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FEDERAL

RESERVE

statistical

release
For ~ediate release
August 10, 1971

ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES
JULY 28, 1971

H.8

(Partly estUn8ted.
All
com1.
banks

ASSETS
Loans and investments.

In millions of dollars)

All
member
banks

Reserve citv banks
New York City of
Other
Chicago
City
136,792

Country
banks

163,225

476. 970· 376.133•

59,988

16,128

319,440
59,460
98,070

257,988
42,844
75,301

46,382
4.837
8,769

ll,724
1,565
2,839

86,110

75,345

22,281

3,199

26,803·

23,062

24,740
8,030
19,170
34,170

24,739
6,163
11,043
33,400

5,501
489
1,112
15,179

1,450
121
103
1,525

·9,308
1,909
3,340
12,246

8,480
3,644
6,488
4,450

23.210

19.611

5.788

906

7,233

5,684

586.290

471.089

88.057

20.233

170.828

191,971

Gross demand deposits
Gross ttme deposits

230,570
257,380

188,385
199.744

42,380
24.939

8,114
7.299

66,033
72.235

71,858
9s.2n

TOTAL DEPOSITS

487.950

388.129

67.319

15.413

138.268

167.129

28,690
7,380
197,130
254,750

27,240
6,023
157,453
197,413

12,897
1,071
29,379
23,972

1,598
278
6,389
7,148

9,834
2,281
54,884
71,269

2,911
2,393
66,801
95,024

Borrowings

24,380

23,131

5,954

2,489

ll,822

2,866

Other liabilities

29,330

24,274

697

7,953

7,848

Total capital accounts

44,630

35,555

7' 776
7,008

1,634

12,785

14,128

Loans and discounts
U. S. Treasury securities
Other securities
Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets
TOTAL ASSETS/LIABILITIES
LIABILITIES

&

CAPITAL

Deposits of banks
U. S. Govt. deposits
Other demand deposits
Other time deposits

Seasonally Adjusted Data
Loans and investments 1/
Loans and discounts 17
U.S. Treasury securities
Other securities
NOTE:

97,128 102,754
13,487 . 22,955
37,516
26,177

460,000
300,200
62,000
97,800

Comparability of figures affected by changes in FR membership, merg.ers,
etc., and in reserve classifications.




- 2 -

CHANGES IN ASSETS AND LIAB'ILITIES OF ALL CCMMERCIAL BANKS IN THE UNITED STATES
JULY 21, 1971 TO JULY 28, 1971
(Partly estUnated. In millions of dollars}

H.8

All
member
banks

Reserve citv banks
New York City of
Other
City
Chicago

+

924

.-

112

+

+ 800

+

+

910
596
610

+

25
223
136

-

660
700

-3,560

- 3,209 ·+

398

-2,160
+ 250
510
-1,140

- 2,158
+
189
141
- 1,099

65
4
38
291

+

-

+
+
+
+

+

234 +

All
coml.
banks

Item
ASSETS
Loans and investments
Loans and discounts
U. S. Treasury securities
Other securities
Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items

+

-

+

-

+

Other assets

840.

320

TOTAL ASSETS/LIABILITIES -2.400
LIABILITmS

&

3·

+1.149.

-

116

+1,157
305
+ 297

-

186

+
+

36
ll
28

-

79

+

149

-

98

-2.816

-

693

-

-

14
7
5
100

-1,889
73
+
+
17
-1,017

40

+

0

- 2.051 '+

326

-

95

+
+

340
297

+
+

50
29

+

-

-

-

-

348
119
191
273

+

137

-1 610.

-

672

-

916
197

- 1,045
+
270

+

57

+

CAPITAL

Gross demand deposits
Gross time deposits

-2,140
+ 950

- 1 '571
793
+

TOTAL DEPOO ITS

-1,190

-

778' +

637

+

79

-

719

+

70
940
-1,280
+ 960

+

+

124 +
923
774 +
795 +

218
355
484
290

+

+
+

90
105
59
35

+

63
433
423
200

770

-

810

-

120

+

111

Other liabilities

-

520

-

510

-

174

-

286

-

Total capital accounts

+

80

+

47

-

17

+

1

+

Deposits of banks
U. S. Govt. deposits
Other demand deposits
Other tUne deposits
Borrowings




Country
banks

-

-

-

--

77~

+

121
30
894
270

874

+

73

35

-

15

18

+

45

- 3 CHANGES IN ASSETS AND LIABILITIES OF ALL CCMMERCIAL BANKS IN THE UNITED STATES
JULY 29, 1970 TO JULY 28, 1971
H.8

(Partly estimated.

