Home » Publications » Banking and Monetary Statistics 1941-1970
Banking and Monetary Statistics 1941-1970
This publication was designed by the Board of Governors of the Federal Reserve System to be a convenient reference source for banking and monetary statistics that previously appeared in the BoardÂ’s annual reports and in the monthly Federal Reserve Bulletin. The statistics included relate primarily to the operations of the Federal Reserve System, but also include data on the condition and operation of all banks. There are also statistics on nonbank financial institutions, currency, money rates, securities markets, Treasury finance, consumer credit, gold, and international financial developments.
Available Files
In some instances, pages are assembled into collections with pages of the same title that appear in later issues of the publication.
Pages may be retrieved either for a specific year or in a collection.
View by: Alphabetical | Subject List
Acceptances by Class of Paper Held by All Federal Reserve Banks Combined, 1937-70
All Member Banks, Call Dates, 1939-70
Assets and Liabilities
Assets and Savings Accounts of Credit Unions, Annually and Monthly, 1934-70
Assets of Private and Public Pension Funds, by Type of Fund, Annually, 1950-70
Bank Debits and Deposit Turnover, 1943-64
Bank Debits by Federal Reserve District and by Reporting Center or SMSA, Annually, 1941-70
Bank Debits, Deposits, and Deposit Turnover, 1964-70
Bank Debits to Demand Deposit Accounts, Except Interbank and U.S. Government, at All Reporting Centers, by Federal Reserve District, Annually, 1943-70
Banking Offices and Deposits of Banks in Holding Company Groups, Annually, 1956-70
Bank Rates on Business Loans, Quarterly, 1967-70
Bank Rates on Short-Term Business Loans
Basic Yields of Corporate Bonds, by Term to Maturity, 1941-70
Bond Prices, by Type of Security, 1941-70
Bond Yields, by Type of Security
Changes in Central Reserve and Reserve City Designations, 1914-70
Changes in Reporting Banks
Changes in the Number of Commercial Banks, by Class of Bank and by Character of Change, 1941-70
Commercial and Finance Company Paper and Bankers Acceptances Outstanding, 1948-70
Commercial and Industrial Loans, by Industry
Commercial Bank Suspensions - Number and Deposits, By Class of Bank, 1941-70
Commercial Paper and Bankers Acceptances Outstanding, 1941-52
Country Member Banks, Call Dates, 1939-70
Debt of Federally Owned Agencies and Government-Sponsored Corporations, Monthly, 1940-70
Denominations of Currency in Circulation, 1941-70
Deposits, Federal Reserve Note Liabilities, Reserves, and Reserve Ratio of All Federal Reserve Banks Combined, 1941-68
Deposits, U.S. Government Securities, and Gold Held at Federal Reserve Banks for Foreigners, End of Year, 1945-51; End of Month, 1952-70
Detailed Debit and Credit Balances and Related Items of Member Firms of the New York Stock Exchange and the American Stock Exchange Carrying Margin Accounts, 1968-70
Detailed Debit and Credit Balances and Related Items of Member Firms of the New York Stock Exchange Carrying Margin Accounts, 1942-67
Discounts and Advances Held by All Federal Reserve Banks Combined, 1937-70
Earnings and Expenses of Federal Reserve Banks
Effective Rate on Federal Funds
Equity Status of Margin Account Debt at Brokers, Monthly, 1966-70
Estimated Foreign Holdings of Marketable U.S. Government Bonds and Notes, End of Quarter 1949-70
Federal Reserve Bank Discount Rates on Advances to Others Than Member Banks Secured by Direct Securities of the United States
Federal Reserve Bank Discount Rates on Loans to Member Banks
Federal Reserve Bank Rates on Industrial Loans and Commitments, 1941-59
Federal Reserve Notes: Amounts Outstanding and Collateral
Fiscal Operations--U.S. Budget
Foreign Exchange Rates, by Country, Annually and Monthly, 1941-70
