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SUMMARY REPORT
A s s e t s

JUNE

30,

a n d

1966

L i a b i l i t i e s

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. 179,
containing results of the call for reports of condition as of
April 5, 1966. Condition reports received from State member
banks and from national banks for this call were not fully
compatible and were not completely adjusted.

Board

of

Governors

of

the

Washington,

Federal
D

C

.

Reserve

System

CONTENTS
Assets 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

Assets 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 does 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 r e s e r v e c l a s s i f i c a t i o n s of the b a n k s .

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, JUNE 3 0 ,
(Amounts
RESERVE CITY BANKS
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
OBLIGATIONS O F U.S. G O V T . — T O T A L 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

NEW YORK

CHICAGO

in thousands

1966

of dollars)

COUNTRY
BANKS

ALL MEMBER
BANKS

ALL NATIONAL
MEMBER BANKS L /

ALL STATE
MEMBER BANKS

16,083,813
1,066,589
4,882,762
1,544,805
81,120
104,649
8,403,888

OTHER

12,930,344
313,453
3,356,457
226,202
8,849
96,767
8,928,616

2,322,033
77,434
938,711
218,078
16,999
12,990.
1,057,821

20,764,045
1,237,812
8,102,040
1,984,366
211,615
82,143
9,146,069

16,836,380
2,415,033
5,697,022
5,359,559
121,917
20,367
3,222,482

52,852,802
4,043,732
18,094,230
7,788,205
359,380
212,267
22,354,988

36,768,989
2,977,143
13,211,468
6,243,400
278,260
107,618
13,951,100

4,466,090

1,585,076

12,181,856

21,709,096

39,942,118

28,891,390

11,050,728
11,247,962
9,921,627
975,645
350,690

6,191,506
5,360,952
582,610
247,944

1,563,663
1,325,637
168,481
69,545

13,869,350
12,360,519
1,084,343
424,488

17,944,162
14,849,270
2,613,454
481,438

39,568,681
33,896,378
4,448,888
1,223,415

28,320,719
23,974,751
3,473,243
872,725

10,657,596

3,148,739

26,051,206

39,653,258

79,510,799

57,212,109

22,298,690

1,772,375
177,354,744
3,531,398
180,886,142
40,861,815
7,584,466

1,287,030
123,434,727
2,459,946
125,894,673
29,213,757
7,777,546

485,345
53,920,017
1,071,452
54,991,469
11,648,058
406,920

133,530
35,662,238
799,063
36,461,301
3,410,633
9,573

109,900
8,456,819
261,700
8,718,519
591,784
3,790

526,475
67,590,924
1,231,516
68,822,440
15,629,097
293,907

1,002,470
65,644,763
1,239,119
66,883,882
21,230,301,
7,277,862

778,506
446,049
7,206,463

991,612
3,898,314
3,305,394
646,600

93,377
32,572
272,700
790,065
146,600
1,292,877
394,210
254,300

3,373,423
794,922
6,433,676
4,733,770
573,713
5,911,021
899,367
1,122,872

2,541,111
7,027,867
70,786,329
6,203,732
149,574
1,965,834
436,729
693,336

6,786,356
2,295,356
77,362,807
72,332,330
1,861,499
13,068,046
5,035,700
2,717,108

4,977,399
1,671,004
12,911,271
3,476,037
1,065,858
8,344,373
2,431,554
1,624,540

1,808,457
624,352
4,951,536
3,856,793
795,641
4,723,673
2,604,146
1,092,568

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)

15,802
19,814,693
2,964,896
364,235
95,267
204,762
746,739
1,555,093
1,413,357

35,237
4,983,301
743,914
184,446
96,322
23,962
75,650
353,534
276,296

1,254,759
26,902,616
14,671,883
5,294,353
7,347,489
1,122,735
7,952,734
4,954,567
1,857,112

3,938,234
17,656,608
19,552,406
7,939,632
1,850,088
7,224,626
3,273,737
5,274,273
1,260,860

5,244,032
69,357,218
37,933,099
73,332,677
3,339,766
2,580,435
6,043,370
72,082,467
4,807,625

4,184,130
48,017,334
27,793,925
70,406,609
2,628,734
7,867,336
4,354,305
8,543,497
3,219,202

1,059,902
21,339,884
10,139,174
3,426,062
767,032
779,099
1,694,005
3,538,976
1,588,423

TOTAL LOANS AND SECURITIES

46,,453, 364

11,715, 458

94, 168, 605

106, 300, 491

258, 637, 918

181,933,866

76,704,052

628, ,323
1,,164, ,608
i:,231, ,664

105,,588
111,,392
235, ,219

1,,687, 218
660, 290
1,,209, 364

2,,036, ,018
45, ,628
614, ,162

4, ,457, 147
1,,981, 918
3,,290, 409

3,297,895
1,013,040
2,427,589

1,159,252
968,878
862,820

62,,408, ,303

14,489, ,690

118,,489, 522

125,,832, ,679

321, ,220, ,194

225,441,379

95,778,815

4 ,650, ,159

1,666, ,735

12,,584, ,654

22,,026, ,349

40,,927, ,897

29,599,545

11,328,352

2,,431, ,477
376,,482
2,,490, ,636
3,,072i ,399
51,,623
504:,804
7 ,533:,953
5 : , 1 2 0 : ,203
395:,067
49 ,705

5,,524, ,839
859,,282
4,,124, ,887
4:,992, ,810
57,,605
890,,148
13 ,188, ,244
io:,428 ,044
769:,322
92,,716

3,640,809
593,465
2,790,358
3,606,480
49,767
717,615
9,169,101
8,325,463
635,752
70,735

1,884,030
265,817
1,334,529
1,386,330
7,838
172,533
4,019,143
2,102,581
133,570
21,981

2 ,611 ,602
1 ,672 ,944
401 ,153
68 ,003
469 ,502

4 ,440 ,343
2 ,284 ,432
537 , 766
120 ,991
1 ,497 ,154

3,464,873
1,799,457
437,396
109,290
1,118,730

975,470
484,975
100,370
11,701
378,424

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 .

Fixed a s s e t s (net of mortgages and other liens
on bank premises and other real estate)
Customers' liability on a c c e p t a n c e s outstanding
Other a s s e t s
TOTAL ASSETS

970,102

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 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

1 ,229, ,024
198,,424
362,,704
387,,298
896
8,,114
943,,250
1 ,411, ,738
101,,970
6:,741

410, ,940
17,,843
163,,378
120,,968
6.,809
473:,978
415:,030
57:,573
216

1,,453, ,398
266,,533
1,,108, ,169
i:,412, ,145
5,,086
370,,421
4,,237, ,063
3:,481, ,073
214,,712
36,,054

585 ,524
182:,072
22, ,807
5 ,356
375 ,289

168 ,074
58 ,106
17 ,153
4 ,606
88 ,209

i ,075, ,143
371 ,310
96 ,653
43 ,026
564:,154

•'TOR FOOTNOTE SEE OPPOSITE PAGE.

FOR BY AN EXCESS OF ALLOWABLE DEDUCTIONS OVER GROSS DEMAND DEPOSITS AT A FEW BANKS.

! BANKS, BY CLASS OF BANK, JURE 3 0 ,
(Amounts
LIABILITIES

AND

CAPITAL

RESERVE CITY BANKS

ACCOUNTS
NEW YORK

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

in thousands

32,168,473
109,641
18,749,264
632,358
2,279,097
815,237
471,958
4,405,037
992,444

ALL MEMBER
BANKS

OTHER

7,158,048
87,631
4,675,802
17,786
679,503
336,455
1,324
1,169,861
58,626

55,639,720
820,711
38,908,252
109,058
3,968,209
3,512,578
173,343
6,669,821
309,598

1966

of dollars)

57,748,686
867,640
44,049,430
4,671
3,052,210
6,780,880
195,924
1,664,311
51,736

152,714,927
1,885,623
106,382,748
763,873
9,979,019
11,445,150
842,549
13,909,030
1,412,404

ALL NATIONAL
MEMBER BANKS l /

ALL STATE
MEMBER BANKS

105 ,990 ,342
1 ,329 ,199
74 ,759 ,115
460 ,966
6 ,766 ,603
8 ,791,541
371 ,747
9 ,476 ,761
760 ,167

46 ,724 ,585
556 .424
31 ,623.633
302 ,907
3 ,212 ,416
2 ,653 ,609
470 ,802
4 ,432 ,269
652 ,237

3,713,437

131,060

1,168,150

1,081,884

6,094,531

3 ,274 ,243

2 :,820 ,288

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
Ceifimercial banks in United States
Banks in foreign countries

19,630,639
5,474,639

5,226,687
2,776,525

91,784
9,509,542
3,042,409
64,957
841,225
140,433
311,787
153,863

25,124
1,789,515
261,193
2,025
329,403
3,000
27,744
12,158

48,683,414
28,098,947
338,303
390,136
13,531,363
953,831
63,691
5,092,580
14,730
133,865
65,968

54,953,468
37,303,901
532,148
171,361
12,694,080
43,431
73,768
4,070,632
4,532
49,570
10,045

128,494,208
73,654,012
870,451
678,405
37,524,500
4,300,864
204,441
10,333,840
162,695
522,966
242,034

91 ,801, ,960
53,,642, ,023
677!,611
444;,947
26.,335, ,690
2\ ,393, ,442
172,,786
7 j,621, ,658
61,,055
298, ,687
154, 061

36 ,692 ,248
2 0 : ,011, ,989
192;,840
233,,458
1 1 , ,188, ,810
1 ; ,907;,422
31,,655
2 , ,712, ,182
101,,640
224, ,279
87,,973

TOTAL DEPOSITS .

51,799,112

12,384,735

104,323,134

112,702,154

281,209,135

197, 792, 302

83, 416, 833

529,315
763,512
1,189,044
2,948,753

266,850
254,301
112,759
319,269

1,284,730
470,925
671,866
2,441,398

216,070
199,575
48,805
2,616,337

2,296,965
1,688,313
2,022,474
8,325,757

1 , 557, 060
1, 124, 411
1 , 031, 359
5, 915, 062

739, 905
563, 902
991, 115
2, 410, 695

57,229,736

13,337,914

109,192,053

115,782,941

295,542,644

207, 420, 194

88, 122, 450

5,178,567
2,103,637
643,454
20,000
1,440,179
2,094,750
792,511
187,669

1,151,776
448,015

9,297,469
3,095,378

9,000

635,742

10,049,738
3,174,525

6,000
2,403,596
4,409,581
1,623,839
168,671

5,101
2,474,573
4,485,619
2,097,184
292,410

18,021,185
6,257,843
7,746,977
29,707
5,041,765
8,119,222
3,128,457
515,663

7,656,365
2,563,712
446,774

566,910
104,133
32,718

25,677,550
8,821,555
7,633,097
31,101
7,757,363
11,556,860
4,617,667
681,468

2,115,598
3,437,638
1,489,210
165,805

62,408,303

14,489,690

118,489,522

125,832,679

321,220,194

225,441,379

95,778,815

23,013,655
16,555,723

5,882,149
4,250,863

44,509,310
35,855,621

49,166,970
49,809,683

122,572,084
106,471,890

85,796,167
75,795,878

36,775,917
30,676,012

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 - total
Capital notes and debentures
Preferred stock
Common stock
Surplus
Undivided profits
Other capital accounts

TOTAL LIABILITIES AND CAPITAL ACCOUNTS

.

439,075

294,457

2,000

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

20.7
7.2

s ?:2
8.3

16.0

10.9
10.8
59.1
7.9

48,828,511
34,690,452

12,200,659
8,170,074

12

11

17.5
10.3
11.7
57.5
7.8
102,745,440
67,333,095

13.4
17.3
14.3
53.0
8.0

16.5
12.4
12.3
55.8
8.0

16.3
12.8
12.6
55.3
8.0

16.8
11.5
11.7
56.8
8.0

111,116,829
66,040,464

274,891,439
176,234,085

194,105,127
122,795,369

80,786,312
53,438,716

6,001

6,194

4,811

1,383

1 / DATA REPORTED BY NATIONAL BANKS HAVE BEEN ADJUSTED TO MAKE THEM COMPARABLE WITH DATA REPORTED BY STATE BANKS.

3

ALL MEMBER BANKS ON SELECTED CALL DATES JUNE 3 0 , 1 9 & 1 TO JUNE 3 0 ,
(Amounts

JUNE 3 0 ,

1961

JUNE 3 0 ,
1962

JUNE 29,
1963

in millions

JUNE 3 0 ,
1964

1966

of dollars)
JUNE 3 0 ,
1965

31,
1965

1966

JUNE30,^966
FROM—
JUNE 3 0 . 1 9 6 5

+ 2, 655
+
191
+
252
+
232
+
85
28
+ 1 , 924

JUNE 3 0 ,

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

40,084
2,142
16,488
6,841
57
142
14,414

42,853
2,399
16,839
7,090
92
169
16,264

44,929
2,644
16,529
7,366
324
233
17,833

46,767
3,511
16,774
7,453
354
343
18,332

50,198
3,853
17,842
7,556
275
240
20,431

52,814
3,757
17,992
8,577
381
243
21,864

52,853
4,044
18,094
7,788
359
212
22,355

OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE .

50,361

52,065

50,399

46,235

43,396

44,992

39,942

- 3, 454

39,569
33,896
4,449
1,223

+ 4,468
+ 2,,860
+ 1 , ,771
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 .
TOTAL SECURITIES

,!/

FEDERAL FUNDS SOLD (LOANED) i
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 c y
Loans to farmers directly guar, by CCC
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 £.xjpenditures
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

17,696
15,220
1,278
1,198

22,219
19,321
1,742
1,157

27,008
23,533
2,237
1,238

30,249
26,579
2,238
1,432

35,100
31,036
2,678
1,386

36,785
32,588
2,984
1,214

68,057

74,285

77,407

76,484

78,496

81,777

79,511

+ 1,,014

158,832
3,141
161,973
36,577
1,472

1,861
167,939
3,489
171,428
38,988
I,539

1,772
177,355
3,531
180,886
40.862
1,584

+ 1,,772
+18,,523
+
390
+18,,913
+ 4 ,285
+
113

99,992
2,112
102,104
23,086
882

109,212
2,320
111,533
25,362
1,014

122,088
2,622
124,710
29,127
1,185

138,649
2,810
141,459
32,794
J,366

5,215

5,557

6,149

2,364
4,969

2,249

2,442

2,434
13,517

7,746

9,079

5,658
970
5,644
2,780
1,709
336
3,386
38,872
22,421
7,081

9,951

6,592

1,453
6,789
3,088

Hit

3,675
41,435
24,006

6,397

6,596

2,563
5,761
II,669
4,832

3,290

5,244
69,357
37,933
13,833
3,389
2,580
6,048
12,082
4,808

+21 ,310

2,331
16,849
11,483
2,008
12,475
4,915
2,714
266
4,833
63,979
36,418
13,136

4,252
4,249

11,525

1,844
8,134
4,436
1,880
492
4,172
44,701
26,366
9,121

2,733
9,887
5,341
2,320
182
4,573
49,217
30,275
10,702

6,746
2,295

17.863
12,333
1,861
13,068
5,036
2,717

6,977

7,304
2,209
2,232
3,742
7,96*

3,557

2,411
4,819
9,576
4,137

168,049

183,497

199,495

215,132

237,328

251,577

258,638

2,878
1,417
1,290

3,110
1,423
1,477

3,460
1,517
1,813

3,853
1,645
2,040

4,147
1,755
2,621

4,268
1,798
2,927

4,457
1,982
3,290

213,719

232,359

251,214

269,437

296,049

313,384

321,220

45,914

40,928

9,441

5,525
859
4,125
4,993
58
890
13,188
10,428
769
93

2,630
2,247

3,486

2,900

MEMORANDA
OBLIGATIONS O F U.S. GOVT. — T O T A L PAR VALUE i / . .
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

3,480

2,390

2,315

2,766

5,325
4,781
66
1,713

12:221
%
2,981
2,128
552
92
210

4,440
2,284
538
121

1,497

2 P R I 0 R TO DECEMBER 3 1 , 1 9 6 5 THE PAR VALUE MATURITZ DISTRIBUTION OF U . S . OOVBRMmT OBLIGATIONS AND OBLIGATIONS OF FEDERAL AGENCIES WERE NOT REPORTED.
MATURITY DISTRIBUTION ON A BOOK VALUE BASIS FOR U . S . OOVERMJEWt SECURITIES HAS BEEN PUBLISHED I N PREVIOUS SUMMARY RETORTS.

•

M
BANKS:

S

r :

ALSO SEE EXPLANATORY NOTES ON PAGE 3 6 .

+

190
59
+ 2,440
+ 1 ,600
- 1 ,654
+ 2 ,333
694
+
275
208
+
483
+10 ,717
+ 3 ,351
+ 1 ,328
+
286
+
99
+
545
+ 1 ,053
+
25

6,747

2,354
15,423
10,733
3,516
10,735
5,729
2,442
208
4,761
58,640
34,582
12,505
3,104
2,481
5,463
11,030
4,783

A

ssss.

+
+
+

310
227
669

+25,171

ALL MEMBER BANKS ON SELECTED GALL DATES JUNE 3 0 ,
(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 o f f i c e r s ' 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 - total
Capital notes and debentures
Preferred stock
Common stock
Undivided profits
Other capital accounts

TOTAL LIABILITIES AND CAPITAL ACCOUNTS .

JUNE 3 0 ,

1961

JUNE 30;
1962

JUNE 2 9 ,

1963

in millions

1 9 6 1 TO JUNE 3 0 ,

1966

of dollars)

JUNE 3 0 ,

JUNE 3 0 ,

1964

1965

124,376

130,544

135,696

139,493

146,238

92,238
648
5,731
9,241
580
11,481
1,016

94,174
652
8,734
9,107
642
11,991
1,163

97,333
620
9,761
9,535
679
12,467
1,242

100,942
663
9,342
9,639
716
12,531
1,280

103,731
771
10,806
10,127
741
13,268
1,346

DECEMBER 3 1 ,

1965

154,475
I 1,905
1113,118
882
4,890
10,840
825
15,152
1,477

CHANGE TO
JUNE 3 0 , 1 9 6 6
FROM—
.

