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FEDERAL RESERVE Aiigust 10, 1965 For immediate release / \V ASSETS AND- LIABILITIES OF ALL BANKS IN THE UNITED STATES, JULY 28, 1965 J .k Item ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances (Partly estimated. All All coml. banks banks In millions of dollars) Reserve city 1banks All member New York City of Other Chicago banks City Country banks 3*0,660 285,820 235,644 40,802 10,558 87,272 97,012 230,450 187,000 157,345 29,438 61,920 56,090 42,863 4,834 48,290 42,730 35,436 6,530 7,183 1,659 1,716 61,417 13,640 12,215 59,307 22,730 14,975 52,310 51,330 44,703 9,639 2,206 18,133 14,725 17,530 5,4oo 17,530 5,270 17,527 4,051 7,219 4,208 992 65 l4l 7,175 1,213 5,152 2,453 4,820 15,906 4,905 1,008 7,693 2,300 8,221 2,557 389 2,954 2,321 403,330 346,560 288,568 52,998 13,153 108,359 114,058 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 162,950 162,890 136,371 25,643 190,750 139,730 114,845 17,620 6,464 4,848 51,180 43,441 53,084 48,936 TOTAL DEPOSITS 353,700 302,620 251,216 43,263 11,312 94,621 102,020 Deposits of banks * U. S. Govt, deposits Other demand deposits Other tine deposits 4,825 15,380 15,380 14,474 7,260 7,260 6,511 1,501 141,510 141,450 116,404 19,934 189,550 138,530 113,827 17,003 1,152 398 4,936 4,826 6,661 2,613 42,141 43,206 1,836 1,999 49,393 48,792 Reserve with FR Banks » Cash in vault Balances with banks Cash items 13,010 16,370 12,220 16,310 Other assets 10,360 9,410 TOTAL ASSETS/LIABILITIES 320 206 2,052 4,850 4,850 4,598 1,426 415 2,257 500 .pther liabilities 10,970 9,820 8,561 3,218 330 2,725 2,288 Total capital accounts 33,810 29,270 24,193 5,091 1,096 8,756 9,250 borrowings 1/ Excludes total coml. interbank loans. Seasonally adjusted data 281,500 T/mns and inves+.men+.s 1/ Loans and discounts i/......... 182,800 56,100 ** U.S. flovh. ohliffAtlons. ........ 42,600 Other securities....... NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 30, 1965 TO JULY 28, 1965 J.4 Item - A. (Partly estimated. In millions of dollars) Reserve city banks "Air .Air All member New York City of coml. banks Chicago Other banks City banks ASSETS Loans and investments Country banks + 362 ■ 600 - 1,050 -1,214 -1,400 -244 + 480 9io 690 710 570 -1,057 - 639 + 482 -1,509 72 + 181 -198 - 84 + 38 + 348 - 363 + 83 + 302 - 120 + 180 - 5,750 - 5,7io -5,326 -2,590 -104 L-1,725- - 857 - 440 - 440 200 + 200 + - 1,060 - 1,020 - 4,450 - 4,450 - 441 + 153 - 677 -4,361 77 + 6 - 105 -2,4l4 + + - 180 - 201 - 275_ - 6,510 - 6,940 -6,741 -4,265 -348 -1,678 - 450 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits -10,020 -10,020 + 1,900 + 1,610 -9,446 +1,399 -4,4o4 + 301 -446 + 71 -3,262 + 478 -1,334 + 549 TOTAL DEPOSITS - 8,120 - 8,410 -8,047 -4,103 -375 -2,784 - 785 1,690 - 1,690 4,870 - 4,870 3,490 - 3,490 1,930 + i,64o -1,671 -4,417 -3,384 +1,425 - 799 -1,145 -2,492 + 333 -165 - 668 -1,761 - 822 + 467 - 39 ‘ -1,210 - 85 * + 549 Borrowings + 1,350 + 1,350 +1,218 + + 914 + Other liabilities + 130 Total capital accounts + 130 + 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 + 160 A V»l /* v> Cloov DGOft'hvD fl V4 /UI Gtx TOTAL ASSETS/LIABEITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 570 + + 1 120 + 89 31 1 16 90 -301 + 15 + 76 38 68 - 177 + 65 - 255 -1,408 - 156 + 81 - 333 * - 449 _ + + 29 - 204 + 28 + 169 + + - 1 + 23 + 4 45 . 