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FEDERAL RESERVE August 12, 1<?64 For immediate release ASSETS ALL BANKS IN THE UNITED STATES, JULY 29, 1964 J. 4 All banks Item A All coml. banks All member banks Reserve city banks New York City of Other Chicago City Country banks > ASSETS * *]Loans and investments > Loans and discounts U. S. Govt, obligations 308,980 258,370 213,635 35,963 9,394 202,610 163,630 138,042 25,179 64,260 58,190 45,223 5,322 6,092 80,080 88,198 54,557 52,214 23,146 15,018 10,505 12,838 Other securities 42,110 36,550 30,370 5,462 1,737 1,565 Reserves, cash, and bank balances 48,790 47,910 41,732 8,669 2,091 17,209 13,763 16,740 4,920 12,440 14,690 16.740 4,790 11.740 14,640 16,736 3,692 7,032 14,272 3,800 1,022 284 193 4,392 52 140 877 7,006 1,112 9,o4o 8,170 7,239 2,505 248 366,810 314,450 262,606 41*121 ii»733... Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 3.54,57° 168,i4o 154,520 •130,033 121.110 99.396 24,586 13.889 6,120 TOTAL DEPOSITS 322,710 275,630 229,429 14,44o 5,430 l4,44o 5,430 135,560 120,200 13,614 4,837 112,319 98,659 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 135,610 167,230 2,109 4,908 2,244 4,590 6,982 2,021 2,535 1,951__ .2 2 i.8 2 4 103,2.12_ 4.169 49,350 38,259 49,977 43.079 38,475 10,289 87,609 93,056 4,334 1,057 13,478 4,142 6,435 1,925 41,155 38,094 1,673 1,570 19,606 1,172 285 4,690 46,868 42,945 Borrowings 3,920 3,920 3,740 1,476 201 1,647 416 Other liabilities 9,260 8,260 7,490 2,798 2,443 2,024 30,920 26,640 21,947 4,388 225 1,018 8,125 8,4l6 Total capital accounts jJ Seasonally adjusted data I/ifl.n s and i nvestments 1/ Excludes total coml. interbank loans. 254,200 Loans and discounts 1 J ,........ 159,500 U.S. Govt, obligations......... 58,300 Other securities............... 36,400 NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. -2CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 24, 19641/ TO JULY 29, 1964 JJi Item (Partly estimated. In millions of dollars) ■ ~k d t - * AIT Reserve city ‘banks All member New York City of coml. Other banks banks banks City Chicago * Country banks . JL ASSETS Loans and investments 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 Other assets TOTAL ASSETS/LIABEITIES - 140 - 550 - 496 -109 - 70 208 109 + 280 - 700 + 280 - 130 - 700 + 280 86 - 643 + 233 +l4l 31 303 + 46 -107 + 59 - 22 + 126 - 89 ■ - 103 + 83 * - 680 - 670 - 719 -286 - 64 347 22 20 + 20 - 300 - 380 20 + 20 - 290 - 380 28 + 15 - 336 - 370 -260 + + - 28 - 6 - 31 + 11 + 30 1 - 120 - 256 + 174 + 20 * - 133 - 83 + + + 210 +112 + IS + 34 + to -1,005 -283 - 521 - 82 270 - '550 230 - 990 -296 2 52 42 ' f ' * LIABILITIES & CAPITAL Gross demand deposits Gross time deposits -2,980 +1,780 -2,980 +1,450 -2,732 +1,221 -812 +359 -191 +101 TOTAL DEPOSITS -1.200 -1.530 -1.511 -453. - 90. - 130 -4,690 +1,870 +1,750 - 130 -4,690 +1,870 +1,420 - 114 -4,250 +1,664 +1,189 + 42 -973 +158 +320 + 16 -299 + 92 +101 143 -1,815 + 804 +. 315 «. -1 ,163 f + 610 » + 453 + Deposits of banks U. 3. Govt, deposits Other demand deposits Other time deposits Borrowings + 38O Other liabilities + 50 Total capital accounts + 220 + + -1,147 + 30o 582 12? 839 380 + 329 - 31 - 61 + 314 20 + 23 +175 + 26 - 62 107 . - 116 < 180 + 154 + 26 + + 66 + 6 Changes in seasonally adjusted data, June 30, 1964 (esitimated),, to July 29, 1964 - 900 Loans and investments r/ Nonmember, commercial bank figures + 600 Loans and discounts revised for June 24, 1964. -1,600 U.S. Govt, obligations + 100 Other securities.... / For numbered footnotes, see first page. " + 56 - ►^ ► i* > • -3- CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, JULY 31, 1963 TO JULY 29, 1964 » * J.4 . r * w ..... .. .... - .. (Partly estimated. In millions of dollars) Reserve city banks New York City of Other Chicago City Country banks +14,223 +3,512 +223 „ +5,345 +?