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RESERVE FEDERAL statistical release August 25, 1965 For immediate release ASSETS AND LIABILITIES OF ALL BAMS IN THE UNITED STATES, AUGUST 11, I965 J.4 Item ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities (Partly estimated. All All coml. banks banks In millions of dollars) Reserve city 1oanks All member New York City of Other banks City Chicago 3*1,870 286,860 236,5** *1,071 10,522 231,**0 187,830 158,090 29,735 61,670 55,8*0 *2,60* *,759 *8,760 *3,190 35,850 6,577 Country banks 87,667 97,28* 7 ,l60 61,722 1,599 1,763 13,511 12,*3* 59,*73 22,735 15,076 \ .Reserves, cash, and bank balances 53,080 52,100 *5,056 9,065 2,1*8 18,26* 15,579 Reserve with FR Banks Cash in vault * Balances with banks m Cash items 17,110 5,110 13,900 16,960 17,110 *,980 13,110 16,900 17,112 3 ,8*1 7 ,66* 16,*39 3,75* 315 6,898 1,160 2,0*9 2,303 *,7*7 996 63 97 992 8,157 5,269 2,5*3 10,*80 9,530 8,327 2,650 *20 2,911 2,3*6 TOTAL ASSETS/LIABILITIES *05,*30 3*8,*90 289,927 52,786 13,090 Other assets • LIABILITIES & CAPITAL ►Gross demand deposits Gross time deposits TOTAL DEPOSITS * Deposits of bsuaks ^ U. S. Govt, deposits Other demand deposits Other time deposits Borrowings *Other liabilities r Total capital accounts NOTE: 2*9 163,600 163,5*0 136,719 2*,928 191,680 1*0,560 115,*87 17,732 6,33* *,873 252,206 *2,660 11,207 16,260 15,279 *,67* 6,950 6,950 1,*73 I'2!! 19,396 1*1,580 1*1,520 116,196 190,*90 139,370 11*,*78 17,117 1,256 355,280 30*,100 16,260 5,*6* 108,8*2 115,209 51,696 *3,650 53,761 *9,232 95,3*6 102,993 379 *,721 *,851 238 *2,0*6 *3,*22 2,015 1,857 50,033 *9,088 5,070 5,070 *,730 1,702 **0 1,902 686 11,1*0 9,9*0 8,70* 3,295 338 2,821 2,250 33,9*0 29,380 2*,287 5,129 1,105 8,773 9,280 Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, JULY 1*, 1965 TO AUGUST 11, J.^ Item 1965 (Partly estimated. In millions of dollars) — -Air'- .’AIT Reserve city banks All member New York City of coml. banks banks City Chicago Other banks Country^ banks > Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances . TOTAL ASSETS/LIABEITIES + -156 - 26 593 392 15* + 63 + 76 + 12 - 152 + 268 -*,1*0 -3,752 925 -258 Lt1*£33_ - 2*0 - 250 - 800 -2,870 - 235 - 189 - 512 -2,816 - 21 + 35 - 3 - 25 - 290 - 290 - 156 + -*,*90 -*,860 -*,3** - *30 - 150 - 58O + 690 - 530 58O + 680 + -*,160 Q O vwlici aoowvo -106 - *36 *0 - OO Reserve with FR Banks Cash in vault Balances with banks Cash items *83 *st l T\C0 hCVICM F-co CM 11 1 1 ASSETS Loans and investments - - i n 128 + 25 ' V-* - 161 + 186 , - 160 -265 - 113 -1,370 - 2* + *H + - 251 r -1,38* -321 -1,*77 6 1 897 - 89 61 28 119 , 373 28* * -1,162 1 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits -6,700 +1,930 -6,700 +1,700 -5,902 +1,*29 -1,622 + 299 -*** + 80 -2,097 + *96 - 1,739 .. + 55!