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6 .7

B

IF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
?
*
<■%/
(For Immediate Release)
April 11 , 1961
T«*
•Jfc.
,
'
'
#**
V
.
^5?L ^ ' J^ ^ l JITIES 0F AH. BANKS IN THE UNITED STATES, MARCH 29, 1961
(Partly estimated.
Item

ASSETS
r
hi 1 1
"I*
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

All
banks*

In millions of dollars)

All
commer­
cial
banks*

Member banks
Central reserve Reserve
Total
city banks
city
New York
1 hflnlro

Country
banks

237,350

197,990 164,875i 27,370

.7,049

62,559

67,897

143,860

116,64o

65,920
27,570

59,670

39,928
16,947
5,684

36,864

21,680

4,403
1,939
707

42,960

42,040 _36j 842

7,837

1,635

14,891

12,479

15,840
3,750
11 ,430
11,940

15,840
3,630
10,660
11,910

3,386

819

1,663
4,249
1,595

6,600 -- 5,990
286,910

»LIABILITIES & CAPITAL

246,020

99,4731 18,278
48,03c' 6,358
17,372: 2,734

15,840
2,734

22,786
8,247

6,657
11,611

200
182
4,069

685

6,663
838
2,128
5,262

-5,382

1,886

142

1.909

1, W-5

8.826 _79, 359

81.821

5,676

20L 029 -31*023,

33
98

4,972

•

£Fross demand deposits
Gross time deposits

140,020
113,000

139,990 119,672 24,337
-76,340 61,765 . .JL.987

1.760

46,264
23.

43,395

TOTAL DEPOSITS
V
J Deposits of banks
^U. S. Govt, deposits
Other demand deposits
Other time deposits

253,020

216,330 181,437

30,324

7,436

70,197

73 ,480

1,267
1,679

6,627
1, 592
38,474
23,504

1,398
1,311
40,837
29,934

15,480
4,44o

122,200
110,900

15,480

14,845
3,983

74,240

59,839

5,553
846
19,203
4,722

4,440

122,170 102,770

234

4,256

30. Ofis

borrowings

1,880

l,880

1,827

477

362

694

294

gther liabilities

7,290

6,640

6,184

2,717

201

1,879

1,387

24,720

21,170

827

6,589

6,660

286,910

246, 020

8,826

79,359

81,821

Total capital accounts
^

Total liabilities
and capital

17,651 .3,575

207,099 37,093

* Figures have teen rounded to nearest 10 million.
NOTE— During March total asse'ts of $600 million, shifted to country hanks as a result of
the
reclassification of reserve city banks.



-2-

0.7

b
.A

CHANGES IN ASSETS AMD LIABILITIES OF ALL BANKS IN CfflE UNITED STA'ITjS
MARCH 1 , 1961 TO MARCH 29, 1961
'
(Partly estimated.

In Billions of dollars)

All
Member bank#
All
coEiiierCentral reserve Reserve
banks*. citd
Total
city banks
city
1/ banks#!?/
New York j Chicago
banka

Item

Coufttryw
banks

fc

+

r .

ASSETS
-1,610

Loans and investment#

-1,310

- l,l4 l

-

320

45

- 1,920
+ 690

80
-i,6 4 o
+ 4io

85
-l,4 o 8
+ 352

+ 137
- 617
+ 160

- 131
+ 53
t
33

- 354
- 574
+ 17

+ 263
- 270.
+ 142

:.3jJOQ

-3,390

-3>058

-

-

p59

-1,352

-

- 210
+ 240
- 750
- 2,500

- 210
+ 24o
- 84o
- 2,580

- 215
+ 196
- 509
-2,530

14
+ 14
+
6
- 809

90
+
3
23
- 144

- 105
t* 80
55
-1 , 272.

+ 99 „
- 432
- 305 \

±-.310

+

290

258

+ 216

+

12

10

4o

- 4 ,600

-4,4.10

)•94l

907

-

292

-2,273

469

Gross demand deposits
Gross time deposits

-5,350
+ 940

- 5,350
+ 920

-4 ,772
+ 807

-1,034
+ 327

-

495
19

- 2,190
31

-1,053
’•*
.+ 530 %

TOTAL DEPOSITS

-4,4io

-dLiSo

- 740
- 1,670
- 2,920
+ 920

- ?4o
- 1,670
- 2,920
+ 900

Borrowings

+

20

+

Other liabilities

-

l4o

Total capital accounts

-

70

Loans and discounts
U. S. Govt, obligations
Other securities

-

Reserves, cash, and
bank balances
Reserve with PR Banks
Cash in vault
Balances with banks
Cash items
Other assets
Total assets

380

803

r

911

1 3 5

644
6

LIABILITIES & CAPITAL

Deposits of banka
U. S. Govt, deposits
Other demand deposits
Other tiine deposits

Total liabilities
and capital

-4 ,600

-I.Q1 -- --514

- '706
- 1,452
-2,583
+ 776

20

-

53
409
34

'4 i4

+

224

-

223
22

-4 ,4 io

-3,941

* Figures have been rounded to nearest 10 Billion.
r/ March 1 figures have been revised.
Note— See note on first page.



86
173
757
309

3
+

-

907

18

-

l

292

2,221

ji— 523-

- 538
-. 647
-1,014

64
- 579
- 403
+ 523

■

22

+ 117

+

75

185

-

35

+ ' 16

+

14

-2,273

-

469

-

♦«*

# G.7
*

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
MARCH 30, i960 TO MARCH 29, 1961
(Partly estimated.

