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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM

G.7
\ A-

(For Immediate Release)

April 28, I960

ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, APRIL 13, I960
(Partly estimated.

In millions of dollars)

All
banks*

All
commer­
cial
banks*

22U.380

186,270

Loans and discounts
137,790
60,850
U. S. Govt, obligations
25,71*0
. Other securities

112,120
53,980
20,170

r

Item

Member banks
Central reserve Reserve
city
city banks
Total
New York| Chicago banks

Country
banks

ASSETS
"Loans and investments

'Reserves, cash, and
bank balances

2U.706

6.U81

58.761*

6^,322.

95,728 18,05U
1*2,593 1*,1*66
2,181*
16,029

1*,153
1,681*
61*1*

38,621*
11*,738
5,1*02

31*, 897
21,703
7,799

15U.350

1*5.670

1*1*,91*0

39.311

7.512

1.890

16,1}2?

13.i!i80_

17,520

17,519
2,500
6,521
12,771

3,619

Il,li90
13,110

17,520
3,390
10,920
13,110

909
30
111
8U0

7,227
756
2,001*
6,11*2

5,761*
1,550
1*,312
1,851*

5,680

5,110

U.531*

l,li7U _

95

1.662

1.303

275,730

236.320

198,195

33,622...

8.I166

76, .851. 79>lfi2_.

Gross demand deposits
Gross time deposits

11*0,250
103.170

1U0,220 119,685 23,037
67.910
51*.216 1*«371

5,783
1.1*1*9

1*7,08U 1*3,781
2,Q»22iL g7'li68

TOTAL DEPOSITS

21*3.1*20

208.130

173.901

27.1*08

7.232

68,012__ 71,2h9_

U+,910
2,260
121,720
101,530

1U,910
121,690
66,270

11*,292
5,017
1,982
339
10U,920 18,671
3,381
52,707

1,198
86
l*,53l*
1,1*11*

6,686
718
1*0,017
20,591

1,391
839
1*1,698
27,321

2,960

2,960

2,893

981

31*7

1,086

1*79

6,030

5,320

I*,862

1,902

130

1,631

1,199

Total capital accounts

23,320

19.910

16.539

3.1*01

757

,..$.0 2 6 .

6.25SL

Total liabilities
and capital

275,730

236,320

198,195

33,692

8,1*66

Reserve with FR Banks
„ Cash in vault
Balances with banks
* Cash items
Other assets
Total assets

3,520

I6h

91*
3,635

’ LIABILITIES & CAPITAL

->

> Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits
^Borrowings
Other liabilities

*

2,260

76,855

79,182

Figures have been rounded to nearest 10 million.

Note.— The comparability of figures in this series is affected by changes
Reserve membership, mergers, etc., and in reserve classifications? also see comparability

note
on page 3.


CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
G .7

MARCH 9, I960 TO APRIL 13, i960 /
(Partly estiinated. In millions of dollars)
1

Item

All
banks*

All
commer­
cial
banks*

Member banks
Central reserve Reserve
city
city banks
Total
New York Chicago banks

V
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

+

790 +

670

+ 2,1U0 + 2,030
- 1,360 - 1,360
♦
—
10
+ 3,650

+ 3,690

+ 180 + 180
•»* 300 +
300
+
600 + 61*0
+ 2,570 + 2,570
+

100

+

+ 746 ♦ 1*87

-

$1

4*

illj

4*

1*55
36U
23

44*

202^
■4

+1,762 4* 596
-1,009 - 1*7
7 - 62

mm 1
mm 51
5
•

4*
.»
4»

+3,162

4- 286

4» 2l*o

4- 1,628

4* 1,008"

276
+ 175
+ 216 + 15
1
+ 272 +2,1*99 4* 51*8

4» 1*2
4- 3
6
4- 201

4*
70
4*
38
4*
55
+ 1,465

44*
44*

339
160
22k
285

4

mm

2

80 +

81* + 76

_ 4*

6

4*

712
547
37

4- 81*9

♦ 189

4- 1,746

4- 1,208

Gross demand deposits
Gross time deposits

+ 3,390 + 3,390 +3,190 + 590
+
9h0 + 7U0 + 565 + 130

4- 1U5
4- 6

4- 1,874
23

44*

TOTAL DEPOSITS

+ U,330 + 4,130

+3,755 + 720

4* 151

4* 1,851

4- 1,033

+
610
- i,oUo
♦ 3,910
+
850

+ 60I*
- 891
+3,557
+ 1*85

4- 251
mm 157
4* 569
4* 57

4- 89
mm 31
+ 91
+
2

4»

6

37

Total assets

+ U,5Uo ♦ U,U*0 +3,992

LIABILITIES & CAPITAL

+ 610
- i,oUo
f 3,910
+ 650

226
280

4* 1,931
•
26

4•
4*
4-

-

172

-

U23.

966
452

Borrowings

-

160 -

160 - 160 •

Other liabilities

+

270 +

3U0 +

287 4- 117

-

5

4-

38

4-

137-

Total capital accounts

+-

100 +

130 + 110 4- 18

+

6

4-.....2?

4*

57

H
CO
'O

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

581 <
k$2

4* 1,71*6

4- 1,208-

Total liabilities
and capital

+ U,54o + U,UUo +3,992

* Figures have been rounded to nearest 10 million.
1/ Sea not© on first page.



