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/ BOARD OF GOVERNORS OF THE FEDERAL $ $ & R V E SYSTEM G.7 N. (For Immediate Release^ J ^ X I 3 K - A ■ *^-«toly p , 19b9 ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 2 9 ^ 191*9 (Partly estimated. In millions o'^lellars) ................................................................. “ A i r - “ ..— com All Central reserve Reserve Item Country banks* mercial Total city banks city banks banks* New York(Chicago 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 & 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 # 133,760 113,660 95,21*7 19,071 U, 797 35,018 36,361 1*7,250 71*,650 11,860 la, 200 63,000 9,1*60 31*, 736 52,812 7,699 7,822 10,116 1,133 1,562 2,822 1*13 13,359 18,966 2,693 11,993 20,908 3,1*60 31*, 11*0 33,31*0 29,1*33 6,698 1,689 11,253 9,793 17,950 2,360 8,690 5,11*0 17,950 2,250 8,020 5,120 17,91*7 1,679 1*,817 1*, 990 1*,902 137 63 1,596 1,192 29 133 335 6,712 526 1,670 2,31*5 5,iia 987 2,951 71U 1,900 1,700 1,1*72 376 1*5 580 1*71 169,800 11*8,700 126,152 26,11*5 6,531 1*6,851 1*6,625 86,267 29,361 21,189 1,781 1*,975 1,053 31,781 11,61*3 28,322 11*, 884 155,210 136,260 115,628 22,970 6,028 1*3,1*21* 1*3,206 99,570 55,61*0 99,550 36,710 10,61*0 2,150 87,290 55,130 10,61*0 2,150 87,270 36,200 10,096 1,883 71*,578 29,071 3,805 526 16,971* 1,665 1,008 ll*6 3,821* 1,050 1*,523 691 26,673 11,537 760 520 27,10? 11*, 819 320 320 285 203 mqmm 38 1,500 1,1*10 10,710 1,262 61*1* 2,328 la 1*62 1*1* 396 26,11*5 6,531 12,770 8,977 169,800 11*8,700 126,152 ..... i Figures have been rounded to nearest 10 million. j 2,987 181 3,200 1*6,851 1*6,625 BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) G.7(a) July 29, 1 9h9 CHANGES IN ASSETS AND LIABILITIES OF ALL B A M S IN THE UNITED STATES, MAY 25 TO JUNE 29, 19h9 Item ASSETS (Partly estimated. In millions of dollars) ' All Member Banks com All Central reserve Reserve banks* mercial Total city city banks banks* Mew York Chicago banks ■ 1| + 310 + + + 390 230 150 + + 320 220 120 - + + + + h90 10 hO 80 380 + + + + U20 10 30 20 380 - 160 - + Gross demand deposits Gross time deposits + + TOTAL DEPOSITS Loans and investments + 283 + 266 105 122 + + + 22h 123 56 + — + + + 1*22 + + + + + 100 - ~ h2 61*0 + Sko + 85 620 + 360 290 + + 360 150 + + h2h lljO + 650 + 510 + + + + 210 230 30 21*0 + + + 210 230 30 100 + + Borrowings Other liabilities Total capital accounts + 20 60 70 - 20 + Total liabilities and capital + 6h0 + 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 220 lh 20 Country banks 35 + 66 - 7 9 19 _ + + 25 18 73 + — + 7h 237 12 527 + 50 137 9 9 372 91 83 6 111 16 - + •f _ _ + - + — + 6h 97 15 i 19 h03 151 _ + 29 2 18 1 — 32 — t 888 + 3 12 - 57 - 223 + + 683 62 + + 3h 9 _ + 99 73 - 19ii h 561* + 7ii5 + h3 - 26 - 198 + + + + 105 19U 36h 62 + 27 21 13 8 + + — + 58 58 178 36 ■ f — + 196 191 75 102 6 82 118 h 50 + + + 15 3 38 + + + 129 12 2 — + 39 1 9 — _ + la 5 15 5ho + 620 + 888 + 12 - 57 ho 376 LIABILITIES & CAPITAL