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G.7

,

^ 0 0 V£i;:ND^s,

OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
y

/ASSETS AND L_,
V OfDA, RES£g\ft-Sj,

1

(For Immediate Release)

•

February 3, 1959

1!IES OF ALL BANKS IN THE UNITED STATES, DECEMBER 31, 1958
(Partly estimated.

Item

All
banks*

In millions of dollars)
Member banks
All
Central
reserve Reserve
commer­
city
city
banks
Total
cial
banks
Chicago
New
York
banks*

Country
banksl/

ASSETS
Loans and investments
Loans and discounts
U. S. Govt, obligations
Other securities
Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets
Total assets

25,962

6,830

60,553

61,1+51+

97,980
66,180
20,1+20

81+,010 16,163
7,1+80
5l+,373
16 ,1+16 2,319

3,637
2,562
631

33,996
20,680
5,877

30 ,211+
23.651
7.589

1+8,890

1+7.970

li2 .575

9,327__

2.159

17,692

± ± ML

18,1+70
3,510
12,710
ll+,200

18,1+70
3,1+00
11 ,91+0
l2+,l6o

18,1+71
2,577
7,663
13,861+

l+,l+7l+
162
11+7
1+.51+1+

1,058
.36
199
866

7,1+86
771
2,703
6,732

5,1+53
1,608
1+.611+
1.722

Il.870

i+,390

3,898

1,153

83

1,525

...Aim-

236,91+0 201,272

36,141+2

9,072

79.770

75,988

26,1+69
5,221

6,71+2
1.1+72

51.183
21.1+1+8

1+1+.339
25.,QTL.

220,910

181+,580

121,3^0
73,1+50
26,120

2714j670

151+.799

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

1148,550 11+8,520
99,520
65,650

TOTAL DEPOSITS

21+8,070

2ll+,170 181,91+6 31,690

8,2lli

72.631

6,9.4.11

18,060
b, 510
128,680
96,820

18,060
it,510
128,650
62,950

17,255
1+,100
109,829
50,762

1,391
256
5.136
1.1+31

7.832
1,51+3
142,300
20,956

1.530
1,297
1+1.677
2l+,907

70

70

55

3

16

36

1+.730

1+,13°

3,71+3

1,1+67

122

1,371

21,800

18.570

15,528

3,285

733

5J52

27l+,670 236,91+0

201,272

36,ljl+2

9,072

79,770

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits
Borrowings
Other liabilities
Total capital accounts
Total liabilities
and capital
*

128,733
53.213

6,502
1,001+
20,716
3,1+68
------

Figures have been rounded to nearest 10 million.

1/ Includes an Alaska and a Virgin Islands member bank.



!

783
5 .758__

75.988

*G.7(a)

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
NOVEMBER 26, 1958 TO DECEMBER 31, 1958
(Partly estimated.

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

All
banks*

All
commer­
cial
banks*

Total

ASSETS
V
.Loans and investments

+ 1,160

+ 990

+

945

+ 410

+

103

Loans and discounts
4 U. S. Govt, obligations
Other securities

+2,210
-1,160
+ 110

+2,020
-1,140
+ 110

+1,785
- 955
+ 115

+ 497
- 214
127

+
-

^Reserves, cash, and
bank balances

+3,760

+3,660

+3,435

+1 ,564

# Reserve with FR Banks
Cash in vault
* Balances with banks
4 Cash items

- 3k0
+ 31+0
+1,2ij.O
+2,520

- 340
+ 340
+1,140
+2,520

- 339
+ 259
t 999
+2,516

+ 350
1
+
10
+1 ,205

+

+

+

-

Item

Other assets

30

50

41

Country
banksl/

219
125
9

+ 372
' '
+ 603
- 211
- 20

+ 60
%
+ 466
- 405
—
1

+

92

+1,416

+ 363

m
m

101
5
83
105

- 440
+ 40
+ 655
+1,161

_

+
+
+

148
215
+ 251
+ 45

33

+

?

+

+

42

2?

