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FEDERAL
s t a t i s t i c al

%

\%)
assets

|j.^
Item

RESERVE

release

J

For isMdistt ralease
January 9, 1968
1967

Aiiria«Eaii*rw ALL bahks n m u i p f b > arcana, December 2 7 ,
(Partly estimated. In Millions of dollars)
nr
■ ni—
Reserve city ‘
banks
Jm m L
■amber lav York m * <rf Other
coal.
hanks
banks
Chicago
banks
City

ASSBTS
Loans and investments

Country
banka

422,970

358,560

292,480

51,975

12,830

105,703

121,972

287,250
67,040
68,680

235,720
62,540
60,300

196,949
46,855
48,676

38,977
5,930
7,068

9,386
1,571
1,873

73,834
14,405
17,464

74,752
24,949
22,271

72,760

71,840

63,931

16,512

2,995

25,083

19,341

20,910
7,100
15,800
28,950

20,910
6,950
15,120
28,860

20,905
5,401
9,390
28,235

4,734
483
414
10,881

1,205
109
237
1,444

8,794
1,724
2,543
12,022

6,172
3,085
6,196
3,888

13,400

12,270

10,786

3,484

528

3,916

2,858

509.130

442.670

367.197

71.971

16.353

134.702

144.171

LIABILITIES * CAPITAL
Gross demand deposits
Gross time deposits

201,250
242,650

201,160
182,680

168,616
148,177

36,388
20,858

7,613
5,992

61,016
55,973

63,599
65,354

TOTAL DEPOSITS

443,900

383,840

316,793

57,246

13,605

116,989

128,953

20,820
6,880
175,120
241,080

20,820
6,880
175,030
181,110

19,705
6,142
144,159
146,787

7,290
1,691
28,211
20,054

1,308
379
5,932
5,986

8,712
2,273
50,430
55,574

2,395
1,799
59,586
65,173

8,500

8,500

7,991

2,360

653

3,952

1,026

Other liabilities

17,820

16,420

14,653 .

6,645

863

3,805

3,340

Total capital accounts

38.910

33,910

27,760

5.720

1.232

9.956

Loans and discounts
U. S. Oort, obligations
Other securities
Reserves, cash, and
bank balances
Reserve with FR Banks
Cash In vault
Balances vlth banks
Cash Items
Other assets
TOTAL ASSETS/LIABILITIES

Deposits of banka
U- S. Govt, deposits
Other demand deposits
Other time deposits
Borrowings

1 / Excludes total ccnl. interbank loans.
344,400
224,000
60,000
60,400
Comparability of figures affected by changes In IB membership, mergers, etc./
and in reserve classifications.

Seasonally adjusted data
T^ona on/I mrAafwuillf.a 1 / .
T/tona Anri rM Annuntfl T /.
IT
Omrh. nhlifffttionfl

NOTE:

10.852 .




-

CHAKJES

II ASSETS AID

2-

LIABILITIES OF ALL BAHKS IN TBS

U U X D STATES,

NOVEMBER 29, 1967 to DECEMBER 27, 1967

Item
ASSETS
Loans and investments
Loans and discounts
U. S* Govt, obligations
Other securities
Reserves, cash, and
hnnk 'h&.lfinoes
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
fyfcHer Assets

All
member
banks

All
All
coml.
banks r/ banks

Reaerre city banks
!Rev York City of
Other
Chicago
City

Country
banks

+ 8,010

+ 7,610 • + 6,780

+2,170

+480

+2,482

+1,648

+ 7,510
210
+
710

+ 7,260
310
+
660

+ 6,434
236
+
582

+2,178
- 327
+ 319

+543
-130
+ 67

+2,206
+ 278
2

+1,507
57
+ 198

+10,110

+10,110

+9,122

+3,406

+435

+3.126

+2.155

+ 1,740
+
330
+ 1,850
+ 6,190

+ 1,740
+
330
+ 1,850
+ 6,190

+1,735
+ 293
+1,034
+6,060

+ 403
+
58
+
45
+2,900

+133
+ 12
+ 81
+209

+ 565
+ 152
+ 284
+2,125

+
+
+
+

634
71
624
826

+

+

+

+

144

+ 63

+

+

79

450

450

407

121

+18,570

+18,170

+16,309

+5,720

+978

+5.729

+3,882^

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+15,570
+
720

+15,570
+
320

+13,895
+
209

+5,470
- 387

+800
- 55

+4,323
+ 237

+3,302
+ 414

TOTAL
AU DEPOSITS

+16,290

+15,890

+14,104

+5,083

+745

+4.560

+3.716

+ 2,510
+ 1,640
+11,390
+
750

+ 2,510
+ 1,640
+11,390
+
350

+ 2,434
+ 1,559
+ 9,876
+
235

+1,284
+ 793
+3,375
- 369

+ 62
+152
+502
+ 29

+ 835
+ 388
+3,095
+ 242

+ 172
+ 226
+2,904
+ 414

Borrowings

+ 1,580

+ 1,580

+ 1,535

+

414

+

3

+1,015

+

103

Other liabilities

+

680

+

680

+

644

+

232

+223

+ . 129

+

60

+

20

+

20

+

26

+

+

+

3

TOTAL ASSETS/LIABILITIES

l v i

A/£li v

U X X m

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

1 Total capital accounts

9

7

25

Changes in seasonally adjusted data. November 29, 1967 to December 31, 1967 (estimated).
1_/ Excludes total coml. interbank loans,
+ 100
Loans and investment* \J.........
+1,700
Loans and discounts \J.........
r/ Figures for mutual savings banks
U.S. Govt, obligations........... -1,800
were revised.
Other securities................. + 200




CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
DECEMBER 31, 1966 TO DECEMBER 27, 1967

J.H
It 3m

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

Country
banks

ASSETS
Loans and investments
Loans and discounts
U. S. Govt, obligations
Other securities
Reserves, cash, and
bank balances
Reserve vith FR Banks
Cash in vault
Balances with banks
Cash* items
Other assets

+41,286

+35,899

+28,793

+5,439

+1,028

+ 9,872

+12,454

+21,228
+ 6,124
+13,935

+17,994
+ 6,377
+11,528

+14,147
+ 4,931
+ 9,716

+3,036
+1,010
+1,394

+
+
+

630
26
371

+ 4,370
+ 1,365
+ 4,138

+ 6,111
+ 2,530
+ 3,813

+ 2,675

+ 2,721

+ 3,193

+1,643

+

357

+

855

+

337

+ 1,841.
+ 1,477
- 1,072
+
430

+ 1,841
+ 1,500
- 1,030
+
410

+ 1,836
+ 1,152
248
+
452

+
+
+
+

672
157
115
699

+
+
+
-

390
17
84
134

+
+

+
+

+

441
398
77
93

333
579
370
205

+

+

+

+

464

+

34

+

112

+

42

792

682

651

+44,754

+39,302

+32,638

+7,547

+1,418

+10,839

+12,833

LIABILITIES & CAPITAL
Gross demand deposits
Gross tine deposits

+ 8,659
+27,604

+ 8,646
+22,907

+ 7,178
+18,553

+2,467
+2,942

- 138
+1,069

+ 1,786
+ 6,400

+ 3,062
+ 8,142

TOTAL DEPOSITS

+36,264

+31,553

+25,730

+5,409

+

932

+ 8,185

+11,204

+
81
+ 1,642
+ 7,299
+27,241

+
83
+ 1,649
+ 7,279
+22,542

+
124
+ 1,497
+ 5,941
+18,170

+ 453
+ 592
+1,676
+2,688

+

150
68
76
+1,089

114
+
583
+ 1,426
+ 6,290

66
+
255
+ 2,914
+ 8,101

Borrowings

+ 3,571

+ 3,641

+ 3,373

+

486

+

169

+ 2,000

+

718

Other liabilities

+ 2,935

+ 2,252

+ 2,052

+1,230

+

284

+

169

+

369

Total capital accounts

+ 1,984

+ 1,856

+ 1,482

+

+

33

+

485

+

543

TOTAL ASSETS/LIABILITIES

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

422

Chances in seasonally ad lusted data, !December 31, 1966 iCo December 31, 1967 (estimated).
+34,200
Loans and investments _1/.. •
+16,200
T^onc ovtrl rH ar*rmrrf.c 1 / .
TT Q flnmr-h .
*Tcrft*h*!rvna --..... .... + 6,300 NOTE: 1Komnarisons are with call date
+11,700
figures of the previous year.
Other securities........
For numbered footnotes, see first page.
*
Figures may not add to totals because of rounding.



-4-

ryiMgnT.TnATRn CONDITION STATBMENT FOR BANKS AND TIE MONETARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banka,
the Postal Savings System, and Treasury Currency Funds
(Partly estimated.

J.*
Item

In billions of dollars)

Dec. 27,
1967

Nov. 29,
1967— ^

Dec. 31,
1966

Change to Dec. 27,
1967 from ~
Nov. 29, Dec. 31,
1966
1967

ASSETS
Monetary reserve
Gold stock
Treasury Currency
Bank credit
Loans, net
U> 3. Oort, obligations
Gcouaarelal and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

19.2

19.7

19.5

- .5

-

.3

12.4
6.8

12.9
6.8

13.2
6.3

- .5

+

.7
.5

465.3

458.0

422.7

+7.4.

+42,7

279.3
117.4

273.0
117.1

261.5
106.5..

+6.3
+

+17.8
,.j-io-a-

67.0
49.2
1.2

67.3
48.5
1.3

60.9
44.3
1.2

- .2
+ .6
- .2

+ 6.1
+ 4.9
+ .1

68.7

68.0

54.7

+ .7

+13.9

484.6

477.8

442.2

+6.7

+42.4

427.7

421.0

392.3

+6.7

+35.4

40.4
146.2
241.1
--

39.7
141.0
240.3
--

39.0
139.3
213.8
.1

+ .7
+5.2
+ .8
--

+ 1.4
+ 6.9
+27.1
- .1

7.2

7.0

5.7

+ .2

+ 1.6

6.0
.4

5 .2
L.8

5.2
.4

+1.6
-1.4

+ 1.6
- .1

2.1
1.4
46.2

1.9
1.5
(-6.5

1.9
1.2
41.2

+ .2
- .1
- .3

+ .2
+ .2
+ .5.<2

484.6

477.8

442.1

+6.7

+42.4

T.TABTLrmES ABD CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/
Tine deposits adjusted
Postal savings deposits
TJ. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital
miscellaneous account, net
Total liabilities and capital, net

Seasonally adjusted
+ 1.9
+ .5
39.0
f/37.6
39.5
Currency outside banks
+ 8.7
+2.2
139.3
141.5
-T32.8. .
Demand deposits adjusted
* Figures nay not add to totals because of rounding. Treasury fund* included axe
gold account, Treasury currency account, and Exchange Stabilisation Fund.
1/
deposits adjusted, including demand deposits of foreign banks and of mutual
savings banks, nere $149.0 billion on December 27, 1967.
2/ December 28, 1966.
only for the last

http://fraser.stlouisfed.org/
r/ Figures for mutual
Federal Reserve Bank of St. Louis

Figures and comparisons of seasonal adjustments are available
Wednesday of the month.
savings banks were revised.