The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
....... FEDERAL statistical RESERVE release FOR IMMEDIATE RELEASE APRIL 1, 1 c; 7 7 ASSETS AND LIABILITIES OF 4~l H.8 (PARTLY ESTIMATED. CCJMMERCIAL IN MILLIONS OF ALL COML .. BANKS BANKS IN THE UNITED STATES DOLLARS) ALL MEMBER BANKS MARCH 23, 1977 RESERVE CITY BANKS l / NEW YORK CITY OF OTHER CHICAGO COUNTRY BANKS .l/ ASSETS LOANS AND '!:./ INVESTMENTS 824,430 607' 964 9 2, 241 31,667 219,052 265,024 571,890 103,700 148,840 430 '227 75 '433 102.324 11,22'1 12,036 8,976 23 ,.078 4.,2.27 4,362 162,946 24,268 31' 83 Es 172,974 34,902 57,148 120,460 '19 ''147 2 7, 42 0 3.802 38~7 30_.478 30,580 12,270 37,220 40,390 30' 584 9 '286 21,023 39 '0~4 t., 2t. 5 1,010 b, 157 13,988 1 ,.311 170 336 1,985 13., 431 2., 977 5.,352 16,487 9,577 5 '12.9 9,178 6,594 55,980 49' ~83 1",570 3,263 19,614 7.136 1,000,870 757 '514 139,231 38 '732 276,913 302,638 GROSS DEMAND DEPOSITS GROSS TIME DEPOSITS 295,370 505,330 228' 964 363' 234 51,266 4 3, 820 9 t313 15,339 8 o, 371 12 7_1 779 88 ,a 14 176.296 TOTAL DEPOSITS 800,700 592' 198 95,086 24,652 208' 150 264,310 43,370 3,130 258' 120 496,080 38 '740 2 '306 195 '044 356,108 18,78 5 241 3 5, 003 4 1, 057 2,934 56 7 t374 14,2 88 12,413 754 69,558 125,425 4,608 1,2 55 83 '1 09 175 ,3 38 86,620 18 '535 i: o, 50 6 9,996 :n, aoo 10,2 33 37,240 28' 595 1 lt 22 5 1,394 1 o, 741 5,2 35 76,310 58 ' 186 12,414 2,690 2 o, LOANS AND DISCOUNTS ~/ U.S. TREASURY SECURITIES OTHER SECURITIES RESERVES, CASH, AND BANK BALANCES RESERVES WITH FR BANKS CASH IN VAULT BALANCES WITH BANKS CASH ITEMS OTHER ASSETS '}_/ TOTAL ASSETS/LIABILITIES LI!6ILIII~S & CAeiiAL DEPOSITS OF BANKS U.S. GOVT. DEPO~ITS OTHER DEMAND DEPOSITS OTHER TIME DEPOSITS BORROWINGS OTHER ll LIABILITIE~ '}_/ TOTAL CAPITAL ACCOUNTS _,);_/ - y ~~2 -· AS OF NOV. 9, 1972, THE DEFINITIONS OF RESERVE CITY AND COUNTRY BANKS WERE CHANGED (SEE FEDERAL RESERVE BW~LETIN, NOV. 1972, F. 994). THE CLASSIFICATIONS EMPLOYED HERE ARE THE SAl-lE AS THOSE PR lOR TO THE CHANGE IN DEFINITION, SO THESE SERIES ARE CONTINUOUS OVER TIME. 2/ INCLUDES "RESERVES FOR LOAN LOSSES" AND "UNEARNED INCOME ON LOA..~S". "'j_! EFFECTIVE MARCH 31, 1976 "RESERVE FOR LOAN LOSSES" AND "UNEA..R.NED INCOME ON LOANS", WHICH FOR ALL C01-fr1ERCIAL BANKS ARE ESTIMATED TO BE APPROXIMATELY $14.5 BILLION, HAVE BEEN NETTED AGAINST "OTHER ASSETS" AND "OTHER LIABILITIES" AND, THEREFORE, AGAINST "TOTAL ASSETS/LIABILITIES". ~/ EFFECTIVE MARCH 31, 1976 INCLUDES "RESERv'ES FOR SECURITIES" AND A PORTION OF "RESERVES FOR LOAN LOSSES". NOTE: COMPARABILITY OF FIGURES AFFECTED BY CHANGES IN MEHBERSHIP, MERGERS, ETC. 22 'c3 60 CHANGES IN ASSETS AND LIABILITIES OF ALL MARCH H.8 16~ 1977 TO (PARTLY ESTIMATED. ITEM COMMeRCIAL BANKS IN THE UNITED MAR CH 2 3 t STATES 1 97 7 IN MILLIONS OF DOLLARS) ALL Kt :>E:KVE (.1 IT tiANrc;.S ..!./ [NEW YORK l\..1 IT OF UIHtK C.I TY CHICAGO ALL COML. bANKS MEMBER BANKS -10,020 -6.079 -3, 132 -39 -2,556 -2 .. 3 52 - 8,970 670 380 -6 ~ 850 -753 -476 -2,700 -335 -97 +101 -125 -15 -1,663 -405 -488 -2,588 +112 +124 + 760 +1,132 +2,2.26 +53 -594 -553 + 5,060 + 350 +5 '063 +251 -1,347 -2' ii35 +861 +34 +283 +1, 04d +259 +2 +113 -321 +2,677 +45 -731 -2,58 5 +1 ,266 +170 -1 ,o l2 -977 +213 +393 +163 -230 -113 734 -513 +177 -3,380 -3 ,o 18 COUNTRY BANKS ..!./ ASSETs LOANS AND INVESTMENTS !:_I !:_/ LOANS AND DISCOUNTS U.S. TREASURY SECURITIES OTHER SECURITIES - - RESERVES, CASH, AND BANK BALANCES RESERVES WITH FR BANKS CASH IN VAULT BALANCES WITH BANKS CASH ITEMS OTHER ASSETS - 1,620 - 3,030 ll + TOTAL ASSETS/LIABILITIES ll 120 - 9,140 -6 t LIABILITIES & C,APIIAL GROSS OEM AND DEPOSITS GROSS TIME DEPOSITS + 2,100 -14,070 +1 '709 -£,02 5 -926 +108 -6,786 +970 -4~333 +144 TOTAL DEPOSITS -15' 100 -12 '361 -1,881 -818 -5,816 -3, 84b - 1,860 - 7,590 - 7' 770 + 2,120 -1,649 -5,835 +1 '735 -450 -1,869 +184 +254 -71 -6' 612 -645 -191 +89 ·-807 -2.' 637 -3,277 +~05 -321 -1,461 -2 ~551 +487 + 6,220 +5' 647 + 1, 43 5 +1 ,068 +2,413 +731 -17,200 DEPOSITS OF BANKS GOVT. DEPOSITS OTHE~ DEMAND DEPOSITS OTHER TIME DEPOSITS u.s. BORROWINGS flTHER LUBILITIES ll TOTAL CAP I TAL ACCOUNTS fl._ I +4b7 - 320 -7L -76 -76 +2 +78 + 60 +52 +9 +3 +21 + 19 · FUR NI.JoolBERED FOOTNOTES SEE PAGE 1.