+4,950

+4,700

+4,421

+1,941

+

198

+1,830

+ 452

* Gross demand deposits
Gross time deposits

+6,160
+1,300

+6,160
+ 900

+5,927
+ 759

+2,563
169

+
+

312
4°

+2,579
+ 329.

+ 473
+ 221

* TOTAL DEPOSITS
*
Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits
y
^Borrowings

+7,460

+ 7,060

+6,686

+2 ,732

+

252

+2,908

+ 6?4

+2,110
-1,340
+5,450
+1,240

+2,110
-1,340
+5,450
+ 84o

+2,099
- 1,166
+5,052
+ 701

+ 820
+
38
+1,760
•f 114

+ 191
+ 978
- 151 ; - 517
+ 277
+.2,116
+
35
+ 331

+ 110
- 536
+ 899
+ 221

-2,080

-2,080

-2,000

736

-

154

- 894

- 216

' Other liabilities

- 410

-

300

- 295

6k

-

9

- 2O 7

-

15

-

+

20

30

9

+

9

+

*

11 -

+4,421

+1,941

+

198

*
y

Total assets
LIABILITIES & CAPITAL

A
4

Total capital accounts
Total liabilities
and capital

20

+4,950

+4,700

+

1 * Figures have been rounded to nearest 10 million.
' 1/ See footnote on first page.




-

23

+1,830

+ 452

G.?(b)

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
DECEMBER 31, 1957 TO DECEMBER 31, 1958
(Partly estimated. In millions of dollars)
AH
banks*

Item

All
commer­
cial
banks#

Member banks
Central reserve Reserve
city
city banks
New York I Chicago banks

Total

Country
banksl/

ASSETS
Loans and investments

+ 17,061

+ 6,225
Loans and discounts
U. S. Govt, obligations + 7,658
+ 3,177
Other securities
Reserves^ cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items

♦

384

+ 5,294 + 4,634

+ 4,081 + 3,060 +
61 —
+ 7,941 + 7,294 + 1,600 ♦
+ 2,490 + 2,092 +
473 +

215
530
69

+ 1,191
+3,328
+
775

+ 14,512 +12,446 +

-

428 -

458 -

mm
+
+

503
36 +
421 461 +

502
65
481
459

+

173

+
+

171 +

502
41
219
509

_
+
+

2,134

+

76

+

152 -

742

90
4 4 +
434 +

13
3
45
46

+
+

277
19
92
355

+
-

123
59
353
326

18

+

127

+

34

343

169 _

10

+

+ 16,806

+ 14,244 +12 $444 +

2,467

+

Gross demand deposits
Gross time deposits

+ 5,018
+ 10,031

+
+

TOTAL DEPOSITS

+ 15,050
1,038
+
331
4,687
8,995

Other assets
Total assets

+

190 +

+ 2,023
+ 1,836
+ 775

477 „,,+..,.5257/l. + 3.926

LIABILITIES & CAPITAL

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

5,019 + 4,633 +
904 +
+
7,825 + 6,676
1,415 •f

310
112

+2,625 + 794
+ 2,524 + 2,625

+ 12,844 +11,309 + 2,319

+

422

+ 5,148 + 3,420

+ 1,039 + 927 +
+
335 + 370 +
+ 4,683 + 4,282 +
+ 6,787 + 5,730 +

+
+
+
+

128
44 + 290 6
76 57 +
232 +’
2,340 + 953
89 + 2,442 + 2,600

10 -

Borrowings

-

Other liabilities

+

Total capital accounts

+ 1,372

Total liabilities
and capital

16,806

394

7

2 -

2 - '

1

205 +

162 +

1

+

11

+

+ 1,202 +

974 +

149

+

44

+

14,244 +12;444 + 2,467

+

477

+

* Figures rttey not add to totals because of rounding,
l/ See footnote on first page.