Gold Reserves of Central Banks and Governments, End of Quarter, 1945-70
Industrial Loans of All Federal Reserve Banks Combined
Instalment Credit Extended and Repaid, by Major Holders
Instalment Credit Extended and Repaid, by Type of Credit
Instalment Credit Outstanding, by Major Holders, 1919-70
Insured Commercial Bank Income, Expenses, and Dividends, 1941-70
Insured Commercial Banks, June and December Call Dates, 1939-70
Insured Mutual Savings Banks, June and December Call Dates, 1939-70
Kinds of Currency in Circulation, 1941-70
Liabilities of U.S. Banks to Their Foreign Branches, Wednesday Dates, 1962-70
Life Insurance Companies: Assets, Annually and Monthly, 1945-70
Liquid Asset Holdings of Private Domestic Nonfinancial Investors, Monthly, 1948-70
Loans and Investments at Commercial Banks, Monthly, 1948-70
Long-Term Claims on Foreigners Reported by Banks in the United States, Varying Dates, 1942-70
Long-Term Claims on Foreigners Reported by Nonbanking Concerns, by Country or Area, End of Year, 1946-60; End of Quarter, 1961-70
Long-Term Liabilities to Foreigners Reported by Banks in the United States, End of Month, 1962-70
Long-Term Liabilities to Foreigners Reported by Nonbanking Concerns, by Country or Area, End of Year, 1946-60; End of Quarter, 1961-70
Margin Requirements, 1934
Maximum Rates Established by the Board of Governors
Member Bank Deposits Subject to Reserve Requirements, 1929-70
Member Bank Income, Expenses, and Dividends, 1941-70; and by Class of Bank, 1970
Member Bank Income, Expenses, and Dividends, by Class of Bank, 1945, 1955, and 1965
Member Bank Income, Expenses, and Dividends, by Federal Reserve District, 1970
Member Bank Income, Expenses, and Dividends, by Size of Bank, 1970
Member Bank Income Ratios, 1941-70; and by Class of Bank, 1970
Member Bank Income Ratios, by Class of Bank, 1945, 1955, and 1965
Member Bank Income Ratios, by Federal Reserve District, 1970
Member Bank Operating Ratios, by Federal Reserve District, 1970
Member Bank Operating Ratios by Ratio of Time to Total Deposits, by Size of Bank, 1970
Member Bank Operating Ratios, by Size of Bank and by Ratio of Time to Total Deposits, 1970
Member Bank Reserve Requirements, 1917-70
Member Bank Reserves, Reserve Bank Credit, And Related Items
Money Borrowed by Member Firms of the New York Stock Exchange, Monthly, 1941-63
Money Rates in Selected Foreign Countries, Monthly, 1941-70
Money Stock and Related Data, Monthly, 1947-70
Mutual Savings Banks: Assets and Liabilities, Annually and Monthly, 1945-70
Net Change in Consumer Credit Outstanding, by Major Types
Net Change In Outstanding Corporate Securities
Net Purchases or Sales by Foreigners of Long-Term Foreign Securities, by Area, Varying Periods, 1942-70
Net Purchases or Sales by Foreigners of U.S. Corporate Bonds, by Country, Varying Periods, 1950-70
Net Purchases or Sales by Foreigners of U. S. Corporate Stocks, by Country, Varying Periods, 1945-70
New Issues of State and Local Government Securities, Annually and Monthly, 1946-70
New Security Issues
Noninstalment Credit Outstanding--Major Types, by Major Holders, 1919-70
Nonmarketable U.S. Treasury Bonds and Notes Issued to Official Institutions of Foreign Countries, End of Month, 1962-70
Number and Deposits of Commercial and Mutual Savings Banks, by Class of Bank, June and December Call Dates, 1941-70
Number of Banks on the Par List and not on the Par List, by Federal Reserve District and by Class of Bank, 1941-70
Ownership of U.S. Government Marketable Securities by Maturity, Quarterly, March 1941-December 1970
Ownership of U.S. Government Public Debt, June and December, 1940-60; Quarterly, 1961-70
Price Indexes of Common Stocks: American Stock Exchange
Price Indexes of Common Stocks: New York Stock Exchange
Principal Assets and Liabilities of Each Federal Reserve Bank, 1941-70
