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FEDERAL
statistical

RESERVE

release

September 12, 1$62
For immediate release
THE UNITED STATES, AUGUST 29, 1962

ASSETS AMD LIABILITIES
1

.

(Partly estimated.

7

Item

All
banks

All
coml.
banlcs

In millions of dollars)
All
member
banks

Reserve city banks
New York City of
Other
Chicago
City

Country
banks

ASSETS

Loans and investments

221,700 184,398

30,090

8,201

69,597

76,510

161,360 129,970 110,331

4,761
2,001
1,^39

44,049
17,819
7,729

41,902
24,620

265,040

*

69,990
33,690

28,020

63,710

51,149
22,918

19,619
6,709
3,762

*• Reserves, cash, and
„ bank, balances

45,620

44,840

39,107

8,026

1,870

16,027

13,184

‘ - Reserve with FR Banks
Cash in vault
Balances with banks
Cash items

16,610
4-,290
11,890
12,830

16,610
4-,160
11,300

16,613
3,181
6,828
12,485

949
39
ill
771

7A57

12,770

3,564242
177
4,043

1,967
5,914

4,943
1,9H
4,573
1,757

7,080

6,400

5,726

1,969

176

2,098

1,483

317,740

272,940

229,231

40,085

10,247

87,722

91,177

146,220
133,730

146,160 124,207
76,460
93,700

23,728

6,139
2,795

47,865

8,486

29,659

46,475
35,520

279,950

239,860

200,667

32,214

8,934-

77,524

81,995

14-,330
7,770
124,900
132,950

1^,330
7,770
124,840

4,0541,383
18,552
8,225

1,218
391
^,554
2,771

6,720
2,682
38,620

92,920

13,570
6,935
104-,280
75,882

29,502

1,578
2,479
42,554
35,384

Borrowings

2,750

2,750

2,682

1,242

122

1,036

282

Other liabilities

8,030

7,190

6,670

2 ,82.3

266

2,020

l,56l

27,010

23,140

19,212

3,806

925

7,142

7,339

Loans and discounts
U. S. Govt, obligations
Other securities

*

Other assets
TOTAL ASSETS/LIABILITIES
*
LIABILITIES & CAPITAL
* Gross demand deposits
,Gross time deposits
' %0EAL DEPOSITS

y

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

..Total capital accounts

, -Seasonally adjusted data
Loans and investments 2/.......
Loans and discounts 2/.........
j
U.S. Govt, obligations........
Other securities..........

NOTE:

9,988

939

1/ includes amounts now reported by insured
220.100
127.100
64,900
28,100

mutual savings banks as demand deposits;
formerly, they were reported as time
deposits or other liabilities.
2/ Excludes total coml. interbank loans.

Comparability of figures affected by changes in FR membership, mergers, etc.,
and in reserve classifications.




-

2-

CHANGES HI ASSETS AM) LIABILITIES OF ALL BATIKS IN THE UNITED STATES,
JULY 25, 1962 TO AUGUST 29, 19o2
G.7
Item

(Partly estimated. In millions of dollars)
Reserve city banks *
All
All
All
coml.
member New York City of
Other
banks
Chicago
City
banks
banks

ASSETS
Loans and investments
Loans and discounts
U. S. Govt, obligations
Other securities
Heserves, cash, and
bank "balances
Reserve with FR Banks
Cash in vault
Balances with hanks
Cash items

Country
banks

+1,8910

+1,720

+1,390

+

619

+436

- 708

+1,043

+1,890
- 330
+ 330

+1,690
- 330
+ 360

+1,564
- 463
+ 289

+ 767
- 286
+ 138

+251
+ 94
+ 91

+
80
- 663
- 125

+
+
+

185

+

448

+ 10

- 382

+

30

+ 11
+ 4
+ 9
- 14

- 108
+
9
- 1.23
- 160

+
+
-

61

-

-

31

+

20

+
+
-

loO
70

190
20
90

Other assets

TOTAL ASSETS/LIABILITIES +1,820

+

60

+

106

+ lbO
+
70
- 150
- 20

+ 165
+
65
- 119
5

+ 201
+
20
1
+ 228

-

-

+

90

71

28

+

6

74

466
392

■

32
4
59

+1,690

+1,425

+1,095

+452

-1,164

+1,042

- 610
+1,010

- 597
+ 782

+

120
269

+191
4159

-1,062
- 100

+
+

39*i
454

+

+

185

+

149

+350

-1,162

+

848- -

««<•*
+1,900
-2,550
+1,050

18
+1,715
-2,33.1
+ 819

m.

83
393

436

- 2
+128
+ 65

+

275

+159

48
4- 6 k6
-1,747
~
69

4 59
4’ 548
213
+ 454

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

O
Or\
t

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits 1f

+

TOTAL DEPOSITS

- 610
+1,110

+1,900
-2^550
+1,150

too

Borrowings

+

820

+

820

■+ 812

+

849

+ 47

- 123

+

J

Other liabilities

320
+ 180

+

290

+

276

4

39

+ 20

+

160

+

r‘7
J
i

+

180

+

152

+

58

+ 35

-

39

+

98

Total capital accounts
Seasonally adjusted data
Loans and investments 2/..
Loans and discounts 2/..
U.S. Govt, obligations.,,

+

+2,700
+1,400
+1,000
+ 300

For footnot es, t■>ee pagea 1 and 3-

r/ Revised mutual savings hank figures for July 25, 19^2.



