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FEDERAL
!

R

E

S

E

R

V

E

r e ie o s e
November 25, 1964
For immediate release

LIABILITIES OF ALL BANKS IN THE UNITED STATES, NOVEMBER 11, 1964
?AL -RES

(Partly estimated.
Item

\*

ASSETS
Loans and investments

All
banks

All
coml.
banks

In millions of dollars)
Reserve city banks
All
member New York City of
Other
Chicago
banks
City

319,350

267,450

220.670

36.401

209,130

168,730

66,760

60,810

43,460

37,910

142,060
47,111
31,499

53,160

52,310

16,620

16,620

4,860
14,540
17,140

4,730

9,590

Country
banks

9,936

82,663- 91,668

25,225

6,514

5,483
5,695

1,808

56,326
15,525

1,614

10,812

53,995
24,295
13,378

45,428

9,330

2,115

18,302

15,681

3,552

13,870
17,090

16,623
3,666
8,543
16,596

253

992
55
142

5,227

926

6,977
1,124
2,451
7,750

2,189
5,697
2,693

8,710

7,636

2,496

298

2,611

2,231

382,100 328,470 273,734 48,229

12,349

103,576

109,580

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

163,580 163,530 137,104 25,067
172,810 124,550 102,077 14,380

6,399
4,444

51,701
38,842

53,937
44,411

TOTAL DEPOSITS

336,390

288,080

239,181

39,447

10,843

90,543

98,348

17,280
4,250

17,280

16,228

4,611

1,403

4,250
3,860
879
142,960 142,910 117,749 19,981

236

8,051
1,517

2,163

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/LIABILITIES
I

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

Borrowings
► r
Other liabilities
,

Total capital accounts

298

5,102

171,900

123,640

101,344

13,976

4,785
4,419

42,299

38,676

1,228
50,684
44,273

4,200

4,200

3,978

1,390

257

1,893

438

9,740

8,800

7,986

2,937

204

2,744

2,101

31,770

27,390

22,589

4,455

1,045

8,396

8,693

►-

-> NOTE:

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




CHANGES IN ASSETS AM) LIABILITIES OF ALL BANKS IN THE UNITED STATES,

OCTOBER 1*, 1964 TO NOVEMBER 11, 1964
■I.*

Item

(partly estimated.. In millions of dollars)
'AI T ~
All
Rfese:rve city banks
All
member Nev York City of
COJOl.
Other
banks
banks
City
Chicago
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 ASSKDS/LIAMITIES

Country 4
banks
*

628

+24o

+

776

+895

,

+124

359
36

46o
28
l4o

+
+

+513
+247
+135

"
,

- 22

783
2
9

-3,310

-3,125

421

-447

-1,819

-438

+ 130
- 120
- 520
-2,820

+ 130
- 120
- 500
-2,820

+ 131
90
- 370
-2,796

619
12
38

+ 25

+
-1,066

- 28
-444

- 524
29
- 123
-1,143

+ 11
,
- 49
-257 *
-143
_

+

+

+

76

82

+ 27

A... 1L_

+116

-1,766

-1,131

-180

-1,028

+573
•■...— ----- H

+1,960

+1,730

+1,283

+1,550
+ 440
10

+1,210
+ 490
+
30

+
+
-

-3,330

140

-1,210

140

-l,44o

960

-

+

+138

V
*

^

*

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

-2,910
+ 960

-2,910
+ 710

-3,058
+ 608

-1,524
+ 307

-345

+167

62

+228
+196

TOTAL DEPOSITS

-1,950

-2,200

-2,450

-1,217

-178

-1,479

+424

- 550
- 580
-1,780
+ 960

- 550
- 580
-1,780
+ 710

- 586
- 521
-.1,951
+ 608

528
231
767
+ 309

- 47
- 14
-284

+167

84
85
-1,246
64

+ 73 *
-191 „
+346
+196 -

Borrowings

+

510

+

510

+

481

+

161

- 21

+

283

+ 58

Other liabilities

+

10

+

4o

+

32

-

94

+

5

+

105

+ 16 "

Total capital, accounts

+

220

+

210

i- 171

+

19

f 14

+

63

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




-1,417

+ 75

^
r
^

'

A"

- ►'

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,

*
► *►

NOVEMBER 13, 19&3 TO NOVEMBER 11, 1964
4

(Partly estimated.

