MacroDataHub

Bilan des banques et caisses d'épargne aux États-Unis

Les données financières des banques commerciales et des caisses d'épargne des États-Unis sont publiées par la Federal Deposit Insurance Corporation.

Source : FDIC — Federal Deposit Insurance CorporationDernière mise à jour : Données suivies par Bui Thanh PhucÀ propos de ces données ↓

Indicateur20252024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985198419831982198119801979197819771976197519741973197219711970196919681967196619651964196319621961196019591958195719561955195419531952195119501949194819471946194519441943194219411940193919381937193619351934
Banques commerciales16
Total de l'actif23 971,5722 806,8522 362,9722 227,2122 102,3220 403,8317 419,5916 659,5916 152,8915 567,3614 833,614 409,0313 603,6413 315,2412 575,4511 990,0811 732,6912 212,5211 079,839 997,38 941,618 323,97 521,397 008,566 491,796 192,255 687,975 400,194 983,854 551,344 285,283 984,653 684,873 486,133 413,493 369,563 283,833 116,32 986,592 928,852 719,892 499,392 333,292 185,752 019,791 848,391 686,211 503,441 129,711 004,02935,83897,85819,39725,97629,48566,5521,53497,93448,77401,32374,02343,85310,71295,07276,58255,65242,81236,7220,84215,51208,6200,12190,64186,26177,16166,56155,26152,12152,73147,32157,54134,57112,2295,4476,8170,7163,1456,7954,2156,1850,9246,44
Total du passif21 497,320 513,820 178,2220 118,8119 896,8218 319,2115 439,8614 776,6714 332,3513 831,8313 159,7112 803,5712 081,6911 820,6811 161,3610 632,8510 430,9511 065,179 943,618 973,858 035,547 479,596 835,486 366,135 902,45 665,535 211,294 941,144 568,584 178,123 937,833 674,473 390,033 224,253 183,123 152,283 080,042 920,682 806,772 747,522 551,462 345,88
Capitaux propres2 471,512 290,722 182,222 106,262 203,332 082,031 976,881 879,491 816,271 729,391 667,331 598,111 510,691 479,041 395,951 330,591 281,491 147,351 136,221 023,46906,07844,32685,91642,43589,39526,72476,68459,05415,27373,22347,45310,18294,84261,88230,36217,27203,79195,62179,81181,34168,43153,500000000000000000000000000000000000000000000000000
Dépôts19 014,4718 156,8917 75218 051,9418 325,6316 608,1613 554,0312 841,9912 415,0211 933,9611 303,1610 888,6510 333,619 959,739 206,98 466,348 275,118 020,557 251,456 678,456 021,445 549,84 992,084 651,144 343,34 149,023 803,53 655,053 399,153 174,943 005,922 854,212 737,922 682,122 673,012 6332 535,372 419,52 324,232 273,62 109,171 955,261 835,461 699,591 583,071 476,151 358,241 229,66922,66825775,21741,71677,36613,02535,7479,17434,14432,66394,07351,4330,29305,09273,73260,59247,16228,38218,45214,46199,86195,95190,67183,03174,83171,1163153,35143,14140,64141,85136,99147,77125,71104,187,869,4163,4656,0749,7747,1849,2644,1239
Prêts et contrats de location nets12 537,6711 807,9511 566,4111 36310 362,119 942,869 709,679 307,238 855,28 454,088 020,67 472,47 064,926 840,376 488,996 325,836 222,066 622,026 478,725 857,935 260,244 787,024 311,664 043,963 780,043 722,943 404,93 156,322 899,312 742,672 535,642 292,392 086,761 967,811 988,092 042,941 995,841 877,751 772,321 721,761 603,081 486,231 298,181 208,451 117,61 004,03933,28830,98592,44519,41489,21493,89448,7379,44319,62290,07279,06258,01231,53214,87200,09174,21153,68139,54124,34117,07110,2997,7247,6289,8382,0870,1367,0863,6257,2651,7242,240,8937,5830,7325,7721,3518,8418,8121,2518,416,8616,0216,7215,9314,3214,6
Résultat net (année complète)281,31258,31244,29248,48261,94135,77216,68221,01151,13156,37151,51139,71143,03129,68109,8878,06-10,7615,1897,41127,64112,98102,84101,7188,7173,5170,2771,0161,4358,7551,9948,4844,3542,8331,8217,7915,8715,4524,712,7517,317,8715,4214,8614,9314,7513,9512,810,748,97,867,257,066,565,635,214,824,323,773,53,452,512,282,1521,9921,481,71,371,211,151,311,020,990,910,940000000000000000
