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SUMMARY REPORT A s s e t s a n d L i a b i l i t i e s D E C E M B E R 31, 1966 o f M e m b e r B a n k s NOTICE Data reported by national member banks were adjusted to make them compatible with data reported by State member banks. The Board did not publish a Summary Report No. 181, containing results of the c a l l for reports of condition as of Sept. 20, 1966. Condition reports received from State member banks and from national banks for this c a l l were not fully compatible and were not completely adjusted. Board of Governors of the Washington, Federal DC. Reserve System CONTENTS A s s e t s and Liabilities of All Member Banks: PAGE By Class of Bank 2-3 On Selected Call Dates 4-5 By Class, by Federal Reserve Districts By States 6-17 18-31 A s s e t s and Liabilities of State Member Banks, by Federal Reserve Districts 32-35 T h e s e s t a t i s t i c s are tabulated from condition reports submitted by State and n a t i o n a l member banks following official c a l l s . comparable with State member Reports of national member b a n k s have been a d j u s t e d to make them bank reports. Member banks' are c l a s s i f i e d according to their r e s e r v e requirements a s r e s e r v e city b a n k s , or nonreserve city ("country") banks. A member bank that h a s an o f f i c e in a r e s e r v e city i s c l a s s i - fied a s a reserve city bank; a member bank that d o e s not have an o f f i c e in a r e s e r v e city i s c l a s s i fied a s a country bank. However, some banks in r e s e r v e c i t i e s have permission to maintain the re- s e r v e s required of country b a n k s . Condition reports of member b a n k s are tabulated in a c c o r d a n c e with the reserve c l a s s i f i c a t i o n s of the banks. Since a member bank that h a s two or more o f f i c e s , whether in the same city or in different c i t i e s , submits a consolidated condition report, the report i s t a b u l a t e d according to a single location (that of the b a n k ' s head o f f i c e , u n l e s s it h a s a branch in a city where banks are s u b j e c t to higher reserve requirements). The comparability of figures for succeeding call d a t e s i s a f f e c t e d somewhat by c h a n g e s in F e d eral Reserve membership, mergers, e t s . , by changes in the r e s e r v e c l a s s i f i c a t i o n of c i t i e s or individual banks, and by changes in items. ALL MEMBER BANKS, BY CLASS OF BANK, DECEMBER 31, 1966 (Amounts RESERVE CITY BANKS ASSETS NEW YORK CHICAGO OTHER in thousands COUNTRY BANKS of dollars) ALL MEMBER BANKS ALL NATIONAL MEMBER BANKS 1 / ALL STATE MEMBER BANKS 14,868,812 325,704 4,061,828 193,483 7,900 97,703 10,182,194 2,638,003 91,591 815,276 120,929 15,053 17,082 1,578,072 24,227,651 1,325,595 8,352,977 2,424,180 92,692 103,064 11,929,143 19,003,772 2,506,309 5,838,739 6,479,351 65,960 20,225 4,093,188 60,738,238 4,249,199 19,068,820 9,217,943 181,605 238,074 27,782,597 41,689,580 3,135,624 13,142,485 7,335,020 139,126 128,634 17,808,691 19,048,658 1,113,575 5,926,335 1,882,923 42,479 109,440 9,973,906 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . 4,919,722 1,544,666 13,040,376 22,419,293 41,924,057 30,354,996 11,569,061 OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. .. Other bonds, notes, debentures, and corporate.stocks., 5,674,493 4,966,675 379,142 328,676 1,501,890 1,327,882 104,585 69,423 13,326,404 12,032,819 846,709 446,876 18,457,591 15,472,669 2,492,830 492,092 38,960,378 33,800,045 3,823,266 1,337,067 27,713,104 23,778,053 3,025,612 909,439 11,247,274 10,021,992 797,654 427,628 10,594,215 3,046,556 26,366,780 40,876,884 80,884,435 58,068,100 22,816,335 390,595 54,169,893 1,146,853 55,316,746 12,042,963 428,877 RESERVES, CASH, AND BANK BALANCES—TOTAL . Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection TOTAL SECURITIES FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, N E T — T O T A L . . . Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL . Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA ., Secured by other properties Loans to domestic com'l. and foreign banks Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees. Other loans to farmers Commercial, including open market paper Other loans to individuals—-total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modem instal. Other instal. loans for personal expenditures Single payment loans for personal expenditures All other loans (including overdrafts) ».... TOTAL LOANS AND SECURITIES Fixed assets'(net of mortgages and other liens on bank premises and other real estate) Customers'liability on acceptances outstanding Other a s s e t s .. TOTAL ASSETS 109,300 35,832,111 867,745 36,699,856 3,464,876 9,134 31,300 8,724,274 266,532 8,990,806 622,261 2,560 817,460 69,016,546 1,306,784 70,323,330 16,043,916 306,203 1,161,105 68,050,808 1,316,981 69,367,789 22,252,852 1,326,908 2,119,165 181,623,739 3,758,042 185,381,781 42,383,905 1,644,805 1,728,570 127,453,846 2,611,189 130,065,035 30,340,942 1,215,928 667,922 399,116 1,117,737 1,270,967 1,025,214 3,265,077 3,109,047 598,108 101,432 32,650 286,953 198,666 181,009 1,160,866 405,505 221,955 3,294,441 798,620 6,683,460 4,961,192 684,216 5,747,564 1,084,329 1,078,927 2.519.819 1,013,055 10,791,864 6,601,206 156,795 2,175,171 790,497 761,154 6,583,614 2,243,441 18,880,014 13,032,031 2,047,234 12,348,678 5,389,378 2,660,144 4,868,061 1,658,015 13,660,068 8,938,870 1,202,346 7,894,206 3,012,493 1,610,524 1,715,553 585,426 5,219,946 4,093,161 844,888 4,454,472 2,376,885 1,049,620 16,539 21,213,528 2,798,802 329,817 207,232 761,863 1,406,414 1,208,665 93,476 64,432 5,311,162 750,829 178,257 135,183 23,043 81,568 332,778 272,787 1,251,359 28,089,862 14,374,911 5,189,340 1,440,651 1,154,746 1,981,681 4,608,493 1,968,246 3,985,822 17,938,277 20,000,388 8,174,668 1,974,436 1,258,249 3.409.820 5,183,215 1,306,833 5,318,152 72,552,829 37,924,930 13,872,082 3,643,746 2,643,270 6,234,932 11,530,900 4,756,531 4,278,052 50,406,752 27,987,964 10,497,546 2,845,673 1,894,288 4,537,830 8,212,627 3,331,756 1,040,100 22,146,077 9,936,966 3,374,536 798,073 748,982 1,697,102 3,318,273 1,424,775 46,535,626 11,802,130 96,200,786 110,088,797 264,627,339 187,250,516 77,376,823 644,911 1,209,728 1,165,158 110,821 132,894 250,673 1,769,399 716,286 1,318,528 2,129,104 49,519 637,512 4,654,235 2,108,427 3,371,871 3,451,549 1,076,777 2,527,612 1,202,686 1,031,650 844,259 64,424,235 14,934,521 124,232,650 131,908,704 335,500,110 235,996,034 99,504,076 MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE Direct: Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less Other Treasury notes United States nonmarketable bonds Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations THE DISTRIBUTION OF OBLIGATIONS OF U . S . GOVERNMENT AND OF FEDERAL AGENCIES BY TYPE OF SECURITY AND BY MATURITY WERE NOT AVAILABLE AT THE TIME OF THIS PUBLICATION. THEY MAY BE OBTAINED ON REQUEST AT A LATER DATE. OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 2 IpOR FOOTNOTE SEE OPPOSITE PAGE. MOTE. —NET DEMAND DEPOSITS SUBJECT TO RESERVE ARE GROSS DEMAND DEPOSITS LESS CASH ITEMS REPORTED AS I N PROCESS OF COLLECTION AND DEMAND BALANCES DUE FRCM DOMESTIC BANKS. ANY DIFFERENCES BETWEEN THE FIGURES SHOWN AGAINST THIS ITEM AND THOSE COMPILED FRCM FIGURES SHOWN AGAINST THE RELATED DEPOSIT AND DEDUCTION ITEMS ARE ACCOUNTED FOR BY AN EXCESS OF ALLOWABLE DEDUCTIONS 07ER GROSS DEMAND DEPOSITS AT A FEW BANKS. ALL MEMBER B A M S , BY CLASS OF BANK, DECEMBER 3 1 , (Amounts in thousands of dollars) RESERVE CITY BANKS LIABILITIES AND CAPITAL ACCOUNTS NEW YORK COUNTRY BANKS CHICAGO OTHER 7,,750,592 92,643 5,,468,049 14,704 309,911 286,132 898 1,,360,996 71,126 59,230,109 810,926 43,090,769 120,171 1,633,343 3,707,582 154,181 8,095,255 343,431 60,537,111 923,273 47,778,215 4,375 1,473,519 6,804,765 196,733 2,138,149 57,126 ALL MEMBER BANKS 161,438,754 1,900,085 117,656,186 860,245 4,432,442 11,406,453 747,250 16,304,156 1,736,429 1966 ALL NATIONAL MEMBER BANKS l / 112,377,589 1,332,986 82,747,074 572,556 3,035,214 8,694,967 353,883 11,332,248 901,501 ALL STATE MEMBER BANKS 49,061,165 567,099 34,909,112 287,689 1,397,228 2,711,486 393,367 4,971,908 834,928 DEMAND DEPOSITS—TOTAL Savings and loan associations ... Other individuals, partnerships, and corporations Foreign .governments, central banks, etc. . . . . . . . . . . United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc 33,920,942 73,243 21,319,153 720,995 1,015,669 607,974 395,438 4,709,756 1,264,746 3,813,968 146,133 1,274,451 1,160,956 6,395,508 3,407,160 2,988,348 TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries 17,915,798 5,196,395 4,,922,702 2,,634,334 64,779 8,248,721 2,937,390 83,177 918,239 88,726 263,552 114,819 15,619 1,,623,565 267,343 1,325 355,643 15,125 9,748 49,943,287 27,465,685 369,843 315,343 15,107,748 945,322 57,127 5,449,506 47,640 98,938 86,135 57,783,092 37,327,683 570,770 114,595 15,340,293 30,290 70,974 4,259,566 5,754 46,189 16,978 130,564,879 72,624,097 940,613 510,336 40,320,327 4,180,345 212,603 10,982,954 142,120 423,804 227,680 94,078,698 53,095,923 728,867 320,767 28,804,380 2,371,385 176,903 8,143,722 75,639 234,167 126,945 36,486,181 19,528,174 211,746 189,569 11,515,947 1,808,960 35,700 2,839,232 66,481 189,637 100,735 51,836,740 12,,673,294 109,173,396 118,320,203 292,003,633 206,456,287 85,547,346 951,703 922,065 1,259,330 4,155,904 292,200 191,825 133,451 445,118 1,309,235 642,632 720,164 2,915,427 228,275 80,124 51,483 2,919,876 2,781,413 1,836,646 2,164,428 10,436,325 1,870,810 1,248,983 1,105,009 6,856,037 910,603 587,663 1,059,419 3,580,288 59,125,742 13 ,735,888 114,760,854 121,599,961 309,222,445 217,537,126 91,685,319 5,298,493 2,121,615 632,008 42,211 1,447,396 2,143,183 848,998 184,697 1 ,198,633 448,015 9,000 439,015 579,910 133,663 37,045 9,471,796 3,108,367 665,727 6,000 2,436,640 4,455,806 1,738,369 169,254 10,308,743 3,213,681 299,791 5,127 2,908,763 4,597,897 2,174,837 322,328 26,277,665 8,891,678 1,606,526 53,338 7,231,814 11,776,796 4,895,867 713,324 18,458,908 6,299,933 1,161,457 29,157 5,109,319 8,245,412 3,349,749 563,814 7,818,757 2,591,745 445,069 24,181 2,122,495 3,531,384 1,546,118 149,510 64,424,235 14,934,521 124,232,650 131,908,704 335,500,110 235,996,034 99,504,076 23,545,265 18,013,323 6,,051,591 4 ,501,613 44,876,837 37,572,368 49,964,746 52,832,255 124,438,439 112,919,559 87,234,052 80,201,436 37,204,387 32,718,123 TOTAL DEPOSITS Federal funds purchased (borrowed) Other liabilities for borrowed money Acceptances outstanding Other liabilities TOTAL LIABILITIES ..»» CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures—total Capital notes and debentures Preferred stock Common stock Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS . MEMORANDA NET DEMAND DEPOSITS SUBJECT TO RESERVE DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS'. Cash and balances with other banks U.S. Gov't.obligations, direct and guaranteed Other securities Loans and discounts (incl. Federal funds sold) Total capital accounts AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS . . NUMBER O F BANKS 23.1 7.6 8.8 55.8 8.2 17.7 10.3 10.1 58.6 8.0 19.5 10.5 10.7 56.2 7.6 14.4 17.0 14.0 52.5 7.8 18.1 12.5 11.6 54.8 7.8 17.7 ni? 54.7 7.8 iii 54.8 7.9 47,584,826 34,788,954 12 ,020,333 8 ,438,352 106,019,361 68,536,720 115,709,211 68,695,805 281,333,731 180,459,831 198,791,142 125,603,160 82,542,589 54,856,671 12 11 169 5,958 6,150 4,799 1,351 1 / DATA REPORTED BY NATIONAL BANKS HAVE BEEN ADJUSTED TO MAKE TEEM COMPARABUS WITH DATA. REPORTED BY STATE BANKS, 3 ALL MEMBER BANKS ON SELECTED CALL DATES DECEMBER 3 0 , I 9 6 I TO DECEMBER 3 1 , (Amounts DECEMBER 3 0 , 1961 DECEMBER 3 1 , 1964 DECEMBER 3 1 , 47,427 3,263 17,680 7,703 194 227 18,361 44,395 3,131 17,150 7,061 297 287 16,468 52,737 3,490 17,581 8,594 463 282 22,327 52,814 3,757 17,992 8,577 381 243 21,864 1962 1966 - 38,960 33,800 3,823 1,337 + 2,175 + 1,212 + 839 + 123 80,807 81,777 79,511 80,884 1,772 177,355 3,531 180,886 40,862 1,584 2,119 181,623 3,758 185,382 42,384 1,645 + 258 + 13,685 + 269 + 13,954 + 3,395 + 106 32,089 28,374 2,439 1,276 73,366 77,061 78,415 - 3,068 893 106,232 2,281 108,513 23,987 911 118,637 2,356 120,993 27,162 1,065 131,712 2,607 134,318 31,009 1,236 147,690 3,087 150,777 34,587 1,404 1,861 167,939 3,489 171,428 38,988 1,539 5,375 2,276 9,458 5,966 1,014 6,893 3,877 1,827 592 3,342 40,931 22,852 7,163 2,291 2,268 3,552 7,579 3,198 5,827 2,305 10,783 7,181 2,445 7,936 4,954 1,777 667 3,752 43,843 24,799 8,256 2,282 2,304 3,974 7,984 3,657 6,358 2,490 12,466 8,459 3,439 8,875 5,124 2,136 451 4,208 47,403 27,908 9,684 2,533 2,417 4,498 8,776 3,765 6,501 2,367 14,372 9,943 3,250 10,179 5,142 2,411 250 4,393 53,717 32,024 11,316 2,954 2,483 5,035 10,236 4,824 6,787 2,331 16,849 11,483 2,008 12,475 4,915 2,714 266 4,833 63,979 36,418 13,136 3,290 2,563 5,761 11,669 4,832 6,786 2,295 17,863 12,333 1,861 13,068 5,036 2,717 6,584 2,243 18,880 13,032 2,047 12,349 5,389 2,660 5,244 69,357 37,933 13,833 3,389 2,580 6,048 12,082 4,808 5,318 72,553 37,925 13,872 3,644 2,643 6,235 11,531 4,757 203 87 + 2,031 + 1,549 + 40 126 + 475 54 266 + 486 + 8,574 + 1,507 + 736 ,+ 354 + 80 + 474 138 76 179,599 195,698 210,127 228,497 251,577 258,638 264,627 + 13,050 2,992 1,622 1,320 3,248 1,587 1,527 3,688 1,556 1,703 3,980 1,628 2,300 4,268 1,798 2,927 4,457 1,982 3,290 4,654 2,108 3,372 235,112 249,488 261,468 289,142 313,384 321,220 335,500 MEMORANDA 45,914 40,928 9,441 5,325 4,781 66 1,713 12,939 10,663 911 76 75,525 859 4,125 4,993 58 890 13,188 10,428 769 93 2,981 2,128 552 92 210 4,440 2,284 538 121 1,497 1 ^-BEGINNING JUNE 3 0 , 1 9 6 6 "LOANS TO FARCERS DIRECTLY GUARANTEED BY CCC" WERE RECLASSIFIED AS SECURITIES AND EXPORT-BtPORT BANK PORTFOLIO FUND PARTICIPATIONS WERE RECLASSIFIED FROM "ALL OTHER LOANS" TO SECURITIES. T H I S REDUCED TOTAL LOANS AND INCREASED "OBLIGATIONS OF FEDERAL AGENCIES NOT GUARANTEED BY U . S . " PRIOR TO DECEMBER 3 1 , 1 9 6 5 FEDERAL FUNDS SOLD WERE INCLUDED I N TOTAL LOANS AND, FOR THE MOST PART, AS LOANS TO BANKS. 2 + 7,924 + 492 + 1,076 + 641 199 5 + 5,919 41,924 48,717 29,073 25,210 2,604 1,260 OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE i / Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates MBER 3 1 . FROM— DECEMBER 3 1 , 39,942 49,342 24,092 20,773 2,103 1,217 OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE £ / . . Direct: Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less Other Treasury notes United States nonmarketable bonds , Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations (Msftfe To 39,569 33,896 4,449 1,223 52,968 19,308 16,691 1,510 1,107 TOTAL ASSETS DECEMBER 3 1 , 36,785 32,588 2,984 1,214 54,058 OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. Other bonds, notes, debentures, and corporate.stocks. TOTAL LOANS AND SECURITIES 1966 44,992 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) . . . . . . Customers'liability on acceptances outstanding . . Other a s s e t s JUNE 3 0 , 60,738 4,249 19,069 9,218 182 238 27,783 49,579 2,813 16,918 8,678 46 243 20,880 TOTAL SECURITIES 1965 52,853 4,044 18,094 7,788 359 212 22,1355 RESERVES, CASH, AND BANK BALANCES—TOTAL , Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection FEDERAL FUNDS SOLD (LOANED) i l OTHER LOANS AND DISCOUNTS, NET—TOTAL Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL i / . . . Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed byVA Not ins. or guaranteed by FHA or VA Secured by other properties Loans to domestic com'l. and foreign banks Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees Loans to farmers directly guar, by CCC 1 / . Other loans to farmers Commercial, including open market paper Other loan's to individuals—total . . . . . Passenger automobile instalment loans . Other retail consumer instalment loans Residential repair and modern instal. Other instal. loans for personal expenditures .. Single payment loans for personal expenditures All other loans (including overdrafts) A / . 1966 of dollars) 1963 DECEMBER 2 8 , DECEMBER 2 0 , in millions P R I 0 H TO DECEMBER 3 1 , 1 9 6 5 THE PAR VALUE MATURITY DISTRIBUTION OF U . S . GOVERNMENT OBLIGATIONS AND OBLIGATIONS OF FEDERAL AGENCIES WERE NOT REPORTED. A MATURITY DISTRIBUTION ON A BOOK VALUE BASIS FOR U . S . GOVERNMENT SECURITIES HAS BEEN PUBLISHED I N PREVIOUS SUMMARY REPORTS. ALSO SEE INSET NOTE ON PAGE 2 . BOTE. —BEGINNING APRIL 1 2 , I 9 6 I DEMAND DEPOSITS ADJUSTED ARB DEMAND DEPOSITS OTHER T U N DOMESTIC 0CM4ERCIAL INTERBANK AND UNITED STATES GOVERNMENT, LESS CASH ITEMS REPORTED AS I N PROCESS OF COLLECTION. FOR PRIOR CALL DATES, DB4AND DEPOSITS ADJUSTED ALSO EXCLUDED DEMAND DEPOSITS OF MUTUAL SAVINGS BANKS AND FOREIGN BANKS: ALSO SEE EXPLANATORY NOTES ON PAGE 3 6 . + + + 386 311 444 + 22,116 1966 ALL MEMBER BANKS ON SELECTED CALL DATES DECEMBER 3 0 , 1 9 6 1 TO DECEMBER 3 1 , (Amounts LIABILITIES AND CAPITAL ACCOUNTS DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and corporations Foreign .governments, central banks, etc. . . . . . . . . . . . United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans . . . Savings and loan associations Other time deposits of indiv., part., and corp. Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries TOTAL DEPOSITS . Federal funds purchased (borrowed) . Other liabilities for borrowed money . Acceptances outstanding Other liabilities TOTAL LIABILITIES . CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and d e b e n t u r e s - t o t a l Capital notes and debentures Preferred stock Common stock Surplus Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS . DECEMBER 3 0 , 1961 DECEMBER 2 8 , 1962 DECEMBER 2 0 , 1963 in millions DECEMBER 3 1 , 1964 142,170 139,393 138,065 151,383 104,803 650 5,381 103,929 717 6,086 9,270 652 13,419 1,237 103,297 834 112,060 819 5,838 10,293 709 9 'i% 15,249 1,270 5: S 12,796 1,140 '!:S 1966 of dollars) DECEMBER 3 1 , 1965 154,475 / 1,905 1113,118 882 4,890 10,840 825 15,152 1,477 JUNE 3 0 , 1966 DECEMBER 3 1 , 1966 CHANGE TO DECEMBER 3 1 , 152,715 1,886 106,383 764 .?:SS 843 13,909 1,412 + 6,964 4 + 4,538 22 457 + 567 78 + 1,153 + 259 161,439 1,900 117,656 860 4,432 11,406 747 16,304 1,736 4,654 4,083 4,055 5,368 5,386 6,095 6,396 + 1,010 67,460 80,074 58,296 581 91,311 62,666 618 104,340 67,888 712 121,042 260 4,371 8 178 117 13,014 2,424 242 5,158 28 207 123 18,009 3,033 240 6,364 39 222 121 22,957 3,868 239 8,012 110 321 233 128,494 73,654 870 678 37,525 4,301 204 523 242 130,565 72,624 941 510 40,320 4,180 213 10,983 142 424 228 + 9,523 2,957 + 130 247 + 11,595 + 129 23 + 942 12 26 8 209,630 219,468 229,376 255,724 275,517 281,209 292,004 + 16,487 438 1,660 4,746 3,550 1,623 4,994 3,499 1,584 5,954 11! 2,401 1,833 1,832 6,875 2,297 1,688 2,022 8,326 2,781 1,837 2,164 10,436 + 380 + 4 + 332 + 3,562 216,474 229,634 240,414 266,241 288,458 295,543 309,222 + 20,764 18,638 5,535 16 7 5,512 9,354 3,328 420 19,854 5,760 14 27 5,720 9,909 3,745 440 21,054 6,155 119 30 1:18 10,469 3,968 462 22,901 7,280 756 33 6,491 11,006 4,070 545 25,678 8,822 1,633 31 7,157 11,557 *ili 26,278 8,892 1,607 53 7,232 11,777 4,896 713 + 1,351 + 305 + 54 + 22 + 230 + 379 + 594 + 73 235,112 249,488 261,469 289,142 313,384 321,220 335,500 + 22,116 112,612 100,660 113,331 101,528 114,538 102,816 120,464 108,324 124,034 112,569 122,572 106,472 124,438 112,920 + + 21.1 23.0 8.2 45.2 7.9 19.0 21.2 9.7 47.6 8.0 17.0 18.9 11.1 50.4 8.1 18.2 16.8 11.1 51.1 7.9 16.9 14.4 11.7 54.2 8.0 16.5 12.4 12.3 55.8 8.0 18.1 12.5 11.6 54.8 7.8 + - "•m 6,006 /5,8?0 1 757 28,725 4,052 236 10,041 154 450 236 1,553 32 7,002 11,398 4,302 641 ,0 4 'ih MEMORANDA NET DEMAND DEPOSITS SUBJECT TO RESERVE . DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS: Cash and balances with other banks U.S.Gov't.obligations, direct and guaranteed . . . , Other securities Loans and discounts (incl. Federal funds sold) . Total capital accounts AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS . . . . AVERAGE OF TOTAL LOANS (NET) FOR PAST 15 DAYS . NUMBER O F B A N K S . 6,113 6,049 6,112 6,225 1966 J565 404 350 1.2 1.9 :l ; .2 268,739 166,807 274,891 176,234 281,334 180,460 + 12,595 + 13,653 6,221 6,194 6,150 71 NOTE. —AT MOST CALL DATES PRIOR TO I 9 6 I , SAVINGS DEPOSITS AND OTHER TIME DEPOSITS OF INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS WERE REPORTED AGAINST THE SAME ITEM: ALSO SEE EXPLANATORY NOTES ON PAGE 3 6 . 5 ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , 1 9 6 6 (Amounts in thousands of dollars) BOSTON ASSETS TOTAL RESERVE CITY NEW YORK COUNTRY TOTAL RESERVE CITY COUNTRY RESERVES, CASH, AND BANK BALANCES—TOTAL . . . . Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection 2,469,379 253,222 780,943 318,238 5,719 12,660 1,098,597 1,063,378 34,319 352,354 47,609 140 10,853 618,103 1,406,001 218,903 428,589 270,629 5,579 1,807 480,494 18,037,432 779,805 5,162,663 757,814 20,076 116,248 11,200,826 15,223,868 368,122 4,212,125 214,476 7,955 108,138 10,313,052 2,813,564 411,683 950,538 543,338 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . . 1,481,694 437,969 1,043,725 8,053,661 5,159,069 2,894,592 OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. Other bonds, notes, debentures, and corporate.stocks 1,478,994 1,353,267 79,570 46,157 399,131 368,784 14,540 15,807 1,079,863 984,483 65,030 30,350 9,731,263 8,674,064 631,750 425,449 6,099,094 5,362,968 402,282 333,844 3,632,169 3,311,096 229,468 91,605 2,960,688 837,100 2,123,588 17,784,924 11,258,163 6,526,761 95,100 7,743,161 163,312 7,906,473 1,727,678 20,082 20,900 2,772,393 65,511 2,837,904 263,503 72 74,200 4,970,768 97,801 5,068,569 1,464,175 20,010 222,155 49,510,387 1,186,923 50,697,310 8,592,644 113,598 111,500 37,231,535 922,263 38,153,798 3,903,316 20,096 110,655 12,278,852 264,660 12,543,512 4,689,328 93,502 144,917 52,935 817,832 691,912 37,182 516,514 73,854 25,381 14,880 3,812 79,847 164,892 34,628 317,079 23,576 6,630 130,037 49,123 737,985 527,020 2,554 199,435 50,278 18,751 1,549,830 905,479 3,433,809 2,589,928 1,069,057 3,830,456 3,419,540 677,592 709,429 434,202 1,338,803 1,400,786 1,032,663 3,338,986 3,133,806 604,644 840,401 471,277 2,095,006 1,189,142 36,394 491,470 285,734 72,948 61,062 3,299,637 1,942,632 672,303 115,483 107,496 353,862 693,488 222,533 26,620 1,634,176 444,872 119,435 12,131 24,194 87,215 201,897 86,820 34,442 1,665,461 1,497,760 552,868 103,352 83,302 266,647 491,591 135,713 149,596 24,811,083 6,665,439 1,625,638 375,687 530,134 1,602,604 2,531,376 1,481,903 31,119 21,673,885 3,180,409 472,599 123,780 244,524 849,949 1,489,557 1,254,970 118,477 3,137,198 3,485,030 1,153,039 251,907 285,610 752,655 1,041,819 226,933 10,798,949 3,630,393 7,168,556 67,517,466 48,601,198 18,916,268 206,154 83,453 94,652 48,973 78,023 55,504 157,181 5,430 39,148 969,473 1,241,613 1,330,820 682,890 1,231,108 1,185,731 286,583 10,505 145,089 13,652,587 4,876,271 8,776,316 89,096,804 66,924,795 22,172,009 TOTAL SECURITIES FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, N E T — T O T A L Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA Secured by other properties. Loans to domestic com'l. and foreign banks Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees Other loans to farmers Commercial, including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modem instal Other instal. loans for personal expenditures ... Single payment loans for personal expenditures . All other loans (including overdrafts) TOTAL LOANS AND SECURITIES Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) Customers'liability on acceptances outstanding Other a s s e t s TOTAL ASSETS MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE . Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less . . . . Other Treasury notes United States nonmarketable bonds Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 6 887,774 ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , 1 9 6 6 (Amounts in thousands of dollars) LIABILITIES AND CAPITAL ACCOUNTS RESERVE CITY TOTAL 2,933,544 21,159 2,073,792 6,795 74,019 213,866 79,078 397,617 32,656 4,663,122 49,474 3,810,687 RESERVE CITY 44,415,479 176,645 29,473,049 721,988 1,318,551 2,013,578 488.447 4,861,312 1,298,620 34,864,870 81,013 22,052,732 720,995 1,038,910 703,659 407,964 4,754,799 1,269,261 COUNTRY 9,550,609 95,632 7,420,317 993 279,641 1,309,919 80,483 106,513 29,359 DEMAND DEPOSITS—TOTAL .. Savings and loan associations Other individuals, partnerships, and corporations Foreign .governments, central banks, etc. . . . . . . . . . . . United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc 7,596,666 70,633 5,884,479 6,795 232,526 617,664 186,163 446,029 36,424 115,953 34,562 81,391 4,063,289 3,835,537 227,752 TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries 4,099,851 2,538,737 2,064 13,137 1,066,723 45,595 2,794 341,708 48,429 22,914 17,750 1,144,776 264,890 2,955,075 2,273,847 2,064 662 445,012 19,228,251 6,015,553 2,511 227,920 1,909 1,050 100 29,485,257 13,795,600 1,130 71,534 10,078,061 2,967,243 89,494 1,998,474 92,178 267,095 124.448 66,929 8,522,899 2,938,390 83,281 1,130,059 89,226 264,545 117,369 10,257,006 7,780,047 1,130 4,605 1,555,162 28,853 6,213 868,415 2,952 2,550 7,079 11,696,517 4,078,320 7,618,197 73,900,736 54,093,121 19,807,615 87,925 42,995 84,116 544,417 81,025 41,295 78,686 158,526 6,900 1,700 5,430 385,891 1,017,803 933,591 1,292,378 4,825,251 953,453 923,070 1,280,828 4,201,892 64,350 10,521 11,550 623,359 12,455,970 4,437,852 8,018,118 81,969,759 61,452,364 20,517,395 1,196,617 357,205 36,009 840 320,356 590,867 227,894 20,651 438,419 130,081 10,000 120,081 233,918 72,303 2,117 758,198 227,124 26,009 840 200,275 356,949 155,591 18,534 7,127,045 2,719,662 742,453 42,399 1,934,810 2,984,802 1,198,527 224,054 5,472,431 2,188,635 650,008 42,211 1,496,416 2,225,344 872,683 185,769 1,654,614 531,027 92,445 188 438,394 759,458 325,844 38,285 13,652,587 4,876,271 8,776,316 89,096,804 66,924,795 22,172,009 6,179,882 5,819,514 2,267,883 1,843,805 3,911,999 3,975,709 32,456,839 27,034,790 24,337,342 18,758,109 8,119,497 8,276,681 TOTAL DEPOSITS Federal funds purchased (borrowed) Other liabilities for borrowed money Acceptances outstanding Other liabilities TOTAL LIABILITIES CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures- total Capital notes and debentures Preferred stock Common stock Surplus Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS . 12,475 621,711 45,595 283 113,788 46,520 21,864 17,650 158,507 403,798 107,085 48,412 3,768 MEMORANDA NET DEMAND DEPOSITS SUBJECT TO RESERVE DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS: Cash and balances with other banks U.S. Gov't.obligations, direct and guaranteed Other securities Loans and discounts (incl. Federal funds sold) Total capital accounts AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS . . NUMBER O F BANKS . 18.1 10.9 10.8 57.4 8.8 21.8 9.0 8.2 57.3 9.0 16.0 11.9 12.3 57.5 8.6 20.2 9.0 10.9 55.8 8.0 22.7 7.7 5518 8.2 12.7 13.1 16.4 55.9 7.5 11,491,519 7,813,749 3,959,073 2,757,678 7,532,446 5,056,071 69,040,946 48,535,090 49,787,743 36,191,958 19,253,203 12,343,132 249 5 244 400 15 385 ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , (Amounts in thousands of dollars) CLEVELAND PHILADELPHIA ASSETS TOTAL RESERVE CITY COUNTRY 1,521,400 99,113 548,166 124,942 10,487 6,157 732,535 1,038,486 195,661 351,753 348,467 1,477 26 141,102 8,651 1,130,905 1,405,960 3,885,612 1,694,354 2,191,258 1,336,286 1,130,524 156,391 49,371 3,437,121 3,142,011 183,688 111,422 1,938,877 1,809,671 52,886 76,320 1,498,244 1,332,340 130,802 35,102 1,087,116 2,742,246 7,322,733 3,633,231 3,689,502 113,025 3,938,270 105,843 4,044,113 438,386 4,308 126,125 4,578,643 96,067 4,674,710 2,011,977 99,106 220,775 13,786,377 237,361 14,023,738 3,837,527 160,015 98,700 8,358,674 143,589 8,502,263 1,819,532 5,535 122,075 5,427,703 93,772 5,521,475 2,017,995 154,480 174,808 77,659 1,271,283 823,199 57,186 698,126 65,426 94,915 25,152 4,658 187,314 216,954 54,815 597,276 35,238 67,415 149,656 73,001 1,083,969 606,245 2,371 100,850 30,188 27,500 279,601 179,243 2,045,328 1,173,340 86,481 782,756 176,541 265,449 204,361 131,767 899,297 578,572 75,054 652,154 136,626 228,620 75,240 47,476 1,146,031 594,768 11,427 130,602 39,915 36,829 117,436 2,783,693 2,174,243 697,569 234,056 125,401 490,906 626,311 277,435 4,609 1,812,960 893,873 264,356 116,307 49,605 201,670 261,935 139,541 112,827 970,733 1,280,370 433,213 117,749 75,796 289,236 364,376 137,894 152,443 4,783,827 3,479,002 1,486,267 277,846 315,169 640,498 759,222 459,712 1,724 3,677,227 1,565,008 526,885 113,989 184,123 341,035 398,976 346,318 150,719 1,106,600 1,913,994 959,382 163,857 131,046 299,463 360,246 113,394 12,585,425 5,138,411 7,447,014 21,329,885 12,090,605 9,239,280 208,797 62,278 90,902 78,240 61,723 61,814 130,557 555 29,088 293,267 33,480 164,357 145,555 33,019 132,812 147,712 461 31,545 15,507,288 6,861,588 8,645,700 25,740,979 14,883,200 10,857,779 1,977,365 571,405 OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. ., Other bonds, notes, debentures, and corporate.stocks. 1,851,997 1,593,591 179,865 78,541 515,711 463,067 23,474 29,170 3.829.362 239,150 8,516,913 201,910 8,718,823 2.450.363 103,414 TOTAL LOANS AND SECURITIES Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) Customers'liability on acceptances outstanding Other a s s e t s .. TOTAL ASSETS MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE . Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less . . . . Other Treasury notes United States nonmarketable bonds Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 8 COUNTRY 1,438,781 232,467 430,839 541,062 3,119 330 230,964 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . . . Other loans to formers Commercial, including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modern instal. Other instal. loans for personal expenditures Single payment loans for personal expenditures All other loans (including overdrafts) RESERVE CITY 2,481,209 181,049 971,144 189,393 2,559,886 294,774 899,919 473,409 TOTAL SECURITIES TOTAL 3,919,990 413,516 1,401,983 730,455 3,186 8,981 1,361*869 RESERVES, CASH, AND BANK BALANCES—TOTAL , Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, NET—TOTAL . . . Valuation reserves . OTHER LOANS AND DISCOUNTS, GROSS—TOTAL . Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA .. Secured by other properties Loans to domestic com'l. and foreign banks . . . Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees. . . . 1966 873,637 ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , (Amounts in thousands of dollars) PHILADELPHIA LIABILITIES AND CAPITAL CLEVEIAND ACCOUNTS TOTAL DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and corporations Foreign .governments, central banks, etc. United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp. Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries TOTAL DEPOSITS . Federal funds purchased (borrowed) . Other liabilities for borrowed money . Acceptances outstanding Other liabilities TOTAL LIABILITIES . CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures-total Capital notes and debentures Preferred stock Common stock Surplus Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS . 