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RESERVE FEDERAL statistical i S A R Y release I^For Immediate Release) July 24, 1962 ALL BANKP IN THE UNITED STATES, JULY 11, 1962 ASSI (Partly estimated. Item All banks* In millions of dollars) Member banks All Central reserve Reserve commer city city banks Total cial banks New Yorkl 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 263,290 220,400 :L83,508 29,919 7,769 70,468 75,352 159,840 128,910 :109,299 19,016 51,881 7,348 70,480 64,210 27,280 22,328 3,555 32,970 4,521 1,937 1,3H 44,100 18,557 41,662 24,039 14,303 ; 7,811 9,651 49,400 48,600 42,326 8,215 1,988 17,820 16,660 16,660 16,659 4,200 4,070 946 37 13,230 15,310 12,620 4,543 109 896 7,289 999 2,150 7,382 1,840 5,234 15,250 7,671 14,888 3,262 232 178 7,200 6,530 5,811 1,910 171 2,155 1,5I5_ 231,645 4o,o44 9,928 90,443 319,890 275,530 3,108 2,067 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 151,330 151,270 128,758 24,461 92,460 75,518 8.246 132,170 6,059 2 .589— 50,856 TOTAL DEPOSITS 283,500 243,730 204,276 32,707 8,648 80,585 82,336_ 4,318 14,953 6,280 1,263 7,030 129,360 129,300 108,143 19,150 91,640 74,900 7,976 131,350 1,315 1,696 4,44-2 2,565 7,624 2,482 40,938 29,541 2,209 43,613 Deposits of banks U.S. Govt, deposits Other demand deposits Other time deposits 1/ 15,760 7,030 15,760 326 47,382 29„.I22_ 34*,35k. 34,818 Borrowings 2,090 2,090 2,04l 828 121 889 203 Other liabilities 7,430 6,730 6,245 2,753 263 1,773 1,456 26,870 22,980 19,083 3,756 896 7,196 ..7,231. Total capital accounts Total liabilities and capital 319,890 275,530 231,645 40,044 9,928. * Figures have been rounded to nearest 10 million. 90,443 91,230 1 / includes amounts now reported by insured mutual savings banks as demand deposits; — formerly, they were reported as time deposits or other liabilities. NOTE_The comparability of figures in this s.eries is affected by changes in Federal Reserve membership, mergers, etc., and in reserve classifications. G.7 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 13, 1962 TO JULY 11, 1962 (Partly estimated. All banks* Item j d ... In millions of dollars) All coiomercial banks* Total Member banks Central reserve Reserve city banks city New York I Chicago banks Country banks ASSETS + + + 730 170 580 + + 10 + - no + + - 70 44o + 980 + -145 - 70 +624 +395 + 366 - ^5 + 483 -324 + 58 -175 - l +121 +106 +462 + 36 +126 +403 -138 +130 80 -444 - 32 - 15 +411 M 113 + 55 + 305 - 327 -357 + 1 + 4 - 92 + 6l + 4 + 4 -101 + + - 11 390 - no + 70 + 530 - 390 27 36 17 +172 + 23 +333 -117 140 + i4o + 117 + 9 + 11 + 48 + 49 +1,290 +1 ,220 + 841 -580 - 9i +657 +855 Gross demand deposits Gross time deposits +1 ,000 +1,240 +1 ,000 +1,090 + + 798 847 -325 - 39 -133 + 57 +709 +333 +496 TOTAL DEPOSITS +2,240 +2,090 +1,645 -364 - 76 +1,042 +1,043 + 730 +1,610 -1 ,330 +1,230 + 730 +1,610 -1 ,330 +1,080 + 679 +1,451 -1,324 + 839 + 78 +338 -731 - 49 + 54 + 99 +4l4 +583 + 57 +335 +133 +431 - 17 +496 478 -226 + 21 -207 - 66 373 - 1 - 48 -200 HI +1,140 8o4 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 550 120 + 550 100 - LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits - 500 - 500 Other liabilities - 520 - 420 Total capital accounts + Total liabilities and capital 70 +1,290 - 50 + ^7 + 11 + 12 + 22 + +1 ,220 + 841 -580 - 91 +657 +855 + * Figures have heen rounded to nearest 10 million. r/ Revised mutual savings bank figures for June 13, -290 CVJ Borrowings -286 +547 1962. 