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statistical

releasr
For immediate release
April 10, 1969

ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES
MARCH 26, 1969
(Partly estimated. In millions of dollars)

H.8
Item

All

All

coml.
banks

member
banks

393,570

318,742

53,942

264,380
58,180
71,010

219,595
42,709
56,438

72 '010

Reserve city banks

-N-ew--~Y~or~k~C~~~-t~y~o~f~~~----

Other

Country
banks

14,146

116 '128

134,526

41,875
4,574
7,493

10,313
1,634
2,199

83,534
12,738
19,856

83,873
23,763
26,890

63' 749

18,680

2,768

23,094

19,207

21,990
6,570
14,980
28,470

21,993
5,066
8,759
27,931

4,903
402
436
12,939

949
88
499
1,232

8,922
1,575
2,255
10,342

7,219
3,001
5,569
3,418

15,810

13,718

4,154

782

4,706

4,076

City

Chicago

ASSETS
Loans and investments
Loans and discounts
U. S. Govt. obligations
Other securities
Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets

TOTAL ASSETS/ LIABILITIES =4=8:::::1:::,3::9:::0=f:::::3::9=6:::'2:::::0:::::9=!==7:::6::::,:::::7::::7::6=t=:::l:7:,::69::6=f:::::l:::4::3::'9::2::8*;15::7d'::8::0:::9
LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

199,800
202,630

166,313
161,372

36,690
18,356

7' 134
5,655

58,974
61.665

63,515
75,696

TOTAL DEPOSITS

402,430

327,685

55,046

12,789

120,639

139,211

20,920
4,460
175,760
201,290

19,792
3,681
143,989
160,223

8,030
430
28,746
17,840

1,284
92
5, 775
5,638

8,166
1,493
49 '751
61,229

2,312
1,666
59' 717
75,516

Borrowings

14,360

13,636

4,010

1,418

6,763

1,445

Other liabilities

27,320

24,546

11,567

2,054

5,648

5,277

Total capital accounts

37 280

30 342

6 153

1 435

10 878

11 876

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

Seasonally adjusted data
Loans and investments 1/
Loans and discounts lf
U.S. Govt. obligacions
 Other securities


!/

385,900
257,300
57,100
71' 500

Excludes total com1. interbank loans.
NOTE: Comparability of figures affected by
changes in FR membership, mergers, etc.,
and in reserve classifications.

- 2 -

CHANGES IN ASSETS AND LIABILITIES OF ALL C!l1MER.CIAL BANKS IN THE UNITED STATES
MARCH 19, 1969 TO MARCH 26, 1969

H.8

(Partly estimated.

In millions of dollars)

All
coml.
banks

Item
ASSETS
Loans and investments
Loans and discounts
Govt. obligations
Other securities

u. s.

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

+

960
620
420
80

All
member
banks

-

+

887
623
286
22

Reserve city banks
New York City of
Other
City
Chicago

-

838

+174

-

147

- 76

792
+ 58
- 104

+169
+ 21
- 16

-+

11
162
26

+11
-203
+116

-1 ,_462

-628

-

-130
+ 75
-268
-305.

-2,630

-2,374

·+

299

-583

+ 120
+ 170
- 680
-2,240

+
+

+ 811
+
3
- 75
·- 440

-305
+ 2
- 46
-234

+

-1-

123
128
- 498
-2,127

Country
banks

253
48
109
-1,148

+

-

-3 480

-3 184

-

626

-383

-1 543

-632

Gross demand deposits
Gross tUne deposits

-3,970
+ 340

-3,496
:- 222

-1,056
+
2

-155
- 21

-1,337
+ 35

-948
:-206

TOTAL DEPOSITS

-3 630

-3 274

-1 054

-176

-1 302

-742

- 320
-2,530
-1' 110
+ 330

-

272
-2,286
- 926
+ 210

+ 225
732
- 550
+
3

- 59
-191
+ 95
- 21

-

351
844
- 129
+ 22

- 87
-519
-342
+206

-251

-

144

+ 46

Other assets
TOTAL ASSETS/LIABILITIES
LIABILITIES

&

110

77

87

-1-

26

-i-

66

+ 72

CAPITAL

Deposits of banks
u. S. Govt. deposits
Other demand deposits
Other time deposits

-

Borrowings

+

40

+

11

+

360

Other liabilities

+

60

+

40

+

99

1-

42

-

145

+ 44

Total capital accounts

+

50

+

39

-

31

+

2

+

48

+ 20




- 3 CHANGES

rn

ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS

rn

THE UNITED STATES

MARCH 27, 1968 TO MARCH 26, 1969

H.8

(Partly estimated.

