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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.