Form BL-2

Treasury International Capital Form BL-2, "Report of Customers' U.S. Dollar Liabilities to Foreign Residents"

fbl2-dec2013

Treasury International Capital Form BL-2, "Report of Customers' U.S. Dollar Liabilities to Foreign Residents"

OMB: 1505-0018

Document [pdf]
Download: pdf | pdf
MONTHLY REPORT TO FEDERAL RESERVE BANKS
Please type or print:

Name of Reporting Entity:

REPORT OF CUSTOMERS' U.S.
DOLLAR LIABILITIES TO
FOREIGN RESIDENTS

FORM BL-2
DEPARTMENT OF THE TREASURY

Office of the Assistant Secretary for

ID Number:

International Affairs
Revised December 2013 Approval
Expires January 31, 2023
OMB Control No. 1505-0018

As-of Date:

Legal basis and confidentiality statement:
Name of Contact if We Have
Questions:

Contact's Phone Number:

This report is required by law (22 U.S.C. 286f; 22 U.S.C. 3103; E.O. 11961; E.O. 10033;
31 C.F.R. 128.1 (a)). Failure to report can result in a civil penalty of not less than $2,500
and not more than $25,000. Willful failure to report can result in criminal prosecution and
upon conviction a fine of not more than $10,000; and, if an individual, imprisonment for not
more than one year, or both. Any officer, director, employee, or agent of any corporation
who knowingly participates in such violation may, upon conviction, be punished by a like

Important Notes:
1. Before preparing this report, please read
the General and Specific Instructions
carefully.

fine, imprisonment, or both (22 U.S.C. 3105 (a), (b), and (c); 31 C.F.R. 128.4 (a) and (b)).

Name and Title of Officer Authorized
to Sign Report:

Please read carefully and sign below:

Data reported on these forms will be held in confidence by the Department of the Treasury,
the Board of Governors of the Federal Reserve System, and the Federal Reserve Banks
acting as fiscal agents for the Treasury. The data reported by individual respondents will
not be published or otherwise publicly disclosed; information may be given to other Federal
agencies, insofar as authorized by applicable law (44 U.S.C. 3501 et seq.; 22 U.S.C. 3101
et seq.). Aggregate data derived from reports on these forms may be published or
otherwise disclosed only in a manner that will not reveal the amounts reported by any
individual respondent.

I,
(Signature of Officer Authorized to Sign Report)

of the reporting institution do hereby
declare that the Treasury International
Capital BL-2 Report for this report date
has been prepared in conformance
with the instructions and is true to the
best of my knowledge and belief.

2. Additional copies of this form, the
instructions, and the answers to
Frequently Asked Questions can be
obtained at the following web site:

http://www.treasury.gov/resourcecenter/data-chart3. This report should be filed no later
than the fifteenth calendar day
following the last day of the month.

Note: No person is required to respond to any U.S. Government collection of information
unless the form displays a currently valid control number assigned by the Office of
Management and Budget (OMB).

4. Amounts should be reported in millions
of U.S.dollars as of the close of the last
business day of the month.

TIC Form BL-2 Page 2 of 10

REPORT OF CUSTOMERS' U.S. DOLLAR LIABILITIES TO FOREIGN RESIDENTS

Name of Reporting Entity:__________________

To Foreign Official Institutions
Foreign Economies and
Organizations

Short-Term U.S.
Treasury
Obligations
CODE

EUROPE
Albania

1510-5

Andorra

1010-3

Armenia

1651-9

Austria

1018-9

Azerbaijan

1652-7

Bank for International Settlements

1330-7

Belarus

1620-9

Belgium

1025-1

Bosnia and Herzegovina

1410-9

Bulgaria

1520-2

Croatia

1421-4

Cyprus

1040-5

Czech Republic

1528-8

Denmark

1050-2

Estonia

1540-7

European Central Bank

1350-1

Faroe Islands

1061-8

Finland

1070-7

France

1080-4

Georgia

1653-5

Germany

1100-2

Gibraltar

1108-8

Greece

1120-7

Greenland

1054-5

Guernsey

1300-6

Holy See

1310-2

Hungary

1550-4

Iceland

1130-4

Ireland

1140-1

Isle of Man

1300-8

Italy

1150-9

`

As of Date:_________

ID Number:____________

Negotiable CDs &
All Short-Term
Negotiable
Securities

Other Custody
Liabilities

To Foreign Banks
Short-Term U.S.
Treasury
Obligations

Negotiable CDs &
All Short-Term
Negotiable
Securities

To All Other Foreigners

Other Custody
Liabilities

Negotiable CDs
Short-Term U.S.
& All Short-Term
Treasury
Negotiable
Obligations
Securities

