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P ^ P . gon m n s^ . j^ ^ stX k OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) August 14, 1959 '^ASSETS AND u M j ,ITIES OF ALL BANK? IN THE UNITED STATES, JULY 29, 1959 < **A L (Partly estimated. . ¥ Item In millions of dollars) All All commer banks*, cial banks*!/ u Member banks Reserve Central reserve city Total, city banks banks 1/ New York Chicago Country banksjy ASSETS Loans and investments 22k, 630 187,310 156,628 26,112 6,631 61,132 62,753 130,180 Loans and discounts 68,100 U. S. Govt, obligations 26,350 Other securities 105,870 60,810 20,630 90,745 ^9,356 16,527 17,062 6,699 2,351 3,811 2,120 700 37,325 18,056 5,751 32,5^7 22,481 7,725 42,660 41,910 36,878 6,984 1,949 15, ^76 12,469 18,100 3,450 10,540 10 ,570 18,100 3,310 9,970 10,530 18,099 2,1*84 6,015 10,280 3,738 143 88 3,015 1,074 30 136 709 7,601 791 1,998 5,086 5,686 1,520 3,793 1,470 5,430 4,870 4,244 1,166 81 1,544 1,453 272,720 234,090 197,750 34,262 8,661 78,152 .J6i6l5_ -Gross demand deposits Gross time deposits 140,630 102,290 l4o,6oo 67,600 120,949 54,641 6,212 23,741 4*9.47... i , M 5 47,809 21,990 43,187 26,239... *T0IAL DEPOSITS 242,920 208,200 175,590 28,688 7,677 69,799 69,426 14,700 5,300 122,960 99,960 14,700 5,300 122,930 65,270 14,038 4,763 104,271 52,518 5,321 1,2 77 18,608 3,482 1,149 280 4,823 1,425 6,237 1,570 40,455 21,537 1,331 1,636 40,385 26,074 Borrowings 2,660 2,660 2,512 894 137 1,050 431 -Other liabilities 4,610 4,020 3,609 1,366 104 1,328 811 'Total capital accounts 22,530 19,210 16,039 3,314 743 5,975 6,007 Total liabilities and capital 272,720 234,090 197,750 34,262 8,661 78,152 76,675 Reserves, cash, and bank balances r*. Reserve with FR Banks Cash in vault Balances with banks * Cash items *Other assets y Total assets LIABILITIES & CAPITAL *> Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits f ** Figures have been rounded to nearest 10 million. J J Beginning with April 1959, & national bank in Hawaii with total deposits of $220 million and six national banks in Alaska with total deposits of $133 million were included with country member batiks (the Hawaiian Bank was not previously in this series; the Alaskan banks have been in nonmember commercial bonks since January 1959)* CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 24, 1959 TO JULY 29, 1959 G.7 (Partly estimated. * Item In millions of dollars) All banks* u Member banks All commer Central reserve Reserve city city banks cial Total Chicago banks banks*l/ New York y +1,920 +1,300 + 1,621 +624 ... +115 • +515 +367 +1,670 + 220 + 30 +1,550 + 2to + 10 +1 ,444 + 192 - 15 +381 +273 - 30 +124 - 17 + 8 +709 -168 - 26 +230 +104 + 33 - 310 - 260 -293 -220 +107 -286 +106 + 80 + 40 - 110 - 320 + 80 + to - 60 - 320 + 73 + 33 - 84 - 315 -215 - 2 - 11 + 8 + + - 92 1 30 14 + 66 + 18 - 89 -281 +130 + 18 - 14 - 28 f + + 2to - 11 - 1 + 36 +216 Country banksl/ 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 3to 330 +1,950 +1,870 +1,568 +393 +221 +265 +689 Gross demand deposits Gross time deposits +1,870 + 10 +1,870 - 90 +1,657 - ito +388 -115 +244 + 10 +494 -143 +531 +108 TOTAL DEPOSITS +1,880 +1,780 +1 ,517 +273 +254 +351 , +632.... - 170 + 590 +1 ,too + 60 - 170 + 590 +1 ,too - to - 208 + 532 +1,279 - 86 -167 +475 + 38 - 73 - 5 + 13 +237 ■ +■ 9 - 98 -145 +734 -ito + 62 +189 +270 +118 Borrowings - ito - ito - 107 + 89 - 27 - 90 - 79 Other liabilities - 30 + 10 6 + - 9 - 26 + 20 Total capital accounts + 2to + 220 + 164 + 22 + 3 + 30 +1Q2 +1,870 +1,568 +393 +221 +265 +689 Total assets LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Total liabilities and capital * + 1,950 Figures have been rounded to nearest 10 million. l/ See footnote on first page. 9 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JULY 30, 1958 TO JULY 29, 1959 (Partly estimated. In millions of dollars) $ Item All banks* 1/ All commer cial banks*!