The annual compustat data items are divided into 3 categories:

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

  1. Cash and Short-Term investments MM$ 10.3 1950
  2. Receivables - Total MM$ 10.3 1950
  3. Inventories - Total MM$ 10.3 1950
  4. Current Assets - Total MM$ 10.3 1950
  5. Current Liabilities - Total MM$ 10.3 1950
  6. Assets - Total/Liabilities and Stockholders' Equity - Total MM$ 10.3 1950
  7. Property, Plant, and Equipment - Total (Gross) MM$ 10.3 1950
  8. Property, Plant and Equipment - Total (Net) MM$ 10.3 1950
  9. Long-Term Debt - Total MM$ 10.3 1950
  10. Preferred Stock - Liquidating Value MM$ 10.3 1950
  11. Common Equity - Tangible MM$ 10.3 1950
  12. Sales (Net) MM$ 10.3 1950
  13. Operating Income Before Depreciation MM$ 10.3 1950
  14. Depreciation and Amortization MM$ 8.3 1950
  15. Interest Expense MM$ 10.3 1950
  16. Income Taxes - Total MM$ 8.3 1950
  17. Special Items MM$ 10.3 1950
  18. Income Before Extraordinary Items MM$ 10.3 1950
  19. Dividends - Preferred MM$ 10.3 1950
  20. Income Before Extraordinary Items - Adj for Common Stock Equivalents MM$ 10.3 1950
  21. Dividends - Common MM$ 10.3 1950
  22. Price - Calendar Year - High $&c 8.3 1950
  23. Price - Calendar Year - Low $&c 8.3 1950
  24. Price-Calendar Year - Close+B52 $&c 8.3 1950
  25. Common Shares Outstanding MM 10.3 1950
  26. Dividends per Share by Ex-Date $&c 8.3 1950
  27. Adjustment Factor (Cumulative) by Ex-Date Ratio 10.6 1950
  28. Common Shares Traded - Calendar Year MM 10.3 1950
  29. Employees M 8.3 1950
  30. Property, Plant, and Equipment - Capital Expenditures (Schedule V) MM$ 10.3 1989
  31. Investments and Advances - Equity Method MM$ 10.3 1950
  32. Investments and Advances - Other MM$ 10.3 1950
  33. Intangibles MM$ 8.3 1950
  34. Debt in Current Liabilities MM$ 10.3 1955
  35. Deferred Taxes and Investment Tax Credit (Balance Sheet) MM$ 8.3 1950
  36. Retained Earnings MM$ 10.3 1963
  37. Invested Capital - Total MM$ 10.3 1950
  38. Minority Interest (Balance Sheet) MM$ 8.3 1950
  39. Convertible Debt and Preferred Stock MM$ 8.3 1950
  40. Common Shares Reserved for Conversion - Total MM 10.3 1950
  41. Cost of Goods Sold MM$ 10.3 1950
  42. Labor and Related Expense MM$ 10.3 1950
  43. Pension and Retirement Expense MM$ 10.3 1950
  44. Debt-Due in One Year MM$ 10.3 1955
  45. Advertising Expense MM$ 10.3 1971
  46. Research and Development Expense MM$ 8.3 1970
  47. Rental Expense MM$ 10.3 1950
  48. Extraordinary Items and Discontinued Operations MM$ 10.3 1950
  49. Minority Interest (Income Account) MM$ 10.3 1950
  50. Deferred Taxes (Income Account) MM$ 8.3 1950
  51. Investment Tax Credit (Income Account) MM$ 8.3 1950
  52. Net Operating Loss Carry Forward - Unused Portion MM$ 8.3 1950
  53. Earnings per Share (Primary) - Including Extraordinary Items $&c 10.4 1963
  54. Common Shares Used to Calculate Earnings per Share (Primary) MM 8.3 1950
  55. Equity in Earnings MM$ 8.3 1950
  56. Preferred Stock - Redemption Value MM$ 8.3 1950
  57. Earnings per Share (Fully Diluted) - Excluding Extraordinary Items $&c 8.3 1967
  58. Earnings per Share (Primary) - Excluding Extraordinary Items $&c 8.3 1950
  59. Inventory Valuation Method Code 8.3 1950
  60. Common Equity - Total MM$ 10.3 1963
  61. Nonoperating Income (Expense) MM$ 10.3 1950
  62. Interest Income MM$ 10.3 1950