JUNE 3 0 ,

1966

152,715
1,886
106,383
764
9,979
11,445
843
13,909
1,412

+ 6,477
+ 1,886
+ 2,652
7
827
+ 1,319
+
101
+
641
+
67

3,441

4,080

4,060

4,379

5,449

5,386

6,095

64,849
49,648
571

75,513
55,213
570

86,923
61,023
584

98,559
65,099
660

113,505
71,473
749

8,081
1,809
263
4,203
15
156
104

11,854
2,156
274
5,096
32
191
128

15,867
2,848
228
5,999
33
237
103

21,447
3,556
227
7,045
73
306
146

27,566
4,026
247
8,592
210
400
240

121,042
75,581
810
I
757
(28,725
4,052
236
10,041
154
450
236

128,494
73,654
870
678
37,525
4,301
204
10,334
163
523
242

+14,990
+ 2,181
+
121
+
678
+ 9,959
+
274
43
+ 1,742
48
+
123
+
2

189,226

206,057

222,619

238,052

259,743

275,517

281,209

+21,466

382
1,445
4,639

735
1,465
4,924

1,440
1,564
5,353

1,936
1,677
5,711

3,455
1,786
6,743

{2,401
11,833
1,832
6,875

2,297
1,688
2,022
8,326

+ 2,297
- 1,766
+
237
+ 1,582

195,692

213,180

230,976

247,376

271,726

288,458

295,543

+23,816

18,027
5,406
16
7
5,382
8,841
3,380
401

19,179
5,681
16
7
5,659
9,606
3,467
425

20,238
5,919
14
29
5,876
10,175
3,696
448

22,060
6,925
30

24,323
8,381
1,446
32

10,755
3,871
511

11,114
4,228
600

24,926
8,587
1,553
32
7,002
11,398
4,302
641

25,678
8,822
1,633
31
7,157
11,557
4,618
681

+ 1,354
+
440
+
187
1
+
255
+
443
+
390
+
81

213,719

232,359

251,214

269,437

296,049

313,384

321,220

+25,171

103,122
92,750

107,191
93,555

110,499
95,637

113,709
99,288

118,252
101,733

124,034
112,569

122,572
106,472

+ 4,320
+ 4,739

18.8
23.6
8.3
46.8
8.4

18.4
22.4
9.6
47.0
8.3

17.9
20.1
10.8
48.6
8.1

17.4
17.2
11.2
51.5
8.2

17.0
14.7

16.9
14.4
11.7
54.2
8.0

16.5
12.4
12.3
55.8
8.0

-

496

6,903

+

646

MEMORANDA
N E T 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

H:?
8.2

AVERAGE O F TOTAL DEPOSITS FOR PAST 15 DAYS . . . .
AVERAGE O F TOTAL LOANS (NET) FOR PAST 15 DAYS .
NUMBER O F BANKS

6,141

6,070

t

6,058

DEP03IIS of

6,180

6,235

®

268,739
166,807

274,891
176,234

6,221

6,194

-

+
+
-

-

.5
2.3
.4
2.1
.2

41

ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, JUNE 3 0 ,
(Amounts

in thousands

1966

of dollars)
NEW YORK

TOTAL

RESERVE CITY

|

15, 782,352
741,387
4, 306,409
752,894
31,911
114,078
9, 835,673

13, 243, 314
357, 001
3, 480, 718
253, 944
8, 902
106, 029
9, 036, 720

2, 539,038
384,386
825,691
498,950
23,009
8,049
798,953

868,410

7, 545,721

4, 709, 646

2, 836,075

6, 596, 832
5, 729, 613
614, 301
252, ,918

3, 513,041
3,,141,631
281,025
90,385

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, 154,246
226,316
704,006
306,558
9,737
10,055
897,574

912,486
27,114
332,294
41,640
2,128
8,193
501,117

1, 241,760
199,202
371,712
264,918
7,609
1,862
396,457

OBLIGATIONS O F U.S. G O V T . — T O T A L BOOK VALUE .

1, 211,486

343,076

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 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 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

1,,625,754
I, ,479,825
99,146
46,783

421,089
388,736
16,546
15,807

1,,204,665
1,,091,089
82,600
30,976

10, 109,873
8, 871,244
895,326
343,303

2,,837,240

764,165

2.,073,075

17,,655,594

11,,306,478

6,,349,116

2,500
2,766,088
63,622
2,829,710
270,660
73

45,150
4,,888,025
92,195
4 ,980,220
1.,378,761

335,125
48,,988,606
1.,106,020
50,,094,626
8;,342,607
98,874

133,,530
37 j,045, ,477
852,,046
37 ,,897, ,523
3,,827, ,416
79,,554

201,595
11,,943,129
253,974
12 ,197,103
4:,515,191
79,320

1 ,672,780
949,051
3 ,165,095
2 ,456,807
1,034,356
4 ,389,544
3 ,458,038
737,254

820,,682
482',,793
7 ,776:,877
7 ,328 ,110
999 ,454
3 ,992 ,402
3 ,320 ,938
653 ,913

852,098
466,858
7 ,988,278
7 ,728,697
34,902
397,142
137,100
83,341

142,960

151,712
23 ,443,489
6 ,875,757
7 ,683,093
365,381
522,301
7 ,583,602
2 ,721,380
1,661,869

32 ,007
20 ,271 ,251
3 ,352 ,812
577 ,574
122 ,581
240 ,233
835 ,736
7 ,636 ,688
1,447 ,330

119,705
3 ,172,238
3 ,522,945
7 ,765,579
242,800
282,068
747,866
7 ,084,692
214,539

66 ,979,325

48 ,485 ,485

18 ,493,840

47,650
7,,654,113
155,817
7 ,809,930
I, ,649,421
20,147
145,042
57,462

22,492
3,734

20,074

122,550
54,128

783,349
642,521
37,924
496,471
43,816
32,936

90,511
153,850
26,831
300,999
16,912
8,257

488,671
11,093
195,472
26,904
24,679

34,576
3 ,357,474
1 ,937,818

4,349
1,661,319
463,849
134,422

30,227
1 ,696,155
1 ,473,969

687,245

108,450
103,472
344,651
700,000
219,494

77,002
24,490
87,678

206,317
76,534

693,338

546,823
97,448
78,982

263,033

493,683

10 ,539,003

3,532,753

7 ,006,250

195,251
67,683
96,341

43,616
61,519
55,211

151,635
6,164
41,130

935,652
1 ,197,980
1 ,401,032

661 ,234
1 ,185 ,827
1 ,252 ,733

274,418
12,153
148,299

13 ,052,524

4,605,585

8 ,446,939

86,296,341

64,828,593

21,467,748

1 ,239,045

356,455

882,590

71,776, 995

4,899,667

2,877, 328

142,552
59,689
253,927
163,509
818
17,100
254,813
330,050
15,930
657

59,870
35,015
101,095
22,085

82,682
24,674
152,832
141,424
818
9,650
236,723
218,430
14,955
402

1 , ,456, ,893

241, ,614
730, ,080
815,,811
7,,641
59,,742
2 ,032, ,353
2 : ,243, ,673
168,,083
21,,105

1,242,274
200,019
412,904
408,866
896
11,614
1,049,649
1,462,784
101,970
8,691

214, ,619
41, ,595
317,,176
406, ,945
6,,745
48,,128
982,,704
780,,889
66,,113
12,,414

99,329
39,835
8,945
1,200
49,349

16,548
1,980
145

82,781
37,855
8,800
1,200
34,926

897,,254
365 ,169
66 ,512
n : ,866
453 ,707

617,213
182,447
22,907
5,356
406,503

280 ,041
182:,722
43:,605
6 ,510
47 ,204

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 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

6

RESERVE CITY

COUNTRY

7,450
18,090
111,620
975
255

14,423

ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, JUNE 3 0 ,
(Amounts
LIABILITIES

AND

CAPITAL

ACCOUNTS

RESERVE CITY

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

7,308,394
70,739
5,495,279
11,400
515,249
501,989
198,850
369,567
34,155

2,784,215
24,591
1,904,564
11,400
172,266
185,662
88,604
330,788
30,020

111,166

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
Un i ted State s Governm ent
States and political subdivisions
Mutual savings banks in United States
Commercial banks in United States
Banks in foreign countries

3,949,639
2,486,914
1,465
18,548
1,056,100
65,745
4,827
274,925
10,130
28,919
2,066
11,258,033

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 - total
Capital notes and debentures
Preferred stock
Common stock
Surplus
Undivided profits
Other capital accounts

TOTAL LIABILITIES AND CAPITAL ACCOUNTS .

1966

of dollars)

BOSTON
TOTAL

TOTAL DEPOSITS .

in thousands

NEW YORK
COUNTRY

4,524,179
46,148
3,590,715

TOTAL

RESERVE CITY

COUNTRY

342,983
316,327
110,246
38,779
4,135

42,334,187
209,568
26,245,243
633,341
2,919,234
2.236.885
560,790
4,533,844
1,021,396

36,320

74,846

3.973.886

3,732,053

241,833

1,156,977
279,648

2,792,662
2,207,266
1,465
479
384,482

20,895,155
6,330,687

3,184
194,616
720
350
100

30,731,834
14,168,274
15,478
105,164
10,900,436
3,080,505
72,354
1,771,523
144,793
315,494
157,813

95,523
9,729,493
3,042,909
65,081
1,022,776
141,933
312,790
153,963

9,836,679
7,837,587
15,478
9,641
1,170,943
37,596
7,273
748,747
2,860
2,704
3,850

3,941,192

7,316,841

73,066,021

53,918,430

19,147,591

66,860
35,586
68,957
450,237

55,435
15,028
62,793
99,426

11,425
20,558
6,164
350,811

655,195
803,007
1,225,334
3,577,866

585,870
765,889
1,211,091
2,996,010

69,325
37,118
14,243
581,856

11,879,673

4,173,874

7,705,799

79,327,423

59,477,290

19,850,133

1,172,851
353,697
35,610

431,711
130,081

10,000

741,140
223,616
25,610

5,351,303
2,170,657

377,275
583,261
212,097
23,796

120,081
233,919
64,254
3,457

197,134
349,342
147,843
20,339

6,968,918
2,697,909
753,564
20,744
J,924,753
2,920,770
1,125,096
225,143

2,176,909
814,990
188,747

1,617,615
527,252
92,770
744
434,954
743,861
310,106
36,396

13,052,524

4,605,585

8,446,939

86,296,341

64,828,593

21,467,748

6,104,287
5,526,004

2,241,483
1,780,044

3,862,804
3,745,960

31,745,620
25,045,436

23,732,611
17,211,854

8,013,009
7,833,582

272

18,069
671,618
65,745
1,643
80,309
9,410
28,569
1,966

472

33,023,275
118,320
19,376,993
632,358
2,336,578
907,432
483,387
4,438,123
998,031

667,454

20,000

7,449,799

9,310,912
91,248
6,868,250
983
582,656
1,329,453
77,403
95,721
23,365

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
9.3
12.5
59.0
9.0
11,301,304
7,652,850
249

19.8
7.4
9.1
60.1
9.4
4,050,244
2,760,903

14.7
10.3
14.3
58.4

18.3
8.7
11.7
57.2
8.1

20.4
7.3
10.2
57.3
8.3

11.8
13.2
16.4
56.6
7.5

7,251,060
4,891,947

69,699,508
48,083,993

50,920,122
36,061,682

18,779,386
12,022,311

244

407

15

392

7

ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, JUNE 3 0 ,
(Amounts

in thousands

CLEVELAND

PHILADELPHIA
ASSETS

TOTAL

|

RESERVE CITY

1966

of dollars)

|

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

2,454,798
282,142
993,988
425,559
35,340
5,989
711,780

1,355,547
89,741
565,931
115,526
8,520
5,961
569,868

1,099,251
192,401
428,057
310,033
26,820
28
141,912

3, 415, 397
393, 053
1,,459, 602
574, 636
3, 579
8, 261
976, ,266

2,,195,989
166,104
1,,038,124
174,674
204
8,151
808,732

1, 219,408
226,949
421,478
399,962
3,375
110
167,534

OBLIGATIONS O F U.S. G O V T . — T O T A L BOOK VALUE . . .

2,032,575

562,292

1,470,283

3,,657, 384

1,,510,682

2,,146,702

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

1,864,101
1,564,297
219,427
80,377

526,778
459,783
36,512
30,483

1,337,323
1,104,514
182,915
49,894

3,,577, ,848
3,,269, ,932
211, ,062
96,,854

2,,159,465
2,,017,717
79,401
62,347

1,,418,383
1,,252,215
131,661
34,507

3,896,676

1,089,070

2,807,606

7,,235, ,232

3,,670,147

3,,565,085

73,000
8,,205,751
129,187
8,,334,938
1 ,738,176
4,794

98,525
5,,108,284
85,969
5,,194,253
L,904,429
148,130

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

98,000
8,321,384
195,243
8,516,627
2,376,574
99,628

34,150
3,852,870
102,894
3,955,764
434,455
3,492

63,850
4,468,514
92,349
4,560,863
1,942,119
96,136

171,,525
13,,314, ,035
215,,156
13 ,529, ,191
3 ,642, ,605
152, ,924

182,267
90,459
1,224,825
779,395
47,294
563,482
70,657
99,213

28,148
5,085
189,512
208,218
44,138
465,364
56,748
71,430

154,119
85,374
1,035,313
571,177
3,156
98,118
13,909
27,783

244, ,991
182, ,546
1 ,492,
1 ,125, ,874
50,,395
748,,055
220,,052
291,,861

212,801
132,438
826,551
561,588
40,626
633,199
190,191
260,684

76,190
50,108
1 ,065,715
564,286
9,769
114,856
29,861
31,177

112,435
2,693,224
2,276,175
737,861
237,261
146,016
489,040
665,997
277,573

3,578
1,736,215
1,005,024
301,351
125,125
68,929
212,803
296,816
138,812

108,857
957,009
1,271,151
436,510
112,136
77,087
276,237
369,181
138,761

150 ,161
4 ,47L ,709
3 ,433:,097
1 ,435]
250, ,325
302:,342
580',,255
864' ,196
521:,256

817
3 ,435,152
1 ,618,554
545,421
100,350
178,117
298,359
496,307
417,539

149,344
1 ,036,557
1 ,814,543
890,558
149,975
124,225
281,896
367,889
103,717

12,316,060

4,976,090

7,339,970

20 ,720, ,792

11 ,948,898

8 ,771,894

204,775
81,381
93,800

76,174
80,317
62,344

128,601
1,064
31,456

280 ,450
36 ,902
148 ,223

140,686
36,258
120,426

139,764
644
27,797

15,150,814

6,550,472

8,600,342

24 ,601, ,764

14 ,442,257

10 ,159,507

2,069,001

574,681

1,494,320

3 , 7 2 0 , 156

1,543,305

2,176, ,851

197,069
59,505
205,889
305,324
6,748
32,546
669,512
545,639
45,221
1,548

67,200
38,000
63,771
134,350
137,584
130,313
3,388
75

129,869
21,505
142,118
170,974
6,748
32,546
531,928
415,326
41,833
1,473

552, 501
84, 117
453, 438
623, 118
4, 597
50, 556
979, 174
907, 070
47, 517
18, 068

277,097
44,880
179,463
268,485
5,443
224,926
513,493
12,881
16,637

275,,404
39,,237
273,,975
354,,633
4,,597
45,,113
754,,248
393,,577
34,,636
1 , ,431

219,645
103,501
40,022
7,881
68,241

36,511
250
36,261

183,134
103,251
40,022
7,881
31,980

211, 063
141, 452
17, 802
13, 523
38, 286

79,387
40,969
3,641
12,273
22,504

131,,676
100,,483
14,,161
1 , ,250
15,,782

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 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

ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, JUNE 3 0 , 1966
(Amounts in thousands of dollars)
L I A B I L I T I E S AND C A P I T A L

PHILADELPHIA

ACCOUNTS

RESERVE CITY
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

7,082,049
66,490
5,329,612
11,016
495,463
488,338
46,394
501,265
43,412

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

13,311,990

5,686,299

151,115
14,702
82,530
325,613

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 .

COUNTRY

TOTAL

RESERVE CITY

COUNTRY

3,565,456
31,566
2,517,874
11,016
282,575
116,601
40,815
470,176
43,317

3,516,593
34,924
2,811,738

100,059

51,516

48,543

160,758

86,270

74,488

6,229,941
3,986,999
574
11,509
1,857,741
87.035
2,366
259,637
3,137
13.036
7,907

2,120,843
884,064

4,109,098
3,102,935
574
1,828
883,813

11,332,354
7,326,950
532,400
35,175
2,410,437
32,600
3,434
945,884

6,434,086
3,780,896
177,403
28,299
1,644,115
32,600
1,519
725,729

4,898,268
3,546,054
354,997
6,876
766,322

41,580
3,894

39,661
3,864

1,919
30

7,625,691

21,755,245

12,663,869

9,091,376

134,890
4,940
81,466
129,329

16,225
9,762
1,064
196,284

101,705
23,701
36,902
504,313

95,055
22,106
36,258
273,554

6,650
1,595
644
230,759

13,885,950

6,036,924

7, 849, 026

22,421,866

13,090,842

9,331,024

1,264,864
314,090
12,475
958
300,657
699,346
237,646
13,782

513,548
111,493

2,179,898
584,513
51,350
100
533,063
1,153,769
360,103
81,513

1,351,415
336,850
42,000

111,493
310,732
88,856
2,467

751,316
202,597
12,475
958
189,164
388,614
148,790
11,315

294,850
763,849
186,864
63,852

828,483
247,663
9,350
100
238,213
389,920
173,239
17,661

15,150,814

6,550,472

8,600,342

24,601,764

14,442,257

10,159,507

5,944,710
5,373,541

2,880,062
2,242,837

3,064,648
3,130,704

8,871,989
8,046,550

5,246,377
4,365,086

3,625,612
3,681,464

9,681
973,928
87,035
267
142,978
3,030
11,983
7,877

212,888
371,737
5,579
31,089
95

2,099
116,659
107
1,053
30

10,422,891
213,488
7,840,569
228
847,444
781,889
4,291
552,631
21,593

6,229,783
125,381
4,575,500
228
542,711
362,071
3,682
513,254
20,686

4,193,108
88,107
3,265,069
304,733
419,818
609
39,377
907

1,915
220,155

MEMORANDA
NET DEMAND DEPOSITS SUBJECT TO RESERVE
DEMAND DEPOSTTS ADJUSTED
PERCENTAGE OF 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 OF TOTAL DEPOSITS FOR PAST 15 DAYS
AVERAGE OF TOTAL LOANS (NET) FOR PAST 15 DAYS . .
NUMBER OF BANKS

16.2
13.4
12.3
55.6
8.3
12,987,601
8,394,364
401

20.7
8.6
8.0
59.3
7.8
5,545,131
3,872,056

12.8
17.1
15.5
52.7
8.7

13.9
14.9
14.5
54.8
8.9

15.2
10.5
15.0
57.3
9.4

12.0
21.1
14.0
51.3
8.2

7,442,470
4,522,308

21,465,162
13,294,625

12,436,695
8,156,102

9,028,467
5,138,523

395

502

16

486

9

ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, JUNE 3 0 , 1 9 6 6
(Amounts

RESERVE CITY

in thousands

of dollars)

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

2,562,946
325,787
902,242
473,068
6,197
3,950
851,702

1,516,657
141,886
588.208
137,328
3,467
3,796
641,972

1,046,289
183,901
314,034
335,740
2,730
154
209,730

3,469,990
322,583
1,072,010
1,031,886
7,775
2,808
1,032,928

1, 674,635
76,565
546,885
303,687
2,097
2,104
743,297

1,795,355
246,018
525,125
728,199
5,678
704
289,631

OBLIGATIONS O F U.S. G O V T . — T O T A L BOOK VALUE .

2,198,893

990,951

1,207,942

3,086,768

1, 011,129

2,075,639

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.

