2009 Annual Report
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2009 Annual Report

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  • Description:
    Average Outstanding TLGP Debt (Pg. 16)

    Initial Base Assessment Rates, Range of Possible Rate Adjustments, and Minimum and Maximum Total Base Rates, as of Year-End, Across All Risk (Pg. 18)

    FDIC Examinations 2007-2009 (Pg. 25)

    Failure Activity 2007-2009 (Pg. 45)

    Assets in Inventory by Asset Type (Pg. 45)

    Receivership Activity (Pg. 46)

    Estimated DIF Insured Deposits (Pg. 52)

    Deposit Insurance Fund Reserve Ratios (Pg. 52)

    Deposit Insurance Fund Selected Statistics (Pg. 53)

    Investment Spending 2003-2009 (Pg. 55)

    2009 Budget and Expenditures (Support Allocated) (Pg. 59)

    2009 Insurance Program Results (Pg. 60-62)

    2009 Supervision and Consumer Protection Program Results (Pg. 62-64)

    2009 Receivership Management Program Results (Pg. 65)

    Insurance Program Results (Pg. 66-68)

    Supervision and Consumer Protection Program Results (Pg. 68-71)

    Receivership Management Program Results (Pg. 72)

    Deposit Insurance Fund Balance Sheet at December 31 (Pg. 74)

    Deposit Insurance Fund Statement of Income and Fund Balance for the Years Ended December 31 (Pg. 75)

    Deposit Insurance Fund Statement of Cash Flows for the Years Ended December 31 (Pg. 76-77)

    Total Investment in U.S. Treasury Obligations, Net at December 31, 2009 (Pg. 84)

    Total Investment in U.S. Treasury Obligations, Net at December 31, 2008 (Pg. 84)

    Receivables from Resolutions, Net at December 31 (Pg. 85)

    Property and Equipment, Net at December 31 (Pg. 87)

    Other Revenue for the Years Ended December 31 (Pg. 93)

    Operating Expenses for the Years Ended December 31 (Pg. 94)

    Provision for Insurance Losses for the Years Ended December 31 (Pg. 94)

    Pension Benefits and Savings Plans Expenses for the Years Ended December 31 (Pg. 95)

    Leased Space Commitments (Pg. 96)

    Assets Measured at Fair Value at December 31, 2009 (Pg. 97)

    Assets Measured at Fair Value at December 31, 2008 (Pg. 97)

    Systemic Risk Activity at December 31, 2009 (Pg. 101)

    FSLIC Resolution Fund Balance Sheet at December 31 (Pg. 104)

    FSLIC Resolution Fund Statement of Income and Accumulated Deficit for the Years Ended December 31 (Pg. 105)

    FSLIC Resolution Fund Statement of Cash Flows for the Years Ended December 31 (Pg. 106)

    Receivables from Thrift Resolutions and Other Assets, Net at December 31 (Pg. 111)

    Resolution Equity at December 31, 2009 (Pg. 114)

    Assets Measured at Fair Value at December 31, 2009 (Pg. 115)

    Assets Measured at Fair Value at December 31, 2008 (Pg. 115)

    Audit Reports Without Final Action but with Management Decisions Over One Year Old for FY 2009 (Pg. 142)

    FDIC Expenditures 2000-2009 (Pg. 144)

    Estimated Insured Deposits and the Deposit Insurance Fund, December 31, 1934, through December 31, 2009 (Pg. 145-147)

    Income and Expenses, Deposit Insurance Fund, from Beginning of Operations, September 11, 1933, through December 31, 2009 (Pg. 148-150)

    Numbers, Assets, Deposits, Losses, and Loss to Funds of Insured Thrifts Taken Over or Closed Because of Financial Difficulties, 1989 through 1995 (Pg. 151)

    FDIC-Insured Institutions Closed During 2009 (Pg. 152-160)

    Recoveries and Losses by the Deposit Insurance Fund on Disbursements for the Protection of Depositors, 1934-2009 (Pg. 161-163)

    FDIC Actions on Financial Institutions Applications 2007-2009 (Pg. 164)

    Compliance, Enforcement, and Other Related Legal Actions 2007-2009 (Pg. 165)

    Staffing Trends 2000-2009 (Pg. 170)

    Number of Employees by Division/Office 2008-2009 (Year-End) (Pg. 171)

  • Content Notes:
    Message from the Chairman • Sheila C. Bair

    Message from the Chief Financial Officer • Steven O. App

    In Memoriam • L. William Seidman

    I. Management’s Discussion and Analysis

    The Year in Review

    Insurance

    Supervision and Consumer Protection

    Resolutions and Receiverships

    Effective Management of Strategic Resources

    II. Financial Highlights

    Deposit Insurance Fund Performance

    Investment Spending

    III. Performance Results Summary

    Summary of 2009 Performance Results by Program

    2009 Budget and Expenditures by Program

    Performance Results by Program and Strategic Goal

    Prior Years’ Performance Results

    Program Evaluation

    IV. Financial Statements and Notes

    Deposit Insurance Fund (DIF)

    FSLIC Resolution Fund (FRF)

    Government Accountability Office’s Audit Opinion

    Management’s Response

    Overview of the Industry

    V. Management Control

    Enterprise Risk Management

    Material Weaknesses

    Management Report on Final Actions

    VI. Appendices

    A.   Key Statistics

    B. More About the FDIC

    C. Office of Inspector General’s Assessment of the Management and Performance Challenges Facing the FDIC

  • Pages in Document:
    188
  • Format:
  • Release Date:
    06/30/2010
  • Fdic Employee Involved:
    Maple T. Harl
  • Source:
    FDIC Website
  • Main Document Checksum:
  • File Type:

Supporting Files

  • No Additional Files

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