  63. Income Taxes - Federal MM$ 8.3 1969
  64. Income Taxes - Foreign MM$ 8.3 1969
  65. Amortization of Intangibles MM$ 8.3 1969
  66. Discontinued Operations MM$ 10.3 1950
  67. Receivables - Estimated Doubtful MM$ 8.3 1969
  68. Current Assets - Other MM$ 10.3 1950
  69. Assets - Other MM$ 10.3 1950
  70. Accounts Payable MM$ 10.3 1963
  71. Income Taxes Payable MM$ 8.3 1963
  72. Current Liabilities - Other MM$ 10.3 1963
  73. Property, Plant and Equipment-Construction in Progress (Net) MM$ 10.3 1969
  74. Deferred Taxes (Balance Sheet) MM$ 8.3 1950
  75. Liabilities - Other MM$ 10.3 1950
  76. Inventories - Raw Materials MM$ 8.3 1969
  77. Inventories - Work in Process MM$ 8.3 1969
  78. Inventories - Finished Goods MM$ 8.3 1969
  79. Debt - Convertible MM$ 8.3 1969
  80. Debt - Subordinated MM$ 8.3 1969
  81. Debt- Notes MM$ 8.3 1969
  82. Debt - Debentures MM$ 10.3 1969
  83. Long-Term Debt - Other MM$ 10.3 1969
  84. Debt - Capitalized Lease Obligations MM$ 10.3 1969
  85. Common Stock MM$ 8.3 1963
  86. Treasury Stock (Memo Entry) MM$ 8.3 1969
  87. Treasury Stock - Number of Common Shares MM 10.3 1969
  88. Treasury Stock - Total Dollar Amount MM$ 8.3 1962
  89. Pension Costs - Unfunded Vested Benefits MM$ 8.3 1973
  90. Pension Costs - Unfunded Past or Prior Service MM$ 8.3 1973
  91. Debt- Maturing in 2nd Year MM$ 8.3 1974
  92. Debt - Maturing in 3rd Year MM$ 10.3 1974
  93. Debt - Maturing in 4th Year MM$ 8.3 1974
  94. Debt - Maturing in 5th Year MM$ 8.3 1974
  95. Rental Commitments - Minimum - Five Years Total MM$ 8.3 1974
  96. Rental Commitments - Minimum - 1st Year MM$ 8.3 1974
  97. Retained Earnings - Unrestricted MM$ 10.3 1974
  98. Order Backlog MM$ 10.3 1970
  99. Retained Earnings Restatement MM$ 10.3 1969
  100. Common Shareholders M 10.3 1975
  101. Interest Expense on Long-Term Debt MM$ 8.3 1975
  102. Excise Taxes MM$ 8.3 1975
  103. Depreciation Expense (Schedule VI) MM$ 8.3 1969
  104. Short-Term Borrowings - Average MM$ 8.3 1977
  105. Short-Term Borrowings - Average Interest Rate % 8.3 1977
  106. Equity in Net Loss (Earnings) (Statement of Cash Flows) MM$ 8.3 1971
  107. Sale of Property, Plant, and Equipment (Statement of Cash Flows) MM$ 8.3 1971
  108. Sale of Common and Preferred Stock (Statement of Cash Flows) MM$ 8.3 1971
  109. Sale of Investments (Statement of Cash Flows) MM$ 10.3 1971
  110. Funds From Operations - Total (Statement of Changes) MM$ 10.3 1971
  111. Long-Term Debt - Issuance (Statement of Cash Flows) MM$ 8.3 1971
  112. Sources of Funds - Total (Statement of Changes) MM$ 10.3 1971
  113. Increase in Investments (Statement of Cash Flows) MM$ 10.3 1971
  114. Long-Term Debt - Reduction (Statement of Cash Flows) MM$ 10.3 1971
  115. Purchase of Common and Preferred Stock (Statement of Cash Flows) MM$ 10.3 1971
  116. Uses Of Funds - Total (Statement of Changes) MM$ 10.3 1971
  117. Sales (Restated) MM$ 10.3 R
  118. Income Before Extraordinary Items (Restated) MM$ 10.3 R
  119. Earnings per Share (Primary) - Excluding Extraordinary Items(Restated) $&c 8.3 R
  120. Assets - Total (Restated) MM$ 10.3 R
  121. Working Capital (Restated) MM$ 10.3 R
  122. Pretax Income (Restated) MM$ 10.3 R
  123. Income Before Extraordinary Items (Statement of Cash Flows) MM$ 10.3 1971
  124. Extraordinary Items and Discontinued Operations (Statement of Cash Flows)+A24 MM$ 10.3 1971
