrs 26W1 remaining in contract) - Treasury Futures: 5 & Year Notes yrs 26X Current Notional Amount of Derivatives based on Maturity - Treasury Futures: 5 & Year Notes -Total 26X1 remaining in contract) - Treasury Futures: 5 & Year Notes -Total 26Y Weighted Average yrs to Maturity - Treasury Futures: 5 & Year Notes 27 Total Derivative Transactions Outstanding - Other Derivatives (List): i. - Total Notional 20 Amount 27A Total Derivative Transactions Outstanding - Other Derivatives (List): i. - Fair Value of 20 Derivatives in a Gain Position 27B Total Derivative Transactions Outstanding - Other Derivatives (List): i. - Fair Value of 20 Derivatives in a Loss Position 27C Total Derivative Transactions Outstanding - Other Derivatives (List): i. - Net Fair 20 Value Gain (Loss) 27D Derivative Transactions Outstanding with No Hedge Accounting Designation - Other Derivatives (List): i. - Number of Trades 27E Derivative Transactions Outstanding with No Hedge Accounting Designation - Other Derivatives (List): i. - Notional Amount 27F Derivative Transactions Outstanding with No Hedge Accounting Designation - Other Derivatives (List): i. - Net Fair Value Gain (Loss) 27G Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Other Derivatives (List): i. - Number of Trades 27H Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Other Derivatives (List): i. - Notional Amount 27J Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Other Derivatives (List): i. - Net Fair Value Gain (Loss) 27K Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Other Derivatives (List): i. - Number of Trades 27L Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Other Derivatives (List): i. - Notional Amount 27M Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Other Derivatives (List): i. - Net Fair Value Gain (Loss) 27N Derivative Transaction Activity - Other Derivatives (List): i. - Total Notional Amount from Previous Quarter Page 36 of 42
37 27P Derivative Transaction Activity - Other Derivatives (List): i. - Notional Amount of Derivative Transactions Made in Current Quarter 27Q Derivative Transaction Activity - Other Derivatives (List): i. - Notional Amount Amortized, Matured, or Terminated in Current Quarter 27R Derivative Transaction Activity - Other Derivatives (List): i. - Outstanding Total Notional Amounts 27S Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): i. 1 yr 27S1 remaining in contract) - Other Derivatives (List): i. 1 yr 27T Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): i. 1 to 3 yrs 27T1 remaining in contract) - Other Derivatives (List): i. 1 to 3 yrs 27U Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): i. 3 to 5 yrs 27U1 remaining in contract) - Other Derivatives (List): i. 3 to 5 yrs 27V Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): i. 5 to yrs 27V1 remaining in contract) - Other Derivatives (List): i. 5 to yrs 27W Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): i. yrs 27W1 remaining in contract) - Other Derivatives (List): i. yrs 27X Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): i. - Total 27X1 remaining in contract) - Other Derivatives (List): i. -Total 27Y Weighted Average yrs to Maturity - Other Derivatives (List): i. 27Z Total Derivative Transactions Outstanding - Other Derivatives - i 20 2 Total Derivative Transactions Outstanding - Other Derivatives (List): ii. - Total Notional 20 Amount 2A Total Derivative Transactions Outstanding - Other Derivatives (List): ii. - Fair Value of 20 Derivatives in a Gain Position 2B Total Derivative Transactions Outstanding - Other Derivatives (List): ii. - Fair Value of 20 Derivatives in a Loss Position 2C Total Derivative Transactions Outstanding - Other Derivatives (List): ii. - Net Fair 20 Value Gain (Loss) 2D Derivative Transactions Outstanding with No Hedge Accounting Designation - Other Derivatives (List): ii. - Number of Trades 2E Derivative Transactions Outstanding with No Hedge Accounting Designation - Other Derivatives (List): ii. - Notional Amount 2F Derivative Transactions Outstanding with No Hedge Accounting Designation - Other Derivatives (List): ii. - Net Fair Value Gain (Loss) 2G Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Other Derivatives (List): ii. - Number of Trades 2H Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Other Derivatives (List): ii. - Notional Amount 2J Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Other Derivatives (List): ii. - Net Fair Value Gain (Loss) 2K Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Other Derivatives (List): ii. - Number of Trades 2L Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Other Derivatives (List): ii. - Notional Amount 2M Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Other Derivatives (List): ii. - Net Fair Value Gain (Loss) Page 37 of 42