|1^3__ +15,492 - 4,148 + 2,879 +3,763 - 619 + 368 +518 -359 + 64 +6,045 -1,912 +1,212 656 - 117 - 18 - 539... ,+, ...lfl. 32 295 + + - 185 + 44 All banks All coml. banks All member banks +21,300 +17,390 +22,080 - 4,390 + 3,610 +18,070 - 4,290 + 3,610 Item ASSETS 4Loans and investments A Loans and discounts * U. S. Govt, obligations * Other securities •Reserves, cash, and „ bank balances * Reserve with FR Banks Cash in vault Balance with banks Cash items 1* Other assets \* TOTAL ASSETS/LIABILITIES - 380 430 - + + - 130 + + - 30 280 70 750 + - 730 + 81 + 45 21 - 222 + 900 + 780 + 643 + 30 280 760 189 56 8 38 44 +5,166 -1,258 +1,235 - 333 + 122 - 67 - 261 + 164 + 120 - 63 - 203 + + 153 261 +21,820 +17,740 +14,210 +3,580 +249 Gross demand deposits (xross time deposits + 190 +17,560 + 200 +13,780 - 683 +11,736 - 645 +3,341 -365 +6 k1 - 778 +4,400 +1,105 +3,348.. TOTAL DEPOSITS +17,750 +13,980 +11,053 +2,696 +282 +3,622 +4,453 y Deposits of banks U. S. Govt, deposits * Other demand deposits Other time deposits 90 - 1,930 + 2,360 +17,410 90 - 1,930 + 2,370 +13,630 - 105 - 1,725 + 1,322 +11,561 + 53 - 456 - 80 +3A79 + 6 -125 +637 - 205 - 621 + 59 +4,389 + 41 - 523 +1,579 +3,356 borrowings i> Other liabilities + 960 + 960 + 891 + 447 - 39 +' 353 + 130 + 740 + 680 + 532 7 - 32 + 321 + 250 444 + 38 + 663 + 589 * +5.422 LIABILITIES & CAPITAL Total capital accounts + 2,370 ■Seasonally adjusted data Loans and investments l/.. Loans and discounts 1/... * U.S. Govt, obligations... Other securities....... + 2,120 + 1,734 + -236 For numbered footnotes, see first page. +16,200 +16,900 - 4,300 + 3,600 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. J.4 In billions of dollars) July 29, 1964 Item Change to July 29/ 1964 from — . June 24,. July 31, ■June 24, July 31, 19641/ 1963 196j _ 1964 i. ASSETS - .2 •1 .1 .3 _ .7 -3 .2 +22.8 * +21.1 - 2.0 - 4.4 + 2.3 + .1 w + 3,6 _ 15.5 5.6 15.5 5.6 15.6 5.6 64.3 34.8 •7 42.1 340.9 199.0 100.1 65.O 34.5 .6 41.8 318.2 177.9 101.8 68.7 32.5 .7 ■ 38.5 362.0 361.9 339.4 + .1 +22.6 * 321.5 317.2 299.1 +4.2 +22.4 32.9 120.9 167.2 .4 32.7 118.7 165.5 .4 31.0 117.8 149.8 .5 + .2 +2.3 +1.8 — + 1.9 + 3.1 A +17.4 - .1 6.1 11.1 8.0 - 1.9_ 5.4 .7 10.1 1.0 7.4 .6 -4.7 - .3 - 1.9 « -- 1.3 .4 32.7 1.3 .4 31.9 1.3 .4 30.7 + .7 — — + 2.0 362.0 311^2— 339.4 + .1 +22.6 f 199.0 99.8 Total assets, net --- 21.2 0• Bank credit Loans, net U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities .2 21.0 1 Gold stock . Treasury Currency - 21.0 o• H -o4c * Monetary reserve + + + + + 4 —“ LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted %] Time deposits adjusted Postal savings deposits 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 l/> * U. S. Government deposits ... --- Seasonally adjusted + .1 + 1.9 32.8 30.9 32.7 • Currency outside banks + .6 118.0 + 3? 1 _ 121.1 120.5 Demand deposits adjusted * Figures may not add to totals because of rounding. Treasury funds included are ^ cold account, Treasury currency account, and Exchange Stabilization Fund* 1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $ 123.0 billionon July 29. 19&4.. Digitized FRASER r/ forNonmember commercial bank figures revised for June 24, 1964.