  125. Depreciation and Amortization (Statement of Cash Flows) MM$ 10.3 1971
  126. Deferred Taxes (Statement of Cash Flows) MM$ 8.3 1971
  127. Cash Dividends (Statement of Cash Flows) MM$ 8.3 1971
  128. Capital Expenditures (Statement of Cash Flows) MM$ 8.3 1950
  129. Acquisitions (Statement of Cash Flows) MM$ 8.3 1971
  130. Preferred Stock - Carrying Value MM$ 8.3 1962
  131. Cost of Goods Sold (Restated) MM$ 10.3 R
  132. Selling, General, and Administrative Expense (Restated) MM$ 10.3 R
  133. Depreciation and Amortization (Restated) MM$ 10.3 R
  134. Interest Expense (Restated) MM$ 8.3 R
  135. Income Taxes - Total (Restated) MM$ 10.3 R
  136. Extraordinary Items and Discontinued Operations (Restated) MM$ 10.3 R
  137. Earnings per Share (Primary) - Including Extraordinary Items(Restated) $&c 10.3 R
  138. Common Shares Used to Calculate Earnings per Share (Primary) (Restated) MM 10.3 R
  139. Earnings per Share (Fully Diluted) - Excl Extraordinary Items (Restated) $&c 10.3 R
  140. Earnings per Share (Fully Diluted) - Incl Extraordinary Items (Restated) $&c 8.3 R
  141. Property, Plant, and Equipment - Total (Net) (Restated) MM$ 10.3 R
  142. Long-Term Debt - Total (Restated) MM$ 10.3 R
  143. Retained Earnings (Restated) MM$ 10.3 R
  144. Stockholders' Equity (Restated) MM$ 10.3 R
  145. Capital Expenditures (Restated) MM$ 8.3 R
  146. Employees (Restated) M 8.3 R
  147. Interest Capitalized MM$ 10.3 1975
  148. Long-Term Debt - Tied to Prime MM$ 8.3 1974
  149. Auditor/Auditor's Opinion Code 8.3 1974
  150. Foreign Currency Adjustment (Income Account) MM$ 8.3 1972
  151. Receivables - Trade MM$ 10.3 1968
  152. Deferred Charges MM$ 8.3 1968
  153. Accrued Expense MM$ 8.3 1983
  154. Debt - Subordinated Convertible MM$ 8.3 1969
  155. Property, Plant, and Equipment - Buildings (Net) MM$ 8.3 1969
  156. Property, Plant, and Equipment - Machinery and Equipment(Net) MM$ 8.3 1969
  157. Property, Plant, and Equipment - Natural Resources (Net) MM$ 8.3 1969
  158. Property, Plant, and Equipment - Land and Improvements(Net) MM$ 8.3 1969
  159. Property, Plant, and Equipment - Leases (Net) MM$ 8.3 1969
  160. Prepaid Expense MM$ 8.3 1950
  161. Income Tax Refund MM$ 8.3 1950
  162. Cash MM$ 8.3 1950
  163. Rental Income MM$ 10.3 1975
  164. Rental Commitments - Minimum - 2nd Year MM$ 8.3 1974
  165. Rental Commitments - Minimum - 3rd Year MM$ 8.3 1974
  166. Rental Commitments - Minimum - 4th Year MM$ 8.3 1974
  167. Rental Commitments - Minimum - 5th Year MM$ 8.3 1974
  168. Compensating Balance MM$ 8.3 1974
  169. Earnings per Share (Fully Diluted)-Including Extraordinary Items $&c 8.3 1969
  170. Pretax Income MM$ 10.3 1950
  171. Common Shares Used to Calculate Earnings per Share (Fully Diluted) MM 8.3 1969
  172. Net Income (Loss) MM$ 10.3 1950
  173. Income Taxes- State MM$ 8.3 1969
  174. Depletion Expense (Schedule VI) MM$ 8.3 1969
  175. Preferred Stock - Redeemable MM$ 10.3 1979
  176. Blank NA 10.3 0
  177. Net Income (Loss) (Restated) MM$ 10.3 R
  178. Operating Income After Depreciation MM$ 10.3 1950
  179. Working Capital (Balance Sheet) MM$ 10.3 1950
  180. Working Capital Change - Total (Statement of Changes) MM$ 10.3 1971
  181. Liabilities - Total MM$ 10.3 1950
  182. Property, Plant, and Equipment - Beginning Balance (Schedule V) MM$ 10.3 1969
