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
12-31-2016 1,315,000 7,845,369
09-30-2016 837,000 7,714,180
06-30-2016 1,140,000 7,094,433
03-31-2016 1,103,000 7,195,738
12-31-2015 2,361,000 7,515,047
09-30-2015 1,532,000 7,272,258
06-30-2015 1,661,000 7,466,891
03-31-2015 1,753,000 7,732,974
12-31-2014 1,644,000 8,062,210
09-30-2014 1,257,000 7,289,258
06-30-2014 1,354,000 7,978,005
03-31-2014 1,350,000 8,091,034
12-31-2013 1,289,000 7,652,993
09-30-2013 968,000 7,722,664
06-30-2013 1,118,000 6,923,171
03-31-2013 1,094,000 6,347,200
12-31-2012 2,082,000 7,954,000
09-30-2012 959,000 6,481,402
06-30-2012 811,000 6,252,384
03-31-2012 1,096,000 6,271,362
12-31-2011 1,484,000 6,531,940
09-30-2011 1,635,000 6,039,126
06-30-2011 888,000 5,670,527
03-31-2011 1,143,000 5,559,244
12-31-2010 885,000 5,301,622
09-30-2010 858,000 5,433,917
06-30-2010 1,028,000 5,381,401
03-31-2010 1,050,000 5,415,701
12-31-2009 1,514,000 5,807,977
09-30-2009 1,107,000 5,053,804
06-30-2009 805,000 5,235,221
03-31-2009 1,188,000 5,790,352
12-31-2008 1,435,000 6,268,663
09-30-2008 1,011,000 5,904,830
06-30-2008 1,302,000 6,267,513
03-31-2008 1,172,000 5,748,156
12-31-2007 1,503,000 5,979,747
09-30-2007 941,000 5,176,343
06-30-2007 690,000 5,119,498
03-31-2007 694,000 5,182,429
12-31-2006 1,183,000 5,708,353
09-30-2006 807,000 5,164,354
06-30-2006 982,000 5,561,132
03-31-2006 1,026,000 5,416,601
12-31-2005 743,000 5,901,309
09-30-2005 1,157,000 5,334,715
06-30-2005 872,000 5,106,058
03-31-2005 946,000 4,987,683
12-31-2004 821,000 4,927,501
09-30-2004 766,000 4,964,190
06-30-2004 670,000 5,045,059
03-31-2004 752,000 4,922,318
12-31-2003 931,000 5,569,179
09-30-2003 1,051,000 5,327,493
06-30-2003 1,422,000 5,507,598
03-31-2003 709,000 5,345,341
12-31-2002 1,283,000 5,318,785