1,638,858
1,384,204
207,778
46,876

794,203
706,507
62,381
25,315

844,655
677,697
145,397
21,561

2,325,528
1,963,699
315,940
45,889

773,033
706,440
51,580
15,013

1,552,495
1,257,259
264,360
30,876

3,837,751

1,785,154

2,052,597

5,412,296

1,,784,162

3,628,134

116,300
8,438,491
143,101
8,581,592
2,155,757
139,245

40,650
4,441,796
80,681
4,522,477
972,377
25,714

75,650
3,996,695
62,420
4,059,115
1,183,380
113,531

120,100
9,566,702
178,053
9,744,755
1,753,200
110,720

56,900
4,,085,024
74,236
4,,159,260
552,226
7,746

63,200
5,481,678
103,817
5,585,495
1,200,974
103,534

37,946
72,263
224,427

25,252
492,242

23,355
405.209
54,987
38,306

31,004
631,852
342,616
7,294
129,868
28,224
31,955

125,999
37,515
721,063
757,903
42,850
600,189
129,755
130,687

155,525
2,619,089
2,736,003
1,070,373

23,001
1,583,415
1,320,027
516,187

132,524
1,035,674
1,415,976
554,186

186,888
3,549,215
3,092,840
1,032,705

203,632

42,465
70,433

120,767
62,397

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 e s t a t e 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 expenditure:
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

136,418

74,632
7,044,379
717,083
30,649
535,077
83,211
70,261

133,230

446,293

882,475
196,020

72,041
43,624
456,527
374,467

185,156

464,946

101,800

64,377

261,137
417,489
94,220

329,349

136,091
417,013
1,177,642
259,131

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
10

18,775
1 ,683,128
1 ,234,344
362,034
776,299
45,530

118,226
592,255
141,986

491,893
27,290
210,990
62,601
73,799

168,113
1,866,087
1,858,496
670,677

213,090

90,567
294,747
545,347

117,145

9,173,012

12,,392,542

6,,267,600

6,124,942

15,099,098

5,926,086

233,625
9,755
95,134

105,292
8,295
71,829

128,333
1,460
23,305

352,853
8,246
128,253

125,354
5,357
73,198

227,499
2,889
55,055

15,,294,002

7 ,969,673

7,324,329

19,058,440

7 ,804,630

11,253,810

2j,242,707

1 ,014,069

1,228,638

3,137,376

1 ,039,826

2,097,550
315,999
40,534
302,213
290,121
3,822
50,310
603,643
455,440
22,674
12,794
264,345
190,958
29,467
9,112
34,808

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 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

266,010
15,560
389,199
67,154
56,888

88,053

246,050
48,276
247,951
263,832
7,333
86,830
885,733
441,057
14,784
861

101,651
28,098
113,976
104,438
914
39,109
463,390
161,391
835
267

144,399
20,178
133,975
159,394
6,419
47,721
422,343
279,666
13,949
594

495,339
55,371
442,576
407,602
4,607
87,054
934,108
656,694
34,664
19,361

179,340
14,837
140,363
117,481
785
36,744
330,465
201,254
11,990
6,567

207,947
145,600
32,358
5,583
24,406

62,445
36,745
9,314
2,000
14,386

145,502
108,855
23,044
3,583
10,020

315,980
209,046
35,728
9,732
61,474

51,635
18,088
6,261
620
26,666

ALL MEMBER BANKS, BY FEDERAL RESERVE D I S T R I C T S , JUNE 3 0 , 1 9 6 6
(Amounts

in thousands

of dollars)
ATLANTA

LIABILITIES

AND

CAPITAL

ACCOUNTS

TOTAL

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

8,017,695
122,688
6,118,256
29,276
495,517
610,552
8,054
514,676
10,326

4,454,170
62,405
3,278,482
29,276
324,991
262,830
7,905
419,168
10,163

3,563,525
60,283
2,839,774

108,350

58,950

49,400

119,,676

44 ;,341

75,,335

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
Un i ted State s Governm ent
States and political subdivisions
Mutual savings banks in United States
Commercial banks in United States
Banks in foreign countries

5,516,131
3,913,273
16,141
44,776
1,150,902
9,424
23,103
353,647
20
3,845
1,000

2,595,432
1,724,060
9,540
25,420
600,399
8,424
14,404
210,305

2,920,699
2,189,213
6,601
19,356
550,503

6,, 553,,272
4,,008, ,652
11,,793
53,,479
1,,759, ,785
8,,263
6,,970
675,,491

2,,311,,412
l ! ,320.,714
1:,789
32,,657
673:,810
8:,263
1:,050
262],464

4,,241, ,860
2,,687, ,938
10,,004
20,,822
1 , ,085, ,975

28,,839

10,,665

18,,174

13,533,826

7,049,602

6,484,224

16,988,469

6,882,654

10,105,815

59,400
12,983
9,755
404,036

52,000
8,295
224,156

7,400
12,983
1,460
179,880

93,950
54,215
8,295
370,649

66,050
28,069
5,364
168,779

27,900
26,146
2,931
201,870

14,020,000

7,334,053

6,685,947

17,515,578

7,150,916

10,364,662

1,274,002
385,178
57,350
25
327,803
647,520
219,160
22,144

635,620
201,625
52,500

1,542,862
545,644
85,953
3,000
456,691
693,953
243,233
60,032

653,714
233,936
63,638
3,000
167,298
298,432
88,064
33,282

889,148
311,708
22,315

149,125
324,354
100,390
9,251

638,382
183,553
4,850
25
178,678
323,166
118,770
12,893

289,393
395,521
155,169
26,750

15,294,002

7,969,673

7,324,329

19,058,440

7,804,630

11,253,810

6,692,925
6,155,800

3,674,870
3,068,039

3,018,055
3,087,761

8,370,383
7,715,823

3,524,258
2,758,074

4,846,125
4,957,749

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 - total
Capital notes and debentures
Preferred stock
Common stock
Surplus
Undivided profits
Other capital accounts

TOTAL LIABILITIES AND CAPITAL ACCOUNTS .

1,880
1,000

170,526
347,722
149
95,508
163

1,000

8,699
143,342
20
1,965

10,,435, ,197
159,,738
7, ,172, ,573
2,,964
457, ,052
1,,281, ,204

4,,571 ,242
49 ,105
2,,882 ,153
2, ,562
231:,190
513:,046

5,,863, ,955
110,,633
4,,290, ,420
402
225,,862
768,,158

1,,229, ,394
12,,596

838 ,681
1 0 : ,164

390,,713
2,,432

5,,920
413, ,027

MEMORANDA
N E T 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

16.8
14.4
10.7
55.9
8.3

19.0
12.4
10.0
56.2
8.0

14.3
16.5
11.5
55.6
8.7

18.2
16.2
12.2
50.8
8.1

21.5
13.0
9.9
53.1
8.4

16.0
18.4
13.8
49.3
7.9

13,320,240
8,444,274

6,961,388
4,441,834

6,358,852
4,002,440

16,678,355
9,559,065

6,701,178
4,067,208

9,977,177
5,491,857

405

17

388

522

25

497

11

ALL MEMBER BASKS, BY FEDERAL RESERVE DISTRICTS, JUNE 3 0 , 1966
(Amounts in thousands of dollars)
ST. LOUIS

CHICAGO
ASSETS

TOTAL

RESERVE CITY

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

7,220,901
619,012
2,621,972
1,230,081
73,179
25,446
2,651,211

4,509,112
233,246
1,634,134
366,080
59,144
24,698
2,191,810

2,711,789
385,766
987,838
864,001
14,035
748
459,401

1,890,991
147,245
679,923
476,038
10,447
877
576,461

1,088,774
44,237
384,659
153,706
1,168
877
504,127

802,217
103,008
295,264
322,332
9,279

OBLIGATIONS OF U.S. GOVT.—TOTAL BOOK VALUE .

7,827,144

2,985,086

4,842,058

1,706,135

523,522

1,182,613

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.

6,192,725
5,137,956
856,336
198,433

2,949,446
2,569,125
272,421
107,900

3,243,279
2,568,831
583,915
90,533

1,405,043
1,162,103
209,309
33,631

599,990
547,557
38,733
13,700

805,053
614,546
170,576
19,931

14,019,869

5,934,532

8,085,337

3,111,178

1,123,512

1,987,666

343,275
26,036,242
600,840
26,637,082
6,840,871
253,916

172,200
14,849,499
371,501
15,221,000
2,616,048
6,103

171,075
11,186,743
229,339
11,416,082
4,224,823
247,813

60,050
5,367,325
82,590
5,449,915
1,309,890
148,364

17,875
2,784,147
42,767
2,826,914
409,718
3,943

42,175
2,583,178
39,823
2,623,001
900,172
144,421

1,147,420
342,887
3,309,188
1,787,460
222,101
2,263,038

689,844
224,332
984,531
711,238
215,619
1,925,366

457,576
118,555
2,324,657
1,076,222
6,482
337,672

482,305

295,735

186,570

118,708
35,255
544,545
463,018
30,951
396,233
61,464
61,611

32,096
10,130
122,113
241,436
29,164
337,673
53,333
39,345

86,612
25,125
422,432
221,582
1,787
58,560
8,131
22,266

747,512
9,405,170
5,439,305
2,117,189
622,099
435,561
594,108
1,670,348
632,407

56,578
6,978,379
2,155,824
691,033
241,318
211,086
205,556
806,831
438,974

690,934
2,426,791
3,283,481
1,426,156
380,781
224,475
388,552
863,517
193,433

274,436
1 ,719,670
1:,504,148
458,939
135,053
103,136
151,004
656,016
91,512

15,111
1,122,189
757,618
164,111
61,414
63,669
52,628
415,796
62,763

259,325
597,481
746,530
294,828
73,639
39,467
98,376
240,220
28,749

40,399,386

20,956,231

19,443,155

,538,553

3,925,534

4 ,613,019

533,228
124,102
445,672

233,606
119,034
340,835

299,622
5,068
104,837

129,638
12,021
61,716

54,573
11,544
43,649

75,065
477
18,067

48,723,289

26,158,818

22,564,471

10,,632,919

5,124,074

5 ,508,845

8,027,502

3,119,171

4,908,331

1,,746,830

545,518

1 ,201,312

1,052,915
137,325
726,877
966,986
6,974
136,364
2,992,006
1,793,719
204,670
9,666

606,358
50,447
225,204
243,531
317
22,438
1,145,124
723,694
100,209
1,849

446,557
86,878
501,673
723,455
6,657
113,926
1,846,882
1,070,025
104,461
7,817

225,347
32,499
251,197
239,304
3,677
35,741
575,946
367,402
13,360
2,357

53,212
8,394
95,002
84,733
702
4,357
163,393
132,948
1,123
1,654

172,135
24,105
156,195
154,571
2,975
31,384
412,553
234,454
12,237
703

855,545
426,828
129,416
19,606
279,695

271,781
95,022
22,605
6,277
147,877

583,764
331,806
106,811
13,329
131,818

209,569
126,047
38,774
8,978
35,770

38,820
14,729
3,023
3,416
17,652

170,749
111,318
35,751
5,562
18,118

TOTAL SECURITIES
FEDERAL FUNDS SOLD (LOANED)
OTHER LOANS AND DISCOUNTS, NET—TOTAL ...
Valuation reserves
OTHER LOANS AND DISCOUNTS, GROSS—TOTAL .
Real estate loans— 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 assets
TOTAL ASSETS

72,334

MEMORANDA
OBLIGATIONS OF U.S. GOVT. —TOTAL 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
12

ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, JUNE 3 0 ,
(Amounts
LIABILITIES

AND

CAPITAL

in thousands

1966

of dollars)

ACCOUNTS
RESERVE CITY

TOTAL

RESERVE CITY

COUNTRY

DEMAND D E P O S I T S — T O T A L
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 o f f i c e r s ' checks, cash letters of credit,
and travelers' checks, etc

21,902,754
292,984
15,480,689
18,525
1,781,346
1,799,814
2,208
2,004,097
79,023
444,068

233,813

210,255

59,287

24,967

34,320

TIME DEPOSITS—TOTAL
Savings deposits
Accumulated for payment of personal loans
Savings and loan a s s o c i a t i o n s
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

21,505,181
13,598,585
48,918
44,190
5,758,776
273,028
8,705
1,721,261
3,050
33,301
15,367

10,193,875
5,857,553

11,311,306
7,741,032
48,918
12,566
2,656,491
335
3,908
843,854

3,718,561
1,739,771
4,549
14,675
1,654,411
2,000
2,515
296,519

1,495,710
703,113

2,222,851
1,036,658
4,549
7,682
1,012,676

4,166
36

3,581
540

1,458
540

2,123

TOTAL DEPOSITS

43,407,935

22,872,110

20,535,825

9,438,334

4,454,169

4,984,165

383,695
316,152
126,148
959,138

364,545
290,204
120,401
552,903

19,150
25,948
5,747
406,235

70,300
68,295
12,327
133,071

64,250
59,868
11,850
78,611

6,050
8,427
477
54,460

45,193,068

24,200,163

20,992,905

9,722,327

4,668,748

5,053,579

3,530,221
1,196,014
129,180
4,700
1,062,134
1,628,818
602,168
103,221

1,958,655
716,103
101,997
3,000
611,106
958,807
247,727
36,018

1,571,566
479,911
1,700
451,028
670,011
354,441
67,203

910,592
264,795
41,850
200
222,745
430,098
195,027
20,672

455,326
143,920
36,100
107,820
235,545
71,756
4,105

455,266
120,875
5,750
200
114,925
194,553
123,271
16,567

48,723,289

26,158,818

22,564,471

10,632,919

5,124,074

5,508,845

18,021,462
15,466,100

10,120,345
7,401,906

7,901,117
8,064,194

4,667,450
3,976,614

2,300,626
1,461,228

2,366,824
2, 515, 386

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 - total
Capital notes and debentures
Preferred stock
Common stock
Surplus
Undivided profits
Other capital accounts

TOTAL LIABILITIES AND CAPITAL ACCOUNTS

12,678,235
133,084
8,349,776
17,851
1,252,780
778,835
1,576
1,831,739
78,781

31,624
3,102,285
272,693
4,797
877,407
3,050
29,135
15,331

9,224,519
159,900
7,130,913
674
528,566
1,020,979
632
172,358
242

5,719,773
83,333
3,940,095
216
306,881
464,995
156
859,817
4,993

2,958,459
34,618
1,774,780
216
202,612
125,789
790,492
4,985

6,993
641,735
2,000
916
138,955

2,761,314
48,715
2,165,315
104,269
339,206
156
69,325
8

1,599
157,564

MEMORANDA
N E T 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) F O R PAST 15 DAYS .
NUMBER O F BANKS

14.8
16.1
12.7
54.1
7.2

17.2
11.4
11.3
57.4
7.5

12.0
21.5
14.4
50.3
7.0

17.8
16.0
13.2
51.0
8.6

21.2
10.2
11.7
54.7
8.9

14.6
21.5
14.6
47.7
8.3

42,649,654
25,902,955

22,363,640
14,560,606

20,286,014
11,342,349

9,271,311
5,312,659

4,338,832
2,708,096

4,932,479
2,604,563

999

26

973

483

15

468

13

ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, JUNE 3 0 , 1966
(Amounts

in thousands

of dollars)
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
OBLIGATIONS OF 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 loans— 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 expenditurei
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 assets
TOTAL ASSETS

1,,168,464
85,038

390,861
262,592
1,749
3,907
424,317

523,912

RESERVE CITY

TOTAL

RESERVE CITY

644,552
69,984

2,391,240

50,845

257,819
211,747

2,067
322,904

101,413

158,757
827,472
700,264
1,446
1,159
702,142

15,054

133,042

1,749
1,840

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

14

COUNTRY

1,278,676
122,685

449,652

171,219
281
1,159

529,045
1,165

526.013

176,129

527,015

1,512,994

1,,285,313

223,819

1,,061,494

2,040,009

1,,044,166

253,557

790,609

1,466,738

477,720

811,069
210,131

217,124
27,540

1,226,193
158,153

401,374

989,018
824,819

8,893

593,945
182,591
14,073

82,392

59,877

141,684
22,515

2,,329,479

477,376

1,,852,103

3,506,747

1,004,735

2,502,012

6,610
4,,248,176

525
1,499,635

6,085
2J ,748,541
53,949
2,,802,490
965,898
62,237

106,360
6,740,493

13,900
2,755,792

92,460
3,984,701
65,469
4,050,170

397,156

72,849

781,446

726,774

774,995
58,879
464,574
205,279

112,257
47,708
409,898
482,565
25,840

45,801
76,777
105,674
216,061

66,456
30,337
304,224
266,504

22,966

72,413

18,464

4 ,320,589
i;, 1 6 7 , 5 9 3
62,285

1,518,099

799,607
87,996
564,050
259,667

24,606
23,777
99,476
54,442
6,092

8,737
238,219
19,425
70,279
504,390
1 ;, 3 2 1 , 0 1 3

201,695

54

194,927

16,408

2,645

43,292

54,451

3,017
15,828

8,975

495,415

108,300

6,848,793
1,178,602

419,581

50,338

16,469

42,831

2,798,623

11,084

309,846
27,869

113,705

81,745

1,089,490
2,193,685
1,601,450
623,587

166.014

1,091,261

773,925

14,756

109,735
22,469
31,960
923,476
1,102,424

91,936

92,704
26,033
20,725
21,195
97,620
58,740

602,479
640,720
293,733
93,587
47,827
82,875
729,298
33,196

134,396

41,706

6 ,584,265

1,977,536

4 ,606,729

10,353,600

3,774,427

6,579,173

121,273
12,750
43,109

29,762
8,562

91,511
4,188
27,362

214,507
3,281
70,214

95,027
2,299
41,151

119,480

15,747

7 ,929,861

2,555,519

5 ,374,342

13,032,842

5,025,468

8,007,374

1 ,317,745

240,652

1 ,077,093

2,071,389

538,067

1,533,322

112,999
16,400
104,236
148,326
2,845
25,814
406,846

101,735
16,006

311,300

228,271

125,401
1,908
25,652
334,248
361,544
13,960
730

295,403
3,311
54,090

83,029
14,746
63,974
77,420

15,746
746

11,264
394
8,327
22,925
937
162
72,598
122,243
1,786
16

210,730

27,776

182,954

129,885

17,713
4,050

112,172
33,397
7,675

35,386

5,676

898,997
385,837
119,620
62,552
104,070
226,978

718,534
258,277

153,305

93,987
277,893
572,384
176,102

MEMORANDA
OBLIGATIONS OF U.S. GOVT. —TOTAL PAR VALUE

1,112,564
36,072
377,820

483,787

37,447
8,012

337

95,909

29,710

37,328
236,586

579,252

764,294
41,970
38,796
65,468
268,724

811

859

9,800
176,861
107,029
4,090
307

158,321

16,499

72,389
28,447
5,150
52,335

7,420

700,982
401,831

29,699

3,469
500
5,110

1,022,198
459,593
111,335
55,185
752,425
243,660

982
29,063

22,582

172,612
217,983
2,500
44,290
524,121

294,802
25,609
552

141,822
64,969
24,978
4,650
47,225

ALL MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, JUNE 3 0 , 1 9 6 6
(Amounts
LIABILITIES

AND C A P I T A L

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 .

in thousands

of dollars)
KANSAS CITY

TOTAL

3,614,904
22,916
2,461,153
44
205,066

397,232

5,657
444,142
5,550

RESERVE CITY

1,400,148
4,761
802,380
44

123,118

77,305
5,501
350,054

4,933

TOTAL

2,214,756

7,245,498

RESERVE CITY

2,921,481
32,843
1,774,640

4,324,017
62,247
3,084,273

347,490
855,238

177,155
173,315

681,923

994,577
3,464

727,120
3,464

267,457

18,155
1,658,773

95,090
4,858,913

81,948
319,927
156
94,088
617

170,335

73,144

32,052

41,092

90,726

32,944

57,782

3,469,617

817,683
210,513

2,651,934
936,595
6,856
2,113

4,362,205
2,474,468

1,512,166
818,702
3,300
7,126
620,257

2,850,039

10,115
16,386
1,582,164

1,147,108

6,893
2,808

37

695

1,655,766
6,815

9,260
961,907

2,106,187

548,436

199,009

52,885

146,124

2,318

7,105
265,233

2,050
55,110

5,055
210,123

3,352

3,175

177

6,734

5,621

1,113

7,084,521

2,217,831

4,866,690

11,607,703

4,433,647

7,174,056

53,575

845
19,049
4,243

28,628

58,700

1,000
3,260

54,420

53,087

1,000

942

46,000

78,673

3,356
148,745

7,909
2,299
59,501

12,700
20,719
1,057
89,244

2,350,283

4,969,500

11,847,132

4,549,356

7,297,776

205,236

404,842

,185,710

476,112
164,887
26,000

709,598

34,038

8,562

12,805
114,950

36,277

7,319,783
610,078
218,814

74,965
ISO
799,699

1,557,751

88,750

10,000

7^,750

130,064

4,965
150

375,861

37,300
458

344,703

210,974

5,300

458
205,216
295,764
187,752

720,949
166,935
94,084
13,759

487,718
24,895

734,447
191,954
109,484
9,787

2,555,519

5,374,342

13,032,842

5,025,468

8,007,374

1,026,399
604,072

1,901,596
1,937,307

5,843,241
5,201,289

2,224,249
1,491,193

3,618,992
3,710,096

249,185
128,320
13,759

82,250
34,236

7,929,861

2,927,995
2,541,379

297,236

15,108

MEMORANDA
NET DEMAND DEPOSITS SUBJECT TO RESERVE .
DEMAND DEPOSITS ADJUSTED

PERCENTAGE OF 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 BANKS.

