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• For immediate release September 13, 1967 E .3. 4 le Country Banks 18,051,249 2,236,897 5,564,385 5, 968,145 212,194 15,521 4,054,107 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 .. , ........... , .......... , .. • All Member Banks 57' 392.951 3 '727 '239 18,998,877 8,258,079 428.332 231,193 25,749,231 OBLIGATIONS OF U.S. GOvr,--TOTAL BOOK VALUE •...•....•...••.....•...• 5,047 '743 1,576,478 12,454,795 21,556.528 40,635,544 OTHER SECURITIES--TOTAL BOOK VALUE ••..••....•...•..••.•••..•.....••. Obligations of States and subdivisions ......... , ............ , .. Obligations of Fed. agencies ...•...........•.•. , ..•. ,,., .. ,., .. Other bonds, notes, debentures, and corporate stocks ....... ~ .. . 6,212,432 5,484, 773 286' 353 441,306 1,632,769 1,433,755 101,769 97 '245 17,240,325 15,240,157 1,J59' 687 640,481 20,729,934 16,926,412 3,183,209 620,313 45,815,460 39.085 '097 4, 931,018 1,799,345 TOTAL SECURITIES ..•...•....•.....••..•...•..•..•...•.... ll,260,175 3' 209' 247 29,695,120 42.286.462 86,451,004 422,834 399' 835 10,000 12,999 36,017,878 866,859 36,884,737 3, 364,040 8, 597 191,777 180' 474 11' 270 33 8,732,156 270,422 9,002,578 671,038 2, 283 1,167,706 944.022 214,627 9,057 68,986,815 1,326,795 70,313,610 16,098,477 299,043 1' 594,529 1,524,974 68.718 837 70,681,212 1,341,176 72,022,388 22,998,139 1,380,125 3,376,846 3,049,305 304,615 22.926 184,418,061 3' 805' 252 188,223,313 43,131,694 1,690,048 569' 927 342' 865 1,090,923 1,351,728 790,617 3,252,924 787,493 6,807,488 4, 951' 529 539,190 5,323,159 695,434 1,064,104 1,360,070 28,887,329 14,548,109 5,152,290 1,522,570 1' 124,352 1' 981,348 4, 767,549 1, 797 '738 2,541,685 990,487 ll,223,143 6. 862' 699 ll6. 488 1,928,209 591 '052 829,691 4,322,972 19, ll9, 718 20,733,647 8,442,086 2' 052' 502 1,266,090 3,578,662 5' 394,307 1,382,472 6,467,316 2 '151 ,455 19,414,717 13,408,158 1, 620' 450 ll,354,252 4, 174,766 2,742,939 5,737,170 75,921,150 38,911,140 14,094,242 3,837,885 ~·· FE~~~iM~~~s T~o~~s~~~-~~g~~m~~. ~u~~~E~. ~~:~ ..•••.•.••..•...•.. Commercial banks .............. , ... , •........................... Brokers and dealers .................................. , .. , ..... . Others .............................................. , ......... . 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 ius. or guaranteed by FHA or VA ................... ;, Secured by other properties ........................ , ....... . Loans to domestic com' 1. 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 ...... o,, ••••••••••••• o •• Other loans to ilidividuals--total ....................... , .. , .. . Passenger automobile instalment loans, .. o • • o , , o , • • , . o , • • , . , , Other retail consumer instalment loans .... o, ••••••• , •••••• • , t{,,sidential repair and modern instal . ... o , o . , . o • • • • • o • • • • • • Othc>r instal. loans for personal expendituies. o • • • • • • • • • • • • • Single payment loans for personal expenditures., .......... ,. All other loans (including overdrafts) ...... o • • , • • • , , • • • • • • • • • • I. 47,700,887 12,133,180 99.849' 641 ll4,562,203 274,245,91l Fixed assets (bank premises, furniture and fixtures, and other L·eal estate owned) ... , ...• o o • • • • • • • • • • o o , • • • • • • • • • • • • • • • Customers' liability on acceptances outstanding .... , ............. o., Other assets ................. o • • • o . o • • • • o • • • • • • • o • • o • • o • • • • • o • • • • • • o 672,895 1,415,398 1,191,298 ll6,464 145' 852 245,472 1 '844' 806 687 '939 1,286,800 2. 