►
i
/

Item

ASSETS
■V
'Loans and investments

All
banks*

In millions of dollars)

All
commer­
cial
banks*

Member banks
Central reserve JReserve
Total
city banks
city
New York I Chicago banks

Country
banka

+13,580

+12,310

+11,113

+3,028

+419

.+4,114

+3,552

Loans and discounts
.+ 6,850
U. S. Govt, obligations + 4,860
” Other securities
+ 1,870

+ 5,250
+ 5,510
+ 1,550

+ 4,387 + 4l6
+ 5,344 +2,075
+ 1,382 + 537

+268
+ 73
. + 78

+1,536
+2,257
+ 321

+2,167
/ 1
+ 939+ 446

72 +

+ 31

-

153

+ 133

+
+
+

24
5
46
4

- 559
+ 85
+ 139
+ 182

- 46o
+ 125
+ 443
+ 25

+ 47

+ 215

+ 165

+Ji2Z_.

+4,176

-+ 2 ^ 0

‘Reserves, cash, and
~ bank balances
Reserve with FR Banks
* Cash in vault
„ Balances with banks
Cash items
V**
Other assets

+

430 +

- 1,710
+ 290
+ 880
+ 970
+

260

- 1,710
+ 270
+ 730
+ 970

910 +

860

+

61

- 1,715 - 672
+ 26l + 46
43
+ 585 + 941 + 730
+

822 + 395

+14,920

+13,430

+12,007 +3?484

.Gross demand deposits
"Gross time deposits

+ 3,210
+10,180

+ 3,210

+ 2,920
+ 7,802

+121
+1,24o
+1,653 ....+337

+ 965
+3,030

+ 594
+2,782

.{L'OTAl DEPOSITS

+13,390

+11,980

+10,722

+2,893

+458

+3,995

+3,376

f Deposits of banks
» U. S. Govt, deposits
Other demand deposits
Other time deposits

+ 1,530
230
+ 2,480
+ 9,610

+ 1,530
230
+ 2,480
+ 8,200

+ 1,473
165
+ 2,129
+ 7,285

+ 758
+ 28
+ 806
+1,301

+ 24
- 7
+153
+288

+ 568
+ 29
+ 48o
+2,918

+ 123
- 215
+ 690
+2,778
-

Total.assets
,LIABILITIES & CAPITAL

7

♦
Borrowings
M
pther liabilities

- 1,410

- 1,410

- 1,389

- " 474

-105

-

+ l,48o

+ 1,550

+ 1,518

+ 874

+ 69

+ 3H

+ 264

Total capital accounts

+ l,46o

+ 1,310

+ 1,156

+ 191

+ 75

+ 474

+ 4l6

*
Total liabilities
+14,920 +13,430
f
and capital
*.....— — ......... ...... .............. —,
•S'

+12,007

+3,484

+497

+4,176

+3,850

* Figures have been rounded to nearest 10 Billion.
Note— See note on first page.



6o4

206

_4 _
CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
G .7

All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds l/
(Partly estimated.

Item

In billions of dollars)

March 29,

1961

March 1, March 30,
1961 r/ I960

Change to March 29,
1961 from — \
March 1, March 30>
I960
1961
■*4

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

- 2.0
- 2.0

22.8

22.8

17 A
5-4

17-4
5-4

263.1
142.1
93-4
65.9
26.7

264.7
1 ^2.5
95-3

247.6

67.8

61.1

26.7

.8

.8

25*3

27.6

26.9

25.7

285.9

287.5

272.4

- 1.5

+13.5 %

249-9

249-5

239.0

+

.4

+10.9

28.0

28.1
108.8

•7

•7

101.3
•9

+

.2

110.9

28.2
110.6
110.0

4.9

6.5

5.2

4.4
•5

6.1

4.7
•5

3-3
.4
27.3

3-1
.4
27.9

24.7
19.4
5-3

13^.6
87.3

- -

+

—

- 1.6
- -3
- 1-9
- 1.9

1.0

+

*
-

.1

+15.5
+ 7-6 ^
+
6.1 .
+
4.9 ’
+
1.4
- .2 <

.. .7

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted
Time deposits adjusted
Postal savings deposits
U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous accounts, net
Total liabilities and capital, net

* 110.3

285-9 '

.4

287.5

2-7
.4
25,1....
272.4

-3
-9

1.5 **
9.6
- .2
<

+

+

- 1.6

-

- 1-7

-

*2

+

.6

+

'

V

\

.1

+

.2

-

.6....

- 1-5

♦

*

+1 3 -5._

Nr
Seasonally adjusted
.1
.2
2
8
.4
2 8.3
Currency outside banks
+ 1 .0 ^
+
1.2
111.1
112.1
Demand deposits adjusted
* Figures may not add to totals because of rounding. For description and back figures of-^
seasonally adjusted data, see February i960 Bulletin, pp. 133-136•
1/ Treasury funds included are gold account, Treasury currency account, and Exchange
Stabilization Fund.
Digitized
FRASER1 figures have been revised.
tJ forMarch
http://fraser.stlouisfed.org/
2/ February seasonal factor used to adjust March 1 data.
Federal Reserve Bank of St. Louis