4* 8U9

- 3 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
APRIL 15, 1959 r/ TO APRIL 13, I960
(Partly estimated. In millions of dollars)

G.7

*+

Item
■

All
banks*

All
commer­
cial
banks*

+ 1.160

11*0

Member banks
Central reserve Reserve
city
city banks
Total
New York Chicago banks

Country
banks

ASSETS
Loans and investments
►
Loans and discounts
> U. S. Govt, obligations
Other securities
Reserves, cash, and
bank balances

- 186

* 1,968

♦13,1*50 4* ii,5io + 9,563 + 1,978
-11,270 - 10,750 -10,087 - 2,858
'1,020 91*6
900 533

♦ 585
- 728
- 1*3

•

U,696
1*60

2,350 - 2,289 -

700

- 235

:-

909

- ......M S

1,380
1,378
1,380
4*
310 + 198 4290 +
i,ol*o
950 •
795 *
3Uo 330
3H* -

588
22
12
122

- 199
+
2
♦
1
- 39

632
1*5
176
li*6

4-

+
••

1*1
129
608
7

'other assets

191

4*

101

mm

mm

mm

>

* Reserve with PR Eanks
Cash in vault
Balances with banks
Cash items

+ 2,09?

1,1*70 _ 1 , 1a?

2,U70

mm

mm

mm

mm

0m

♦

730

4*

580

Total assets

720 ♦

659 ♦

m

+ 3,188

4-

mm

35k_ ♦ 13.. ♦

3.100 . 1.759 , - 1*Q8

1*220..

+ 3,812
1,805
4*
90

mm

2 ,6 M _

4* U 5 3

2,689

- 910*
4- 1.606

LIABILITIES & CAPITAL
Gross demand deposits
'Gross time deposits

5,916
5,770 m» 5,770
4- 1.7U0 4780 •
87

1,703
898

580
+ 2i_

2,601

- 555

_ 1,91*0
1,91*0
1,865
1,195
- 2,200 - 2,200 - 2,032
501
2,670 - 2,670 - 2,981* - 792
4- 2,780 -f 1,820 ♦ 878 - 113

- 77
- 200
- 307
+ 29

mm

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

1*,990

U,030

*TOTAL DEPOSITS

mm

850 4-

4-

Other liabilities

+ 1,1*00 + 1,330

Total liabilities
and capital

♦ 1.200
•

1,770

mm

820

.hSSSL.

4*

662

537
773
- 1,527
«■
> 672

56
- 558
- _ 358
/ _*
+ 1,631*

mm

mm

158

+ 117

+

361

+

233

4- 1,250 4-

577

+

8

4

220

+

10*5

107

♦

22

4*

21*2

+

1*13

4* 1,01*0 -f

580 —

mm

869 4-

850 4

Borrowings

x,Total capital accounts

6,003

-

781* 4-

*• 3,100

mm

1,759

- U08

mrn

2,686

m mm
+ 1,753

* Figures have oeen rounaea t>o nearest xu miiiiwu
uovxow,
Note.— Figures for prior dates not entirely coraparaBle with current data because of
changes effective* (l) December 19#, amounts due Federal Reserve Banks represented by
outstanding drafts, etc., estimated at approximately #1*00 million in early December and
to range seasonally between #2*0 and $600 million, were excluded from deposits and in­
cluded with other liabilities; (2) August 19*9, nonraember commercial banks in Hawaii
with total deposits of $365 million were added to the series} (3) April 1959, a national

member
bank in Hawaii with total deposits of $220 million was added to the series; and
http://fraser.stlouisfed.org/
(U)
during
the year in the reclassification of member banks#
Federal Reserve Bank of St. Louis

CONSOLIDATED CONDITION STATEMENT FOR BANKS AML THE MONETARY SYSTEM*
G.7

All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds l/
(Partly estimated.

In billions of dollars)
April

Item
I960

Change to Apr. 13,
I960 from —
Mar. 9, Apr. 15,
1959 £ /
19o0
i?5_£_

April

March
9*
I960

.

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

2lu7
19. U
5.3

2U.7
19.a

2U8.li

217.5
133.3
88.5

135.U
87.3

5.3

25.7
20. h
5.3
2U9.0

mmmm

1*JL_

- 1.0
+
.1
.6
+ 12.2
- 11.8

+

.9
+2.1
-1.2

-

-i.U
♦ .2
- .1

- 11.3
.3
.2
- 1.0

60.9
25.5

62.2

1.0

1.0

123.2
99.1
72.1
25.8
1.1

25.7

25.7

26.8

273.1

272,2_

27lu.l

+ .SL-

- l.6_

Total deposits adjusted and
currency outside banks

21*2.3

2U0.2

21*1.8

+2.0

+

Currency outBide banks
Demand deposits adjusted
Time deposits adjusted
Postal savings deposits

28.3
111. 6
101.5
.9

28.
110.2
100.7
.9

-

113.9
98.7
1*1

.1
+1.3
+ .9

+
.2
- 2.3
+ 2.8
—
.2

2.5

3.9

5.0

-1*2

-

2

2.3
.3

3.3
.6

a.5

-1.0

-

.5

-

.3

-

2.2
.2

2.8

2.6

3.8
.7

+

.2

+

1.0

-

1.6

Total assets, net

25.2

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

.b

k

.

h

28.1

25.1

25’.1

23Jl

273.1

272.2

27U.7

Figures may not add to totals because of rounding.

+

.9

See note on page 3.

TJ Treasury funds included are gold account, Treasury currency account, and Exchange
Stabilization Fund,
rf Revised*



.5

, h

_

.3

l.,6._