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OF/g o v e r n o r s
G'.7 (Prelimi^#)RESEnVt'^>^

(For Immediate Release)

April 13, 1959

ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, March 25, 1959

4
r

(Partly estimated.
Item

j
„

.

All
hanks*

In millions of dollars)
Member banks
All
Reserve
Central
reserve
commer­
city
city
banks
Total
cial
banks
|
Chicago
New
York
banks*

Country
banksl/

ASSETS

Loans and investments
Loans and discounts
* U. S. Govt, obligations
» Other securities
Reserves, cash, and
bank balances
Reserve with ER Banks
4 Cash in vault
Balances with banks
Cash items
Other assets
r

of the federal reserve system

Total assets

219,210

182,460 152,831

25,59V

6,759

59,526

60,952

122,650
70,310
26,250

99,010 84,884
62,890 51,^07
20,560 16,540

16,147
6,997
2,450

3,551
2,576
632

3^,721
18,946
5,859

30,465
22,888
7,599

42,140

41,270

36,412

7,066

1,745

15,388

12,213

18,100
3,180
10,640
10,220

18,100
3,070
9,920
10,180

18,102
2,311
6,066
9,933

4,012
142
92
2,820

951
30
97
667

7,544
729
2,094
5,021

5,595
1,410
3,783
1,425

4,820

4,340

3,836

1,148

79

1,456

1,153

266,170

228,070 193,079 33,808

8,583

76,370

74,318

136,560
100,780

136,530 117,790
66,690 53,998

23,249
5,378

6,013
1,425

46,593
21,689

41,935
25,506

237,340

203,220 171,788

28,627

7,438

68,282

67,441

15,410
3,840
119,950
98,140

15,410 14,739
3,840
3,454
119,920 102,027
64,050 51,568

5,852
718
18,479
3,578

1,165
230
4,655
1,388

6,438
1,340
39,250
21,254

1,284
1,166
39,643
25,3^

* LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits
’
t o t a l DEPOSITS
►
Deposits of banks
U. S. Govt, deposits
Other demand deposits
4 Other time deposits
♦Borrowings
Other liabilities

4Total capital accounts
V

Total liabilities
and capital

2,090

2,090

1,976

513

296

839

328

4,790

4,070

3,688

1,391

121

1,403

773

21,950

18,690

15,627

3,277

728

5,846

5,776

228,070 193,079 33,808

8,583

76,370

74,318

266,170

* Figures have been rounded to nearest 10 million.
1/ Includes a Virgin Islands member bank.




- 2 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
FEBRUARY 25, 1959 TO MARCH 25, 1959

(Partly estiinated.

Item
4

¥

i♦
*
r

r

All
banks*

In millions of dollars)

All
commer­
cial
banks*

Member banks
Central reserve Reserve
city
city banks
New York Chicago banks
■

Total

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

-

610 -

860

-

673

+

h?

+ 122

507

-

Country
banks l/

-

283
♦ 1,1*60 4- 1,300 + 1,156
- 2,260 - 2,320 - 1,996 - 361*
+
190 ♦ 160 + 167 + 126

+ 111 + 1*1*2
+
1* - 982
*
7 + 33

+ 320
- 65I*
l

- 1.270 - 1.320 - 1.269 -

559

- 207

- 2Rli

- 220

10
10
110
110 11*0 - 190 - 1,010 - 1,010 -

11 +
ge 193 573 -

35
12
1*
577

—

120
2
8
77

29
31
39
185

4* 103
- 1*7
- 11*2
131*

+

7

52

♦

1

6

32

*

20

20

+

4*

81+ - 785

51*5

- 1.860 - 2,160

-

.-

521

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

- 2,380 - 2,380 - 2,069 - 1*76
+ 770 + 1*90 * 398 * 203

- 283
-

275

288

<r TOTAL DEPOSITS

- 1,610 - 1,890 - 1,671

*

♦
190 ♦ 190
590
590 - 1,970 - 1,970
♦ 760 ♦ 1*80

r*

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

* 21*3 * 199
531 - 123
- 1,722 - 1*67
+ 339 + 118

•
-

- 605
+ 11

516

&

■*

91
31 +
10
251*
2li5 - 1*58
2
• 27

-

- 705
♦ 18?

-

mm

—
+

_ 16
11
ll*l*
552
196

Borrowings

-

110 -

110

107

-

210

+

217

-

93

-

21

Other liabilities

-

21*0 -

21*0 -

228

-

58

-

16

-

11*2

-

12

Total capital accounts

*

100

71

k

♦

3

♦

lil*

-*•

28

- 2,160 - 1,935

5l*5

**

81*

Total liabilities
and capital

- 1,860

*

80

+

* Figures have been rounded to nearest 10 million*
l/ See footnote on first page*



mm

785

521

- 3 -

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
MARCH 26, 1958 TO MARCH 25, 1959

All
commer­
cial
banks*

All
banks*

Item

Total

Member banks
Central reserve Reserve
city
city banks
New York Chicago banks

Country
banks l/

♦ 267

<Si

r*
:

In millions of dollars)

4
OJ
»

(Partly estimated.

