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• • March17, 1969 ASSETS AND LIABILITIES* 1968 (A••unl• in IAousGnd• Country Banks ASSETS 19,947,959 14,466,663 405,642 14,329 112,373 443,148 4,505,804 3,007,503 1,449,486 271,402 9,490 15,092 98,023 1,164,010 OBUGATIONS OF U.S. GOvr.-TOTAL BOa< VALUE •.•••••••• 5,984,292 011IER SECURITIES-TOTAL BOOK "VALlE ................... Obligations of States and subdivisions Obligations of Fed. agencies ••••..••.••••••••••••••••••• , Other bond a, notes, debentures, and corporate, stocks ••••.••• 8,093,880 7,232,946 376,426 484,508 ............................ RESERVES, CASH, AND BANK BALANCES-TOTAL ........... Currency and coin • , ••••••••••• , •••••••••••••• , ••••••••• Reserve with Federal Reserve Bonks ••••••••••••••••••••.• [)emand balances with banks in U.S. Other balances with banks in U.S. • ...................... ........................ Bala11ces with banks in foreign countries •• , • , •••••• , • , , • , , Cash items in proceu of collection ••••••••.••••••••• , •• , , •••• 0 TOTAL SECURmES ~ •••• 0 •••••••• FEDERAL FUNDS SOLD AND SECURITIES PURCHASED UNDER AGREEMENTS TO RESEll.--TOTAL •••.••..... ~~ ... Commercial banks •••••••••••••.••••• , •• , , • , , • , • , . , ••• , • Brokers and dealers , •••••• , • , • , •.••• , . , • , , •••••• , ••••• Others , , , • , , .•..• , . , •••.....••.. , .• , •. , . , •.•. , . , ••.• , • 011IER LOANS AND DISCOUNTS. NET-TOTAL ............... .Valuation re..rves •••••••••••••••••••••••••••••••••••••••••••• 011IER LOANS AND DISa>UNTS, GROSs--TOTAL •••••.•••••.•• Real estate loans-- total ............................... Secured by farm ltJntl •••••••••.••••• , ••• , •• , •• , •••• , •• Secllred by residential properties : lnsu.red by FHA •••••• , •••••••·., ••••••••••••••••• Gu.Manteed by VA ••••••••••••••••••••••.••.•••••. Not ins. or gUIJranteeti by FHA Or VA Secured by other properties •••••• , ••••••• ,, •.•.... , . Loans to domestic eom'l. and foreign banks Loans to other financial institutions Loans to brokers and dealers in securities Other loans for pur~hasing or carrying sees. • ·············· ............... ..................... ................ ............... Other loans to farmers .................................. Commercial. including open market paper .................. Other loans to individuals--total ........................ •· Passenger automobile instalment loans •• , . , ••••••••••• Credit cards and related plans: 2/ Retml (charge accounts) r:redit card plans . . . . . , . Check credit and revolving credit plans .• , . , . , , . Other retail consumer instalment loans .... , •• , ••••••• Residential repair and modem instal. Other instal. loans for personal expenditures Single payment loans for personal expenditures All other loons (including overdrafts) ..... o 00000000000000000 o ................ • TOTAL LOANS AND SECURITIES ooooooOooOooooo• Bonk P,remi ses, furniture ond fixtures ..•. , , , , . , . , Reol estate owned other than bank premises , . , , , , . . . . , , . , .. Custqrners'liability on acceptances outstanding Other assets o ••• , • , •• OOOOOoOOoOOoooOOOO ooooooooooooooo•••ooooooooooooooooooooooo•oooooo TOTAL ASSETS • OOOOOOOOOOoOOoOOoOOOOOOOOOOOOOOO All Member Banks 73,755,297 35,360,378 11,090,605 188,626 251,694 5,634,008 21,229,986 28,136,176 14,402,756 2,912,322 73,656 100,338 1,800,300 8,846,804 22,663,659 5,041,473 7,501,239 91,151 23,891 3,292,537 6, 713,368 1,863,406 15,035,570 24,997.756 47,881,024 2,124,675 1,809, 758 179,327 135,590 20,337,314 18,110,874 1,303,434 923,006 26,363,691 21,268,938 4,417,677 677,076 56,919,560 48,422,516 6,276,864 2,220,180 14,078,172 3,988,081 35,372,884 51,361,447 104,800,584 746,611 603,211 143,400 42,221,803 1,082,376 43,304,179 3,619,280 29,749 312,067 257,001 54,598 468 9,973,670 273,252 10,246,922 738,420 2,472 2,196,900 1,541,027 646,633 9,240 81,768,952 1,563, 793 83,332,745 18,939,036 285,892 2,295,357 2,077. 