Bankjitsu
Ameriprise National Trust Bank
Minneapolis, MN — National Bank
Active
Balance Sheet
Income
Loans
Deposits
Timeline
2
Deposit Composition
Ameriprise National Trust Bank
All Insured Commercial Banks in Minnesota
Deposit Composition
Demand Deposits
—
24,528
All NOW & ATS Accounts
—
15,320
Money Market Deposit Accounts
—
24,835
Other Nontransaction Savings
500
22,752
Time Deposits At Or Below Insurance Limit
—
26,474
Fully Insured Brokered Deposits
—
2,434
Time Deposits Above Insurance Limit
—
4,022
Total Deposits in Foreign Offices
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0
Core Deposits
500
118,753
Deposit Composition Ratios
Demand Deposits as a percent of Average Assets
—
17.705
All NOW & ATS Accounts as a percent of Average Assets
—
11.796
Money Market Deposit Accounts as a percent of Average Assets
—
15.325
Other Savings Deposits as a percent of Average Assets
1.717
14.355
Time Deposits At or Below Insurance Limit as a percent of Average Assets
—
20.258
Core Deposits as a percent of Average Assets
1.717
81.214
Fully Insured Brokered Deposits as a percent of Average Assets
—
1.186
Time Deposits Above Insurance Limit as a percent of Average Assets
—
2.66
Deposits in Foreign Offices as a percent of Average Assets
—