When you read a record using the program
you get all of these data items. Items in parentheses indicate how many entries
there are per company. Since there are 20 years worth of data per file, the time series
data will have 20 entries.
Header items
dnum--Industry Classification Code (4 digit integer)
cnum--CUSIP Identifier code (6 characters)
cic--CUSIP issue number and check digit (3 digits)
Note: to create a cusip code to compare with the CRSP 8-digit cusip, you need to
either (a) strip off the last 2 characters of the CRSP cusip code, or use the COMPUSTAT 6
digit and append the first 2 digits of the cic issue number.
file--file identification code
zlist--exchange listing and S&P Major Index Code (2 digits)
coname--company name (28 characters)
iname--industry name (28 characters)
smbl--ticker symbol (8 characters)
fyr(20)--fiscal year end month for each year
yeara(20)--Data year
xrel--S&P Industry Index Relative Code
stk--Stock ownership code
dup--Duplicate file code
ucode(20)--update code
state--Company location--state (2 digits)
county--Company location--county (3 digits)
finc--Incorporation code--foreign
source(20)--Source document code
cpspin--S&P Index Primary Marker
csspin--S&P Index Secondary Marker
csspii--S&P Index Subset Identifier
sdbt--S&P Senior Debt Rating--current
sdbtim--footnote for S&P senior debt rating--current
subdbt--S&P subordinated debt rating--current
cpaper--S&P Commercial paper rating--current
ein--Employer Identification Number
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Annual Data Items (Note--you need to make sure
about the fiscal year end and the year of the data by checking the variables fyr and
yeara) These items are accessed as:
data(item number, iyear) with item number ranging from 1 to 350, and iyear from 1 to
20. The actual calendar year for a given iyear is found in the variable
yeara(iyear). The fiscal yearend for a given iyear is given in fyr(iyear).
Data Item Number and Name
- Cash and Short-Term investments MM$ 10.3 1950
- Receivables - Total MM$ 10.3 1950
- Inventories - Total MM$ 10.3 1950
- Current Assets - Total MM$ 10.3 1950
- Current Liabilities - Total MM$ 10.3 1950
- Assets - Total/Liabilities and Stockholders' Equity - Total MM$ 10.3 1950
- Property, Plant, and Equipment - Total (Gross) MM$ 10.3 1950
- Property, Plant and Equipment - Total (Net) MM$ 10.3 1950
- Long-Term Debt - Total MM$ 10.3 1950
- Preferred Stock - Liquidating Value MM$ 10.3 1950
- Common Equity - Tangible MM$ 10.3 1950
- Sales (Net) MM$ 10.3 1950
- Operating Income Before Depreciation MM$ 10.3 1950
- Depreciation and Amortization MM$ 8.3 1950
- Interest Expense MM$ 10.3 1950
- Income Taxes - Total MM$ 8.3 1950
- Special Items MM$ 10.3 1950
- Income Before Extraordinary Items MM$ 10.3 1950
- Dividends - Preferred MM$ 10.3 1950
- Income Before Extraordinary Items - Adj for Common Stock Equivalents MM$ 10.3 1950
- Dividends - Common MM$ 10.3 1950
- Price - Calendar Year - High $&c 8.3 1950
- Price - Calendar Year - Low $&c 8.3 1950
- Price-Calendar Year - Close+B52 $&c 8.3 1950
- Common Shares Outstanding MM 10.3 1950
- Dividends per Share by Ex-Date $&c 8.3 1950
- Adjustment Factor (Cumulative) by Ex-Date Ratio 10.6 1950
- Common Shares Traded - Calendar Year MM 10.3 1950
- Employees M 8.3 1950
- Property, Plant, and Equipment - Capital Expenditures (Schedule V) MM$ 10.3 1989
- Investments and Advances - Equity Method MM$ 10.3 1950