38 2N Derivative Transaction Activity - Other Derivatives (List): ii. - Total Notional Amount from Previous Quarter 2P Derivative Transaction Activity - Other Derivatives (List): ii. - Notional Amount of Derivative Transactions Made in Current Quarter 2Q Derivative Transaction Activity - Other Derivatives (List): ii. - Notional Amount Amortized, Matured, or Terminated in Current Quarter 2R Derivative Transaction Activity - Other Derivatives (List): ii. - Outstanding Total Notional Amounts 2S Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): ii. 1 yr 2S1 remaining in contract) - Other Derivatives (List): ii. 1 yr 2T Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): ii. 1 to 3 yrs 2T1 remaining in contract) - Other Derivatives (List): ii. 1 to 3 yrs 2U Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): ii. 3 to 5 yrs 2U1 remaining in contract) - Other Derivatives (List): ii. 3 to 5 yrs 2V Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): ii. 5 to yrs 2V1 remaining in contract) - Other Derivatives (List): ii. 5 to yrs 2W Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): ii. yrs 2W1 remaining in contract) - Other Derivatives (List): ii. yrs 2X Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): ii. -Total 2X1 remaining in contract) - Other Derivatives (List): ii. -Total 2Y Weighted Average yrs to Maturity - Other Derivatives (List): ii. 2Z Total Derivative Transactions Outstanding - Other Derivatives - ii Total Derivative Transactions Outstanding - Other Derivatives (List): iii. - Total 20 Notional Amount 29A Total Derivative Transactions Outstanding - Other Derivatives (List): iii. - Fair Value of 20 Derivatives in a Gain Position 29B Total Derivative Transactions Outstanding - Other Derivatives (List): iii. - Fair Value of 20 Derivatives in a Loss Position 29C Total Derivative Transactions Outstanding - Other Derivatives (List): iii. - Net Fair 20 Value Gain (Loss) 29D Derivative Transactions Outstanding with No Hedge Accounting Designation - Other Derivatives (List): iii. - Number of Trades 29E Derivative Transactions Outstanding with No Hedge Accounting Designation - Other Derivatives (List): iii. - Notional Amount 29F Derivative Transactions Outstanding with No Hedge Accounting Designation - Other Derivatives (List): iii. - Net Fair Value Gain (Loss) 29G Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Other Derivatives (List): iii. - Number of Trades 29H Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Other Derivatives (List): iii. - Notional Amount 29J Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Other Derivatives (List): iii. - Net Fair Value Gain (Loss) 29K Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Other Derivatives (List): iii. - Number of Trades 29L Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Other Derivatives (List): iii. - Notional Amount Page 3 of 42
39 29M Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Other Derivatives (List): iii. - Net Fair Value Gain (Loss) 29N Derivative Transaction Activity - Other Derivatives (List): iii. - Total Notional Amount from Previous Quarter 29P Derivative Transaction Activity - Other Derivatives (List): iii. - Notional Amount of Derivative Transactions Made in Current Quarter 29Q Derivative Transaction Activity - Other Derivatives (List): iii. - Notional Amount Amortized, Matured, or Terminated in Current Quarter 29R Derivative Transaction Activity - Other Derivatives (List): iii. - Outstanding Total Notional Amounts 29S Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): iii. 1 yr 29S1 