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Call reports 2013

MORGAN STANLEY PRIVATE BANK, NATIONAL ASSOCIATION — 2013

What MORGAN STANLEY PRIVATE BANK, NATIONAL ASSOCIATION reported to the FFIEC in 2013, quarter by quarter.

PERIOD: 2013SOURCE: FFIEC Call ReportEvery measure source-linked

Cite: FACTANKER, https://factanker.com/entity/16be3528-b00c-46a5-b252-aa41543731a1/2013

Balance sheet

What the bank holds and owes at quarter end

Measure2013Q12013Q22013Q32013Q4
Total assets15,824,000,00015,519,000,00021,708,000,00022,971,000,000
Total loans8,152,000,0008,938,000,00010,293,000,00011,643,000,000
Allowance for loan losses5,000,0006,000,0006,000,0007,000,000
Securities available for sale4,133,000,0002,885,000,0002,806,000,0003,233,000,000
Securities held to maturity3,000,0003,000,0003,000,0003,000,000
Trading assets0000
Total deposits14,006,000,00013,744,000,00019,482,000,00020,724,000,000
Interest-bearing deposits13,998,000,00013,727,000,00019,465,000,00020,707,000,000
Noninterest-bearing deposits8,000,00017,000,00017,000,00017,000,000
Equity capital1,692,000,0001,719,000,0002,132,000,0002,159,000,000

Income

Cumulative from the start of the year, as filed — Q1 covers January to March, Q2 January to June, Q4 the full year

Measure2013Q12013Q22013Q32013Q4
Interest income77,000,000154,000,000238,000,000333,000,000
Interest expense21,000,00039,000,00059,000,00083,000,000
Net interest income56,000,000115,000,000179,000,000250,000,000
Noninterest income12,000,00042,000,00044,000,00055,000,000
Noninterest expense40,000,00074,000,000118,000,000160,000,000
Provision for loan losses-1,000,000001,000,000
Pretax income29,000,00087,000,000109,000,000148,000,000
Income tax12,000,00036,000,00046,000,00062,000,000
Net income17,000,00051,000,00063,000,00086,000,000

Regulatory capital

Basel measures — not reported for every quarter

Measure2013Q12013Q22013Q32013Q4
Tier 1 capital1,691,000,0001,730,000,0002,148,000,0002,176,000,000
Total capital1,696,000,0001,736,000,0002,154,000,0002,183,000,000
Risk-weighted assets6,144,800,0006,557,664,0007,180,800,0008,102,095,000

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