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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