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RESERVE

FEDERAL
stari'tica!

T/t 11 R A R Y

I

release

(For Immediate Release)

/ y W r - ,
March 13, 1962

AND L I A B n j ^ S OF ALL BANKS IN THE UNITED STATES, FEBRUARY 28, 1962
RESEJN&2>^
(Partly estimated. In millions of dollars)
Member banks
All
Central reserve Reserve Country
All
commer­
Item
city
city banks
Total
cial
banks*
banks
New York Chicago banks
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

255,960

214,200 178,389

29,895

7,508

67,806

73,180

153,600

123,900 105,144
65,880 53,^ 7
19,778

41,986
19,183
6,637

39,582
24,490

24,420

19,067 4,509
7,716 2,078
921
3,H2

48,350

47,490

41,894

9,878 1,896

16,884

13,236

16,600

16,600

7,053
905

4,913

11,220

16,601
2,912
6,962

3,728

11,900
15,810

3,920

15,750

15,^19

7,260

6,600

72,170

30,190

4,o4o

211
165

907
34

9,108

1,762
4,567

5,774

112

843

2,118
6,808

5,927

2,192

172

2,074

1,489

3H,570

268,290 226,210

41,965

9,576

86,764

87,905

Gross demand deposits
Gross time deposits

1^9,470
125,300

149, 4io 127,756

70,624

26,266 6,078
7,678 2,207

49,234
27,755

46,178
32,984

TOTAL DEPOSITS

274,770

236,050 198,380

33,944 8,285

76,989

79,162

14,660
Deposits of banks 1/
5,^20
U. S. Govt, deposits
Other demand deposits l/ 130,200
Other time deposits 1/2/ 124,490

14,660 13,892
5,420
4,795
130,140 109,671

4,443 1,200
902
227
21,163 4,673
7,436 2,185

6,737
1,909
40,787
27,556

1,512
1,757
43,048
32,845

Other assets
Total assets

1,994

LIABILITIES & CAPITAL

86,640

85,830

70,022

Borrowings

2,310

2,310

2,264

1,094

209

796

165

Other liabilities

8,100

7,330

6,817

3,221

208

1,908

1,480

Total capital accounts

26,390

22,600

18,749

3,706

874

7,071

7,098

Total liabilities
and capital

311,570

268,290 226,210

41,965

9,576

86,764

87,905

note— xne comparaDxxix-y tu iigarea ui uuo
^
--- 0—
Reserve membership, mergers, etc., and in reserve classifications.
l/ Due to the reclassification of deposits of foreign central "banks, Deposits of hanks
was reduced by about $1,900 million; Other demand deposits was increased by about $400
mi in f>n and Other time deposits by about $1,500 million (on April 26, 1961).
2/ Includes amounts now reported by insured mutual savings banks as demand deposits;

formerly, they were reported as time deposits or other liabilities.


-2-

G.7

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN 3HE UNITED 8TAT2S,
JANUARY 31 , 1962 TO FEBRUARY 28, 1962
(Partly estimated. In million* of dollars)

Item

All
banjos*

All
comercial
banka*

Total

Member bank*
Central reserve
Reserve
city banks
city
New York 1 Chicago
banks

Country
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

<
+

720 + 520

+1,510
-1,190
+ 4oo
+

+1,360
-1,220
+ 380

810 + 770

90 - 90
- 110 - 110
- 190 - 230
+1,200 +1,200

223

+216

r250

+234

+1 ,l6l
-1,106
+ 368

+ 483
M 436
4- 176

+156
+ 4o
+ 20

+ 99
-493
+144

+423
-217
*—*"1 •«*.'
+ 28 ■<

+

923

4* 849

+ 23

+405

-35^ T

93
91
- 112
+1,219

+ 111
13
4- 16
+ 735

+
+
+

50

+101

-255
- 26

67

5

- 53
- 29

+386

+

+

4

- 26

-112

+243

+129

-232

-711
+510

+

423

+

■A

1

- i4o

- 150

-

+1,390

+1 ,11(0

+1,249

+1,109

Gross demand deposits
Gross time deposits

- 890
+1,820

- 890
+1,680

- 530
+1,430

+
+

626 - 18
268 +102

-427
+550

TOTAL DEPOSITS

+

900

+

894

+ 84

+123

Other assets
Total assets

97

37

.

-io4
+ 31

1

LIABILITIES & CAPITAL

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

930 + 790

60
+ 190
- 990
+1,790

+

- 60
+ 190
- 990
+1,650

- 36
+ 145
- 616
+1,407

+
62
- 119

+ 30
- 7
- 40

+

251

- 79

+101

+165
-508
+545

- 49
+106
-768
+510

+144

- 89

- 7^

60 + 14

+ 48

+ 35

10 + 1

+ 47

+

+243

+129

-232

700

Borrowings

+

110 + 110

+ 126

•f 145

Other liabilities

+

250 + 170

+ 157

+

Total capital accounts

+

100 +

+

Total liabilities
and capital

+1,390

70

+I,l40

66

+1,249

+l,l09

* Figures have been rounded to nearest 10 million.
r/ Mutual savings "banks figures for January 31 have been revised.



f
-201 f ^

8

*

1

"4

VI-

-3G.7

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
MARCH

1 , 1961 TO FEBRUARY 28, 1962 1

(Partly estimated.

