Noninterest-Bearing Cash and Due From Banks Over Time
Noninterest-Bearing Cash and Due From Banks The Security National Bank And Trust Co. All Insured Commercial Banks in Ohio
06-30-2008 25,487,000 9,018,367
03-31-2008 25,017,000 8,742,149
12-31-2007 26,228,000 8,998,879
09-30-2007 19,737,000 7,717,232
06-30-2007 18,053,000 15,866,490
03-31-2007 22,392,000 14,037,631
12-31-2006 24,608,000 22,371,589
09-30-2006 20,885,000 19,275,411
06-30-2006 25,439,000 22,188,411
03-31-2006 20,800,000 21,354,385
12-31-2005 29,238,000 23,283,414
09-30-2005 26,634,000 17,715,440
06-30-2005 27,021,000 18,309,219
03-31-2005 23,070,000 12,852,575
12-31-2004 25,667,000 14,313,613
09-30-2004 23,572,000 11,152,709
06-30-2004 25,987,000 10,465,337
03-31-2004 23,263,000 9,821,982
12-31-2003 24,708,000 11,132,976
09-30-2003 24,191,000 11,133,187
06-30-2003 27,638,000 15,865,500
03-31-2003 26,409,000 12,837,041
12-31-2002 27,079,000 10,179,322