"Of Which" Item

Other Custody
Liabilities

Grand Total (sum
of columns 1 – 9)

Negotiable
Certificate of
Deposits Held for
Foreigners

1

2

3

4

5

6

7

8

9

10

11

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

TIC Form BL-2 Page 3 of 10

REPORT OF CUSTOMERS' U.S. DOLLAR LIABILITIES TO FOREIGN RESIDENTS

Name of Reporting Entity:__________________

To Foreign Official Institutions
Foreign Economies and
Organizations

Short-Term U.S.
Treasury
Obligations
CODE

Europe (Cont.)
Jersey

1300-7

Kazakhstan

1654-3

Kosovo

1347-1

Kyrgyzstan

1655-1

Latvia

1560-1

Liechtenstein

1160-6

Lithuania

1570-9

Luxembourg

1170-3

Macedonia

1441-9

Malta

1181-9

Moldova

1630-6

Monaco

1200-9

Montenegro

1362-5

Netherlands

1210-6

Norway

1220-3

Poland

1576-8

Portugal

1231-9

Romania

1580-6

Russia

1610-1

San Marino

1240-8

Serbia

1321-8

Slovakia

1531-8

Slovenia

1433-8

Spain

1250-5

Sweden

1260-2

Switzerland

1268-8

Tajikistan

1657-8

Turkey

1280-7

Turkmenistan

1661-6

Ukraine

1640-3

United Kingdom

1300-5

Uzbekistan

1670-5

TOTAL EUROPE

1999-2

As of Date:_________

ID Number:____________

Negotiable CDs &
All Short-Term
Negotiable
Securities

Other Custody
Liabilities

To Foreign Banks
Short-Term U.S.
Treasury
Obligations

Negotiable CDs &
All Short-Term
Negotiable
Securities

To All Other Foreigners

Other Custody
Liabilities

Negotiable CDs
Short-Term U.S.
& All Short-Term
Treasury
Negotiable
Obligations
Securities

"Of Which" Item

Other Custody
Liabilities

Grand Total (sum
of columns 1 – 9)

Negotiable
Certificate of
Deposits Held for
Foreigners

1

2

3

4

5

6

7

8

9

10

11

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

TIC Form BL-2 Page 4 of 10

REPORT OF CUSTOMERS' U.S. DOLLAR LIABILITIES TO FOREIGN RESIDENTS

Name of Reporting Entity:__________________

To Foreign Official Institutions
Foreign Economies and
Organizations

Short-Term U.S.
Treasury
Obligations
CODE

CANADA

2999-8

LATIN AMERICA
Argentina

3010-4

Belize

3571-8

Bolivia

3020-1

Brazil

3030-9

Chile

3040-6

Colombia

3050-3

Costa Rica

3058-9

Ecuador

3100-3

El Salvador

3108-9

Falkland Islands

3630-7

French Guiana

3640-4

Guatemala

3120-8

Guyana

3130-5

Honduras

3148-8

Mexico

3170-4

Nicaragua

3180-1

Panama

3188-7

Paraguay

3210-7

Peru

3220-4

Suriname

3770-2

Uruguay

3260-3

Venezuela

3271-9

TOTAL LATIN AMERICA

3994-2

CARIBBEAN
Anguilla

3022-8

Antigua and Barbuda

3520-3

As of Date:_________

ID Number:____________

Negotiable CDs &
All Short-Term
Negotiable
Securities

Other Custody
Liabilities

To Foreign Banks
Short-Term U.S.
Treasury
Obligations

Negotiable CDs &
All Short-Term
Negotiable
Securities

To All Other Foreigners

Other Custody
Liabilities

Negotiable CDs
Short-Term U.S.
& All Short-Term
Treasury
Negotiable
Obligations
Securities

