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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.