The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
I i \ For immediate release September 14, 1966 ASSETS AMD T/rATVfTTTTBa OF ALL BANKS IN THE UNITED STATES, AUGUST 31, 1966 «T \« Item Loans r ASSETS Investments Loans and discounts U* S. Govt, obligations Other securities f \ Reserves, cash, and bank 'balances Reserve with FR Banks Gash in vault Balances with banks Cash items % All canl. banks 371,260 313,000 257,359 45,740 11,495 258,780 211,400 178,067 35,287 4,430 53,470 58,580 39,985 53,900 48,130 39,307 '6,023 8,364 1,475 1,656 68,146 12,085 13,807 66,270 21,995 17,821 : 94,038 106,086 56,270 48,753 10,574 2,382 19,694 16,103 16,910 5,830 14,230 20,160 16,910 5,700 13,550 20,110 16,905 4,402 7,928 19,518 3,188 333 281 6,772 1,032 83 174 1,093 7,421 1,334 2,145 8,794 5,264 2,652 5,328 2,859 11,700 10,650 9,220 3,078 420 2,987 2,735 440.090 T79.920 315,332. 59,322_ 14,22L_ 116.719 124,924.i LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 170,580 170,530 142,142 27,459 211,990 158,070 129,394 19,410 6,606 5,270 total xvjLfUf deposits i#<mVi#*■■ 382,570 328,600 271,536 116,869 11,876 5,215 16,007 16,970 16,970 4,422 935 5,070 5,070 149,890 149,840 122,874 21,955 210,640 156,720 128,233 18,764 1,230 248 5,157 5,241 7,552 1,631 43,714 48,690 2,010 1,608 52,048 55,538 4 Deposits of banks U> S. Govt, deposits Other demand deposits Other time deposits 52,553 49,034 55,524 55,680 101,587 111,204 7,150 7,150 6,633 2,071 886 2,600 1,076 Other liabilities 14,320 12,910 11,429 5,202 370 3,204 2,653 motftl ^vVWNb capital VwiryJUVwiii accounts WWTiil 36,050 31.260 1.165 .. 2*32.8 1, 2t22L~ 1j Excludes total coml. interbank loans• Borrowings * Country banks 57A30 Other assets TOTAL ASSETS/LIABILITIES Reserve city banks Ail ' member : York 1City of Other Chicago City ' banks All banks Seasonally adjusted data **___ cwiuj. j.• vvt»Aa4>wiav, i< f.a 1 /* .-...... lioaas xx \ * i NOTE: IrUUiJJCULauxxx WJ V* * *0'** 309,800 206,100 55,900 47,800 -- ------ ia reserve classifications* 25,734 5.250 - 2- CHANGES IN ASSETS AMD LIABILITIES OF ALL BAMS IN THE UNITED STATES, JULY 27, 1966 TO AUGUST 31 , 1966 J.4 Item (Partly estimated. In millions of dollars) Reserve city banks All All All coml. member New York City of banks*!/ Other Chicago banks City banks ASSETS Loans and investments Country banks* +2,050 +1,650 • +1,540 +744 + 95 +519 +182 +1,210 +1,020 - 180 + 810 +1,020 - 180 + 857 + 913 - 230 +498 +343 - 97 + 33 +112 - 50 +408 +294 -183 - 82 ( +164 +100 . - 85O - 850 - 996 -862 - 65 -376 +307 -1,480 - 30 + 230 + 430 -1,480 - 30 + 230 + 430 -1,487 - 24 + 152 + 363 -917 - 2 + 71 - 14 + 64 - 2 -135 + 8 -466 + 1 - 68 +157 -168 - 21 +284 +212 - 340 - 340 - 280 +238 -104 -297 -117 * + 860 + 460 + 264 +120 - 74 -154 +372 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits - 590 + 960 - 590 + 710 - 427 + 499 +199 -205 - 88 + 5 -200 +298 .1 -338 +4oi TOTAL DEPOSITS + 370 + 120 + 72 - 6 - 83 + 98 + 6V + 490 -1,490 + 46o + 910 + 490 -1,490 + 46o + 660 + 454 -1,292 + 458 + 452 -178 -l4l +516 -203 + + 39 62 67 7 +519 -666 - 2 +247 + 74 -423 + 11 +401 80 - 172 -503 +249 -144 +226 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 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings - 80 Other liabilities + 280 + 180 + 161 +540 -259 -145 + 25 ♦ Total capital accounts + 290 + 240 + 203 + 89 + 19 + 37 + 58 Seasonally adjusted data Loans and investments 1/... Loans and discounts T/... U.S. Govt. obligations - For numbered