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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.