>._ TOTAL DEPOSITS -*,770 -5,000 -*,*73 -1,323 -36* -1,601 -1,185 -1,010 -1,800 -3,900 +1,9*0 -1,010 -1,800 -3,900 +1,710 - 98* -1,563 -3,361 +1,*35 *75 + 833 293 Borrowings - 230 - 230 - 200 - Other liabilities + 280 + 170 + 168 - 230 200 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Total capital accounts + + + 161 - 336 -103 - 96 . - 539 -1,226 -253 + 500 + 88 - 70 1 - 620 . -1,0*9 + 55* * 72 - 11 - 56 - 61 25 + *5 + 1*5 + 3 35 + 81 308 + 36 + 9 + * -3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, AUGUST 12, 1964 TO AUGUST 11, 1965 J.4 >* Item All banks AH coml. banks All member banks Reserve city banks New York City of Other Chicago City Country banks ASSETS ^ Jioans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances +31,260 +27,100 +21,919 +4,957 + 932 +7,193 +8,837 +27,800 +23,360 +19,483 +4,786 - 2,970 - 2,690 - 2,828 - 846 + 6,430 + 6,430 + 5,264 +1,017 + 887 - 135 + 180 +6,682 -1,368 +1,879 +7,128 - 479 +2,188 5 - 381 + + + - 83 9 54 43 - 119 + 67 - 134 - 195 + 147 + 170 + 19 + 155 + 171 + 371 + 437 + 1,250 + l,l4o + 520 + 520 + 370 + 220 + 140 + 370 + 120 130 + 681 + 576 518 + 407 275 + 29 192 - 23 80 + 163 Reserve with FR Banks Cash in vault Balance with banks l.. Cash items + + + + '"''Other assets + 1,550 + 1,470 + 1,178 + 199 491 +34,060 +29,710 +23,778 +5,732 +1,098 +7,183 +9,765 " 'Gross demand deposits Jjross time deposits + 4,960 + 4,950 + 3,267 + 360 +23,010 +19,060 +15,861 +3,831 + + 18 726 + 525 +5,310 +2,364 +5,994 +27,970 +24,010 +19,128 +4,191 + 744 +5,835 +8,358 ‘ TOTAL DEPOSITS Deposits of banks k * U. S. Govt, deposits A Other demand deposits Other time deposits + 440 + 1,290 + 3,500 +22,740 + + + 87 83 17 731 + 33 + 501 + 56 +5,245 + 133 + 195 +2,046 +5,984 »■ Borrowings + 1,400 + 1,400 + 1,242 + 364 + 157 + 389 + * >Other liabilities + 1,750 + 1,610 + 1,157 + 480 + 117 + 329 + 231 + 2,940 + 2,690 + 2,251. + 697 + 80 + 630 + 844 TOTAL ASSETS/LIABILITIES LIABILITIES & CAPITAL * Total capital accounts + 440 + 1,290 + 3,^90 +18,790 + 402 + 1,125 + 2,014 +15,587 + 323 + 346 - 105 +3,627 332 -4CONSOLIDATED 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. J.4 Item In billions of dollars) Change to Aug. 11, 1965 from — Aug. 11, July 14, Aug. 12, July 14, Aug. 12, 106^ _ 1064 1965... _ 1065 _ 1064 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 19-3 19.3 i * 21.0 - .1 155.6 *5 - .1 + + + + .1 .2 - 1.7 - 1.6 - .1 . +34._3__ +2b«5 + 1.3 " - 3.0 + 4.5 - .1 + 6.4 * 377.2 377-1 342.9 226.7 101.7 226.5 200.2 102.5 100.4 61.7 39.5 62.3 48.1 64.6 35-0 •7 - 42.3. 396.5__ 396.4 363*2. 350.5 349.3 322.8 +1.2 35-1 124.6 190.5 .3 34.8 125.7 I88.5 .4 33.4 121.3 167.7 .4 • + -3 -1.0 +1.9 + 1.7 „ + 3.4 +22.7 - .1 •< 7.9 9.7 6.7 -1.8 + 1.2 » 7.0 8.8 5.7 .9 1.0 -1.8 .9 + 1.3 * - .1 1.7 1.7 1.3 .4 35.6 35-0 32.7 + .6 + -3 + .4 + 2.9 396.5 396.4 363.9 + .1 +32.5 .6 1*8.8 39-1 1.2 -7 .6 .4 .5 .7 +32.5._!! 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 Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Total liabilities and capital, net .8 .8 .+2L J _ . * Figures may not "SuftT totals because of rounding. Treasury^;Included are gold account, Treasury currency account, and Exchange Stabilization F u n . 1/ Demand deposits adjusted, Including demand deposits of foreign banks savings banks, vere $126.9 billion on August 11, 1965•