The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
For immediate release April 12, 1967 AIL BASKS IV TH1 UUZKD STATES, 1010! 29, 1967 I J.k It< (Partly estimated. All All coal. banks banks ASSETS f. Loans and Investments I Loans and discounts U. S. Odft* obligations Other securities t ^Reserves, cash, and bank balances f bi Deserve with VR Banka Cash In rault Balances vlth banks < Cash Items Other assets 0 TOTAL AS3BTS/LIABILITIK3 LIABIUTIBS & CAPITAL kGross deawnd deposits "(Jross time deposits TOTAL DEPOSITS Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits ^Borrowings Other liabilities Total capital accounts In millions of dollars) I a £T member Hew York ICity of banks' City Chicago 386,630 326,0|0 267,086 46,506 12,266 266,050 216,820 l8l,6c*- 35,084 62,370 57,600 *3,5^5 5,291 58,210 51,610 *1,937 6,131 8,584 5fl*38o 57,*H0 50,276 11,237 18,500 18,500 6,l40 14,360 19,380 12,240 18,505 4,645 8,258 19,320 11,190 6,010 13,580 Country banks 97,875 110,439 13,724 15,271 68,880 69,056 22,491 18,892 19.706 16.600 1,191 90 311 7,723 1,428 18,868 3,970 357 286 6,624 1,121 9,678 2,790 ^53 8,37^ 3,55^ 5,621 2,770 5 ,^ 0 2,7^9 2,881 15^52 121*135 129,920 52,756 52,662 56,207 59,994 12,223 105,418 116,201 1,255 283 5,184 5,501 7,768 1,904 ^3,5^ 52,202 2,014 1,825 52,506 59,856 ^57,250 39^,630 327,040 60,533 173,120 144,500 28,826 225,230 168,840 137A 03 19,235 173,180 398,410 341,960 281,903 17,800 A W Other 48,061 17,800 16,739 5,702 5,700 5,085 1,073 151,300 151,240 124,096 22,862 223,610 167,220 135,983 18,424 5,700 6,711 5,512 2,181 6,270 6,270 6,o44 1,920 951 2,725 448 15,160 13,930 12,454 5,102 1,085 3,^03 2,864 .JTiteP, 32.470 5^50 . m _12J£L 1/ Excludes total cool, interbank loans. Seasonally adjusted data :: Loans and investments-!/....... 321,500 212,100 V*r>a and dlSCOUBtS 1/. ....... P U.S. Oort, obligations........... 57,600 51,900 ' Other securities.............. -fcOTl: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. < CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, f FEBRUARY 22, 1967 to MARCH 29, 1967 H -2- J.4 Item (Partly estimated. In millions of dollars) Reserve city banks All All All member New York City of Other coml. banks r/ banks City Chicago banks 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 Country ^ banks +6,240 +5,670 • +4,951 +1,032 +450 +2,078 +1,391 fef +3,550 +1,290 +1,400 +3,150 +1,220 +1,300 +2,646 +I,l4l +1,164 + 688 + 176 + 168 +156 +309 - 15 + 803 + 525 + 750 + 999 + 131 „ + 261 | -2,970 -2,900 -2,697 963 +124 -1,407 - 451 - 770 + 250 - 290 -2,160 - 770 + 250 - 220 -2,160 - 767 + 185 - 14 -2,101 — 263 9 2 689 +235 + 2 + 9 -122 - 352 + 60 - 34 -1,081 - 387 m + 132 + 13 - 209 1 + + + 33 - 73 - 1 + + 60 60 62 45 4 1 f +3,330 +2,830 +2,287 - 4 +573 + 733 + 985 LIABILITIES 8c CAPITAL Gross demand deposits Gross time deposits + 60 +3,880 + 60 +3,420 + 42 +2,847 + 227 + 430 - 34 +279 - 156 +1,054 . TOTAL DEPOSITS +3,940 +3,1*80 +2,889 + 657 +245 + 898 +1,089 " 114 68 + 315 + 296 - 27 - 2 - 8 +282 - 157 - 489 + 566 + 978 +392 - 232 - 182 41 + 6“ 108 + 72 * TOTAL ASSETS/LIABILITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings ♦! - 110 - 640 +1,020 +3,670 - 110 - 640 +1,020 +3,210 - 95 - 628 + 972 +2,640 + - 470 - 470 - 382 - 360 - 406 - 308 - 63 - + - 1 + Other liabilities - 4l0 Total capital accounts + 270 Seasonally adjusted data Trtowo on/l i*mraa'fmon+’ .fl 1 /.. TT ^ ftrnrh„ oh!Lifi?a'hions••••••••••»• ,1 +1,084 I - 4l0 + 230 + 186 7 “ + g For numbered footnotes, see first p£lg6 • +5,300 +1,400 +2,700 +1,200 r/ Figures for mutual savings banks were revised. 