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FEDERAL *22%. ■M H 1 .................... P 0 RESERVE - L *.. * June 11,. 1963 For immediate release f.T B R A R Y % * ASSETS J.4 (formerly G.7) Item f OF ALL BANKS IN THE UNITED STATES, MAY 29, 19^3 (Partly estimated* In millions of dollars) Reserve city banks All All Country All City of Other New York member coml. banks banks Chicago City banks banks ASSETS Loans and investments * ► Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances 236,390 195,892 32,115 8,832 73,497 81,448 175,920 141,550 119,515 69,120 62,910 50,023 26,354 37,500 31,930 20,886 6,478 4,751 5,428 2,050 1,354 47,300 17,187 9,010 45,901 24,308 11,239 282,540 47,720 46,880 41,009 9,323 2,084 16,603 12,999 15,920 4,320 15,921 3,574 3,208 zko 971 42 6,938 14,942 195 5,314 162 909 6,727 999 2,164 6,713 4,649 1,927 4,417 15,350 15,920 4,190 11,480 15,290 7,890 7,140 6,345 2,186 227 2,262 1,670 338,150 290,410 243,246 43,624 11,143 92,362 96,117 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 150,090 150,030 148,000 105,250 127,103 86,001 25,088 10,371 6,259 3,500 48,368 33,242 47,388 38,888 TOTAL DEPOSITS 298,090 255,280 213,104 35,459 9,759 81,610 86,276 4,485 1,256 6,366 1,522 2,452 39,706 Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 12,130 13,507 6,236 7,060 129,540 129,480 107,939 147,220 104,470 85,422 19,612 10,106 1,134 350 4,791 3,484 14,270 7,060 14,270 33,086 2,006 2,178 43,830 38,746 Borrowings 2,990 2,990 2,910 1,292 165 1,131 322 Other liabilities 8,720 7,810 7,150 2,926 248 2,208 1,768 28,350 24,330 20,082 ■ 3,947 971 7,413 7,751 Total capital accounts Seasonally adjusted data TAftvio owrl 4mrftfl'hWATl'hSl T / * 234.800 138.800 TT NOTE: <3 ftrnrh riblifif&.’blons* •••••*»»•« 64,100 31,900 l/ Excludes total coml. interbank loans. Comparability of figures affected by changes in FR membership, mergers, etc •, and in reserve classifications. CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, AFRIL J.4 (formerly G.7) Item 2k , 1963 TO MAY 29, 19&3 (Partly estimated. In millions of dollars) Reserve city banks All I All All member New York City of coml. Other banks Chicago City banks banks ASSETS Loans and investments Loans and discoiintB 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 Csmtry banks s +1,810 +1,500 +1,303 + 286 + 19 ..+_5IL + 422 +2,450 -1,130 + 490 +2,110 -1,100 + 490 +1,838 + 628 - 927 - 327 + 392 - 15 +137 + 509 + 564 - 142 - 340 + 209 + 198 + 430 + 420 + 575 +1,027 +135 - .231- - 250 - 700 - 100 - 260 +1,490 - 700 - 100 - 270 +1,490 - 702 - 293 - 78 - 20 - 156 + 12 +1,511 +1,328 + + + - 392 _ 19 7 - 50 + 30 - 235 54. + 32 + - 32 + 6 +. 22_ - 50 - 60 4l - -118 —— 2 1 37 97 52 - +2,190 +1,860 +1,837 +1,281 +160 + 276 + 120 Gross demand deposits Gross time deposits + 360 +1,690 + 360 +1,430 + 592 +1,197 +1,237 + 171 +159 +131 - 288 - 476 + 549 + 386 TOTAL DEPOSITS +2,050 +1,790 +1,829 +1,368 +290 + 261 - 200 +3,060 -2,520 +1,710 - 200 +3,060 -2,520 +1,450 - 163 +2,718 -1,981 +1,255 + 339 + 532 + 309 + 188 - 60 +184 + 34 +132 - 340 « . 102 +1,168 + 834 -1,116 -1,200 + 549 + 386 Borrowings - 280 - 280 - 325 60 -148 - 298 + 181 Other liabilities + 210 + 170 + 176 - 47 + 10 + Total capital accounts + + 180 + 157 + 20 + 8 + TOTAL ASSETS/LIABILITIES T.TA-RTT.WTES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments l/ Loans and discotuits 1/ . U.S. Govt, obligations.. 