  183. Accounting Changes - Cumulative Effect MM$ 10.3 1988
  184. Property, Plant, and Equipment - Retirements (Schedule V) MM$ 10.3 1969
  185. Property, Plant, and Equipment - Other Changes (Schedule V) MM$ 10.3 1969
  186. Inventories - Other MM$ 10.3 1984
  187. Property, Plant, and Equipment - Ending Balance (Schedule V) MM$ 10.3 1969
  188. Debt - Senior Convertible MM$ 10.3 1969
  189. Selling, General, and Administrative Expense MM$ 8.3 1950
  190. Non-operating Income (Expense) - Excluding Interest Income MM$ 10.3 1950
  191. Common Stock Equivalents - Dollar Savings MM$ 8.3 1950
  192. Extraordinary Items MM$ 10.3 1950
  193. Short-Term Investments MM$ 10.3 1950
  194. Receivables-Current-Other MM$ 10.3 1950
  195. Current Assets - Other - Excluding Prepaid Expense MM$ 10.3 1950
  196. Depreciation, Depletion, and Amortization (Accumulated) (Balance Sheet) MM$ 10.3 1950
  197. Price - Fiscal Year- High $&c 8.3 1962
  198. Price - Fiscal Year - Low $&c 8.3 1962
  199. Price - Fiscal Year - Close $&c 8.3 1962
  200. Common Shares Reserved for Conversion - Convertible Debt MM 10.3 1984
  201. Dividends per Share by Payable Date $&c 8.3 1971
  202. Adjustment Factor (Cumulative) by Payable Date Ratio 10.6 1964
  203. Common Shares Reserved for Conversion - Preferred Stock MM 10.3 1964
  204. Goodwill MM$ 8.3 1988
  205. Assets - Other - Excluding Deferred Charges MM$ 10.3 1950
  206. Notes Payable MM$ 10.3 1955
  207. Current Liabilities - Other - Excluding Accrued Expense MM$ 10.3 1963
  208. Investment Tax Credit (Balance Sheet) MM$ 8.3 1950
  209. Preferred Stock - Non-redeemable MM$ 10.3 1962
  210. Capital Surplus MM$ 8.3 1963
  211. Income Taxes-Other MM$ 10.3 1984
  212. Blank NA 10.3 0
  213. Sale of PPE and Sale of Investments - Loss (Gain) (Stmt of Cash Flows) MM$ 8.3 1987
  214. Preferred Stock - Convertible MM$ 8.3 1969
  215. Common Shares Reserved for Conversion - Stock Options MM 10.3 1984
  216. Stockholders' Equity - Total MM$ 10.3 1963
  217. Funds From Operations- Other (Statement of Cash Flows) MM$ 10.3 1971
  218. Sources of Funds - Other (Statement of Changes) MM$ 10.3 1971
  219. Uses of Funds - Other (Statement of Changes) MM$ 10.3 1969
  220. Depreciation (Accumulated) - Beginning Balance (Schedule VI) MM$ 10.3 1969
  221. Depreciation (Accumulated) - Retirements (Schedule VI) MM$ 8.3 1969
  222. Depreciation (Accumulated) - Other Changes (Schedule VI) MM$ 10.3 1969
  223. Depreciation (Accumulated) - Ending Balance(Schedule VI) MM$ 10.3 1969
  224. Non-operating Income (Expense) (Restated) MM$ 10.3 R
  225. Minority Interest (Restated) MM$ 8.3 R
  226. Treasury Stock (Dollar Amount) - Common MM$ 8.3 1962
  227. Treasury Stock (Dollar Amount) - Preferred MM$ 8.3 1962
  228. Currency Translation Rate $&c 10.4 1984
  229. Common Shares Reserved for Conversion - Warrants and Other MM 8.3 1964
  230. Retained Earnings - Cumulative Translation Adjustment MM$ 8.3 1982
  231. Retained Earnings - Other Adjustments MM$ 8.3 1982
  232. Common Stock - per Share Carrying Value $&c 8.3 1982
  233. Earnings per Share from Operations $&c 8.3 1993
  234. ADA Ratio Ratio 8.3 1989
  235. Common Equity - Liquidation Value MM$ 10.3 1950
  236. Working Capital Change - Other - Increase (Decrease) (Stmt of Changes) MM$ 10.3 1971