14.7

16.2
13.2
53.7
7.7

6,995,107
4,247,806
494

20.5

8.8
9.9

58.7

8.0

2,186,371
1,491,959

12.0
19.8
14.7
51.3
7.5

18.3
15.7
11.3
52.5
9.1

22.1
10.5
9.5
55.1
9.5

16.0
18.9
12.4
50.9

8.9

4,808,736
2,755,847

11,500,584
6,753,947

4,435,077
2,761,216

7,065,507
3,992,731

486

835

22

813

15

ALL MEMBER BASKS, BY FEDERAL RESERVE DISTRICTS, JUKE 3 0 , 1966
(Amounts

in thousands

of dollars)
SAN FRANCISCO

TOTAL
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
OBUGATIONS OF 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 loans— 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 assets (net of mortgages and other liens
on bank premises and other real estate)
Customers'liability on acceptances outstanding . .
Other assets
TOTAL ASSETS

3,254,386

1 RESERVE CITY

1,824,414
43,843
600,913

COUNTRY

1,429,972

OBUGATIONS 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

16

7,087,091
543,112
3,106,163
492,003
159,747
28,932
2,757,134

937,800

773,623

155,457
428,669
660,704
17,971
2,994
164,177

2,282,741

904,377

1,378,364

5,067,949

2,171,529

880,327

1,291,202
975,607

6,146,518
5,242,277

199,300
1,029,582

1,062,626
18,273
6,805

401,922
302

3,811

96,444

79,694
34,319
325,201
441,737
15,083
553,274
51,452
420,441

2,512,323

244,811

3,941,427

1,126,522
954,439
747,117
178,276

29,046

1,784,704

2,669,566

11,214,467

9,133,506

2,080,961

60,225
4,255,668

54,145
4, 327, 542
86,168
4,413,710

253,010
30,095,967

164,450
25,168,234

88,560

72,470

4,328,138
370,614

7,573

607,189

89,275

43,146
21,354
95,773
202,768

36,552
72,965
229,424
234,969

11,452
416,970
34,226
288,157

136,304
17,226

39,368

3,631

132,284

513,708
3,805,621
2,130,692

2,141,741
845,248

474,340
1,663,880
1,285,444

273,774

180,362

13,151,850
378,666
32,498
94,427

944,841
184,057
97,766
300,328
603,700

25,054

145,276
391,683
233,928
8,497
3,878

5,192,079

114,370
8,583,210
977,803

2,714,480
258,075
151,250

1,028,073

4,495,160
571,205
125,714

4,454,270

8,741,848

6,059,018
397,836

749,481
154,760

807,972
48,345
24,010

158,638

RESERVE CITY

268,454
47,141

1,783,579
316,799
71,151

515,227

30,611,194
9,466,892
274,737

2,577,175
367,726

3,834,448
2,418,806

441,580

25,609,814
7,840,973
215,265
2,215,642
298,444
3,300,112
1,811,510

315,319
1,864,883
243,119
206,555

288,550
1,731,058
221,728
174,861

1,323,199
10,777,859

937,225

5,001,380
1,625,919

59,472

361,533
63,242
534,336
607,296
26,769

133,825
21,391

31,694

385,974
1,499,833
1,216,953

93,412

2,660,722
680,594
444,037
820,053
1,401,411
406,551

9,278,026
4,789,864
2,058,568
536,799
355,527
598,203
1,240,767
347,529

6,100,597

7,051,253

41, ,563,444

34,466,190

7,,097,254

190,273
32,093
63,592

188,393
405
30,835

877,229
395,319
612,488

665,532

211,697
10,134

8 : ,424,114

295,340
67,322
37,924
99,575
345,087

649,507
116,735
59,442
200,753
258,613

6,006,817

385,185
535,532

602,154
143,795
88,510
221,850
160,644

59,022

76,956

16,911,827

8,210,969

8,700,858

50,,535,571

42,111,457

2,318,359

922,788

1,395,571

5,,260,792

4,107,349

1.,153,443

244,349
22,207
232,539
272,207

47,033
3,183
86,919
92,112

197,316

487,525

365,034

122,491
20,164

239,591
491,388

3,988
244,072
1 ,930,988
1 ,665,664
119,709
12,916

100,156
6,407

739,497

561,735

177,762

180,762
49,642
22,209
309,122

750
27,839

MEMORANDA
OBUGATIONS OF U.S. GOVT. —TOTAL 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

TOTAL

19,024

4,572

34,852
286

145,620
180,095
4,911
40,255
465,891
313,086
25,087
4,286

315,463

48,391

267,072

5,066

60,239
825,783
591,458

59,939

201,417
46,001
6,501
61,544

155
19,984

359,892
278,372

15,363
11,556

186,054
34,445

21,472

40,072

6,501

64,951

323,263
56,314
22,959
336,961

44,787
143,253

343,985
465
228,243
1,512,319

1,362,700

96,338

147,403

3,523

15,829
418,669
302,964
19,553

6,509

142,501

6,672

ALL MEMBER BASKS, BY FEDERAL RESERVE DISTRICTS, JUNE 3 0 , 1 9 6 6
(Amounts in thousands

LIABILITIES

AND C A P I T A L

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

of dollars)
SAN FRANCISCO

DALLAS
RESERVE CITY

TOTAL

COUNTRY

RESERVE CITY

TOTAL

19,615,737

16,093,036
373,917

COUNTRY

3,522,701

9,015,848

4,286,741

4,729,107

110,516
6,365,146
3,409
365,746
719,258

27,392
2,714,705
2,845
229,449

83,124
3,650,441
564

267,522

451,736

1,307,756

1,290,751
24,995

967,056

19,012

323,695
5,983

16,149
614,269
150,901

12,381,471
51,406
1,051,384
893,862
15,155
568,068
137,112

136,027

58,760

77,267

717,384

620,661

3,128,000
1,758,923

25,183,095

21,193,023

3,990,072

16,042,949
640
251,519

13,439,015

2,603,934
640
50.724
895,640
4,500
22,791
404,858
825

5,942,378

2,814,378

2,760,069
221,485
80,176
1,895,895
2,300
9,911
942,590

1,001,146
146,234
50,162
1,128,318
2,300
904
471,027

28,412
1,540

136,297

75,251
30,014
767,577

438,073
15,075,220
53,454
1,242,531

64,156
2,693,749
2,048
191,147

413,894
994
46,201
13,789
96.723

9,007
471,563

2,628,121

12,747
1,540

15,665

1,565
15,873
51,907

200,795
4,496,026
734,464
37,100
2,223,263
740
15,712
45,908

14,958,226

7,101,119

7,857,107

44,798,832

37,286,059

7,512,773

Federal funds purchased (borrowed)
Other liabilities for borrowed money
Acceptances outstanding
Other liabilities

232,070
59,722
36,998
188,473

212,745

10,421
405

19,325

99,112

89,361

369,555
218,235
399,067
1,148,666

350,480
211,386
388,697
991,762

19,075
6,849
10,370
156,904

TOTAL LIABILITIES . . . ,

15,475,489

7,498,870

7,976,619

46,934,355

39,228,384

7,705,971

1,436,338

712,099

724,239

3,601,216

2,883,073

297,997
41,000

234,559
8,190

1,050,731
293,547

612,681

256,997
324,631

246,899
44,202

88,110
1,361

226,369
288,050
158,789
42,841

1,352,484
366,300
450
985,734
1,449,741

750,682
48,309

757,184
1,169,859
625,752
36,731

718,143
301,753
72,753
450
228,550
279,882
124,930
11,578

16,911,827

8,210,969

8,700,858

50,535,571

42,111,457

8,424,114

7,015,422
6,421,551

3,111,196
2,316,613

3,904,226
4,104,938

16,366,600
15,001,803

13,322,638
11,961,261

3,043,962
3,040,542

TOTAL DEPOSITS

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 .

532,556
49,190
483,366

49,301

36,593

5,391,666
738,964
59,891

161

5,999

MEMORANDA
NET DEMAND DEPOSITS SUBJECT TO RESERVE
DEMAND DEPOSITS ADJUSTED

PERCENTAGE OF 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 OF TOTAL DEPOSITS FOR PAST 15 DAYS
AVERAGE OF TOTAL LOANS (NET) FOR PAST 15 DAYS . .
NUMBER OF BANKS

il:l
12.8

22.2
11.0
10.7

51.4
8.5

52.6

8.7

16.4
15.8
14.8
50.4
8.3

14.0

10.0
12.2
60.1
7.1

14.4
9.4
12.3

60.2
6.8

12.2
13.4
11.3
59.5
8.5

14,679,277
8,629,973

6,952,184
4,299,752

7,727,093
4,330,221

44,343,336
29,957,574

36,883,748
25,012,207

7,459,588
4,945,367

676

17

659

221

21

200

17

ALL MEMBER BANKS, BY STATES, JUNE 30, 1 9 6 6
(Amounts
ASSETS

ALABAMA

ALASKA

ARIZONA

in thousands

ARKANSAS

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
.

489,357
54,371
166,635
150,379
358
127
117,487

35,123
8,495
4,712
9,540
111
93
12,172

230,257
31,437
87,922
25,726
393
3,679
81,100

286,974
26,132
95,133
104,345
2,173

OBLIGATIONS OF U.S. GOVT.—TOTAL BOOK VALUE

526,464

38,849

167,708

OTHER SECURITIES—TOTAL BOOK VALUE

392,437
337,054
49,098
6,285

41,092
35,150
5,639
303

918,901
11,350
1,359,766
34,647
1,394,413
243,281
25,232

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
OTHER LOANS AND DISCOUNTS, GROSS—TOTAL
Real estate loans— 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 assets (net of mortgages and other liens
on bank premises and other real estate)
Customers'liability on acceptances outstanding

TOTAL ASSETS

of dollars)
CALIFORNIA

CONNECTICUT

DELAWARE

,335
,975
,241
,216
,134
,449
,320

465,640
32,251
173,784
116,862
159
142,584

,544
,059
,151
,145
,472
671
171 , 0 4 6

204,889

3 ,613 ,912

323,698

289 ,133

63 , 5 6 7

252,840
175,520
72,420
4,900

221,228
181,288
35,703
4,237

4 ,732
4 ,044
563
123

, 066
,647
,704
,715

247,914
232,102
10,290
5,522

460
414
37
9

83
61
19
2

79,941

420,548

426,117

8 ;, 3 4 5 , 9 7 8

571,612

750 ,021

3,000
152,718
5,379
158,097
61,347
22

37,350
1,198,066
13,830
1,211,896
303,510
6,854

6,050
745,258
11,288
756,546
193,546
35,620

146,, 8 5 0
2 3 , 0 5 0 :, 5 9 3
406 ,916
2 3 , 4 5 7 ;, 5 0 9
7. , 5 1 7 , , 2 9 2
210: , 7 9 5

12,850
1,513,242
23,599
1,536,841
302,448
14,970

12 , 5 9 5
1,924 ,281
36 , 3 1 6
1 , 9 6 0 :,597
560 ,796
2 : ,168

JJ,422
2,366
116,356
87,505
1,453
63,126
14,034
13,432

11,695
211
27,732
27,637

9,695
1,809
64,455
77,967
708
24,981
12,100
5,468

1, , 9 5 6 , 9 4 4
273 ,377
3: , 2 5 7 : , 2 4 7
1, , 4 7 9 , , 4 4 9
2 8 0 :, 5 2 4
1:, 4 2 4 ; , 2 3 5
209,,799
1 6 4 :, 9 4 3

27,972
27,332
111,360
132,814
4,972
115,172
9,906
37,755

36 , 4 7 5
19 , 7 7 5
342 ,354
760 ,240
4 :, 2 9 1
6 8 :, 8 2 1
9 ,190
9,, 8 5 2

4 ,742
949
52, , 0 4 2
21. , 5 4 5

35

767,944
79,743
47,422
67,063
18,094
42,149
8,447
1,348

52,937
432,671
511,667
174,164
53,601
22,974
70,386
190,542
61,812

16
56,378
39,260
14,815
73,439
7,977
5,724
3,905
876

168,151
364,448
301,063
729,343
29,744
24,543
47,763
35,630
4,686

65,866
204,284
243,149
103,540
23,494
10,051
37,407
74,253
6,444

757,,378
8,, 3 7 5 , , 0 1 2
4 :, 4 1 0 : , 3 2 2
i :, 9 7 0 ;, 0 3 3
507,,344
309,,524
547,,756
7 , ,141, , 6 7 7
318,,004

211,502
429,927
398,061
743,746
45,175
22,397
34,225
744,574
27,098

5, , 2 3 3
6 2 6 :, 7 9 7
5 9 9 :, 6 4 1
779 ,002
2 6 : ,159
3 4 :, 6 4 4
7 2 3 :, 5 4 5
2 3 6 :, 2 4 7
7 5 ;, 9 7 6

3 ,484
6 7 :, 4 2 0
1 4 6 :, 5 6 2
2 6 : ,711
7 0 , ,718
5 :, 2 0 7
7 7 : ,110
4 6 :, 4 2 2
3 ;, 9 2 4

2,290,017

235,659

1,655,964

1,177,425

31,,543,,421

2,, 0 9 7 , 7 0 4

2 ,686,,897

479,,482

42,738
360
9,587

8,508
61
1,598

46,529
4
25,975

24,470
5,506

619,,859
347,,043
512,,054

55,637
1,632
24,775

71,,189
2,, 1 6 7
16,, 7 0 5

11,, 3 8 7
280
3,, 8 2 2

2,832,059

280,949

1,958,729

1,494,375

38,,338,,712

2 J, 6 4 5 , 3 8 8

3 ,333,,502

646,,744

537,420

40,117

172,975

209,190

3,,755,,405

330,730

291,,946

65,,616

123,520
11,208
72,060
64,887
1,314
16,403
161,442
83,086
1,006
2,494

3,930

24,572
4,678
5,273
5,400

31,299
5,267
27,886
27,422
829
3,473
64,018
46,695
2,154
147

393, 743
33, 757
119,,513
324,, 686
300
196, 480
1, 3 7 3 , 970
1, 197, 441
109, 697
5, 818

69,943
6,181
26,980
40,118
1,392
8,652
100,837
70,000
6,450
177

43,,760
13,,521
57,,967
42,,279
500
1, 200
63,,806
66,,415
2,,383
115

24,,175
3,,200
973
10,,793
183
491
24,,619
1,, 1 8 2

10,316
6,317
2,750
20
1,229

37, 311
10, 050
3, 060
75
2 4 , 126

19, 600
13, 500

185

59,191

5,316
361
2 ,373
315
156
23
2 ,086

COLORADO

556
70
178
128
8

,888
,224
,163
,501

151
10
57
40
23

,773
,957
,814
,426
,954

18 , 6 2 2

,828
,898
,509
,421

147 , 3 9 5
21
310
4
314
82
3

,950
,137
,608
,745
,140
,422

7 ,487
1:, 7 5 5
1:, 9 7 3

MEMORANDA
OBLIGATIONS OF U.S. GOVT. —TOTAL PAR VALUE
Treasury bills
Treasury certificates of indebtedness
Treasury notes maturing in one year or less

Other bonds maturing in 5 to 10 years
Other bonds maturing after 10 years

OBLIGATIONS OF FED. AGENCIES NOT GUAR. BY U.S.
TOTAL PAR VALUE

Participation certificates

18

49,096
30,544
6,060
735
11,757

-

352
2,590
551
20,137
12,062
495

5,642
2,209
347
100
2,986

245
65,745
62,025
1,011
4,026

72,926
61,800
1,390
9,736

35,818
18,122
4,058
1,770
11,868

553,
188,
46,
22,
296,

428
407
107
079
835

-

6, 100

ALL MEMBER BAHKS, BY STATES, JUNE 3 0 , 1 9 6 6
(Amounts in thousands
LIABILITIES

AND C A P I T A L

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 .

of dollars)
CALIFORNIA

1,553,681
13,796

1,101,021
65,272
257,259
103,103
527

128,824
306
97,984
6,339
19,495
30
2,072

856,543
5,220
627,871
2,048
37,324
144,605
10,651
6,667

842,671
11,469
595,943
28,247
108,790

91,553

14,096,028
366,096
11,016,318
50,912
939,444
567,130
2,489
457,543
130,581

1,271,215
20,678
940,307
70,831
79,879

136,811
172

1,855,946

439,566

15,870
1,475,041

1,587
368,620

161,345
112,487
38,275
23,485

54,279
2,756

3,666
6,736
39

1,959

12,703

2,598

22,157

6,669

565,515

22,537

27,484

1,883

994,833

131,300
62,676

906,068

512,472

19,729,566

1,108,716

1,053,458

118,498

725,647
3,181
4,326
205,329

995

50,387
4,968

627,355
144

215
14,665

8,582
230,737

13,675

4,000
3,255
31,895

39,244
825

272,279
1,884
3,760
201,297

12,090,819
494
231,226

404

25,527

4,363,979
727,264

32,098

2,226,966

100

750

375
15,378
47,538

701,407

837,094

5,705
317,054

200
95,010

1,420

82,808

555
119,499

322

500

93,535

24,350
230

383

600

2,548,514

260,124

1,762,611

1,355,143

33,825,594

2,379,931

2,909,404

800

1,500
139

200

325
278
2,167
133,745

20,428

558,064

3,600
1,251

337,580
204,734

3,080

4
42,895

14,126

935,798

6,350
5,984
1,632
37,426

2,602,507

264,904

1,805,710

1,374,120

35,653,647

2,431,323

3,045,919

578,772

229,552

16,045

153,019

120,255
37,386

2,685,065

214,065

287,583
100,462

67,972
24,413

750
400
52,043

70,705
75

61

5,500

200

65,404
29,723

70,630
95,820
51,577
11,450

5,300
4,550
5,394

20,801

2,832,059

1,285,815
1,267,819

349,941

280

1,350

1,028,441
320,377

3,274

36,036
50,155
30,186
2,528

708,064
1,067,661
559,558
29,405

69,266
93,984
42,452
1,313

138,508
44,513
4,100

280,949

1,958,729

1,494,375

38,338,712

2,645,388

3,333,502

646,744.

