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OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM

G.7

(For Immediate Release)

7
J

July ^

OF ALL BANKS IN THE UNITED STATES, JUNE 28, 1961

.

Item

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

Country
banks

ASSETS
Loans and investments
Loans and discounts
U. S. Govt, obligations
Other securities

242,660

202,320 168,675

28,333

7,034

64,082

69,226

146,400

118,200 100,603

18,295
7,478

4,277
2,047

710

40,095
18,074
5,913

37,936
22,754
8,536
12,417

68,250
28,010

61,950

22,170

50,353
17,719

44,420

43,5^

38,289

8,253

1,864

15,755

15,960

15,960 15,956
3,850 2,898
11,040
7,043
12,690 12,392

3,659

960

6,826
905
2,315
5,709

1,763

4,208

32
134
738

5,458

1,879

145

1,928

1,506

293,760

251,950 212,422

38,465

9,043

81,765

83,149

Gross demand deposits
.Gross time deposits

142,870

142,840 122,297
79,360 64,510

24,904

6,100

116,650

1,894

47,417
25,142

43,876
30,713

‘•TOTAL DEPOSITS

259,520

222,200 186,807

31,665

7,994

72,559

74,589

14,110
Deposits of banks l/
5,920
U. S. Govt, deposits
, Other demand deposits l/ 123,560
115,930
Other time deposits 1/

14,110 13,476
5,920
5,301
123,530 104,067
78 ,640 63,963

4,313

1,215
328

1,396
1,746

40,885

m

Reserves, cash, and
bank balances
, Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
'Other assets

3,970
11,770

12,720

6,680

6,090

2,560

198
188

■
V

Total assets

4,511
4,4o6
1,737

LIABILITIES & CAPITAL

6,761

6,550

1,882

6,552
2,105
38,933
24,969

1,122
19,680

4,569

30,562

Borrowings

i,4oo

1 ,1)00

1,359

453

15

662

229

Other liabilities

7,590

6,790

6,293

2,735

192

1,860

1,506

Total capital accounts

25,250

21,560 '17,963

3,612

842

6,684

6,825

Total liabilities
and capital

293,760

251,950 212,422

38,465

9,043

81,765

83,149

-** Figures have been rounded to nearest 10 million.
Note— The comparability of figures in this series is affected by changes in Federal Re­
serve membership, mergers, etc., and in reserve classifications.
1/ Due to the reclassification of deposits of foreign central banks, Deposits of banks was
reduced
by about $1,900 million; Other demand deposits was increased by about $400 million

and Other time deposits by about $1,500 million (on April 26, 1951).


G.7

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN IHE UNITED STATES,
MAY

31, 1961 TO JUNE 28, 1961

(Partly estimated.

In Billions of dollars)

All
All
commer­
banks* / cial
r/ banks*

Item

Member banks
Central reserve Reserve
Total
city banks
city
New York 1Chicago banks

Country
banks

ASSETS

Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets

+1,225

+577

-17

. +376

+289

800

+ kSl
+ 536
+ 226

+116
+362

-14
+53

+281

+ 99

-56

+ 80
+198
+ 98

- 77 .
+ 85

+
+
+

450

300

+ 600
+ 500
+ 270

\J\
O
O

Reserves, cash, and
bank balances

+1,370

- 550

- 446

+109

-33

-165

-357

+
70
+ 230
+ 170
- 970

+
70
+ 230
+ 120
- 970

+ 64
+ 169
+ 218
- 897

+ 10
+ 54
-247

+292

+26

CO
-4t

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

+1,550

I

Loans and investments

- 5
+ 5
-59

+ 44
+197
-358.

-206
+120

+

+ 100

+

63

- 32

+ 2

+

-48

90

- 38
-233

5

+ 88

+216

+ 20

+1,140

+

920

+ 842

+654

Gross demand deposits
Gross time deposits

+ 320
+i,o4o

+ 320
+ 790

+ 381
+ 699

+221

+25

+176
+270

+183

TOTAL DEPOSITS

+1,360

+1,,110

+1,080

+653

+16

+4k6

- 35

+ 180
+ dko
- 700
+i,o4o

+
+
+

183

+ 2
+330

+149

+ 13
+ 15
-246

- 290
- 110

Total assets

•

LIABILITIES & CAPITAL

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

,

Total capital accounts

+ 180

Total liabilities
and capital '

♦i,iAo

180

+
+
+

+432

626
688

+209

+19
+107
-135
+25

- 290

- 280

+ 63

-

-

.56

Uo

920

+

81*0

700
790

ko

835

+112

+383

-357

-218

+271

+183

-58

-223

- 62

- 44

-7

-

51

+ k6

+ , 98

- 18

+ 1

+ '44

+ 71

+

+654

-48
____

+216

+ 20

842

* Figures have been rounded to nearest 10 Billion.
Note— See notes on page 1.
tJ Mutual savings bank figures for May 31 have been revised.



