Money Market Deposit Accounts as a percent of Average Assets Over Time
Money Market Deposit Accounts as a percent of Average Assets American Bank, National Association All Insured Commercial Banks in Texas
12-31-2016 59.726 17.168
09-30-2016 58.622 17.112
06-30-2016 58.352 16.938
03-31-2016 58.155 17.022
12-31-2015 59.331 16.741
09-30-2015 59.954 16.782
06-30-2015 59.946 16.783
03-31-2015 59.086 16.802
12-31-2014 58.128 16.79
09-30-2014 58.076 16.824
06-30-2014 57.134 16.757
03-31-2014 59.271 17.035
12-31-2013 56.726 16.598
09-30-2013 56.186 16.609
06-30-2013 55.084 16.495
03-31-2013 53.609 16.418
12-31-2012 53.534 16.109
09-30-2012 53.547 16.642
06-30-2012 52.609 16.494
03-31-2012 51.434 16.584
12-31-2011 48.236 16.254
09-30-2011 47.744 16.116
06-30-2011 47.064 16.052
03-31-2011 46.36 15.929
12-31-2010 45.472 15.41
09-30-2010 45.313 15.192
06-30-2010 44.607 15.202
03-31-2010 43.969 15.92
12-31-2009 44.205 15.165
09-30-2009 44.313 14.892
06-30-2009 43.864 14.703
03-31-2009 44.051 14.576
12-31-2008 44.168 14.206
09-30-2008 44.506 14.153
06-30-2008 44.362 13.926
03-31-2008 44.16 13.873
12-31-2007 45.085 13.777
09-30-2007 45.217 13.611
06-30-2007 44.882 13.572
03-31-2007 44.693 13.631
12-31-2006 47.136 13.299
09-30-2006 47.493 13.34
06-30-2006 47.548 13.455
03-31-2006 47.355 13.343
12-31-2005 47.273 13.464
09-30-2005 47.122 13.458
06-30-2005 46.416 13.539
03-31-2005 46.592 13.611
12-31-2004 46.106 13.277
09-30-2004 46.471 13.245
06-30-2004 45.961 13.098
03-31-2004 45.454 12.985
12-31-2003 47.446 12.574
09-30-2003 47.829 12.694
06-30-2003 47.997 12.604
03-31-2003 48.223 12.63
12-31-2002 45.002 12.207