210 90 - 17 8^ + 46 230 For numbered footnotes, see first page. +2,200 +1,400 + 100 + 700 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, I [ MAY 30, 1962 TO MAY 29, 1963 i> 4 (formerly G-7) | (Partly estimated. Item T* All banks In millions of dollars) Reserve city banks* All All member New York City of Other coml. Chicago City banks banks Country banks ASSETS • Loans and investments m ** Loans and discounts U. S. Govt, obligations ^ Other securities Reserves, cash, and bank balances +22,040 +18,430 +14,712 +2,581 +1,201 +4,064 +6,866 +17,870 +1,663 - 689 +1,607 + 836 + 124 241 +3,996 -1,398 +1,466 +5,040 + 73 +1,753 +1,031 + 156 + 239 + 14 + 9 4 + + 63 98 - 500 + 25 9 + 564 + 66 + 129 +14,070 +11,535 - 1,890 - 1,490 - 1,560 + 5,730 + 5,850 + 5,067 + 1,510 + 1,490 + 1,307 + + 80 + 4o - ^ Reserve with FR Banks Cash in vault * Balance with banks ^ Cash items ’ Other assets 470 1S0 - 470 + + + 160 280 + 1,540 + 260 1,540 + 880 + Ooo + + + 467 133 122 + + 1,519 + 18 760 + 671 + 266 - 197 + 90 50 + 97 + 210 + +7,116 +24,430 +20,720 +16,690 +3,878 Gross demand deposits Gross time deposits ■ » r* + 3,350 + 3,350 +17,770 +i4, 350 + 2,322 +ll,8o4 + 635 +2,238 + - 245 +3,944 +1,695 +4,624 ’’TOTAL DEPOSITS +21,120 +17,700 +14,126 +2,873 +1,235 _ +3A99 +6,319 550 + 473 + 550 + 390 - 488 - 390 + 3A70 + 3,170 + 2,310 +17,790 +14,370 +11, 831 + 372 - 165 + 434 +2,232 26 - 345 + 95 +3,975 + 130 + 33 +1,538 +4,618 + TOTAL ASSETS/LIABILITIES > -* i, ^ " LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits + + 237 998 3 11 243 +1,006 + 920 + 920 + 908 + 686 + 90 + 73 Other liabilities + 820 + 700 + 589 + 113 + 11 + 250 + 215 Total capital accounts + 1,570 + i,4oo 206 + 87 + 251 + 523 Borrowings + 1,0(o( + 59 see first page. For n-jaribered footnotes, i Seasonally adjusted data r Tinsmd Anri immRtmiantfl 1 /. +18,400 * Cnaagss tor wew icrjc s.na umceigo reixecx/ t >1 o_n uuxy „n_aO *lA > Loans and discounts !/• •*»»... . +14,000 increases 01^ ^ x/y1uAei* .1 «n Da.n.KS ey.cn < tj . s . Gortrfc* o b l i g a t i o n s . . . • . ............. - i,4oo TotaJ.. assets or tne oariHB aa.aea were + 5 ,Goo million and $405 million, respectively, on Aug. 15, 1962. and "other" reserve city banks were reduced $931 million. 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. (formerly G . 7 ) In billions of dollars) Change to May 29, i q 6s from — .. A p r i l 24, K a y 30? 19 b 2 1963 Iviay 29 > 19o3 Item A p r i l 24, 1 ^ May 30; " '{ OiSO 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 21.4 21.5 2 2 .0 1 5 .8 15.9 5.6 16.4 5.6 5-6 - ..1 - .1 ~ _-6 .6 +2 2 . T + 1 6 .9 —— 311. 5 3 0 9- 6 288.9 +2 . 0 173.1 171.1 101. 5 1 5 6 .2 + 2 .0 100.9 - 70.7 29-6 .7 1 0 0 .9 .5 ‘ 1 A -l.i + .6 - 1 .6 + 1.5 + -5 + 5 .7 +1.9 + 2 2 .0 - 1 .7 + 20.0 + .6 -4 .0 +1.7 + 1.4 + 1.6 +1 7 . 8 - 1 37 •5 70.3 3 0 .5 .7 37-0 I 332. 9 331. 0 3 1 0. 9 I 29 2 .6 294.4 271- 9 30.7 ll4 .2 147-2 :5 3 0 .2 118 .2 29-3 1 1 2 .6 1 4 5. 5 -5 129-4 .6 7.7 5-1 8 .0 J + 2 *6 «0 " 4.0 7-5 I .6 1 .1 .6 +3-1 - .5 - Ji- " 7-1 1 .2 1.2 1.3 .4 29,.. 3_ 6 9 .1 31 .1 •7 Total assets, net ' I 31.8 1 ' LIABILITIES AMD CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Tima deposits adjusted Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks I Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 1 •L.O Total liabilities and capital, net I P. Cl 3 U .0 „ _3,10_.JL 3 0 .6 1 !■.9 30. 5 117. 29-2 114.3 Seasonally adjusted Currency outside banks Demand deposits adjusted .4 I I ,. 4 29.9 j - - A - .1 . „1 +1 .1 1 I + 1 .9 . + 2 2 . Q..^ .1 -3 .° + 1.4 - .4 ' + r <*• ... •• cccouru-, 1/ ixmuo ... OCM-U.V or a ‘A! ;• ^ " ;l :;koLny: bank:., were ""riormv T r e a s u r y fund, included are -old -hi ] w ■■-a-wo '1cab.1.1.5 zah 1 o n Fima. 1 .-,11.,-., .n'M irlll.lon on . ;i ,n,vrit^ of frroirn i ^ n 1:.; and or mutual *-•. 1 - y; 1. -