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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.