- 9

-3-

/ G.7

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
JUNE 29, I960 TO JUNE 28, 1961
(Partly estimated.

Item

All
banks*

In millions of dollars)

All
coHcnercial
banks*

Member banks
Central reserve Beserve
Total
city
city banks
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
Other assets

+15,460

+13,420 +12,082

+3,013

+436

+4,519

+4,114

+ 5,410
+ 7,490
+ 2,560

+ 3,360 + 2,705
+ 7,740 + 7,373
+ 2,320 + 2,004

+ 235
+2,205
+ 573

- 65
+427
+ 74

+ 674
+3,228
+ 617

+1,861
+1,513 .
+ 7^0

+

+ 10

-.31

- 147

- 294
+
37
.+ 70
+ 667

+
+
+

- 434
+ 114
+
57
+ 232

- 747
+ i4o
+ 4o6
+ 54

+

372

+ 51

+

187

+ 175

+

710

- i,46o
+
380
+
810
+
980

+

+

660 +

312

- l,46o - 1,462
+
360 + 293
+
780 + 523
+
980 + 958

880 .+ -8 30

+

785

480

13

2
10

5

+17,050

+14,910 +13,179

+3,865

+497'

+4,675

+4,142

Gross demand deposits
Gross time deposits

+ 2,940
+12,110

+ 2,940 + 2,372
+10,250 + 9,235

+ 771
+2,240

+100
+420

+ 798
+3,733

+ 703
+2,842

TOTAL DEPOSITS

+15,050

+13,190 +11,607

+3,011

+520

+4,531

+3,545

- 630
- i,4io
+ 3,990
+13,100

- 630
- i,4io
+ 3,990
+ll,2ltO

- 597
- 1,307
+ 3,277
+10,234

- 1,011
-• 317
+1,301
+3,038

+ 16
- 83
+127
+460

+ 249
- 583
+ 967
+3,898

+ 149
- 324
+ 882
+2,838

-

-

Total assets
LIABILITIES & CAPITAL

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

710

-

20

-146

- 402

- 142

+ 1,210

+ l,l4l

+

689

+ 50

+

119

+ 283

+ 1,480

+ 1,280

+ l,l4l

'+ 185

+ 73

+

427

+ 456

+17,050

+14,910 +13,179

+3,865

+497

+4,675

+4,142

770

Borrowings

-

Other liabilities

+ 1,290

Total capital accounts
Total liabilities
and capital'

770

# Figures have been rounded to nearest 10 million*
Note— See footnote on page 1.



-4CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
0.7

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

Item

In billions of dollars)

June 28,

1961

May 31,
1961 rj

June 29,
i960

Change to June 2o,
1961 from —
May 31, June 29>
1961
1260.

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

23.0

22.8

24.7

+ .2

“ 1.7

17.6

17.4
5.4

19.3
5.^

+ .1

5-^

- 1.8
+ .1

268.9

267.2

252.5

+16.4

145.1
95-8

144.1
95-5. _

139.1
87.9

+1.7
+1.1
+ -3

26.9

60.8
26.2

+ -5
- .1

+ 6.0
+ 7.9

68.3
26.8
.8
28.0

67.8
27-7

•9
25.5

+ .3

+
+
+

291.9

290.1

277.2

+1.9

+14.8

255-7

25^.6

239.8

+1.2

+15.9

28.3
110.8

28.4

110.6

115.9
•7

114.9
•7

28.3
107.8
102.8
.8

- .1
+ -3
+1.0

- .1
+ 3-0
+13.1
- .1

6.6

5-5

7.8

+1.1

- 1.3

5-9

5.1
.4

7.3
.5

+ .8
+ .3

- 1.4
+ .2

1.3
.4
27.9

1.1

2.9
.4

+ .1

- 1.6

.8

7-5

.6
.2
2.6

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted l/ 2/
Time deposits adjusted 1/
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

.6

291.9

.4

28.5
290.1

26.2

277.2

-"75— .. + 1.7
+14.8
+1.9

Seasonally adjusted
+ .2
- .2
28.1
28.5
28.3
Currency outside banks
+
.4
+ 2.8
109.9
112.3
112.7
Demand deposits adjusted
* Figures may not add to totals because of rounding, j*or aescriiiuuu «uu
mi"'
seasonally adjusted data, see February i960 Bulletin, pp. 133-36.
r/ Mutual savings basks figures for M&y Sl'ka-ve been revised.
l/ See footnote on page 1.
^ ^
2/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual
savings banks, were 112.3 on Jims 28.