- Investments and Advances - Other MM$ 10.3 1950
- Intangibles MM$ 8.3 1950
- Debt in Current Liabilities MM$ 10.3 1955
- Deferred Taxes and Investment Tax Credit (Balance Sheet) MM$ 8.3 1950
- Retained Earnings MM$ 10.3 1963
- Invested Capital - Total MM$ 10.3 1950
- Minority Interest (Balance Sheet) MM$ 8.3 1950
- Convertible Debt and Preferred Stock MM$ 8.3 1950
- Common Shares Reserved for Conversion - Total MM 10.3 1950
- Cost of Goods Sold MM$ 10.3 1950
- Labor and Related Expense MM$ 10.3 1950
- Pension and Retirement Expense MM$ 10.3 1950
- Debt-Due in One Year MM$ 10.3 1955
- Advertising Expense MM$ 10.3 1971
- Research and Development Expense MM$ 8.3 1970
- Rental Expense MM$ 10.3 1950
- Extraordinary Items and Discontinued Operations MM$ 10.3 1950
- Minority Interest (Income Account) MM$ 10.3 1950
- Deferred Taxes (Income Account) MM$ 8.3 1950
- Investment Tax Credit (Income Account) MM$ 8.3 1950
- Net Operating Loss Carry Forward - Unused Portion MM$ 8.3 1950
- Earnings per Share (Primary) - Including Extraordinary Items $&c 10.4 1963
- Common Shares Used to Calculate Earnings per Share (Primary) MM 8.3 1950
- Equity in Earnings MM$ 8.3 1950
- Preferred Stock - Redemption Value MM$ 8.3 1950
- Earnings per Share (Fully Diluted) - Excluding Extraordinary Items $&c 8.3 1967
- Earnings per Share (Primary) - Excluding Extraordinary Items $&c 8.3 1950
- Inventory Valuation Method Code 8.3 1950
- Common Equity - Total MM$ 10.3 1963
- Nonoperating Income (Expense) MM$ 10.3 1950
- Interest Income MM$ 10.3 1950
- Income Taxes - Federal MM$ 8.3 1969
- Income Taxes - Foreign MM$ 8.3 1969
- Amortization of Intangibles MM$ 8.3 1969
- Discontinued Operations MM$ 10.3 1950
- Receivables - Estimated Doubtful MM$ 8.3 1969
- Current Assets - Other MM$ 10.3 1950
- Assets - Other MM$ 10.3 1950
- Accounts Payable MM$ 10.3 1963
- Income Taxes Payable MM$ 8.3 1963
- Current Liabilities - Other MM$ 10.3 1963
- Property, Plant and Equipment-Construction in Progress (Net) MM$ 10.3 1969
- Deferred Taxes (Balance Sheet) MM$ 8.3 1950
- Liabilities - Other MM$ 10.3 1950
- Inventories - Raw Materials MM$ 8.3 1969
- Inventories - Work in Process MM$ 8.3 1969
- Inventories - Finished Goods MM$ 8.3 1969
- Debt - Convertible MM$ 8.3 1969
- Debt - Subordinated MM$ 8.3 1969
- Debt- Notes MM$ 8.3 1969
- Debt - Debentures MM$ 10.3 1969
- Long-Term Debt - Other MM$ 10.3 1969
- Debt - Capitalized Lease Obligations MM$ 10.3 1969
- Common Stock MM$ 8.3 1963
- Treasury Stock (Memo Entry) MM$ 8.3 1969
- Treasury Stock - Number of Common Shares MM 10.3 1969
- Treasury Stock - Total Dollar Amount MM$ 8.3 1962
- Pension Costs - Unfunded Vested Benefits MM$ 8.3 1973
- Pension Costs - Unfunded Past or Prior Service MM$ 8.3 1973
- Debt- Maturing in 2nd Year MM$ 8.3 1974
- Debt - Maturing in 3rd Year MM$ 10.3 1974
- Debt - Maturing in 4th Year MM$ 8.3 1974
- Debt - Maturing in 5th Year MM$ 8.3 1974
- Rental Commitments - Minimum - Five Years Total MM$ 8.3 1974
- Rental Commitments - Minimum - 1st Year MM$ 8.3 1974
- Retained Earnings - Unrestricted MM$ 10.3 1974
- Order Backlog MM$ 10.3 1970
- Retained Earnings Restatement MM$ 10.3 1969
- Common Shareholders M 10.3 1975
- Interest Expense on Long-Term Debt MM$ 8.3 1975
- Excise Taxes MM$ 8.3 1975
- Depreciation Expense (Schedule VI) MM$ 8.3 1969
- Short-Term Borrowings - Average MM$ 8.3 1977
- Short-Term Borrowings - Average Interest Rate % 8.3 1977
