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~Qc;~i~~.. F E D E R A L R E 5 ERV E ---(t~J.)---------------s-t_a__t_i_s_t_i_c_a_l___r_e__l_e_a__s_e________ .. ... ?i~ ...Rf.":.t._'?:· . .. • FOR IMHEDIATE RELEASE JUNE 12• 1973 ASSETS AND LIABILITIES OF ALL COM"ERCIAL BANKS IN THE UNITED STATES (PARTLY ESTIMATED. IN MILLIONS OF DOLLARS) All COML• BANKS LOANS AND INVESTMENTS LOANS AND DISCOUNTS u.s. TREASURY SECURITIES OTHER SECURITIES ALL MEMBER BANKS 616,760 MAY 30, 1973 CITY BANKS _l/ CITY OF OTHER OUCA80 COUNTRY BANKS .,ll 78t078 Z3,777 17St455 203.084 RESER¥~ NEW YORK 440,630 57,630 118,500 351,Z23 4l,OJO 88,141 64,505 4,424 9,}49 18,956 1,564 3,257 13lt519 12t547 29t389 134t243 22t495 46tl46 95.790 81.169 19,587 lt209 l1t779 26t594 24,190 9,440 26,660 35,500 24t111 Ttl47 15t496 34tJJI 4t321 585 lt764 10t917 1t199 127 206 1 t671 9t867 2t253 lt951 15t708 8t801 4tl82 7t575 6t036 31,590 26tl59 6t815 lt148 9t767 8t359 744,140 51Tt7Z2 104t550 28,134 217t001 238t0l7 GROSS DEMAND DEPOSITS GROSS TIME DEPOSITS 260,230 346,490 207t416 266,207 42t336 35,644 8t537 12,551 7lt937 96t 186 121 t826 TOTAL OE'POSITS 606,720 473,623 T7t980 21 '088 170tl23 204t432 32,920 6,690 226,800 340,310 30,760 StlOT 176,766 260,790 14t271 543 30t035 33tlll le912 437 6t882 lle857 10t864 1t963 62tT44 94,552 3t713 2t364 T7t105 12lt250 BORROWINGS 47,490 44t227 10t496 3e954 22tl96 7t581 OTHFR LIABILITI£S 36,080 27t776 Tt937 lt182 9tT17 TOTAL CAPITAL ACCOUNTS 53,850 42,096 8ell7 le910 14t965 RES£RVES• CASH• AND BANK BALANCES R£SERVES WITH FA RANKS CASH IN VAULT BALANCES WITH BANKS CA~H ITEMS OTHER ASSETS TOTAL ASSETS/LIABILITIES __Ll&BJI JilES L CAeJitL DEPOSITS OF BANKS GOVT. DE90SITS OTHER DEMAND DEPOSITS OTHER TIME DEPOSITS u.s. Sf&s Q.tiAU.l aD.JUSlfJLQAl.A LOANS ANO INVESTMFNTS Zl LOAN~ AND OISCOUNTS 2/ CO~~FRCIAL ' INOUSTRIAL u.s. TPFAS~Y SECURITIES OTHER SFCURITIES PLUS LOANS SOLO OUTRIG~T TO AFFILTATFS LOANc; AND niSCOUNTS .JJ co~uFRCTAL ~ INOUSTRIAL 1/ 596,400 418,100 147,200 59,600 118,700 - 82t606 17t084 AS OF NOV. 9, 1972, THE DEFINITIONS OF RESERVE CITY AND COONTRY BANKS WERE CHANGED (SEE FEDERAL RESERVE BULLETIN, NOV. 1972, P. 994). THE ClASSIFICATIONS EMPLOYED HERE ARE THE SAME AS THOSE PRI~ TO THE CHANGE IN DEFINITION, SO THESE SERIES ARE CONTINUOUS OVER TIME. 2:._/ EXCUJDES D<MESTIC CCML. INTERBANK LO!