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As Of Filer Filing For·On·As Docs:Size 3/13/13 Federal Home Loan Bank of Seattle 10-K 12/31/12 120:39M |
Document/Exhibit Description Pages Size 1: 10-K Federal Home Loan Bank of Seattle 2012 Annual HTML 2.97M Report on Form 10-K 17: 10-K Federal Home Loan Bank of Seattle 2012 Annual PDF 4.24M Report on Form 10-K PDF Version -- seattle1231201210kfinal 2: EX-3.2 Federal Home Loan Bank of Seattle By-Laws, Amended HTML 81K March 13, 2013 4: EX-10.10 Form of Advances, Security and Deposit Agreement HTML 160K 3: EX-10.9 Director Compensation Policy, Effective as of HTML 44K January 1, 2013 10: EX-99.2 Audit and Compliance Committee Report HTML 33K 5: EX-12.1 2012 Earnings to Fixed Charges HTML 49K 7: EX-31.1 Certification of the Chief Accounting and HTML 36K Administrative Officer - Section 302 6: EX-31.1 Certification of the President and Chief Executive HTML 41K Officer - Section 302 8: EX-31.2 Certification of the President and Chief Executive HTML 42K Officer - Section 906 9: EX-32.2 Certification of the Chief Accounting and HTML 36K Administrative Officer - Section 906 82: R1 Document and Entity Information Document HTML 62K 63: R2 Statements of Condition HTML 169K 78: R3 Statements of Condition (Parenthetical) HTML 62K 86: R4 Statements of Income HTML 164K 110: R5 Statements of Comprehensive Income HTML 84K 66: R6 Statements of Capital Accounts HTML 79K 77: R7 Statements of Cash Flows HTML 229K 57: R8 Background Information HTML 39K 46: R9 Summary of Significant Accounting Policies HTML 105K 112: R10 Recently Issued or Adopted Accounting Guidance HTML 51K 88: R11 Cash and Due from Banks HTML 40K 87: R12 Available-for-Sale Securities HTML 263K 94: R13 Held-to-Maturity Securities HTML 351K 95: R14 Investment Credit Risk and Assessment for OTTI HTML 147K 92: R15 Advances HTML 141K 96: R16 Mortgage Loans Held for Portfolio HTML 69K 79: R17 Allowance for Credit Losses HTML 196K 83: R18 Derivatives and Hedging Activities HTML 259K 90: R19 Deposits HTML 51K 120: R20 Consolidated Obligations HTML 145K 105: R21 Afforable Housing Program HTML 56K 72: R22 Refcorp HTML 37K 89: R23 Capital HTML 195K 75: R24 Employer Retirement Plans HTML 181K 36: R25 Fair Value Measurement HTML 496K 106: R26 Transactions with Related Parties and other HTML 109K FHLBanks 116: R27 Commitments and Contingencies HTML 75K 51: R28 Summary of Significant Accounting Policies HTML 234K (Policies) 50: R29 Available-for-Sale Securities (Tables) HTML 262K 55: R30 Held-to-Maturity Securities (Tables) HTML 356K 56: R31 Investment Credit Risk and Assessment for OTTI HTML 139K (Tables) 58: R32 Advances (Tables) HTML 133K 25: R33 Mortgage Loans Held for Portfolio (Tables) HTML 66K 103: R34 Allowance for Credit Losses (Tables) HTML 179K 70: R35 Derivatives and Hedging Activities (Tables) HTML 231K 73: R36 Deposits (Tables) HTML 47K 41: R37 Consolidated Obligations (Tables) HTML 132K 119: R38 Afforable Housing Program (Tables) HTML 49K 18: R39 Capital (Tables) HTML 159K 60: R40 Employer Retirement Plans (Tables) HTML 168K 109: R41 Fair Value Measurement (Tables) HTML 478K 38: R42 Transactions with Related Parties and other HTML 97K FHLBanks (Tables) 49: R43 Commitments and Contingencies (Tables) HTML 66K 54: R44 Summary of Significant Accounting Policies HTML 69K (Details) 64: R45 Cash and Due from Banks Notes (Details) HTML 36K 24: R46 Available-for-Sale Securities (Major Security HTML 66K Types) (Details) 45: R47 Available-for-Sale Securities (Securities HTML 42K Transferred) (Details) 20: R48 Available-for-Sale Securities (Narrative) HTML 68K (Details) 108: R49 Available-for-Sale Securities (Unrealized Losses) HTML 72K (Details) 37: R50 Available-for-Sale Securities (Redemption Terms) HTML 77K (Details) 104: R51 Available-for-Sale Securities (Interest-Rate HTML 40K Payment Terms) (Details) 42: R52 Held-to-Maturity Securities (Major Security Types) HTML 93K (Details) 61: R53 Held-to-Maturity Securities (Narrative) (Details) HTML 55K 19: R54 Held-to-Maturity Securities (Unrealized Losses) HTML 80K (Details) 22: R55 Held-to-Maturity Securities (Redemption Terms) HTML 89K (Details) 53: R56 Held-to-Maturity Securities (Interest-Rate Payment HTML 42K Terms) (Details) 29: R57 Investment Credit Risk and Assessment for OTTI HTML 55K (Narrative) (Details) 113: R58 Investment Credit