- Equity in Net Loss (Earnings) (Statement of Cash Flows) MM$ 8.3 1971
- Sale of Property, Plant, and Equipment (Statement of Cash Flows) MM$ 8.3 1971
- Sale of Common and Preferred Stock (Statement of Cash Flows) MM$ 8.3 1971
- Sale of Investments (Statement of Cash Flows) MM$ 10.3 1971
- Funds From Operations - Total (Statement of Changes) MM$ 10.3 1971
- Long-Term Debt - Issuance (Statement of Cash Flows) MM$ 8.3 1971
- Sources of Funds - Total (Statement of Changes) MM$ 10.3 1971
- Increase in Investments (Statement of Cash Flows) MM$ 10.3 1971
- Long-Term Debt - Reduction (Statement of Cash Flows) MM$ 10.3 1971
- Purchase of Common and Preferred Stock (Statement of Cash Flows) MM$ 10.3 1971
- Uses Of Funds - Total (Statement of Changes) MM$ 10.3 1971
- Sales (Restated) MM$ 10.3 R
- Income Before Extraordinary Items (Restated) MM$ 10.3 R
- Earnings per Share (Primary) - Excluding Extraordinary Items(Restated) $&c 8.3 R
- Assets - Total (Restated) MM$ 10.3 R
- Working Capital (Restated) MM$ 10.3 R
- Pretax Income (Restated) MM$ 10.3 R
- Income Before Extraordinary Items (Statement of Cash Flows) MM$ 10.3 1971
- Extraordinary Items and Discontinued Operations (Statement of Cash Flows)+A24 MM$ 10.3
1971
- Depreciation and Amortization (Statement of Cash Flows) MM$ 10.3 1971
- Deferred Taxes (Statement of Cash Flows) MM$ 8.3 1971
- Cash Dividends (Statement of Cash Flows) MM$ 8.3 1971
- Capital Expenditures (Statement of Cash Flows) MM$ 8.3 1950
- Acquisitions (Statement of Cash Flows) MM$ 8.3 1971
- Preferred Stock - Carrying Value MM$ 8.3 1962
- Cost of Goods Sold (Restated) MM$ 10.3 R
- Selling, General, and Administrative Expense (Restated) MM$ 10.3 R
- Depreciation and Amortization (Restated) MM$ 10.3 R
- Interest Expense (Restated) MM$ 8.3 R
- Income Taxes - Total (Restated) MM$ 10.3 R
- Extraordinary Items and Discontinued Operations (Restated) MM$ 10.3 R
- Earnings per Share (Primary) - Including Extraordinary Items(Restated) $&c 10.3 R
- Common Shares Used to Calculate Earnings per Share (Primary) (Restated) MM 10.3 R
- Earnings per Share (Fully Diluted) - Excl Extraordinary Items (Restated) $&c 10.3 R
- Earnings per Share (Fully Diluted) - Incl Extraordinary Items (Restated) $&c 8.3 R
- Property, Plant, and Equipment - Total (Net) (Restated) MM$ 10.3 R
- Long-Term Debt - Total (Restated) MM$ 10.3 R
- Retained Earnings (Restated) MM$ 10.3 R
- Stockholders' Equity (Restated) MM$ 10.3 R
- Capital Expenditures (Restated) MM$ 8.3 R
- Employees (Restated) M 8.3 R
- Interest Capitalized MM$ 10.3 1975
- Long-Term Debt - Tied to Prime MM$ 8.3 1974
- Auditor/Auditor's Opinion Code 8.3 1974
- Foreign Currency Adjustment (Income Account) MM$ 8.3 1972
- Receivables - Trade MM$ 10.3 1968
- Deferred Charges MM$ 8.3 1968
- Accrued Expense MM$ 8.3 1983
- Debt - Subordinated Convertible MM$ 8.3 1969
- Property, Plant, and Equipment - Buildings (Net) MM$ 8.3 1969
- Property, Plant, and Equipment - Machinery and Equipment(Net) MM$ 8.3 1969
- Property, Plant, and Equipment - Natural Resources (Net) MM$ 8.3 1969
- Property, Plant, and Equipment - Land and Improvements(Net) MM$ 8.3 1969
- Property, Plant, and Equipment - Leases (Net) MM$ 8.3 1969
- Prepaid Expense MM$ 8.3 1950
- Income Tax Refund MM$ 8.3 1950
- Cash MM$ 8.3 1950
- Rental Income MM$ 10.3 1975
- Rental Commitments - Minimum - 2nd Year MM$ 8.3 1974
- Rental Commitments - Minimum - 3rd Year MM$ 8.3 1974