2 . . -3CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, * G.7 JULY 12, 1961 TO JULY 11, 1962 (Partly estimated. Item ,4 In millions of dollars) Member banks Reserve Central reserve city city banks banks New York I Chicago All banks* All commer cial banks* +20,930 +18,550 +15,465 +2,055 +810 +6,378 +6,222 +13,040 + 2,860 + 5>030 +10,470 + 2,870 + 5,210 + 8,830 + 2,038 + 4,597 + 834 + 160 +1,061 +313 - 70 +567 +3,950' + 595 +1,833 +3,733 +1,353 +1,136 + 1,180 + 1,180 + 777 - 244 - 99 + + + 221 + 89 + 1»8 + 7 Total 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 *0ther assets + + + + 260 170 + 755 365 260 + 160 + 255 - 373 - 36 410 3^0 + + + + 420 340 + 73 395 + + 36 11 82 - 31 - 32 + 443 + 75 - 101 + 338 590 + 5^0 + 44l + 7 + 24 + 216 + 194 200 + +22,700 +20,270 +16,683 +1,818 +735 +7,349 +6,781 + 5,600 +14,780 + 5,600 +12,580 + 4,198 +10,618 + 76 +1,422 -122 +667 +2,107 +^iM§— +2,137 +4..Q2L. +20,380 +18,180 +14,816 +1,498 +5^5 +6,545 •+6,228 Deposits of banks U. S. Govt, deposits ■* Other demand deposits Other time deposits + 130 + 3,360 + 2,180 +14,710 + 130 + 3,360 + 2,180 +12,510 + 135 + 3,050 + 1,088 +10,5^3 - 135 + 645 - 370 +1,358 - 37 +184 -257 +655 + 240 +1,275 + 606 +4,424 + 67 + 946 +1,109 +4,106 1Borrowings + 510 + 510 + 510 + 145 + 55 + 291 + 19 Other liabilities + 290 + 270 + 253 + 51 + 88 + 1 + 113 Total capital accounts + 1,520 + 1,310 + 1,104 + 124 + 47 + 512 + 421 Total liabilities and capital +22,700 +20,270 +16,683 +1,818 +735 +7,3^9 Total assets ■ LIABILITIES & CAPITAL Gross demand deposits -*Gross time deposits TOTAL DEPOSITS t- V ** Figures have teen rounded to nearest 10 million. +6,781 -4- G.7 h COl.lOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All CoEesarcial, Savings, and Federal Reaerve Banks, the Pootal Savings System, and Treasury Currency Funds (Partly estimated. In billions of dollars) July 11, June 13, Item + 1962 1962 v j July 12, 1961 Change to July lij 1962 from — June 13, July 12, 19ol 1962 * ASSETS Monetary reserve Gold utock Treasury Currency Bank credit Loans, net U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net 21.9 22.0 23-0 - .1 - 1.1 16.3 17.6 - .1 5-6 16.4 5.6 - 1.3 + .2 ^ 291.5 290.1 268.8 +1 .4 +22.7 * 157.9 156.7 101.0 145-3 95-5 +12.6 + 5.1 70.5 29.5 .7 33-0 70.7 67.6 27.1 +1.1 - .3 - .2 - .1 .7 32.4 27-9 + .6 + 2.9 + 2.3 - .1 + 5.0 ------- 313.4 312.1 291.7 +1.3 +21.6 100.6 29.6 5.4 .8 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banka Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits i/ U. S* Government deposits At commercial and savings banks At Federal Reserve Banks * > <r 275-9 275-2 258.2 + .7 +17.7 29.9 114.1 131.3 115.0 29.5 28.6 112.2 116.6 + .4 - .9 +1.2 + 1.3 + 1.8 +14.7 - .1 130.1 " V . .6 .6 7.5 5.9 4.2 +1.6 + 3.3 , 7.0 .4 5.4 .5 3.7 .5 +1.6 + 3-4 - .1 1.2 + .1 + .7 .2 Foreign bank deposits, net Treasury cash Capital and miscellaneous account; net 1.4 .4 28.2 1.4 .4 29.3 27.8 -1.1 + ~4 Total liabilities and capital, net 313.4 312.1 291.7 +1 .3 +21.6 .4 * Figures may not add to totals because of rounding. Treasury funds included axe gold account, Treasury currency account, and Exchange Stabilization Fund, r/ Revised. 1/ Demand deposits adjusted^ including demand deposits of foreign banks and of mutual savings banks, were $116*0 billion on July 11. «• *. <