258' 314 42,249 724,292 4,892,479 2,291,438 3,447,862 10TAL ASSETS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . • f 1,168,911 TOTAL LOANS AND SECURITIES ••••••••••.•••••••••••..•••••• • 102,780 30' 610 293,163 242' 202 174,155 1,019,166 308,935 205' 241 40' 514 5' 562' 356 704' 542 174,714 137' 341 27.669 82' 801 318,017 280,631 65,668,008 15,073,3ll 125,891,015 135,638,307 '342,270,641 NOTE: 3,083, 718 2,579,345 643,903 13' 614 22' 351' 747 2,888,842 325' 152 125,472 194' 690 786' 144 1,457,384 MORE DETAILED FIGURES WILL BE PUBLISHED AT A LATER DATE IN THE REGULAR RELEASE "SUMMARY REPORT--ASSETS AND LIABILITIES OF MEMBER BANKS." DATA FOR PREVIOUS YEARS INCLUDED FEDERAL FUNDS SOLD AND SECURITIES PURCHASBD UNDER AGREEMENTS TO RESELL IN TOTAL LOANS , I . , • • 2,612,801 6,428,955 ll,937 ,257 4,629,752 • ALL MEMBER BANKS I BY CLASS OF BANK I JUNE 30 I 1967 E.3.4 (Amounts in thousands of dollars) Reserve City Banks Country Banks LIABILITIES AND CAPITAL ACCOUNTS New York Other Chicago All Member Banks 58,383,329 902 '855 45 '764 '719 3,668 1,379,345 7,064,297 209,806 1,795,080 41 '922 154,293 456 1,851,477 111,509,374 763,110 4,580,191 11,566,239 776,614 14,833,485 1,556,667 DEMAND DEPOSITS--TOTAL ............................................. . Savings and loan associations, ......... , ............ , .. , ...... . Other individuals. partnerships, and corporations .•. , ....... .. . Foreign governments, central banks, etc. . .................... . United States Government .............. , .•..••...... , .......... , States and politic.al subdivisions ... , .............. , .......... . Mutual savings banks in United States .........•..•............. Corranercial banks in United States ............. , ......•......... Banks in foreign counties, ...... , .... , .... ,, ....... , .... , ..... , Certified and officers' checks, cash letters of cre~it, and travelers' checks, etc . .. , ....... , .....•. , .... , , ... , ... . 32,860,393 73,903 20,080,I61 619,792 1,021,337 796.223 403,080 4,668,579 1,111,305 4,086,013 169,138 1,379,511 1,221,637 6,856,299 TIME DEPOSITS--TOTAL ................ , ............. , .... , •• , ..... ,, •• Savings deposits, ........•.•......................... ·,.>:, ....... . Accumulated for paYlllent of personal loans, .................... . Savings and loan associations ........ , •. ,.~ .•.................... Other time deposits of indiv., ·part.···, .a~ corp • . o •• o • • • • • • • • o . Foreign Governments, central banks, etc. . .................... . United States Government ...... , o . , . o • • • o • • • • • • • , , • • • • • • , • • • • • • • States and political subdivisions ............ o • • • • • • • • • • • • • • • • • Mutual savings banks in United States .. ,,, o, • • • , , , , • • • • , • , •• , •• Commercial banks in United States, ..... ,, ...... ,, ..... , ... ,., .. , Banks in foreign countries .... ..... o • • • • • • • • • • • • • • • • • • • • • • • • • • • 19,804,175 5,370,778 5,706,993 2,547. 740 69,862 8,916,651 3,415,077 85,071 1,129,477 265,461 451,403 100,395 29 ,856 2,294,941 342,80I 1,125 470,092 11,865 8,573 54,671,483 27,745,810 389.308 425 ,283 18,360.996 1 '208 ,163 78,017 6,093. 