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......

For immediate release
August 12, 1970
ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES
JULY 29, 1970
(Partly estimated. In millions of dollars)

H.8

\

I
I

ASSETS
Loans and investments

I

All
c:.oml.
bunks

All
' member
banks

I

Reserve city banks
New York City of
Other
City
Chicago

Country
banks

) 423,720

337' 377

58,720

14,449

120,894

143,314

I 2 9'+, 9.~iJ
Loans and discounts
u. S. Treasury Securities
53,250
Other securities
~
/'), 550

240,309
38,950
58,118

45,917
5,142
7,661

10,662
1,688
2,099

89,581
11 '665
19,648

94,149
20,455
28,710

75,330

65,971

18,322

2,560

24,422

20,667

22,100
7,410
16,510
29' 310,

22,101
5, 726
9,414
28,730

4,652
456
529
12,685

905
102
213
1,340

9,069
1,782
2,629
10,942

7,475
3,386
6,043
3,763

20,210

17,496
420,844

5 314

1 012

6,518

4,652

82,356

18,021

151,834

168,633

210,990
210 630

173,5551
163 263

39,631
17 432

7,458
5,479

60,769
59,939

65,697
80' 413

421 620

336 818

57 063

12,937

120,708

146, llO

23,670
7,520
181,290
209' 140

22,510

9,914

6,37~
146,003
161,93

8,783
2,431
50,046
59,448

2,522
2,047
61,266
80,275

Borrowings

19,850

18,67

2,354

Other liabilities

36,500

6,889

Total capital accounts

/+1,290

13,280

I

Reserves, cash, and
bank balances

l
I

I

Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets

519,260

TOTAL ASSETS/LIABILITIES

l

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits
TOTAL DEPOSITS
Deposits of banks
Govt. deposits
Other demand deposits
Other time deposits

I
I
I
I

u. s.

I

1,291
457
5,764
28,927
16,786 I 5,425
l, 436

I

I

!

4,855

1,689

32,30~

14,098

1,853

9' 777
9,464

33,041

6,340

1,542

11' 885

Seasonally adjusted data
Seasonally adjusted data for 6/30/70 revise d.
4L0,700
Loans and investments l/
405,000
279,900
276,200
Loans and discounts
ll
55,500
u.s. Treasury Securities
54,100
75,300
Other securities
74,800
ll Excludes total Coml. Inte~bank Loans.
NOTE: Comparability of figures affected by changes in FR membership, mergers,
etc., and in reserve classifications.




- 2 CHANGES IN ASSETS AND LIABILITIES OF ALL COMMERCIAL

B~~KS

IN THE UNITED STATES

JULY 22, 1970 1D JULY 29, 1970
H.8

(Partly estimated.
Item

ASSETS
Loans and investments
Loans and discounts
S.Treasury Securities
Other securities

u.

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

All
coml.
banks

-

860

In millions of dollars)
All
member
banks

-

898

Reserve city banks
New York City of
Other
City
Chicago

-

220
814

-

-

48

-

T

30

660

-}-

-1,366
606
100
I

-{--

-~-

-;--

-1,357

-

797

-

-

454
100
152
291

-

-2,670
+1, 540
+ 270

-2,550

-

+1 '461

+ 620

-:-

+

-

26

-

160
ll8
6

-4,570

-4,201

-1' 729

-

318

-

638
159
- 139
-3,583

+ 479
+
1
+
4
-2,213

-

-

301
1
94
llO

+

-

15

·+

1

+ 225

-

104

-1,792

-

871

-

809

-

498

-

-

640
210
- 520
-3,620

+

. ~--

50

191

+

107

-

+

-1-

-

-

362
59
85
969

-5,380

-4,992

-1,964

-

365

Gross demand deposits
Gross time deposits

-2,380
+1,580

-1,864
+1 398

-

--!-

208

+

814
470

+ ll4

+

449
503

TOTAL DEPOSITS

-

-

-

344

+ 322

+

54

-

478

-

528

TOTAL ASSETS/LIABILITIES

Country
banks

I

+

-

210
117
123

LIABILITIES & CAPITAL

Deposits of banks
u. s. Govt. deposits
Other dem~rt~deposits
Other time deposits

800

-1,210

466

-

39

+

108

-

+ 3ll

+ 370

+ 141
+ 112

-

1-

639
403

45

+1 ,440

-1,161
+ 659
-1,231
+1,267

+ 441

+

116
38
655
3ll

Borrowings

-3,450

-3,331

-

612

-

632

-1,853

-

234

Other liabilities

-1,200

-1,248

-

982

-

59

-

32

-

175

Total capital accounts

+

+

-

26

··!-

4

+

39

+

36




+ 640
-1,670

70

53

-

+ 186

-

- 3 .CHANGES IN ASSETS AND LIARI',fTIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES

JULY 30, 1969 TO JULY 29, 1970
(Partly estimated.

