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¥ BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) August 29, 191*9 ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JULY 27, 191*9 ________________(Partly estimated. In millions of dollars) All Member banks 1 All com Central reserve Reserve Item banks* mercial Total city banks city banks* banks New York(Chicago ASSETS Loans and investments 135,010 111*, 71*0 96,266 18,926 l*,9l*2 35,817 Loans and discounts 1*6,580 1*0,1*10 33,933 7,060 13,328 1,523 U.S.Govt, obligations 76,170 61*,51iO 51*,319 10,589 19,680 2,985 Other securities 12,260 9,790 8,011* 1,277 1*31* 2,809 Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets Total assets 33,630 32,800 28,862 17,1*30 2,370 8,990 14,81*0 17,1*30 2,260 8,290 1,820 17,1*30 1,687 5,051 1,920 1,750 it, 691* 6,1*1*8 1*,970 1,687 1,181 10,951 6,1*11* 130 27 530 55 1,293 127 352 1,650 2,357 Country banks 36,581 12,022 21,065 3,1*91* 9,776 i*,865 1,000 3,219 692 1,513 170,560 11*9,290 126,61*1 382 1*6 596 1*89 25,756 6,675 1*7,361* 1*6,81*6 100,000 99,980 86,616 55,780 36,670 29,300 155,780 136,650 115,916 20,71*9 1,717 22,1*66 5,056 1,060 6,116 32,295 11,613 1*3,908 28,516 Hi, 910 1*3,1*26 88,070 36,170 10,378 1,319 75,210 29,009 3,856 369 16,61*0 1,601 1,061 81 3,917 1,057 1*,686 516 27,200 11,506 775 353 27,1*53 11*, 81*5 51*0 51*0 1,1*00 1,31*0 12,81*0 10,760 511* 1,193 9,018 31*1* 610 2,336 59 ill 1*59 81 371 3,001* 30 171 3,219 6,675 1*7,361* 1*6,81*6 LIABILITIES & CAPITAL Gross demand deposits Gross time, deposits TOTAL DEPOSITS Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities Total capital accounts Total liabilities and capital ... * _ . 10,930 1,1*80 88,090 55,280 10,930 1,1*80 170,560 :11*9,290 :i 26,61*1 1 25,756 Figures have been rounded to nearest 10 million. BOARD OF GOVERNORS OF THE FEDEEAL RESERVE SYSTEM August 29, 19U9 (For Immediate Release) G.7(a) CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 29, TO JULY 27, 19U9 Total +1,250 +1, O O Item Member banks Reserve Central reserve city city banks banks New Yorkjehicago All com All banks* mercial banks* 4-1j,019 _ 670 +1.520 + I4OO 790 +1,5140 + 330 803 +1,507 + 315 510 5140 520 10 270 571 ASSETS Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets Total assets «■* + 520 10 4* 300 4- + 300 300 - OO Loans and investments Loans and discounts U.S.Govt. obligations Other securities _ + 517 8 23U - 296 + 1U5 + 762 - 4- U73 4H 4I4 + + 1U5 39 163 21 250 68 7 8 303 _ 2 - 4* - + 799 + + 31 71U 116 - 302 298| Country banks + + + + - 44* 20 12 + + 11 2 6 17 1 + 16 + - - U + 220 29 157 3U 17 276 13 268 22 1$ 221 + 20 + 50 + iil + 6 + 4“ 760 4- 590 + U89 - 389 + II4I4 + 513 + 4— U30 UO + — 5114 30 + + 81 7 + - UUO 6I4 + - 3h9 61 + 1914 26 288 - 5oU + 88 4* I48I4 + 220 + - 30 — 163 175 527 31 + + + 53 65 93 7 4- - 51 157 33U 6U + - + - 282 56U 632 62 4- 15 167 3I46 26 220 + 229 + lUl + 59 + 37 - 0 - 69 4* 25 17 10 Ul + - + 3U 8 4- 19 + 1489 - 389 4* 513 4- 221 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 4* + U30 1)4o TOTAL DEPOSITS + 570 + 390 + 4- 290 670 4* 290 670 800 + Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities Total capital accounts Total liabilities and capital * 4* 800 + 150 + - 4* 220 4- 100 — 4* 70 4* 70 50 4* 760 + 590 Figures have been rounded to nearest 10 million. 4* — - + 3 1 I4I4 ,1 .