remaining in contract)- Other Derivatives (List): iii. 1 yr 29T Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): iii. 1 to 3 yrs 29T1 remaining in contract) - Other Derivatives (List): iii. 1 to 3 yrs 29U Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): iii. 3 to 5 yrs 29U1 remaining in contract) - Other Derivatives (List): iii. 3 to 5 yrs 29V Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): iii. 5 to yrs 29V1 remaining in contract) - Other Derivatives (List): iii. 5 to yrs 29W Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): iii. yrs 29W1 remaining in contract) - Other Derivatives (List): iii. yrs 29X Current Notional Amount of Derivatives based on Maturity - Other Derivatives (List): iii. -Total 29X1 remaining in contract) - Other Derivatives (List): iii. -Total 29Y Weighted Average yrs to Maturity - Other Derivatives (List): iii. 29Z Total Derivative Transactions Outstanding - Other Derivatives - iii Total Derivative Transactions Outstanding - Total Derivatives - Total Notional Amount 20 30A Total Derivative Transactions Outstanding - Total Derivatives - Fair Value of 20 Derivatives in a Gain Position 30B Total Derivative Transactions Outstanding - Total Derivatives - Fair Value of 20 Derivatives in a Loss Position 30C Total Derivative Transactions Outstanding - Total Derivatives - Net Fair Value Gain 20 (Loss) 30D Derivative Transactions Outstanding with No Hedge Accounting Designation - Total Derivatives - Number of Trades 30E Derivative Transactions Outstanding with No Hedge Accounting Designation - Total Derivatives - Notional Amount 30F Derivative Transactions Outstanding with No Hedge Accounting Designation - Total Derivatives - Net Fair Value Gain (Loss) 30G Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Total Derivatives - Number of Trades 30H Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Total Derivatives - Notional Amount 30J Derivative Transactions Outstanding with Fair Value Hedge Accounting Designation - Total Derivatives - Net Fair Value Gain (Loss) 30K Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Total Derivatives - Number of Trades Page 39 of 42
40 30L Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Total Derivatives - Notional Amount 30M Derivative Transactions Outstanding with Cash Flow Hedge Accounting Designation - Net Fair Value Gain (Loss) 30N Derivative Transaction Activity - Total Derivatives - Notional Amount Total Previous Quarter 30P Derivative Transaction Activity - Total Derivatives - Notional Amount of Derivative Transactions Made in Current Quarter 30Q Derivative Transaction Activity - Total Derivatives - Notional Amount Amortized, Matured, or Terminated in Current Quarter 30R Derivative Transaction Activity - Total Derivatives - Outstanding Total Notional Amounts 30S Current Notional Amount of Derivatives based on Maturity - Total Derivatives 1 yr 30S1 remaining in contract) - Total Derivatives 1 yr 30T Current Notional Amount of Derivatives based on Maturity - Total Derivatives 1 to 3 yrs 30T1 remaining in contract) - Total Derivatives 1 to 3 yrs 30U Current Notional Amount of Derivatives based on Maturity - Total Derivatives 3 to 5 yrs 30U1 remaining in contract) - Total Derivatives 3 to 5 yrs 30V Current Notional Amount of Derivatives based on Maturity - Total Derivatives 5 to yrs 30V1 remaining in contract) - Total Derivatives 5 to yrs 30W Current Notional Amount of Derivatives based on Maturity - Total Derivatives yrs 30W1 remaining in contract) - Total Derivatives yrs 30X Current Notional Amount of Derivatives based on Maturity - Total Derivatives -Total 30X1 remaining in contract) - Total Derivatives 30Y Weighted Average yrs to Maturity - Total Derivatives 31 Derivative Net Fair Value Gain (Loss) as of the end of the current quarter - Interest Rate Swaps - Clearing or Bilateral Agreement - Total 31A Derivative Net Fair Value Gain (Loss) as of the end of the current quarter - Interest Rate Swaps - Clearing or Bilateral Agreement B Derivative Net Fair Value Gain (Loss) as of the end of the current quarter - Interest Rate Swaps - Clearing or Bilateral Agreement C Derivative Net Fair Value Gain (Loss) as of the end of