The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
RESERVE FEDERAL statistical LIBRARY ) release (For Immediate Release) August 29, 1962 L.ITIES OF ALL BAMS IN THE UNITED STATES, AUGUST 15, 1962 (Partly estimated. Item ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances In millions of dollars) All banks All coml. banks 265,020 221,700 All member banks Reserve city banks* New York City of Other Chicago City Country banks 184,522 30,402 8,297 69,934 75,889 161,020 129,730 110,097 64,210 51,714 70,530 33,470 27,760 22,711 19,664 7,045 3,693 4,787 2,092 l,4l8 43,969 18,210 7,755 41,677 24,367 9,845 50,650 49,780 43,602 9,267 2,126 18,139 14,070 16,950 4,060 12,980 16,660 16,950 3,930 12,300 16,600 16,946 2,988 7,478 16,190 3,462 227 195 5,383 968 38 107 1,013 7,436 921 2,192 7,590 5,080 1,802 4,984 2,204 7,080 6,4oo 5,711 1,880 176 2,148 ...l.i507_ 322,750 277,880 233,835 41,549 10,599 90,221 91,466 Gross demand deposits Gross time deposits 151,810 151,750 129,375 93,220 133,350 76,085 25,525 8,396 6,413 2,764 50,400 29,638 47,037 35,287 TOTAL DEPOSITS 285,160 205,460 33,921 9,177 80,038 82,324 15,400 15,400 l4,64l 7,700 7,700 6,985 129,500 129,440 108,341 132,560 92,430 75,493 4,400 1,559 19,832 8,130 1,302 433 4,702 2,740 7,343 2,878 40,345 29,472 1,596 2,115 43,462 35,151 Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits l/ 244,970 Borrowings 2,630 2,630 2,575 1,073 207 1,097 198 Other liabilities 8,000 7,190 6,632 2,736 288 1,942 1,666 ■26,960 23,090 19,168 3,819 927 '7,144 7,278 Total capital accounts as central reserve city and three hanks whose classification as reserve city is continued. The effect is to increase the New York City figure of total assets by $526 million and Chicago by $405 million, and to decrease "other" reserve city banks by $931 million. l/lncludes amounts now reported by insured mutual savings banks as demand deposits formerly, they were reported as time deposits or other liabilities. NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. - 2- CHAUGSS IK ASSETS AMD LIABILITIES OF ALL BAMS IN THE UNITED STATES, JULY 11, 1962 TO AUGUST 15, 1962 G*7 (Partly estimated. Item ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances In millions of dollars) All banks All coml. banks +1,730 +1,300 +1,014 + 483 +528 -534 +537 +1,180 + 50 + 500 + 820 + 798 - 167 + 383 + 648 - 303 + 138 +266 -131 -3^7 - 56 +328 + 480 All member banks Reserve city banks* New York City of Other City Chicago +155 +107 Country banks - + 15 +194 * +1,250 +1,180 +1,276 +1,052 +138 +319 -233 + 290 - i4o - 250 +1,350 + 290 - 140 - 320 +1,350 + 287 - 120 - 193 +1,302 + 200 + 22 + 1 - 2 +117 +147 - 78 + 42 - 82 - 38 + + 5 17 840 +208 +137 - 120 - 130 - 100 - 30 + 5 - 7 - 68 +2,860 +2,350 +2,190 _-tiz505. +671 -222 +236 Gross demand deposits Gross time deposits + 480 +1,180 + + + + 567 +1,064 + 150 +354 +175 -456 - 91 -3^5 +333 TOTAL DEPOSITS +1,660 +1,240 +1,184 +1,214 +529 -5^7 - 12 - 360 + 670 + i4o +1,210 + + + 360 670 82 296 682 +107 +260 -281 -100 198 593 + + + + - 13 790 + + + 154 +175 +396 -593 - 69 - 94 -151 +333 Borrowings + 54o + 540 + 534 + 245 + 86 +208 - 5 Other liabilities + 570 + 46o + 387 - 17 + 25 +169 +210 Total