Deposits of banks U.S.Govt, deposits Other demand deposits Other time deposits * Figures have been rounded to nearest 10 million. — 3h 3 12 223 BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM G.7(b) (For Immediate Release) July 29, 19l*9 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 30, 191*8 TO JUNE 29, 191*9 Item (Partly estimated. In millions of dollars) AllMember bank's All com Central reserve Reserve banks mercial Total city city banks banks New Y o r k 1Chicago banks ASSETS Loans and investments Loans and discounts U.S.Govt, obligations Other securities + 679 - 195 - 202 + — 262 _ + 11* 256 223 + — - 759 981* 37 1*76 257 250 5 189 51*1 + + — - + + - 37 1*8 1 20 66 + + — 73 - 79 + h + 1 + 1 -1,099 -1,115 - 127 4* 22 - 522 - 518 -2,316 + 1*92 -1,821* 1*82 90 + 113 102 _ + - 681 16 -1,11*3 -2,1*35 + 553 -1,882 - 392 - 11 - 697 - 796 30 -1, 1*591 +1,11*2 - 796 28 -1,1*65 + 1*06 - — + + 222 179 352 3 _ + + 60 20 6 1*10 21 + + 25U 108 + + 251* + 105 + 177 22 + + 529 + 1+23 232 + 91* 353 + 66 - 252 -1,099 - 127 + — + - 860 - 828 - 870 + + - 591* 165 705 911* + + - 595 11*7 653 918 + + - 591 73 625 909 - 70 - 76 - - 252 Gross demand deposits Gross time deposits -2,1*32 +1,289 TOTAL DEPOSITS Total assets 1*7 - 100 + 19 •f 15 + h - 138 + 865 -1,327 + 260 Other assets 1I + +1,335 -1,798 + 268 Reserve with FR Banks Cash in vault Balances with banks Cash items + — Country banks 55 152 155 52 +2,151 -2,121* + 652 Reserves, cash, and bank balances 52 ™ 272 21*2 23 - - 275 53 1*20 161*' LIABILITIES & CAPITAL Deposits of banks U.S.Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities Total capital accounts Total liabilities and capital 737 61* -1,373 + 350 + 1 -1,11*5 — 69 ho 82 100 -1,0^0 + 316 - 725 - + + + 386 78 529 268 + + + Ihh - 518 •f 6 26 + 1*1 1*1* 117 + 22 - 522 - 111 22 BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) G.7(c) * • July 29, 19U9 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency F u n d s V (Partly estimated. Item In billions Of dollars) June May June 29, 191*9 25, 191+9 30, 191+8 Change to June 29, 19U9 From From May 2 5,19U9 June 30,19U8 ASSETS Monetary reserve Gold stock Treasury currency Bank credit Loans, net U. S. Govt, obligations 29.1 2U;5 U.6 28.9 2i+;3 1+.6 28,1 23.5 U.6 + •2 + •2 -- +1,0 +1.0 -- 156.3 158.0 186.1 + •1 + •u - Ai - .2 - •2 — + *2 + #3 -1 .7 +l;8 185.1+ 156,2 1+6,7 97.8 7U.9 19; 7 3.2 lit 7 185.1 165.6 25.0 82.2 55.1 3.3 165,7 25:0 82;6 51+. 9 3.3 165,7 25;6 82.7 5U.0 3.U 2.6 2.2 .5 1 .9 1.3 U.l ll+.O 2.6 1 .9 .7 1.8 1;3 13.7 185.1+ 185.1 1+7.1 97. U 7b. 7 19;5 3.2 lit 9 Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net U5.3 101.5 76.8 21. U 3.3 11.2 -U.l -2 ,1 -1 .9 - .1 + *7 - .7 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous accts,net Total liabilities and capital, net i * 1/ ” 2.2 1 .9 1 .7 1.3 13.2 186.1 __ ____ •1 - ,u + ,2 -- - ,1 - ;6 - ;5 +l;l - .1 -+ .3 - .2 + .1 -+ ,3 + ,8 .3 - .7 -1 .5 - l tU + .2 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.