FR 2915 Report of Foreign (Non-U.S.) Currency Deposits
This report collects the weekly average amount outstanding of deposits denominated in foreign (non-U.S.) currencies, held at U.S. offices of depository institutions, that are included in the Report of Deposits and Vault Cash (FR 2900). Deposits are reported in U.S. dollars.
Deposits, Foreign Currency Liabilities
Commercial Banks, Credit Unions, Thrifts, U.S. Branches and Agencies of Foreign Banks
Form and Instructions:
Current and historical versions of this form and their instructions are maintained on the Board of Governors' website in PDF format.
Aggregate data are available to the public upon request.