107,112
108,241

749,717
727,468

679,135
663,680

11,694,492
10,612,721

1,011,769
920,989

1,556,755
1,500,070

380,518
359,929

12.5
13.8
14.6
55.4
5.7

12.9
63.1
7.8

601

35,681
63,540

76,316
7,050

25,250

75,272

24,413
35,029
8,331
199

MEMORANDA
NET DEMAND DEPOSITS SUBJECT TO RESERVE .
DEMAND DEPOSITS ADJUSTED

PERCENTAGE OF TOTAL ASSETS:
Cash and balances with other banks
U.S. Gov't.obl igations, direct and guaranteed . . . .
Other securities
Loans and discounts (incl. Federal funds sold) .
Total capital accounts
AVERAGE OF TOTAL DEPOSITS FOR PAST 15 DAYS . . . .
AVERAGE OF TOTAL LOANS (NET) FOR PAST 15 DAYS .
NUMBER O F BANKS .

17.3

18.6
13.9

48.4
8.1
2,491,807
1,383,424
110

256,485
152,771

11.8
8.6

1,734,409
1,202,619

19.2
13.7
14.8
50.3

8.0

1,334,547
753,486
84

13.9
9.4
12.3
60.5
7.0

33,508,843
22, 934, 154

17.6

12.2
9.4

57.7

8.1

16.7
8.7
13.8
58.1

23.5

9.8

13.0
51.3
10.5

8.6

2,382,017
1,515,315

2,866,498

134

37

532,318
310,122

1,910,100

19

1 BANKS, BY STATES, JUNE 3 0 , 1 9 6 6
(Amounts

ASSETS

DISTRICT OF
COLUMBIA

FLORIDA

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 expenditure:
All other loans (including overdrafts)

397,689

54,880

125,601

4,015,181

1,206,948

452,939

815,319

391,195
340,984

50,938
47,245

79,697
75,689

3,194,067

654,474

301,046

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 assets
TOTAL ASSETS

630,042
168,069
17,208

42,977

7,234

788,884

40,350
2,751,203

45,800
2,213,560
32,973
2,246,533
408,133
22,809

45,590

2,796,793
567,005
21,502
83,730

17,372
6,453
212,137
148,962

19,205
16,851
179,957
171,249
120
200,673
11,902
12,627

171,587
266,530
29,997
136,074

388
305,223

44,671
970,831

21,279
866,958
678,806

114,706
48,182
106,512

185,232
73,648
25,095
98,226
296,605

23,656

38,914
57,099

893,181
327,822

7,877
198,512
20,138
9,484

18

3,675

257,757

110,500
2,912,170

4,000
1,196,409
22,082
1,218,491

2,825

260,582
109,419
2,194
15,545
3,787
50,634

37,259
8,881
18

4,432
4,844

61,940
57,501
23,162

2,436

363,575

28,449
983
12,791

141,898
2,054
42,301

73,415
41,509

2,283,423

5,967,080

3,832,914

478,097

1,082,624

414,506

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

20

33,800
188,958
64,663
768
252

12,335

168,100

910

4,840
994
65
6,436

127,870
14,715
4,865
20,650

4

"•IS
7,682

9,234

525,117
153,104
4,387

3,642
170

16,020

2,068,271
108,785

65,976
7,093,967

120
12,606
5,806

99,670

598,036
150,824
1,461,455
428,969
425,298

343,809

5,530

6,043,266
2,120,516
751,146
189,760
117,494
256,172
805,944
326,174

721,991
17,916

109,608

138,670
78,353
15,857
14,103
13,837
16,520

52,124

2,964,294
947,681
70,181

90,775
24,629
468,708

293,388
3,113

156,646
27,179
19,423

109,421

753,442
866,783
353,244
65,470
84,878
114,745
248,446

329,118
33,551
25,167
20,644
159.797

89,959
1,166
48,118
5,951
11,999

236,676
288,607

276,845
122,015
28,283

22,343

26,875

80,606

77,329
20,011

20,,393,985

4, ,884,092

1,954,394

215,590
112,708

71,474
1,213

4,340

279,382

35,369

30,281
345
8,323

451,361

855,888

24 ,635,861

6 :,019,715

2,474,262

56,898

127,128

4,134,098

1 ,233,524

459,143

628,001
50,802
422,717
451,725
3,466

184,832
21,989
123,580

40,765
7,239
52,757
89,942
489
7,709

11,679
8,973
20,183
10,535

21

42,931
23,099

366,095

13,368,582

201,507

83,842
13,660
31,707
19,508

12,136
5,246
24,829
32,527

7

' ^
7,044
170,197
49,150
1,525

6,359

1,861,422

3,048,244

97,439
4,501
36,051

250.796
43,891

182,250
13,002,487

4,680,500

144,587
14,724
137,574
121,397
1,292
40,049
276,099
329,532
8,107
9,263

504,723
115,038
34,713

7,209,248

1,834,904

80,718
9,771
56,625
41,632

5,720

810
515,883

MEMORANDA
OBLIGATIONS OF U.S. GOVT. —TOTAL 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

36,851
138,085
132,094

205,298

35,346

3,016

2,529,145
554,944
109,978

111,753

105,818

59,021

295,959

2,463
1,545

225,110
1,481,489

753,985

3,078
15,343
13,482
13,547

35,922

299,852
257,572

1,073,628

1,888,947

273,343
77,355
20,651
19,565
40,955
114,817

604,476

173,889

27,900
1,211,397
387,723
461

480,919

667
352,003

1,692

595,607

16,524

1,027,567

20,218
12,991
1,289,912

473,689

1,227,921

3,634,196

10,974
50,755
17,173

32,739

OBLIGATIONS OF U.S. GOVT.—TOTAL BOOK VALUE .

FEDERAL FUNDS SOLD (LOANED)
OTHER LOANS AND DISCOUNTS, NET—TOTAL . . .
Valuation reserves
OTHER LOANS AND DISCOUNTS, GROSS—TOTAL .
Real estate loans— 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. ..

111,641

133
19,528

109,117
295,681
410,610
3,510

TOTAL SECURITIES

IOWA

279,717

34,108
185,073
58,470
1,157
2,365
125,123

101,696
12,328
7,894

INDIANA

65,986
9,390
32,266
4,669

406,296

121,918

ILLINOIS

IDAHO

HAWAII

GEORGIA

of dollars)

666,730
46,732
216,303
132,838
614
745
269,498

1,100,327

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

OTHER SECURITIES—TOTAL BOOK VALIE
Obligations of States and subdivisions
Obligations of Fed. agencies not guaranteed by U.S. ..
Other bonds, notes, debentures, and corporate.stocks.

in thousands

22

22

260
45,594
5,104
486
946

2,464
2,250

214

62,756

1, 4 1 2 , 3 8 2

997,956
100,548
3,745

554,373
285,315
100,985
13,039
155,034

195,206

1,801
35,825
470,484
192,668

169,217

6,903
236

87,558
1,157
2,310

115,108

43,901

74,712
17,759
4,741
17,896

9,900

21,696
11,284

1,021

ALL MBCBER BASKS, BY STATES, JUNE ] 0 , 1 9 6 6
fAmounts
LIABILITIES

AND

CAPITAL

DISTRICT OF
COLUMBIA

ACCOUNTS

DEMAND DEPOSITS—TOTAL
Savings arid 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,

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

*..

CAPITAL ACCOUNTS—TOTAL
Capital stock, notes, and debentures- total
Preferred stock
Common stock
Undivided profits
Other capital accounts

TOTAL LIABILITIES AND CAPITAL ACCOUNTS

GEORGIA

1,306,637

3,092,040

31,936
1,099,198

2,206,236

57,527
338

937
115,536
275,298

29,263

61,320
4,742

78,437

362,531

5,210

HAWAII

2,150,432
24,468
1,464,412

of dollars)
IDAHO

217,191
3,142
128,953

ILLINOIS

INDIANA

IOWA

431,822

11,542,983

3,048,495

1,324,550

4,922
318,224

8,031,804

169,668

38,575
2,078,901

931,309

122,113
242,232

21,451
44,514

18,092
81,342

275,791
1,732

13,020
1,862

3,398

18,460
888,481
833,325
1,324
1,310,093

58,772

14,052

172,464
533,375
718
161,022
1,732

59,964
106,448
186,210
74

22,313

47,855

19,684

4,249

5,844

231,056

61,706

26,493

744,852

2,229,951
1,379,315

1,205,331
419,703

179,694

904,928

206,429

1,178,976
1,112
8,024
946,144

467,171
42
793
383,970

10,261
602

1,746
304,973

94
18,552
640,710
4,263
2,088
116,143

10,093,277
6,379,953

2,299,912

54
10,870
531,421

343,466
270,202

160,259

1,781

649
51,855

50
3,566

448

499,511
10,334

8,291

8,424

1,572

105,158
2,950
35,684
500
5,049

29,553

-

2,051,489

5,321,991

3,355,763

10,000
1,540

37,523

22,550

47,150
2,800

43,092

2,056
108,026

3,016
100,174

568
8,040

2,107,104

5,492,146

3,508,903

405,493

176,319
54,373

474,934

324,011

204,425
22,450

115,590
39,488

76,702
136,398

8,600
13,838

692

181,975
195,651
61,555
13,303

29,381

9,930
2,000

2,283,423

5,967,080

3,832,914

1,123,044
1,062,667

2,401,713
2,334,256

1,748,096
1,483,030

12,500

87,241

34,013

695
71,165

42,642

47,588
32,391

2,678,210
261,528

1,340
64

3,875

646,451
3,000

28,087

3,778

1,000

983

TOTAL LIABILITIES

FLORIDA

in thousands

800

-

12,194

396,885

775,288

21,636,260

5,348,407

2,229,478

3,000

282,750
268,032
114,082

12,859

476,852

68,595
13,486
1,885
143,593

14,400
4,500
345
18,926

791,247

22,777,976

5,575,966

2,267,649

45,868

64,641

1,857,885

20,100
11,500

443,749

206,613

23,962
2,560
450

125,784
15,047

47,150

760

639,100
11,950
100
627,050
873,340
272,282
73,163

110,737
208,084
100,771
9,110

451,361

855,888

24,635,861

6,019,715

2,474,262

192,994
163,192

381,910
377,593

9,648,771
8,054,497

2,438,920
2,363,006

1,018,567
904,487

14.6
12.2
11.3
57.1
10.2

13.0
14.7
9.3
60.4
7.6

100

20,952
30,740

9,179

100
47,050
90,819

64,535
4,109

MEMORANDA
NET DEMAND DEPOSITS SUBJECT TO RESERVE
DEMAND DEPOSITS ADJUSTED

PERCENTAGE OF 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)

AVERAGE OF TOTAL DEPOSITS FOR PAST 15 DAYS
AVERAGE OF TOTAL LOANS (NET) FOR PAST 15 DAYS
NURffiER OF BANKS

17.8
20.7
5.3
54.3
7.7

18.4
18.0
13.7
46.8
8.0

17.4
10.4
10.2
58.9

8.5

14.8
16.3
13.0
53.5
7.5

17.1
20.0
10.9
50.2
7.4

19.4
18.3
12.2
48.5
8.4

2,034,672
1,218,324

5,215,689
2,754,919

3,338,893
2,199,540

390,228
256,550

763,899
517,743

21,373,324
12,782,889

5,203,032
2,918,231

2,189,436
1,217,561

12

206

71

2

16

525

210

161

21

ALL MEMBER BANKS, BY STATES, JUNE 3 0 ,
(Amounts

in thousands

MAINE

MARYLAND

192
27,147

784,930
44,156
242,186
138,711
175
3,535
356,167

597,426

92,155

339,030

711,628

2 ,154,594

658,099

395,685
353,673
32,730
9,282

119,341
110,212
6,462
2,667

290,127
237,655
42,923
9,549

834,923
763,942
41,227
29,754

1,898,405
L,690,092
166,642
41,671

626,833
484,359
128,409
14,065

993,111

211,496

629,157

1,546,551

4,, 0 5 2 , 9 9 9

1 ,284,932

12,550
1,, 6 1 8 , 4 2 2
27,790
1 ,, 6 4 6 , 2 1 2
278,584
12,260

1,050
423,114
8,027
431,141
144,317

34,900
1,404,129
26,369
1,430,498
412,064

26,050
4,490,821
102,065
4,592,886
658,672

50,200
7 ,844,428
127,999
7 ,972,427
3 :, 1 4 9 , 2 1 1
66,138

1,420
2 ,617,668
33,720
2,, 6 5 1 , 3 8 8
647,818

6,444
7,564

35,253
23,727

307,377

92,947
53,572
336,026

65,988

OBLIGATIONS O F U.S. G O V T . — T O T A L BOOK VALUE .

417,189

381,253

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.

321,808
259,680
55,862
6,266

250,972
216,037
26,273
8,662

738,997

632,225

38,050
1,064,853
15,262
1,080,115
153,383
30,337

18,600
1,125,109
19,386
1,144,495
290,420
37,757

10,728
2,667
60,375
43,732
6,140
48,431
13,051
8,560

2,724
2,065
739,547
108,333
5,173
96,458
2,646
9,165

3,373
2,939
114,123
140,949
2,396
133,350
33,277
19,089

268,475
324,872
249,763
704,272
23,442
79,453
38,100
59,551
7,440

57,631
320,417
333,172
96,101
24,344
23,929
43,155
140,643
29,413

24,660
711,407
407,719
125,119
79,997
15,356
79,405
167,842
35,730

6,709
122,026
130,670
50,394
10,445

10,809

131,932
30,831

1,841,900

1,775,934

2 j, 6 2 4 , 0 8 3

635,660

2 ,068,186

26,315

30,577

8,589

41,385
2,381
21,039

12,257

6,389

4,388

32,794
548
16,601

2,233,876

2,227,463

3,289,617

744,136

422,885

390,638

608,301

56,692
7,037
43,248
64,032
927
13,836
148,818
80,539
7,731
25

56,746
11,936
72,657
51,232
829
8,284
140,164
46,012
2,751
27

82,329
14,675
110,519
97,005
64
13,324
173,811
103,125
13,307
142

55,961
24,602
10,845
340
20,174

26,343

32,766
22,695
6,331
295
3,445

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

162

80

MINNESOTA

1 ,, 8 5 0 , 0 2 4
230,731
674,696
237,292
47,230
9,938
650,137

412,283
38,133
144,520
110,013
436
22
119,159

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)

MICHIGAN

1,386,871
111,569
464,703
132,617
6,222
8,438
663,322

359,110
28,289
131,319
133,410
104

TOTAL SECURITIES

MASSACHUSETTS

491,445
55,996
166,872
71,086
390
633
196,468

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 s e e s .

1966

of dollars)

600,729
54,008
204,562
137,505
2,533
244
201,877

91,831
20,246
18,864
25,382

3,943

13,905

5,994
72,957

33,665

207,101

3,933

47,518

757,290

12,053
2,222

1,495
102,187
22,614
17,664

261,295
334,414
30,382
368,264
22,681
18,111

19,181
434,684
389,778

8,876
2,305,285
1,061,140

2,335

203,108
i ; ,375,541
702,547
62,782
494,775
119,621
36,731

23,363

141,916
7,582
212,622
18,228
59,728

98,420
i,, 9 1 7 , 8 3 5
i] , 9 6 3 , 4 4 5
831,468
335,356

146,991
963,776
524,209
215,704
60,657

119,475

129,607

154,036
70,434

6,063,422

ii,,947,627

3,, 9 0 4 , 0 2 0

101,562
62,713
73,656

180,949
7,405
103,828

66,179
10,547
26,617

2 ,609,574

7,688,224

14,, 0 8 9 , 8 3 3

4,, 7 9 2 , 2 9 3

93,797

345,568

730,714

2,, 2 0 6 , 6 6 0

680,344

12,290
1,271
12,189
17,199
442
651
27,503
21,758
392
102

36,227
4,519
47,650
50,907
1,143
10,304
126,564
65,919
1,923
412

85,915
43,485
163,096
89,706
328
12,046
112,127
218,620
4,991
400

216,693
52,391
165,666
217,399
1,459
38,900
894,074
521,894
94,886
3,298

57,857
7,777
43,169
73,619
1,183
9,991
205,770
271,600
9,113
265

6,470
5,085
985

42,925
34,035
4,930
815
3,145

41,245
17,370
3,365
780
19,730

166,279
71,893
11,785
1,295
81,306

128,869
82,029
21,528
5,687
19,625

6,694
24,452
33,635

756,367
22,551
17,438

60,990

366,903
59,440

56,933
779,333
393,526

205,336
779,256
472,029

39,453
54,359

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 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

18,290
6,869
1,084

100

400

ALL MEMBER BANKS, BY STATES, JUNE ] 0 , 1 9 6 6
(Amounts
LIABILITIES

AND

CAPITAL

in thousands

of dollars)
MASSACHUSETTS

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 .

1,305,180
24,315
807,368

1,298,323
29,045
952,162

48,399
305,128

62,397
73,651

1,928,722
25,965
1,344,344
2,027
71,583
238,427

107,986

167,000
43

216,654
5,051

327 ,362
2 ,673
266 ,718
17
24
7
2

,102
,748
,326
,658
314

1,472 ,747
17 , 4 1 4
1,073 ,475
13
136 , 6 5 0
132 , 3 5 5
8 ,016
85 , 5 8 4
2 ,556

4 ,641,487
48,534
3,405,140
11,400
304,674
290,264
137,861
341,819
30,131

5 ,351 ,337
42 ,469
3 ,965 ,624
59
555 ,313
371 , 4 5 0

2,247,439

11,610

288 ,689
13 , 6 6 4

1,425,094
44
161,929
205,256
5,531
383,228
5,343

11,984

14,025

24,671

5 ,823

16 , 6 8 4

71,664

114 ,069

49,404

697,157
371,258
2,382
2,430
278,451

694,138
404,883
3,313
3,237
238,106

315 ,695
274 ,499

850 ,227
7 4 4 :, 5 5 3
207
3 ,472
5 4 :, 8 4 3

966
41,876

7 ,496 ,826
4 :, 9 9 7 : , 4 8 7
160
1 ,058
1, , 7 1 4 : , 6 0 9
8 :, 5 0 0
812
769,,137

1,757

7,090

1,940,739
923,676
1,258
18,265
781,018
65,745
2,527
108,085
9,530
28,669
1,966

1,992,509
620,826
206
1,826
1,254,547

1,058
41,553

1,019,612
699,951
5,916
13,745
145,722
4,000
287
142,901

1,,890
3 j, 1 7 3

3,186

2,002,337

1,992,461

2,948,334

643,,057

2,, 3 2 2 , 9 7 4

6,, 5 8 2 , 2 2 6

12,, 8 4 8 , , 1 6 3

4,239,948

1,900
5,538
162
18,783

3,500
670
80
26,814

5,450
4,767
2,388
47,342

5,, 2 0 0
7,,340
23,,257

19,, 2 0 0
450
548
54,,477

58,685
26,328
63,987
254,140

22,,550
7,,505
7,,405
269,,476

53,720
47,488
10,547
67,283

2,028,720

2,023,525

3,008,281

678,,854

2, 397,,649

6,985,366

13, 155, 099

4,418,986

205,156
60,140
2,050

203,938
46,058

65, 282
25, 945

211, 925
57, 041
2 , ,500

54,090
91,529
51,449
2,038

46,054
112,311
39,962
5,607

281,336
78,536
9,600
3,000
65,936
151,997
50,059
744

25, 945
23, 255
15, 303
779

54,
107,
39,
8,

541
062
218
604

702,858
204,317
10,360
200
193,757
364,203
121,420
12,918

934, 734
327, 289
73, ,035
4, 500
249, 754
418, 461
164, 785
2 4 , 199

373,307
138,973
15,915
150
J22,904
153,093
75,678
5,563

2,233,876

2,227,463

3,289,617

7 4 4 , 136

2, 609, 574

7, 688,224

14, 089, 833

4,792,293

1,105,782
1,082,807

1,069,151
949,767

1,589,340
1,438,608

274,833
280,455

1,205,193
1,054,045

3,845,573
3,331,672

4,463,908
3,857,198

1,752,561
1,346,115

13
32,, 6 7 0
1,, 0 5 5
7 ;, 4 5 8

2,, 2 9 7
4 4 ;, 6 9 5
10
150

1,000

1,214
109,704

MEMORANDA
NET DEMAND DEPOSITS SUBJECT TO RESERVE
DEMAND DEPOSITS ADJUSTED

PERCENTAGE OF TOTAL ASSETS:
Cash and balances with other banks
U.S. Gov't.obiigations, direct and guaranteed
Other securities
Loans and discounts (incl. Federal funds sold)
Total capital accounts
AVERAGE OF TOTAL DEPOSITS FOR PAST 15 DAYS
AVERAGE OF TOTAL LOANS (NET) FOR PAST 15 DAYS . .
NUMBER O F BANKS

16.1
18.7
14.4
49.4
9.2

18.5
17.1
11.3
51.3
9.2

18.3
18.2
12.0
49.6
8.6

.3
,4
,0
,0
,8

18.8
13.0
11.1
55.1
8.1

18.0
9.3
10.9
58.8
9.1

13.1
15.3
13.5
56.0
6.6

1,950,726
1,049,993

1,943,238

1,122,080

2,887,118
1,604,611

630,948
435,225

2,293,039
1,408,169

6,699,152
4,489,307

12,560,092
7,908,524

211

95

57

27

56

108

213

16.4
13.7
13.1
54.7
7.8
4,188,363
2,610,112

23

ALL MEMBER BANKS, BY STATES, JUNE 3 0 , I 9 6 6
(Amounts

in thousands

of dollars)
NEW HAMPSHIRE

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

177,182
21,826
34,926
69,606
980
49,844

1,138,564
56,591
412,076
164,966
6,762
1,351
496,818

145,603

337,786

12,975
49,597
42,369
150
155

40,357

19,781
137,979
71,309
15
85
108,617

OBLIGATIONS OF U.S. GOVT.—TOTAL BOOK VALUE .

