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p/us** "!i % J ( OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM June 27, 19l*9 '7-^ (For Immediate Release) G*7 ' • V v- , ^ '-ASSETS AT® 'LJABI lj[TIES OF ALL BANKS IN THE UNITED STATES, MAY 25, 19ll9 C iJ /n if l-l Item • 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 I• _1 T-._ _J 1 1 4 la_.Lucu# j. All com AM ba iks* mercial Total banks* M /-3/0 1 OV»C! ^ Member banks Reserve Central reserve city city banks banks New York[Chicago 18,668 Country banks 3U,952 36,512 13,381* 18,91*8 2,620 11,919 21,11*5 3,1*1*8 In ',860 7u ,880 11,710 J,.0,880 63,220 9,3U0 3U,U70 52,917 7,577 7,598 9,993 1,077 M32 1,569 2,831 1*32 33,650 17,960 2,320 8,610 U, 760 32,920 17,960 2,220 8,000 U, 7U0 29,011 6,171 1,639 11,31*1* 17,961 1,655 U >777 l*,6ll* 1*,765 128 51* 1,221* 1,163 27 115 33U 6,795 532 1,656 2,361 9,857 5,238 972 2,952 695 2,060 1,800 1,557 HL8 1*8 612 1*79 169,160 11*8,160 125,532 25,257 6,519 1*6,908 1*6,81*8 85,81*3 29,221 20,506 1,719 U,9Ul 1,0W* 31,880 11,570 28,516 11*, 888 15U,560 135,750 115,061* 22,225 5,985 1*3,1*50 1*3,1*01* 10 ,1*30 10,U30 1,920 87,320 5U,890 1,920 87,300 36,100 9,900 1,692 7k,503 28,969 3,700 332 16,590 1,603 981 125 3,837 1,01*2 1*,1*65 633 26,851 11,501 751* 602 27,225 11*, 823 31*0 1,560 31*0 1,1*10 270 39 1*2 85 1*01 72 1,259 12,700 10,660 8,939 7h 632 2,326 1*53 2,972 181* 3,188 6,519 1*6,908 1*6,81*8 13.',1*50 113,Uioj 9h,96h 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 99,210 55,33) 99,190 36,560 169,160 11*8,160 125,532 25,257 i i.... . < *- Figures have been rounded to nearest 10 million. BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM June 27, 191*9 (For Immediate Release) 0.7(a) CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, APRIL 27 TO MA3t 25, 191*9 (Partly estimated* Item In millions of dollars) Member banks — n r ~ Reserve Central reserve com All city city banks banks* mercial Total banks kew York[Chicago banks* 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 971 + 351* + 163 + 31U + — 385 +1 ,273 + 83 + + - 3 367 16 — + + 31* 180 17 - 256 + 98 + 221* 4* 11* -1 ,129 _ 998 21 + 11*0 - 250 - 528 - 76 - 3hh - 393 2 2 131 — + - 59 1 11* 1* — 289 6 52 101 1* + 15 */■ 5 +1 ,010 — 370 +1,250 + 130 + 930 — UUo +1 ,270 + 100 + -1 ,110 -1 ,110 -1 ,000 — 30 + 170 - 250 -1 ,000 30 + 170 - 250 + 50 + - 50 - il*o 250 — + 250 90 + - 160 + + 502 68 { L + — 11*0 181 257 11* 101* ll* l*o + 36 + 22 - 122 - 152 + 91 - 15 - 1*6 + 213 71* 139 + + 37 18 - 29 6 + 1*2 3 1*5 + - 237 89 11*8 - 19 - 35 120 180 110 10 + + 135 131* 150 1 + + - 31* 21* 197 — + + + 22 27 1*8 2 + 88 70 50 13 + — 9 61 1*9 ll* + 32 1*8 + 35 12 + + 37 1 •f 2h 29 + 10 6 + 10 + 10 + 8 - 1 + 91 - 15 * 50 - 11*0 - 122 - 152 i L_ Figures have been rounded to nearest 10 million, r/ April 27 figures have been revised. Other assets Total assets LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + TOTAL DEPOSITS - 150 100 + + 120 180 110 70 Deposits of banks U.S.Govt, deposits Other demand deposits Other time deposits — Borrowings Other liabilities + 1*0 70 + 1*0 50 Total capital accounts + 20 + 10 