Risk and Assessment for OTTI HTML 48K (Projected Home Price Recovery) (Details) 68: R59 Investment Credit Risk and Assessment for OTTI HTML 60K (Significant Inputs Used to Measure Credit Losses) (Details) 93: R60 Investment Credit Risk and Assessment for OTTI HTML 43K (Summary of OTTI Charges Recorded on PLMBS) (Details) 44: R61 Investment Credit Risk and Assessment for OTTI HTML 54K (Credit Loss Rollforward) (Details) 47: R62 Advances (Narrative) (Details) HTML 66K 101: R63 Advances (Term-to-Maturity and Weighted-Average HTML 76K Interest Rate) (Details) 97: R64 Advances (Advances by Next Put/Convert Date) HTML 49K (Details) 71: R65 Advances (Interest-Rate Payment Terms) (Details) HTML 46K 100: R66 Advances (Prepayment Fees) (Details) HTML 40K 43: R67 Mortgage Loans Held for Portfolio (Details) HTML 65K 76: R68 Mortgage Loans Held for Portfolio (Narrative) HTML 44K (Details) 115: R69 Allowance for Credit Losses (Lender Risk Account) HTML 43K (Details) 21: R70 Allowance for Credit Losses (Allowance for Credit HTML 66K Losses on Mortgage Loans Held for Portfolio) (Details) 35: R71 Allowance for Credit Losses (Credit Quality HTML 85K Indicators) (Details) 62: R72 Allowance for Credit Losses (Narrative) (Details) HTML 57K 27: R73 Allowance for Credit Losses (Troubled Debt HTML 40K Restructurings) (Details) 118: R74 Derivatives and Hedging Activities (Derivatives in HTML 90K Statement of Condition) (Details) 39: R75 Derivatives and Hedging Activities (Derivatives in HTML 54K Statement of Income) (Details) 30: R76 Derivatives and Hedging Activities (Derivatives in HTML 64K Statement of Income and Impact on Interest) (Details) 34: R77 Derivatives and Hedging Activities (Credit Risk HTML 65K Exposure) (Details) 23: R78 Deposits (Details) HTML 47K 26: R79 Consolidated Obligations (Consolidated Obligation HTML 94K Bonds) (Details) 84: R80 Consolidated Obligations (Consolidated Obligation HTML 45K Discount Notes) (Details) 32: R81 Consolidated Obligations (Narrative) (Details) HTML 58K 114: R82 Afforable Housing Program (Details) HTML 49K 59: R83 Refcorp (Details) HTML 38K 91: R84 Capital (Capital Stock by Class) (Details) HTML 68K 99: R85 Capital (Capital Stock Activity and Dividends) HTML 75K (Details) 31: R86 Capital (Capital Requirements and Capital HTML 57K Concentration) (Details) 33: R87 Capital (Mandatorily Redeemable Capital Stock) HTML 71K (Details) 111: R88 Capital (Accumulated Other Comprehensive Loss) HTML 60K (Details) 28: R89 Capital (Joint Capital Enhancement Agreement and HTML 47K Amendment) (Details) 85: R90 Employer Retirement Plans (Details) HTML 203K 81: R91 Employer Retirement Plans Narratives (Details) HTML 84K 102: R92 Fair Value Measurement (Fair Value Summary) HTML 169K (Details) 80: R93 Fair Value Measurement (Valuation Techniques and HTML 61K Significant Inputs) (Details) 67: R94 Fair Value Measurement (Fair Value on a Recurring HTML 125K and NonRecurring Basis) (Details) 107: R95 Fair Value Measurement (Level 3) (Details) HTML 60K 65: R96 Fair Value Measurement (Consolidated Obligation HTML 49K Bonds on Which Fair Value Option Has Been Elected) (Details) 40: R97 Fair Value Measurement (Fair Value Option) HTML 56K (Details) 74: R98 Transactions with Related Parties and other HTML 155K FHLBanks (Details) 69: R99 Commitments and Contingencies (Details) HTML 98K 52: R100 Federal Home Loan Bank Advances, Fixed Rate HTML 37K Maturity Period (Details) 117: XML IDEA XML File -- Filing Summary XML 186K 48: EXCEL IDEA Workbook of Financial Reports (.xls) XLS 5.51M 11: EX-101.INS XBRL Instance -- fhlbsea-20121231 XML 8.11M 13: EX-101.CAL XBRL Calculations -- fhlbsea-20121231_cal XML 447K 14: EX-101.DEF XBRL Definitions -- fhlbsea-20121231_def XML 1.71M 15: EX-101.LAB XBRL Labels -- fhlbsea-20121231_lab XML 3.30M 16: EX-101.PRE XBRL Presentations -- fhlbsea-20121231_pre XML 2.01M 12: EX-101.SCH XBRL Schema -- fhlbsea-20121231 XSD 404K 98: ZIP XBRL Zipped Folder -- 0001329701-13-000037-xbrl Zip 640K
Download this zipped .zip folder. | |
Files: | fhlbsea-20121231.xml fhlbsea-20121231_cal.xml fhlbsea-20121231_def.xml fhlbsea-20121231_lab.xml fhlbsea-20121231_pre.xml fhlbsea-20121231.xsd |
As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 6/20/13 SEC UPLOAD¶ 9/12/17 1:36K Federal Home Loan Bank of Seattle 6/11/13 SEC UPLOAD¶ 9/12/17 1:151K Federal Home Loan Bank of Seattle |