185,463

818,074

190,448

250,001

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.

163,825

717,287

113,885

144,961
14,273
4,591

621,972

190,737
148,874
37,916

15,217

93,489
17,344
3,052

349,288

1,535,361

9,100
591,210

26,450
3,100,799

TOTAL SECURITIES
FEDERAL FUNDS SOLD (LOANED)
OTHER LOANS AND DISCOUNTS, NET—TOTAL . . .
Valuation reserves
OTHER LOANS AND DISCOUNTS, GROSS—TOTAL .
Real estate loans— 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. ..

13,052

604,262
111,266
16,478
1,784
267
44,405
48,332
340

25,861
8,727
10,323

80,098

44,585

29,642

385
437,349

19,147

111,644

57,834

1,402,396

141,537

93,634

49,760
46,657

1,740,139

100

29,251

211,935

1,544,810

152,232
43,097

73,280
69,823

1,618
1,485

440,738

205,278

107,594

3,142,535

214,817

115
570,990

4,800
943,041

11,600
372,081
3,998
376,079
119,699
J,669

8,775
310,550

65,720
5,718,282

15,620
405,013

11,469

151,521

119,671
34,990
264,050
240,924
14,575
274,630
44,957
25,065

49,412
10,805
51,491
30,851
130
7,243
1,021
2,707

4,962

17,079

960,120
116,477
15,793
8,581

2,346
36,644
53,073
6,841
26,907

6,071

26,233

J3,964

760
23,406

79,496

4,918

315,468
75,496

6,000
1,110

5,848,765
2,462,869

1,048

17,855

6,131
4,103
45,003
19,211

512,516

204,377

1,000

12,288

130,483

11,005
1,335
1,813

83,104

3,446
7,224

2,640

1,108,390
615,731
3,608
223,550
44,518

24,234

16,872
1,308,218

54,290
126,270
123,911
56,057
9,271

31,455

41,116
10,757
2,050

2,966

7,205

73,162
24,440

12,831
1,307

4,701
109,103
107,858
46,164
10,067
3,217
17,764
30,646
4,157

4,662,610

875,438

1,388,579

588,959

426,919

8,926,537

635,450

68,306
8,788
44,261

18,356
1,028
6,362

25,835

22,977

8,822

14,897

10,597

3,646

672

135,000
2,716
67,266

26,293
287

5J,939

52,961
318,212
80,731

132,749
126,079
153,804

64,957

28,406
10,578
21,217
24,652

74,679

J5,074

1,620,533
525,720
115,190
155,814
288,757
535,052
137,142

6,222

23,921
28,440
12,274

2,599

1,159,916

5,922,529

1,046,787

1,762,797

703,019

516,459

10,481,132

775,519

188,217

837,822

194,710

256,321

117,514

59,038

1,423,163

143,666

23,755
2,817
17,702
36,898

22,993
2,534
11,842
20,167
100
3,675
62,939
67,778
2,458
224

27,514
4,078

2,350
1,000
1,950
12,174
8
723
48,582
50,227

3,775
1,159
9,525
8,615

153,604

10

67,558
13,805
110,964
140,318
999
11,425
288,598
192,699
9,258
2,198

5,335

13,140
2,332
14,670
16,838
461
2,591
56,841
32,958
3,818
17

14,284

80,215

17,394

151,980

1,875

6,530

50,579

2,742
3,002

1,701
14,740

9,600
3,790
1,020
2,984

MEMORANDA

2k

10,609

415,622

11,412
124,603
98,660
44,560
19,883
6,312

949,598

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

1,872
1,585

315,834
248,611
188,706
64,016
15,099
17,750

TOTAL LOANS AND SECURITIES

OBLIGATIONS OF U.S. GOVT. —TOTAL 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

49,027

304,333

706,363
46,728

137,748
1,147,637
713,678
220,499
70,067

TOTAL ASSETS

437,566
258,487
3,891

3,947

582,459

32,878
217,295
171,688
59,695
28,748
5,646
33,780
43,819
25,884

6,556

1,349,613

14,761
21,768
13,813
43
19

67,962
24,372
1,300

3,145,384

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 (or personal expenditures
Single payment loans for personal expenditures
All other loans (including overdrafts)

Fixed assets (net of mortgages and other liens
on bank premises and other real estate)
Customers'liability on acceptances outstanding
Other assets

122,573
18,262
36,137

80,046

87,437
22,543
25,461
10,082

860

1,643
49,539
46,293
8,700

2,010

13,195

31,970

43,280
118
6,259
85,280
54,563

3,239
20

37,936
15,413
6,584
755
15,184

500

1,793
23,291
10,279
580
21

24,274

1,621

15,566

142,361
132,150
5,749
28,425
487,144
423,160
29,669

23,500
600

1,350
200

97,460
25,721

174

71

24,254

4,545

865
610
400

ALL MEMBER BANKS, BY STATES, JUNE 3 0 , 1 9 6 6

L I A B I L I T I E S AND C A P I T A L

ACCOUNTS

MISSISSIPPI

MISSOURI

MONTANA

NEBRASKA

493,475
3,662
360,521

1,025,185
11,177
703,753

320,192
9,526
231,745

284,820
3,381
215,778

4,661,612
70,726
3,588,897

419,406
8,082
302,627

21,091
135,038

3,321,308
38,317
2,224,626
216
218,850
140,030

15,008
72,912

52,220
89,592

19,587
47,493

659,588
5,017

31,737
143

158,482
148

3,634
12

275,386
499,908
25,802
79,657
1,550

24,084
60,499

67,882
39

19,665
28,907
11,119
2,196

NEW HAMPSHIRE

BEW MEXICO

DEMAND DEPOSITS—TOTAL
..,
Savings and loan associations
Other individuals, partnerships, and corporations
Foreign governments, central bonks, 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

663,192
9,211
423,918

6,013

34,664

9,492

9,813

8,195

3,774

119,686

8,706

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

361,796
153,695
2,548

1,886,006
850,616
1,360
8,065
903,198

452,172
178,228
6,587
90
237,872

556,752
187,915
223
480
357,435

313,028
213,148
2,012
67,127

156,452
97,627
206
70
44,653

278,603
197,089
17
4,132
37,265

158
30,583

57
13,839

4,682,391
3,905,598
14,404
6,152
610,860
1,000
2,949
141,386
12
5
25

633,220

441,272

9,344,003

698,009

1,750
1,140

1,000
3,448
13,644

188)706

1,000

15,408

775
1,917

2,006
117,442

773
28,512

467
10,176

11,189

1,779
540

110

56

1,024,988

5,207,314

945,647

1,581,937

Federal funds purchased (borrowed)
Other liabilities for borrowed money
Acceptances outstanding
Other liabilities

18,000
759
287
17,028

52,550
49,301
9,094
72,222

700
1,648
1,072
21,007

4,300
4,618
15,191

13,104

23,402

26,975
30,766
3,894
287,699

TOTAL LIABILITIES . . . ,

1,061,062

5,390,481

970,074

1,606,046

646,324

467,564

9,693,337

716,101

98,854
32,294

532,048
175,658

76,713
29,835

156,751
45,955

56,695
25,520

48,895
9,973

787,795
251,528

59,418
21,020

TOTAL DEPOSITS .

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

6,140
26,154

27,000
148,658

1,000
28,835

61,117
5,035
408

216,353
130,280
9,757

1,159,916

5,922,529

1,046,787

543,742
524,375

2,659,673
1,946,052

29,755
16,586
537

3,000
108
42,847

62,740
43,953
4,103

-

2,500
23,020

40,876
9,973

982
39,118

300

88

210,564

20,720

20,305
8,016
2,854

26,572
10,556
1,794

1,762,797

703,019

516,459

10,481,132

775,519

410,749
406,373

845,259
705,866

267,720

241,365
233,317

3,965,776
3,869,220

351,232
360,767

ill!
10.9
54.6
7.3

19.2
14.2
10.8
53.8
8.9

12.4
15.9
13.3
54.6
8.1

387,980
131,411
16,876

20,471
8,808
9,119

MEMORANDA
NET DEMAND DEPOSITS SUBJECT TO RESERVE
DEMAND DEPOSITS ADJUSTED

PERCENTAGE OF 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 OF TOTAL DEPOSITS FOR PAST 15 DAYS . . . .
AVERAGE OF TOTAL LOANS (NET) FOR PAST 15 DAYS .
NUMBER OF BANKS

15.3
16.0
14.1
51.8
8.5

19.2
13.8
12.1
52.8
9.0

1,004,592
588,319

5,115,756
3,060,585

933,449
576,609

41

179

91

' • S M I S

139

622,001
373,610

15.5
11.2
6 1 RL

9.5

12.9
13.4
16.6
55.2
7.5

15.8
18.3
9.4
54.2
7.7

431,837
310,423

9,094,937
5,754,802

695,418
408,638

52

193

42

25

ALL MEMBER BANKS, BY STATES, JUNE 3 0 ,

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
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

NEW YORK

NORTH CAROLINA

8,654,726
7,569,130
778,949
306 , 6 4 7

393,943
332,813
52,523
8,607

83,224
63,944
18,185
1,095

15,065,375

655,754

194,194

1,202,410
743,863
2,739,752

34,646
25,946

1,030,874
4,192,446
3,416,353
708,738

9,873
68,958
12,640
7,775

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 expenditw
All other loans (including overdrafts)

143,428
22,294,637
5,406,531

37,620
840,896
609,835

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

7,982,593

7,230,052
267,067
384,867
7,327,678
2,208,867
1,547,956

75,708

121,119

69,734

277,748
50,687
25,767
79,849
182,384
37,867

607,126

367,378

2,605,602

97,310
231,952
218,076
10,488
3,388
329,262

1,075
299,043
7,645

306,688
95,014

77,228
74,830
7,782
40,832
20,342

20

418,379
329,236
31,547
57,596

310,825
277,875
27,332
5,618

4,622,852

1,025,505

678,203

5,308,645

100

120,750
11,134,185

111,875
8,586,185
151,288
8,737,473
2,557,306

773,336

197,094
110,040
1,345,404

30,510
1,696,631
26.133
1,722,764
293,303

48,850

1,661,506
19,318
1,680,824
415,950
79,763

74,793

133,570

4,166

797,432

3,027
105,737

2,572

22,523
503,621
166,321
261,027

31,397

64,249
73,023
65,346

108,790
2,423,160
2,405,306

160,225
651,307
402.574
178,217

30,282
8,097
3,806
9,728
74,039

29,112

180,929

1,935,233
169,141
56,448

704.573
720,927

3,211

399,726

2,703,043
2,401,081
194,816
107,146

2,160,822

7,055,403
787,473
208,841

360,577
593,072

118,469
22,633
50.279
9,476

120,752

2,462,030

261,811

RHODE ISLAND

1 9
' ^
560
168,843

110,970

6,410,649

PENNSYLVANIA

3,042,198
319,277
1,287,664
404,796
11,930
9,769
1,008,762

193
9,529

65,420
5,957
27,979
21,762

1,400
1,856,832
35,785
1,892,617
267,153

OREGON

OKLAHOMA

640,014
43,883
203,443
270,462
1,454

587,114
68,883
196,349
81,155
1,209
550
238,968

271,735
43,890,834
1,005,836
44,896,670
6,155,707
47,689

OHIO

2,212,059
268,045
896,147
436,099
2,829
4,481
604,458

14,654,319
565,755
3,992,255
552,805
23,212
113,658
9,406,634

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 .

TOTAL LOANS AND SECURITIES

NORTH DAKOTA

1966

8,060

35,352
76,824
87,322
90,859

77,930

209,106

11,343,291
2,713,798

705,426
797,906
746,866

679
35,402

1,900
806,242
9,758
816,000
336,575
735

70,606
11,484

743,390

104,167
141,120
1,614
119,153
4,451
11,763

1,415,430

74,688
757,596
117,536
115,951

110,360
3,401
45,359
9,863
113

96,793
672,990
341,177

112,478
4,297,203
2,705,000

251
260,598
130,560

787,453
22,364
23,869
55,272
52,279

848,770

923,777
254,063
796,846
608,174

722,746

50,605
6,562
10,091

22,667
40,641

3,268

289,419

67.134

16,933

449,041

29.280

13,320,912

2,752,646

2,339,809

16,563,580

1,137,404

61,616
21,768
22,375

246,952
108,579
144,778

15,591
2,803
6,679

59,227,944

2,513,986

494,312

811,923
1,195,576
1,337,213

50,365

6,112

12,628
910

36,611

3,703

180,987
9,092
80,662

55,411
529
14,967

77,226,975

3,194,188

576,973

15,803,712

3,463,567

2,845,294

20,106,087

1,280,946

6,627,684

266,111

112,594

2,502,696

612,527

381,628

2,650,651

100,565

289,747
60,577

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 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
26

1,319,666
229,423
613,275
719,046
3,059
36,723
1,639,213
1,907,366
143,572
16,341

781,205
287,794
47,402

8,621

437,388

13,751

12,610
21,676
27,547
870
1,371
134,601
52,979
691
15

52,588
30,989
8,899
3,150
9,550

1,850
1,491
7,499
11,553
614
2,565
36,129
49,292
1,567
34

375,602
71,615
328,463
445,639
3,281
28,127
722,233
474,457
35,602
17,677

117,195
11,673
72,013
77,555
484
19,533
198,976
107,688
7,302

6,371
6,850
16,923
17,225
76
17,347
155,400
158,804
2,507
125

18,186

169,170
120,932
12,607
13,063
22,568

31,546
12,174
3,774
2,730

27,338
24,290
1,863
635
550

9,945
3,364
665
4,212

108

12,868

280,662

500
10,285
6,250

403,418
5,692
42,751
701,938
815,483
49,030
1,353

550
43,763
35,007

194,832
82,566
35,806

10,497
5,075
740

69,559

4,502

6,901

4,210

180

ALL MEMBER BANKS, BY STATES, JUNE 3 0 , 1966
(Amounts
LIABILITIES

AND

CAPITAL

NORTH CAROLINA

ACCOUNTS

in thousands

of dollars)

NORTH DAKOTA

PENNSYLVANIA

RHODE ISLAND

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

38,317,966
147,213
23,061,993
633,336
2,666,441
1,940,983
528,901
4,457,869
1,019,846
3,861,384

20,910

4,289

118,124

26,269

63 , 4 0 7

117 , 9 3 2

9 ,701

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

26,671,016
10,737,713
1,074
99,703
10,426,944
3,079,505
70,461
1,637,803
144,781
315,244
157,788

1,066,686

276,324
59,700

1,104,188
651,942
7,493
4,856
359,756

1,393 ,192
1 ,007 ,440

3,910
163,731

465
14,894

2,695
513,992

1,817
71,724

1,970

50

1,832
1,023

6,600

75

8 ,826 ,185
5 ,075 ,828
3 ,157
28 , 2 7 2
2,, 9 0 6 , 2 0 0
1 0 7 :, 6 3 5
1 ,556
638.550
3 ,137
5 1 :, 0 7 2
1 0 ;, 7 7 8

643 ,781
492 ,216

584
200,631

7,278,344
5,096,074
527.313
17,034
1,106,381

TOTAL DEPOSITS

64,988,982

2,764,358

523,042

14,096,521

3,048,819

2,, 5 5 6 , , 6 1 0

17,, 5 5 4 , , 1 3 5

1,137,,334

637,870
773,991
1,221,752
3,310,020

20,300
1,320
129,904

2,716
921

8,218

55,125
2,676
9,092
325,027

38,400
8,143
604
39,276

10,, 6 0 0
1,, 4 0 0
21,,768
51,,846

188,,045
32,,377
109,,728
421,,835

900
500
2,,803
38,,043

70,932,615

2,921,994

534,897

14,488,441

3,135,242

2, 642, 224

18, 306, 120

1 , 1 7 9 ,,580

6,294,360
2,480,681
777,942

272,194
103,108

42,076
14,725
7,000

1,315,271
383,868
26,750

328,325
108,781

203, 070
71, 371

101, 366
22, 760

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

1,697,672
25,451
1,236,677

246,718
2,753
196,707

6,818,177
157,628
5,056,816

1,944,631
21,174
1,306,914

1,163 ,418
10 , 5 3 6
917 , 2 3 4

112,620

7,597
23,987

542,801
567.312
593
362,446
12,369

86,911
267,661

54 , 0 9 7
85 , 5 0 5
1,321
27 , 0 8 7
4 ,231

121,665
38
177,602
2,709

550,322
1,617
17,671
327,455

10

6,112

11,358
27

88

12,000

235,279
423

4 ,315
2 1 3 :, 6 5 8
500
9 ., 4 8 8
157,, 6 6 6
50

8 ,727 ,950
101 , 4 6 6
6 ,626 ,004
11 , 1 5 6
674 ,272
427 ,692
45,787
671 , 0 4 4
52 , 5 9 7