  237. Income Before Extraordinary Items - Available for Common MM$ 10.3 1950
  238. Marketable Securities Adjustment (Balance Sheet) MM$ 8.3 1975
  239. Interest Capitalized- Net Income Effect MM$ 8.3 1975
  240. Inventories - LIFO Reserve MM$ 10.3 1975
  241. Debt - Mortgages and other Secured MM$ 10.3 1981
  242. Dividends - Preferred - In Arrears MM$ 8.3 1975
  243. Pension Benefits - Present Value of Vested MM$ 10.3 1980
  244. Pension Benefits - Present Value of Nonvested MM$ 10.3 1980
  245. Pension Benefits - Net Assets MM$ 10.3 1980
  246. Pension Benefits Assumed Rate of Return % 8.3 1980
  247. Pension Benefits - Information Date MMDDYY10.3 1980
  248. Acquisition - income Contribution MM$ 8.3 1974
  249. Acquisition - Sales Contribution MM$ 8.3 1974
  250. Property, Plant and Equipment - Other (Net) MM$ 10.3 1969
  251. Depreciation (Accumulated) - Land and Improvements MM$ 8.3 1964
  252. Depreciation (Accumulated) - Natural Resources MM$ 8.3 1984
  253. Depreciation (Accumulated) - Buildings MM$ 8.3 1984
  254. Depreciation (Accumulated) - Machinery and Equipment MM$ 8.3 1964
  255. Depreciation (Accumulated) - Leases MM$ 8.3 1984
  256. Depreciation (Accumulated) - Construction in Progress MM$ 8.3 1984
  257. Depreciation (Accumulated) - Other MM$ 10.3 1984
  258. Net Income - Adjusted for Common Stock Equivalents MM$ 10.3 1966
  259. Retained Earnings - Unadjusted MM$ 10.3 1982
  260. Property, Plant, and Equipment - Land and Improvements at Cost MM$ 8.3 1984
  261. Property, Plant, and Equipment - Natural Resources at Cost MM$ 8.3 1984
  262. Blank NA 10.3 0
  263. Property, Plant, and Equipment - Buildings at Cost MM$ 8.3 1984
  264. Property, Plant and Equipment - Machinery and Equipment at Cost MM$ 8.3 1984
  265. Property, Plant, and Equipment - Leases at Cost MM$ 8.3 1984
  266. Property, Plant, and Equipment - Construction in Progress at Cost MM$ 8.3 1984
  267. Property, Plant, and Equipment - Other at Cost MM$ 10.3 1984
  268. Debt - Unamortized Debt Discount and Other MM$ 8.3 1984
  269. Deferred Taxes - Federal MM$ 8.3 1984
  270. Deferred Taxes - Foreign MM$ 8.3 1984
  271. Deferred Taxes- State MM$ 8.3 1984
  272. Pretax Income - Domestic MM$ 10.3 1984
  273. Pretax Income - Foreign MM$ 10.3 1984
  274. Cash and Cash Equivalents - Increase (Decrease) (Statement of Cash Flows) MM$ 10.3 1971
  275. Blank NA 10.3 0
  276. S&P Major Index Code - Historical Code 8.3 1976
  277. S&P Industry Index Code - Historical Code 8.3 1976
  278. Fortune Industry Code Code 8.3 1982
  279. Fortune Rank Code 8.3 1982
  280. S&P Senior Debt Rating Code 8.3 1985
  281. Blank Code 8.3 1978
  282. S&P Common Stock Ranking Code 8.3 1985
  283. S&P Commercial Paper Rating - Historical Code 8.3 1985
  284. Pension - Vested Benefit Obligation (Overfunded) MM$ 10.3 1986
  285. Pension - Accumulated Benefit Obligation (Overfunded) MM$ 10.3 1986
  286. Pension - Projected Benefit Obligation (Overfunded) MM$ 8.3 1986
  287. Pension Plan Assets (Overfunded) MM$ 10.3 1896
  288. Pension - Unrecognized Prior Service Cost (Overfunded) MM$ 10.3 1986
  289. Pension - Other Adjustments (Overfunded) MM$ 10.3 1986
  290. Pension - Prepaid/Accrued Cost (Overfunded) MM$ 10.3 1986
  291. Pension - Vested Benefit Obligation (Underfunded) MM$ 10.3 1986
  292. Periodic Postretirement Benefit Cost (Net) MM$ 10.3 1990