Principal Assets, Liabilities, and Number of Commercial Banks, Varying Dates, 1941-70
Principal Assets, Liabilities, and Number of Mutual Savings Banks, June and December Call Dates, 1941-70
Purchases and Sales by Foreigners of Long-Term Securities, by Type, Varying Periods, 1942-70
Reserve City Member Banks--City of Chicago, Call Dates, 1939-70
Reserve City Member Banks--New York City, Call Dates, 1939-70
Reserve City Member Banks--Other, Call Dates, 1939-70
Reserves and Borrowings of Member Banks, by Class of Bank, Monthly Averages of Daily Figures, 1929-70
Savings and Loan Associations: Assets and Liabilities, Varying Dates, 1945-70
Short-Term Claims on Foreigners Reported by Banks in the United States, by Country, End of Quarter, 1942-60; End of Month, 1961-70
Short-Term Claims on Foreigners Reported by Banks in the United States, by Type, End of Quarter, 1942-60; End of Month, 1961-70
Short-Term Claims on Foreigners Reported by Nonbanking Concerns, by Country, End of Year, 1949-60: End of Quarter, 1961-70
Short-Term Liabilities to and Claims on Foreigners Reported by Nonbanking Concerns, by Type, End of Year, 1946-60; End of Quarter, 1961-70
Short-Term Liabilities to Foreigners Reported by Banks in the United States, By Country, End of Quarter, 1942-60; End of Month, 1961-70
Short-Term Liabilities to Foreigners Reported by Banks in the United States, by Type, Varying Dates, 1942-70
Short-Term Liabilities to Foreigners Reported by Nonbanking Concerns, by Country, End of Year, 1949-60; End of Quarter, 1961-70
Short-Term Liquid Claims on Foreigners Reported by Nonbanking Concerns, End of Year, 1966-67; End of Month, 1968-70
Short-Term Open Market Rates in New York City
Special Miscellaneous-Account Balances at Brokers, by Equity Status of Accounts, Monthly, 1966-70
Statement of Condition of the Federal Reserve Banks
Stock Market Credit- Series for 1938-67, Monthly
Stock Market Credit- Series for 1966-70, Monthly
Stock Price Indexes: Standard and Poor's Corporation
Stock Yields, 1926-70
Summary of Changes in Offices of Commercial Banks and Nondeposit Trust Companies, By State, Annually, 1941-70
Term Commercial and Industrial Loans Outstanding at Large Commercial
Text - Bank Debits
Text - Bank Income
Text - Banks and Bank Holding Companies
Text - Bank Suspensions
Text - Consumer Credit
Text - Currency
Text - Federal Reserve Banks
Text - Gold
Text - Insured Banks
Text - International Finance
Text - Member Bank Reserve and Related Items
Text - Member Banks
Text - Monetary System - Summary Measures
Text - Money Rates and Securities Markets
Text - US Government Finance
Text - Weekly Reporting Banks
Total Consumer Credit Outstanding, by Major Types, 1919-70
Trading in Stocks on the New York Stock Exchange: Round-Lot Volume
Trading in Stocks on the New York Stock Exchange: Total Volume and Value, Annually and Monthly, 1941-70
Types of Assets Held by Private Noninsured Pension Funds, Annually, 1950-70
Types of Instalment Credit Extended and Repaid, by Major Holders
Types of Instalment Credit Held by Major Lenders
U.S. Government Debt--Volume and Kind of Direct Securities, Monthly, 1940-70
U.S. Government Securities Held by All Federal Reserve Banks Combined
U.S. Liquid and Nonliquid Liabilities to Foreign Official Institutions, and Liquid Liabilities to All Other Foreigners, Varying Dates, 1949-70
U.S. Liquid and Nonliquid Liabilities to Official Institutions of Foreign Countries, by Area, End of Month, 1963-70
U.S. Net Monetary Gold Transactions with Foreign Countries and International Organizations, Annually, 1945-70; Quarterly, 1950-70
U.S. Reserve Assets, End of Month, 1942-70
Volume of Operations in Principal Departments of All Federal Reserve Banks Combined, 1941-70
Yields on Aaa Utility Bonds
Yields on Short-Term U.S. Government Taxable Securities
|