Total liabilities and capital - - + 7 H - 1*6 BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM G.7(b) (For Immediate Release) June 27, 191*9 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MAY 26, 191*8 TO MAY 25, 191*9 Item (Partly estimated. In millions of dollars) Member banks "All Reserve com Central reserve All city mercial Total banks* city banks banks New York Chicago banks* 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 21*0 -1,130 -1 ,088 - 762 + +2,180 -2,990 + 570 +1,360 -2,650 + 160 + 856 -2,138 + 191* + - 170 926 6 + + + 1*02 - - 710 71*0 — 11*1 4* 169 + 37 + 302 191 + 831 -1,079 28 77 + 8 + 11*9 + 322 65 115 h - 276 + 1,070 + 50 + 110 - 520 +1 ,070 •f 1*0 + 150 520 +1 ,072 + 15 - 157 - 528 + + - 195 8 2 266 + — - 68 1 17 1*2 358 7 19 183 + - - U51 31 123 37 - 20 - - — — 1 - 7 - 11 + [*5o - 17 856 72 + 27 + 35 30 1*20 - 36 722 - LIABILITIES'& CAPITAL Gross demand deposits Gross time deposits -1,520 -1,520 +1 ,1*1*0 + 720 -1,589 + 601* -1 ,023 + 156 — + 82 121 TOTAL DEPOSITS - Deposits of banks U.S.Govt, deposits Other demand deposits Other time deposits 352 •f 298 - 132 4* 29 - 800 - 985 - 867 + 39 - 51* - 103 - 210 _ - 1*30 - 780 +1,31|0 + ao 207 389 892 503 _ + 110 23 798 61* + + 26 9 65 121 + 1*7 128 17h 295 — + + 21* 21*7 780 620 _ + 11*5 23 80 1*30 Borrowings + 30 + 30 - 8 - 1*6 + 12 + 17 + 9 Other liabilities + 20 - 20 30 - 8 + 1 •f 10 + Ii8oj + 370 301 + 65 + 20 + 33 Total capital accounts + 97 + 119 Total liabilities and capital + ! li5o! - 1*20 - 722 - 856 + 72 + 27 + 35 #■ Figures have been rounded to nearest 10 million. BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM G.7(c) (For Immediate Release) June 27, 19U9 CONSOLIDATED CONDITION STATEMENT FOR B A M S AMD THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds!/ (Partly estimated. Item ASSETS Monetary reserve In billions of dollars) May April May Change to May 25, 19U9 26, From From 25, ' 27, May 26,19U8 19U8 191*9 Apr.27,19U9 19U9 28,9 ; 28.9 27.9 2lu3 U.6 2U;3 U.6 23.3 U.6 156.2 156.8 157.6 Loans, net U. S. Govt, obligations U6.7 97,8 U7.1 98,1 Commercial and savings banks Federal Reserve Banks Other Other securities 7U.9 19.7 3.2 11.7 Gold stock Treasury currency Bank credit Total assets, net +1.0 — +1.0 — UU.7 101.8 - ,6 — .U - .3 +2;0 -U.o 73.6 21.2 3.3 11.6 77.9 20.6 3.3 11.1 +1-.3 -1.5 - .1 + .1 -3.0 - .9 - .1 + .6 185.1 185.7 185.5 - .6 ... r~..n - .U 165.7 25.0 82.6 51*. 9 3.3 165.5 165.1 + .2 + .6 2U.9 82.U 5U.8 3.3 25.U 82.8 53.5 3.U + .1 + .2 + .1 -- - .U - .2 +1.U - .1 2.6 3.2 2.1 1.1 2.0 l;3 13.7 U.l 2.U 1.8 -1.5 - .5 -l.i 1.3 13.3 - .6 .2 - .U - .2 — — 185.7 185.5 - .6 - .u -i.U 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 1.9 .7 1.8 1.3 13.7 Foreign bank deposits, net Treasury cash Capital and miscellaneous accts,netl Total liabilities and capital, net 185.1 *- 1/ 1.6 — + .2 + .u For description of statement, see January 191+8 Federal Reserve Bulletin, pp. 2U-32, and corresponding table in current Bulletin. Figures may not add to total because of rounding. Treasury funds included are gold account, Treasury currency aocount, and Ex change Stabilization Fund.