-. — 4- BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) August 29, 191*9 G.7(b) CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JULY 28, 191*8 TO JULY 27, 191*9 (Partly estimated. In millions of dollars) Member banks All com Central reserve Reserve AH banks* mercial Total city banks city banks banks’ **" New York|Chicago Item Country banks ASSETS Loans and investments Loans and discounts U.S.Govt, obligations Other securities Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets Total assets LIABILITIES & + 920 - 20 + 53 - «*» 368 +1 ,11*0 + -1,150 + 930 + 770 1*80 1*63 + + - 31*0 - 70 70 l*l*0 i - 51*5 70 67 50 4* 16 90 — 155 330 - 339 4- - - 120 1*60 - + 10 330 + - 270 — - 151* 256 91 4* 4» + 115 + + 17 65 + 162 - 1* 1*1* — - - - 4* 355 230 262 — + 71* 4* 251 ; + 695 327 -1 ,007 279 5 17 13 — 1 6 - 23 - 1*36 102 25 - 317 109 — 1*3 + 1*2 21*3 - 7 — 11 71* - 1*37 66 79 29 90 - 81 _ 78 + 1 550 - 573 - 152 + 90 — + 108 — 539 115 4- 318 — + 607 50 - 221 - 557 -p- 205 - 157 4277 136 + + 1*7 556 + - CAPITAL Gross demand deposits Gross time deposits -1,81*0 +1,530 -1,81*0 + 610 -1 ,719 507 4- 1*65 21* TOTAL DEPOSITS - -1 ,230 ,212 - 1*1*1 + 7 — + - 100 2 — + 30 37 310 + - 360 ! - 920 ! - 1*30 ; + 1 ,1*00 — + 360 920 1*30 1*80 — + 313 796 1*70 367 Borrowings + + - + 250 + 10 + 273 Other liabilities 250 20 5 • Total capital accounts + 51*0 + 1*20 + 361 Total liabilities and capital + 1*60 550 - 573 Deposits of banks 0* S, Govt.deposits Other demand deposits Other time deposits * - 106 - 68 1*0 111* 2 1*1* 51* 4* 10 - 28 18 + + 2 + 13 + 8 + 70 + 27 4- 121* + 11*0 - 152 + 90 - 71* - 1*37 237 Figures have been rounded to nearest 10 million. 275 BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM G.7(c) (For Immediate Release) August 29, 1 9h9 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MQ1ETARY SYSTEM* All cpmmercial, Savings, and ftederal Reserve Banks, the Postal Savings System, and Treasury Currency Funds!/ (Partly estimated. Item In billions of dollars) Change to July 27, 19U9 July July June From From 28, 29, 27, June 30, June 29, 19U8 19U9 19U9 19U8 19U9 ASSETS 29.1 29.1 28,2 21; 5 U.6 2U.5 U.6 23;7 U.6 156,6 156.3 158,6 + *3 - 2,0 Loans, net U. S. Govt, obligations U6.5 97.9 U7.1 97,U U5.5 101,8 - .6 + ,5 + 1;0 - 3*9 Commercial and savings banks Federal Reserve Banks Other Other securities 76.2 18.5 3.2 12.3 7U.7 19,5 3.2 11.9 77.3 21.2 3.3 11.3 + 1.5 - 1,0 — 185.7 185.U Total deposits adjusted and currency outside banks 166.7 •Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits Monetary reserve Gold stock Treasury currency Bank credit Total assets, net -“ + *9 + .8 —— + .U - l;l - 2.7 - .1 + 1,0 186.9 + *3 - 1.2 165.6 166.0 + 1.1 2U.9 83.3 55.3 3.3 25.0 82.2 55.1 3.3 25,5 83.3 53.9 3.U - .1 + l.l + ,2 — + .7 - .6 -i. + l.U - .1 1.9 2.6 U.2 - .7 - 2.3 1.5 .U 2.2 ,5 2.U 1,8 - .7 - .1 - .9 - l.U 1.7 1.3 1.9 1.3 1.8 1.3 - .2 — - .1 — lU.l 1U.0 13.5 + .1 + 185.7 185. U 186.9 + *3 - 1.2 LIABILITIES AND CAPITAL U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous accounts, net Total liabilities and capital, net * 1/ .6 For description of statement, see January 19U8 Bulletin, pp. 2U-32 and corre^ sponding table in current Bulletin, Figures may not add to total because of rounding. Treasury funds included are gold account, Treasury currency account, and Exchange Stabilization Fund.