493 ,553
1,699
375 ,024
36 , 8 3 5
59 , 8 7 5
6 ,085
2 ,583
1 ,751

108 , 0 2 0
445
43,,000

100

7,742,639
2,589,269
1,013,874
210,536

137,303
28,809
2,974

73,725
17,029
9,880
442

357,074
693,937
223,133
14,333

350
90,237
127,520
88,095
3,929

7 7 , 371
7 6 , 512
4 8 , 913
6, 274

1, 7 9 9 , 967
4 1 5 , ,449
31, , 5 7 5
95&
322, 976
9 9 4 , 546
315, 876
74, 096

77,226,975

3,194,188

576,973

15,803,712

3,463,567

2, 845, 294

20, 106, 087

1 , 2 8 0 , 946

28,358,527
21,787,022

1,377,549
1,168,482

215,427
218,234

5,777,620
5,308,472

1,553,417
1,501,689

974,660
913,391

7,314,392
6,373,872

448,675
418,733

20,100

40,000

63,108

100

18,200

22,
52,
21,
4,

760
335
817
454

MEMORANDA
NET DEMAND DEPOSITS SUBJECT TO RESERVE
DEMAND DEPOSITS ADJUSTED

PERCENTAGE OF 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 OF TOTAL DEPOSITS FOR PAST 15 DAYS . . . .
AVERAGE OF TOTAL LOANS (NET) FOR PAST 15 DAYS .
NUMBER OF BANKS

19.0
8.3

18.4

11.3

57.2

12.3
58.2
8.5

14.4
52.0
7.3

11.2
8.2

8.2

19.2

14.0
15.6
13.7
55.0
8.3

18.5
17.5

12.1
49.9
9.5

14.0
12.9
10.9
58.4
7.1

61,759,102
42,993,445

2,732,364
1,852,595

505,697
292,323

13,981,579
8,604,811

3,029,112
1,713,821

2,530,639
1,645,755

279

32

45

352

244

15

15.1
13.0
13.4
56.0
9.0
17,202,311
11,130,824

9.2
7.6

18.1
63.1
7.9
1,131,018
797,464

27

ALL MEMBER BASKS, BY STATES, JUNE 3 0 , 1966
(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
OBLIGATIONS OF 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 loans— total
Secured by farm land
Secured by residential properties :
Insured by FHA
Guaranteed by V A
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 assets
TOTAL ASSETS

210,599
34,346
57,008
59,541
100
20
59,584

in thousands

of dollars)

SOUTH DAKOTA

94,551
8,463
39,314
32,012
1,400
13,362

802,499
75,575
256,220

248,556
550
399

221,199

3,079,079
174,577
988,366
987,142
18,048
5,095
905,851

205,650
14,269

93,506

29,215
4,946
10,848

652,536

661,234

101,943
218,615
126,735
2,926
382

58,309
267,866

73,266
868

20,421
1,774
17

8,009

75,663

5,346

201,935

2,711
258,214

66

150,032

164,374

594,641

2,108,148

128,678

47,351

625,628

474,115

109,865

85,546
66,604

474,864

2,013,737

160,667

9,646

1,651,960
295,635
66,142

150,403
6,341
3,923

560,133
488,909

464,231

420,343
44,875

35,283
29,654

87,982
18,594
3,289

17,085
1,857

3,727
1,902

58,254
12,970

397,949
56,189
10,093

259,897

249,920

1,069,505

4,121,885

289,345

82,634

1,185,761

938,346

27,300
556,181

1,500
428,821

107,550
7,982,231

12,400
712,189

3,000
186,085

17,550
2,794,103

40,900
2,278,116

11,039

13,242

8,175
2,253,991
45,287
2,299,278

146,930

10,218

2,315

38,778

44,484

567,220

442,063

8,129,161

722,407

188,400

2,832,881

2,322,600

83,041
6,604

112,454
7,615

328,907

877,150
84,487

263,392
6,695

85,035

789,867
69,117

550,126
23,563

24,246
5,424
45,290

9,735
3,853
134,522
150,837
13,732
157,221
34,576

63,068
31,288
289,956
408,351
13,330
523,041
43,068
406,448

66,157
19,904
79,342
91,294
700
49,493
816
10,636

5,225
2,880
50,575
17,718
100
110
100
1,802

47,939
15,966
433,311
223,534
18,323
114,485
27,498

22,948

138,925
13,804
216,533
157,301
15,020
201,434
13,607
6,482

142,889
91,707

47,567
810,379

23,376

253,034
67,019
38,061
72,141
383,315
53,336

37,181
216,486
134,590
60,317
23,671
13,461
15,057
22,084
9,113

8,806

12,483
3,904
9,810
18,823
5,145

445,321
3,578,037
1,976,107
872,358
169,847
89,720
271,698
572,484
266,659

36,429
53,953
24,228
4,526
976
7,365
16,858
2,065

70,383
717,566
1,010,462
365,833
71,927
48,027
188,268
336,407
61,349

153,145
831,722
513,935
220,400
55,475
49,635
74,885
113,540
37,129

843,378

680,241

3,331,671

12,211,666

1,013,934

271,719

3,997,414

3,257,362

21,847
2
4,148

14,824
255

61,965
3,877
20,122

359,898
87,539

20,534
599
6,932

4,765

4,628

641

77,611
2,110
20,394

69,959
25,276
29,369

1,079,974

794,499

4,220,134

15,770,680

1,247,649

306,340

4,750,065

4,043,200

153,790

166,459

602,210

2,138,902

130,980

47,679

646,144

493,497

5,993

69,213
9,544
99,121
66,944
268
14,760
210,444
121,872
2,597

12,810
5,819
16,605
28,833
104
478
29,230
35,378
404
1,319

48

73,178
15,360
66,001
81,261
1,751

19,934
5,698
50,873
63,718
910

7,447

221,184
21,484
210,136
254,551
4,561
56,937
751,496
557,094
56,904
4,555

5,287

985
15,386
11,564
1,726
2,291
70,035
45,510
300

13,509
2,961
25,549
22,994
662
4,622
43,025
51,607
1,420
110

860
13,027
12,079
3,374
19

241,341
134,703
4,041
60

182,647
136,438
5,109
182

18,645

17,073

294,291

3,725

58,314

56,061

12,036
2,615
400
2,022

44,915

6,342

15,090
3,375
80
100

20,006
6,020
4,236
14,653

181,510
45,286
6,201
61,294

2,067
1,080
95
3,100

2,205
595
165
760

45,071
10,602
1,033
1,608

27,740
4,927
50
23,344

5,670
4,544
29,131
37,092
348
31,205
2,769

6,602

17,598
191,778
210,503
87,859
18,642

4,204

31,727
64,071

29,479
1,025

9,312
42
496

78,993
33,973

29,960

39,990

813,570

32,498

8,637

MEMORANDA
OBLIGATIONS OF U.S. GOVT. —TOTAL 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
OBUGATIONS 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

28

476
5,180
7,329

28,448

27,988

ALL MEMBER BASKS, BY STATES, JUNE 3 0 , 1 9 6 6
(Amounts
LIABILITIES

AND C A P I T A L

ACCOUNTS

SOUTH CAROLINA

SOUTH DAKOTA

in thousands

of dollars)

TEXAS

WASHINGTON

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

760,792

8,800

4,308

21,426

124,783

11,028

1,841

27,691

36,755

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

187,642

359,038

1,573,027

5,510,143

1,179,455

2,453,399
221,485
75,846
1,815,720
2,300
6,500
905,561

628,213
388,506

174,213

2,139,046

1,641,844

TOTAL DEPOSITS .

948,434

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 .

20,214
597,974

363,685
1,418
271,588

2,196,243

8,429,502

19,329
1,403,886

101,232
5,924,905

3,409

483,505
8,098
344,943

36,612
76,695

9,804
62,653

106,247
245,251

346,700
647,526

26,329

20,497

13,914

397,400
2,704

1,258,501
22,446

30,078

132,065
1,781
35,142
2,321
16,133

106,989
50

260
222,122
658
28,953

200

3,790
249,115
1,000
1,266
137,639

62,941

1,010
124,242
1,741
112,575

100,369
228
82,176
5,487
5,620
4,842
175

160,512
1

2,086,434
22,649
1,598,171
121,718
181,336

2,004,863
31,052
1,455,938
494

123,081
266,816
12,309

134,550
319

68,422
9,996

1,540,337
2,270
12,984

1,335,303

10,145

451,343

268
3,287

1,000
3,718
126,076

6,700

1,789

287,712
2,439
3,834
315
256
3,494

762

27,792
1,540

139

722,723

3,769,270

13,939,645

1,111,718

5,050
23,916
3,877
82,599

232,070

43,185

1,135
255
11,035

168,416

13,075
9,492
599
16,934

6,850

109,803

26,126
66,863

992,721

735,148

3,884,712

14,434,008

1,151,818

281,432

4,355,124

3,745,666

59,351

335,422

1,336,672

95,831
34,955

24,908

394,941

297,534
85,631

1,100
2

87,253
21,482

20,145

105,651
19,300

56,879
36,998

498,075
44,890

1,318

274,582

8,800

60,892
7,767

453,185
567,853
232,189
38,555

31,755
46,272

1,232

794,499

4,220,134

15,770,680

1,247,649

318,311
326,605

1,726,488
1,471,397

6,536,509
5,918,450

25
21,457
48,627
15,575
1,569

79, W
24,995
13,515

696

1,079,974

641,667
644,099

200

86,151

161,112

3,200

13,372

3,646,707
3,600

8,931

8,155
250
672
7,2JJ
9,851
5,963
939

350

4,225,480

2,370

2,110

118,490
2.150
116,340

201,176
73,124

240
45,397
132,323
77,379

2.151

2,201

306,340

4,750,065

4,043,200

387,421
351,435

87,014
89,361

1,757,764
1,628,231

1,673,383
1,555,146

16.5
10.3
12.9
58.1

9.5
15.5
11.5
61.7
8.1

MEMORANDA
NET DEMAND DEPOSITS SUBJECT TO RESERVE
DEMAND DEPOSITS ADJUSTED

PERCENTAGE OF 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 OF TOTAL DEPOSITS FOR PAST 15 DAYS
AVERAGE OF TOTAL LOANS (NET) FOR PAST 15 DAYS . .
NUMBER O F BANKS

19.5
13.9

10.2
54.0
8.1

11.9
20.7
10.8
54.2
7.5

19.0
14.1
11.3
53.6

7.9

19.5
13.4

12.8
51.3
8.5

7.7

929,348
559,497

717,796
431,747

3,711,720
2,216,385

13,663,630
8,031,496

1,106,890
714,447

31

59

86

618

25

269,701
189,115

13.7
13.2

16.4
11.7
11.5
57.4
7.4

11.8
59.2

8.3

4,154,371
2,781,898

3,597,391
2,264,275

173

29

ALL MEMBER BAMS, BY STATES, JUNE 3 0 , 1 9 6 6
(Amounts

in thousands

VIRGIN ISLANDS

WEST VIRGINIA

2,210

239,610
34,520

31,490

259,733

7,042

OBLIGATIONS OF U.S. GOVT.—TOTAL BOOK VALUE .

395,675

683,026

100,330

9,698

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 .

190,570
160,949

547,585
460,121

69,588

46,013
36,075

1,640

24,378
5,243

17,876

7,734
2,204

45

586,245

1 ,230,611

146,343

11,383

9,550
692,462

16,500
2,,330,477

270,477

22,716

FEDERAL FUNDS SOLD (LOANED)
OTHER LOANS AND DISCOUNTS, NET—TOTAL . . .
Valuation reserves
OTHER LOANS AND DISCOUNTS, GROSS—TOTAL .
Real estate loans— 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 assets (net of mortgages and other liens
on bank premises and other real estate)
Customers' liability on acceptances outstanding . .
Other assets
TOTAL ASSETS

636,967
62,902

77,641
7,813
26,729
36,057

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

85,087
88,098
415

174,607
137,412

439

1,874

15,714

708,176

53,137

2

,383,614

239,156
14,432

817,549
40,143

22,740

64,052
39,476
452,954

4,452
130,477
67,015
490
19,942
6,318
8,352
10,469
145,337
270,113
126,351
21,433

216,520

6,693

133,923

24,321

4,390

274,867
70,661
4,736
73,964
4,247
20,440

27,270
35
2,177
32

1,010
891
270
14
25
-

1,685

154

22,870
13,593
130
5,004
25
5,161

3,273
120

17,320

2,667

61,844
673,111
551,665
205,468

62,243

-

79,568

6,354
2,713
745
198
156
1,609
5
90

34,099

56,062
23,06V
7,793

-

J5,739
49,359

37,597
26,462
54,945
222,753
97,188

1,652
9,521
14,035
1,422

1,288,257

3 ,577,588

416,820

24,641

68,725
2,843
26,187

11,404

107

5,295

2,524

857

1,557,803

4 ,312,310

508,389

37,273

400,835

692,836

101,536

9,798

42,383
5,900
47,911
56,101
1,264
12,278
138,417
88,227
8,232

76,387
15,135
58,380

20,342
1,312

5,400

57,231
7,999

of dollars)

MEMORANDA
OBLIGATIONS OF U.S. GOVT. —TOTAL 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
30

122

99,200
1,159
11,362
282,450
142,676

5,469
618

24,365

69,702

16,175
4,058
440
3,692

30,730
11,720
2,117
25,135

10,661

14,242
414
2,349
33,528
17,118
1,485
85

700
1,250

60

1,618
770

7,740
6,010
534
90

1,106

3-ONE BANK IN THE VIRGIN ISLANDS INCLUDED IN NATIONAL, "COUNTRY," AND NEW YORK DISTRICT FIGURES ELSEWHERE IN THIS REPORT.

ALL MEMBER BANKS, BY STATES, JUNE 3 0 , 1 9 6 6
(Amounts in thousands
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

783 ,198
6 762

12 , 7 8 8

29,607

3,819

256

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

591,306

1,929,207

226,905
147,588

23,483
11,640

420
58,071

1,304

865
19,961

10,539

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

580 , 4 5 0
36 9 1 2
109 , 5 8 4
36 , 7 0 2

504,938
2,048
630
79,715

1,941,788
47,577
1,403,314
152,511
130,290
448
173,219
4,818

1,090,195

227
2,867

224,474

9,578

2,558
160,232

7,870

8,775
36,350

477

12,740

23

257

622
68

604
3,164

647,588
3,000
1,991
183,196

207

143

1,374,504

3,870,995

451,379

33,061

4,000

742

26,602

3,750
1,040

1,200

28,314

2,843
83,643

7,331

643

1,403,560

3,988,083

463,500

34,904

154,243
37,769

324,227

44,889

2,369

113,008

200

7,858

1,000

400

400

7,461

&0,760
142,805
58,944
9,470

23,453
12,507
1,071

1,099
840
30

1,557,803

4,312,310

508,389

37,273

663,610
678,094

1,544,643
1,356,325

181,375
195,917

9,308
8,933

76,281

32,732

of dollars)

MEMORANDA
NET DEMAND DEPOSITS SUBJECT TO RESERVE
DEMAND DEPOSITS ADJUSTED

PERCENTAGE OF 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 OF TOTAL DEPOSITS FOR PAST 15 DAYS . . . .
AVERAGE OF TOTAL LOANS (NET) FOR PAST 15 DAYS .
NUMBER OF BANKS

IFOR FOOTNOTE SEE OPPOSITE PAGE.

15.4
25.4

12.2

45.1
9.9

14.8
15.8
12.7
54.4
7.5

15.3
19.7
9.1
53.2

1,324,599
702,128

3,823,646
2,332,036

448,549
275,296

112

164

53

5.9

26.0
4.5
60.9
6.4

33,489
22,790

31

STATE MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, JUNE 3 0 ,

1966

(Amounts in thousands of dollars)
TOTAL

TOTAL LOANS AND SECURITIES

TOTAL ASSETS

CHICAGO

ATLANTA

916, , 2 2 2
111, , 0 1 6
386!, 0 8 8
172:, 9 0 8
1 ,130
L, 7 5 4
243: , 3 2 6

680 , 9 4 1
82:, 4 4 9
263 , 2 4 9
94 ,938
2,, 3 2 0
934
237 , 0 5 1

345,, 8 1 6
33 , 4 1 4
131:, 4 8 8
104:, 8 5 0
810
448
74, , 8 0 6

1,694,982
164,215
699,987
309,652
17,159
5,141
498,828

11,050,728

388, , 9 2 0

3,, 8 0 2 , 5 8 8

536,147

1 , 068 , 6 0 3

553, , 0 4 3

292,, 9 8 3

2

11,247,962
9,921,627
975,645
350,690

475 ,672
4 4 3 i, 1 4 3
17, , 6 0 6
14 j, 9 2 3

5,, 0 0 7 , 0 8 1
4, , 4 6 0 , 5 3 1
377,913
168,637

485,777
406,252
51,353
28,172

972,, 1 5 3
910,050
38, , 1 3 8
23,965

455 ,006
396 , 8 7 5
42, , 8 7 0
15:, 2 6 1

256,, 3 5 5
2 1 6 :, 7 7 1
35:, 1 8 2
4:, 4 0 2

1,751,002
1 ,489,566
216,958
44,478

22,298,690

864, , 5 9 2

8,, 8 0 9 , 6 6 9

1,, 0 2 1 , 9 2 4

2

,040,,756

1 , 0 0 8 ,,049

549,, 3 3 8

3 ,953,915

485,345
53,920,017
1,071,452
54,991,469
11,648,058

5,, 9 0 0
2,074,906
36, , 2 5 8
2 , 1 1 1 ;, 1 6 4
486,,214
3] , 3 3 2

140,480
25, , 2 2 6 , 9 7 7
532,612
25, , 7 5 9 , 5 8 9
3, , 5 1 6 , 4 1 5
43,503

37,725
3, , 0 9 9 , 4 0 3
77,158
3, , 1 7 6 , 5 6 1
551,895
9,034

36, , 7 5 0
3 ,631,,450
60, , 5 8 4
3 , 6 9 2 :, 0 3 4
l] , 1 2 6 , 4 1 4
42,799

4 ,550
2 , 4 2 0 :, 8 6 9
45,, 3 9 9
2,466,,268
612 ,419
33, , 7 2 4

12, , 0 0 0
1 ,035,,767
19, , 8 7 0
1 ,055,,637
220,,197
23,,769

109,525
6,794,926
136,743
6 ,931,669
2 :, 1 6 1 , 6 8 1

21, , 2 4 7
16, ,627
244, ,091

736,767

69,543
72,997
273,428

64 ,424
34.767
539,, 6 3 2

186,853

444, ,388

28,063
323,887
49,205
51,449

5, , 0 7 7
222,, 6 2 3
68, , 6 1 9
2 1 1 ;,501

33 ,107
74:, 7 5 4
327 ,184
2 0 6 ,250
5:, 9 4 1
i&3:, 1 5 0
36:, 1 6 7
25:, 2 5 3

8 ,102
2, ,131
7 0 7 : ,095
4 5 : ,100

39 , 8 7 7
722,,117
7 9 5 :, 5 6 1
294,,770
64:, 4 4 4
57:, 0 9 6
119: , 7 6 5
2 6 2 ,646
4 5 :, 7 8 3

24, , 9 3 0
380,, 9 9 4
308,,202
7 3 6 , ,498
3 0 , ,881
77, , 6 7 4
49,,492
7 9 , ,657
23,,191

258,401
2,, 0 3 7 , 5 0 4
i :, 4 4 5 , 4 2 1

90,119

41,,321
,095,,395
826,, 4 6 6
3 2 7 , ,385
63,,044
4 7 , ,321
742,, 4 2 6
257,,490
94,,618

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, s t o c k s .