Équivalents temps plein (salariés)1 935 4931 935 3981 961 2622 003 3781 936 5311 929 8791 927 6311 929 0511 937 5781 910 1551 891 1071 896 1141 909 8641 946 0671 936 8411 907 5391 876 4261 930 0341 940 6961 926 3011 852 1581 799 7821 742 8781 729 8681 686 3531 656 3841 642 8301 612 2521 524 8621 475 7491 470 9951 475 7251 482 1941 466 6611 476 4341 505 6841 521 4541 517 1081 535 8661 553 8011 553 7551 518 7171 500 7321 490 8211 480 9231 434 2901 389 8281 313 2541 314 0411 248 7941 182 7911 137 8081 088 9941 020 154974 994946 497899 197862 360805 666756 587
Établissements déclarants en fin d'année3 7983 9204 0274 1294 2314 3724 5174 7084 9095 1025 3305 5965 8366 0616 2636 5066 8137 0617 2627 3807 5077 6127 7507 8708 0648 2978 5648 7579 1259 5109 92210 43210 94511 45011 90912 32912 69713 11913 70514 19314 40214 48314 45414 43514 40114 42114 35114 37814 39714 38014 31214 21813 96413 72113 60213 50213 46413 47913 50613 52913 53613 48513 28313 11613 10713 11813 10613 11513 15613 20913 22813 31413 42213 43113 44713 43813 43513 41813 40213 35813 30113 26713 27313 34613 42913 44113 53713 66013 79613 97214 12514 146
Nombre de bureaux72 65872 25073 71173 71974 54577 12879 23881 48082 73084 20985 86786 55687 49488 52288 30887 97088 73188 87085 23082 76179 82877 30274 72173 52172 44271 89971 59670 11468 76666 58265 57864 30362 78562 42663 29762 12960 12658 93758 51858 01657 12055 79455 00253 92054 90152 87950 87248 90247 23345 31144 38142 60240 36738 28736 68235 09933 61332 44531 39030 37129 23428 04426 72825 40624 41423 55422 72121 96421 34720 78320 13419 60219 22318 86718 56618 23517 96417 70017 49717 28517 19617 14117 01616 89916 94416 92916 99217 07117 17617 23217 23714 146
Impayés à 90 jours et plus et non comptabilisés en accru118,28114,7298,3580,3484,16107,1182,2286,99101,69117,02122,63144,3186,92249279,07319,93355,63195,8384,2346,3339,4241,2952,1459,7153,8342,2932,530,7228,2228,8130,0230,3842,5561,8875,6477,5861,8456,1763,1248,3243,7343,46
Produits d'intérêts (année complète)1 174,71 198,51 087,51700,88518,58556,97650,4606,96521,5469,08435,27425,97426,93441,33451,84477,77477,5524,84605,01541,83428,01341,94331,53353,38398,29424,14363,79359,44337,5310,83300,44256,06243,76253,89287,68318,94315,92271,04243,8236,81247,27249,43216,42237,39230,38175,79138,44103,6281,9872,7857,6760,9646,8234,8631,4830,3827,1822,4219,0917,08
Charges d'intérêts (année complète)483,35542,03430,63111,7232,2270,21147,97110,9766,5848,3740,1640,3845,6656,4170,2288,05118,12207,41304,3259,41162,5195,3793,9118,98185,67222,26173,47177,97163,95149,06147,17110,5105,23121,21166,54204,09204,29164,32144,39142,31156,78168,52143,41168,75169,24119,7687,6759,2344,4439,2130,1234,9324,3715,5313,5412,411,499,297,716,61
Revenus hors intérêts (année complète)325,57299,19294,21279,35285,17265,19251,3253,44235,29232,27232,86227,38231,57227,2212,31216,05241,92193,32210,38216,86202,17184,1186,16171,61158,35153,8144,5123,79104,0893,2282,1476,0474,7765,4759,5854,7750,844,8541,4135,830,9926,4623,2320,1417,514,3211,369,618,097,618,66,895,975,24,734,193,512,972,622,37
Charges hors intérêts (année complète)571,37551,39560,69505,21475,68466,06434,58428,23406,69388,2382,02388,03380,95386,36373,94355,93372,15328,93312,23288,53274,72256,08244,47232,17221,96215,64203,36193,44169,08159,81148,85143,39139,03130,33124,21115,24107,65100,8996,8489,8882,0373,5266,6361,353,4346,4640,5235,4330,827,623,621,4318,4716,3415,1114,3611,9710,098,877,97
Provision pour pertes sur créances (année complète)85,3781,0879,3847,53-31,14124,1249,5843,5743,6642,5332,4225,0427,251,5969,03145,28229,47151,3956,4725,1526,3225,8334,4847,842,9729,7421,5622,0919,8716,3112,5910,9316,7425,9434,1131,9730,9217,0937,4722,0717,7513,810,788,325,044,453,763,53,243,643,582,281,250,960,860,690,520,510,43
Impôts sur les bénéfices (année complète)74,8863,6856,263,2667,333,1956,356,4890,1668,7564,9262,2965,152,6646,0833,594,366,2142,6759,2653,6849,1549,1443,6536,7237,7339,2331,931,7628,0826,0622,3419,814,448,237,689,529,975,395,255,614,714,013,023,894,654,443,932,872,411,792,082,121,711,692,172,161,271,181,03