H.8

Item

All
coml.
banks

In millions of dollars)
All
member
banks

Reserve city banks
New York City of
Other
City
Chicago

Country
banks

ASSETS
Loans and investments
Loans and discounts
u. S.Treasury Securities
Other securities
Reserves, cash, and
bank balances

+1,075

-}-

211

+2,056

-:-5,475

-

5
249
831

+
+
+

32
132
47

:-1,828
- 51
-j279

-1,342
+1,559

188

-1,454

-

41

+ 2,040
l ++ 2,040
590 +
468

·-,-

63
2,633

690
39
+
+
66
-2,249

2,130 + 1,814

-:--14, 520 + 8,817
'680 + 7,113
1,450 - 1,012
4,290 + 2, 716

~-11

-

-

+
+

!-5,258

385

-;-

922

+1,122
: 141
- 401
- 477

+
+

+

27
17
143
58

-~-

201
271
415
35

+ .408

+

216

+

-,-'

307

'17,610 +10,443

+

29

+

386

+3,324

-:- 6,704

Gross demanrl deposits
Gross time deposits

+ 4,180 + 2,541
+13' 400 + 9,284

+ 559
+2,438

+
+

338
557

+ 593
+1' 626

+ 1 '051

TOTAL DEPOSITS

+17' 580 +11,825

+2,997

+ 895

+2,219

+ 1,750 + 1,732
+ 1,690 + 1' 521
370
+ 1,030 +13, llO + 8,942

+1' 026
+ 564
- 805
+2,212

+

+
+

84
21578
518

471
545
- 287
+1 '490

151
197
-:- 644
+4, 722

Borrowings

+

-

156

-1-

335

+ 604

-

Other liabilities

-

-2,911

-

931

-

190

-:- 163

Total capital accounts

+ 2 810 + L '957

+

+

87

+ 691

+1,080

Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets
TOTAL ASSETS/LIABILITIES

-!-

+

-

-~

960

990
2,660

-

-l-

-:-

-

L

883

·l-

LIABILITIES & CAPITAL

Deposits of banks
u. s. Govt. deposits
Other demand deposits
Other time deposits

Loans and investments 1/
Loans and discounts 17
U.S. Treasury Securities
Other securities




400 +

530

3,180 ... 3,869

+13' 000
+10,000
- 1,300
+ 4,300

99

.L

-,-

··l-

+ 4,663
'

5,714

-,'

253

For numbered footnotes, see first page.
Figures may not add to totals due to
rounding.

- 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.
Item

In billions of dollars)
Change to July 29,
1970
from -July 29, June 24, July 30, ~une 24, July 30
1970
1969
1969
1970
1970 r/

ASSETS
Monetary reserve
Gold Stock
Special Drawing Rights Certificates
Treasury Currency
Bank credit
Loans, net
S.Treasury Securities

u.

Corrunerc ia 1 and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

--

+ 1.7

18.8
11.4
.4
7.0

18.8
11.4
.4
7.0

17.1
10.4

--

6.7

-----

+ 1.0
+ .4
.-1.3

537.6

528.4

515.0

+ 9.2

+22.6

335.2
114.9

330.0
111.4

321.2
111.3

+ 5.2
+ 3.5

+ 3.6

56.6
58.3

54.4
57.0

58.3
53.0

+ 2.2
+ 1.3

-1-

87.5

87.0

82.4

-:-

.5

+ 5.1

556.3

547.1

532.1

+ 9.2

+24.2

477.4

466.4

454.6

+11.0

+22.8

46.9
152.0
278.5

46.6
150.0
269.8

44.1
148.3
262.2

+

.3

+ 2.8

+ 2.0
+ 8.7

+ 3.7
+16.3

8.5

9.0

7.1

-

.5

+ 1.4

7.5
1.0

7.9
1.1

5.8
1.2

--

.4
.1

+ 1.7
- .2

2.6

2.5

2.3

+

.1

+

.3

•2

.5

.7

-

.3

.5

67.3
556.3

68.8

67.5
532.1

-

--

--

--

--

+14.0

-

1.7
5.3

--

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/
Time deposits adjusted

u. s.

Government deposits

At conunercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net
Total liabilities and capital, net
Seasonall~

547.1

-1

5
+ 9.2

2

+24.2

adjusted
46.6
46.8
44.0
+ •2
+ 2.8
Currency outside banks
152.3
152.6
148.6
Demand deposits adjusted
+ 3. 7
- .3
* Figures may not add to totals because of rouu.d~ng. Treasury funds included are
gold account, Treasury currency account, and Exchange Stabilization Fund.
11 Demand deposits adjusted, including demand deposits of foreign banks and of
mutual savings banks, were $155.4 billion an July 29, 1970
El Figures for mutual savings banks were revised.