the current quarter - Interest Rate Swaps - Clearing or Bilateral Agreement D Derivative Net Fair Value Gain (Loss) as of the end of the current quarter - Interest Rate Swaps - Clearing or Bilateral Agreement Derivative Net Fair Value Gain (Loss) as of the end of the current quarter- Clearing or Bilateral Agreement - Interest Rate Options - Total 32A Derivative Net Fair Value Gain (Loss) as of the end of the current quarter - Interest Rate Options - Clearing or Bilateral Agreement B Derivative Net Fair Value Gain (Loss) as of the end of the current quarter - Interest Rate Options - Clearing or Bilateral Agreement C Derivative Net Fair Value Gain (Loss) as of the end of the current quarter - Interest Rate Options - Clearing or Bilateral Agreement D Derivative Net Fair Value Gain (Loss) as of the end of the current quarter - Interest Rate Options - Clearing or Bilateral Agreement Derivative Net Fair Value Gain (Loss) as of the end of the current quarter -Treasury Futures - Clearing or Bilateral Agreement - Total 33A Derivative Net Fair Value Gain (Loss) as of the end of the current quarter -Treasury Futures - Clearing or Bilateral Agreement - 1 Page 40 of 42
41 33B Derivative Net Fair Value Gain (Loss) as of the end of the current quarter -Treasury Futures - Clearing or Bilateral Agreement C Derivative Net Fair Value Gain (Loss) as of the end of the current quarter -Treasury Futures - Clearing or Bilateral Agreement D Derivative Net Fair Value Gain (Loss) as of the end of the current quarter -Treasury Futures - Clearing or Bilateral Agreement Derivative Net Fair Value Gain (Loss) as of the end of the current quarter -Other - Clearing or Bilateral Agreement - Total 34A Derivative Net Fair Value Gain (Loss) as of the end of the current quarter -Other - Clearing or Bilateral Agreement B Derivative Net Fair Value Gain (Loss) as of the end of the current quarter -Other - Clearing or Bilateral Agreement C Derivative Net Fair Value Gain (Loss) as of the end of the current quarter -Other - Clearing or Bilateral Agreement D Derivative Net Fair Value Gain (Loss) as of the end of the current quarter -Other - Clearing or Bilateral Agreement Derivative Net Fair Value Gain (Loss) as of the end of the current quarter - Clearing or Bilateral Agreement - Total Net Fair Value as of the end of the current quarter - Total 35A Derivative Net Fair Value Gain (Loss) as of the end of the current quarter - Total Net Fair Value as of the end of the current quarter - Clearing or Bilateral Agreement B Derivative Net Fair Value Gain (Loss) as of the end of the current quarter - Total Net Fair Value as of the end of the current quarter - Clearing or Bilateral Agreement C Derivative Net Fair Value Gain (Loss) as of the end of the current quarter - Total Net Fair Value as of the end of the current quarter - Clearing or Bilateral Agreement D Derivative Net Fair Value Gain (Loss) as of the end of the current quarter - Total Net Fair Value as of the end of the current quarter - Clearing or Bilateral Agreement Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - Cash - Clearing or Bilateral Agreement - Total 36A Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - Cash - Clearing or Bilateral Agreement B Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - Cash - Clearing or Bilateral Agreement C Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - Cash - Clearing or Bilateral Agreement D Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - Cash - Clearing or Bilateral Agreement Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Treasury Securities - Clearing or Bilateral Agreement - Total 37A Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Treasury Securities - Clearing or Bilateral Agreement B Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Treasury Securities - Clearing or Bilateral Agreement C Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Treasury Securities - Clearing or Bilateral Agreement D Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Treasury Securities - Clearing or Bilateral Agreement Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Gov't Agency Debt - Clearing or Bilateral Agreement - Total 3A Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Gov't Agency Debt - Clearing or Bilateral Agreement - 1 3B Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Gov't Agency Debt - Clearing or Bilateral Agreement - 2 3C Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Gov't Agency Debt - Clearing or Bilateral Agreement - 3 3D Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Gov't Agency Debt - Clearing or Bilateral Agreement - 4 Page 41 of 42