721
242
757
599

5 +

6

48 +

102

382

+

399

+ 5,574 + 3,926

G.7( c )

CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*

All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds 1/
(Partly estimated.
Item

In billions of dollars)
Dec.
31,
1953

Nov.
26 ,
1958

Dec.
31,
1957

25.8
20.5
5.2

25.8
20.6
5.2

27_.9_.__
22.8
5.1

21*3.5

2itf.7

121.5
100.9
73-5
26.2
1.2
26.1

Change to Dec. 31 >
1958 from —
Nov. 26, Dec. 31 »
1958
., 1951—

ASSETS
Monetary reserve
Gold stock
Treasury Currency

- .1
- .1

- 2.2
- 2.2
+ .1

+2.8

+19.0

118.1
101.6
7I4..6
25.8
1.2
26.0

229.5
115.2
91 .L
65.8
21*.2
1.3
22.9

+3.2+
- .7. ...
-1.2
+ -5

+ 6.3
+ 9.5

+ .1

+ 7-7
+ 2.0
- .1
+ 3.2

271+.3

271.5

257.1;

+2.7

+16.9

Total deposits adjusted and
currency outside banks

21*1.0

237.0

227.7

+2+.0

+13.3

Currency outside banks
Demand deposits adjusted
Time deposits adjusted
Postal savings deposits

28.6
1H+.5
96.8
1.1

28.8
111.6
95-6
1.1

- .2
+2.9
+ 1.2

+ .3
+ 1+.2
+ 9.0
- .2

1*.9

6.3

28.3
110.3
87.3
1.3
1+.7

-1.5

+

.2

1*.5
.1*

5-9
•5

1*.2
•5

-1.3
- .1

+
-

.3
.1

+ .2

+2.7

Bank credit
Loans, net
U. S. Govt, obligations
Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net
LIABILITIES AND CAPITAL

U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net

3-9

3.7

23'J

23 '.1

3.3
.3
21.0

Total liabilities and capital, net

271*. 3

271.5

257.1*

+ .6
- 4
.... + 2.2.
+ 16,9

Seasonally adjusted
2/- .1
- .2
28.0
28.2
2/ 28.1
Currency outside banks
2/+ 5.2
;27U>5.1
110.3
110.3
—
Demand deposits adjusted
*• figures may no o aaa
* — ---seasonally adjusted data, see July 1957 Bulletin, pp. 828-29 .
1/ Treasury funds included are gold account, Treasury currency account, and Exchange
Stabilization Fund.
2/ December 25 , 1957 data and comparisons; seasonal adjustments are available only for

last Wednesday of the month.


.

OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
G . 7 \ 1 ' o i f

release

February 3, 1959

$ ^ ^ ^ P _ § 0 C E L I T I E S OF ALL BANKS IN THE UNITED STATES, January 14, 1959
(Partly estimated.
Item

All
banks*

In millions of dollars)
Member banks
All
Central
reserve Reserve
commer­
city
banks
Total
cial
citJL
banks
New
York
I
Chicago
banks* 2J

Country
banks ^

ASSETS
Loans and investments
Loans and discounts
U. S. Govt, obligations
Other securities
Reserves, cash, and
bank balances
Reserve with FR Banka
Cash in vault
Balances with banks
Cash items
Other aa3ets