footnotes, see first page. +1,600 + 200 +1,800 - 400 tJ July 27, 1966 mutual savings banks figures revised. -3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, AUGUST 25, 1965 TO AUGUST 31, 1966 (Partly estimated. Item All banks In millions of dollars) Reserve city banks All All City of ew York member coml. Other Chicago City banks banks Country banks ASSETS Loans and. investments |k Loans and discounts U- S. Govt, obligations * Other securities Reserves, cash, and bank balances m 903 +6,206 + 8,62.4 +26,070 +22,500 +19,182 2,079 - 2,740 - 2,040 4,700 + 3,163 4,810 +5,391 +1,048 - 136 - - 46 - 722 - 99 +6,153 -1,292 +1,345 + 6,590 - 605 + 2,639 + 5,670 + 5,760 + 4,802 +1,341 272 +2,081 + 44 13 54 161 + 48l + 137 + 14 +1,449 + + + + 4 233 288 583 448 +28,140 +25,160 +20,266 +4,533 + + 1,108 - 300 + 520 + 990 + 4,460 - 300 + 520 + 1,070 + 4,470 - 308 + 398 + 460 + 4,252 - 837 + 15 + 104 +2,059 + 1,380 + 1,280 + 1,032 + 412 24 + 148 + LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 9,110 +19,120 + 9,120 + 7,078 +16,1*50 +13,226 +2,492 +1,487 + 285 + 380 +1,823 +5i1Q8 + 2,478 + 6,2^ 1 . TOTAL DEPOSITS +28,230 +25,570 +20,304 +3,979 + 665 +6*231 + 8.729 Deposits of banks I U. S. Govt, deposits Other demand deposits Other time deposits + 1,060 + 1,060 + 1,109 - 2,400 - 2,400 • - 2,354 +10,550 +10,560 + 8,448 +19,020 +16,350 +13,101 + 558 - 442 +2,398 +1,465 10 135 + 437 + 373 + 469 -1,138 +2,590 +5,010 + 92 - 639 + 3,023 + 6,253 *Borrowings ♦ Other liabilities + 2,090 + 439 + 551 426 + + 387 335 jTotal capital accounts + 2,030 Reserve with FR Banks Cash in vault 1^ Balances with banks Cash" items * Other assets | TOTAL ASSETS/LIABILITIES Seasonally adjusted data Loans and investments _l/• | Loans and discounts 3/. U.S. Govt, obligations.. Other securities...... + 2,090 + 1,901 + + 2,840 + 2,690 + 2,440 + 1,686 485 _ - 32 690 + 63 + 566 + h§SSL- + 1,451 + 136 For numbered, footnotes, see first page. +23,700 +20,900 - 1,800 + 4,700 -4CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Sayings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. J.4 Item In 'billions of dollars) Aug. 31, 1966 Change to Aug. 31, 1966 from — Aug. 25, < July 27, July 27, Aug. 25, 1966 1965 1966 r/ 1965 ASSETS Monetary reserve Gold stock Treasury Currency Bank credit Loans, net U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net 19.3 19-3 19..3 — — 13-3 6.0 13*3 6.0 13.9 5.5 - .1 + .1 - .6 + .6 407.8 405.8 378.7 +2.0 +29.I 252.1 101.9 58.6 42.5 .8 251.4 100.3 57-6 42.0 .8 228.1 101.5 61.3 39-2 1.0 +23.9 + -7 +1-5. . + .4 +1.0 - 2.7 + 3.3 + *5 - .2 - .1 53-9 54.1 49.1 - .2 + 4.8 427*1 425-1 398.0 +2.0 +29-1 377.6 376.5 350.4 +1 .1 +27.2 37-0 129.7 210.6 .2 36.9 129-7 209.7 .2 34.8 123-6 191-6 •3 + •1 + 2.2 + 6 .1 +19 .O - .2 6.7 7-9 8.3 -1.2 - 1.6 5.1 1.6 7.5 •O -1.5 + .3 - 2.4 + .8 1.9 1 .1 40.0 6.6 1-3 1.8 1 .1 37.8' 1.6 .8 37.0 +2 .1 427-1 425-1 2.28:0 +2.0 36.8 131.4 36.8 130.0 34.5 125.2 +1.4 * LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ 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 account, net Total liabilities and capital, net Seasonally adjusted Currency outside banks Demand deposits adjlisted + .9 + + .2 .2 +29.1 gold account, Treasury currency account, and Exchange Stabilization Fund, l/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $132.1 billion on August 3l> i960, http://fraser.stlouisfed.org/ r/ Mutual savings banks figures for July 27, 1966 revised. Federal Reserve Bank of St. Louis * <