266 For nuiinhered footnotes, see first page. Seasonally adjusted data 700 Loans and investments 1/ + 200 < T rkono Q Kirl ar*miirh.cj 1/. 1,500 tt ^ nhl 1nations. .*••••••• + 600 - 6 ' •v 63 A* -3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JULY 29, 1964 TO JULY 28, (Partly estimated. J.4 Item All banks 1965 In millions of dollars) All coml. banks Reserve city banks All member New York City of Other Chicago City banks Country banks ASSETS +31,330 +27,180 +22,009 +4,839 +1,164 +7,192 . + 8,814 " Loans and discounts v, U. S. Govt, obligations Other securities +27,500 +23,160 +19,303 +4,259 - 2,390 - 2,190 - 2,360 - 488 + 6,220 + 6,210 + 5,066 +1,068 +1,091 78 + 151 +6,860 -1,378 +1,710 + 7,093 - 4l6 + 2,137 .Reserves, cash, and bank balances + 3,730 + 3,610 + 2,971 + + + 924 + 962 ^ Reserve with FR Banks Cash in vault Balance with banks Cash items + 790 + 480 + 740 + 1,720 - 30 + 13 + 1 + 131 + 169 + 101 - 57 + 711 + + + + 244 209 230 279 'Other assets + 1,320 +1,240 + + + 419 + ^7CL Loans and investments ^ + 790 + 480 + 630 + 1,710 + 791 + 359 + 187 + 1,634 970 + 408 + 36 + 13 + 513 982 + 52 TOTAL ASSETS/LIABILITIES +36,380 +32,030 +25,962 +5,861 115 i4l +1,420 .+8jJ>25_ +10.146 LIABILITIES & CAPITAL + 3,107 + 5,857 + 8,380 + 8,370 + 6,338 +1,057 +22,490 +18,540 +15,449 +3,731 + + “TOTAL DEPOSITS +30,870 +26,910 +21,787 +4,788 +1,021 . +7,012 + 8.964. Deposits of banks U. S. Govt, deposits , Other demand deposits Other time deposits + 920 + 1,920 + 5,820 +22,210 + + + 20 113 246 684 + 226 + 688 + 986 +5,112 + 163 + 429 + 2,525 + 5,847 Borrowings + ■ Other liabilities Total capital accounts Seasonally adjusted data Loans and investments Loans and discovints U.S. Govt, obligations Other securities.... + 920 + 1,920 + 5,810 +18,260 + 860 + 1,674 + 4,085 +15,168 + 491 + 444 + 328 +3,525 344 679 +1,830 +5,182 • Gross demand deposits jGross time deposits 858 - 50 + 214 + 610 + 84 + 1,670 + 1,540 + 1,071 + 420 + 105 + 282 + 264 + 2,940 + 2,680 + 2,246 + 703 + 78 + 631 + 834 900 + 900 + For numbered footnotes, see first page. +27,000 +23,100 - 2,300 + 6,200 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. Item In billions of dollars) Change to July 28, 1965 from June 30, | July 29, | June 30, | July 29, IJuly 28, IS 1< ASSETS 19-3 21.0 15.5 5.4 13.9 5.4 376.3 226.2 101.8 378.7 228.1 102.9 Monetary reserve Gold stock . Treasury Currency Bank credit Loans, net U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net 13-9 61.9 39-2 .6 48.3 395.5 62.6 39-1 1.2 47.7, .1 5.6 341.3 1 -2.5 199-3 . ? ? -£ 64.3 34.8 •7 42.1 1.8 .1 - -1.9 -1.1 - .7 + .1 - .5 + .6 398.1 1 362.3 I -2.5 - 1.6 - .2 +35.0 +26.9 + 1.9 - 2.4 + 4.4 .1 - + 6.2 * +33-2 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits U. S. Government deposits 34.5 125.1 189.5 •3 346.6 321.7 34.4 124.2 32.9 121.0 167.3 .4 187.6 .4 +2.9_ + 1.6 +1.0 +1.9 + 4.1’ +22.2 - .1 + 2 .0 , At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Total liabilities and capital, net Seasonally adjusted 1 , . + 1.6 + h* 2^ * Currency outside banks o *k J— H h z — 1— ■ --- -— -- -— -— -— Demand deposits adjusted_______ * Figures may not add to totals because of rounding. Treasury inc^ * d ar JSjnfc Treasury currency account, and Exchange Stabilization Fund. 1/ £ £ & S S , l n « demand deposits of foreign end of savings banks, vere $127.4 billion on July 28, 1965*