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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.