25 69 99 J +1,084 1 ^ 4 -3CHANGE3 IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MARCH 30, 1966 to MARCH 29, 1967 j,)i (Partly estimated. In millions of dollars) Reserve city banks All All All member New York City of coml. banks City Chicago Other banks banks --------- ------- ---------------------------------- - Item Country banks ASSETS +24,920 +21,680 +17,239 +2,503 +1 ,064 +6,804 +6,868 +16,470 +13,330 +10,109 +1,347 + 1,340 + 2,170 + 2,315 +1,020 + 7,110 + 6,180 + 4,815 + 136 + 484 + 507 + 73 +2,839 +1,465 +2,500 +5,439 - 677 +2,106 + 3,350 + 3,280 + 3,393 + 747 + 561 +1,151 + 934 + 276 + 7 + 217 + 61 + + + + 46l 133 108 449 + 176 + 246 + 424 + 88 - 73 + 4o4 + 458 +1,552 +8,359 +8,260 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 4,350 + 4,340 + 4,034 +1,564 + 291 +19.480 +16,530 +12,613 + 71_ + 362 +1,130 +5.627 +1,049 +6,553 TOTAL DEPOSITS +23,830 +20,870 +16,647 +1,635 + 653 +6,757 +7,602 + 1,365 + 569 8 + 451 + + 1,106 + 2,538 48 .+12,293 + 38 + 79 + 149 + 387 + 684 + 249 + 428 +5,396 + 74 + 115 + 855 +6,558 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 + 910 + 540 + 650 + 1,250 + 910 + 5^-0 + 590 + 1,240 + 880 + + 917 + 408 + 799 + 1,269 830 + + 4 + 22 + 50 + 671 589 - 200 TOTAL ASSETS/LIABILITIES +29,150 +25,790 +21,221 +3,050 Deposits of banks U* S. Govt, deposits Other demand deposits Other time deposits + 1,490 + 350 + 2,830 +19,160 + 1,490 + 350 + 2,820 +16,210 Borrowings + 287 - 249 + 332 + 570 - 366 Other liabilities + 2,980 + 2,780 + 2,698 +1 ,310 + 497 + 532 + 359 Total capital accounts + 2,230 + 2,030 + 1,589 + 354 + + 500 + 665 Seasonally adjusted data T /-vown m raefrno«+e T/ 110 + 110 + 70 For numbered footnotes, 1see first page. +21,200 +13,500 + 1,600 + 6,200 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*1 A H Commercial, Savings, and Federal Reservo Banks, the Postal Sayings System, and Treasury Currency Funds (Partly estimated* In billions of dollars) J.fc Change to Mar. 29, 1967 from — Mar. 29, Feb. 22, Mar. 30, Feb. 22, Mar. 30, 1966 1967r/ 1966 1967 1967 Item ASSETS Monetary reserve Gold stock Treasury Currency Bank credit Loans, net U. S. Oort, obligations Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net + .2 19.6 19.5 19.4 + .1 13.1 6.5 13.1 6.4 13.6 5.7 + .1 - .5 + .7 425.7 420.2 397.7 +5.5-- +28.0 259.9 107.6 62.4 44.5 .7 256.3 107.1. 61.1 44.7 1.4 244.1 102»561.0 40.5 .9 +3*6 + .5 +1.3 - .1 - .7 +15.8 ' 58.2 56*8 51.1 +1.4 + 7.1 445.JL_ 439.7 417.1 +5.7 +28.2 393.2 386.5 _ 370.9 +6.7 +22:3.i 37.6 131.9 223.6 .1 37.7 128.7 219.9 .1 35.8 130.3 204.4 .3 - .2 +3.2 +3.7 + 1.8 + 1.6 +19.2 - .2 6.4 6.7 5.9 - .4 + .5 5.7 .7 6.3 A 5^ .5 - .6 + .3 + .4 + .1 l.T 1.7 .9 37.8 - .1 1.3 42.7 1.8 1.2 43.4 + .1 «• .8 + .1 + .4 + 4.9 445.3 439.7 417.1 +5.7 +28.2 38.0 134.0 38.2 129.1 36.2 133.1 «• .2 +4.9 + 1.8 + .9 mm mm + .5*1 + 1.3 + 4.0 - .3 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital miscellaneous account, net Total liabilities and capital, net Seasonally adjusted Currency outside banks Demand deposits adjusted ^ JC M j p i l * \ < M «H M y W ............ ^ w ------ --- ------ ^ ^ gold account, Treasury currency account, and Exchange Stabilization Fund, l/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $13^**4 billion on March 29, 1967* £/ Figures http://fraser.stlouisfed.org/ for mutual savings "banks were revised. Federal Reserve Bank of St. Louis 4