42 39 Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Gov't Agency Securities (MBS) - Clearing or Bilateral Agreement - Total 39A Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Gov't Agency Securities (MBS) - Clearing or Bilateral Agreement B Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Gov't Agency Securities (MBS) - Clearing or Bilateral Agreement C Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Gov't Agency Securities (MBS) - Clearing or Bilateral Agreement D Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - U.S. Gov't Agency Securities (MBS) - Clearing or Bilateral Agreement Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - Clearing or Bilateral Agreement - Total 40A Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - Clearing or Bilateral Agreement B Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - Total - Clearing or Bilateral Agreement C Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - Total - Clearing or Bilateral Agreement D Fair Value of Collateral Pledged to (+) or Received from (-) Counterparty (Variation Margin only) - Total - Clearing or Bilateral Agreement Net Credit Exposure from Derivatives - Clearing or Bilateral Agreement - Total 41A Net Credit Exposure from Derivatives - Clearing or Bilateral Agreement B Net Credit Exposure from Derivatives - Clearing or Bilateral Agreement C Net Credit Exposure from Derivatives - Clearing or Bilateral Agreement D Net Credit Exposure from Derivatives - Clearing or Bilateral Agreement Fair Value of Collateral posted as Initial Margin - Clearing or Bilateral Agreement - Total 42A Fair Value of Collateral posted as Initial Margin - Clearing or Bilateral Agreement B Fair Value of Collateral posted as Initial Margin - Clearing or Bilateral Agreement C Fair Value of Collateral posted as Initial Margin - Clearing or Bilateral Agreement - Clearing or Bilateral Agreement D Fair Value of Collateral posted as Initial Margin - Clearing or Bilateral Agreement - Clearing or Bilateral Agreement Total Money Services Businesses - Number of Accounts 25 50A Total Money Services Businesses - Amount Number of Accounts - Dealers in Foreign Exchange Number of Accounts - Check Cashers Number of Accounts - Monetary Instruments Number of Accounts - Money Transmitters Number of Accounts - Provider of Prepaid Access Number of Accounts - Seller of Prepaid Access 25 Certified By Certified By Last Name Certified By_F Certified By First Name Certified By_M Certified By Middle Initial Certified By_M Certified By Middle Initial Page 42 of 42
NATIONAL CREDIT UNION ADMINISTRATION
NATIONAL CREDIT UNION ADMINISTRATION ALEXANDRIA, VA 22314-3428 OFFICIAL BUSINESS TO THE BOARD OF DIRECTORS OF THE CREDIT UNION ADDRESSED: This booklet contains the Call Report, Form 53. This form is effective
CHANGES TO THE NCUA 5300 CALL REPORT EFFECTIVE DECEMBER 2014. There are no material changes to the Call Report form this cycle.
NATIONAL CREDIT UNION ADMINISTRATION ALEXANDRIA, VA 214-3428 OFFICIAL BUSINESS MUST BE RECEIVED BY: JANUARY, 2015 TO THE BOARD OF DIRECTORS OF THE CREDIT UNION ADDRESSED: NATIONAL CREDIT UNION ADMINISTRATION
NATIONAL CREDIT UNION ADMINISTRATION FIRST QUARTER CALL REPORT MUST BE RECEIVED BY: APRIL 24, 2015
NATIONAL CREDIT UNION ADMINISTRATION ALEXANDRIA, VA 214-3428 OFFICIAL BUSINESS MUST BE RECEIVED BY: APRIL 24, 2015 TO THE BOARD OF DIRECTORS OF THE CREDIT UNION ADDRESSED: NATIONAL CREDIT UNION ADMINISTRATION
NATIONAL CREDIT UNION ADMINISTRATION
NATIONAL CREDIT UNION ADMINISTRATION ALEXANDRIA, VA 22314-3428 OFFICIAL BUSINESS TO MUST BE RECEIVED BY: APRIL 23, 2001 TO THE BOARD OF DIRECTORS OF THE CREDIT UNION ADDRESSED: This booklet contains the
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