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FEDERAL

RESERVE

.ioti..ieol

^

a ssets

H .d

and

l ia b il it ie s

of

a ll

c o m m e r c ia l

(PA RTLY EST IM A T ED . IN M IL L IO N S OF DOLLARS
ALL
COML.
BANKS

ALL
MEMBER
BANKS

%
>

^

FOR IMMEDIATE RELEASE
AUGUST

<

I,

1978

BaA lfik
b

IN T t f t '& lI T E D

1

r . ^ C ^ 19’ 1978COUNTRY

NEW YORK

$11TY OF
&11CAG0

S
STATES

^BTHER

BANKS

J j

V

968,050

69 1,2 17

9 9 ,4 2 3

34,222

2 5 4,5 65

3 0 3 ,0 0 7

709,630
95,320
163,100

513,194
6 5 ,7 5 9
112,264

78,778
9 ,4 3 0
11,215

26 ,89 1
2 ,6 6 5
4 ,6 6 6

197,879
2 1 ,0 3 9
35,647

209,6 46
3 2 ,6 2 5
6 0 ,7 3 6

152.340

123,295

3 5 ,1 1 7

6 ,0 2 2

4 7 ,5 7 5

34 ,5 8 1

37,580
14,430
46,480
53,850

3 7 ,5 7 9
10,709
2 3 ,5 9 9
5 1 ,4 0 8

8 ,7 8 7
1,0 1 0
8 ,3 6 4
16,956

2,2 1 2
228
543
3 ,0 3 9

16,126
3 ,6 4 4
5 ,1 2 5
22 ,67 8

10,452
5 ,8 2 7
9 ,5 6 7
8 ,7 3 5

66,750

57,897

2 3 ,5 3 1

3 ,0 9 6

2 4 ,3 9 9

6 ,6 7 1

1.187.140

87 2,4 09

158,071

4 3 ,3 4 0

3 2 6 ,5 3 9

3 4 4,4 59

GROSS DEMANO D EPO SIT S
GROSS TIME D EPO SIT S

346,940
585.730

262,520
4 1 0,6 16

57 ,08 2
4 8 ,4 9 4

10 ,384
18,049

94 ,0 0 7
148,634

101,047
195,439

TOTAL D EPO SIT S

932,670

67 3 ,1 3 6

105,576

28,433

242,641

2 9 6,4 86

51,070
5,890
300,930
574,780

4 6 ,0 1 2
4 ,5 4 4
2 2 0,6 98
401,8 82

2 2 ,4 9 9
573
36 ,84 2
4 5 ,6 6 2

3 ,1 2 5
211
7 ,8 3 0
17,267

14,898
1,9 1 1
60 ,90 1
144,931

5 ,4 9 0
1 ,8 4 9
9 5 ,1 2 5
194,022

110,310

9 5 ,9 0 6

2 4 ,0 3 6

9 ,7 9 3

4 6 ,8 4 0

15 ,23 7

58,630

3 9 ,4 0 0

14 ,816

2 ,1 6 2

14 ,56 0

85,530

6 3 ,9 6 7

13,641

2 ,9 5 2

LOANS AND INVESTM ENTS

2/

LOANS ANu DISCOUNTS 2/
U . S . TREASURY S E C U R IT IE S
OTHER S E C U R IT IE S
R E S E R V E S , CASH, AND
BANK BALANCES
R ESER V ES WITH FR BANKS
CASH IN VAULT
BALANCES WITH BANKS
CASH ITEM S
OTHER A SSET S

3/

TOTAL A S S E T S / L IA B 1 L IT IE S

-

..U A fllL lJlf c S .& ..£ A E lIA L

D EPO SIT S OF BANKS
U . S . GOVT. D EPO SIT S
OTHER DEMAND D EPO SIT S
OTHER TIM E D EPO SIT S
BORROWINGS
OTHER L I A B I L I T I E S

3/

TOTAL C A PITA L ACCOUNTS

4/

|

22 ,4 9 8

1/ 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".
3/ 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",
4/ 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, MERCERS, ETC.



7 ,8 6 0 *
2 4 ,8 7 6 !

u

2CHANGES IN ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES
JU L Y
H .8

12.

1978 TO

(PA R T LY ES T IM A T E D .

JU L Y

19.

1978

IN M IL L IO N S OF DOLLARS)
COUNTRY
BANKS 1 /

ALL
COML.
BANKS

ALL
MEMBER
BANKS

-4,400

- 3 ,3 6 0

-573

-478

-1 ,20 5

-1 ,1 0 4

-4,550
40
+ 190

-3 ,4 1 1
-36
♦87

-465
-10
-98

-387
-48
-43

- 1 ,3 4 3
♦28
♦110

- 1 ,2 1 6

+9,030

♦8,483

♦3,672

♦1,047

♦3,103

♦661

+8,140
80
- 880
+1,850

♦8,144
-54
- 1 ,5 2 1
♦1,914

♦1,897
♦16
- 1 ,0 1 0
♦2,769

♦976
♦2
-64
♦131

♦4,071
-29
-181
-758

♦1,198
-43
-266
-228

3/

-2,200

- l,6 1 o

- 1 ,8 5 5

-76

♦773

-458

TOTAL A S S E T S / L 1 A B IL IT IE S 3/

+2,430

♦3,507

♦1.244

♦493

♦2,671

-901

GROSS DEMAND D EPO SIT S
GROSS TIM E D E P O S IT S

-4,740
+ 500

- 2 ,0 9 7
♦2oa

♦1,544
-2Q9

♦317
-144

-1 ,54 1
.... ♦220

TOTAL D EPO SIT S

-4,240

- 1 ,8 9 7

♦1,335

♦173

-1 ,32 1

- 2 ,0 8 4

- 770
+1,620
-5,450
+ 360

-717
♦1,336
- 2 ,5 7 1
♦55

-725
♦214
♦2,011
-165

♦113
♦72
♦116
-128

-40
♦665
-1 ,9 6 1
♦15

-65
♦385
- 2 ,7 3 7
♦333

+5,150

♦4,110

-609

♦275

♦3,344

♦1,100

+1,680

♦1,439

♦534

♦60

♦746

♦99

- 160

-145

-16

-15

-98

ITEM
a ssel

T"

LOANS AND INVESTM ENTS

2/

LOANS AND DISCOUNTS 2/
U . S . TREASURY S E C U R IT IE S
OTHER S E C U R IT IE S
R E S E R V E S . CASH. AND
BANK BALANCES
R E S E R V E S WITH FR BANKS
CASH IN VAULT
BALANCES WITH BANKS
CASH IT EM S
OTHER A SSET S

______ R ESER V E C IT Y BANKS 1 /
OTHER
NEW YORK C IT Y OF
C IT Y
CHICAGO

-6
♦118

.. J L lA B lL lllf e S . L. CAE1IAL

D E P O SIT S OF BANKS
U . S . GOVT. D EPO SIT S
OTHER DEMAND D EPO SIT S
OTHER TIM E D E P O SIT S
BORROWINGS

t

OTHER L I A B I L I T I E S

3/

TOTAL C A PIT A L ACCOUNTS

FOR NUMBERED FOOTNOTES




SEE

4/

PAGE

1.

- 2 ,4 1 7
♦333 i