/ Member banks Central reserve Reserve city city banks New York Chicago banks Total y +11,530 + 9,710 + 7,348 + 309 + 55 +2,493 +4,491 +14,160 - 3,460 + 830 +12,260 - 3,320 + 770 +10,566 - 3,672 454 +1,512 -1,206 + 3 +482 -491 + 64 +4,989 -2,311 - 185 +3,583 + 336 + 572 l4 - 201 + 11 + 269 - 65 54 50 50 mm + 280 + 250 + 170 - 1,320 - 1,180 - 1,097 + 1,020 + 1,010 995 333 5 - k6 + 183 - 54 -- 48 +113 - 4l + 59 - 319 + 570 + + + 374 116 684 129 256 - 86 + + + 286 Country banksi/ 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 70 + 460 + + 30 + 380 •f 6 50 +11,920 +10,120 + 7,618 + 22 + 72 +2,812 +4,712 Gross demand deposits Gross time deposits + 4,720 + 4,320 + 4,720 + 2,560 + 3,304 + 1,861 - 164 - 328 -112 + 30 +1,318 + 594 +2,262 +1,565 TOTAL DEPOSITS + 9,0l)0 + 7,280 5,165 492 - 82 +1,912. +3,827 1,980 1,020 5,340 2,900 1,883 + 878 + 4,009 2,161 823 + 310 + 69 - 48 -235 + 47 + 72 + 34 - 817 + 116 +1,978 + 635 8 + 405 +1,890 +1,540 + 1,850 + 1,757 + 619 +135 + 715 + 288 Total assets LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits + + + 1,980 1,020 5,340 4,660 + + + Borrowings + 1,850 Other liabilities - 110 30 - 135 - 184 - 10 - 145 + 204 Total capital accounts + l,l4o + 1,020 + 831 + 79 + 29 + +-323. Total liabilities and capital +11,920 +10,120 + 7,618 + 22 + 72 +2,812 * Figures have been rounded to nearest 10 million, l/ See footnote on first page. 330 +4,712 - 4 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* .0-7 All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds 1/ (Partly estimated. i Item In billions of dollars) July 29, 1959 June 24, 1959 July 30, 1958 Change to July 29, 1959 from — June 24, July 30, 1958 1m . ASSETS - .1 - .1 - 1-5 - 1.6 + .1 238.6 115.4 97.8 71.6 24.9 1.3 25.5 +2.3 +1.5 + .7 + .2 + .5 +11.6 +12.8 - 2.1 - 3-5 + 1.5 - .1 .+__& — 273-0 265.I +2.2 +10.1 241.7 239.9 232.4 +1.8 + 9 .3 _ 28.3 112.4 99.9 1.0 28.3 110.7 99*9 1.1 27.9 108.1 95-3 1.2 + .1 +1 .7 + .1 + -5 + 4.3 + 4.7 - .2 5.9 5.2 4.8 5.3 .6 4.7 •5 4.3 .6 + .6 +' .1 + 1.0 + .1 3-4 .4 23.7 3-6 .4 23.8 4.0 •7 23.2 - .2 - .5 - .3 + ,,5. 275.1 273.0 265.1 +2.2 +10.1 28.4 Currency outside banks 113.9 Demand deposits adjusted f igures may nou ttuu ou ouoculb ucwauoc wx 28.4 112.5 28.1 109.5 +1.4 + -3 + 4.4 Monetary reserve v Gold stock Treasury Currency Bank credit Loans, net U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities ► 1 Total assets, net 24.9 19*6 5.3 25.1 19.8 5.3 26.4 250.2 128.2 95-7 68.1 26.5 l.l 26.4 247.9 126.6 94.9 67.9 25.9 1.2 26.3 275.1 21.2 5.2 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks * Currency outside banks Demand deposits adjusted Time deposits adjusted » Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash ^Capital and miscellaneous accounts, net Total liabilities and capital, net Seasonally adjusted ------ ^ --- + 1.1 - seasonally adjusted data, see July 1957 Bulletin, pp. 828-29* 1/ Treasury funds included are gold account, Treasury currency account, and Exchange “ Stabilization Fund. Also see footnote on first page.