7,219,922 59,439 5,726,168 10,909 215,785 428,047 38,060 594,711 48,175 RESERVE CITY 3,766,262 25,360 2,777,188 10,909 120,987 141,945 32,056 556,487 48,117 1966 COUNTRY 3,453,660 34,079 2,948,980 94,798 286,102 6,004 38,224 58 TOTAL 11,123,880 212,081 8,936,047 2,726 345,583 763,217 3,373 641,929 25,148 RESERVE CITY COUNTRY 6,647,328 113,710 5,223,449 2,726 208,231 370,428 3,037 588,292 24,249 4,476,552 98,371 3,712,598 137,352 392,789 336 53,637 899 98,628 53,213 45,415 193,776 113,206 80,570 6,482,275 3,989,963 663 8,805 2,108,523 94,334 1,993 260,408 30 10,649 6,907 2,259,909 926,036 4,222,366 3,063,927 663 996 1,039,075 6,414,567 3,751,638 197,373 17,496 1,651,351 33,600 1,274 744,687 5,244,799 3,682,232 399,369 5,033 932,330 1,798 114,834 11,659,366 7,433,870 596,742 22,529 2,583,681 33,600 1,938 967,967 1,053 20 16,374 2,665 14,503 2,645 1,871 20 13,702,197 6,026,171 7,676,026 22,783,246 13,061,895 9,721,351 126,825 7,682 63,355 331,298 115,550 6,716 62,726 129,548 11,275 966 629 201,750 135,450 9,139 33,610 545,819 130,850 8,832 33,149 280,735 4,600 307 461 265,084 14,231,357 6,340,711 7,890,646 23,507,264 13,515,461 9,991,803 1,275,931 313,106 12,600 958 299,548 700,437 248,285 14,103 520,877 111,493 2,233,715 592,532 51,070 100 541,362 1,167,694 392,401 81,088 1,367,739 339,350 42,000 111,493 310,732 97,308 1,344 755.054 201,613 12,600 958 188.055 389,705 150,977 12,759 297,350 761,348 205,121 61,920 865,976 253,182 9,070 100 244,012 406,346 187,280 19,168 15,507,288 6,861,588 8,645,700 25,740,979 14,883,200 10,857,779 5,872,876 5,535,789 2,908,785 2,356,253 2,964,091 3,179,536 9,031,556 8,774,499 5,327,030 4,719,900 3,704,526 4,054,599 7,809 1,069,448 94,334 195 145,574 30 9,596 6,887 664 223,280 MEMORANDA NET DEMAND DEPOSITS SUBJECT TO RESERVE . DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS: Cash and balances with other banks U.S.Gov't.obligations, direct and guaranteed . . . . Other securities Loans and discounts (incl. Federal funds sold) . Total capital accounts AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS . . . . AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS . NUMBER O F BANKS . 16.5 12.8 11.9 56.5 8.2 13,438,203 8,610,485 387 22.2 8.3 7.5 59.0 7.6 5,787,306 3,966,281 12.0 16.3 15.5 54.4 8.7 15.2 15.1 13.4 54.4 8.7 16.7 11.4 Itt 9.2 13.3 20.2 13.8 51.1 8.0 7,650,897 4,644,204 22,259,414 13,736,223 12,682,813 8,269,499 9,576,601 5,466,724 381 498 16 482 I 9 , MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , (Amounts TOTAL in thousands 1966 of dollars) RESERVE CITY RESERVE CITY COUNTRY 656,527 148,983 592,198 136,649 3,915 8,101 766,681 1,176,697 187,216 329,390 386,594 2,394 91 271,012 4 , 212, 908 358, 048 1, 139, 510 1, 198, 011 13, 674 2, 844 1,,500, 821 2,074,565 86,085 622,712 304,106 3,473 1,931 1,056,258 2,138,343 271,963 516,798 893,905 10,201 913 444,563 RESERVES, CASH, AND BANK BALANCES—TOTAL Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection 2,833,224 336,199 921,588 523,243 6,309 8,192 1,037,693 1, OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . 2,326,290 1 , ,031,564 1,294,726 3,,029, 664 976,423 2,053,241 1,753,719 1,493,939 212,502 47,278 864,957 784,096 55,102 25,759 888,762 709,843 157,400 21,519 2,,330, 410 2,,001, ,897 279, ,516 48, ,997 720,909 674,118 30,548 16,243 1,609,501 1,327,779 248,968 32,754 4,080,009 1,896,521 2,183,488 5,,360, ,074 1,697,332 3,662,742 132,800 8,729,126 159,895 8,889,021 2,280,314 133,849 37,875 4,,568,473 88,210 4,,656,683 L,026,653 26,918 94,925 4,160,653 71,685 4,232,338 1,253,661 106,931 114,,420 9,,870, ,609 190,,498 10,,061, ,107 1,816, ,208 119, ,711 30,850 4,097,642 80,363 4,178,005 556,361 7,582 83,570 5,772,967 110,135 5,883,102 1,259,847 112,129 125,260 86,401 1,162,018 772,746 35,869 632,691 112,458 65,671 61,414 56,931 474,723 402,667 29,033 500,068 74,814 32,874 63,846 29,470 683,295 370,119 6,836 132,623 37,644 32,797 124, ,480 39],659 739,,101 793 ,257 47;,274 574:,533 158 ,366 129 ,154 39,629 J2,539 232,494 264,117 11,803 351,359 73,864 56,248 529,140 35,471 223,174 84,502 72,906 139,369 2,633,055 2,766,986 1,114,549 209,766 139,907 477,899 824,865 222,608 19,003 1 ,554,430 1 ,307,283 521,465 88,400 71,451 193,453 432,514 112,525 120,366 1,078,625 1,459,703 593,084 121,366 68,456 284,446 392,351 110,083 174 ,072 3,726 ,752 3 ,155 ,977 1 ,034 ,923 361 ,585 135 ,793 436 ,856 1,186,820 278 ,771 19,156 1,739,381 1,222,017 338,149 130,050 44,395 114,973 594,450 147,816 154,916 1,987,371 1,933,960 696,774 231,535 91,398 321,883 592,370 130,955 12,941,935 6 ,502,869 6,439,066 15 ,345 ,103 5,825,824 9,519,279 243,453 14,705 99,489 106,132 6,447 73,673 137,321 8,258 25,816 373 ,067 11 ,744 142 ,540 137,104 7,926 79,776 235,963 3,818 62,764 16,132,806 8,345,648 7,787,158 20 ,085 ,362 8,125,195 11,960,167 OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. Other bonds, notes, debentures, and corporate.stocks. TOTAL SECURITIES FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, N E T — T O T A L . . . Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL . Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA . Secured by other properties Loans to domestic com'l. and foreign banks Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees. Other loans to farmers Commercial including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modem instal Other instal. loans for personal expenditures .. Single payment loans for personal expenditures All other loans (including overdrafts) TOTAL LOANS AND SECURITIES Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) Customers'liability on acceptances outstanding Other a s s e t s .. TOTAL ASSETS MEMORANDA OBLIGATIONS OF U.S. GOVT. — T O T A L PAR VALUE . . Direct! Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less Other Treasury notes United States nonmarketable bonds Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS OF FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 10 84,851 27,120 506,607 ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , (Amounts in thousands of dollars) ATLANTA RICHMOND LIABILITIES AND CAPITAL ACCOUNTS TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries TOTAL DEPOSITS Federal funds purchased (borrowed) Other liabilities for borrowed money Acceptances outstanding Other liabilities TOTAL LIABILITIES CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures- total Capital notes and debentures Preferred stock Common stock Surplus Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS . RESERVE CITY TOTAL COUNTRY RESERVE CITY COUNTRY 8,375,819 139,695 6,560,895 43,202 220,932 675,357 9,680 602,084 14,047 4,620,977 70,267 3,525,247 43,202 130,120 291,584 9,505 480,599 13,788 3,754,842 69,428 3,035,648 109,927 56,665 53,262 138,594 58,680 79,914 3,123,621 2,287,233 6,682 14,763 642,027 6,817,656 4,007,150 13,195 29,073 2,095,425 6,530 7,588 627,525 2,335,553 1,302,215 1,983 15,818 748,150 6,530 3,224 243,428 4,482,103 2,704,935 11,212 13,255 1,347,275 31,070 100 14,205 16,865 100 TOTAL DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and corporations Foreign .governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc 1966 90,812 383,773 175 121,485 259 11,098,237 159,267 7,552,309 4,602 231,169 1,404,983 1,595,094 12,162 4,800,608 56,217 3,026,879 3,925 104,007 481,463 57 1,059,993 9,387 6,297,629 103,050 4,525,430 677 127,162 923,520 535,101 2,775 5,901,032 4,016,761 21,074 33,709 1,389,969 7,585 19,059 407,731 10 4,134 1,000 2,777,411 1,729,528 14,392 18,946 747,942 7,585 11,283 243,973 14,276,851 7,398,388 6,878,463 17,915,893 7,136,161 10,779,732 71,200 9,957 14,711 453,372 65,425 732 6,453 226,124 5,775 9,225 8,258 227,248 108,050 84,156 11,745 385,010 74,400 72,488 7,927 166,906 33,650 11,668 3,818 218,104 14,826,091 7,697,122 7,128,969 18,504,854 7,457,882 11,046,972 1,306,715 390,529 57,350 25 333,154 660,370 233,550 22,266 648,526 202,904 52,500 1,580,508 553,123 3,000 463,526 711,875 251,634 63,876 667,313 237,690 63,583 3,000 171,107 300,111 96,087 33,425 913,195 315,433 23,014 150,404 327,461 109,415 8,746 658,189 187,625 4,850 25 182,750 332,909 124,135 13,520 292,419 411,764 155,547 30,451 16,132,806 8,345,648 7,787,158 20,085,362 8,125,195 11,960,167 6,814,883 6,515,110 3,717,647 3,243,577 3,097,236 3,271,533 8,399,405 7,771,153 3,440,244 2,580,350 4,959,161 5,190,803 2,762 1,000 7,776 163,758 10 1,372 46,597 4,364 384,097 MEMORANDA NET DEMAND DEPOSITS SUBJECT TO RESERVE DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS: Cash and balances with other banks U.S. Gov't.obligations, direct and guaranteed Other securities Loans and discounts (incl. Federal funds sold) Total capital accounts AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS . . NUMBER O F BANKS 17.6 14.4 10.9 54.9 8.1 19.8 12.4 10.4 55.2 7.8 15.1 16.6 11.4 54.6 8.5 21.0 15.1 11.6 49.7 7.9 25.5 12.0 8.9 50.8 8.2 17.9 17.2 13.5 49.0 7.6 14,000,432 8,724,423 7,211,109 4,532,049 6,789,323 4,192,374 17,203,854 9,927,283 6,860,018 4,152,055 10,343,836 5,775,228 399 16 383 524 25 499 11 ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , (Amounts in thousands of dollars) ST. LOOTS CHICAGO ASSETS TOTAL RESERVE CITY 1966 COUNTRY TOTAL RESERVE CITY COUNTRY 926,753 105,531 309,042 406,951 5,220 RESERVES, CASH, AND BANK BALANCES—TOTAL . Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection 8,184,931 645,666 2,537,588 1,353,548 21,496 27,481 3,599,152 5,179,821 257,817 1,605,089 301,506 17,188 27,243 2,970,978 3,005,110 387,849 932,499 1,052,042 4,308 238 628,174 2,277,699 152,897 717,179 600,018 7,180 975 799,450 1,350,946 47,366 408,137 193,067 1,960 975 699,441 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . 7,921,428 3,074,996 4,846,432 1,809,922 542,495 1,267,427 OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. ., Other bonds, notes, debentures, and corporate.stocks. 6,126,954 5,196,406 716,838 213,710 2,839,402 2,555,622 173,204 110,576 3,287,552 2,640,784 543,634 103,134 1,446,702 1,198,525 216,175 32,002 580,732 542,487 26,021 12,224 865,970 656,038 190,154 19,778 14,048,382 5,914,398 8,133,984 3,256,624 1,123,227 2,133,397 395,550 27,070,120 637,539 27,707,659 7,314,956 266,736 131,500 15,403,245 393,898 15,797,143 2,818,975 10,779 264,050 11,666,875 243,641 11,910,516 4,495,981 255,957 93,675 5,646,839 90,635 5,737,474 1,379,872 154,118 34,500 2,964,643 47,326 3,011,969 423,751 3,197 59,175 2,682,196 43,309 2,725,505 956,121 150,921 1,183,376 336,518 3,562,004 1,966,322 280,985 2,181,783 645,847 490,534 725,313 221,520 1,066,963 794,400 264,389 1,788,152 551,288 256,796 458,063 114,998 2,495,041 1,171,922 16,596 393,631 94,559 233,738 119,605 36,873 574,384 494,892 13,723 403,571 121,937 61,267 33,846 10,807 119,382 256,519 12,538 329,850 111,883 41,585 85,759 26,066 455,002 238,373 1,185 73,721 10,054 19,682 825,888 9,788,959 5,396,365 2,107,203 702,052 474,211 612,852 1,500,047 782,342 88,279 7,373,586 2,059,702 666,462 289,073 241,482 216,734 645,951 595,976 737,609 2,415,373 3,336,663 1,440,741 412,979 232,729 396,118 854,096 186,366 256,766 1,883,150 1,528,468 461,612 137,895 102,989 163,618 662,354 88,720 13,114 1,256,114 762,463 162,061 61,321 60,296 59,493 419,292 60,671 243,652 627,036 766,005 299,551 76,574 42,693 104,125 243,062 28,049 41,514,052 21,449,143 20,064,909 8,997,138 4,122,370 4,874,768 569,029 146,805 482,815 252,990 141,927 373,909 316,039 4,878 108,906 134,291 30,658 71,739 56,683 30,407 51,175 77,608 251 20,564 50,897,632 27,397,790 23,499,842 11,511,525 5,611,581 5,899,944 TOTAL SECURITIES FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, N E T — T O T A L . . . Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL . Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA Secured by other properties Loans to domestic com'I. and foreign banks Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees. . . Other loans to farmers Commercial, including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modern instal. Other instal. loans for personal expenditures ... Single payment loans for personal expenditures All other loans (including overdrafts) TOTAL LOANS AND SECURITIES Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) Customers'liability on acceptances outstanding Other a s s e t s .. TOTAL ASSETS MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE Direct: Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less Other Treasury notes United States nonmarketable bonds . . . . . . Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 12 100,009 ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , (Amounts in thousands of dollars) LIABILITIES AND CAPITAL ACCOUNTS DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and c o r p o r a t i o n s . . . . Foreign .governments, central banks, etc. United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc RESERVE CITY I966 RESERVE CITY TOTAL 3,349,315 34,819 2,029,607 207 95,768 147,658 COUNTRY 3,019,556 51,738 2,408,948 23,103,381 331,091 17,462,825 14,979 747,636 1,545,385 1,792 2,391,980 99,343 13,506,105 155,271 9,580,020 14,809 523,277 679,324 1,136 2,175,415 99,141 9,597,276 175,820 7,882,805 170 224,359 866,061 656 216,565 202 6,368,871 86,557 4,438,555 207 147,990 529,965 382 1,095,516 6,750 508,350 277,712 230,638 62,949 26,297 36,652 3,856,996 1,750,548 4,740 8,449 1,768,661 4,000 3,432 313,004 1,522,350 702,145 2,334,646 1,048,403 4,740 5,235 1,113,084 3,472 690 2,081 690 1,391 1,008,209 6,750 52,222 382,307 382 87,307 TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries 22,133,510 13,289,436 48,868 23,627 6,706,116 280,730 7,613 1,739,173 58 19.444 18.445 10,342,787 5,565,654 17,071 3,534,873 280,293 4,720 905,419 50 16,286 18,421 11,790,723 7,723,782 48,868 6,556 3,171,243 437 2,893 833,754 8 3,158 24 TOTAL DEPOSITS 45,236,891 23,848,892 21,387,999 10,225,867 4,871,665 5,354,202 446,285 232,196 147,601 1,183,593 418,835 226,746 142,484 728,520 27,450 5,450 5,117 455,073 128,400 34,676 30,737 153,118 121,450 30,921 30,486 88,147 6,950 3,755 251 64,971 47,246,566 25,365,477 21,881,089 10,572,798 5,142,669 5,430,129 3,651,066 1,203,246 109,663 4,758 1,088,825 1,668,534 647,028 132,258 2,032,313 716,103 81,997 3,000 631,106 976,805 283,168 56,237 1,618,753 487,143 27,666 1,758 457,719 691,729 363,860 76,021 938,727 267,041 41,950 200 224,891 436,027 208,293 27,366 468,912 143,922 36,100 107,822 236,553 80,545 7,892 469,815 123,119 5,850 200 117,069 199,474 127,748 19,474 50,897,632 27,397,790 23,499,842 11,511,525 5,611,581 5,899,944 18,150,739 16,364,613 10,233,621 7,836,435 7,917,118 8,528,178 4^325*915 2,456,807 1,545,897 2,512,712 2,780,018 Federal funds purchased (borrowed) Other liabilities for borrowed money Acceptances outstanding Other liabilities TOTAL LIABILITIES CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures- total Capital notes and debentures Preferred stock Common stock Surplus Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS 3,214 655,577 4,000 923 153,720 2,509 159,284 MEMORANDA NET DEMAND DEPOSITS SUBJECT TO RESERVE DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS *. Cash and balances with other banks U.S. Gov't.obligations, direct and guaranteed Other securities Loans and discounts (incl. Federal funds sold) Total capital accounts AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS . . . . AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS . NUMBER O F BANKS 16.1 15.6 12.0 54.0 7.2 \n 10.4 56.7 7.4 12.8 20.6 14.0 50.8 6.9 43,702,142 27,145,601 22,781,251 15,177,277 20,920,891 11,968,324 995 26 969 19.8 15.7 12.6 49.9 8.2 480 24.1 9.7 10.3 53.4 8.4 15.7 21.5 14.7 46.5 8.0 4,655,313 2,886,783 5,217,626 2,708,385 15 465 ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , (Amounts in thousands of dollars) KANSAS CITY MINNEAPOLIS ASSETS TOTAL RESERVE CITY 1966 COUNTRY TOTAL RESERVE CITY COUNTRY RESERVES, CASH, AND BANK BALANCES—TOTAL , Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection 1,360,249 88,493 461,896 313,758 3,075 2,473 490,554 635,154 17,113 177,230 65,634 1,725 1,865 371,587 725,095 71,380 284,666 248,124 1,350 608 118,967 2,864,681 155,582 842,587 937,426 1,327 1,380 926,379 1,407,505 36,426 385,679 302,509 25 1,380 681,486 1,457,176 119,156 456,908 634,917 1,302 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . 1,349,539 233,265 1,116,274 2,188,162 530,440 1,657,722 OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. . Other bonds, notes, debentures, and corporate.stocks . 1,120,606 889,293 210,782 20,531 259,416 240,583 11,515 7,318 861,190 648,710 199,267 13,213 1,611,823 1,325,465 198,047 88,311 521,761 441,044 16,950 63,767 1,090,062 884,421 181,097 24,544 2,470,145 492,681 1,977,464 3,799,985 1,052,201 2,747,784 36,945 4,248,334 79,103 4,327,437 1,233,808 66,556 11,595 1,439,955 21,749 1,461,704 219,835 229 25,350 2,808,379 57,354 2,865,733 1,013,973 66,327 105.490 7,025,336 116,388 7,141,724 1,219,379 130,790 33,940 2,866,681 46,731 2,913,412 415,684 12,529 71,550 4,158,655 69,657 4,228,312 803,695 118,261 197,724 79,908 610,911 278,709 15,734 187,196 14,867 67,223 23,835 21,515 114,309 59,947 14,239 135,494 10,672 51,013 173,889 58,393 496,602 218,762 1,495 51,702 4,195 16,210 107,601 49,704 415,752 515,532 42,746 404,662 99,179 96,273 43,496 17,184 105,468 237,007 31,980 285,309 52,662 65,441 64,105 32,520 310,284 278,525 10,766 119,353 46,517 30,832 Other loans to farmers Commercial including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modern instal. Other instal. loans for personal expenditures .. Single payment loans for personal expenditures All other loans (including overdrafts) 510,069 1,288,578 915,835 391,125 125,768 64,527 109,689 224,726 94,127 10,196 699,739 260,399 92,950 29,633 22,216 21,942 93,658 60,117 499,873 588,839 655,436 298,175 96,135 42,311 87,747 131,068 34,010 1,165,153 2,323,844 1,630,424 635,560 170.491 95,294 227,830 501,249 160,064 184,385 1,167,829 590,298 162,222 53,090 39,659 257,898 119,824 980,768 1,156,015 1,040,126 473,338 117,401 55,635 150,401 243,351 40,240 TOTAL LOANS AND SECURITIES 6,755,424 1,944,231 4,811,193 10,930,811 3,952,822 6,977,989 122,369 11,240 43,923 29,680 7,072 17,173 92,689 4,168 26,750 219,855 3,146 75,370 95,450 2,658 43,502 124,405 488 31,868 8,293,205 2,633,310 5,659,895 14,093,863 5,501,937 8,591,926 TOTAL SECURITIES FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, N E T — T O T A L .. Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL . Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA . Secured by other properties Loans to domestic com'l. and foreign banks Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees. . . Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) Customers' liability on acceptances outstanding Other a s s e t s .. TOTAL ASSETS MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE . . Direct: Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less Other Treasury notes United States nonmarketable bonds Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 77,429 244,893 ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , (Amotmta in thousands of dollars) LIABILITIES AND CAPITAL MINNEAPOLIS ACCOUNTS TOTAL 1966 KANSAS CITY ' 1 RESERVE CITY | COUNTRY TOTAL RESERVE CITY COUNTRY DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and c o r p o r a t i o n s . . . . Foreign .governments, central banks, etc. United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc 3,863,259 25,505 2,790,513 29 92,368 378,939 4,729 484,349 6,157 80,670 35,562 45,108 119,628 41,166 78,462 TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries 3,624,327 1,149,169 7,800 2,105 2,252,344 2,000 2,797 205,655 816,448 207,494 50 950 547,089 2,000 851 55,739 2,807,879 941,675 7,750 1,155 1,705,255 4,603,313 2,333,370 10,982 12,098 1,950,713 1,542,743 743,101 3,878 4,730 740,721 3,060,570 1,590,269 7,104 7,368 1,209,992 1,946 149,916 7,851 285,833 875 48,137 6,976 237,696 2,457 2,275 182 2,466 1,301 1,165 7,487,586 2,346,591 5,140,995 12,593,445 4,870,424 7,723,021 4,775 36,168 11,291 125,252 500 30,427 7,072 39,427 4,275 5,741 4,219 85,825 52,700 53,287 3,151 171,492 43,400 30,886 2,658 67,629 9,300 22,401 493 103,863 7,665,072 2,424,017 5,241,055 12,874,075 5,014,997 7,859,078 628,133 220,773 19,454 150 201,169 252,018 139,732 15,610 209,293 88,750 10,000 418,840 132,023 9,454 150 122,419 169,768 101,439 15,610 1,219,788 382,514 31,300 458 350,756 496,543 310,566 30,165 486,940 166,387 26,000 140,387 194,303 115,907 10,343 732,848 216,127 5,300 458 210,369 302,240 194,659 19,822 8,293,205 2,633,310 5,659,895 14,093,863 5,501,937 8,591,926 3,058,947 2,795,988 1,092,922 730,717 1,966,025 2,065,271 6,126,327 5,708,823 2,343,686 1,738,082 3,782,641 3,970,741 TOTAL DEPOSITS Federal funds purchased (borrowed) Other liabilities for borrowed money Acceptances outstanding Other liabilities TOTAL LIABILITIES CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures- total Capital notes and debentures Preferred stock Common stock Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS . 1,530,143 5,648 939,312 29 50,406 111,764 4,566 377,433 5,423 78,750 82,250 38,293 2,333,116 19,857 1,851,201 7,990,132 99,385 5,520,076 3,327,681 26,885 2,157,237 4,662,451 72,500 3,362,839 41,962 267,175 163 106,916 734 178,286 892,137 77,661 190,304 100,625 701,833 1,176,644 3,976 830,452 3,976 346,192 MEMORANDA NET DEMAND DEPOSITS SUBJECT TO RESERVE DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS: Cash and balances with other banks U.S. Gov't.obligations, direct and guaranteed . . . . . . . . . Other securities Loans and discounts (incl. Federal funds sold) Total capital accounts AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS . . NUMBER O F BANKS 16.4 16.3 13.5 51.7 7.6 7,364,630 4,332,654 494 24.1 8.9 sl.l 7.9 2,305,651 1,449,868 12.8 \l:l 50.1 7.4 20.3 15.5 11.4 50.6 8.7 25.6 9.6 9.5 52.7 8.9 17.0 1217 49.2 8.5 5,058,979 2,882,786 12,198,255 6,902,693 4,647,953 2,768,807 7,550,302 4,133,886 486 835 22 813 15 ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , (Amounts in thousands of dollars) SAN FRANCISCO DALLAS ASSETS TOTAL 1966 RESERVE CITY COUNTRY TOTAL 1,750,989 159,473 459,807 883,414 13,644 2,477 232,174 8,087,409 561,765 3,187,753 662,798 72,863 44,248 3,557,982 RESERVE CITY 6,960,632 416,738 2,799,843 392,890 67,618 38,623 3,244,920 COUNTRY RESERVES, CASH, AND BANK BALANCES—TOTAL . Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection 3,930,450 209,232 1,015,211 1,349,225 14,736 6,409 1,335,637 2,179,461 49,759 555,404 465,811 1,092 3,932 1,103,463 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . 2,355,472 915,345 1,440,127 5,545,248 4,337,439 1,207,809 2,262,913 1,879,082 316,694 67,137 898,189 825,842 47,325 25,022 1,364,724 1,053,240 269,369 42,115 5,807,876 5,052,505 597,839 157,532 4,864,608 4,259,094 476,589 128,925 943,268 793,411 121,250 28,607 4,618,385 1,813,534 2,804,851 11,353,124 9,202,047 2,151,077 176,420 8,832,213 168,344 9,000,557 995.757 101,618 88,750 4,361,906 76,869 4,438,775 368,049 9,155 87,670 4,470,307 91,475 4,561,782 627,708 92,463 286,685 30,644,324 526,134 31,170,458 9,535,399 274,318 244,925 25,569,514 448,709 26,018,223 7,877,008 217,497 41,760 5,074,810 77,425 5,152,235 1,658,391 56,821 67,523 32,163 340,864 453,589 26,629 533,956 47,671 485,618 32,318 19,199 101,632 205,745 20,311 384,903 34,003 322,816 35,205 12,964 239,232 247,844 6,318 149,053 13,668 162,802 2,508,889 366,899 3,906,728 2,478,565 334,368 1,602,434 453,692 201,067 2,150,122 296,252 3,363,918 1,849,219 308,986 1,492,877 360,449 164,908 358,767 70,647 542,810 629,346 25,382 109,557 93,243 36,159 Other loans to farmers Commercial, including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modern instal. Other instal. loans for personal expenditures ... Single payment loans for personal expenditures All other loans (including overdrafts) 495.758 3,948,494 2,195,427 970,432 190,605 98,678 299,627 636,085 271,247 38,002 2,228,550 868,683 308,530 67,564 38,763 89,178 364,648 173,458 457,756 1,719,944 1,326,744 661,902 123,041 59,915 210,449 271,437 97,789 1,270,540 11,281,757 6,074,132 2,674,901 742,512 453,671 818,691 1,384,357 417,069 896,123 9,796,675 4,769,535 2,062,300 583,972 364,313 572,041 1,186,909 351,662 374,417 1,485,082 1,304,597 612,601 158,540 89,358 246,650 197,448 65,407 TOTAL LOANS AND SECURITIES 13,627,018 6,264,190 7,362,828 42,284,133 35,016,486 7,267,647 388,556 50,284 99,737 194,830 50,008 64,811 193,726 276 34,926 925,924 419,021 675,527 696,604 408,590 594,479 229,320 10,431 81,048 18,096,045 8,753,300 9,342,745 52,392,014 43,676,791 8,715,223 OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. ., Other bonds, notes, debentures, and corporate.stocks. TOTAL SECURITIES FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, N E T — T O T A L . . . . . . . Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL Real estate l o a n s — total Secured by farm land? Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA Secured by other properties Loans to domestic com'l. and foreign banks Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) . . . . . . Customers'liability on acceptances outstanding . . Other a s s e t s TOTAL ASSETS MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE . . Direct! Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less . . . . Other Treasury notes United States nonmarketable bonds Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 16 '•iS® 387,910 269,908 mi 313,062 ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , (Amounts in thousands of dollars) LIABILITIES AND CAPITAL 1966 SAN FRANCISCO ACCOUNTS TOTAL RESERVE CITY COUNTRY RESERVE CITY DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and c o r p o r a t i o n s . . . . Foreign .governments, central banks, etc. . . . . . . . . . . United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc 9,985,189 120,004 7,059,422 4,187 158,363 741,885 4,840,347 34,968 3,114,086 3,592 84,832 239,066 5,144,842 85,036 3,945,336 595 73,531 502,819 1,685,474 32,295 1,255,391 23,462 430,083 8,833 183,559 84,950 98,609 720,185 617,002 103,183 H M E DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries 6,088,041 2,592,983 233,123 70,544 2,128,008 2,300 13,750 1,019,909 2,758,433 917,081 152,167 45,737 1,105,329 2,300 3,329,608 1,675,902 80,956 24,807 1,022,679 21,638,559 13,171,079 4,174,696 2,555,431 232 30,160 1,157,159 26,694 730 11,419 730 15,275 25,813,255 15,726,510 232 214,726 6,192,103 736,428 54,294 2,815,567 1,415 17,035 54,945 16,073,230 7,598,780 8,474,450 46,111,174 38,353,022 7,758,152 238,470 78,744 50,384 200,254 218,670 75,348 50,108 90,436 19,800 329,580 309,061 410,368 1,338,559 33,950 4,994 109,818 363,530 314,055 421,349 1,517,449 178,890 16,641,082 8,033,342 8,607,740 48,727,557 40,740,590 7,986,967 1,454,963 535,661 50,290 719,958 297,997 41,000 735,005 237,664 9,290 2,936,201 1,054,685 293,547 485,371 624,318 244,882 50,102 728,256 301,601 74,243 450 256,997 331,134 89,566 1,261 228,374 293,184 155,316 48,841 3,664,457 1,356,286 367,790 450 988,046 1,483,311 793,075 31,785 18,096,045 8,753,300 9,342,745 52,392,014 43,676,791 8,715,223 7,300,327 6,805,715 3,271,073 2,396,661 4,029,254 4,409,054 16,077,139 15,467,650 13,076,653 12,337,518 3,000,486 3,130,132 TOTAL DEPOSITS Federal funds purchased (borrowed) Other liabilities for borrowed money Acceptances outstanding Other liabilities TOTAL LIABILITIES CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures- total Capital notes and debentures Preferred stock Common stock Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS 1,000 522,670 12,750 497,239 3,396 276 20,297,919 419,783 16,251,848 50,621 543,253 1,415,296 14,567 729,034 153,332 16,714,463 351,495 13,378,422 48,681 450,705 1,030,627 13,118 681,320 143,093 184,566 5,034,944 735,428 33,720 2,416,194 540 16,778 45,310 761,138 1,198,940 660,634 21,942 3,583,456 68,288 2,873,426 1,940 92,548 384,669 1,449 47,714 10,239 1,000 20,574 399,373 875 257 9,635 10,981 226,908 284,371 132,441 9,843 MEMORANDA NET DEMAND DEPOSITS SUBJ E C T TO RESERVE DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS: Cash and balances with other banks U.S. Gov't.obligations, direct and guaranteed Other securities Loans and discounts (incl. Federal funds sold) Total capital accounts AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS . . . . AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS . NUMBER O F BANKS 21.7 13.0 12.5 49.8 8.0 24.9 10.5 10.3 50.8 8.2 18.7 15.4 14.6 48.8 7.9 15.4 10.6 11.1 59.0 7.0 1:2 11.1 11:1 10.8 TJ 58.7 8.4 15,305,524 8,785,404 7,089,420 4,311,648 8,216,104 4,473,756 45,455,873 30,351,058 37,856,870 25,300,123 7,599,003 5,050,935 673 17 656 216 21 195 17 ALL MEMBER BANKS, BY STATES, DECEMBER 3 1 , (Amounts ASSETS RESERVES, CASH, AND BANK BALANCES—TOTAL . . . . Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection in thousands ALABAMA CALIFORNIA 556,438 56,419 177,457 40,186 129 160,591 119 11,308 161,290 1966 of dollars) kill n 'm 264,168 29.815 91,346 27,513 181 321,562 26,952 83,968 125,742 973 3,499 111,814 83,927 6,067,835 384,593 2,398,441 468,035 67,856 36,589 2,712,321 525,744 30,975 159,810 129,647 143 205,164 594,282 86,946 193,297 106,770 3,465 750 203,054 121,402 11,044 44,437 47,088 100 18,733 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . . 523,698 48,805 187,992 227,373 3,923,501 364,136 383,069 60,223 OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. Other bonds, notes, debentures, and corporate.stocks 386,586 341,920 37,500 7,166 39,125 33,727 222,508 187,522 30,821 4,165 233,855 188,790 41,474 3,591 4,296,687 3,728,622 441,105 267,064 243,918 429,760 404,827 13,569 11,364 89,649 81,708 5,806 2,135 910,284 87,930 410,500 461,228 8,220,188 631,200 812,829 149,872 9,450 1,430,152 36,341 1,466,493 255,720 28,164 4,000 142,245 5,261 147,506 61,084 1,250 1,263,116 13,113 1,276,229 307,588 7,190 5,250 781,658 12,487 794,145 207,335 38,940 239,625 23,431,889 411,798 23,843,687 7,551,485 210,945 8,350 1,523,238 25,092 1,548,330 301,979 14,946 13,500 1,921,370 38,956 1,960,326 594,088 2,213 30,900 318,870 5,192 324,062 173,788 22,388 41,229 62,993 15,967 30,493 48,251 1,989 9,394 1,724 71,366 85,911 1,464 28,113 20,436 24,033 108,194 134,370 5,240 104,006 7,782 38,080 38,991 359,018 175,238 1,996 57,640 31,867 5,779 6,721 927 52,248 20,033 'kill 1,889,019 272,759 3,319,577 1,859,185 304,016 1,211,194 290,173 158,503 174,830 368,554 323,954 133,810 31,564 24,846 94.816 38,918 4,603 52,574 223,210 252,977 107,850 25,007 10,511 32,740 76,869 7,248 738,282 8,840,621 4,433,230 1,915,497 549,994 319,032 543,999 1,104,708 316,183 226,384 430,878 405,416 144,452 48,636 24,137 41,191 147,000 28,565 5,886 596,513 594,491 183,912 33,267 34,916 123,837 218,559 72,066 5,642 71,047 146,180 27,290 11,576 5,117 17,307 84,890 5,403 TOTAL SECURITIES FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, NET—TOTAL Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL Real estate l o a n s — t o t a l Secured by farm land Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA Secured by other properties Loans to domestic com'l. and foreign banks Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees Other loans to farmers Commercial, including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modem instal. Other instal. loans for personal expenditures ... Single payment loans for personal expenditures . All other loans (including overdrafts) TOTAL LOANS AND SECURITIES Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) Customers'liability on acceptances outstanding Other a s s e t s TOTAL ASSETS MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE . . . Direct: Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less Other Treasury notes United States nonmorketable bonds . . . . , Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS O F F E D . AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 18 11,143 2,486 118,160 95,767 5 'ltt 10,643 192 28,047 22,200 62*576 264 i!:SS 178 42,002 478,976 534,507 180,112 61,440 24,008 74,918 'iifdl 20 50,204 35,485 12,510 12,836 1,737 4,793 3 i% 126,960 18,628 82,260 2,331 10,371 1,655 1,504 2,349,886 234,175 1,674,866 1,248,136 31,891,702 2,162,788 2,747,699 499,642 45,666 467 11,761 9,273 40 1,938 58,971 15 24,497 26,368 5,419 644,882 374,987 570,278 56,490 1,546 27,265 74,160 1,205 16,869 11,258 231 3,386 2,964,218 285,612 2,022,517 1,601,485 39,549,684 2,773,833 3,434,215 635,919 ALL MEMBER BANKS, BY STATES, DECEMBER 3 1 , 1 9 6 6 (Amounts in thousands of dollars) LIABILITIES AND CAPITAL ACCOUNTS DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and corporations Foreign .governments, central banks, etc. United States Government ;... States and political subdivisions Mutual savings banks in United States Commercial banks in United States ALABAMA ALASKA ARIZONA 1,641,378 16,769 1,158,100 134,221 479 105,427 33,591 301,466 5,634 18,441 34 1,509 15 113,376 799 ARKANSAS 831,727 6,319 649,421 1,911 13,923 121,950 919,981 12,697 665,720 11,983 6,874 110,386 13,644 109,211 Certified and officers' checks, cash letters of credit, TIME DEPOSITS—TOTAL Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries TOTAL DEPOSITS Other liabilities for borrowed money Acceptances outstanding Other liabilities TOTAL LIABILITIES CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures-total Preferred stock Common stock Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS CALIFORNIA 14,609,501 339,446 11,847,648 47,980 414,343 699,025 2,547 547,444 130,496 COLORADO CONNECTICUT DELAWARE 1,380,734 18,425 1,057,786 1,867,468 18,692 1,561,938 427,477 1,332 381,808 36,958 81,909 71,635 114,290 37,807 26,760 1,469 23,303 4,134 3,894 11,173 27 156,213 287 17,277 2,682 19,346 8,323 580,572 29,156 34,877 1,806 1,025,132 727,618 3,560 3,320 235,887 131,495 63,128 536,232 290,897 2,011 2,349 207,131 1,127,798 851,813 118 300 127,009 121,233 97,932 12,843 37,536 875 150 243 100 - 735 250 535 145,393 1,400 1,230 - 19,968,500 11,874,120 104 201,578 4,784,436 730,628 23,146 2,286,551 175 16,700 51,062 1,121,852 654,962 1,551 44,214 970,152 585,623 127 4,960 330,785 1,000 6,448 41,109 2,666,510 265,716 1,801,879 1,456,213 34,578,001 2,502,586 2,995,266 548,710 1,000 420 467 59,356 137 40 2,906 16,250 246 15 49,334 850 2,750 16,657 296,700 296,931 377,315 1,271,971 7,350 2,346 1,546 40,192 1,205 144,693 231 18,819 2,727,753 268,799 1,867,724 1,476,470 36,820,918 2,554,020 3,141,564 567,760 236,465 72,943 75 16,813 5,525 200 154,793 65,404 29,723 125,015 39,111 1,350 2,728,766 1,028,519 321,877 219,813 77,481 7,050 292,651 101,246 25,200 68,159 24,413 72,868 99,249 53,312 10,961 5,325 4,650 5,948 690 35,681 63,539 23,802 2,048 37,761 51,600 30,588 3,716 706,642 1,090,859 595,661 13,727 70,431 96,353 44,382 1,597 76,046 140,583 47,488 3,334 24,413 35,030 8,562 154 2,964,218 285,612 2,022,517 1,601,485 39,549,684 2,773,833 3,434,215 635,919 1.319,497 1,333,820 111,567 115,770 692,400 694,007 710,312 712,024 11,429,145 10,935,393 1,045,923 982,399 1,557,644 1,566,019 361,656 374,268 240 16,873 8,982 388 32,721 4,713 391,433 2,391 68,103 22,908 - 400 MEMORANDA NET DEMAND DEPOSITS SUBJECT TO RESERVE DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS: U.S. Gov't.obligations, direct and guaranteed Other securities Loans and discounts (incl. Federal funds sold) Total capital accounts . . AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS NUMBER O F BANKS 18.8 17.7 13.0 48.6 8.0 14.1 17.1 13.7 51.2 5.9 13.1 9.3 11.0 62.5 7.7 20.1 14.2 14.6 49.1 7.8 15.3 9.9 10.9 59.9 6.9 19.0 13.1 9.6 55.2 7.9 17.3 11.2 12.5 56.3 8.5 19.1 9.5 14.1 55.0 10.7 2,591,895 1,433,352 257,905 144,958 1,777,729 1,257,972 1,418,926 785,874 34,133,101 23,208,892 2,445,423 1,526,749 2,940,700 1,972,131 581,632 315,334 111 5 5 85 105 134 36 7 19 j MEMBER BANKS, BY STATES, DECEMBER 3 1 , (Amounts in thousands DISTRICT OF COLUMBIA ASSETS 41,677 1,092,508 113,148 264,464 311,520 1,919 1,060 400,397 223,357 137,036 3,978,206 1,204,212 446,806 50,895 44,765 18 6,112 92,735 88,308 2,819 1,608 3,157,007 2,574,297 466,662 116,048 650,302 515,903 102,066 32,333 313,388 257,493 50,230 5,665 756,530 97,696 229,771 7,135,213 1,854,514 760,194 48,420 2 ,921,951 48,438 2 ,970,389 593,444 23,824 28,200 2,177,095 37,854 2,214,949 393,529 23,225 1,250 258,677 2,767 261,444 117,459 2,094 305 534,350 9,346 543,696 149,904 4,381 143,050 13,438,033 375,229 13,813,262 2,192,223 111,717 159,775 2,979,482 55,720 3,035,202 1,002,146 73,187 15,350 1,260,933 23,842 1,284,775 341,345 34,152 20,389 16,492 190,075 177,355 13,130 204,958 16,735 11,751 84,405 26,223 168,861 290,131 30,683 148,033 66,746 54,473 16,592 4,861 210,690 138,161 5,137 165,625 20,416 9,316 13,581 3,533 56,447 41,804 5,537 31 4,779 78,520 14,112 32,152 20,739 2,000 10,396 22,898 5,104 209,495 66,237 1,173,843 630,931 184,454 1,353,714 450,595 430,908 88,806 23,353 496,976 319,824 3,090 166,123 46,249 19,246 25,138 20,756 166,167 95,132 3,163 51,725 15,166 15,442 88 309,961 301,314 89,681 21,073 19,692 51,593 119,275 32,578 49,019 1,047,879 912,836 333,381 121,229 48,416 111,678 298,132 67,276 18,995 891,617 674,196 170,059 79,990 23,482 96,253 304,412 36,118 5,152 59,872 52,795 18,686 2,481 3,255 14,891 13,482 15,819 95,939 111,211 140,975 79,196 18,919 14,733 12,162 15,965 5,269 391,333 6,351,282 2,147,850 762,012 227,968 117,855 261,316 778,699 310,903 112,735 746,959 858,728 358,978 72,523 86,155 118,676 222,396 79,926 265,154 287,734 280,818 121,033 28,210 21,894 26,638 83,043 24,228 1,912,857 4 ,853,043 2,961,825 357,623 764,426 20,716,296 4,993,771 2,036,477 28,280 146,227 3,640 42,705 80,874 4,286 52,951 13,778 1,620 6,872 18,296 566 14,237 4,987 225,068 133,980 297,935 73,570 2,537 38,308 32,605 893 9,261 2,403,465 6,456,858 3,937,166 441,525 915,674 25,431,072 6,200,694 2,605,767 447,525 36,182 195,316 64,960 1,775 1,635 147,657 1, , 4 1 1 , 2 4 3 130,466 314,262 494,238 7,730 1,695 462,852 837,230 50,060 266,886 129,183 1,147 740 389,214 275 24,336 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . 475,311 1,024,576 404,291 46,801 OTHER SECURITIES—TOTAL BOOK V A L I E Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. Other bonds, notes, debentures, and corporate.stocks. 128,231 106,074 14,165 7,992 858,096 679,348 159,100 19,648 352,239 310,625 34,580 7,034 603,542 1,882,672 31,825 1,277,490 18,178 1,295,668 405,153 842 TOTAL SECURITIES FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, N E T — T O T A L . . . Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL . Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA ., Secured by other properties Loans to domestic com'l. and foreign banks Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees. . . Other loans to farmers Commercial, including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modern instal. Other instal. loans for personal expenditures .. Single payment loans for personal expenditures All other loans (including overdrafts) TOTAL LOANS AND SECURITIES .. TOTAL ASSETS MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE .. Direct: Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less Other Treasury notes United States nonmarketable bonds Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 20 526,531 36,233 118,574 148,367 4,057,793 237,200 1,324,276 562,385 15,847 17,084 1,901,001 61,632 12,219 17,753 7,049 RESERVES, CASH, AND BANK BALANCES—TOTAL . Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) Customers'liability on acceptances outstanding Other a s s e t s 1966 of dollars) 127,965 10,975 54,114 21,199 ALL MEMBER BANKS, BY STATES, DECEMBER 3 1 , (Amounts in thousands of dollars) LIABILITIES AND CAPITAL ACCOUNTS DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and corporations Foreign .governments, central banks, etc. United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries TOTAL DEPOSITS Federal funds purchased (borrowed) Other liabilities for borrowed money Acceptances outstanding Other liabilities TOTAL LIABILITIES CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures-total Capital notes and debentures Preferred stock Common stock Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS DISTRICT OF COLUMBIA HAWAII 1,369,824 46,928 1,170,244 43,170 28,162 347 3,409,158 70,927 2,297,441 1,586 61,913 394,324 53,550 5,513 523,005 5,141 2,206,252 23,992 1,536,121 54,953 234,201 57 329,247 1,673 202,006 3,979 143,363 29 14,824 20,812 12,324 1,461 IDAHO 457,706 4,402 333,841 8,067 99,826 24 3,434 21,910 54,821 26,008 5,214 8,112 796,692 510,712 15,441 6,314 248,536 7,285 6,930 469 2,379,736 1,345,034 42 5,750 751,876 1,238,451 415,166 97 11,605 688,335 3,530 182,242 103,224 376,608 263,612 1,965 46,298 851 111,010 2,027 272,020 113,573 4,978 24,977 1,109 26 5 2,887 4,264 1,000 100 1,881 5,788,894 3,444,703 384,248 5,300 400 566 45,065 46,200 20,599 3,641 110,524 24,000 32,100 4,286 103,287 1,620 6,639 2,217,847 5,969,858 3,608,376 185,618 57,158 12,500 487,000 207,949 22,850 44,658 88,625 39,161 674 12,252,052 187,699 9,199,077 14,874 397,337 603,157 1,036 1,529,416 71,193 834,314 3,122,736 35,788 2,274,831 1,417,018 15,431 1,041,183 67,772 449,659 789 220,759 1,387 27,014 84,506 215,169 248,263 71,750 33,649 9,999,322 6,264,634 47,259 19,950 2,683,338 267,780 2,979 688,006 2,358,356 1,171,638 1,183 1,654 1,009,119 939,057 445,227 15,604 9,772 800 2,166,516 1966 1,778 170,517 50 2,417 122 515 457,562 618 34,743 270 22,251,374 5,481,092 2,356,075 16,149 307,000 193,608 134,565 616,823 76,310 20,325 2,748 165,429 5,100 1,175 893 29,855 392,507 850,463 23,503,370 5,745,904 2,393,098 328,790 116,509 39,787 49,018 20,563 11,500 212,669 47,210 76,722 137,396 43,542 31,343 9,063 18,387 8,068 2,000 1,927,702 642,028 11,413 170 630,445 894,308 311,105 80,261 454,790 126,124 15,147 185,099 200,508 64,106 14,437 65,211 23,962 2,560 450 20,952 31,876 9,179 194 110,977 210,964 107,639 10,063 100 47,110 95,533 64,174 5,752 2,403,465 6,456,858 3,937,166 441,525 915,674 25,431,072 6,200,694 2,605,767 1,157,207 1,140,455 2,452,068 2,361,388 1,687,855 1,432,838 170,621 150,522 394,830 404,528 9,788,782 8,424,298 2,410,819 2,433,808 1,045,294 951,478 - MEMORANDA NET DEMAND DEPOSITS SUBJECT TO RESERVE DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS*. Cash and balances with other banks U.S. Gov't.obligations, direct and guaranteed Other securities Loans and discounts (incl. Federal funds sold) Total capital accounts AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS . . . . AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS . NUMBER O F BANKS 18.6 19.8 5.3 54.5 7.7 21.9 15.9 13.3 46.0 7.5 2,118,746 1,270,606 5,410,720 2,930,994 12 206 21.3 10.3 8.9 56.0 8.4 3,385,221 2,247,860 14.0 10.6 11.5 58.9 11.1 14.0 15.0 10.1 58.4 7.1 16.0 15.6 12.4 53.4 7.6 17.6 19.4 10.5 50.6 7.3 20.2 17.1 12.0 49.0 8.2 367,063 264,389 818,354 518,166 21,390,278 13,218,500 5,238,241 3,144,269 2,268,815 1,263,002 2 16 525 206 159 21 ALL MEMBER BANKS, BY STATES, DECEMBER 3 1 , in thousands LOUISIANA OTHER SECURITIES—TOTAL BOOK V A L I E Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. Other bonds, notes, debentures, and corporate.stocks 250,919 218,871 25,073 6,975 10,266 2,499 799,138 648,232 982,964 201,523 21,700 23,500 1,194,803 20,941 1,215,744 297,898 39.458 23,800 1,704,995 28,404 1,733,399 294,918 12,855 12,200 Other loans to farmers Commercial, including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modern instal. Other instal. loans for personal expenditures .. Single payment loans for personal expenditures All other loans (including overdrafts) . . . . . . . . . . . . TOTAL LOANS AND SECURITIES Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) Customers'liability on acceptances outstanding Other a s s e t s .. TOTAL ASSETS MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE Direct: Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or l e s s . . Other Treasury notes United States nonmarketable bonds . . . . . . . . . Other bonds maturing in 1 year or l e s s Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 22 1:?8 53,307 663,404 526,032 124,387 12,985 623,119 1,627,247 4,143,723 1,328,496 26,875 1,447,192 29,176 1,476,368 441,816 35,317 48,900 4,533,789 105,543 4,639,332 673,935 3,210 79,150 8,322,835 150,003 8,472,838 3,437,638 74,550 6,672 7,180 213,309 179,338 2,380 107,112 32,228 13,008 19,479 263,991 359,043 35,220 387,849 36,231 15,285 837,498 200,030 1,520,212 805,348 81,858 523,013 109,377 34,561 32,154 2,292,322 1,040,356 347,507 56,649 59,060 185,488 391,652 125,980 100,239 1,995,752 1,898,143 809,938 369,220 242,380 185,109 291,496 292,257 151,610 941,680 535,411 218,096 6,209,936 12,545,708 3,952,492 18,201 108,464 79,265 71,243 203,026 6,814 118,945 66,842 9,059 28,079 2,662,366 8,102,060 14,988,398 4,972,825 98,243 103,280 397,313 333,530 267,897 58,900 6,733 ii"' 665,092 1,881,020 590,849 392,115 356,188 25,661 465,608 11,385 3,217 60,379 2,262,703 758,996 687,220 44,210 27,566 743 199,296 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . . 1,135,936 159,602 30,704 868,251 276,733 234,449 88 38,471 29 164,517 1,119,920 16,016 346,386 1,633,152 125,863 527,174 150,536 101,641 FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, N E T — T O T A L . . . Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL . Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed byVA Not ins. or guaranteed by FHA or VA . Secured by other properties Loans to domestic com'l. and foreign banks Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees . . 916,353 46,725 290,903 162,301 1,825 2,165 412,434 513,814 57,420 174,610 81,635 524,280 39,228 164,047 155,177 TOTAL SECURITIES 11,109 816,259 2,113,905 243,506 750,130 309,800 2,375 7,790 800,304 106,313 18,572 21,399 27,783 744,503 57,571 218,199 185,318 2,875 430,649 28,159 132,904 167,845 1,282 280 280,260 9,611 433,537 9,086 442,623 147,382 4,572 13,093 5,912 74,552 49,253 110 45,793 15,292 10,379 1,589 89,859 23,708 11,378 3,213 118,770 150,469 8,308 137,849 24,704 43,263 289,259 346,433 252,560 109,766 30,333 20,087 34,800 57,574 8,432 56,402 350,916 355,535 100,807 25,220 29,479 47,079 152,950 28.459 20,474 746,871 411,383 123,232 21,203 15,629 87,436 163,883 45,629 10,195 131,525 133,189 49,762 24,690 39,603 7,392 20,906 425,887 390,639 159,256 25,443 18,381 64,359 123,200 42,392 1,940,758 1,866,535 2,711,759 647,260 2,097,186 27,212 6,572 32,582 107 9,871 43,483 2,971 22,115 12,667 402 4,509 2,405,399 2,433,375 3,524,831 771,151 208 138,185 111,688 MICHIGAN MARYLAND MAINE RESERVES, CASH, AND BANK BALANCES—TOTAL . . . . Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection 100 1966 of dollars) 10,334 529 2,071 % "ill 2,211 28,212 23.995 2,600,001 38,802 2,638,803 695,976 24,123 92,862 51,617 372,853 154,521 14,939 157,650 12,668 56,723 66.996 41,854 56,414 152,051 72,146 1 ALL MEMBER BANKS, BY STATES, DECEMBER 3 1 , 1 9 6 6 (Amounts in thousands of dollars) LIABILITIES AND CAPITAL ACCOUNTS DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and c o r p o r a t i o n s . . . . Foreign .governments, central banks, etc. . . . . . . . . . . United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans . . . . . . . . Savings and loan associations Other time deposits of indiv., part., and corp Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries TOTAL DEPOSITS Federal funds purchased (borrowed) Other liabilities for borrowed money Acceptances outstanding Other liabilities TOTAL LIABILITIES CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures^- total Capital notes and debentures Preferred stock Common stock Surplus Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS MICHIGAN KENTUCKY 1,400,434 33,637 868,610 1,479,652 26,410 1,087,978 26,625 301,295 34,956 79,207 151,963 234,282 22 2,087,897 28,354 1,438,359 3,016 36,697 268,831 350,327 2,439 277,347 281,574 4,501 4,382 464 8,320 43,672 8,818 1,478,771 17,950 1,128,901 32 52,290 157,039 9,642 91,755 2,551 4,874,769 45,833 3,669,186 6,795 132,822 377,841 129,899 411,791 32,757 5,509,714 52,277 4,333,984 100 u!:SI? 345,060 21,339 MINNESOTA 2,396,512 13,078 1,626,283 29 70,080 207,322 4,596 415,110 6,012 18,304 16,797 26,565 4,885 18,611 67,845 134,269 54,002 762,541 355,200 2,714 941 341,724 713,385 412,844 3,586 1,167 250,914 1,066,683 683,365 326,979 280,837 885,632 759,250 8,110,555 4,844,665 230,765 3,000 31,491 69,234 1,982,761 940,335 1,462 12,717 748,485 2,076,487 624,933 166 1,731 1,326,933 1,023 60,909 1,549 40,842 134,034 1,070 13,581 2,145 53,881 30 2,483 4,998 2,162,975 2,193,037 3,154,580 677,306 2,364,403 900 3,045 208 25,311 2,800 20 107 28,913 14,250 12,700 2,971 53,998 300 21,550 402 26,668 2,192,439 2,224,877 3,238,499 212,960 63,525 2,050 208,498 45,809 61,475 94,551 52,285 2,599 45,809 114,004 42,912 5,773 286,332 78,870 9,545 3,000 66,325 154,588 52,050 824 2,405,399 2,433,375 3,524,831 1,130,948 1,120,205 1,159,958 1,045,897 1,622,319 1,489,366 till 201 4 5 ' ^ 146,913 47,029 21,934 17,650 2 i5 VH ' Wll 2,000 1,122 798)569 117,316 !:85 2,286 6,857,530 13,620,269 4,472,999 81,425 42,995 79,928 324,949 59,925 1,200 32,762 652 59,659 317,117 704,676 2,446,264 7,386,827 14,020,686 4,590,535 66,475 26,102 216,102 57,043 2,500 26,102 23,379 54,543 107,742 42,755 8,562 715,233 204,861 10,360 200 194,301 368,744 130,166 11,462 967,712 330,510 73,760 4,488 252,262 428,009 163,554 45,639 382,290 139,957 16,304 150 123,503 154,249 82,120 5,964 771,151 2,662,366 8,102,060 14,988,398 4,972,825 284,073 299,154 1,197,840 1,135,430 3,908,025 3,513,897 1 6 ' $ 10 100 Vsli TJ:SS MEMORANDA NET DEMAND DEPOSITS SUBJECT TO RESERVE DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS: Cash and balances with other banks U.S.Gov't.obligations, direct and guaranteed Other securities Loans and discounts (incl. Federal funds sold) Total capital accounts AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS . . . . AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS . NUMBER O F BANKS 21.5 16.3 10.3 50.1 I 8.9 8.6 S:i 13.8 12.7 !»:» 8.1 y 661,990 8:8 Hi 8.1 1,1081566 2,102,106 1,186,450 3,005,149 1,668,797 439,495 2,338,969 1,444,877 211 94 57 27 56 2,093,783 20.2 10.7 9.4 56.6 8.8 1,821,777 1,498,888 14.1 15.1 12.5 56.1 6.5 18.4 1:1 7.7 4)554)560 13,349,227 8,433,827 4,392,325 2,666,796 108 213 223 6,718,787 I BANKS, BY STATES, DECEMBER 3 1 , 1 9 6 6 (Amounts MISSISSIPPI in thousands MONTANA NEBRASKA 166,828 13,362 56,422 49,634 378,707 18,919 132,489 84,758 193 47,217 251 142,284 132,745 18,490 30,976 63,389 26,780 119,238 64,734 1,434,998 146,164 221,181 156,850 60,301 4,030 87,346 77,276 8,764 1,306 40,788 36,844 2,418 1,526 1,749,418 1,577,857 127,618 43,943 83,799 80,649 1,854 1,296 352,647 489,691 206,584 105,522 3,184,416 229,963 8,650 560,695 12,085 572,780 152,698 9,419 9,000 991,134 18,401 1,009,535 119,850 16,227 5,300 376,181 4,762 380,943 123,493 1,452 16,125 330,090 5,454 335,544 81,723 1,139 69,625 5,821,648 135.473 5,957,121 2,551,768 18,153 23,670 407,323 11,446 418,769 84,989 4,305 10,316 1,267 2,630 8,342 2,397 38,022 54,862 4,098 29,888 5,000 30,639 13,489 4,614 21,292 82,646 1,000 8,118 8,500 1,331 124,899 120,126 153,429 67,483 26,406 10,279 24,743 24,518 7,415 352,524 261,108 191,245 63,995 15,590 17,315 20,624 73,721 15,183 9,151 121,214 106,426 43,995 22,532 6,068 15,954 17,877 1,710 61,751 1,394,659 60,579 459,382 214,185 4,168 1,182 655,163 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . 184,857 889,644 218,217 268,510 OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. .. Other bonds, notes, debentures, and corporate.stocks., 166,955 150,657 12,153 4,145 738,817 639,110 83,196 16,511 134,430 110,088 21,503 2,839 351,812 1,628,461 3,000 623,100 15,041 638,141 119,038 17,723 61,140 3,191,295 49,030 3,240,325 741,704 46,949 1,931 313 47,893 51,178 44 114,259 35,307 278,616 266,573 28,566 284,987 75,488 23,151 '1:81 8,909 NEW MEXICO NEW HAMPSHIRE 1,415,775 217,741 467,415 291,138 3,892 219 435,370 210,255 24,105 27,969 95,800 630 TOTAL SECURITIES NEVADA 82,836 14,552 17,854 20,464 43 25 29,898 RESERVES, CASH, AND BANK BALANCES—TOTAL . Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, N E T — T O T A L . . . Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL . Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA ., Secured by other properties Loans to domestic com'l. and foreign banks . . . Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees. of dollars) 49,853 11,154 51,468 30,804 86,890 17,885 31,176 11,049 6,688 4,276 49,273 20,347 8 17,069 2,480 969 499,322 219.474 1,160,655 654,164 3,785 213,860 82,551 26,462 19,890 6,086 1,946 28,934 ":Ho 3,739 114,099 49,514 10,968 3,369 18,298 31,950 5,642 15,330 1,330,120 1,592,491 516,670 115,692 157,388 299,260 503,481 140,754 46,765 131,014 120,327 55,465 7,578 5,744 21,027 30,513 4,328 Other loans to farmers Commercial, including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modern instal. Other instal. loans for personal expenditures ... Single payment loans for personal expenditures All other loans (including overdrafts) 29,375 233,126 185,457 63,880 35,120 46,829 36,793 % 142,041 1,173,055 698,620 208,292 77,193 47,843 55,278 310,014 72,713 TOTAL LOANS AND SECURITIES 977,912 4,880,896 921,992 1,489,825 588,065 451,737 9,075,689 660,956 27,429 168 6,428 68,628 6,849 46,065 18,695 840 5,659 26,950 22,917 9,264 10,748 3,756 55? 142,426 2,472 63,466 16,340 13 3,510 1,222,192 6,397,097 1,114,014 1,906,230 701,628 544,394 10,699,828 813,564 Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) Customers'liability on acceptances outstanding Other a s s e t s .. TOTAL ASSETS MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE Direct: Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less . . . Other Treasury notes United States nonmarketable bonds Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 2k 109,226 9,811 ALL MEMBER BANKS, BY STATES, DECEMBER 3 1 , (Amounts in thousands of dollars) LIABILITIES AND CAPITAL ACCOUNTS 1966 MISSISSIPPI MISSOURI MONTANA DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and corporations Foreign .governments, central banks, etc. . United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc 715,191 10,523 474,550 531,878 3,325 401,432 1,117,856 11,026 778,354 312,031 15,014 231,843 302,900 2,295 228,685 4,674,758 71,988 3,757,214 437,645 6,920 331,577 12,373 117,872 3,690,160 44,294 2,462,476 207 94,230 250,761 7,454 71,684 24,168 92,779 10,509 41,399 794,305 6,207 37,320 100 195,204 188 5,006 53 132,454 493,880 27,727 92,588 2,217 13,235 59,886 93,556 35 10,938 44,266 10,010 2,495 6,282 37,680 10,563 16,137 8,207 4,211 96,690 9,023 TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries 365,218 165,097 2,737 3,310 181,444 1,957,836 803,712 1,371 4,912 1,036,121 1,000 1,050 107,554 477,440 175,962 7,525 66 259,402 579,730 188,376 319,652 214,208 4,881,815 3,938,498 300,369 190,600 517 380,170 427 74,964 167,034 109,548 484 120 48,900 3,814 56,098 407 33,913 310 10,307 8 30,045 60 7,922 981 48,876 10,277 1,576 540 165 50 - - 2,081 794,860 1,000 2,532 142,802 12 5 25 1,080,409 5,647,996 1,009,318 1,697,586 631,683 469,934 9,556,573 738,014 22,600 1,532 168 17,197 80,250 25,901 6,928 85,950 2,225 306 840 21,091 15,400 15,394 500 300 16,404 11,279 23,244 30,050 453 3,319 302,536 1,569 13 12,931 1,121,906 5,847,025 1,033,780 1,744,784 643,462 493,478 9,892,931 752,527 100,286 32,637 6,140 550,072 177,396 27,000 80,234 30,410 1,100 58,166 25,520 2,500 50,916 10,373 50 150,396 217,081 141,420 14,175 29,310 30,539 18,731 554 23,020 20,537 9,378 2,731 10,323 27,644 11,499 1,400 806,897 254,867 41,276 88 213,503 395,363 137,202 19,465 61,037 20,870 300 26,497 66,035 1,062 552 161,446 46,348 3,000 108 43,240 63,769 46,507 4,822 20,570 20,355 7,839 11,973 1,222,192 6,397,097 1,114,014 1,906,230 701,628 544,394 10,699,828 813,564 557,640 547,511 2,820,812 2,146,462 435,027 439,887 890,814 756,200 274,202 269,736 252,538 259,569 3,948,250 4,014,346 354,366 387,516 TOTAL DEPOSITS Federal funds purchased (borrowed) Other liabilities for borrowed money Acceptances outstanding Other liabilities TOTAL LIABILITIES CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures-r total Preferred stock Common stock Surplus Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS 210 2,143 NEBRASKA NEVADA NEW HAMPSHIRE NEW JERSEY NEW MEXICO 17,004 - MEMORANDA NET DEMAND DEPOSITS SUBJECT TO RESERVE DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS: Cash and balances with other banks U.S.Gov't.obligations, direct and guaranteed Other securities Loans and discounts (incl. Federal funds sold) Total capital accounts AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS NUMBER O F BANKS 17.2 15.1 13.7 51.2 8.2 21.8 13.9 11.5 50.8 8.6 15.0 19.6 12.1 51.1 7.2 19.9 14.1 11.6 52.5 8.5 12.4 17.0 12.4 54.4 8.3 15.2 11.9 7.5 63.6 9.4 13.2 13.4 16.3 55.1 7.5 16.3 18.0 10.3 r 3.0 7.5 1,057,467 625,589 5,475,049 3,141,383 994,565 570,220 1,688,646 999,779 620,297 377,155 471,634 335,432 9,376,052 5,868,806 731,756 406,572 42 177 91 139 6 53 192 41 25 1ER BANKS, BY STATES, DECEMBER 3 1 , (Amounts NORTH CAROLINA RESERVES, CASH, AND BANK BALANCES—TOTAL . Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. . Other bonds, notes, debentures, and corporate.stocks . TOTAL SECURITIES FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, N E T — T O T A L .. Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL . Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA . Secured by other properties Loans to domestic com'l. and foreign banks . Loans to other financial institutions Loans to brokers and dealers in securities . . . , Other loans for purchasing or carrying sees. . . Other louus to farmers Commercial including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modem instal. Other instal, loans for personal expenditures Single payment loans for personal expenditures All other loans (including overdrafts) TOTAL LOANS AND SECURITIES Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) Customers' liability on acceptances outstanding Other a s s e t s .. TOTAL ASSETS MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE Direct: Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less •• Other Treasury notes United States nonmarketable bonds Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 26 in thousands 1966 of dollars) PENNSYLVANIA RHODE ISLAND 3,305,179 342,381 1,246,327 463,028 12,897 8,072 1,232,474 134,009 23,877 52,504 13,631 153,823 462,919 27,682 219,566 21,089 1,807 656 192,119 OAKLAHCMA NORTH DAKOTA 822,790 42,702 212,109 412,848 16,768,226 594,954 4,740,980 528,351 16,059 115,997 10,771,885 657,260 75,929 173,656 76,922 1,329 5,465 323,959 78,650 6,568 33,570 25,992 113 12,407 2,624,048 276,036 869,549 548,657 2,136 7,092 920,578 6,874,079 316,956 123,130 2,668,284 589,943 436,285 2,580,992 111,601 473,475 380,198 30,461 2,452,714 2,179,850 170,962 101,902 213,975 197,781 12,744 3,450 1,288 20 624 43,373 8,276,201 7,354,050 533,522 388,629 515,866 440,087 67,147 8,632 93,801 74,199 18,493 1,109 2,240,813 2,023,655 143,574 73,584 62,816 355,379 284,738 65,890 4,751 15,150,280 832,822 216,931 4,909,097 1,063,418 791,664 5,033,706 325,576 187,780 44,325,439 1,081,391 45,406,830 6,328,297 4,300 1,911,770 39,481 1,951,251 287,923 16,480 1,000 143,900 8,976,138 165,642 9,141,780 2,716,210 117,695 27,125 1,831,252 2,150 1,665,003 21,498 1,686,501 429,375 238,625 11,350,701 221,935 11,572,636 2,800,744 110,851 1,575 836,929 10,203 847,132 358,896 74,865 10,984 149,752 102,662 1,092,508 649,609 2,359,088 2,084,430 1,065,843 3,640,390 3,328,856 653,543 23,494 40,132 128,535 79,274 5,125 143,732 19,513 8,037 302,723 7,854 310,577 98,104 11,912 28,690 1,859,942 310,816 50,769 19,901 696 190,097 108,958 1,468,664 430,796 54,176 554,728 151,070 236,420 14,561 3,476 109,795 131,815 3,046 89,966 58,449 7,420 135,666 17,680 108,048 148,080 1,046 105,710 25,116 13,304 187,163 132,469 1,482,187 888,074 88,670 876,543 78,050 110,854 66,478 69,037 67,734 31,418 8,800 3,801 9,174 14,541 163,365 732,697 429,761 184,186 44,478 17,727 92,588 90,782 64,422 87,801 662,974 342,247 189,386 25,650 24,988 49,960 52,263 213 238,964 143,214 50,716 14,080 7,633 42,964 21,511 3,093 710 2,433 J22,599 97 51,780 21,063 575 141,594 23,646,275 5,238,372 1,183,972 268,833 389,838 1,337,558 2,058,171 1,363,660 28,099 816,497 608,309 279,889 55,623 2,988 111,998 2,591,726 2,472,674 1,132,117 211,186 218,413 405,081 505,877 252,778 18,928 116,423 4,511,091 2,567,316 856,070 253,931 180,157 615,711 661,447 422,945 59,663,499 2,748,892 520,654 14,029,135 2,921,795 2,458,817 16,623,032 1,164,080 838,865 1,239,397 1,271,129 53,776 4,894 37,446 12,042 983 3,460 188,494 10,771 92,594 56,533 17,265 63,890 24,619 25,135 254,109 84,474 147,070 16,156 2,581 7,048 79,781,116 3,502,268 615,789 16,945,042 3,819,383 3,035,380 20,413,864 1,323,874 27,775 80,878 164,144 34,016 1,000 6,497 11,479 23,890 50,232 32,330 ALL MEMBER BANKS, BY STATES, DECEMBER 3 1 , (Amounts in thousands of dollars) LIABILITIES AND CAPITAL ACCOUNTS DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and corporations Foreign .governments, central banks, etc United States Government . States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp. Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries TOTAL DEPOSITS . Federal funds purchased (borrowed) . Other liabilities for borrowed money . Acceptances outstanding Other liabilities TOTAL LIABILITIES . CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures— total Capital notes and debentures Preferred stock Common stock Surplus Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS . NEW YORK 40,315,298 112,981 26,132,595 721,986 1,197,559 1,654,648 454,659 4,773,204 1,296,403 NORTH CAROLINA NORTH DAKOTA 1,805,661 26,175 1,357,310 267,660 4,145 224,178 49,955 114,984 38 229,603 5,662 3,738 18,007 12,114 45 1966 PENNSYLVANIA OKLAHOMA OHIO 7,395,304 165,253 5,837,480 98 240,967 553,663 329 449,393 15,245 2,214,350 20,073 1,594,656 45,213 274,875 248,352 330 1 ,, 1 8 5 , , 0 1 5 6,, 3 1 1 964,,181 353 20,,853 108,,752 1,, 5 7 7 25,,920 5,, 2 4 4 9,028,312 85,200 7,245,188 13,537 262,071 430,916 36,536 758,316 58,051 RHODE ISLAND 490,436 2,585 406,349 18,157 43,031 5,215 3,025 1,734 3,971,263 21,934 5,433 132,876 30,851 51,, 8 2 4 138,497 10,340 25,271,690 10,346,782 1,130 69,718 9,455,270 2,966,243 88,006 1,861,107 92,166 266,845 124,423 1,245,268 562,558 1,136 14,923 439,642 300 4,051 219,811 291,291 62,394 7,751,197 5,173,121 591,831 13,012 1,411,911 10,000 1,433 546,703 1,175,604 609,427 8,268 2,579 466,892 1 ,, 5 5 5 , , 6 0 3 1 ,, 0 0 2 , , 9 3 4 674,450 485,405 2,633 83,771 10,, 0 1 3 288,,663 50 2,847 - 1,695 1,491 2,034 - 75 8,844,736 5,087,586 3,276 17,560 2,956,724 117,934 1,145 628,728 30 23,672 8,081 65,586,988 3,050,929 558,951 15,146,501 3,389,954 2, , 7 4 0 , , 6 1 8 17,873,048 1,164,886 993,503 933,038 1,289,389 4,541,564 27,100 4,002 4,900 137,639 1,350 2,200 983 8,938 60,800 4,779 10,771 358,833 25,550 30,202 1,005 39,129 7 ,280 24,, 6 1 9 56 , 1 8 3 195,725 11,942 85,607 436,846 2,581 46,418 73,344,482 3,224,570 572,422 15,581,684 3,485,840 2 ,, 8 2 8 , , 7 0 0 18,603,168 1,219,385 6,436,634 2,499,445 706,427 42,311 1,750,707 2,646,634 1,082,774 207,781 277,698 103,380 40,000 43,367 14,775 1,000 ,372 ,643 ,272 ,393 1,810,696 413,736 31,420 958 381,358 995,181 329,091 72,688 104,489 24,459 399 13,775 17,497 10,608 487 333,543 109,336 18,200 350 90,786 129,742 90,248 4,217 206 ,680 7 4 ;, 3 7 2 63,380 141,881 29,726 2,711 1,363,358 392,071 26,750 100 365,221 705,481 250,669 15,137 79,781,116 3,502,268 615,789 16,945,042 3,819,383 3,035,380 20,413,864 1,323,874 29,015,062 23,572,650 1,404,780 1,202,144 229,261 239,401 5,926,069 5,784,366 1,647,679 1,766,962 971,807 946,123 7,332,810 6,775,451 433,432 425,881 120 214,138 465 14,174 - 2,, 0 1 1 251,,857 74 79 45 7 139,705 435 48,805 100 5,500 24,060 53,085 23,474 3,471 MEMORANDA NET DEMAND DEPOSITS SUBJECT TO RESERVE . DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS: Cash and balances with other banks U.S. Gov't.obligations, direct and guaranteed . . . . Other securities Loans and discounts (incl. Federal funds sold) . Total capital accounts AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS . . . . AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS . NUMBER O F BANKS . 21.0 8.6 10.4 55.8 8.1 18.8 9.1 14.7 54.7 7.9 12.8 20.0 15.2 49.3 7.0 15.5 15.7 13.2 53.8 8.0 21.5 15.4 12.4 48.7 8.7 15.3 14.4 11.7 5 f:l 16.2 12.6 12.0 16.2 56.8 8.9 63.3 7.9 60,899,868 43,335,203 2,964,284 1,912,792 539,701 299,588 14,773,169 8,920,795 3,173,762 1,713,892 2,719,616 1,649,342 17,451,036 11,402,923 273 31 45 351 243 15 391 10.1 8.4 1,167,865 832,471 27 ALL MEMBER BANKS, BY STATES, DECEMBER 3 1 , (Amounts SOUTH CAROLINA RESERVES, CASH, AND BANK BALANCES—TOTAL . Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection 258,853 33,165 61,716 82,991 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . 157,528 OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. Other bonds, notes, debentures, and corporate.stocks. 112,804 92,697 17,709 2,398 TOTAL SECURITIES FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, NET—TOTAL .., Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL . Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA Secured by other properties Loans to domestic com'l. and foreign banks . . . Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees. Other loans to farmers Commercial, including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modern instal. Other instal. loans for personal expenditures .. Single payment loans for personal expenditures All other loans (including overdrafts) TOTAL LOANS AND SECURITIES Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) Customers'liability on acceptances outstanding Other a s s e t s .. TOTAL ASSETS MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE . Direct! Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less . . . . Other Treasury notes United States nonmarketable bonds Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 28 SOOTH DAKOTA TENNESSEE in thousands TEXAS 1966 of dollars) UTAH VERMONT 927,232 81,290 245,913 289,230 1,335 730 308,734 3,720,822 182,031 974,776 1,256,612 14,526 5,314 1,287,563 234,942 13,393 86,835 26,697 1,650 163 106,204 35,493 5,355 13,393 11,085 177,586 624,192 2,156,744 96,417 73,336 21,068 2,013 487,897 438,808 39,438 9,651 2,088,862 1,731,547 296,065 61,250 270,332 274,003 1,112,089 13,200 575,127 11,395 586,522 81,759 7,284 600 433,409 13,519 446,928 116,104 8,974 5,600 2,345,158 47,835 2,392,993 351,154 31,133 VIRGINIA WASHINGTON 77 5,583 734,614 104,354 247,969 134,777 2,675 329 244,510 764,949 59,965 287,155 71,427 1,258 4,042 341,102 133,900 47,697 663,302 527,059 192,269 181,808 7,497 2,964 33,419 27,442 3,775 2,202 555,754 481,887 60,129 13,738 519,022 461,471 47,879 9,672 4,245,606 326,169 81,116 1,219,056 1,046,081 170,825 8,216,729 155,415 8,372,144 895,644 88,646 6,825 730,995 11,178 742,173 266,072 6,319 2,900 194,137 2,538 196,675 88,841 8,610 35,750 2,880,826 45,840 2,926,666 832,531 59,197 25,980 2,343,836 47,264 2,391,100 554,410 22,564 7,895 59 662 8,154 5,150 149,657 157,060 4,336 153,876 42,754 38,718 51,146 29,235 307,192 419,425 25,588 497,249 45,930 449,378 68,178 20,242 78,966 92,367 200 47,553 23,961 10,141 5,130 2,574 54,572 17,955 105 283 200 1,734 49,127 17,394 470,872 235,941 12,636 125,099 37,251 24,574 137,095 12,853 224,919 156,979 11,180 189,481 34,841 6,259 19,773 9,882 36,295 64,699 34,834 150,479 86,779 79,548 34,545 12,572 3,782 9,540 19,109 5,402 43,830 886,875 826,352 260,462 68,026 38,297 81,662 377,905 45,098 433,162 3,721,310 2,038,671 900,377 176,908 90,563 266,739 604,084 265,212 35,523 217,376 133,063 60,602 21,983 13,544 15,630 21,304 8,284 8,286 38,410 56,551 25,028 5,197 1,011 8,200 17,115 2,265 64,509 757,949 999,078 381,563 66,711 47,909 199,630 303,265 73,039 130,421 881,822 536,420 229,196 60,055 48,252 72,892 126,025 46,266 858,659 708,012 3,462,847 12,633,160 1,063,989 278,153 4,135,632 3,415,897 22,848 6,819 3,600 15,248 315 4,414 65,102 24,149 25,347 369,029 50,284 91,751 23,064 745 7,855 5,021 632 82,381 1,774 20,676 75,068 16,995 32,020 1,150,779 841,851 4,504,677 16,865,046 1,330,595 319,299 4,975,077 4,304,929 20 80,961 2,813 1,430 30,662 39,570 348 34,558 3,240 5,805 14,682 191,981 219,315 88,666 113,862 8,180 48,012 43,335 1,250 13,085 23,557 5,345 46,816 31,412 t B A M S , BY STATES, DECEMBER 3 1 , 1 9 6 6 (Amounts in thousands of dollars) LIABILITIES AND CAPITAL ACCOUNTS DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and corporations Foreign .governments, central banks, etc. United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries TOTAL DEPOSITS Federal funds purchased (borrowed) Other liabilities for borrowed money Acceptances outstanding Other liabilities TOTAL LIABILITIES CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures- total Capital notes and debentures Preferred stock Common stock Surplus Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS SOUTH CAROLINA ., SOUTH DAKOTA TENNESSEE 807,938 18,393 635,625 386,319 1,754 310,425 2,370,404 20,484 1,554,772 18,488 103,027 4,986 48,603 24,747 15,780 - TEXAS UTAH VERMONT VIRGINIA 574,485 14,746 390,829 107,992 304 88,983 2,203,465 24,638 1,744,865 60,582 197,882 9,346,580 109,110 6,562,217 4,187 149,870 672,452 10,975 97,653 56,993 195,835 511,623 3,738 1,646,508 30,463 50,080 109 3,267 12,602 1,080 178 154,350 321 WASHINGTON 2,073,719 30,403 1,649,949 348 45,866 215,649 10,385 74,370 10,879 7,658 4,771 21,323 171,773 10,093 1,578 26,463 35,870 197,379 140,916 1,607,762 1,220,989 178,025 166,489 1,465 154,656 8,506 2,223,917 1,574,150 2,526 10,971 518,097 2,366 14,687 650 29,286 1,988 225,317 3,000 1,840 153,508 5,622,472 2,306,879 233,123 68,715 1,998,105 2,300 7,170 979,866 629,771 362,297 356 38,874 380,852 105,140 52 150 245,568 26 111,202 113 2,917 3,163 114,315 180 6 970 150 25,584 730 125 - - 695 - 1,772,023 1,310,638 1 1,654 449,260 4,800 1,723 514 315 110 3,008 286,017 4,427,382 3,845,742 34,900 13,855 16,995 89,394 1,005,317 767,171 3,978,166 14,969,052 1,204,256 6,819 48,216 300 315 11,946 41,450 23,310 24,149 91,184 238,470 77,875 50,384 174,443 7,900 2,886 745 17,103 7,934 14,800 4,955 1,774 125,607 1,060,352 779,732 4,158,259 15,510,224 1,232,890 293,951 4,574,518 4,000,886 90,427 22,244 62,119 20,570 350 1,354,822 501,280 45,990 97,705 35,293 3,200 400,559 119,558 2,150 304,043 85,528 230 455,290 579,434 229,889 44,219 32,093 46,375 15,377 660 25,348 8,273 250 640 7,383 9,968 6,122 985 117,408 202,990 75,774 2,237 85,298 133,444 82,353 2,718 25 22,279 50,593 16,006 1,584 20,220 25,615 15,021 913 346,418 105,940 19,300 200 86,440 163,444 68,268 8,766 1,150,779 841,851 4,504,677 16,865,046 1,330,595 319,299 4,975,077 4,304,929 643,986 683,742 329,899 352,468 1,772,440 1,489,465 6,802,405 6,262,639 441,584 407,226 91,324 98,964 1,824,178 1,747,612 1,661,190 1,612,381 MEMORANDA NET DEMAND DEPOSITS SUBJ ECT TO RESERVE DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS: Cash and balances with other banks U.S.Gov't.obligations, direct and guaranteed Other securities Loans and discounts (incl. Federal funds sold) Total capital accounts . AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS NUMBER O F BANKS 22.5 13.7 9.8 51.1 7.9 13.5 21.1 11.5 51.6 7.4 20.6 13.9 10.8 52.2 7.7 22.1 12.8 12.4 49.7 8.0 17.7 10.1 14.4 55.5 7.3 11.1 14.9 10.5 61.7 7.9 14.8 13.3 11.2 58.6 8.1 976,778 578,327 762,471 440,633 3,878,418 2,328,653 14,231,402 8,188,182 1,173,734 718,378 281,430 196,775 4,378,878 2,869,995 32 59 86 616 25 27 165 17.8 12.2 12.1 55.0 7.1 3,763,342 2,311,909 38. 29 ALL MEMBER BANKS, BY STATES, DECEMBER 3 1 , (Amounts WEST VIRGINIA RESERVES, CASH, AND BANK BALANCES—TOTAL . Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection 247.249 33.942 74.943 94,942 420 in thousands VIRGIN ISLANDS 4,877 96,825 6,997 32,737 45,318 43,002 839,731 64,570 230,672 180,761 1,655 1,549 360,524 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . 410,240 735,771 124,762 7,163 OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. .. Other bonds, notes, debentures, and corporate.stocks., 191,598 163,869 22,293 5,436 549,439 468,423 63,834 17,182 55,176 42,584 10,392 2,200 4,639 4,095 499 45 601,838 1,285,210 179,938 11,802 27,500 714,701 17,087 731,788 255.250 15,482 25,700 2,378,003 54.967 2,432,970 845,699 41,877 700 269,945 4,863 274,808 72,042 5,323 23,004 4,439 141,285 71,040 2,250 19,303 3,965 8,039 61,551 37,481 467,242 237,548 10,036 131,653 11,193 147,637 277,021 23,157 17,730 51,200 55,066 7,130 61,048 691,976 553,516 204,756 40,485 29,096 65,067 214,112 94.968 59,361 78,547 57,733 22,317 8,879 1,718 9,371 15,448 1,066 6,013 2,973 831 432 318 1,379 13 71 1,344,039 3,688,913 450,583 33,633 25,826 69,600 11,829 150 5,893 2,794 27,034 2,713 396 1,623,007 4,628,072 561,950 39,056 TOTAL SECURITIES FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, NET—TOTAL . . . Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL . Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA .. Secured by other properties Loans to domestic com'l. and foreign banks . . . Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees. Other loans to farmers Commercial, including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modern instal. Other instal. loans for personal expenditures .. Single payment loans for personal expenditures All other loans (including overdrafts) TOTAL LOANS AND SECURITIES Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) Customers'liability on acceptances outstanding Other a s s e t s .. TOTAL ASSETS 129,868 of dollars) 28,211 15,863 '•hi J 'U! 19 11,773 14,081 4,440 21,717 26,481 2,527 477 3,055 21,831 170 22,001 12,864 121 5,068 25 5,623 2,027 80 MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less Other Treasury notes United States nonmarketable bonds . . . . . . . . . Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 30 X 0NE BANK I N THE VIRGIN ISLANDS INCLUDED IN NATIONAL, "COUNTRY," AND NEW YORK DISTRICT FIGURES ELSEWHERE IN THIS REPORT. 1966 ALL MEMBER BANKS, BY STATES, DECEMBER 3 1 , I 9 6 6 (Amounts in thousands of dollars) LIABILITIES AND CAPITAL ACCOUNTS WEST VIRGINIA VIRGIN ISLANDS DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and corporations Foreign .governments, central banks, etc. United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc 800,934 7,379 596,850 2,182,702 57,635 1,641,541 261,011 3,584 188,611 11,435 264 8,854 18,064 114,713 68,159 149,492 482 221,379 5,358 4,630 41,836 726 1,255 69 35 14,097 38,652 6,145 230 TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries 617,812 528,883 1,776 371 80,498 2,010,337 1,082,312 182 1,410 777,719 3,000 1,455 139,108 243,396 130,773 24,319 11,654 415 90,821 2,633 1,003 20,384 10,032 307 143 5,000 - ,418,746 4,193,039 504,407 35,754 2,450 600 1,500 1,100 200 41,616 3,000 1,178 2,794 95,363 7,898 610 ,463,412 4,295,374 514,905 36,564 159,595 38,231 200 332,698 113,746 12,543 47,045 7,798 1,000 2,492 400 38,031 78,759 34,637 7,968 101,203 146,004 62,934 10,014 6,798 23,877 14,074 1,296 ,623,007 4,628,072 561,950 39,056 662,990 690,037 1,641,417 1,532,640 203,920 228,403 8,329 10,674 TOTAL DEPOSITS Federal funds purchased (borrowed) Other liabilities for borrowed money Acceptances outstanding Other liabilities TOTAL LIABILITIES CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures-total Capital notes and debentures Preferred stock Common stock Surplus Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS 49,831 412 5,565 16,205 400 1,100 955 37 MEMORANDA NET DEMAND DEPOSITS SUBJECT TO RESERVE DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS: Cash and balances with other banks U.S. Gov't.obligations, direct and guaranteed Other securities Loans and discounts (incl. Federal funds sold) Total capital accounts . . AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS . . . . AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS . NUMBER O F BANKS 15.2 25.3 11.8 45.7 9.8 18.1 15.9 11.9 51.9 7.2 17.2 22.2 9.8 48.2 8.4 ,377,429 730,922 4,072,651 2,401,023 492,387 274,526 114 164 54 12.5 18.3 11.9 55.9 6.4 32,959 22,150 * ^FOR FOOTNOTE SEE OPPOSITE PAGE. 31 STATE MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , 1 9 6 6 (Amounts NEW YORK RESERVES, CASH, AND BANK BALANCES—TOTAL Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection 19,048,658 1,113,575 5,926,335 1,882,923 42,479 109,440 9,973,906 675,569 76,827 234,597 104,608 2,451 1,877 255,209 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . 11,569,061 484,146 OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. ., Other bonds, notes, debentures, and corporate.stocks. 11,247,274 10,021,992 797,654 427,628 419,704 389,690 14,701 15,313 22,816,335 903,850 390,595 54,169,893 1,146,853 55,316,746 12,042,963 428,877 15,150 2,087,459 40,050 2,127,509 507,507 3,440 1,715,553 585,426 5,219,946 4,093,161 844,888 4,454,472 2,376,885 1,049,620 TOTAL SECURITIES FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, N E T — T O T A L . . . Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL . Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA .. Secured by other properties Loans to domestic com'l. and foreign banks Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying s e e s . Other loans to farmers Commercial including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modern instal. Other instal. loans for personal expenditures .., Single payment loans for personal expenditures All other loans (including overdrafts) TOTAL LOANS AND SECURITIES Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) Customers' liability on acceptances outstanding Other a s s e t s TOTAL ASSETS MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less . . Other Treasury notes United States nonmarketable bonds Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 32 10,069,014 361,601 2,783,096 288,865 in thousands PHILADELPHIA of dollars) CLEVELAND RICHMOND ATLANTA CHICAGO 1,086,776 86,638 382,448 84,295 150 3,841 529,404 1,046,397 117,129 365,859 211,332 61 3,024 348,992 740,148 86,144 255,131 96,876 2,375 5,768 293,854 371 34 105 128 ,797 ,816 ,668 ,165 620 593 101 , 9 3 5 1,980,117 166,294 719,115 381,128 1,108 5,567 706,905 4,131,725 523,407 1,108,678 553,940 294 ,900 2,197,708 4,890,963 4,397,400 248,883 244,680 460,380 409,553 24,194 26,633 974,304 909,329 40,343 24,632 509,209 452,871 40,955 15,383 255 223 27 4 ,220 ,110 ,594 ,516 1,796,427 1,574,837 175,730 45,860 9,022,688 983,787 2,082,982 1,063,149 550 ,120 3,994,135 93,600 24,945,996 571,228 25,517,224 3,602,177 63,347 74,300 3,107,170 79,098 3,186,268 539,288 8,124 56,400 3,740,625 3,808,646 1,199,905 45,084 18,200 2,358,638 46,878 2,405,516 601,451 33,516 1 2 ,100 1,050,,672 21 ,088 1,071 ,760 230 ,511 25, ,098 60,300 7,139,671 150,912 7,290,583 2,363,155 105,058 25,032 12,880 257,437 208,718 6,978 146,303 23,173 6,972 672,873 316,977 1,453,616 1,095,364 678,053 2,275,431 1,883,078 478,439 253,189 202,170 27,096 441,773 29,375 50,073 62,054 33,911 582,236 476,620 4,600 210,636 75,238 182,770 27,206 17,049 327,145 196,535 4,346 194,884 39,552 22,108 9 ,940 4, ,264 97,697 93, ,512 2,, 0 7 4 5 4 j, 1 3 5 1 3 j, 2 7 4 14,, 2 0 1 427,032 90,184 1,060,099 680,782 75,641 535,757 167,136 188,694 1,040,100 22,146,077 9,936,966 3,374,536 798,073 748,982 1,697,102 3,318,273 1,424,775 7,792 795,409 593,784 195,741 37,095 33,883 98,956 228,109 39,591 66,463 12,596,980 3,112,778 716,860 159,033 240,399 654,943 1,341,543 823,825 15,289 1,155,666 830,309 198,743 96,902 178,565 293,168 97,399 42,250 1,165,850 822,400 340,139 63,441 46,771 181,159 190,890 104,997 29,290 685,358 770,718 306,325 67,999 53,718 114,169 228,507 57,809 22,,673 402,,777 315,,749 139, ,901 32, ,730 12, ,344 52, ,659 78, ,115 16, 366 267,358 2,101,700 1,476,794 582,010 150,210 129,285 165,639 449,650 114,348 77,376,823 3,006,459 34,062,284 4,165,257 5,880,007 3,439,987 1 ,, 6 1 2 , 8 9 2 11,194,106 1,202,686 1,031,650 844,259 62,768 9,434 22,151 468,642 841,328 497,068 62,328 20,952 30,506 69,590 9,780 37,048 57,743 5,719 26,689 33, 750 749 16, 015 177,824 23,631 77,266 99,504,076 3,776,381 45,938,336 5,365,819 7,042,822 4,270,286 2,, 0 3 5 , 2 0 3 13,452,944 9,220 80,054 6,546,178 65,846 9,959 62,937 68,021 STATE MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , (Amounts in thousands of dollars) LIABILITIES AND CAPITAL ACCOUNTS 1966 PHILADELPHIA DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and corporations Foreign .governments, central banks, etc. United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc 49,061,165 567,099 34,909,112 287,689 1,397,228 2,711,486 393,367 4,971,908 834,928 2,988,348 34,745 2,512,278 47,166 51,, 0 9 9 27,357 14,796 140,115 TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries 36,486,181 19,528,174 211,746 189,569 11,515,947 1,808,960 35,700 2,839,232 66,481 189,637 100,735 1 ,, 0 9 8 , 5 0 5 739,417 13,717,011 5,673,030 5,755 207,813 1,000 766 132,109 8,350 3,195 100 38,468 5,045,071 1,675,466 17,811 961,283 58,006 170,770 77,106 1 ,, 8 3 3 , 7 4 4 910,332 83 1,727 773,650 43,350 374 98,383 3,310,,597 2 , 3 8 1 j,910 174,, 0 5 8 5,, 6 7 0 510,,585 7,, 0 0 0 387 230,,117 1 ,, 5 9 4 , 1 3 1 l !, 0 7 0 , 3 5 5 5,051 9,732 382,636 3,358 4,379 117,230 762,320 425,024 3,062 8,650 262,537 1,000 195 60,544 6,, 6 3 1 , 5 6 8 4,, 1 8 5 , 5 9 0 1,268 4,817 1 ,, 9 7 4 , 0 6 5 12,000 443 447,402 1,262 4,583 820 50 1,000 390 1,308 598 5,385 85,547,346 3 j, 2 3 6 , 3 3 1 38,110,423 4,, 7 2 3 , 6 7 3 6,290,723 3,, 7 5 5 , 6 8 2 1 ,, 8 1 3 , 6 5 5 12,, 1 4 3 , 3 9 0 910,603 587,663 1,059,419 3,580,288 6,250 573,978 483,579 867,530 2,361,156 69,800 4,266 21,138 119,161 25,, 6 5 0 9,, 7 8 0 114,,404 6,600 1,060 5,725 131,053 1,000 9,459 188,227 8,290 749 50,687 74,075 24,173 23,989 241,666 91,685,319 3 j, 4 4 0 , 2 6 7 42,396,666 4,, 9 3 8 , 0 3 8 6,440,,557 3,, 9 0 0 , 1 2 0 1 ,, 8 7 4 , 3 8 1 12,, 5 0 7 , 2 9 3 7,818,757 2,591,745 445,069 24,181 2,122,495 3,531,384 1,546,118 149,510 336,114 103,534 14,000 3,541,670 427,781 102,301 602,265 149,779 370,166 117,615 38,700 160,822 68,081 11,896 1,008,825 1,580,300 738,415 41,059 102,301 245,986 77,400 2,094 149,779 329,566 108,714 14,206 78,915 182,748 61,353 8,450 47,510 79,195 25,160 5,437 945,651 299,135 39,270 1,170 258,695 427,947 173,820 44,749 99,504,076 3,776,381 45,938,336 5,365,819 7,042,822 4,270,286 2,035,203 13,452,944 37,204,387 32,718,123 1,778,060 1,777,059 17,558,369 14,153,155 2,276,230 1,928,885 2,419,802 2,390,426 1,770,821 1,600,597 821,235 832,401 4,423,789 4,188,511 TOTAL DEPOSITS Federal funds purchased (borrowed) Other liabilities for borrowed money Acceptances outstanding Other liabilities TOTAL LIABILITIES CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures—total Capital notes and debentures Preferred stock Common stock Surplus Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS 2 ,137,826 28,603 1 ,737,907 30 61,572 178,102 48,614 43,986 4,267 200 *9,334 152,603 24,393,412 78,289 15,752,101 275,724 733,070 1,032,056 320,824 2,961,009 728,061 1,181,896 2 j, 8 8 9 , 9 2 9 18,134 2 ,, 2 4 2 , 0 8 3 2,569 90,631 107,591 20,971 341,009 19,775 2,980,,126 7 8 a, 7 5 8 2,434,,492 91 99,, 2 5 0 168,, 2 0 9 141,, 4 5 8 6,, 7 6 9 150,860 22,211 2 ,, 1 6 1 , 5 5 1 18,277 L,666,648 5,379 61,091 167,685 1,785 206,009 7,320 1 ,, 0 5 1 , 3 3 5 17,554 734,680 673 21,094 165,392 95,905 1,241 51,030 3,520 5,, 5 1 1 , 8 2 2 82,480 4,, 2 8 0 , 0 2 1 116 155,398 372,686 492 461,008 19,506 MEMORANDA NET DEMAND DEPOSITS SUBJECT TO RESERVE DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS: Cash and balances with other banks U.S. Gov't.obligations, direct and guaranteed Other securities Loans and discounts (incl. Federal funds sold) Total capital accounts AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS . . . . AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS . NUMBER O F BANKS i?:i 11.3 54.8 7.9 17.9 12.8 21.9 9.0 20.3 55.7 8.9 54.5 7.7 59.3 11.1 10.6 1:1 8.0 14.9 15.7 13.8 53.9 8.6 17.3 13.0 11.9 55.7 8.7 18.3 14.5 12.5 52.2 7.9 14.7 16.3 13.4 53.5 7.0 82,542,589 54,856,671 3,183,792 2,149,677 36,149,890 25,395,244 4,615,274 3,134,142 6,143,529 3,772,862 3,675,672 2,367,341 1,778,742 1,061,546 11,843,941 7,212,801 1,351 31 118 36 146 102 65 347 33 STATE MEMBER BANKS, BY FEDERAL RESERVE D I S T R I C T S , DECEMBER 3 1 , 1 9 6 6 (Amounts in thousands KANSAS CITY RESERVES, CASH, AND BANK BALANCES—TOTAL . Currency and coin Reserve with Federal Reserve Banks Demand balances with banks in U.S Other balances with banks in U.S Balances with banks in foreign countries Cash items in process of collection 439,875 29,996 144,428 155,868 4,907 OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . OTHER SECURITIES—TOTAL BOOK VALUE Obligations of States and subdivisions Obligations of Fed. agencies not guaranteed by U.S. ., Other bonds, notes, debentures, and corporate.stocks. TOTAL SECURITIES FEDERAL FUNDS SOLD (LOANED) OTHER LOANS AND DISCOUNTS, NET—TOTAL . . . Valuation reserves OTHER LOANS AND DISCOUNTS, GROSS—TOTAL . Real estate l o a n s — total Secured by farm land Secured by residential properties : Insured by FHA Guaranteed by VA Not ins. or guaranteed by FHA or VA . Secured by other properties Loans to domestic com'l. and foreign banks Loans to other financial institutions Loans to brokers and dealers in securities Other loans for purchasing or carrying sees. . . Other loans to farmers Commercial, including open market paper Other loans to individuals—total Passenger automobile instalment loans Other retail consumer instalment loans Residential repair and modem instal. Other instal. loans for personal expenditures .. Single payment loans for personal expenditures All other loans (including overdrafts) TOTAL LOANS AND SECURITIES Fixed a s s e t s (net of mortgages and other liens on bank premises and other real estate) Customers' liability on acceptances outstanding Other a s s e t s .. TOTAL ASSETS MEMORANDA OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE Direct? Treasury bills Treasury certificates of indebtedness Treasury notes maturing in one year or less Other Treasury notes United States nonmarketable bonds Other bonds maturing in 1 year or less Other bonds maturing in 5 years Other bonds maturing in 5 to 10 years Other bonds maturing after 10 years Guaranteed obligations OBLIGATIONS O F FED. AGENCIES NOT GUAR. BY U.S. TOTAL PAR VALUE Maturing in 1 year or less Maturing in 1 to 5 Years Maturing after 5 years Participation certificates 34 of dollars) SAN FRANCISCO 104,676 135,171 12,033 52,371 42,153 50 92 28,472 356,785 16,994 114,767 92,876 118 78 131,952 293,493 22,833 80,893 132,251 860 1,262 55,394 440,504 223,508 268,948 225,237 1 ,116,,360 297,533 228,038 6,827 129,732 87,182 40,300 2,250 189,886 167,380 17,464 5,042 219,118 178,417 37,296 3,405 1 ,104,,798 1 ,004,,185 67 ,526 33;, 0 8 7 738,037 353,240 458,834 444,355 2 ,221,,158 18,450 1,048,508 17,889 1,066,397 367,174 42,020 2,950 475,607 8,397 484,004 150,124 15,881 2,545 783,469 12,086 795,555 117,957 12,981 36,, 6 0 0 6 ,585,,061 119,, 3 4 4 6 ,704,,405 2 ,210,,532 48, ,874 26,736 9,248 44,992 46,752 750 34,117 3,939 314, ,839 7 5 , ,044 855, ,985 915, ,790 41,,010 456,,151 131,,465 45,,252 62,668 40,297 5,915 190,925 88,017 2,314 65,007 9,189 29,776 4,065 62,753 33,709 847,017 11,862 858,879 153,182 25,454 1,853 ,516 1 0 2 j, 2 7 0 687 ,962 164 ,506 2 0 :, 5 5 9 7, , 2 8 4 8 7 0 :, 9 3 5 6,690 10,701 1,141 3,168 21,011 13,982 1,930 33,872 55,192 2,026 29,577 325 30,242 54,492 252,782 292,858 102,330 24,897 22,307 34,888 108,436 15,891 112,522 89,827 109,003 49,332 18,296 7,843 15,729 17,803 7,518 158,281 278,189 164,451 81,558 28,999 9,466 17,488 26,540 44,959 58,064 324,070 222,059 109,385 25,342 8,940 37,080 41,312 11,235 205,,626 2,, 2 9 7 , , 4 6 9 i;, 2 2 6 ,,063 5 5 2 , ,212 93, 129 120, ,695 145, ,827 314, ,200 90, 837 1,804,995 831,797 1,305,851 230,369 8,, 8 4 2 , 8 1 9 19,508 40 9,963 12,068 26,932 420 2,740 7,948 27,996 16 8,361 183, 537 119, 575 108, 504 2,274,381 982,196 1,697,522 560,235 11, 107, 951 STATE MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, DECEMBER 3 1 , (Amounts in thousands of dollars) LIABILITIES AND CAPITAL ACCOUNTS DEMAND DEPOSITS—TOTAL Savings and loan associations Other individuals, partnerships, and corporations Foreign .governments, central banks, etc. United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries Certified and officers' checks, cash letters of credit, and travelers' checks, etc TIME DEPOSITS—TOTAL Savings deposits Accumulated for payment of personal loans Savings and loan associations Other time deposits of indiv., part., and corp Foreign Governments, central banks, etc United States Government States and political subdivisions Mutual savings banks in United States Commercial banks in United States Banks in foreign countries TOTAL DEPOSITS Federal funds purchased (borrowed) Other liabilities for borrowed money Acceptances outstanding Other liabilities TOTAL LIABILITIES CAPITAL ACCOUNTS—TOTAL Capital stock, notes, and debentures- total Capital notes and debentures Preferred stock Common stock Undivided profits Other capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS MINNEAPOLIS KANSAS CITY SAN FRANCISCO 1, , 2 4 6 , 1 1 2 20,547 918,484 428,,943 1, , 5 7 5 3 3 1 :, 8 6 4 980,632 8,888 663,566 841,036 11,248 644,315 25,901 95,592 6 ,478 5 8 :, 9 3 9 17,821 97,420 9,745 78,942 171,776 22, , 4 3 3 181,642 1,121 79,979 3,804 22 10 27 4,438,441 202, , 7 4 6 3 ,, 5 0 2 , , 9 5 1 3 ,107 1 1 5 :, 1 7 7 188i, 8 7 2 671 265,, 6 9 4 43;, 0 1 5 13,790 7 ,, 6 1 7 10,174 13,003 116,, 2 0 8 812,592 375,382 1,367 2,166 391,025 463,,843 162,, 3 5 2 733 191 275,,950 526,415 269,975 5 ,, 1 6 3 , 0 6 1 3 :, 0 6 2 , , 8 5 2 1,259 225,399 572,394 271,955 26,124 4,601 181,970 1,354 40,741 108 24,,404 120 28,842 6,624 78,931 557 105 820 - 2,189 2(, 0 5 8 , 7 0 4 892,,786 1,507,047 1,413,430 9,, 6 0 1 , , 5 0 2 5,800 2,100 40 22,941 150 471 12,, 9 5 4 2,000 1,850 6 28,055 8,250 500 17 16,721 137,,050 61,,045 120,,515 293,,263 2 j, 0 8 9 , 5 8 5 907,,161 1,538,958 1,438,918 10,, 2 1 3 ,, 3 7 5 184,796 45,636 1,450 75,035 25,089 912 158,564 46,025 3,500 121,317 45,712 7,890 44,186 85,032 48,252 5,876 150 24,027 29,074 18,897 1,975 42,525 62.341 45.342 4,856 37,822 45,015 24,703 5,887 894,576 423,993 184,967 450 238.576 311.577 155,981 3,025 2,274,381 982,196 1,697,522 1,560,235 11,107,951 985,568 943,759 358,318 371,560 755,804 649,217 653,391 695,918 3,403,000 3,186,635 800 106,, 5 3 3 1 ,, 2 8 5 , , 2 4 6 65,,786 3,, 1 3 9 619,,246 125 7,, 6 2 3 12,, 5 1 1 MEMORANDA NET DEMAND DEPOSITS SUBJ E C T TO RESERVE DEMAND DEPOSITS ADJUSTED PERCENTAGE O F TOTAL ASSETS: Cash and balances with other banks U.S. Gov't.obligations, direct and guaranteed Other securities Loans and discounts (incl. Federal funds sold) Total capital accounts AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS . . . . AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS . NUKBER O F BANKS 19.3 19.4 13.1 46.9 8.1 13.8 21.0 18.8 16.7 15.8 13.2 48.7 7.6 11.2 14.4 14.0 50.4 7.8 sl:I 8.1 22.8 49.9 9.3 10.1 1,982,242 1,063,042 881,132 482,375 1,493,841 861,665 1,362,362 784,062 9,432,172 6,571,914 133 120 123 82 48 1966 EXPLANATORY NOTES Banks report t h e i r assets and l i a b i l i t i e s on either a cash or accrual basis according t o t h e i r individual methods of bookkeeping. Securities are reported net of valuation and premium reserves. Individual loan items are reported gross; valuation reserves are deducted from gross loans to provide a net loans figure. These valuation reserves include those authorized by the Bureau of Internal Revenue f o r income tax purposes, and others. Deposits Beginning April 12, 1961, the deposits schedule was revised t o provide the following new items: ( l ) demand and time deposits due t o mutual savings banks, (2) savings deposits, in the time category, and (3) demand and time deposits due to foreign governments and o f f i c i a l I n s t i t u t i o n s . Demand and time deposits due to mutual savings banks had previously been reported with other domestic interbank accounts, and deposits in the new foreign o f f i c i a l category had previously been reported largely as foreign interbank accounts. Coincident with these revisions, the new concept of demand deposits adjusted Includes a l l demand deposits except those of the U. S. Government and domestic commercial banks, less cash items in process of collection; t h i s d i f f e r s from the previous concept in that demand deposits of mutual savings banks and foreign banks are now included in demand deposits adjusted. As a result of these changes in c l a s s i f i c a t i o n and definition, demand deposits adjusted were approximately $2.2 b i l l i o n higher than under the previous concept on April 12, I96I: demand deposits due t o mutual savings banks were mill ion and deposits due to foreign e n t i t i e s were $1,595 million ($$Al million in foreign interbank and million in foreign o f f i c i a l ) . Of the t o t a l due t o foreign o f f i c i a l about $560 million had previously been c l a s s i f i e d as foreign interbank deposits and $$0 million as domestic interbank deposits; the remainder was previously included in deposits of individuals, partnerships, and corporations and therefore already in demand deposits adjusted. Loans Beginning with the October 6, 1959 c a l l date, "Loans t o other f i n a n c i a l i n s t i t u t i o n s " were reported separately f o r the f i r s t time. Loans to such i n s t i t u t i o n s were previously reported largely against commercial and industrial loans and "All other loans." A reconciliation of the loan items affected by t h i s r e c l a s s i f i c a t i o n i s available f o r only June 10, 1959 > see Federal Reserve Bulletin f o r January i960, page 12.