- Rental Commitments - Minimum - 4th Year MM$ 8.3 1974
- Rental Commitments - Minimum - 5th Year MM$ 8.3 1974
- Compensating Balance MM$ 8.3 1974
- Earnings per Share (Fully Diluted)-Including Extraordinary Items $&c 8.3 1969
- Pretax Income MM$ 10.3 1950
- Common Shares Used to Calculate Earnings per Share (Fully Diluted) MM 8.3 1969
- Net Income (Loss) MM$ 10.3 1950
- Income Taxes- State MM$ 8.3 1969
- Depletion Expense (Schedule VI) MM$ 8.3 1969
- Preferred Stock - Redeemable MM$ 10.3 1979
- Blank NA 10.3 0
- Net Income (Loss) (Restated) MM$ 10.3 R
- Operating Income After Depreciation MM$ 10.3 1950
- Working Capital (Balance Sheet) MM$ 10.3 1950
- Working Capital Change - Total (Statement of Changes) MM$ 10.3 1971
- Liabilities - Total MM$ 10.3 1950
- Property, Plant, and Equipment - Beginning Balance (Schedule V) MM$ 10.3 1969
- Accounting Changes - Cumulative Effect MM$ 10.3 1988
- Property, Plant, and Equipment - Retirements (Schedule V) MM$ 10.3 1969
- Property, Plant, and Equipment - Other Changes (Schedule V) MM$ 10.3 1969
- Inventories - Other MM$ 10.3 1984
- Property, Plant, and Equipment - Ending Balance (Schedule V) MM$ 10.3 1969
- Debt - Senior Convertible MM$ 10.3 1969
- Selling, General, and Administrative Expense MM$ 8.3 1950
- Non-operating Income (Expense) - Excluding Interest Income MM$ 10.3 1950
- Common Stock Equivalents - Dollar Savings MM$ 8.3 1950
- Extraordinary Items MM$ 10.3 1950
- Short-Term Investments MM$ 10.3 1950
- Receivables-Current-Other MM$ 10.3 1950
- Current Assets - Other - Excluding Prepaid Expense MM$ 10.3 1950
- Depreciation, Depletion, and Amortization (Accumulated) (Balance Sheet) MM$ 10.3 1950
- Price - Fiscal Year- High $&c 8.3 1962
- Price - Fiscal Year - Low $&c 8.3 1962
- Price - Fiscal Year - Close $&c 8.3 1962
- Common Shares Reserved for Conversion - Convertible Debt MM 10.3 1984
- Dividends per Share by Payable Date $&c 8.3 1971
- Adjustment Factor (Cumulative) by Payable Date Ratio 10.6 1964
- Common Shares Reserved for Conversion - Preferred Stock MM 10.3 1964
- Goodwill MM$ 8.3 1988
- Assets - Other - Excluding Deferred Charges MM$ 10.3 1950
- Notes Payable MM$ 10.3 1955
- Current Liabilities - Other - Excluding Accrued Expense MM$ 10.3 1963
- Investment Tax Credit (Balance Sheet) MM$ 8.3 1950
- Preferred Stock - Non-redeemable MM$ 10.3 1962
- Capital Surplus MM$ 8.3 1963
- Income Taxes-Other MM$ 10.3 1984
- Blank NA 10.3 0
- Sale of PPE and Sale of Investments - Loss (Gain) (Stmt of Cash Flows) MM$ 8.3 1987
- Preferred Stock - Convertible MM$ 8.3 1969
- Common Shares Reserved for Conversion - Stock Options MM 10.3 1984
- Stockholders' Equity - Total MM$ 10.3 1963
- Funds From Operations- Other (Statement of Cash Flows) MM$ 10.3 1971
- Sources of Funds - Other (Statement of Changes) MM$ 10.3 1971
- Uses of Funds - Other (Statement of Changes) MM$ 10.3 1969
- Depreciation (Accumulated) - Beginning Balance (Schedule VI) MM$ 10.3 1969
- Depreciation (Accumulated) - Retirements (Schedule VI) MM$ 8.3 1969
- Depreciation (Accumulated) - Other Changes (Schedule VI) MM$ 10.3 1969
- Depreciation (Accumulated) - Ending Balance(Schedule VI) MM$ 10.3 1969
- Non-operating Income (Expense) (Restated) MM$ 10.3 R
- Minority Interest (Restated) MM$ 8.3 R
- Treasury Stock (Dollar Amount) - Common MM$ 8.3 1962
- Treasury Stock (Dollar Amount) - Preferred MM$ 8.3 1962
- Currency Translation Rate $&c 10.4 1984