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

RICHMOND

1 ,000,140
87,148
393,852
91,773
24,602
3,110
399,655

OBLIGATIONS O F U.S. GOVT.—TOTAL BOOK VALUE . . .

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 (or personal expenditures
Single payment loans for personal expenditures
All other loans (including overdrafts)

CLEVELAND

PHILADELPHIA

8,, 3 7 8 , 5 0 0
342,438
1 ,, 8 2 2 , 3 9 7
239,805
12,409
83,425
5,, 8 7 8 , 0 2 6

16,083,813
1,066,589
4,882,762
1,544,805
81,120
104,649
8,403,888

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 V A
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.

NEW YORK

563 j, 6 4 9
63, , 5 7 5
197:, 4 4 1
94, , 9 2 3
2,, 5 9 1
L,574
203:, 5 4 5

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

BOSTON

406,920
1,808,457

624,352
4,951,536

3,456,793
795,641
4,723,673
2,604,146
1,092,568

200; , 4 4 3
10, , 7 5 4
140, , 1 7 3
24, , 4 1 0
6, , 2 7 2

1,059,902
21,339,884
10,139,174
3,426,062
767,032
779,099

8,, 7 1 0
804, , 7 4 5
593, , 1 8 3

1,694,005

3,534,976
1,588,423

191, ,405
2 9 , ,341
37, ,721
9 9 , ,124
241, ,592

350,020

7 ,327,654
7, ,053,477
641,091
2 ,608,545
2:, 1 0 7 , 3 9 1
508,904
68,481
12, , 0 2 3 , 0 6 5
3:, 2 5 8 , 9 5 9
769,749

12,625
1,, 1 2 1 , 9 9 2
947,326
237,474

154,347

109,513
84,009

240,367
669,797

796,754

1

4,, 4 5 6
63, , 0 8 2
14, , 0 6 5
16:, 5 2 0

,202,913

105,110
385,613
91,125

7 ,003,213
576,620
66,385
531,158
164,626
163,333

586,578

732,956
49,446
163,200
472,801

36, , 7 0 3

7 ,425,305
i ;, 0 2 6 , 7 3 8

76,704,052

2,, 9 4 5 , , 3 9 8

34, , 1 7 7 , 1 2 6

4,, 1 5 9 , 0 5 2

5,, 7 0 8 , , 9 5 6

3,433,,468

1 ,, 5 9 7 , , 1 0 5

10, , 8 5 8 , 3 6 6

1,159,252
968,878
862,820

61, , 0 5 3
8, ,847
2 2 , ,502

445,503
769,673
541,204

63,135
41,579
31,819

67,, 9 3 4
8, , 7 6 1
35,, 9 5 7

56, , 2 9 0
7:, 6 8 3
31:, 5 7 9

33, , 4 3 3
2, , 1 7 1
12, , 3 0 3

166,956
18,262
65,901

95,778,815

3, , 6 0 1 , , 4 4 9

44,, 3 1 2 , 0 0 6

5,295,725

6(, 7 3 7 , , 8 3 0

4 , 2 0 9 ,,961

1 ,, 9 9 0 , , 8 2 8

12,804,467

11,328,352

394,,058

3, . 9 0 8 , 7 6 9

551,253

1,, 0 8 7 , 2 1 2

563, , 9 7 9

298,,570

2, , 2 4 5 , 2 3 7

1,884,030
265,817
1,334,529
1,386,330
7,838
172,533
4,019,143
2,102,581
133,570
21,981

60, , 7 5 5
2 9 , ,261
9 0 , ,077
63,,645
9, , 0 2 5
6 4 , ,365
7 3 , ,486
3, ,361
83

963,481
91,196
400,883
356,082
1,166
38,429
1, , 2 9 7 , 8 3 7
712,738
34,871
12,086

86,719
20,248
70,213
123,218
429
2,571
171,635
73,824
1,959
437

120, , 7 0 1
40,,969
181, , 9 3 3
134, , 3 0 1
1 ,, 6 2 4
17, , 6 6 4
356,,065
216,,785
16,118
1 ,, 0 5 2

60, , 6 7 8
23, , 6 5 7
69, , 4 0 1
79,,907
645
18 , 1 3 2
2 2 1 ;,508
87, , 8 0 8
i :, 5 5 1
692

49,,064
3, , 4 0 1
38, , 6 0 9
39:, 1 9 7
473
3, , 0 9 3
110, , 3 6 7
51, , 2 6 6
2\ , 6 2 7
473

265,852
35,478
257,007
277,925
1,430
45,630
845,980
497,083
13,082
5,770

975,470
484,975
100,370
11,701
378,414

17, , 6 3 2
9, ,515
2 , ,410
150
5, ,557

380,055
126,072
21,523
2,559
229,901

51,505
24,096
1,610
825
24,974

38, 015
32,,460
4,,055
115
1,,385

42,, 8 9 4
29, , 4 3 9
6, , 7 6 9
485
6, , 2 0 1

35,, 2 4 6
13, , 7 3 4
4,, 0 4 7
270
17, , 1 9 5

216,677
119,837
34,719
3,298
58,823

319,172

103,160

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 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

STATE MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, JUNE 3 0 , 1 9 6 6
(Amounts
LIABILITIES

AND C A P I T A L

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
Prejerred stock
Common stock
Surplus
Undivided profits
Other capital accounts

TOTAL LIABILITIES AND CAPITAL ACCOUNTS

of dollars)

PHILADELPHIA

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

in thousands

46,724,585
556,424
31,623,633
302,907
3,212,416
2,653,609
470,802
4,432,269
652,237

2 ,075, 506
25 060
1 , 6 3 9 381
33
136 179
153 721
50 320
35 029
3 574

23,,223,,986
75,,725
13,, 9 5 8 , ,706
291,,392
1,, 6 6 8 , , 2 0 8
1, , 0 7 2 , , 2 9 2
389,,203
2,, 8 4 3 , , 5 7 4
555,,023

2,, 7 8 9 , , 3 0 6
21,,896
2,, 1 1 0 , , 5 0 0
2,, 6 4 3
221,,920
83,, 9 2 5
2 8 :, 0 1 2
2 5 7 :, 2 7 0
1 5 ;, 1 5 2

2,, 7 7 8 , 6 6 3
77,,261
2,, 1 3 4 , , 1 5 6
73
226,,700
174,,235
116,,328
5,, 3 7 3

2,, 1 2 9 , 3 8 2
20, 047
1,, 6 3 8 , 9 0 6
4, 872
126, 134
142, 588
1,,249
165, 198
4 , 537

1,, 0 3 4 , , 8 7 9
16,,613
714,,824
395
46,,957
159,,000
79,,573
1,, 6 8 1

5,, 2 3 7 , 4 8 8
68,818
3,, 8 6 0 , 7 0 9
87
380,029
410,964
826
368,164
14,481

209

2,, 3 6 9 , , 8 6 3

47,,988

44,,537

25,,851

15,836

133,410

36,692,248
20,011,989
192,840
233,458
11,188,810
1,907,422
31,655
2,712,182
101,640
224,279
87,973

1 ,013,,709
719,,461

1 4 , , 6 8 6 ,, 9 1 0
5,, 8 9 2 , , 1 6 4

1 4 j, 8 9 7
189,,086
1, , 0 0 0
864
87,, 7 4 6
50
505
100

46,,770
5, , 7 2 7 , , 4 3 5
i ;, 7 6 4 ], 5 6 7
17,, 6 7 1
865,,088
98,,265
204,,061
70,, 8 8 9

1, , 8 0 9 , , 5 2 4
925,,034
43
3,, 8 6 4
7 1 2 :, 3 7 7
4 4 :, 9 3 0
561
112 , 4 8 0
3 :, 0 0 0
4 :, 3 0 5
2:, 9 3 0

3,, 2 2 3 , , 5 1 8
2,, 3 8 9 , , 8 1 4
156,,361
8,, 1 8 3
425,,756
9,, 0 0 0
811
232,,153

1, , 5 5 7 , 7 4 9
1, , 0 9 7 , , 7 7 9
6,,580
12,,062
322,,111
4,,959
4,,214
108,,501

736,,267
421,,421
2,, 6 7 0
14,, 5 6 7
2 3 5 :, 5 9 8
1,, 0 0 0
892
58,, 5 5 4

6,, 3 1 4 , 6 7 0
4,, 3 2 5 , 2 4 5
1,270
12,150
1, , 5 3 8 , 2 2 6
12,000
912
417,291

1,, 0 6 0
380

543
1,, 0 0 0

1, , 5 6 5

3,371
4,205

83,416,833

3 ,089,,215

37,, 9 1 0 ,, 8 9 6

4 ,598,,830

6, , 0 0 2 , , 1 8 1

3,, 6 8 7 , , 1 3 1

1 ,771,,146

H,,552,158

739,905
563,902
991,115
2,410,695

7,, 1 0 0
150
9,, 2 0 5
163,, 6 6 0

359,,985
453,,110
789,,137
1, , 3 7 i ; , 4 6 8

93 , 9 4 0
3 ,600
4 2 :, 1 4 2
1 2 3 :, 1 2 0

31,, 5 5 0
175
8,, 7 6 1
1 0 7 :, 2 9 1

16,, 5 0 0
2,,416
7,,683
125,,050

1, , 0 0 0
9 :, 9 3 3
2 :, 1 7 1
4 8 :, 5 1 0

92,450
23,014
18,265
187,593

88,122,450

3 ,269,,330

40,,884,,596

4 ,861,,632

6, , 1 4 9 , , 9 5 8

3 ,838,,780

1 ,832,,760

11,, 8 7 3 , 4 8 0

7,656,365
2,563,712
446,114
2,000
2,115,598
3,437,638
1,489,210
165,805

332,119
102,747
14,000

3,427,410
1,154,710

434,093
104,476

587,872
148,915

371,181
119,643
38,700

158,068
50,704
3,575

88,547
14,077

,001,040
,524,798
703,152
44,750

104,476
252,605
73,748
3,264

148,915
327,386
98,490
13,081

80,943
184,459
58,566
8,513

47,729
76,808
25,664
4,892

930,987
300,746
39,040
7,200
260,506
410,929
177,422
41,890

95,778,815

3,601,449

44,312,006

5,295,725

6,737,830

4,209,961

1,990,828

12,804,467

36,775,917
30,676,012

1,777,063
1,700,753

17,106,155
12,834,178

2,297,878
1,910,461

2,362,429
2,192,309

1,797,393
1,600,999

855,223
833,543

4,429,008
3,990,467

2,820,288

32

200

149,684

65,611

MEMORANDA
NET DEMAND DEPOSITS SUBJECT TO RESERVE
DEMAND DEPOSITS ADJUSTED

PERCENTAGE OF 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 OF TOTAL DEPOSITS FOR PAST 15 DAYS . . . .
AVERAGE OF TOTAL LOANS (NET) FOR PAST 15 DAYS .
NUMBER OF BANKS

16.8
11.5
11.7
56.8

8.0

15.7

18.9

8.6

10.1

13.2
57.8
9.2

11.3
57.2
7.7

9.2
59.2

10.8

18.9

8.2

13.6
15.9
14.4
54.4
8.7

16.2
13.1

10.8
57.6

17.4
14.7
12.9
52.6
7.9

13.2
17.2
13.7
53.9
7.3

80,786,312
53,438,716

3,050,922
2,075,809

35,927,458
24,692,025

4,510,852
3,102,753

5,945,188
3,625,326

3,649,371
2,440,622

1,736,410
1,029,144

11,378,691
6,840,088

1,383

32

120

40

148

105

65

360

33

STATE MEMBER BAMS, BY FEDERAL RESERVE DISTRICTS, JUNE 3 0 , 1966
(Amounts
ST. LOUIS

MINNEAPOLIS

KANSAS CITY

in thousands

DALLAS

of dollars)

SAN FRANCISCO

510
231
208
525
848
258
440

80,618

079
202
229
763
24
80
23,781

308,456
17,916
100,448
71,350
102
141
118,499

239,045
23,790
80,676
95,627
855
1,784
36,313

1, 4 5 6 ,
98,
621,
109,
11,
6,
609,

OBLIGATIONS OF U.S. GOVT.—TOTAL BOOK VALUE .

437,162

2 0 5 , 139

233,588

224,389

1, 1 0 5 , 2 5 3

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 .,

277,804
212,376
58,894
6,534

114,
79,
32,
2,

183
731
314
138

181,670
161,561
15,106
5,003

202,851
169,328
29,807
3,716

1,, 0 6 8 ,
975,
59,
33,

714,966

319, 322

415,258

427,240

2,, 1 7 3 , 6 6 1

18,775
1,005,493
16,044
1,021,537
355,443

770
4 6 0 , 667
7,,997
468,, 664
144,,632
14, ,571

1,400
833,702
10,966
844,668
149,226

4,070
764,498
11,567
776,065
119,895
11,515

113, 400
6,, 5 7 1 , 3 5 9
116,,254
6,, 6 8 7 , 6 1 3
2,, 2 0 3 , 6 2 7

30, ,319
7, ,752

24,549
4,333
42,679
45,343

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

373,473
30,195
134,699
120,691
7,270

TOTAL SECURITIES
FEDERAL FUNDS SOLD (LOANED)
OTHER LOANS AND DISCOUNTS, NET—TOTAL . . .
Valuation reserves
OTHER LOANS AND DISCOUNTS, GROSS—TOTAL .
Real estate loans— 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 tarmers
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 expenditw
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 assets
TOTAL ASSETS

40,603
41,301

5,942

186,642

40,976

126,
12,
51,
38,

60,,537

2,701
72,464
2,808
5,545

31, ,453
125
5,, 5 3 4
123
3,, 0 4 2

56,249
233,023
279,779

113,,637
89,, 0 5 9
105,,039

94,356
23,370
21,186

35,754
707,269

44,,499
18] ,043
7 , .650
75,299

24,342

408
443
504
461

49, ,674

14,005

374,,962
74,,546
817, ,792
447,,309

4,327
41,212
5,404
20,208

2,053
23,626
265
27,013

24,,668
508,,219
131,,063
53,,528

151,402
263,146
161,031

60,371
320,072
213,376

223,,898
2 ,248,,772
1 ,204,,831

42,959
27,629
9,574
75,297
25,574

7,924
34,250
54,207

706,233
22,947
4,744
33,764
42,250

544,,056
44,,503
775,,427
754,,737
307,,704

13,525

15, ,108
7] , 4 7 3

48,712

9,394

8 9 :, 0 0 7

1,739,234

780,, 7 5 9

1,250,360

1,195,808

8 ,858,,420

19,826
46
8,830

1L,638
399
2 ,635

26,663
4
8,375

28,157
7
7,403

178 , 6 6 4
111 , 4 4 6
9 4 :, 3 1 2

2,141,409

921 ,510

1,593,858

1,470,420

10 , 6 9 9 , 3 5 2

443,676

208 ,181

1,164 ,268

MEMORANDA
OBLIGATIONS OF U.S. GOVT. —TOTAL 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
34

69,011
10,619
75,922
67,611
818
9,993
151,942
54,006
3,717
37

58,969
43,288
10,172
744
4,765

236,595

226,554

,568
,174
,145
,381
112
,812
,825
,671
,414
79

33,212
2,224
31,228
41,443
910
7,501
70,476
47,274
2,009
318

44,720
3,177
23,095
26,285
227
6,577
73,487
46,083
2,861
42

32 , 2 2 9
19 , 9 0 6
5 ,910
1,415
4 ,998

15,131
5,479
2,010
780
6,862

29,814
21,562
2,110
256
5,886

32
2
23
27
2
62
54
2

97
3
73
149
11
592
187
49

,269
,413
,016
,335
4
,106
,656
,557
,000
912

57 , 3 0 3
39 , 5 8 7
5,035
804
11 , 8 7 7

STATE MEMBER BANKS, BY FEDERAL RESERVE DISTRICTS, JUNE 3 0 , . 1 9 6 6
(Amounts

LIABILITIES

AND

CAPITAL

MINNEAPOLIS

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

1,143,691
23,635

in thousands

KANSAS CITY

of dollars)
SAN FRANCISCO

400,721
1,759
296,492

917,559

772,894

8,311
617,265

9,513
590,460

36,305

81,349

23,948
72,345

122,904
43

12,163
63,905
10
19,752
60

163,931
781

61,469
2,881

12,746

6,580

9.617

12,278

109,373

791,248
381,202

5,071,649
3,118,564

837,274
52,503
94,586

434,746

502,475

163,650
673

284,871

1,274

357,516

2.618

247,981

549.783
292.784
23,969
6,359

183,168

142,490

124
31,214

2,923
79,111

480

2,147

3,955
418
46,633

305

91
22,046

1,934,939

835,467

1,420,034

1,322,677

3,850

800
820

200
3,029

9,800
1,100

4,220,510
207,786

3,224,960
3,412
281,370
144,699
1,182
199,077

48,651

107,728
1,107,066

69,966
2,174
651,365
325
5,992
8,469

9,292,159
122,730
66,455

100
46
21,679

399
11,671

16,856

15,473

218,324

1,960,614

849,157

1,440,123

1,349,057

9,812,963

180,795

72,353
24,674

153,735

121,363
45,987
7,490

421,523
450
237,596
291,322
155,165
18,379

45,142
7,350

150

44,445
3,500

113,295

886,389

43,792

23,672

40,945

46,764
5,211

17,414
1,627

42,485
4,784

32,097
45,310
24,729
5,337

2,141,409

921,510

1,593,858

1,470,420

10,699,352

942,382
887,666

338,177
345,025

727,710
598,824

640,954
651,164

3,501,545
3,130,623

19.4
14.7
11.4
52.4

16.3
15.3
13.8
52.3
8.3

83,678

28,638

62,021

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

17.4
20.4
13.0
47.8
8.4

13.7

22.3
12.4
50.1

7.9

9.6

13.6
10.3

10.0

62.5
8.3

1,884,174
1,017,506

824,894
468,274

1,396,716
838,919

1,311,461
771,901

9,170,175
6,536,349

137

120

123

84

49

35

EXPLANATORY HOPES
Banks report their assets and liabilities on either a cash or accrual basis according to
their 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 for income tax
purposes, and others.

Beginning April 12, 1961, the deposits schedule was revised to provide the following new
items: (l) demand and time deposits due to mutual savings banks, (2) savings deposits, in the time
category, and (3) demand and time deposits due to foreign governments and official institutions.
Demand and time deposits due to mutual savings banks had previously been reported with other domestic
interbank accounts, and deposits in the new foreign official category had previously been reported
largely as foreign interbank accounts.
Coincident with these revisions, the new concept of demand deposits adjusted includes all
demand deposits except those of the U. 8. Government and domestic commercial banks, less cash items
in process of collection; this differs 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 classification and definition, demand deposits adjusted were approximately $2.2 billion
higher than under the previous concept on April 12, I 9 6 I : demand deposits due to mutual savings
banks were $654 million and deposits due to foreign entities were $1,595 million ($941 million in
foreign interbank and $654 million in foreign official). Of the total due to foreign official about
$560 million had previously been classified as foreign interbank deposits and $50 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 call date, "Loans to other financial institutions"
were reported separately for the first time. Loans to such institutions were previously reported
largely against commercial and industrial loans and "All other loans." A reconciliation of the
loan items affected by this reclassification is available for only June 10, 1959J see Federal Reserve Bulletin for January i 9 6 0 , page 12.