783 209,714 7,860 81,708,209 1,564,970 83,273,179 27,164,509 1,584, 729 5,550,935 4,479,022 1,054,345 17,568 215,672,634 4,484,391 220,157,025 50,461,245 1,902,842 519,559 308,772 1,228,136 1,533,064 1,099,408 3,425,624 3,802,852 902,937 114,944 27,376 345,587 248,041 205,376 1,219,084 535,100 252,774 3,601, 786 939,656 8,153,516 5,958,186 588,319 6,005,358 1,115,986 1,253,641 2,669,943 1,015,489 13,567.743 8,326,605 119,047 2,146,833 720,036 969,204 6,906,232 2,291,293 23,294,982 16,065,896 2,012,150 12,796,899 6,173,974 3,378,556 16,510 25,257,917 3,485,265 335,183 48,934 6,118,112 848,116 129,991 1,362,336 34,632,228 16,916,378 5,524, 738 4,494,380 21,812,307 24,153,475 9,641,021 5,922,160 87,820,564 45,403,234 15,630,933 77.799 110,057 124,170 186,047 730,192 1,921,817 1,694,386 . 73,753 13,317 85,640 27,480 94,308 423,627 281,006 815,700 420,588 1,470,112 1,159,447 2,019,583 5,506,210 2,519,463 261,510 186,039 2,434,349 1,414,295 4,191,911 6,024,350 1,693,388 1,228,762 730,001 4,114,271 2, 787,269 7,035,994 13,876,004 6,188,243 57,046,586 14,273,818 119,338,736 135,365,013 326,024,153 721,229 27,394 1,423,673 2,196,857 236,371 1,652 170,724 408,531 2,068,949 110,438 709,653 1,925,337 2,462, 750 110,921 64,192 1,060,169 5,489,299 250,405 2,368,242 5,590,894 81,363,698 18,098,599 152.289. 289 ~61, 726,704 413,478,290 * DERIVED FORM PRELIMINARY TABULATIONS OF CALL RI!PORT DATA. "SUMMARY IIEPORT--ASSETS AND LIABILTTIES OF MEMBER BANK." lf DATA FOR PREVIOUS YEARS INCLUDED FEDERAL FUNDS SOLD AND SECURITIES PURCHASED UNDER .AGREI!MENTS TO IIESELL IN TOTAL LOANS • J:./ PREVIOUSLY LOANS EXTENDED UNDER CREDTT CARDS AND IIELATED PLANS WEllE INCLUDED IN OTHER INSTAUIENT LOAN ITEMS ACCORDING TO THE PURPOSE OF THE LOAN. i· ' • •f dollar•) MORE DETAILED FIGURES WILL BE PUBLISIIED AT A LATER DATE IN THE RBGULAR IIELEASE • . ASSETS AND LIABILITIES* ALL MEMBER BANKS, B.Y CLASS OF BANK, DECEMBER E. 3. 4 (Preliminary) I Reserve City B&:nk• LIABILITIES AND CAPITAL ACCOUNTS New York I I Chicago I Other Country Banks I All Member Banks 1968 Banks in foreign countries ••••••••••••••••••••••••••••••• 8,333, 747 80,924 5,996,124 13,246 256,911 244,833 855 1,444,597 89,433 69,514,231 820,226 50,698,411 148,564 1,883,923 3,835,265 171,002 9,553,724 456,486 70,697,573 1,025,422 56,234,340 3,819 1,280,291 7. 702,911 232,613 2,548,664 57,687 Certified and oHicers' checks, cosh letters of credit, and travelers' checks, etc •••••••••••••••••••••••••••••• 4,826,688 206,824 1,946,630 1,611,826 8,591,968 74,589,800 40,120,277 605,028 45,425 27,522,908 55,722 86,283 6,043,217 6, 791 93,559 10,590 164,603,676 76,513,278 937,238 215,794 65,208,853 4,670,686 329,629. 15,667,389 144,074 "633,242 283,493 TIME DEPOSI.TS-TOTAL ••• , •••••••••••••••••••••••••••••••• Servings deposits ••••••••••••••••••••••••••••••••••••••• Accumulated for payment of personal loC.ns •••••••••••••••• , Savings and loan associations •••••••••••••••••••••••••••. Other ti•e deposits of indiv., part., and corp•• oo • • • • • • o • • • o Foreign Govemments, central banks, etc. o • • o o • • • • • • • • • • • o o United States Government. o • • • • o • • • • • • • • • • • • • • • • • • • • • • • • • States and political subdivisions .................... Mutual savings banks in United States ••••• o •••••• Connnercial banlcs in United States • o• • • o • • • o • • • • • • • • • • • • • • Banlcs in foreign countries o . o • • • • • • • o o • • • • • • . • • • • • • • • • • • • • 20,698,109 5,455,271 6,192,352 2,170,508 35' 133 9,996,388 2,893,396 73,231 1,622,955 57,508 371,527 192,700 6,325 3,076,868 291,788 1,925 623 '705 10,530 10,703 63,123,415 28,767,222 332,210 128,911 24,612,689 1,429,780 168,190 7,377,512 79,775 157,626 69,500 TOTAL llEPOSlTS •• , •••••••••••••••••••••••••••••••••••••••• 63,900,295 14,526,099 132,637,646 145,287,373 356.351,413 Federal funds purchased and securities sold under agreements to repurchase-total •••••••••••.