+ 4.287

*

* 2,649
+ 736
+ 430

♦ 2,296
+ 1,344
♦ 647

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

♦ 13,220 ♦ 11,050

♦ 8.??7

8 ,01*0 ♦ 6,030
3.340
3,190
1,680
1,990

+ 4,795
+ 2,835
1.327

♦

*

Reserves, cash, and
i » bank balances
y Reserve with FR Banks
t» Cash in vault
Balances with banks
* Cash items
IA
Other assets

r

^

*

20

80

4-

210
150 4
590 570 4

Ml

100

mm

4
-

Total assets

210
180
560
570

*

17

+

4
-

4

♦
mm

4
4

_

^88
220
-583
225

+
*

70
172
25

l-»

ESoans and investments

00

ASSETS

63

♦

759

+
♦

4

131
1
7
60

148
4.2
140
709

+
+
+

16 ■
75
307
127

149

4

5

6

+

__6li

590

198
231
3
115 l
441 541 • 355

_

mm

4
4

+

,

- ...... 5 2

50

86

13 ,01*0 + 10,980

+ 8,888

151

4

209

+ .^568-

+ 4.262

2,738

758
+ 420

4
4

17
31

+ 1,881
i*ZZ5L

+ 1,598
+ 2.07.9

7,043

_

4

1+8

+ 3.656

+ 31,617.

4

107
124
237
42

98
701
+ 2,604
* 1,851

- 361
+ 2,020
+ 2,061

+ 260

+

122

+

♦

157

47

*

150

377.

+

mm

mm

LIABILITIES & CAPITAL
|^Gross demand deposits
Gross time deposits
TOTAL DEPOSITS
f • Deposits of banks
, U. S. Govt, deposits
Other demand deposits
► Other time deposits
U
1 Borrowings
pther liabilities
v Total capital accounts
'J
r -1

Total liabilities
and capital

4t 3,530 ♦ 3.530
4
7,000 + 5,290

4

8,820

4

4

10,530

4

150
150
238
1,970 - 1,970 - 1,872
+ 5.71*0 * 5,740
4,886
5,200 * 4,267
6,910

.

*

*

*

1,190 * 1,190

+

200

4-

1,120

+

980

* 13.040

+

10,980

-

10

* 1,121

*

10
686
25
313

•m

4

75

-

189

♦

11

799

*

116

4

28

* 8,888

-

151

4

209

-

*

* Figures have been rounded to nearest 10 million.
* l/ See footnote on first page.




-

338

+

582

+ 4,568

,,

22fl.

+ 4,262

- 4
CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*

6.7
9

All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds 1/
(Partly estimated.
Item

In billions cf dollars)
Change to March 25,
1959 from —
Feb. 25, March 26,
1959
1258. .

March
25,
1959

February
25,
1959

March
26,
1958

25-7

25.7

27.7

20.4
5-2
244.4

22.5
5-2
230.0

121.2
97.0
70.3
25.5
1.2
26.3

20.5
5.2
244.8
119.6
99.1
72.6
25.3
1.2
26.1

113.9
91.9
67 .I
23-5
1.3
24.3

270.1

270.5

257.7

236.9

236.9

224.5

27.9
109.7
98.1
1.1

27-8
110.7
97-4
1.1

27.4
104.6
91.2
1.3

+ .2
-1.0
+ .8
--

+ .5
+ 5.2
+ 6.9
- .2

4.4

4.9

6.4

- -5

- 2.1

3.8
•5

4.4
•5

5*8
.6

- .6
+ -1

- 2.0
- .1

4.0
•7
24.2

3.7
.7
24.2

3-9
•7
22.2

+ .2

+

270.1

270.5

257-7

- .4

ASSETS
[ Monetary reserve
Gold stock
Treasury Currency
'
^"Bank credit
1 * Loans, net
^ „ U. S. Govt, obligations
Commercial and savings banks
Federal Reserve Banks
Other
Other securities
> *ra,

Total assets, net

- 2.0
--

- 2.1
+ .1

- .4
+ 1.6
-2.1
-2.3
+ .1
+ .2

+14.3
+ 7-3
+ 5.0
+ 3.2
+ 1.9
- .1
+ 2.0

- .4

+12.4

LIABILITIES AND CAPITAL

,,Total deposits adjusted and
currency outside banks
Currency outside banks
T *" Demand deposits adjusted
, Time deposits adjusted
Postal savings deposits
■
y
,U. S. Government deposits
■- At commercial and savings banks
At Federal Reserve Banks
^Foreign bank deposits, net
Treasury cash
1Capital and miscellaneous accounts, net
4*
Total liabilities and capital, net

+12.4

.1
_ _

+ 1.9
+12.4

«Seasonally adjusted
+ .1
27.6
28.0
+ .5
28.1
Currency outside banks
+1.0
+ 5.2
106.4
110.6
111.6
Demand deposits adjusted
Figures may not add to totals because of rounding. For description and back figures of
seasonally adjusted data, see July 1957 Bulletin, pp. 828-29*
1/ Treasury funds included are gold account, Treasury currency account, and Exchange
Stabilization Fund.