First District Reports & Contacts First District Reports & Contacts

Please call 800-896-9480 and follow the prompts to reach an analyst regarding the specific report of interest to you. If you know the particular analyst assigned to your institution, enter “0” after the greeting to either dial their seven-digit extension or select them from an employee listing. If you do not know the analyst assigned to your institution, select the options noted below and you will be directed to an analyst who will be able to assist you.

Report Number Title FRBB Contact: Call 1-800-896-9480
FR Y-6
Annual Report of Bank Holding Companies
Option 3
FR Y-7 Annual Report of Foreign Banking Organizations Option 3
FR Y-7N/NS Quarterly and Annual: Financial Statements of U.S. Nonbank Subsidiaries Held By Foreign Banking Organizations Option 1
FR Y-7A Q Quarterly: Capital and Asset Report for Foreign Banking Organizations Option 1
FR Y-8 Quarterly: The Bank Holding Company Report of Insured Depository Institutions' Section 23A Transactions with Affiliates Option 3
FR Y-9C FR Y-9C Quarterly: Consolidated Financial Statements for Bank Holding Companies Option 1
FR Y-9LP Quarterly: Parent Company Only Financial Statements for Large Bank Holding Companies Option 1
FR Y-9SP Quarterly: Parent Company Only Financial Statements for Small Bank Holding Companies Option 1
FR Y-10 Report of Changes to Organizational Structure Option 3
FR Y-11/S Quarterly and Annual: Parent Company Only Financial Statements for Small Bank Holding Companies Option 1
FR Y-12 Quarterly for Y9C filers, Semi-Annual for Y9SP filers: Consolidated Bank Holding Company Report of Equity Investments in Nonfinancial Companies Option 1
FFIEC030 Quarterly: Foreign Branch Report of Condition Option 1
FFIEC031/041
(Call Report)
Call Report Quarterly Consolidated Reports of Condition and Income Option 1
FFIEC101 Quarterly: Risk-Based Capital Reporting for Institutions Subject to the Advanced Capital Adequacy Framework Option 1
FR2248 Monthly: Domestic Finance Company Report of Assets and Liabilities Option 1
FR2314/S Quarterly and Annual Report of Condition for Foreign Subsidiaries of US Banking Organizations Option 1
FR2502Q Quarterly Report of Assets and Liabilities of Large Foreign Offices of U.S. Banks Option 1
FR2572 Semi-Annual:  Survey of Terms of Credit Card Plans Option 1
FR2644 Weekly Report of Selected Assets Option 1
FR2835/A Quarterly Report of Interest Rates on Selected Consumer Installment Loans and Credit Cards Option 1
FR2886B Quarterly Report of Consolidated Report of Condition and Income for Edge and Agreement Corporations Option 1
FR2900 Weekly Report of Transaction Accounts, Other Deposits, and Vault Cash Option 1
FR2900Q Quarterly Report of Transaction Accounts, Other Deposits, and Vault Cash Option 1
FR2910A Annual Report of Transaction Accounts, Other Deposits, and Vault Cash Option 1
FR2915 Quarterly Report of Foreign Currency Deposits Option 1
FR2930 Allocation of Low Reserve Tranche and Reservable Liabilities Exemption Option 1