219,980

183,520

153,709

25,516

6,636

60,383

61,169

120,910
72,880
26,190

97,430
65,600
20,440

83,524
53,753
16,432

15,916
7,238
2,362

3,437
2,574
625

34,144
20,361
5,383

30,027
23,5*0
7,562

47,120

46,220

40,695

8,006

2,041

1^,935

12J12

18,610
3,410
12,400
12,700

13,610
3,300
11,650
12,660

18,607
2,520
7,203
12,365

4,127
162
107
3,610

1,054
35
112
840

7,631
802
2,245
6,207

5,745
1,521
4,739
1,703

4,310

4,330

3,337

1,129 ....... . 3/i

.,].»A22_

1.127

234.070 193,241

34.651

3,761

73,320_

,76.*222

Gross demand deposits
Gross time deposits

143,390 143,360 124,002
65,360
99,320
53,377

24,079
5,212

6,343
1.445

49,331
21.679

44,249
25.041

TOTAL DEPOSITS

243,710 209.720 177.379

29.2.91

7,788

71.010

69.290

17,340 16,506
2,020
1,749
127,250 108,234
50,890
63,110

6,043
284
19,532
3,427

1,28?
62
5,035
1,404

7,537
593
41,647
21,183

1,534
310
42,020
24,376

Total assets

271,910

LIABILITIES & CAPITAL

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

17,340
2,020
127,280
97,070

Borrowings

1,770

1,770

1,685

635

120

681

249

Other liabilities

4,650

4,040

3,675

1,449

126

1,361

739

Total capital accounts

21,780

13,540

15,502

3,276

727

5,768

5,731

Total liabilities
and capital

271,910

234,070

198,241

34,651

8,761

73,820

76,009

* Figures have been rounded to nearest 10 million.
1/ Beginning with 1959, figures include all banks in Alaska (one member bank was previously
—
included). Added banks had total deposits of &L&5 million on December 31, 1953.
2/ Includes a Virgin Island member bank.



CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
G.7 (Preliminary) Not for release
All Commercial, Savings, and Federal Reserve Banks,
k- '
the Postal Savings System, and Treasury Currency Funds l/
(Partly estimated.
Item
ASSETS
►
1r
Monetary reserve
Gold stock
Treasury Currency

In billions of dollars)
Jan.
14,
1959

Dec.
31,
1953

Dec.
31,
1957

Change t(5 Jan. 14,
1959 ?rom —
Dec. 31, Dec, 31,
1958
1957
—
——

—
+

2.6
1.3
.9
.6
.3
—
.1

+ 16.4
+
4.6

-

2.7

+ 14.2

—

.2

+ W A
.2
+
4.3
+
9.2
mm
.2

25.7
20.5
5.2

25.3
20.5
5.2

27.9
22.8
5.1

245.9
119.7
100.0
72.9
25.9
1.2
26.2

243.5
121.5
100.9.
73.5
26.2
1.2
26.1

229.5
115.2
91.4
65.8
24.2
1.3
22.9

_
_
—

271.6

274.3

257.4

>Total deposits adjusted and
currency outside banks

240.8

241.0

227.7

Currency outside banks
Demand deposits adjusted
• Time deposits adjusted
Postal savings deposits

28.1
114.6
97.1
1.1

23.6
114.5
96.3
1.1

23.3
110.3
87.3
1.3

’U. S. Government deposits

2.4

4.9

4.7

—

2.4.

At commercial and savings banks
- At Federal Reserve Banks

2.0
.4

4.5

—

#4

4.2
.5

2.5
.1

— ,,Zs?
2.2
mm
.1

Foreign bank deposits, net
.Treasury cash
Capital and miscellaneous account, net

3.3

3.3
.8
21.0

——

23.8

3.9
.7
23.3

—

Total liabilities and capital, net

271.6

274.3

257.4

Bank credit
Loans, net
U. S. Govt, obligations
Commercial and savings banks
Federal Reserve Banks
Other
1 Other securities
*

Total assets, net

—

+
+
+

—
+

3.3

2.3
.1

o #6

7.1
1.7
.1
2,2

LIABILITIES AND CAPITAL

+

4*

.6
.1
.3
•WMMM

+
+

—

2.7

.6
.1
2*8
14.2

Seasonally adjusted
NA
NA
7j 23.1
28.0
NA
Currency outside banks
NA
NA
NA
2/105.1
110.3
Demand deposits adjusted
* Figures may not add to totals Decause 01 rounaius. j?ux
w—
'•-o-'-— -seasonally adjusted data, see Tuly 195? Bulletin, pp.323-29. Also see footnote 1/
on first page regarding series revisions beginning'in 1959.
^ l/ Treasury funds included are gold account, Treasury currency account, and Exchange
*
Stabilization Fund.
2J December 25, 1957 data; seasonal adjustments are available only for last Wednesday of
the month.
i