»>

Item

In millions of dollars)
All
member
banks

All
coml.
banks

All
banks

Reserve city banks
New York City of
Other
Chicago
City

Country
banks

ASSETS
Loans and investments
^A
Loans and discounts
U. S. Govt, obligations
* Other securities
>
Reserves, cash, and
* r bank balances
Reserve with FR Banks
* Cash in vault
* Balance with banks
Cash items
*►
*

+23,680 +19,390 +15,791

+3,352

+594

+6,080

+5.il65_

+21,280 +17,050 +14,221
- 1,360 - 1,410 - 1,526
+ 3,760 + 3,750 + 3,096

+2,746
- 205
+ 811

+661
- 15
- 52

+5,765
- 888
+1,203

+5,049
- 4l8
+1,13^

+ 1,100 + 1,060

.-.jBi.

+
+
+
-

660 +
80 +
490 +

130

+

894

+

739

-113

660 +
80 +

659
144

44o +
120 -

410
15
34
280

+ 78
+ 6
+ 18

148

+
+
+
+

931

+

239

25

+

451
101
l4o
14

196

-215

+
+
-

227

+
+
+
+

187

+104

+

206

+_JQL

22
47

^Other assets

+ 1,280 + 1,160

+

* TOTAL ASSETS/LIABILITIES

+26,060 +21,610

+17,616

+4,278

+585

+6,103

+6,650

Qross demand deposits
Gross time deposits
►

+ 4,480 + 4,490 + 3,351
+18,050 +13,940 +11,644

+ 886
+3, 022

- 91
+677

+ 637
+4,l4o

+1,919
+3,805

■TOTAL DEPOSITS

+ 22,530 +18,430

+14,995

+3,908

+586

+4x711-

+5».7Sk_

+
720 + 64o
+
850 + 917
+ 3,060 + 1,954
+13,800 +11,484

+
88
+ 353
+ 584
+2,883

+ 37
+ 86
-207

+

+670

+ 340
+ 479
- 160
+4,118

- 49

+

208

+

105

-

6

+

367

+

103

+ 54

+

751

+

718

r

LIABILITIES & CAPITAL

J Deposits of banks
„ , U. S. Govt, deposits
Other demand deposits
* Other time deposits
Borrowings
pther liabilities
/
^Total capital accounts




+
720
+
850
+ 3,050
+17,910
+

260 +

260 +

173

-

91

+

610 +

540

469

+

5

+ 1,979

+

456

+ 2,660 + 2,380

+

175
1
+1,737
+3,813

_4_
CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*

All Commercial, Savings, and Federal Reserve Banks,
the postal Savings System, and Treasury Currency Funds
j lj.

(partly estimated.

In billions of dollars)

Change to Nov. 11,(
1964
from —
Nov. 13/
Oct.
14,
Nov. 11, Oct. 14, Nov. 13,
. 1964___ . 196.1-.
1064... ..19 &
-.1963
* ,

Item
ASSETS
jyiUIlt?UctXy Icoci vc.
Gold stock .
Treasury Currency
Bank credit
Loans, net
U. S. Govt, obligations
Commercial and savings banks
Federal Reserve Banks
Other
’
A
4
U
Q
y
»
G
/
a
n
i
l
f
l
f,i <2
UuIlCX DCUlU 1U1CD
Total assets, net

21.0

21.0

21.2

-

-2 „

15-5
5*5

15-5
5-5

15.6
5.6

-

-1,
.1

3S2.5
205.5
103-5
66.8
35-9
-9
43.5

349.7
204.1
102.2

373-4

370.7

332.2
34.1

r
+2.7
+1.5
+1.3
+ .4
+ -7
+ .1

+27.3, ,
+21.4
+ 2.1"
- 1.4"
+ 3.2 J
+ .2
+ 3.8"

346.4

+ 2.7

+27.0 "
i-

329.6

309.0

+2.6

+23.3

32.0

171.9
.4

33-5
124.8
170.9
.4

122.6
154.0
•5

+ .6
+1.0
+1.0

+ 2.14
+ 3.2
+17.9"
- .1 ,

4.9

5.9

4.4

-1.0

+

.5

4.3

.6

4.8
1.0

3-4
1.0

- .6
- .4

+
-

-9
.4-

1-3
-5
3^-5

1.3
t5
33.4

1.1
.4
31.4

+1.1

+ .2 ^
+ .1
+ 3-1

373-4

370.7

346.4

. +2.7

66.3
35-1
•7
43-5

325.2 _
184.1
101.4
68.1
32.7
.6 ;

39.7

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/
Time deposits adjusted
Poatal savings deposite

125.8

U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net
Total liabilities and capital, net




+27-0.

‘'Ruae of rounding. Treasury funds included are
-"'rf Exchange Stabilization Fund.
■
' -> io-u banks and of mutual