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FEDERAL statistical RESERVE release 't. LIBRARY N ovem ber 2*, 1965 For immediate release reserve- ^ A* ASSETS AMD LIABILITIES OF ALL BANKS IN THE UNITED STATES, NOVEMBER 10, I965 J** Item 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 ASSETS/LIABILITIES (Partly estimated. All All coml. banks banks In millions of dollars) Reserve city ' All banks member New York City of Other banks City Chicago 351,230 .295.430 243.025 *1.986 238,800 194,170 163,31* 30,830 63,150 57,570 *3,570 *,869 IO.816 7,620 89,628 100.595 . 63,525 6,287 1,485 1,711 13,682 12,*21 58,090 . 57,120 *9,871 12.082 2.212 19,025 17,470 5,270 1*,730 17,472 3,974 8,355 3,7*6 996 7,15* 1,199 2,299 8,373 49,280 20,620 . 1Q,790 420,110 43,690 17,470 5,1*0 13,9^ 36,1*1 20,070 318 210 7,808 .2*830 . 8,53* 2,661 20,570 80 ! 115 1,021 Country banks 61,339 23,53* 15,722 16,552 . 5,576 2,377 5,731 2,868 409 .2,981 362,380 301,*30 56,729 - I ^ J T 2,*83__ 111,63* 119,630 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 170,420 170,370 1*2,272 27,392 197,050 145,130 119,005 18.168 TOTAL DEPOSITS 367,470 315,500 261,277 *5,560 11,259 Deposits of banks ' U. S. Govt, deposits Other demand deposits Other time deposits 18,450 17,291 2,650 2,650 2,375 150,560 150,510 123,632 21,835 195,810 143,890 117,979 17,565 1,300 100 4,881 *,978 8,0*8 84* 43,591 44,743 2,2*3 971 53,325 50,693 Borrowings 18,450 6,259 5.000 52,225 *5.001 56,396 50.836 9T,226 107,232 6,270 6,270 6,002 2,391 693 2,377 5*1 Other liabilities 11,700 10,580 9,381 3,607 362 3,083 2,329 Total capital accounts 34,670 30,030 2*,770 5,171 1,123 8,948 9,528 NOTE: 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, OCTOBER 13, 1965 TO NOVEMBER 10, j,l^ 1965 (Partly estimated. Item ASSETS T/iflnft find Investnisnts Loans and discounts U- S. Govt, obligations Other securities Reserves, cash, and VUn aJ nJlErV ‘ h fllfi.nppfl di UOXOiUvvO Reserve with FR Banks Cash in vault Balances with banks Cash items vuUwJL aoovvp TOTAL ASSETS/LIABILITIES In millions of dollars)________ Reserve city banks All All City of Mew York < member coml. Other Chicago City j i banks banks f All banks + 280 100- - 165 + - 2m 1 Country banks -128 - 516 +686 ; +553 - 49 +182 ' V +1,620 - 9T0 - 370 +1,310 - 860 - 350 + 387 +1,067 - 109 - 791 - 441 i - 485 + 92 - 58 + 35 - 471 - 80 -2,760 -2,760 -2,531 +. 236 -844 -1,272 - 420 - 190 - 750 -1,400 - 420 - 190 - 750 -1,400 - 415 - 152 - 634 -1,330 - 420 - 33 - 35 + 724 -202 - 1 - 76 -565 - 82 - 54 - 35 -1,101 +289 - 64 * -488 , -388 “ - 120 - 120 - 108 - 103 i + 31 - - 13 \ -2,600 -2,780 -2,804 - 74 -162 -941 23 -1,811 < A + 22 r LIABILITIES & CAPITAL Gross demand deposits d6DOsits v/OD time UXillv UW^vwii vw -4,050 +1.010 -4,050 + 850 -3,933 + 698 - 454 + 27 -2,474 -674 + 311 + 31 _ TYYPAT. TVRPOSITS -^.o4o -^.200 -^.235 - 427 -643— -2,163_ - 2 - 250 -3,720 - 110 +1,040 - 250 -3,720 - 110 + 880 - 252 -3,504 - 210 + 731 + 75 -1,089 + 486 + 101 - 90 -353 + 26 -226 - 225 -1,473 - 740 + 275 - 12 -589 +270 +329 + 96 + 308 -341 + 130 - 1 * Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits -331 “ +329— . * * * * Borrowings + 90 + 90 Other liabilities + i4o + 130 + 168 + 13 + 34 + 156 - 35 "* Total capital accounts + 210 + 2QSL + + 32 + 9_ + + 60 - 167 66 f* ■4 CHANGES IN ASSETS AMD LIABILITIES OF ALL BANKS IN THE UNITED STATES, NOVEMBER 11, 1964 TO NOVEMBER 10, J-h Itam 1965 (Partly estimated. In millions of dollars) Reserve city banks All All All City of New York member coml. banks Chicago Other banks banks city Country banks ASSETS +31,260 +27,360 +22,355 +5,583 + - 880 +6,965 + 8.927 +29>450 +25,220 +21,254 +5,605 - 3,930 - 3,560 - 3,541 - 614 + 5,740 + 5,700 + 4,642 + 592 +1,106 - 323 + 97 +7,199 -1,843 +1,609 + 7,344 - 761 + 2,344 "Reserves, cash, and > bank balances + 4,840 + 4,720 + 4,443 +2,752 + 91 + 723 + 871^ * Reserve with PR Banks „ Cash in vault Balances with banks Cash'items + 850 + 370 + 140 + 3,480 + 850 + 849 + 194 308 + 20 + 3T0 + + 20 - 188 - 43 + 3,480 + 3,474 +2,581 + + + h 25 27 95 + 177 + 75 - 152 + 623 + + + + 474 188 34 175 Other assets + 1,160 + 1,080 + 898 + 165 ;+ 111 + + 252. vLoans and investments ■» Loans and discounts *• U. S. Govt, obligations , > Other securities TOTAL ASSETS/LIABILITIES +37,260 .+33JS2. +27,696 +8,500 370 +1,088 +8,058 +10,050 , ik o LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 6,46o + 6,46o + 5,168 +2,325 +24,060 +20,400 +16,928 +3,788 + 556 + 524 +6,159 + 2,459 + 6,425 tOTAL DEPOSITS +30,520 +26,860 +22,096 +6,113 + 416 +6,683 + 8,884 Deposits of banks U> S. Govt, deposits * Other demand deposits ■ Other time deposits + 1,160 + 1,160 + 1,063 +1,089 - 1,650 - 1,650 - 1,485 - 419 + 7,270 + 7,270 + 5,883 +1,854 +23,740 +20,080 +16,635 +3,589 103 - 136 + 96 + 559 3 - 673 +1,292 +6,067 + 80 - 257 + 2,641 + 6,420 ^Borrowings + 2,070 + 2,070 *0ther liabilities + 1,760 + 1,580; + 1,395 + Total capital accounts + 2,024 +1,001 + 436 + 484 + 103 670 + 158 + 339 + 228 + 716 + 78 + 552 + 835 _ + 2,910 + 2,6SEL' + 2.181 -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.* In billions of dollars) Change to Nov. 1965 from — Oct. 13, Nov. 11/ Nov- 10,I Oct. 13,I Nov. 11,I 1964 1965 1964 1965 196? Item ASSfeTS Monetary reserve Gold stock Treasury Currency Bank credit Loans, net TJ. S. Govt, obligations 19-4 21.0 —— - 1.6 : 13-9 5-5 3-3.9 5*5 15-5 5.5 m m Ja - 1.6 * * 386 »3 1 386.7 1 353-1 232.8 232.0 104.3 1 105.0 205-7 103.8 + .8 - .7 +33*_3JL V +27-0 * + .5 < 67-1 35-9 •9 -1.0 + .1 + .1 - 3-9 ' + 4.2* + *2 4-3-5 - .4- + 5.7.1 - +U/Z^_ 63.2 Commercial and savings banka Federal Reserve Banks Other 64.1 39*9 1.0 1.1 49.3 Total assets, net I 4-0.0 Other securities t. tatvtt. tttes 19.14- 1 49.7 I - -3^ 1 lj-05.7 406.0 I T74-.0 362.2 359-2 332.6 +3.0 +29.5 r 36.1 129.9 195*8 •3 35-5 128.7 194-.8 34.1 126.2 + .6 +1*3 +1.0 1 ’3 7 .3 + 2.1 + 3-8* +23-7 , - .1 ' >•■ 4.9 -z A — 4-3 .6 -3*7 + -3 - 1.7* + .5 1 6.4 •9 1.6 .8 37.1 34.6 + .2 + -3* + .3* + 2»7 •v 406.0 374.0 I ** •J AMD 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 1 ^.8 2.7 1.2 1.6 .8 37*3 Total liabilities and capital, net I 405.7 172.1 .4- 1-3 •5 +U-7" * Figures may ncrt odd to totals became of rounding. "* a^unt, Ireasniy currency account, and **,*1 1/FRASER Demand deposlta adjusted, Including demand deposits of f°™Ksa bants ana or r o Digitized for swings banks, were * 132.2tlllion on November 10, 19&5