Item

In Billions of dollars)

All
banks*

All
commer­
cial
banks*

+17,000

+14,900

+ 9,360
+ 4,330
+ 3,310

+ 7,180 i+ 5,586
+ 4,570 + 4,029
+ 3,150 + 2,753

+
+
+

+ 2,090

+ 2,060

+1,238

Total

Member banks
Central reserve
Reserve
city banks
city
New YorkT Chicago
banks

Country
b&nks

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

+
+

550 +
530

280

+ 1,290
+

+ 1,994

550 +

+
530
280
+ 1,260

970 +

+12,373

546
+
374
- 204
+ 1,278

900 +

803

+2,205

+
+

+4l4

+4,336

+5,4l8

926 - 25
+192

+1,704
+1,662
+ 970

+2,981
+1,434.
+1,003

+

+

741
538

+247
+

2

328 - 2
25

+ 4
- 14
+ 14

+

11
896

+

522 + 42

64l

113

+ 285
+ 147
65
+ 274.

+ 198
- 114
+
94

+

+

155

65

84

+20,060

+17,860

+15,170

+3,965

+458

+5,132

+5,615

Gross demand deposits
Gross time deposits

+ 4,100
+13,240

+ 4,070
+11,220

+ 3,312
+ 9,666

+ 895
+2,018

- 93
+428

+ 780
+3,791...

+1,730
+3.429

TOTAL DEPOSITS

+17,340

+15,290

+12,978

+2,913

+335

+4,571

+5A59

- 1,560
690
+ 5,080
+14,510

- 1,560
- 690
+ 5,050
+12,490

- 1,659
- 640
+ 4,318
+10,959

-1,196
- 117
+1,203
+3,023

- 85
- 60
+ 8
+472

- 428
- 330
+1,299
+4,030

+
50
- 133
+1,808
+3,434

Borrowings

+

450

+

+

439

+

203 + 71

+

219

-

54

Other liabilities

+

670 +

690 +

633

+

727

- 156

+

58

Total capital accounts

+ 1,600

+ 1,430

+ 1,120

+

122 + 48

498

+

452

Total liabilities
and capital

+20,060

+17,860

+15,170

+3,965

Total assets
LIABILITIES & CAPITAL

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

*

450

Figures have been rounded to nearest 10 Billion.
Note— See notes on page 1.




+

4

+458

+

+5,132

+5,615

-4CONSOLIDATED CONDITION STATEMENT FOR BAMS AND THE MONETARY SYSTEM*
G.7

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

Item

In billions of dollars)
Feb. 28, Jan. 31 ,
1962
1962 r/

Mar. 1,

1961

Change to Feb. 2&,
1962 from —
Jan. 31> Mar. 1,
1962
1961..

ASSETS
Monetary reserve
Gold stock
Treasury Currency
Bank credit
Loans, net
U. S. Govt, obligations
Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

22.4

22.4

22.8

--

-

.4

16.8

16.8

5.6

5-6

17.4.
5.4

--

+

.2

282.9

282.4

264.7

151.5

142. 5
95.3

28.4
.7
30.2

150.1
102.6
73.4
28.5
.7
29.8

26.9

+ .k

+
+
+
+
+

305.3

304.9

287.5

+ .b

+17.8

263.3

268.5

249.5

- .2

+18.8

23.8
114.4
124.5

28.6
116.6

28.2
110.6
110.0
.7

+ .2
-2.2
+1.8
„

+ .6
+ 3.8
+14.5
- .1

101.2
72.2

67.8
26.7

+ *5
+1.4
-1.4
-1.2
- .2

.3

.6

+18.2

9.0
5-9_
4.3
1.7

.1

3.3

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/ 2/
Time deposits adjusted l/~"
Postal savings deposits
U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net l/
Treasury cash
Capital and miscellaneous accounts, net
Total liabilities and capital, net
Seasonally adjusted
Currency outside banks
Demand deposits adjusted

.6

122.7

.6

5-9

5.6

6.5

+ .3

-

.6

5.4
.4

5-2
.4

6.1

+ .2
+ .1

-

.7

1.3
.4
29.4

1.3
•5

29.1

3.1
\
.4
27.9

+ .3

+ 1.5

305-3

304.9

287.5

+ .4

+17.8

29.1
114.7

29.O
114.2

28.5

+ .1
- + ,1 -

+ .6
+ 3.8

.4

110.9

—
--

- 1.8

*Figures may not add to totals because of rounding. For description and back figures
of seasonally adjusted data, see February i960 Bulletin, pp. 133-36.
l/ See footnotes on page 1.
2/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual
savings banks, were $116.2 billion on February 28.
Digitized forr/
FRASER
Mutual savings banks figures for January 31 have been revised.