  293. Pension - Accumulated Benefit Obligation (Underfunded) MM$ 10.3 1986
  294. Pension - Projected Benefit Obligation (Underfunded) MM$ 8.3 1986
  295. Periodic Pension Cost (Net) MM$ 10.3 1991
  296. Pension Plan Assets (Underfunded) MM$ 10.3 1986
  297. Pension - Unrecognized Prior Service Cost (Underfunded) MM$ 10.3 1986
  298. Pension - Additional Minimum Liability (Underfunded) MM$ 10.3 1986
  299. Pension - Other Adjustments (Underfunded) MM$ 10.3 1986
  300. Pension - Prepaid/Accrued Cost (Underfunded) MM$ 10.3 1986
  301. Changes in Current Debt (Statement of Cash Flows) MM$ 8.3 1971
  302. Accounts Receivable - Decrease (Increase) (Statement of Cash Flows) MM$ 8.3 1987
  303. Inventory - Decrease (Increase) (Statement of Cash Flows) MM$ 8.3 1987
  304. Accts Payable and Accr. Liabs - Incr(Decr) (Statement of Cash Flows) MM$ 8.3 1987
  305. Income Taxes - Accrued - Increase (Decrease) (Statement of Cash Flows) MM$ 8.3 1987
  306. Blank NA 10.3 0
  307. Assets and Liabilities - Other (Net Change) (Statement of Cash Flows) MM$ 10.3 1987
  308. Operating Activities - Net Cash Flow (Statement of Cash Flows) MM$ 10.3 1987
  309. Short-Term Investments - Change (Statement of Cash Flows) MM$ 8.3 1987
  310. Investing Activities - Other (Statement of Cash Flows) MM$ 10.3 1987
  311. Investing Activities - Net Cash Flow (Statement of Cash Flows) MM$ 10.3 1987
  312. Financing Activities - Other (Statement of Cash Flows) MM$ 10.3 1987
  313. Financing Activities - Net Cash Flow (Statement of Cash Flows) MM$ 10.3 1987
  314. Exchange Rate Effect (Statement of Cash Flows) MM$ 10.3 1987
  315. Interest Paid - Net (Statement of Cash Flows) MM$ 8.3 1987
  316. Blank NA 10.3 0
  317. Income Taxes Paid (Statement of Cash Flows) MM$ 10.3 1987
  318. Format Code (Statement of Cash Flows) Code 10.3 1971
  319. Blank NA 10.3 0
  320. S&P Subordinated Debt Rating Code 8.3 1985
  321. Interest Income - Total (Financial Services) MM 8.3 1961
  322. Blank NA 10.3 0
  323. Blank NA 8.3 0
  324. Blank NA 8.3 0
  325. Blank NA 8.3 0
  326. Blank NA 10.3 0
  327. Contingent Liabilities - Guarantees MM$ 8.3 1991
  328. Debt - Finance Subsidiary MM$ 8.3 1991
  329. Debt - Consolidated Subsidiary MM$ 8.3 1975
  330. Postretirement Benefit Asset (Liability) (Net) MM$ 8.3 1990
  331. Pension Plans - Service Cost MM$ 8.3 1991
  332. Pension Plans - Interest Cost MM$ 8.3 1991
  333. Pension Plans - Return on Plan Assets (Actual) MM$ 8.3 1991
  334. Pension Plans - Other Periodic Cost Components (Net) MM$ 8.3 1991
  335. Pension Plans - Rate of Compensation Increase % 8.3 1991
  336. Pension Plans - Anticipated Long-Term Rate of Return on Plan Assets % 8.3 1991
  337. Risk-Adjusted Capital Ratio - Tier 1 Ratio 8.3 1993
  338. Blank NA 10.3 0
  339. Interest Expense - Total (Financial Services) MM 8.3 1961
  340. Net Interest Income (Tax Equivalent) MM 8.3 1977
  341. Non-performing Assets - Total MM 8.3 1993
  342. Provision for Loan/Asset Losses MM 8.3 1961
  343. Reserve for Loan/Asset Losses MM 8.3 1961
  344. Net Interest Margin. Ratio 8.3 1993
  345. Blank NA 10.3 0
  346. Blank NA 8.3 0
  347. Blank NA 10.3 0
  348. Risk-Adjusted Capital Ratio - Total Ratio 8.3 1993
  349. Net Charge-Offs MM 8.3 1961
  350. 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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