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RESERVE FEDERAL tatistical ( T^IIlIx A K - Y 1 r (For Immediate Release) October 11, 1961 xASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, SEPTEMBER 27, 1961 x-x ' ■ - fj (Partly estimated. Item All banks* In millions of dollars) Member banks All Central reserve Reserve commer city city banks Total cial New York Chicago banks banks* Country banks ASSETS Loans and investments 251,030 Loans and discounts 149,570 U. S. Govt, obligations 72,380 29,080 Other securities Reserves, cash, and bank balances 175,046 29,462 7,282 66,715 71,587 120,790 102,373 66,090 53,959 18,714 23,190 18,189 8,403 2,870 4,214 2,238 830 41,093 19,384 6,238 38,877 23,934 8,776 210,070 44,840 44,020 38,665 8,065 1,865 16,065 12,670 15,980 4,080 11,670 13,110 15,980 3,960 11,030 13,050 15,984 2,941 7,047 12,693 3,6ll 203 153 4,098 928 30 87 820 6,997 923 2,130 6,015 4,448 1,785 4,677 1,760 6,890 6,250 5,593 2,009 153 1,968 1,463 302,760 260,340 219,304 39,536 9,300 84,748 85,720 Gross demand deposits Gross time deposits 147,590 119,600 147,530 126,039 81,690 66,453 24,729 7 ,188 6,218 1,941 49,268 45,824 31*2 8 1 . TOTAL DEPOSITS 267,190 229,220 192,492 31,917 8,159 75,207 77,209 14,450 Deposits of banks 1/ 8,030 U. S. Govt, deposits Other demand deposits 1/ 125,870 Other time deposits l7 118,840 14,450 13,688 8,030 7,239 125,810 105,669 80,930 65,896 4,111 1,520 19,315 6,971 1,218 478 4,535 1,928 1,488 6,871 3,014 2,227 39,566. 42,253 31,241 25,756 Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets Total assets LIABILITIES & CAPITAL .......... Borrowings 2,150 2,150 • 2,126 1,106 96 845 79 Other liabilities 7,700 6,980 6,458 2,859 190 1,910 1,499 Total capital accounts 25,720 21,990 18,228 3,654 855 6,786 Total liabilities and capital 302,760 260,3*K> 219,304 39,536 9,300 84,748 ,... 85,720 * Figures have been rounded to nearest 10 million. Note— The comparability of figures in this series is affected by changes in Federal Reserve membership, mergers, etc., and in reserve classifications. 1 / Due to the reclassification of deposits of foreign central banks, Deposits of banks was reduced by about $1,900 million; Other demand deposits was increased by about $ W 0 million other time deposits by about $1,500 million (on April 26, 1961)* -2G .7 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, AUGUST 30, 1961 TO SEPTEMBER 27, I96I (Partly estimated. Item In Billion* of dollars) All banka* All commer cial banka* +5,150 +4,950 +4,196 + 957 +2,540 +1,890 720 +2,340 +1,930 + 680 +1,994 +1,601 + 601 + + + 546 + 23 217 + 11 194 + 83 + 692 + 734 + 177 +1,670 +1,650 +1,725 + 715 + 96 + 956 - 70 + 50 + 320 +1,370 - 70 + 50 + 300 +1,370 65 + 4o + 4o8 +1,342 + + + + 156 - 11 - 3 - 21 530 +131 + + + + 15 213 560, + + 69 + 14 + 28 Member banka Central reserve Reserve Total city banka city 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 + + 180 + 160 148 11 18 +117 +1,603 168 * T33 . + + 639 + 147 | - 378 < + 17 + 198 + 121 + 37 ' +7,000 +6,760 +6,069 +1,741 +227 +2,587 +1,514 Gross demand deposits Gross time deposits +5,660 + 970 +5,660 + 690 +5,087 +1,467 +253 + 9 8 + 5 +1,997 + 284 +1,370 i + 202 * TOTAL DEPOSITS +6,630 +6,350 +5,676 +1,565 +258 +2,281 +1,572 + 650 +2,400 +2,620 + 960 + 650 +2,400 +2,620 + 680 631 210 +2,227 +2,242 576 592 676 87 + 18 +195 + 41 + 4 + 358 + 971 + 676 + 276 *5 469 849 209 - 35 293 158 Total assets LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 589 Borrowings + 270 + 270 304 204 Other liabilities - 50 + 20 2 26 + l 29 56 Total capital accounts + 150 + 120 87 2 + 3 '42 44 +6,760 +6,069 +1,741 +227 +2,587 +1,514 Total liabilities and capital +7,000 * Figures have been rounded to nearest 10 Billion. Note— See notes on page 1 . A - 4 ^ -3- X .'( CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, SEPTEMBER 28, i960 TO SEPTEMBER 27, 1961 (Partly estimated. Item j > All banks* All commer cial banks* +18,930 +16,800 Loans and discounts * U. S. Govt, obligations Other securities + 7,390 + 8,190 + 3,350 Reserves, cash, and _ bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items j Member banks Central reserve Beserve . Country Total city banks city banks Nev York 1 Chicago banka ASSETS Ji oana and. investments ► In Billions of dollars) +14,764 +3,192 +542 *5,925 +5,105 + 5,360 + #,177 + 475 + 8,4oo + 7,886 +2,126 + 3,o4o + 2,701 + 591 -147 +446 +243 +1,663 +3,355 + 907 +2,186 +1,959+ 960 - 100 -115 + 264 - 70 1,810 - 1,810 - 1,808 - 591 440 + 420 + 297 + 4i 440 + 46o + 390 + 33 + 1,270 + 1,240 + 1,100 + 41? -131 + + + 667 - 22 + 38 - 419 + 119 + 70 + 494. 151 + 76 + 310 340 21 - + + 780 + 137 309 700 670 + 376 + 4o + +20,050 +17,810 +15,^13 +3 ,468 +467 +6,367 +5,m ^.(ross demand deposits Krosa time deposits + 5,^00 +12,460 + 5,370 +10,330 + 4,202 + 277 - 22 +2,002 + 9,338 +2, 293 ,T ±bl5,._ . +3.888 +1,945 +2.742 ^'OTAL DEPOSITS r Deposits of banks ' U. S. Govt, deposits 4 Other demand deposits k Other time deposits +17,860 +15,700 +13 ,5*10 +2,570 +393 +5,890 +4,687 890 942 -1,066 168 - 499 380 380 + + 4,7^ + 4,710 + 3,764 + 9lh +13,630 +11,500 +10,550 +3,221 - 34 - 78 + 38 +467 + 45 + . 4l6 +1,309 +4,120 + 113 + 329 +1,503 +2 ,7^2 prlvorrowings + 100 + 100 130 + 241 - 29 + 42 - 124 -’other liabilities * Total capital accounts + 600 + 680 629 + 473 + 29 - 19 + + 7^._ + 454 + ^02 +467 +6,367 +5,111 Other assets Total assets + 178 * LIABILITIES & CAPITAL » > Total liabilities and capital - 890 - + + 1,490 + 1,330 +20,050 +17,810 i^ii + +15A13 * Figures have been rounded to nearest 10 Billion. Note— See notes on page 1. 184 +3,468 146 -4CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* G.7 All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds 1/ (Partly estimated. Item In "billions of dollars) Sept. 27, Aug. 30, 1961 1961 Change to Sept. 27,' 1961 from — Sept. 28, Sept. 28,'’ Aug. 30, i960 i960 1961 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 23.0 23.0 24.1 - 1.1 '■ 17.5 5-6 17.5 5.6 18.7 5.4 ' * 276.8 272.1 258.3 +4.7 - 1.2 + .2 +18.5 14-7.5 IO6.2 145.2 98.5 140.8 91.8 +2.3 +1.7 x H 72.4 27.1 •7 29-1 70.5 27.3 64.2 26.8 +1.9 - .2 28.4 .9 25.7 299.8 295.1 282.4 .8 8.2 .3 .1 3.4 * + .7 + + + +4.7 +17.4 t <*• LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ 2/ Time deposits adjusted l/ Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net 1 / Treasury cash Capital and miscellaneous accounts, net Total liabilities and capital, net +2.2 +17.2 +1.3 +1.0 + .2 + 3.5 +13.6 - .1 260.8 258.5 28.5 28.5 28.3 •7 111.5 117.9 •7 109-3 8.5 6.2 8.2 +2.4 8.0 5.6 ' .5 7.7 .6 +2.4 112.8 118.8 •5 1.4 .4 1.3 28.8 299'-8 28.7 .4 295-1 243.6 105.2 .8 2.9 .4 27.3 . 282.4 + .1 + .3 *• * - .1 - x*6 + 1.5 +4.7 +17.4 Seasonally adjusted + .2 + .1 28.2 28.3 28.4 Currency outside banks + .8 110 . 3 + ^ 113.0 113.8 Demand deposits adjusted rivirl T^car»Tr 1cnirftf! * Figures may not add to totaxs oecause uj. xuuuu.xii&. ( C of seasonally adjusted data, see February i960 Bulletin, pp. 133-36. l/ See footnote on page 1. .. .' , „ mn-t-nRl 2/ Demand deposits adjusted, including demand deposits of foreign tanks and of mutual savings banks, were $ll4.5 "billion on August 3®* 1 A