"Of Which" Item

Other Custody
Liabilities

Grand Total (sum
of columns 1 – 9)

Negotiable
Certificate of
Deposits Held for
Foreigners

1

2

3

4

5

6

7

8

9

10

11

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

TIC Form BL-2 Page 5 of 10

REPORT OF CUSTOMERS' U.S. DOLLAR LIABILITIES TO FOREIGN RESIDENTS

Name of Reporting Entity:__________________

To Foreign Official Institutions
Foreign Economies and
Organizations

Short-Term U.S.
Treasury
Obligations
CODE

Caribbean (Cont.)
Aruba

3525-4

Bahamas

3531-9

Barbados

3015-5

Bermuda

3560-2

Bonaire, St. Eustatius & Saba

3616-1

Cayman Islands

3613-7

Cuba

3070-8

Curacao

3618-8

Dominica

3621-8

Dominican Republic
Eastern Caribbean
Central Bank

3080-5

Grenada
Guadeloupe (and smaller French
islands)

3670-6

Haiti

3140-2

Jamaica

3160-7

Martinique

3700-1

Montserrat

3710-9

St. Barthelemy and St. Martin

3647-1

St. Kitts and Nevis

3730-3

St. Lucia

3750-8

St. Maarten

3619-6

St. Vincent & the Grenadines

3760-5

Trinidad and Tobago

3240-9

Turks and Caicos Islands

3781-8

Virgin Islands, British

3580-7

TOTAL CARIBBEAN

3440-1

3541-6

3680-3

ASIA
Afghanistan

4040-1

Bahrain

4070-3

Bangladesh

4074-6

Bhutan

4081-9

As of Date:_________

ID Number:____________

Negotiable CDs &
All Short-Term
Negotiable
Securities

Other Custody
Liabilities

To Foreign Banks
Short-Term U.S.
Treasury
Obligations

Negotiable CDs &
All Short-Term
Negotiable
Securities

To All Other Foreigners

Other Custody
Liabilities

Negotiable CDs
Short-Term U.S.
& All Short-Term
Treasury
Negotiable
Obligations
Securities

"Of Which" Item

Other Custody
Liabilities

Grand Total (sum
of columns 1 – 9)

Negotiable
Certificate of
Deposits Held for
Foreigners

1

2

3

4

5

6

7

8

9

10

11

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

TIC Form BL-2 Page 6 of 10

REPORT OF CUSTOMERS' U.S. DOLLAR LIABILITIES TO FOREIGN RESIDENTS

Name of Reporting Entity:__________________

To Foreign Official Institutions
Foreign Economies and
Organizations

Short-Term U.S.
Treasury
Obligations
CODE

Asia (Cont.)
Brunei

4100-9

Burma

4110-6

Cambodia

4120-3

China, Mainland

4140-8

East Timor

4500-4

Hong Kong

4200-5

India

4210-2

Indonesia

4221-8

Iran

4230-7

Iraq

4240-4

Israel

4250-1

Japan

4260-9

Jordan

4270-6

Korea, North

4440-7

Korea, South

4300-1

Kuwait

4310-9

Laos

4330-3

Lebanon

4341-9

Macau

4350-8

Malaysia

4360-5

Maldives

4370-2

Mongolia

4381-8

Nepal

4420-2

Oman

4410-5

Pakistan

4470-9

Philippines

4480-6

Qatar

4510-1

Saudi Arabia

4560-8

Singapore

4601-9

Sri Lanka

4131-9

Syria

4620-5

Taiwan

4630-2

As of Date:_________

ID Number:____________

Negotiable CDs &
All Short-Term
Negotiable
Securities

Other Custody
Liabilities

To Foreign Banks
Short-Term U.S.
Treasury
Obligations

Negotiable CDs &
All Short-Term
Negotiable
Securities

To All Other Foreigners

Other Custody
Liabilities

Negotiable CDs
Short-Term U.S.
& All Short-Term
Treasury
Negotiable
Obligations
Securities

"Of Which" Item

Other Custody
Liabilities

Grand Total (sum
of columns 1 – 9)

