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-

fEDERAL

·o
.........

RESERVE

statistical

relea!e
FOR

IMMEOlAT~

REL~ASE

APRIL 25, 197&
A~SETS

H.8

AND LIABIL~Tl~~ OF A~l COMMERCIAL BANKS IN THE UNITED STATES

(PARTLY

t~T~~~-L~

APRIL 12, 1978

MiUllONS Of DOLLARS)
-

.

ALL
COML.
BANKS

All
Mt:MbER
bANKS

RESERVE CITY BANKS l/
OTHER
NI::W YORK CITY OF
CHICAGO

ASSET;>
LOAN~

COUNTRY
BANKS .V
'

AND INVESTMENTS '!)

LOAIIIS AND OlSCCUNTS '!:._/
TREASURY SECUR IllES
OTHER SECURITIES

u.s.

RESERVES, CASH, ANU
bANK BALANC~S

950 670

680,108

99,165

34,354

248,607

297,982

689,310
101,040
160,320

498,214
71 '000
llO ,894

76,712
l l ' 78 7
10,666

26 '011
3,3.32

s,oos

190·, 891
21,971
35 9'745

204;'594
33,910
59,lt78

132 980

105,500

"6,620

4,536

41,552

32,792

10,720
3,398
5,105
22.,329

8,817
5,415•
lll,055
8,505

,.

'

26,110
13,600
43,770
49,500

26, no
10,055
22,527
46,808

72 640

lOT Al ASSETS/llAbiLITIESl/ 1 156 290

RESERVES WITH F-R I)ANKS
CASH IN VAULT
BALANCES WITH BANKS
CASI-l 1 TEMS
OTHtR ASSETS

ll

1,038
6,840
13,453

1,284
204
527
2,521

62,961

27' 181

3,602

2.4,331

7,&47

848t_569

152,966

42,492

314,490

338,621

...

5,2~9

'

LlABlllilfS-~-~Aellal

bROSS DEMAND DEPCSITS
GROSS TIME DEPOSITS

341,540
569 680

257,057
400,453

52,137
47,478

9,816
17' 1&2

93,776
142,672

101,328
192,521

TOTAL OEPOSlTS

911 220

657,510

99,615

27,598

236,448

293,849

47,400
4,020
299,600
560,200

42,04&
3,045
219,124
393,293

19,857
409
34,083
45,266

2,d17
131
7,681
16,969

14,072
1,169
81,438
139,769

5,302
1,336
95,922
191,289

108,480

93,997

27,411

9,o60

43,660

13,266

53,110

34,487

12,465

2,349

12,362

7,311

83,480

62,575

13,475

2,&85

22,020

24,195

DEPOSITS OF BANKS
U.S. GOVT. DE:PI.JSITS
OTHER D~MAND DEPOSITS
OTHER TlME DEPOSITS
BORROWINGS
OTHER. LIABlllTH:S

~j

TOTAL CAPll AL ACCOUNTS f!/

l/

AS OF NOV. 9, 1972, THE DEFINITIONS OF RESERVE CITY AND COUNTRY BANKS WERE
CHANGED (SEE FEDERAL RESERVE BULLETIN, NOV. 1972, P. 994)·. THE CLASSIFICATIONS
EMPLOYED HERE ARE THE SAME AS THOSE PRIOR TO THE CHANGE IN DEFINITION SO THESE
'
SERIES ARE CONTINUOUS OVER TIME.
2/ INCLUDES "RESERVES FOR LOAN LOSSES" AND "UNEARNED INCOME ON LOANS".
}/ EFFECTIVE MARCH 31, 1976 "RESERVE FOR LOAN LOSSES" AND "UNEARNED INCOME ON
LOANS", WHICH FOR ALL COMMERCIAL BANKS ARE ESTIMATED TO BE APPROXIMATELY $14.5
BILLION, HAVE BEEN NETTED AGAINST "OTHER ASSETS" AND "OTHER LIABILITIES" AND
THEREFORE, AGAINST "TOTAL ASSETS/LIABILITIES".
'
f!:_/ EFFECTIVE MARCH 31, 1976 INCLUDES "RESERVES FOR SECURITIES" AND A PORTION OF
"RESERVES FOR LOAN LOSSES".
NOTE: COMPARABILITY OF FIGURES AFFECTED BY CHANGES IN MEMBERSHIP, MERGERS, ETC.




- 2CHANG~S

IN

A~S~TS

AND LIA&ILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES

5, 1978 TO

APRIL

(PARTLY ESTlMAH:D. lf\1 MILLIONS ·Of DOLLARS)

H.8

All
COML.
BANKS

IHM

ASSETS
LOANS AND

ALL
MEMBER
BANKe;.

RFc;.FilVF

CITY

NEW YORK

CITY OF

ClTY

CHICAGII

P.b.IIIKc;.

1/

OTHER

!.f

INVE~TMENTS

~/

LOANS AND DISCOUNTS ~/
U.S. TREASURY SECURITIES
OTHER SECURITIES
RESERVES, CASH, AND
BANK BALANCES
RESERVES WITH FR BANKS
CASH IN VAULT
BALANCES WITH BAN~S
CASH 1 TEMS
OTHER ASSETS '}_/
TOTAL

APRIL 12, 1978

~I

- 3 070
- 4,920

COUNTRY
BANKS l..

-846

-1,053

-2-048

+473

+ 590
+ 1,260

-4,938
+429
+ 1,035

-1,532
+374
+312

-733
-319
-1

-2,689
+1&9
+452

+16
+185
+272

- 5 630

-5.571

-4,587

+135

-451

-668

+ 1,020
+ 1,490
- 3,200
- 4,940

+1 ,023
+1,083
-2,949
-4,728

+858
+19
-1,824
-3,640

+15
+12
+48
+60

+91
+425
-471
-496

+59
+627
-702
-652

80

+284

-118

+500

+133

-171

+

ASSETS/LlABILITlES'}_/~-=8~62=0==~=-=8=1·=7=6=1~==-=5~··6==11==~==-~4-1~8~=-~2-~~n.•.f.~====-~-~~~n.~n.

LIABILITIES t

CA£11~

GRUSS DEMAND DEPOSITS
GROSS TIME DEPOSITS

- 9,480
- 1,340

-8,679
928

TOTAL DEPOSilS

-10,820

-9,607

-

4,860
2,540
2,190
1,230

-4,556
-1,990

DEPOSITS OF ~ANKS
U.S. GOVT. DEPOSITS
OTHER D~MAND DEPOSITS
OTHER TIME DEPOSITS

-505
+95

-1,571
-f.n.4

-47'i

-410

-2 23'i

-1.087

-327
-111

-825

-2,366
-304
-3,237
+32

+92

-1,461
-&29
+529
-474

-402
-746
+536
-475

60

-129

+215

-463

+52

+67

+ 2,100

+835

+18

+465

-279

+631

+

+140

+31

-10

+96

+23

BORROWINGS
OTHER LIABILITIES

'}_/

TOTAL CAPITAJ_ ACCOUNTS f!/
FOR NUMBERED FOOTNOTES SEE PAGE 1.
REVISED

~/




-5,991
+116

160

-2,236

-64

-612