In millions of dollars)

All

All

coml.
banks

member
banks

+51,440

+38,756

+ 1,268

+1,679

+15,898

+19,911

Loans and discounts
+23,110
U. S. Treasury securities + 5,950
Other securities
+22,380

+17,679
+ 3,894
+17,183

+
465
305
+ 1,108

+1,062
- 123
+ 740

+ 7,547
+ 1,822
+ 6,529

+ 8,605
+ 2,500
+ 8,806

+11,180

+ 9,374

+ 3,959

+

639

+ 2,381

+ 2,395

+ 2,640
+
610
+ 3,080
+ 4,850

+ 2,638
+
437
+ 1,629
+ 4,670

+
+

849
33
+ 583
+ 2,494

+

+

545
19
110
185

+
239
+
127
+
711
+ 1,304

+ 1,005
+
258
+
445
+
687

+ 2,870

+ 2,115

+

474

106

+

715

+ 1,032

TOTAL ASSETS/LIABILITIES +65 ,490

+50,245

+ 5, 701

+2__.212

+18,994

+23 338

Item

Reserve city banks
New York City of
Other
City
Chicago

--~~~~~~~~~~----country

banks

ASSETS
Loans and investments

Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets

+

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+19,420
+45,790

+14,830
+36,481

+ 2,749
+ 7,507

+ 656
+1,820

+ 5,264
+12_,296

+ 6,161
+14 858

TOTAL DEPOSITS

+65,210

+51,311

+10.256

+2.476

+17.560

+21.019

+ 4,900
10
+15,590
+44,730

+ 4,730 + 2,983
348 365
+11,450 +
452
+35,479 + 7,186

307
179
+ 625
+1, 723

+ 1,051
150
. + 4,838
+11,821

+
389
+
346
+ 5,535
+14,749

Borrowings

+ 4,530

+ 4,456

+ 1,099

+

800

+ 2,045

+

512

Other liabilities

- 7,370

- 8,030

- 6,322

-1,156

- 1,511

+

959

Total capital accounts

+ 3,120

+ 2,508

+

+

+

+

848

Deposits of banks
U. S. Govt. deposits
Other demand deposits
Other time deposits

Seasonally adjusted data
Loans and investments 1/
Loans and discounts
U.S. Govt. obligations
Other securities




!7

668

+
-

92

900

For numbered footnotes, see first page.
+47,200
+18, 700
+ 6, 200
+22,300

- 4 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banks,
and Treasury Currency Funds
H.8

(Partly estimated.

In billions of dollars)
Change to July 28,
1971 fran -July 28, June 30, July 29,June 30, July 29,
1971
1971
1970
1971
1970

!./

Item

ASSETS
18.2

18.2

18.8

10.3
.4
7.4
603.5

10.3
.4
7.4
605.6

11.4
.4
7.0
539.3

-2.1

+ .4
+64. 2

358.3
129.7

361.1
130.5

336.4
115.1

-2.8
- •8

+21.9
+14.6

62.9
65.8
1.1

63.9
65.5
1.1

56.8
58.3

-1.0

+ .3

+ 6.1
+ 7. 5

115.6

114.1

87.8

+1.5

+27.8

621.7

623.8

558.1

-2.1

+63.6

546.6

545.8

478.3

+ .8

+68.3

50.5
163.0
333.1

46.9
152.2
279.2

-1.1
+1.9

+10.8
+53.9

8.8

50.5
164.1
331.2
10.2

8.4

-1.4

+

7.4
1.4

8.9
1.3

7.4
1.0

+ .1

+ .4

2.5

2.7

2.6

+ .2

-

•5

.5

.5

Capital and miscellaneous account, net

63.3

64.7

68.3

-1.4

- 5. 0

Total liabilities and capital, net

621.7

623.8

558.1

-2.1

+63.6

Monetary reserve
Gold stock
Special Drmving Rights certificates
Treasury Currency
Bank credit
Loans, net
U. s. Treasury securities
Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

-

•6

- 1.1

+ 1.1

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted
Time deposits adjusted

ll

U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash

+ 3.6
.4

-1.5

.1

Seasonally adjusted
+ 3.6
50.0
46.8
+ .4
50.4
Currency outside banks
+10.8
167.4
152.5
-4.1
163.3
Demand deposits adjusted
* F~gures may not add to totals because of round~ng. Treasury funds included are
gold account, Treasury currency account, and Exchange Stabilization Fund.
l/ Demand deposits adjusted, including demand deposits of foreign banks and of
mutual savings banks, were $166.6 billion on July 28, 1971.
!./ Revised.