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--~.·.41111.·.}------F_E_·D __E_R_A_L___R_E_S__E_R_V_E____ s ta tis tic a I ~-· ,. ·~o ~· re I e a s e ··.~~LttESt;.·" ...... 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.