Call report 2026Q2 · Schedule RC-O
CITIBANK, N.A. — Schedule RC-O — Other Data for Deposit Insurance Assessments, 2026Q2
The figures the FDIC uses to price deposit insurance: unsecured debt, brokered deposits, estimated uninsured deposits, and for large banks the loan-mix and higher-risk measures.
What stands out
CITIBANK, N.A. filed 35 items on Schedule RC-O for 2026Q2. The largest amount is $2008.61B for “Avg Cnsl Total Asset Calendar Qtr”, 101.6 % of total assets. Next come “Total Dep Liabilities Before Exclusi” at $1402.31B and “Amt Of Dep Accnt More Than $250k” at $768.20B. 9 of the 35 items are reported as zero — the line exists on the form, the bank has no such position. Dollar amounts are as filed, in thousands of USD; counts, dates and ratios keep their own units. Every value links to its fact record with the filing it came from.
Schedule RC-O — Other Data for Deposit Insurance Assessments
The figures the FDIC uses to price deposit insurance: unsecured debt, brokered deposits, estimated uninsured deposits, and for large banks the loan-mix and higher-risk measures.
| Item | MDRM | Value as filed | Source |
|---|---|---|---|
| Total Dep Liabilities Before Exclusi | RCFDF236 | 1,402,312,000 | evidence → |
| Total Allowable Exclusions Incld For | RCFDF237 | 439,440,000 | evidence → |
| Unsecured Othr Brw Mat Le 1 Yr | RCFDG465 | 16,375,000 | evidence → |
| Unsecured Othr Brw Mat 1 To 3 Yr | RCFDG466 | 10,247,000 | evidence → |
| Unsecured Othr Brw Mat 3 To 5 Yr | RCFDG467 | 7,748,000 | evidence → |
| Unsecured Othr Brw Mat Gt 5 Yr | RCFDG468 | 9,631,000 | evidence → |
| Sub Notes & Dbntr Mat Le 1 Yr | RCFDG469 | 0 | evidence → |
| Sub Notes And Dbntr Mat 1 To 3 Yr | RCFDG470 | 7,500,000 | evidence → |
| Sub Notes And Dbntr Mat 3 To 5 Yr | RCFDG471 | 3,000,000 | evidence → |
| Sub Notes & Dbntr Mat Gt 5 Yr | RCFDG472 | 0 | evidence → |
| Avg Cnsl Total Asset Calendar Qtr | RCFDK652 | 2,008,610,000 | evidence → |
| Avg Method Used | RCFDK653 | 1 | evidence → |
| Avg Tangible Eqt Calendar Qtr | RCFDK654 | 153,608,000 | evidence → |
| Holding Lt Unscd Debe Iss Othr Ins I | RCFDK655 | 0 | evidence → |
| Cust Bank Ded | RCFDK660 | 750,510,000 | evidence → |
| Cust Bank Ded Limit | RCFDK661 | 162,611,000 | evidence → |
| Oreo Rcv US Govt Grnt Ins Prv | RCFDK669 | 0 | evidence → |
| Unfnd Cmt Cnst Lnd Dev Othr | RCFDK676 | 465,000 | evidence → |
| Cnst Lnd Dev Othr Grnt US Govt | RCFDK677 | 0 | evidence → |
| Ln Mod Fin Dfclty Comply Gntee/insur | RCFDL189 | 31,000 | evidence → |
| Cnst Lnd Dev Othr Fund Grnt US Govt | RCFDN177 | 0 | evidence → |
| Total For Dep Included In B | RCFNF234 | 439,440,000 | evidence → |
| Dually Payable Deposits In The Repor | RCFNGW43 | 0 | evidence → |
| Estimate Of Uninsured Deposits | RCON5597 | 739,491,000 | evidence → |
| Pb/psa FDIC Certificate Number | RCONA545 | 0 | evidence → |
| Amt Retire Dep Accnt $250k Or Less | RCONF045 | 18,918,000 | evidence → |
| Nbr Retire Dep Accnt $250k Or Less | RCONF046 | 1,515,521 | evidence → |
| Amt Retiremt Dep Accts Mor Than $250 | RCONF047 | 230,000 | evidence → |
| Nbr Retire Dep Accnt Mor Than $250k | RCONF048 | 434 | evidence → |
| Amt Of Dep Accnt $250k Or Less | RCONF049 | 175,528,000 | evidence → |
| Nbr Of Dep Accnts Of $250k Or Less | RCONF050 | 15,054,667 | evidence → |
| Amt Of Dep Accnt More Than $250k | RCONF051 | 768,196,000 | evidence → |
| Nbr Of Dep Accnt Gt $250k | RCONF052 | 204,582 | evidence → |
| Reciprocal Brokered Deposits | RCONG803 | 0 | evidence → |
| Nbrkd Dep Gt 250k | RCONK678 | 53,273,000 | evidence → |
Other schedules of this call report
31 further schedules filed by CITIBANK, N.A. for 2026Q2.
- Schedule RC — Balance Sheet 49 items
- Schedule RC-A — Cash and Balances Due from Depository Institutions 11 items
- Schedule RC-B — Securities 152 items
- Schedule RC-C Part I — Loans and Leases 117 items
- Schedule RC-C Part II — Loans to Small Businesses and Small Farms 24 items
- Schedule RC-D — Trading Assets and Liabilities 48 items
- Schedule RC-E — Deposit Liabilities 49 items
- Schedule RC-E Part I — Deposits in Domestic Offices 4 items
- Schedule RC-E Part II — Deposits in Foreign Offices 6 items
- Schedule RC-F — Other Assets 10 items
- Schedule RC-G — Other Liabilities 13 items
- Schedule RC-H — Selected Balance Sheet Items for Domestic Offices 20 items
- Schedule RC-I — Assets and Liabilities of IBFs 2 items
- Schedule RC-K — Quarterly Averages 23 items
- Schedule RC-L — Derivatives and Off-Balance-Sheet Items 157 items
- Schedule RC-M — Memoranda 34 items
- Schedule RC-N — Past Due and Nonaccrual Loans, Leases, and Other Assets 145 items
- Schedule RC-P — 1-4 Family Residential Mortgage Banking Activities 7 items
- Schedule RC-Q — Assets and Liabilities Measured at Fair Value 98 items
- Schedule RC-R Part I — Regulatory Capital Components and Ratios 49 items
- Schedule RC-R Part II — Risk-Weighted Assets 373 items
- Schedule RC-S — Servicing, Securitization, and Asset Sale Activities 75 items
- Schedule RC-T — Fiduciary and Related Services 60 items
- Schedule RC-V — Variable Interest Entities 20 items
- Schedule RI — Income Statement 89 items
- Schedule RI-A — Changes in Bank Equity Capital 11 items
- Schedule RI-B Part I — Charge-offs and Recoveries on Loans and Leases 47 items
- Schedule RI-B Part II — Changes in Allowances for Credit Losses 27 items
- Schedule RI-C — Disaggregated Data on the Allowance for Loan and Lease Losses 20 items
- Schedule RI-D — Income from Foreign Offices 15 items
- Schedule RI-E — Explanations 19 items
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