Noninterest-Bearing Cash and Due From Banks Over Time
Noninterest-Bearing Cash and Due From Banks Bank Of Ripley All Insured Commercial Banks in Tennessee
12-31-2016 5,877,000 6,495,278
09-30-2016 5,599,000 6,370,801
06-30-2016 6,147,000 6,346,935
03-31-2016 5,537,000 6,068,683
12-31-2015 5,666,000 6,351,813
09-30-2015 3,992,000 5,796,778
06-30-2015 3,961,000 5,963,241
03-31-2015 7,664,000 5,902,401
12-31-2014 9,464,000 6,014,599
09-30-2014 4,014,000 5,424,048
06-30-2014 5,970,000 5,740,208
03-31-2014 9,695,000 5,885,260
12-31-2013 7,500,000 5,591,278
09-30-2013 9,573,000 5,767,467
06-30-2013 7,448,000 5,821,275
03-31-2013 8,404,000 5,674,149
12-31-2012 11,247,000 6,670,038
09-30-2012 7,534,000 5,945,297
06-30-2012 8,407,000 6,173,673
03-31-2012 7,185,000 6,303,462
12-31-2011 7,095,000 6,022,006
09-30-2011 4,625,000 5,749,911
06-30-2011 5,506,000 5,688,667
03-31-2011 6,492,000 5,827,434
12-31-2010 4,325,000 5,198,931
09-30-2010 4,156,000 5,812,220
06-30-2010 4,806,000 5,579,000
03-31-2010 6,620,000 5,607,019
12-31-2009 5,186,000 5,718,383
09-30-2009 3,470,000 5,433,325
06-30-2009 3,413,000 6,221,331
03-31-2009 5,974,000 6,204,724
12-31-2008 3,973,000 5,591,160
09-30-2008 2,353,000 5,376,491
06-30-2008 3,690,000 6,088,810
03-31-2008 3,428,000 5,755,804
12-31-2007 4,370,000 5,833,922
09-30-2007 3,699,000 5,279,648
06-30-2007 4,306,000 5,634,749
03-31-2007 3,655,000 5,424,198
12-31-2006 3,591,000 5,808,311
09-30-2006 3,202,000 5,358,509
06-30-2006 3,670,000 5,811,054
03-31-2006 3,448,000 5,350,982
12-31-2005 4,940,000 5,823,928
09-30-2005 4,070,000 5,432,576
06-30-2005 3,800,000 5,490,333
03-31-2005 3,749,000 5,252,041
12-31-2004 5,456,000 5,019,547
09-30-2004 4,130,000 5,307,134
06-30-2004 3,686,000 5,082,756
03-31-2004 3,496,000 5,128,883
12-31-2003 3,657,000 5,592,788
09-30-2003 4,261,000 5,639,759
06-30-2003 4,214,000 5,815,971
03-31-2003 3,876,000 5,603,977
12-31-2002 4,487,000 5,244,247