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FEDERAL RESERVE LIBRARY Aurll 11,^1966 ll.<7l066 April For immediate release !tVt' ASSETS ABD LIABIKCPIES'OF ALL BANKS IN THB UNITED STATES, MARCH 30, 1966 J.4 Item (Partly estimated. In millions of dollars) “ All-All Reserve city banks All coml. member New York City of Other banks banks . City Chicago banks ASSETS Loans and Investments Loans and discounts U. S. Govt* obligations Other securities Reserves, cash, and bank balances Country banks 303,690 249,847 44,003 11,202 249,650 203,490 171,495 55,020 41,230 60,670 37,122 50,790 45,180 33,737 4,271 5,995 8,100 1,532 1,570 66,041 12,259 12,771 63,617 23,168 16,786 361,110 91,071 103,571 54,700 53,750 46,883 10,490 2,172 18,555 15,666 17,590 5,610 13,400 18,100 17,590 5,480 12,630 18,050 17,588 4,237 7,459 17,599 3,966 335 236 5,953 915 83 114 1,060 7,262 1,295 2,073 7,925 5,445 2,524 5,036 2,661 H,330 10,350 9,089 2,990 526 3,150 2,423 427,140 367,790 305,819 57,483 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits . 167,890 167,840 140,466 205,710 152,260 124,790 27,262 19,164 6,420 5,150 TOTAL DEPOSITS 373,600 320,100 265,256 46,426 11,570 16,390 15,374 16,390 5,160 5,160 4,634 147,650 147,600 121,558 204,400 150,950 123,690 5,133 1,065 21,756 18,472 1,217 204 5,035 5,114 7,084 1,655 43,116 46,806 1,9*0 1,710 51,651 53,298 Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES Deposits of banks U> S. Govt, deposits Other demand deposits Other time deposits 13,900 112,776 121,660 51,626 47,035 55,158 53,441 98,661 108,599 6,l4o 6,140 5,757 2,169 619 2,155 8l4 Other liabilities 12,200 11,120 9,756 3,792 588 2,871 2,505 Total capital accounts 35,200 30,430 25,050 5,096 1,123 9,089 9,742 Borrowings 1 f Excludes total coml. -interbank loans* Seasonally adjusted data 299,900 Loans and Investments l/ • Loans and discounts l7-. 199,300 U.S. Govt, obligations.. 55,600 Other securities....... 45,000 NOTE: Comparability of figures affected by changes In FR membership, mergers, etc., and in reserve classifications. CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, FEBRUARY 23, 1966 TO MARCH 30, 19^6 J.4 Item (partly estimated. In millions of dollars)____________________ | Reserve city banks All All V v U U u X Jf All member New York City of Other coml. banks' banks Chicago City banks banks 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 21k ( +2,800 +2,3to- +2,037 + 836 +262 + +4,210 -1,800 + 390 +3,880 -1,860 + 320 +3,383 -1,502 + 156 +1,135 + 11 — 310 +223 - 1 + 40 +1,029 - 900 A + 85 -1,560 -1,590 -1,570 - 691 -272 - 540 - 67 + 800 + 20 - 270 -2,110 + 800 + 20 - 300 -2,110 + 802 + 8 - 277 -2,103 + 291 20 14 — 948 - 4r + 3 - 32 -196 + 469 — 1 - 73 935 + 89 +_26 -A -158 - 24 + 250 + 240 + 235 - 20 + 53 + 193 + r +1,490 + 990 + 702 + 125 + 43 - 133 +667 | +725 +996 , -612 f t 1 +341 j i \ LIABILITIES & CAPITAL Gross demand deposits Gross time deposits -1,180 +3,030 -1,180 +2,560 -1,019 +2,243 306 + 718 - 77 + 4l - 33^ + 807 OJ 1 TOTAL DEPOSITS +1,850 +1,380 +1,224 + 412 - 36 + 473 +315 * - 590 - 310 - 280 +3,030 - 590 - 310 - 280 +2,560 - 575 - 257 - 182 +2,238 446 + 160 + 11 + 687 + + 9 21 65 41 • 118 - 263 21 + 833 - 20 -133 -149 * +677 Borrowings - 590 - 590 - 604 - 135 + 6 - 521 + 46 g Other liabilities + + 70 - 13 - 133 + 72 - 142 +190, Total capital accounts + 190 + 130 + 95 _ + 1 + + 56 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments _ / .. Loans and discounts ZJ" U.S. Govt. obligations. . . 