731 184' 174 111,083 74,918 63,052,917 37,893,883 591,406 166,871 19,121,911 44,283 74,856 5,053,870 23,102 74,587 8' 148 143.235 '568 73,558,211 980,714 691,872' 48,694,499 5,010,324 239 '069 12 '747' 170 472 '737 648 '938 192,034 TOTAL DEPOSITS .................... ,,,, ......... , ...... , ............ . 52,664,568 12,813,840 110,614,370 121,436,246 Federal funds purchased (borrowed) ...........•.... , .•.... ,, ... ~, .. ,. Other liabilities for borrowed money ............................... . Acceptances outstanding ..... , ... , .................................. . Other liabilities ...... o • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • o • • • o • • • • • • 1,673,799 166,912 1,458,479 4' 100,724 316,452 42,468 147,261 529,395 1,812,419 296,441 695,592 2 '717 ,358 537,371 73,967 44,920 2,891,053 4,340,041 579 '788 2,346,252 10,238,530 TOTAL LIAB IL!TIES ••......••..•...••..••...• , .• , .. , •..•. , .. , , 60,064,482 13,849,416 116 • 136 ' 180 124,983,557 315,033,635 CAPITAL ACCOUNTS- -TOTAL .••.. , .............. , , •...•. , • , • , . , ..••.••..• Capital stock, notes, and debentures--total. ... o • • • • • • • • • • • • • • • Capita 1 notes and debentures .....•..... ...... , ............. . Preferred stock ..... , .. , ... , ........ o • • • , • • • • • • • o • • • • • • • • • , • • Common stock ....... ........ , ... o • • • , • • • • • • o • • • • • • , • • • o • • • o • • Surplus . ............................... , . , . , ............. o • • o • • Undivided profits .............. o • • • • • • • • • • • , • • • , • • • • o • • • • • • • o • • Other capital accounts ............... ,,, ... ,., ... ,.,., ...... ,,, 5,603,526 2,302,031 783,367 42,211 1,476,453 2,190,434 903,560 207,501 1,223,895 449,093 9,000 440,093 605,409 132,771 36,622 9 '754 ,835 3. 236,323 723,428 6,000 2,506,895 4,582,586 1 '760 ,499 175,427 10,654,750 3,312 '752 304 '746 5,607 3,002,399 4,682,432 2,347,264 3I2 ,302 27,237,006 9,300,199 1,820,541 53,818 7,425,840 12,060,861 5,144,094 731,852 TOTAL LIABILITIES AND CAPITAL ACCOUNTS ••••••••••...•...•.... 65,668,008 15,073,311 125,891,015 135,638,307 342,270,641 NET DEMAND DEPOSITS SUllJECT TO RESERvt:l1.. , •... , . , . , ........ , . , , .. , . DEMAND DEPOSITS ADJUSTED1/ ............................... , ......... . 22,984,944 17,458,848 5,732,565 4,370,313 43,207,640 36,146,591 48,361,095 5I,154. 797 120 '286 '244 109 ,130. 549 AVERAGE OF TOTAL DEPOSITS FOR PAST 15 DAYS, ....................... ,. AVERAGE OF TOTAL LOANS {NET) FOR PAST 15 DAYS ..................... .. 51,180,351 35,870,970 12,646,922 8,776,555 108 '332 '924 69,082,897 119.823' 196 71,360,864 291,983,393 185,091,286 NUMBER OF BANKS ..... , ............... , ••.• , ......................... . 12 11 I66 5,919 6,108 • 297 ,529,024 7' 106,847 111,585 4,938,561 11,240 299,300 306,547 1,525 1,207,352 61,599 55' 942' 887 763,134 40,725,933 128,410 1,880 '209 3,399 '172 162.203 7,162,474 341,841 • • • • MEMORANDA ]) NET DEMAND DEPOSITS SUllJECT TO REVERSE ARE GROSS DEMAND DEPOSITS LESS CASH ITEMS REPORTED AS IN PROCESS OF COLLECTION AND DEMAND BALANCES DUE FROM OOMES:riC BANKS. Alfi I)IFFERENCES BETWEEN THE FIGURES SHOWN AGAINST THIS ITEM AND THOSE COMPILED FROM FIGURES SHOWN AGAINST TilE RELATED DEPOSIT AND DEDUCTION ITEMS ARE ACCOUNTED FOR BY AN EXCESS OF ALLOWABLE DEDUC:riONS OVER GROSS DEMAND DEPOSITS AT A FEW BANKS • J) DEMAND DEPOSITS AOJUSTED ARE DEMMID DEPOSITS OTHER TBAN DOMESTIC COMMERCIAL INTERBANK AND UNITED STATES GOVERNMENT, LESS CASH ITEMS REPORTED AS IN PROCESS OF COLLI!CTION. -· • • •