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MONTHLY ESTIMATES OF ASSETS AND LIABILITIES OF
ALL BANKS IN THE UNITED STATES

The attached statement is the first of a series that will be
released monthly showing estimated assets and liabilities of all banks,
all commercial banks, and all manber banks by class of bank. The new
monthly series supplements and is the same as the semi-annual all-bank
series regularly published in the Federal Reserve Bulletin. The new
series is also consistent with the revised semi-annual all-bank series
announced jointly by the Federal bank supervisory agencies on November
10 except that the latter includes banks in United States possessions.
The member bank data in the new statement are tabulated and
partly estimated from various reports submitted to the Federal Reserve
Banks, namely, from weekly condition reports of member banks in leading
cities, and, for other member banks, from monthly reports of loans and
investments and reports of deposits submitted for reserve purposes.
The figures for mutual savings banks are obtained from the monthly series
published by the National Association of Mutual Savings Banks. The non­
member commercial lank figures are estimated changes from call date data.
Some
months in 19I4.7
statistics for
estimates will
United States,

of the items of this series have been published for earlier
in the Federal Reserve Bulletin in the table of current
Federal Reserve chart books. Hereafter, the latest monthly
also be shown in the Bulletin table, "All Banks in the
By Classes".

Attachment,

December 3, 19^ 7 .




BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
Q,y

(For Immediate Release)

December 3, 191+7

ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, OCTOBER 29, 191+7
(Partly estimated. In millions of dollars)__________ ______
Member banks
"■■'ill”"
Res erve
com­
Central
reserve
AU
Item
Country
mercial
city
city
banks
Total
banks*
banks
banks
banks*
lifew York Chicago
ASSETS
Loans and investments
Loans and discounts
U, S .Govt.obligations
Other securities

36,310

135,160 116,1*1+0
1*1,780 36,91+0
82,750 70,51+0
10,630
8,960

97,983
31,530
59,171
7,282

20,1+31+
7,051+
12,163
1,217

5,031+

36,205

1,756
2,896

12,909 | 9,811
20,853
23,259

31*.1*90

33,820

29,596

6,10;

1,610

16,790
2,220

16,790
2,150

16,791
1,635

l+,3l*7
11*3

9,970

9,380

5,791+

30

30

5,1+80
1,930

2,U+3

3,21*0

1,051+
26

11,656
6,602
51*8

10,229
l+,788
918

58

H+1+

1,836

3,756

26

12

2

9

3

5,1*70

5,350

1,51+1

381*

2,661

761+

1,690

1,1+1*3

325

1+1

580

1+97

171,580 151,950

129,022

26,860

6,685

1+8,1+1+1

1+7,036

LIABILITIES AND CAPITAL
10i+,780 10l+,770
Gross demand deposits
12,100 12,100
Deposits of banks
Other demand deposits 92,680 92,670

90,737
11,821+
78,913

22,1+86
1+,175
18,311

5,279
1,150
i+,129

33,701
5,1*55
28,21+6

29,271
1,01+1+
28,227

Time deposits

35,530

28,385

1,1+78

885

11,370

U +,652

157,970 11+0,300

119,122

23,961+

6,161+

1*5,071

1+3,923

Reserves, cash, and
bank balances
Reserve with FR Bank
Cash in vault
Balances with banks
in U. S.
Balances with banks
in foreign coun­
tries
Cash items in process
of collection
Other assets
Total assets

53,190

TOTAL DEPOSITS
Borrowings
Other liabilities
Total capital accounts
Total liabilities
and capital
accounts
Demand deposits
adjusted
* FRASER
Figures have
Digitized for


382

1*1*0

1*1+0

1+17

171

60

136

50

1,290

1,200

1,061

1+78

l+o

383

160

11,880

10,010

8,1+22

2,21+7

1+21

2,851

.1 2,903
i

171,580 151,950

129,022

26,860

6,685

1+8,1+i+l

1+7,036

85,530

72,121

16,1+01+

3,663

25,081+

26,970

85,530

been rounded to nearest IQ million*

►

7

q, (a)

CHANGES IN ASSETS AND LIABILITIES OF ALL B A M S IN THE UNITED STATES,
JTO® 30, 1947 TO OCTOBER 29, 1947

Item

(Partly estimated.
'All
com­
All
banks* mercial
banks*

In millions of dollars)
Member banks
Central reserve
Reserve
city
city banks
Total
New York Chicago
banks

Country
banks

ASSETS
Loans and investments
Loans and discounts
U, S .Govt.obli gat ions
Other securities
Reserves, cash, and
bank balances
Reserve with FR Bank
Cash in vault
Balances with banks'
in U, S.
Balanoes with banks
in foreign coun­
tries
Cash items in process
of collection
Other assets
Total assets;

+ 4 ,060

+3,680

+3,182

+

102

+

232

+3,4X0

+ 3,260

+2,875
27
+ 334

+

506
408

192

+

4

+
+
+

34

+1,594
+1,468
+
8
+
118

70

—

6

+1,254
+ 709
+ 367
+ 178

+
+

580

+

+

950

+1,120

+

902

w

142

+

89

+

415

+

540

+
+

750
290

+
+

750
310

+
+

751
226

+
+

181
20

+

81
10

+
+

328
78

+

+

161
138

+

290

+

430

+

273

+

8

18

-

28

+

311

10

420

8

10

8

-

370

-

360

-

340

-

343

+

230

+

170

+

142

+

10

-

-

+

1

1

35

+

38

-

70

+

5

+

64

+

63

30

•¥

326

+ 2,073

♦1,857

197

+

242

+1,718

+1,613

+ 572
+1,146

+ 151
+1,462

+5,24o

+4,970

+4,226

+3,990

+4,000

+ 750
+ 3,240

+ 750
+ 3,250

+3,376
+ 842
+2,534

+
-

49
246

+
+

70
172

311

+

19

+

14

178

+

256

LIABILITIES AND CAPITAL
Gross demand deposits
Deposits of banks
Other demand deposits
Time deposits

+

TOTAL DEPOSITS

+4,620

Borrowings

+

380

+

380

+

367

+

170

+

60

+

125

+

12

Other liabilities

+

80

+

70

+

65

-

35

♦

5

+

74

*

21

Total capital accounts

+

160

+

130

+

107

+

13

+

5

+

55

+

34

Total liabilities
and capital
accounts
Demand deposits
adjusted
*

630

+

390

+4,390

+

+ 3,687

101

+

177

+1,790

+1,819

.

-.j

|
+ 5,240

+4,970

+4,226

30

+

326

+ 2,073 , + 1,857

90

+

236

+ 918 1 + 1,462
1________ ...

'
+ 3,250

+3,250

+ 2,526

i

Figures have been rounded to nearest 10 million.




+