40 19 57 +677 f For numbered footnotes, 1see first page. ^ +2,800 +3,800 - 700 - 300 t CHANGES IN ASSETS AND LIABILITIES OF ALL BAMS IN THE UNITED STATES, MARCH 31, 1965 TO MARCH 30, 1966 J.4 Itsm (Partly estimated. In millions of dollars) Reserve city banks All All All City of New York member coml. banks Chicago Other City banks banks Country banks ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances +25,3^0 +20,391 +4,098 + 892 +5,697 +28,610 +24,450 - 4,470 - 4,020 + 5,020 + 4,910 +20,574 +4,843 - 3,890 - 517 + 3,707 - 228 + 971 - 14 - 65 +7,270 -2,773 +1,200 +29,160 + 7A90 - 586 + 2,800 760 - 866 550 + 550 + + 640 + 640 940 - 1,000 - 1,010 - 1,010 + + - 544 + 432 34 509 + 921 - 494 998 -1,079 + 1,150 + 1,100 + 9S* + 294 TOTAL ASSETS/LIABILITIES +29,^90 +25,680 +20,519 , +li28i _ +1,099 +?z.6.2P . +10^05- + 1,090 +21,620 + 1,090 +18,240 + 51 -1,491 +14,928 +2,920 - ^3 + 525 -1,000 +5,142 + 2,585 + 6,341 +22,710 +19,330 +14,979 +1,429 + 482 +4,142 + 8,926 - 860 - 860 - 3,^30 - 3,^30 + 5,500 + 5,500 +21,500 +18,120 - 977 - 237 - 3,087 - 794 + 4,209 - 367 +14,834 +2,827 - 788 - 299 +1,050 + 519 - 77 -1,434 + 501 +5,152 + 125 - 560 + 3,025 + 6,336 Borrowings + 2,470 + 2,470 + 2,248 + 663 + 341 + 742 + 502 Other liabilities + 1,720 + 1,415 + 213 + 303 + 276 Total capital accounts + 2,590 + 2,330 6l_ + 443 + 801 . i Reserve with FR Banks Cash in vault Balances with banks Cash"items Other assets LIABILITIES & CAPITAL Gross demand deposits Gross time deposits ► TOTAL DEPOSITS Deposits of banks U- S. Govt, deposits Other demand deposits Other time deposits - 820 - + 1,550 Seasonally adjusted data T^one an/3 1 mroQ+.mon+.e *1 /. . +24,400 +23,500 Toans and discounts 1 TT.Q, frTnrfc• ohliffations••••••••»••• - 4,000 + 4,900 -1,107 + 623 + 1,877 + 510 83 .. - 456 + 6l4 , - 72 + 23 + 31 + 101 - 114 + 168 - ^53 - 57 + + 298 284 5 37 + 124 +. 3.82_ + + + + 187., For numbered footnotes, see first page. -4CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SISTBt* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly W" V estimated. ----Item ASS&IS Gold stock Treasury Currency VflYilr ffPftdH* Loans, net U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net In billions of dollars) ------ 1 Change to Mar. 30, 1966 from — Feb. 23, • 31, Mar. 30, Feb. 23, Mar. 31 , 1966 1965 1965 1966 1966 1 19.4 19.4 20.0 — - .6 13-6 5-7 13.7 5.7 14.6 5.4 - .1 + .1 - -9 + -3 "397.2 393.3 367.2. +3-9 „.+22l2 _- 244.2 102.1 239-5 10^.4 217-6 10^.8 +4.8 -1 .^ +26.6 , - 1 .7 .J 60.7 40.5 1.0 62.5 40.0 •9 65.1 37-6 l.l -1.8 + -5 - 4.5 + 2.9 - .1 50.8 50.4 45.8 + .4 + 5.0 » 416.5 412.7 387.2 +3-9_ +29-1_. ! i , ! 1 LIABILITIES AMD CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted l/ Tine deposits adjusted Postal savings deposits T fLrw’wX <»*1rnr mnen‘b yft 0# XJtSjy v dfiDOslts %4vj^vi#awm At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash ftaYvt+Ai nnri miscellaneous account* net Total liabilities and capital, net Seasonally adjusted Currency outside banks Demand deposits adjusted 370.0 365.1 340,1 _ +4.9 35-8 129-6 204.4 •3 35-7 127-7 201.4 •3 33-8 123-0 182.9 .4 + .1 +1.8 +3-0 5.7 6.3 9.5 - .6 + 2.0 , + 6.5 +21.5 - .1 1 -.3,*.§— 5-2 •5 5-5 •9 - -3 - .3 ” 3-4 . - -3 1 1.7 •9 ^8.2 1.6 .8 38.8 8.6 •9 1.6 •7 35-3. + .1 .6 + .2 + 2.9 416.5 412.7 ^87.2 +3.9 +29.^ ^ 36.2 132.4 36.1 128.1 34.1 + .1 +4.3_ + 2 .1 ) + 5.2— m -z I gold account, Treasury currency account, and Exchange Stabilization Fund. 1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $131•9 billion on March 31, 1965* 1