Negotiable
Certificate of
Deposits Held for
Foreigners

1

2

3

4

5

6

7

8

9

10

11

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

TIC Form BL-2 Page 7 of 10

REPORT OF CUSTOMERS' U.S. DOLLAR LIABILITIES TO FOREIGN RESIDENTS

Name of Reporting Entity:__________________

To Foreign Official Institutions
Foreign Economies and
Organizations

Short-Term U.S.
Treasury
Obligations
CODE

Asia (Cont.)
Thailand
United Arab Emirates
(Trucial States)

4641-8
4660-4

Vietnam

4690-6

West Bank & Gaza

4720-1

Yemen

4710-4

TOTAL ASIA

4999-9

AFRICA
Algeria

5010-5

Angola

5020-2

Bank of Central African States (BEAC) 5031-8
Benin

5180-2

Botswana

5050-4

Burkina Faso

5711-8

Burundi

5080-6

Cameroon

5100-4

Cape Verde

5120-9

Central African Republic
Central Bank of West African States
(BCEAO)

5130-6

Chad

5140-3

Comoros

5151-9

Congo (Brazzaville)

5160-8

Congo (Kinshasa)

5170-5

Cote d’Ivoire (Ivory Coast)

5300-7

Djibouti

5230-2

Egypt

5700-2

Equatorial Guinea

5194-2

Eritrea

5201-9

Ethiopia

5210-8

Gabon

5241-8

Gambia, The

5250-7

Ghana

5260-4

5064-4

As of Date:_________

ID Number:____________

Negotiable CDs &
All Short-Term
Negotiable
Securities

Other Custody
Liabilities

To Foreign Banks
Short-Term U.S.
Treasury
Obligations

Negotiable CDs &
All Short-Term
Negotiable
Securities

To All Other Foreigners

Other Custody
Liabilities

Negotiable CDs
Short-Term U.S.
& All Short-Term
Treasury
Negotiable
Obligations
Securities

"Of Which" Item

Other Custody
Liabilities

Grand Total (sum
of columns 1 – 9)

Negotiable
Certificate of
Deposits Held for
Foreigners

1

2

3

4

5

6

7

8

9

10

11

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

TIC Form BL-2 Page 8 of 10

REPORT OF CUSTOMERS' U.S. DOLLAR LIABILITIES TO FOREIGN RESIDENTS

Name of Reporting Entity:__________________

To Foreign Official Institutions
Foreign Economies and
Organizations

Short-Term U.S.
Treasury
Obligations
CODE

Africa (Cont.)
Guinea

5270-1

Guinea-Bissau

5440-2

Kenya

5310-4

Lesotho

5315-5

Liberia

5320-1

Libya

5330-9

Madagascar

5340-6

Malawi

5350-3

Mali

5358-9

Mauritania

5370-8

Mauritius

5380-5

Mayotte

5451-8

Morocco

5400-3

Mozambique

5408-9

Namibia

5412-7

Niger

5420-8

Nigeria

5430-5

Réunion

5460-7

Rwanda

5501-8

Saint Helena

5510-7

Sao Tome & Principe

5520-4

Senegal

5530-1

Seychelles

5540-9

Sierra Leone

5550-6

Somalia

5560-3

South Africa

5571-9

South Sudan

5339-2

Sudan

5610-3

Swaziland

5621-9

Tanzania

5640-5

Togo

5650-2

Tunisia

5670-7

As of Date:_________

ID Number:____________

Negotiable CDs &
All Short-Term
Negotiable
Securities

Other Custody
Liabilities

To Foreign Banks
Short-Term U.S.
Treasury
Obligations

Negotiable CDs &
All Short-Term
Negotiable
Securities

To All Other Foreigners

Other Custody
Liabilities

Negotiable CDs
Short-Term U.S.
& All Short-Term
Treasury
Negotiable
Obligations
Securities

"Of Which" Item

Other Custody
Liabilities

Grand Total (sum
of columns 1 – 9)