- Common Shares Reserved for Conversion - Warrants and Other MM 8.3 1964
- Retained Earnings - Cumulative Translation Adjustment MM$ 8.3 1982
- Retained Earnings - Other Adjustments MM$ 8.3 1982
- Common Stock - per Share Carrying Value $&c 8.3 1982
- Earnings per Share from Operations $&c 8.3 1993
- ADA Ratio Ratio 8.3 1989
- Common Equity - Liquidation Value MM$ 10.3 1950
- Working Capital Change - Other - Increase (Decrease) (Stmt of Changes) MM$ 10.3 1971
- Income Before Extraordinary Items - Available for Common MM$ 10.3 1950
- Marketable Securities Adjustment (Balance Sheet) MM$ 8.3 1975
- Interest Capitalized- Net Income Effect MM$ 8.3 1975
- Inventories - LIFO Reserve MM$ 10.3 1975
- Debt - Mortgages and other Secured MM$ 10.3 1981
- Dividends - Preferred - In Arrears MM$ 8.3 1975
- Pension Benefits - Present Value of Vested MM$ 10.3 1980
- Pension Benefits - Present Value of Nonvested MM$ 10.3 1980
- Pension Benefits - Net Assets MM$ 10.3 1980
- Pension Benefits Assumed Rate of Return % 8.3 1980
- Pension Benefits - Information Date MMDDYY10.3 1980
- Acquisition - income Contribution MM$ 8.3 1974
- Acquisition - Sales Contribution MM$ 8.3 1974
- Property, Plant and Equipment - Other (Net) MM$ 10.3 1969
- Depreciation (Accumulated) - Land and Improvements MM$ 8.3 1964
- Depreciation (Accumulated) - Natural Resources MM$ 8.3 1984
- Depreciation (Accumulated) - Buildings MM$ 8.3 1984
- Depreciation (Accumulated) - Machinery and Equipment MM$ 8.3 1964
- Depreciation (Accumulated) - Leases MM$ 8.3 1984
- Depreciation (Accumulated) - Construction in Progress MM$ 8.3 1984
- Depreciation (Accumulated) - Other MM$ 10.3 1984
- Net Income - Adjusted for Common Stock Equivalents MM$ 10.3 1966
- Retained Earnings - Unadjusted MM$ 10.3 1982
- Property, Plant, and Equipment - Land and Improvements at Cost MM$ 8.3 1984
- Property, Plant, and Equipment - Natural Resources at Cost MM$ 8.3 1984
- Blank NA 10.3 0
- Property, Plant, and Equipment - Buildings at Cost MM$ 8.3 1984
- Property, Plant and Equipment - Machinery and Equipment at Cost MM$ 8.3 1984
- Property, Plant, and Equipment - Leases at Cost MM$ 8.3 1984
- Property, Plant, and Equipment - Construction in Progress at Cost MM$ 8.3 1984
- Property, Plant, and Equipment - Other at Cost MM$ 10.3 1984
- Debt - Unamortized Debt Discount and Other MM$ 8.3 1984
- Deferred Taxes - Federal MM$ 8.3 1984
- Deferred Taxes - Foreign MM$ 8.3 1984
- Deferred Taxes- State MM$ 8.3 1984
- Pretax Income - Domestic MM$ 10.3 1984
- Pretax Income - Foreign MM$ 10.3 1984
- Cash and Cash Equivalents - Increase (Decrease) (Statement of Cash Flows) MM$ 10.3 1971
- Blank NA 10.3 0
- S&P Major Index Code - Historical Code 8.3 1976
- S&P Industry Index Code - Historical Code 8.3 1976
- Fortune Industry Code Code 8.3 1982
- Fortune Rank Code 8.3 1982
- S&P Senior Debt Rating Code 8.3 1985
- Blank Code 8.3 1978
- S&P Common Stock Ranking Code 8.3 1985
- S&P Commercial Paper Rating - Historical Code 8.3 1985
- Pension - Vested Benefit Obligation (Overfunded) MM$ 10.3 1986
- Pension - Accumulated Benefit Obligation (Overfunded) MM$ 10.3 1986
- Pension - Projected Benefit Obligation (Overfunded) MM$ 8.3 1986
- Pension Plan Assets (Overfunded) MM$ 10.3 1896
- Pension - Unrecognized Prior Service Cost (Overfunded) MM$ 10.3 1986
- Pension - Other Adjustments (Overfunded) MM$ 10.3 1986
- Pension - Prepaid/Accrued Cost (Overfunded) MM$ 10.3 1986