capital accounts + 90 + 110 + 85 + 63 + 31 - 52 + 43 Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES -250 LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 1/ For footnotes, see first page. * 48o 760 140 617 312 705 • , -3CHANGES IN ASSETS AMD LIABILITIES OF ALL BANKS IH THE UNIT3D STATES, AUGUST 9, 1961 TO AUGUST 15, 19o2 fl.7 (Partly estimated. All banks Item ASSETS V loans and investments * Loans and discounts ^U. 3. Govt, obligations Other securities Reserves, cash, Anfl bank balances «► ^Reserve with FR Banks Cash in vault * Balances vith banks ^ Cash items Other assets In millions of dollars) All coml. banks All member banks Reserve city banks* New York City of Other City Chicago Country banks +20,130 +17,450 +14,445 +2,228 +1,050 +5,139 +6,028 +14,510 + 280 + 5,3*10 +11,690 + 280 + 5,^80 +10,057 430 + 4,818 +1,970 - 893 +1,151 + 567 - 170 + 653 +3,845 - 474 +1,768 +3,675 +1,107 +1,246 + 5,970 + 5,930 + 5,359 +1,480 + 377 +2,600 + 902 + 100 + 360 + 1,030 + 4,48o + 100 + 350 + 1,000 + + 99 - 178 42 + 327 + 56 + 519 + + 4,4l4 +1,560 + + 45 + 208 + 80 + 300 +2,012 + + + + 24 197 172 509 + + 200 + 55 310 4 , 4 8 o 260 + 232 - 49 8 + 9 333 + 26 + +26,410 +23,640 +20,036 +3|6i2. +1,453 ►Gross demand deposits Qross time deposits + 8,750 +15,i 4o + 8,750 +12,600 + 7,452 +10,543 +1,931 +1,417 + + 812 +3,008 +4,o84 +2,167 +4,230 TOTAL DEPOSITS +23,890 +21,350 +17,995 +3,348 +1,158 +7,092 +6,397 + 850 + 2,94o + 4,990 +15,110 + 850 + 2,9^0 + 4,990 +12,570 + 874 + 2,717 + 3,902 +10,502 + 463 + 576 + + 950 , + + +1,359 801 + 362 +1,244+1,389 +4,097 + 49 + 724 +1,379 +4,245 ’total a ss et s /liabilities . 12*232.,. .* * 28 L LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits ,Other demand deposits Other time deposits 1/ - >> Borrowings + 580 + 580 + mother liabilities + 470 + 4 Total capital accounts ... + 1,470 For footnotes, see first page. i o + 1,300 346 173 184 600 + 235 + 114 + 337 - 86 351 - 78 + 101 + 84 + 244 + 1,090 + 154 + 80 + 426 + 430 + -4t G.7 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* r All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. Item v In billions of dollars) Aug. 15, July 11, 1962 1962 Aug. 9, 1961 Change' to Aug.1 ijjj 1962 from — ' July 11, Aug. 9, 1961 1962 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 21.7 21.9 23.1 - .2 - 1.4 16.1 16.3 5.6 17.6 5-6 5.5 - .2 — - 1.5 + .1 293.7 291.5 271.6 +2.2 +22.1 158.8 101.5 157.9 145.0 100.6 98.5 + .9 + .8 * - 70.5 30.3 •7 33.5 70.5 29.5 •7 33.0 70.3 27.5 + .1 + .8 — +13.8 + 2.9 + -3 + 2.8 - .1 + -5 + 5.3 * 315.4 313.4 294.8 +2.1 +20.7 ' 275.9 275.9 259.4 — 28.9 132.5 29-9 114.1 131.3 .8 28.1 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 .6 112.3 117.4 .7 -1.2 +1.2 —— +16.6 , + 1.1 + .5 +15.1 - .1 8.3 7.5 5.2 + .8 + 3.1 - 7-7 7.0 .4 4.8 .4 + .7 + .2 + 2.9 + .1 * 1.2 1.4 .4 1.2 - .2 — 30.0 112.8 .6 .6 _ _ Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 29.6 28.2 28.5 +1.4 + 1.1 Total liabilities and capital, net 315.4 313.4 294.8 +2.1 +20.7 .4 .4 mtm ' * * Figures may not add to totals because of rounding. Treasury funds included are 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 $114.7 billion on August 15. r- y