The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
FEDERAL -· RESERVE statistical release FOk IMMEDIATE REL~ASE O~TOBER 17, 1978 A~SfTS AN~ LlABlLlTlES OF ALL ~OMMERCIAL BANK~ ALL Mt:M8Ek R&NKC::. RANKS UNITED STATES :, UC. TOBf.R (PARTLY ESTIMATE:IJ. IN MILLIONS OF '()()t;·LAR£) Al.L COML. T~E IN ~~<;.J:A NEW YORK V? C 1 TV CITY OF <t, 197 b lANK<;. 1.1' OTHER ~OUNTRY BANKS lJ CHICAC.O A~l:l!;.ll:l 998 210 715.495 104e7b9 36.049 264.535 310,142 738,570 94,050 165,590 535,565 65,468 114,462 83,828 9,1t-75 11,466 28,554 2,647 4t848 206,2.95 21,694 36,546 216,888 31,652 b1,602 14Q_600 119. 7b8 32-849 5.501 46.032. 35,386 30,470 12,840 49,310 56,980 30,466 9,566 l5,605 1,530 12,281 5~,131 7,352 988 8,567 15,942 623 3,160 5,650 24,861 9,303 5,150 10,765 10,168 69 780 59.444 25-271 2·774 4:!.3.383 8,016 217 590 A94. 707 16~-889 44-~24 333-950 353.544 <:.RO;,::. DEMANu DEPOSIT~ bROSS TIME DtPOSlTS 363,620 'iQ4 660 2.14, 149 417.398 57,733 48.434 10,931 18.380 98,636 152'.085 106,849 198,499 TOTAL DEPOSITS 958 280 b91.547 106·167 29.311 250.72.1 305,348 56,440 10,140 308,980 582,720 50,923 7,280 225,672 407,672 23,346 1,188 36,255 45,37& 4,052 194 7,560 17,505 17,373 2 9 028 83,613 147,707 . 6,152 3,870 98,244 197,082. 110' 200 96,b47 27,546 9,163 4.5,608 14,3310 62,350 4l,598 15,344 2,802 14,814 8,638 86,760 64,915 13,83~ 3,048 22,807 25,228 LOANS AND l.N\IESTMENTS J:./ LOANS ANO UlSC.OUNTS J:./ U.S. TREASURY SEC.URlTI~S OTHeR St~URITH:S RESE:RVc:.S, L.ASH, ANu BANK BALANCES RESERVES wiTH FR SANKS CASH IN VAULT BALANCES WITH bANKS CA::.H ITEM::. OT~ER ASSETS]_/ TOTAL ASSETS/LlAB1LllltS1/ use 3,2.~0 Ll~blLlll~~ ~ ~AfiiAL DEPOSiTS OF BANK~ U.~. bOVT. DEPOSITS OTHER DEMAND DEPOSITS OT~ER TIM~ ~EPOSITS ~ORROWlN(,~ OT~t:k Ll A81LlTlES ]_/ TOT"L CAPITAL •C. (. OUN TS !z_/ ~ lf AS OF NOV. 9, 1972, THE DEFINITIONS OF RESERVE CITY AND COUNTRY BANKS WERE CHANGED (SEE FEDERAL RESERVE BULLETIN, NOV. 1972, P. 994). THE CLASSIFICATIONS EMPLOYED HERE ARE THE SAME AS THOSE PRIOR TO THE CHANGE IN DEFINITION, SO THESE '>ERIES ARE CONTINUOUS OVER TIME. 2/ INCLUDES "RESERVES FOR LOAN LOSSES" AND "UNEARNED INCOME ON LOANS". EFFECTIVE MARCH 31, 1976 "RESERVE FOR LOAN LOSSES" AND "UNEARNED INCOME ON LOANS", WHICH FOR ALL COMMERCIAL BANKS ARE ESTIMATED TO BE APPROXIMATELY $14.5 BILLION, HAVE BEEN NETTED AGAINST "orHER ASSETS" AND "OTHER LIABILITIES" AND, THEREFORE, AGAINST ''TOTAL ASSETS/LIABILITIES". !z_/ EFFECTIVE MARCH 31, 1976 INCLUDES "RESERVES FOR SECURITIES" AND A PORTION OF "RESERVES FOR LOAN LOSSES". NOTE : COMPARABILITY OF FIGURES AFFECTED BY CHANGES IN MEMBERSHIP, MERGERS, ETC. J/ - .2- ~HANGES IN ASSETS ANO LIABILITIES OF ALL COMMERCIAL ~ANKS 1~ THE UNITED STATES SEPTEMBER ~7, OCTOBER 197& Tu 4, I976 (PARTLY ESTIMATEu. IN MILLIONS OF DOllARS) H.8 ALL COML. BANKS ITE::M ALL M~MBER BANKS Rt:SERVE CITY ~ANK.S J./ YORK (';I TY Of OTHER CHICAGO CITY ~OUNlRY ~EW BANKS .L A!i..S.t:TS +10,480 +8, 595 +3,303 +589 +1,909 +2,794 +11, 170 80 610 - +8,586 +81 -72. +2,916 +402 -15 +754 -18 -147 +1,925 -.231 +215 +2.,991 -72 -1.25 + 6,030 +4,390 +3,272. -332 -370 +1,820 + + 2,100 2,160 2,910 7,380 -2,099 -1,562 +1,603 +6,44b +1,247 -2,173 +961 +1,183 -S99 -2.1 -2l6 +504 -335 +2,646 -574 -914 +1,193 +2,115 + 500 -515 -1,863 -3lb +884 +780 TOTAL ASSt:.TS/llABILHIES1 +17,010 +12,470 +-4,71.2 -59 +2,423 +5,394 LOA~S AND INVESTMENTS '!:_/ LOANS AND DISCOUNTS 2/ TREASUkY ~ECURITlES OTHER SECURITIES u.s. RE!)ERVI::S, CASH, AND BANK BALANCES RESERVES WITH FR BANKS CASH IN VAULT BALANCES WITH BANKS CASH ITEMS OTHER ASSETS 11 ~lA~lLlll~~ ' -119 -so a ~'ell6L GROSS OEMANO DEPOSITS GROSS TIME DE::POSITS +17' 140 20 + +ll,8o2 +1.lb ... ~.280 +346 +49l -185 +l,9b5 -60.2 +-6,125 +557 TOTAL uEPfjSITS +17' 160 +11,978 +-2,626 +307 +-.2.,363 +6,68£ + 3,390 - 1,350 +14,760 360 + +2.,897 -1,451 +10,08l +451 +371 -63 +Z, 175 +143 +879 -ZZ6 -180 -16b +935 -1,2.89 +2.,800 -63 +712 +1.27 +5,286 +557 BORROWlNGS - 1,730 -5-'t-6 +1,.2'f() -629 +109 -1,266 OTHER Ll AB l L 1T H. S 11 + 1' 920 +1,1')1 +816 +221 -2 +156 -153 +30 +4.2 -47 -178 DEPOSITS OF BANKS GOVT. DEPOSITS OTHER DEMAND DEPOSITS OTHER TIME DEPOSITS U.~. tOTAL CAPIT~L ACCOUNTS y - FOR NUMBERED FOOTNOTES SEE PAGE 1. 340