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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.