Caisses d'épargne16
Total de l'actif1 1901 201,231 212,811 280,091 518,591 377,741 153,751 214,751 197,381 151,761 074,321 078,931 057,611 062,781 240,761 249,381 259,91 504,441 851,941 764,031 832,241 687,21 474,571 358,931 314,531 217,061 148,181 088,081 025,831 028,391 025,31 009,76999,451 030,651 113,971 261,461 429,831 621,241 495,791 381,211 257,511 139,63
Total du passif1 073,071 088,321 109,931 187,311 371,91 243,471 028,761 084,211 068,591 026,75955,79952,15933,35935,911 093,581 102,521 124,041 363,31 648,11 546,691 626,51 498,551 335,761 230,331 201,321 114,191 053,3993,62936,55941,95939,31929,89921,34956,571 045,661 194,211 360,81 555,491 442,371 325,641 212,861 104,65
Capitaux propres116,91112,88102,8692,73146,66134,25124,96130,5128,73124,98118,5126,76124,24126,84146,99146,64135,6141,14203,85217,34205,74188,65138,8128,61113,21102,8794,8894,4689,2785,7785,9979,8878,1174,0868,3167,2569,0365,7553,4155,1744,2534,59
Dépôts977,21973,77979,471 081,791 286,661 139,16920,89967,62931,49912,13840,41825,15806,27805,27927,43905,2890,11943,41 101,431 089,51 063,74987,92925,6878,64811,74735,06706,81704,7703,95727,54741,6736,85770,85825,13902,44983,051 077,11 190,551 134,021 079,861 019,69941,99
Prêts et contrats de location nets667,49646,74622,68626,92667,77643,76645,24680,91704,17691,06660,03668,62642,35641,74742,18765,73770,41 000,471 263,161 240,031 323,51 202,54997,54888,64868,91820,29754,16714691,46680,87647,54634,69623,61647,87724812,75915,88996,67908,25857,11818,51732,54
Résultat net annuel12,988,798,7912,9115,9610,6615,1714,7112,613,8211,5412,0611,2118,238,061,65-6,172,3117,1419,8518,218,0515,2612,8510,7910,9110,778,877,077,666,356,796,670,82-4,67-5,61-4,74-5,42,775,491,14
Équivalents temps plein (salariés)98 260102 745103 997108 555119 513122 168121 648123 941125 099129 223128 792137 099143 837148 830156 321165 798170 129204 812256 643263 798280 981280 730286 575271 982264 867243 658243 820236 726244 631252 963250 045261 204284 086293 464302 584342 54273 66975 92373 12464 67355 01546 552
Établissements déclarants en fin d'année521547563581606626658
Nombre de bureaux4 5594 7194 9846 3557 2657 6147 72700000000000000000000000000000000000
Impayés à 90 jours et plus et non comptabilisés en accru10,599,77,98,414,119,2411,4110,6411,2811,9311,7713,7815,8621,5827,7532,1432,4429,7623,919,739,626,728,028,337,545,855,526,227,618,839,179,5113,216,8423,9424,8735,5939,8743,0737,3123,8315,13
Produits d'intérêts annuels62,7563,2458,0546,5141,8843,8151,7250,9347,9243,8840,340,3539,8942,0151,8755,2458,8372,01113,3595,4888,5871,2168,8572,0883,9184,0774,4974,569,5472,8971,3663,6466,1777,6997,59117,67135,11126,35119,62119,43118,27107,67
Charges d'intérêts annuelles19,5924,520,085,573,756,6410,358,56,415,726,396,297,088,813,5517,523,0834,6964,0450,3339,7326,2226,8932,0947,2852,1843,0443,9840,7742,5942,8133,6334,746,1369,9591,93111,13100,8193,9996,8189,8987,55
Revenus hors intérêts annuels11,4611,4510,3610,5214,4414,412,4211,8219,3320,8919,7620,0120,6221,0617,0918,9717,7915,3522,0123,2420,5618,8716,1611,0911,2111,439,839,737,117,547,216,278,746,787,718,2211,769,7511,513,0612,1211,42
Charges hors intérêts annuelles30,7430,329,4730,4432,2430,8429,4829,0134,1633,2832,832,3933,4232,6935,733,7731,5636,6152,7741,9840,8237,8233,7130,1428,7425,5324,0924,421,2125,8921,9423,327,1125,4926,928,8430,9429,631,8136,4426,7820,79
Provision pour pertes sur créances annuelle7,228,417,054,060,347,665,256,16,785,154,023,944,115,477,5311,1218,1621,5611,883,973,142,842,513,32,862,031,561,812,22,542,122,484,315,177,139,2210,549,659,610,270,180,07
Impôts sur les bénéfices annuels3,612,392,523,674,643,024,364,347,617,065,556,085,165,744,454,71,6-0,193,648,6910,79,199,637,987,285,766,145,694,863,064,193,793,873,752,81,371,162,953,884,32,670,91