,

,

-

CHANGES IN ASSETS AMD LIABILITIES OF ALL BANKS IN THE UNITED STATES,
AUGUST 30, 1961 TO AUGUST 29, 19^2
(Partly estimated.

G.7
*

Item

All
banks

Ix?, millions of dollars)
Reserve city banks*
" All 1
All'
New
York City of
member
coral.
Other
Chicago
City
banks
banks

Country
banks

i

ASSETS
Loans and investments

+19,160

+16,580

+13,548

+1,585

+1,036

+4,485

+6,442

Loans and discounts
~ U. S. Govt, obligations
Other securities

+14,330
500
+ 5,330

+11,520
- 450
+ 5,510

+ 9,952
- 1,209
+ 4,805

+1,976
-1,477
+1,086

+ 570
- 226
+ 692

+3,648
- 831
+1,668

+3,758
+1,325
+1,359

Reserves, cash, and
» bank balances

+ 2,450

+ 2,470

+ 2,167

+

676

+

918

+ 472

+
560
+
260
+
540
+ 1,090

+
560
+
250
+
570
+ 1,090

+
564 + 109
+
280 + 50
42
+
189 +
+ 1,134 + 475

+
+
+
+

10 + 328
6 j + 81
50
3 +
82 + 459

+ 117
+ 143
+
94
+ 118

281 +

+

37

Reserve with FR Banks
. Cash in vault
Balance with banks
Cash items
*
Other assets

+

370 +

•>*

310 +

29

101

+

+

158

+

57

+21,980

+19,360

+15,996

+2,290

+1,174

+5,561

+6,971

+ 4,290
+15,100

+ 4,290
+12,700

+ 3,255
+10,596

+ 466
+1,396

+
+

859

+ 594
+4,004

+2,021
+4,337

TOTAL DEPOSITS

+19,390

+16,990

+13,851

+1,862

+1,033

+4,598

+6,358

Deposits of banks
U. S. Govt, deposits
* Other demand deposits
„ Other time deposits 1/

+
53O
+ 2,140
+ 1,650
+15,070

+
530
+ 2,140
+ 1,650
+12,670

+
513
+ 1,923
+
853
+10,562

+ 153
+ 455
87
+1,341

+
+
+
+

18
108
60

+ 207
+ 639
- 270
+4,022

+ 135
+ 721
+1,150
+4,352

* Borrowings
I
Other liabilities

+ . 870

+

870 +

860 + 340

9

+

484

+

280 +

230 +

214

-

62

+

77

+

81

+ 1,071

+

150

+

73

+

398

TOTAL ASSETS/LIABILITIES
LIABILITIES & CAPITAL
Gross demand deposits
■‘Gross time deposits

+

M

Total capital accounts
-*Seasonally adjusted data ■
Loans and investments^/.
^
Loans and discounts 2/..
v
U.S. Govt, obligations..
Other securities........



+ 1,440

+ 1,270

174

847

45

+ 118
+

450

For numbered footnotes, see first page.
+16,100
*
Changes for New York and Chicago reflect
+10,800 increases of 3 banks each on July £8, 1962.
200 Total assets of the banks added were $526
+ 5,500 million and $*0 ? million, respectively, on
Aug. 15, 196a, and "other" reserve city banks
were reduced $931 million.

4G.7

CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
(Partly estimated.

Item

In billions of dollars)

Aug. 29,

1962

July 25, Aug. 30,
1962 r/ 1 1961

y
Change to Aug. 29,
1962 from —
July 25, Aug. 30,
1961 w
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

21.8

23.0

- .1

- 1.3

16.1

16.2
5.6

' 293.3

291.2

17.5
5.6
272.1

- .1

5-6

+2.0

- 1.4
+ .1
+21.1

158.8
100.8
70.0
30.1

157.7

29.2

145.2
98.5
70.5
27-3

+1.0
+ .6
- .3
+1.0

.7
33.7

.7
33-4

+13.5
+ 2.3
- .5
+ 2.9
- .1

28.4

+ .3

+ 5.3

315.0

313.1

295.1

100.2

70.3

.8

"
-

-

+l.9_—
♦

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted y
Time deposits adjusted
Postal savings deposits
U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks

275.1

276.5

29.6
112.1

29.6
114.6

258.5

-1.4

+16.6

-2.5
+1.2

+ 1.1
+ .6
+15.1
- .1

28.5

132.9

.6

131.8
.6

111.5
117.9
.7

8.3

6.4

6.2

+1.8

+ 2.1

7.8
.5

5.9

.6

5.6
.5

+1.9
- .1

+ 2.1

1.2

1.3
.4

- .1

- .1

Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net

.4
29.9

1.3
.4
28.4

28.7

+1.6

+ 1.2

Total liabilities and capital, net

315.0

313.1

295.1

+1.9

+19.8

29-4

29.5
114.8

28.3
113.0

- .1
-1.2

+ 1.1
*t* •6

Seasonally adjusted
Currency outside banks
Demand deposits adjusted

113.6

* 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 dexaand deposits of foreign banks and of mutual
savings
 banks, were $113.5 billion on August 29xj Revised mutual savings bank figures for July 25, 1962.


*
,

*
,

-

j