\NS. 421,700 149,400 N<YrE: CURRENT AND WEEK-AGO FIGURES REFLECT ADJUSTMENT TO DECEMBER 31, 1972 BENCHMARKS. BACK DATA AVAilABLE IN MAY FEDERAL RESERVE BULLETIN. N<YrE: C<l1PARABILITY OF FIGURES AFFECTED BY CHANGES IN MEMBERSHIP, MERGERS, ETC. - 2- CHANGES IN ASSETS AND LIABILITIES OF All COMMERCIAL BANKS IN THE UNITEO STATES MAY 2Jt 1973 TO MAY lOt 1973 (PARTLY ESTIMATED. IN MILLIONS OF DOLLARS) RESERVE CITY BANKS _l/ ~~ OF UlttER NE~~~~RK ICI CH1 AGO r--OUNTRY 16ANKS ..11 ALL COMLe BANKS MEMBER BANKS +3,910 •3e435 •1' 137 •385 +1t182 •731 +2,600 + 330 + 980 +2t230 +411 +794 +745 +358 +34 •162 •182 +41 +762 ·21 +441 +561 ·108 •278 BANK BALANCES +3,160 +2t219 •1t102 •1 •1.703 •1 t61T RESERVES WITH FR BANKS CASH IN VAULT BALANCES WITH BANKS CASH ITEMS -3,130 + 450 + 690 +5,150 •ltl29 +334 +59 +4,955 -1.064 •25 -1.054 +991 -232 •10 •254 •lt354 +114 +255 •2t688 •479 •205 •86'9 +lt022 740 •558 •71 •3 +201 •283 +7 ,810 +6t212 +106 •313 +3t092 •lt631 IROSS DEMAND. DEPOSITS 8ROSS TIME DEPOSITS +7,930 + 410 •6t674 +406 +861 +346 •506 •139 +3t206 •12 •2• 101 +3 TOTAL DEPOSITS +8,340 +Tt080 +1t20T +645 +3t124 .••• u. +1,250 -1,020 +7,820 + 290 +ltll6 -911 +6,600 •275 -292 -195 +lt373 •321 •105 +63 +431 +46 •1t019 •594 +2tT95 •214 -liS +2t00l ITF'M AL~ A~c:~rs L OANS AND INVESTMENTS LOANS AND DISCOUNTS u.s. TREASURY SECURITIES OTHER SECURITIES RESERVESt CASH• AND OTHER ASSETS TOTAL ASSETS/LIABILITIES + ·11 •''' JTIE$ • CAPJTAL DEPOSITS OF BANKS u.s. GOVT, DEPOSITS OTHER DEMAND DEPOSITS OTHER TIME DEPOSITS _,, •• BORROWINGS 210 ·339 ·373 ·64 •194 +292 OTHER LIABILITIES 360 -536 .., ·716 ·182 +169 +193 ·12 •16 •T +42 TOTAL CAPITAL ACCOUNTS ... 40 FOR NUMBERED FOOTNOTES SEE PAlE 1. - 3CHANGf~ IN A~SETS ANO LIARILITIES OF ALL COMMFRCIAL HANKS IN THE UNITED STATES MAY 31 t 1972 TO MAY 30t 1973 (PARTLY FSTIMATEO. IN MILLIONS OF DOLLARS) ALL COML• BANKS ALL MEMBER BANKS +84,500 +6St925 +12t359 +5,630 +24t302 +23t634 +80,510 - 3,610 + 7,600 +64t913 -3,373 +4t385 •13t706 -833 -514 +5,673 -101 •58 +24t673 •1t815 +1t444 •20t861 ·6Z4 +3t397 - 5.120 -6,355 ·Zt929 -329 ·2t634 -463 - 5,290 + 1,140 + 410 - 1,380 -5,289 +798 -423 •1t441 •1t926 •79 +199 -1t2B1 -414 •11 +1 +73 •2t650 •238 -57 -165 -299 +470 -566 -68 + 5,690 •4,614 +lt355 •136 +1tl86 +lt737 +85,070 •64tl84 •10t785 +5t4l7 +23t054 •24t908 GROS~ DEMAND DEPOSITS GROSS TIME OEPOSITS + 8,200 +53,800 +4tl82 +42t015 -923 +Bt05l •212 +4t367 +473 •.l4t476 +4t420 •15tl21 TOTAL DEPOSITS +62,000 •46tl97 +7tl28 +4,579 +14t949 •19t541 + 1,660 - 2,310 +11,440 +51,210 +1tl84 •2t006 +7t270 •39,749 +770 -528 +117 +6t769 •318 •153 •251 +3,857 -141 •le086 +2t028 +14t148 +237 -545 +4t874 +14e97S BORROWINGS +14,220 +12tl20 +2t393 •674 +5t761 +3t492 OTHER LIABILITIES + 3,310 +lt927 +745 +110 +lt269 -197 TOTAL CAPITAL ACCOUNTS + 5,540 +lt740 +519 •74 +lt075 +2t072 ITFM RUElfV£ CrTY BANKS 1/ NEW YORK CITY OF OTHER CITY CHICAGO COUNTHY BaNKS .1/ ASSETS LOAN«; AND INVESTMENTS LOANS AND OISCOUNTS U,~. TREASURY SECURITIES OTHER SECURITIES RESERVES• CASHt AND BANK AALANCES RESERVES WrTH FH RANKS CASH TN VAULT BALANCES WITH BANKS CASH ITEMS OTHER ASSETS TOTAL ASSETS/LIABILITIES --LJtBI! IllES ' CAPIIAL DEPOSITS OF BANKS u.s. GOVT. DEPOSITS OTHER DE~AND DEPOSITS OTHER TIMF DEPOSITS SfASQ~AI LX ADJUSIED DAIJ LOANS ANO INVESTMENTS_£/ LOAN«; AND DISCOUNTS .£1 COM~FRCIAL ~ INOUSTRIAL u.s. TREASURY SECURITIES OTHER SECURITIES PLUS LOANS SOLD OUTRIGHT TO AFFILUTES LOANS ANO DI~COU~TS gl COMMERCIAL ~ INOUSTRIAL +80,300 +76,200 +26,000 - 3,500 + 7,600 +77 ,300 +26,800-- FOR NUM~ERED FOOTNOTES SEE PAGE 1, - 4 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, and Treasury Currency Funds H.8 (Partly estimated. In billions of dollars) Item May 30, 1973 Change to May 30, 1973 fran -Apr. 25, May 31, !Apr. 25, May 31, 1973 1972 1973 1972 ASSETS 19.3 19.3 18.8 10.4 10.4 10.4 .4 .4 .4 8.5 750.0 8.5 746.4 8.0 667.9 +3.6 +82.1 469.8 137.9 46 5.1 140.2 396.8 138.9 +4.7 -2.2 +73.0 - 1.0 61.0 73.9 2.9 63.2 74.0 2.9 64.7 71.6 2.6 -2.2 - .1 + 2.3 + .3 142.3 141.1 132.1 +1.2 +10.2 769.3 765.7 686.7 +3.7 +82.6 683.9 677.4 606.8 +6.5 +77 .1 57.5 191.3 435.0 10.6 56.9 191.9 428.7 + .6 +6.4 + 4.4 +12.8 +59.9 15.4 53,1 178.5 375.2 11.1 -4.7 - 6.7 3.9 3.6 11.7 3.7 9.0 2.1 3.2 2.9 .4 .4 .4 Capital and miscellaneous account, net 70.9 69.3 Total liabilities and capital, net 769.3 765.7 Monetary reserve Gold stock Special Drawing Rights certificates Treasury currency Bank credit Loans, net U. S. Treasury securities Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net + .5 + .5 - 3. 7 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted TUne deposits adjusted !/ U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash. - •6 •5 -5.0 - 2.3 + .2 + .4 + 1.8 + .7 65.5 +1.6 + .1 + 5.3 686.7 +3.7 +82.6 Seasonally adjusted Currency outside banks 57.0 57.4 53.3 - .4 + 3.7 Demand deposits adjusted 194.2 191.3 181.2 +2.9 +13 .0 * Figures may not add to totals because of rounding. Treasury funds included are gold account, Treasury currency account, and Exchange Stabilization Fund. 11 Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $196.2 billion on May 30, 1973. Note: Current and month-ago figures reflect adjustments to December 31, 1972 benchmarks.