Negotiable
Certificate of
Deposits Held for
Foreigners

1

2

3

4

5

6

7

8

9

10

11

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

TIC Form BL-2 Page 9 of 10

REPORT OF CUSTOMERS' U.S. DOLLAR LIABILITIES TO FOREIGN RESIDENTS

Name of Reporting Entity:__________________

To Foreign Official Institutions
Foreign Economies and
Organizations

Short-Term U.S.
Treasury
Obligations
CODE

Africa (Cont.)
Uganda

5680-4

Western Sahara

5600-6

Zambia

5720-7

Zimbabwe

5470-4

TOTAL AFRICA

5999-4

OTHER COUNTRIES
Australia

6008-9

British Indian Ocean Territory

6020-8

Cook Islands

6040-2

Fiji

6060-7

French Polynesia

6070-4

Kiribati

6052-6

Marshall Islands
Micronesia, Federated
States of

6120-4

Nauru

6130-1

New Caledonia

6140-9

New Zealand

6168-9

Niue

6180-8

Palau

6250-2

Papua New Guinea

6175-1

Pitcairn Islands

6210-3

St. Pierre and Miquelon

6221-9

Samoa

6261-8

Solomon Islands

6230-8

Tokelau Islands

6240-5

Tonga

6244-8

Tuvalu

6051-8

Vanuatu

6160-3

Wallis and Futuna

6011-9

TOTAL ALL OTHER COUNTRIES

6990-6

6030-5

As of Date:_________

ID Number:____________

Negotiable CDs &
All Short-Term
Negotiable
Securities

Other Custody
Liabilities

To Foreign Banks
Short-Term U.S.
Treasury
Obligations

Negotiable CDs &
All Short-Term
Negotiable
Securities

To All Other Foreigners

Other Custody
Liabilities

Negotiable CDs
Short-Term U.S.
& All Short-Term
Treasury
Negotiable
Obligations
Securities

"Of Which" Item

Other Custody
Liabilities

Grand Total (sum
of columns 1 – 9)

Negotiable
Certificate of
Deposits Held for
Foreigners

1

2

3

4

5

6

7

8

9

10

11

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

TIC Form BL-2 Page 10 of 10

REPORT OF CUSTOMERS' U.S. DOLLAR LIABILITIES TO FOREIGN RESIDENTS

Name of Reporting Entity:__________________

To Foreign Official Institutions
Foreign Economies and
Organizations

Short-Term U.S.
Treasury
Obligations
CODE

International & Regional Organizations
International

7290-7

European

7390-3

Latin American

7491-8

Caribbean

7494-2

Asian

7590-6

African

7690-2

Middle Eastern

7790-9

TOTAL INT'L & REGIONAL ORGS

7999-5

GRAND TOTAL

9999-6

MEMORANDUM ITEMS
TOTAL U.S. -RESIDENT BANK DEBT
LOANS TO U.S. BANKS

SHORT-TERM NEGOTIABLE SECURITIES
ISSUED BY U.S. BANKS (Note: Do Not
Include Negotiable CDs)

8102-7
8141-8

8142-6

TOTAL U.S. GENERAL GOVERNMENT
DEBT

8144-2

TOTAL U.S. AGENCY DEBT

8146-9

DEBT OF U.S. -RESIDENT NON-BANK
FINANCIAL INSTITUTIONS (NBFIs)

8134-5

LOANS TO U.S. NBFIs

8135-3

SHORT-TERM NEGOTIABLE SECURITIES
ISSUED BY U.S. NBFIs

8136-1

As of Date:_________

ID Number:____________

Negotiable CDs &
All Short-Term
Negotiable
Securities

Other Custody
Liabilities

To Foreign Banks
Short-Term U.S.
Treasury
Obligations

Negotiable CDs &
All Short-Term
Negotiable
Securities

To All Other Foreigners

Other Custody
Liabilities

Negotiable CDs
Short-Term U.S.
& All Short-Term
Treasury
Negotiable
Obligations
Securities

"Of Which" Item

Other Custody
Liabilities

Grand Total (sum
of columns 1 – 9)

Negotiable
Certificate of
Deposits Held for
Foreigners

1

2

3

4

5

6

7

8

9

10

11

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions

Millions


File Typeapplication/pdf
Authorb1axgir
File Modified2020-01-30
File Created2014-04-14

© 2024 OMB.report | Privacy Policy