Item

In millions of dollars)

All

All

coml.
banks

member
banks

+35, 660

Reserve city banks

~N-ew~Y~o·r~k~C~i~t~y~o~f~~~----- Country

Other

banks

+1' 624

+11' 064

+11' 558

+4,541
577
+
5

-

+1,410
- 112
!··
326

+10,302
- 1,052
+ 1,814

+ 9,039
- 1,060
+ 3,579

+ 7,312

+4,405

-

47

+ 1,274

+ 1,680

1,140
·+ 320
+ 1,080
+ 5,520

1,148
188
+
527
+ 5,449

+

275
18
24
-+:
+4,124

-

+
+
+

182
7
106
22

+
+

-62

198
+ 1,014

+ 1,055
+
137
+
199
'
289

+ 2,800

+ 2 280

+ . 499

+ 145

+

591

+ 1 045

+46 520

+37 807

+8 873

+1 722

+12 929

+14 283

Gross demand deposits
Gross time deposits

+14, 670
+13 270

+12, 102
+ 8 880

+4,281
-1 910

+

-

531
192

+ 3,361
+ 3 658

+ 3,929
+ 7 324

TOTAL DEPOSITS

+27,940

+20,982

+2,371

+

339

+ 7,019

+11,253

+ 2,930
- 1,190
+12,660
+13' 540

+ 2,746

+1,916
- 911
+3,079
-1,713

+ 146

526
315
+ 3,064
+ 3,744

+

- 1,321
+10,402
+ 9,155

Borrowings

+ 6,210

+ 5,981

+1,727

+ 565

Other liabilities

+ 9,690

+ 8,752

+4,362

-l-

706

+ 1,879

+ 1,805

Total capital accounts

+ 21680

+ 2,092

-1··

413

+

112

+

+

City

Chicago

+28,215

+3,969

+30,810
- 3_,020
+ 7,870

+25,292
- 2,801
+ 5, 724

+ 8,060

ASSETS
Loans and investments
Loans and discounts
Govt. obligations
Other securities

u. s.

Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets
TOTAL ASSETS/LIABILITIES

-1-

-I-1-

LIABILITIES & CAPITAL

Deposits of banks
u. S. Govt. deposits
Other demand deposits
Other time deposits




!7

-

+

-

·-l-

3,240

791

158
23
+ 3,795
+ 7,323

+

For numbered footnotes, see first page.

Seasonall~

adjusted data
Loans and investments 1/
Loans and discounts
U.S. Govt. ob 1 iga t ions
Other securities

-

+

72
464
199

+33,400
+28,300
- 2,800
+ 7,900

449

776

- 4 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banks,
and Treasury Currency Funds

H.8

(Partly estimated.

In billions of dollars)
Change to Mar. 26,
Mar. 26, Feb. 26, Mar. 27, 1969 from -Feb. 26, Mar. 27
1969
196f/
1968
1969
1968

Item

ASSETS
Monetary reserve
Gold stock
Treasury Currency
Bank credit
Loans, net
U. S. Govt. obligations
Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

17.2

17.2

17.3

-

.1

10.4
6.8

10.4
6.8

10.5
6.8

-

.1

502.7

501.7

468.0

+1.1

+34.8

306.6
114.2

305.5
115.1

279.3
116.3

+1.2
- •9

+27.3
- 2.1

62.2
52.0

63.1
51.9

-1.0

- 3.5

+ .1

+ 2.5

.1

.1

65.6
49.5
1.2

81.9

81.1

72.3

+ .8

+ 9.6

519.9

518.9

485.2

+1.1

+34.7

457.2

455.9

429.5

+1. 2

+27.7

42.8
147.3
267.1
5.0

42.3
147.5
266.2
6.7

39.8
140.2
249.5
6.6

-:- • 5

+ 2.9

- •2

+ 7.1

+ .9
-1.7

1-17.6
- 1. 7

4.5
.5

6.0
.6

5.7
1.0

-1.6
- .1

- 1. 2
.5

2.1

2.1

2.0

.7

1.1

- .1

.4

46.0

+1.6

+ 8.9

485.2

+1.1

+34.7

- 1. 2

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted
Time deposits adjusted

l/

U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Capital and miscellaneous account, net

55.0

.8
53.4

Total liabilities and capital, net

519.9

518.9

Treasury cash

+

.1

Seasonally adjusted
Currency outside banks
42.8
40.2
+ .4
+ 3.0
43.2
147,Q
Demand deposits adiusted
142.4
+ 7.3
+1.8
149 7
* F1gures may not add to totals because of round1ng. Treasury funds 1ncluded are
gold account, Treasury currency account, and Exchange Stabilization Fund.
ll Demand deposits adjusted, including demand deposits of foreign banks and of
mutual savings banks, were $150.2 billion on March 26, 1969.
El Figures for mutual savings banks were revised.