••••••••••••••••••• Other llabilltios for borro-d monoy •••••••••••••••••••••••••••• Acceptances outstanding •••.•••••••••••••••••••••••••••••••••• , Other liabilities o • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • 2,255,081 478,337 1,451,851 7,141,396 558,931 122' 775 172,435 1,285,421 3, 785,368 453,957 713,888 4-,014,486 716,887 86,749 64,888 3, 764,245 7,316,267 1,141,818 2,403,062 16,205,548 UAIIliJ'llEs •.••..•.•.•..•..•.••..•........ , . 75,226,960 16,665,661 141,605,345 149,920,142 383.,418 ,lOB CAPITAL ACXXlUNIS--TOTAL •••••••••••••••••••••••••••••• Capital stoclc, notes, and debentures- total ••••••••••••• ;. •• Cfl/lital notes and debentures •• o • • • • • • • o . o • • • • • • • • • • • • Preferred .stoci •••••••••••••••••• o •••••••••• ComJnon s(ocl •.•••••••••••••••••• •o. •o• •• ••o•••••••. Surplus •••••••••••••••••••••••••••••••••••••••••••••••. Undivided profits •••••• Other capital accounts o • • • • • • • • • • • • • o • • o • • • • • • • • • • • • • • o. 6,136, 738 2,262,810 701,253 62,728 1,498,829 2,592,225 1,088,731 192,972 1,432,938 514,237 39,999 474,238 639,943 146,449 132,309 10,683,944 3,512,061 837,049 14,026 2,660,986 5,114,375 1,858,453 199,055 11,806,562 3,577,098 352,705 5,952 3,218,441 5,132,764 2,746,262 350,438 30,060,182 9,866,206 1,931,006 82,706 7,852,494 13,479,307 5,839,895 874,774 81,363,698 18,098,599 152,289,289 161,726,704 413,478,290 IJI!MAND llEPOSlTS AOJUSI'ED •••• ~ •••••••••••••••••••••••• 28,329,881 20,807,552 6,612,859 5,182,753 52,199,276 43,673,828 58,154,861 61,827,145 145,296,87"7 131,491,278 AVERAGE OF TOTAL DEPOSITS FOR PAST 15 DAYS •••••••• AVERAGE OF TOTAL LOANS (NET) FOR PAST 15 DAYS ••••• 60,679,072 42,712,557 13,930,751 9,870, 794 127,951,184 81,687,153 152,692,353 82,546,915 355.253.360 216,817,419 NUMBER OF BANKS ••••••••••••••••••••••••••••••••••• 12 9 161 5, 796 5,978 0 ••••• 0 •••••••• 0 0 ••••••• 0 ••• 0 ••• • • • • • • • • • • • • • • • • • • • 0. 0 •• TOTAL I.JABILI'l1ES AND CAPITAL AOCOUNTS •••••• -- -- -- -- I 191,747,737· 1,997,714. 139,623,359 855,458 4,308,697 12,851,369 895,672 20,587,384 2,!)36,116 43,202,186 71,142 26,694,484 689,829 887,572 1,068,360 491,202 7,040,399 1,432,510 llBIIAND llEPOSITS--TOTAL •••••••••••••••••••••••••••••••• Savings and loan associations ••••••••••••••••••••••••.••• Other individuals, partnerships, and corporation1 •••••••••••• Foreign .aovemments,.centrol bonlcs, etc ••••••••••••••••••• Unit.d States Government ••••••••••••••••••••••••••••••• States and political subdivisions •••••••••••••••••••••••••• Mutual savings banks in United States ••••••••••••••••••••. CoMmercial banlcsln United States •••••••••••••••••••••••• TOTAL ~1, (A••unt• in IA••'"and' of doU••J MI!JIORANDA 1/ NET IJI!MAND DEPOSITS SUBJECT "1'9~VE •• ;o •••••••••• 1/ NET DI!MAND DEPOSITS SUBJECT TO RESERVE ARE GROSS DIIMAND DEPOSITS LESS CASH ITBMS REFORTBD AS IN PROCESS OF COLLECTION AND DBMAND JIALAIICIS ·M FBOK - D!MI!STIC BANKS. ANY DIFFERENCES BETWEEN TilE FIGURES SHOWN AGAINST THIS ITI!M AND THOSE COMPILED FBOK FIGURES SHOWN AGAINST Till ULATBD l)BrOSIT AND OBDUCTION ITEMS ARE ACCOUNTBD FOR BY AN I!XCESS OF ALLOWABLE DEDUCTIONS OVER GROSS DEMAND DEPOSITS "AT A FEW BANKS. 2/ DEMAND DEPOSITS ADJUSTED ARE DEMAND DEPOSITS OTHER THAN D!MI!STIC COMMERCIAL INTERBANK AND UNITED STATES GOVI!RNMilNT, LESS CASH ITEMS REFORTED AS IN - PROCESS OF COLLECTION. • I • • • • • • • • •