Noninterest-Bearing Cash and Due From Banks Over Time
Noninterest-Bearing Cash and Due From Banks First National Bank All Insured Commercial Banks in Texas
06-30-2013 63,925,000 6,923,171
03-31-2013 60,665,000 6,347,200
12-31-2012 86,185,000 7,954,000
09-30-2012 73,258,000 6,481,402
06-30-2012 76,632,000 6,252,384
03-31-2012 75,915,000 6,271,362
12-31-2011 85,127,000 6,531,940
09-30-2011 82,085,000 6,039,126
06-30-2011 96,311,000 5,670,527
03-31-2011 91,332,000 5,559,244
12-31-2010 84,517,000 5,301,622
09-30-2010 76,052,000 5,433,917
06-30-2010 72,573,000 5,381,401
03-31-2010 81,643,000 5,415,701
12-31-2009 80,480,000 5,807,977
09-30-2009 74,539,000 5,053,804
06-30-2009 67,963,000 5,235,221
03-31-2009 103,065,000 5,790,352
12-31-2008 141,129,000 6,268,663
09-30-2008 210,668,000 5,904,830
06-30-2008 86,030,000 6,267,513
03-31-2008 100,735,000 5,748,156
12-31-2007 119,605,000 5,979,747
09-30-2007 75,885,000 5,176,343
06-30-2007 93,857,000 5,119,498
03-31-2007 78,785,000 5,182,429
12-31-2006 90,602,000 5,708,353
09-30-2006 76,286,000 5,164,354
06-30-2006 70,784,000 5,561,132
03-31-2006 70,346,000 5,416,601
12-31-2005 71,339,000 5,901,309
09-30-2005 59,249,000 5,334,715
06-30-2005 56,295,000 5,106,058
03-31-2005 54,620,000 4,987,683
12-31-2004 57,225,000 4,927,501
09-30-2004 58,915,000 4,964,190
06-30-2004 55,285,000 5,045,059
03-31-2004 54,119,000 4,922,318
12-31-2003 53,853,000 5,569,179
09-30-2003 41,688,000 5,327,493
06-30-2003 43,026,000 5,507,598
03-31-2003 43,985,000 5,345,341
12-31-2002 46,289,000 5,318,785