- Pension - Vested Benefit Obligation (Underfunded) MM$ 10.3 1986
- Periodic Postretirement Benefit Cost (Net) MM$ 10.3 1990
- Pension - Accumulated Benefit Obligation (Underfunded) MM$ 10.3 1986
- Pension - Projected Benefit Obligation (Underfunded) MM$ 8.3 1986
- Periodic Pension Cost (Net) MM$ 10.3 1991
- Pension Plan Assets (Underfunded) MM$ 10.3 1986
- Pension - Unrecognized Prior Service Cost (Underfunded) MM$ 10.3 1986
- Pension - Additional Minimum Liability (Underfunded) MM$ 10.3 1986
- Pension - Other Adjustments (Underfunded) MM$ 10.3 1986
- Pension - Prepaid/Accrued Cost (Underfunded) MM$ 10.3 1986
- Changes in Current Debt (Statement of Cash Flows) MM$ 8.3 1971
- Accounts Receivable - Decrease (Increase) (Statement of Cash Flows) MM$ 8.3 1987
- Inventory - Decrease (Increase) (Statement of Cash Flows) MM$ 8.3 1987
- Accts Payable and Accr. Liabs - Incr(Decr) (Statement of Cash Flows) MM$ 8.3 1987
- Income Taxes - Accrued - Increase (Decrease) (Statement of Cash Flows) MM$ 8.3 1987
- Blank NA 10.3 0
- Assets and Liabilities - Other (Net Change) (Statement of Cash Flows) MM$ 10.3 1987
- Operating Activities - Net Cash Flow (Statement of Cash Flows) MM$ 10.3 1987
- Short-Term Investments - Change (Statement of Cash Flows) MM$ 8.3 1987
- Investing Activities - Other (Statement of Cash Flows) MM$ 10.3 1987
- Investing Activities - Net Cash Flow (Statement of Cash Flows) MM$ 10.3 1987
- Financing Activities - Other (Statement of Cash Flows) MM$ 10.3 1987
- Financing Activities - Net Cash Flow (Statement of Cash Flows) MM$ 10.3 1987
- Exchange Rate Effect (Statement of Cash Flows) MM$ 10.3 1987
- Interest Paid - Net (Statement of Cash Flows) MM$ 8.3 1987
- Blank NA 10.3 0
- Income Taxes Paid (Statement of Cash Flows) MM$ 10.3 1987
- Format Code (Statement of Cash Flows) Code 10.3 1971
- Blank NA 10.3 0
- S&P Subordinated Debt Rating Code 8.3 1985
- Interest Income - Total (Financial Services) MM 8.3 1961
- Blank NA 10.3 0
- Blank NA 8.3 0
- Blank NA 8.3 0
- Blank NA 8.3 0
- Blank NA 10.3 0
- Contingent Liabilities - Guarantees MM$ 8.3 1991
- Debt - Finance Subsidiary MM$ 8.3 1991
- Debt - Consolidated Subsidiary MM$ 8.3 1975
- Postretirement Benefit Asset (Liability) (Net) MM$ 8.3 1990
- Pension Plans - Service Cost MM$ 8.3 1991
- Pension Plans - Interest Cost MM$ 8.3 1991
- Pension Plans - Return on Plan Assets (Actual) MM$ 8.3 1991
- Pension Plans - Other Periodic Cost Components (Net) MM$ 8.3 1991
- Pension Plans - Rate of Compensation Increase % 8.3 1991
- Pension Plans - Anticipated Long-Term Rate of Return on Plan Assets % 8.3 1991
- Risk-Adjusted Capital Ratio - Tier 1 Ratio 8.3 1993
- Blank NA 10.3 0
- Interest Expense - Total (Financial Services) MM 8.3 1961
- Net Interest Income (Tax Equivalent) MM 8.3 1977
- Non-performing Assets - Total MM 8.3 1993
- Provision for Loan/Asset Losses MM 8.3 1961
- Reserve for Loan/Asset Losses MM 8.3 1961
- Net Interest Margin. Ratio 8.3 1993
- Blank NA 10.3 0
- Blank NA 8.3 0
- Blank NA 10.3 0
- Risk-Adjusted Capital Ratio - Total Ratio 8.3 1993
- Net Charge-Offs MM 8.3 1961
- Blank NA 10.3 0
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Footnotes--footnotes are accessed as aftnt(islot, iyear)
Where islot is from 1 to 70, and iyear is from 1 to 20, as in the annual data
items. You need to see the COMPUSTAT Manual to decode the footnote array data.
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