Dernier chiffre

Total de l'actif s’établit à 23 971,57 milliards de dollars en 2025. Soit +5,1% par rapport à 2024. La série de cette page est annuelle et va de 1934 à 2025. Source : FDIC — Federal Deposit Insurance Corporation.

Dernier
23 971,57 milliards de dollars
2025
vs période précédente
+5,1%
2024

À propos de ces données

Les données financières des banques commerciales et des caisses d'épargne des États-Unis sont publiées par la Federal Deposit Insurance Corporation. Cet ensemble de données fournit un historique annuel des bilans et des comptes de résultat depuis 1934. Les chiffres nationaux couvrent les banques commerciales et les caisses d'épargne de l'ensemble des États-Unis. Les données sont agrégées sur la base du siège social des institutions.

Questions fréquentes

Que mesurent les données financières des banques commerciales et des caisses d'épargne de la FDIC ?
Elles mesurent les postes annuels des états financiers, notamment l'actif, le passif, les dépôts, les fonds propres et le résultat net des institutions assurées par la FDIC aux États-Unis.
À quelle fréquence ces données bancaires sont-elles publiées et quelle est la profondeur historique ?
Les données financières sont publiées chaque année par la Federal Deposit Insurance Corporation et les séries historiques débutent en 1934.
Quelles catégories d'établissements sont incluses dans l'ensemble de données ?
L'ensemble de données fournit des chiffres distincts pour les banques commerciales et les caisses d'épargne exerçant leurs activités aux États-Unis.
Comment les implantations géographiques sont-elles attribuées dans l'ensemble de données ?
Les chiffres au niveau des États aux États-Unis reposent sur le lieu d'implantation du siège social de chaque institution et non sur la répartition géographique de ses agences.