View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

FEDERAL

RESERVE

release

/
{ I

August 14, 1963
For immediate release

ASSETS AND LIABILITIES OF ASJ^B^MCS
J.4 (formerly G.7)
(Partly estimated.
■ ...
. ,.
*...............................................
All
All
Item
coml.
banks
banks
* ., ........
ASSETS
ioans and investments
Loans and discounts
*• U. S. Govt, obligations
k Other securities
Reserves, cash, and
bank balances

Reserve city banks
All
member New York City of
Other
Chicago
City
banks

Country
banks

287,220

240,490 199,412

32,451

9,171 74,735

83,055

179,980
68,440

145,o4o 122,550
62,230 49,371
33,220 27,491

21,416
5,941
5,094

5,574 48,512
2,096 16,930
1,501 9,293

47,048
24,404

2,109 17,748

13,745

38,800
49,440

46,590

42,388

8,786

16,770
4,600

16,770
4,470

16,768

966

12,620

11,960

15,450

15,390

7,221
15,002

3,719
239
214
4,6l4

8,130

7,390

6,596

11,603

921

7,339
990
2,176
7,243

4,744
2,124
4,653
2,224

2,320

204

2,382

1,690

TOTAL ASSETS/LIABILITIES 3^1*222.. 296,470 ..24^,226 .± h 5 2 L

11,484

94,865

98,490

6,485
3,522

50,128
33,859

48,872
39,731

10,007 83,987

88,603

^ Reserve with FR Banks
Cash in vault
r Balances with banks
^ Cash items
Other assets
-7

IN THE UNITED STATES, JULY 31, 1963
In millions of dollars)

■» LIABILITIES & CAPITAL
#ross demand deposits
Gross time deposits

154,260

TOTAL DEPOSITS

304,810
14,520

Deposits of banks

4 U. S. Govt, deposits
Other demand deposits
Other time deposits
^Borrowings
i.
Other liabilities
¥
Total capital accounts

44

178

87,660

25,231
10,548

261,450

218,376

35,779

13,719

4,281
1,513

1,166

19,686

4,926 41,096

149,790

14,520
7,340
133,100
106,490

10,299

2,920

2,920

2,849

1,029

3,505
240

33,705
1,294

8,540

7,620

6,958

2,805

2,122

1,774

28,520

24,480

20,213

3,944

257
980

7,462

7,827

150,550

7,340

133,160

Seasonally adjusted data
Loans and investments 1/.
Loans and discounts l/...........
U.S. Govt, obligations...........
Other securities..... ...... .
NOTE:

3,397

154,200

107,250

130,716

6,562

110,997

87,098

1/
237,400
141,900

62,200

410

6,640
2,546

1,632
2,093
45,289
39,589

interbank loans,?
Excludes total coml. :
(

33,300

Comparability of figures affected by changes in FR membership, mergers, etc.,
and in reserve classifications.




286

CHANGES IK ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES,
JUNE 26, 1963 TO JULY 31, 19^3
J.4 (formerly G.7)
Item

(Partly estimated. In millions of dollars)
Reserve city banks
All
All
All
member New York City of
coml,
Other
banks rj banks
Chicago
City
banks

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

.

Country-* >
banks A

90

- 260

- 307

-370

+ 42

-

94

+ 22?«,

+ 670
-1,250
+ 670

+ 390
-1,280
+ 630

+ 349
-1,218
+ 562

+ 6l
-657

+226

- 19
+ 16
+ 45

+ 219
- 457
+ 144

+
83 1
- 120 „
+ 147

+

720

+ 760

+ 616

+ 37

+ 6

+

+

260

+
10
+ 450

+ 260
—
+
50
+ 450

+ 257
- 25
- 39
+ 423

+
+
-

+
+
+

19
5

+ 204
- 65
- 76
+ 294

+ 216"
W i
+ 26.
+
59
- IT*
+ 148

+ 100

+

100

+ 148

+l4l

- 5

+ 108

-

+ 600

+ 457

-192

+ 43

+

-281

+

—

TOTAL ASSETS/LIABILITIES + 910

47

21

35
24

20
2

357

371

96 <

+ 235 "

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

- 870
+1,560

- 870
+1,360

- 777
+1,123

+257

- 34
- 193
+ 35 _ ..i.,.350 .

TOTAL DEPOSITS

+ 690

+ 490

+

346

- 24

+ 1

+ 157 .

+ 481
v *
212

- 20
-3,500
+2,650
+1,560

- 20
-3,500
+2,650
+1,360

- 34
-3,047
+2,306
+1,121

+ 19
-548
+242

-156

- 53

+263

+.175
+ 35

- 21
-1,196
+1,032
+ 342

+
21
-1,1^
4* 057
1a-.,
+ 48«t 1

80

80

-

79

-257

+ 38

+

123

+

17 L

200

+ 100

+ 110

+ 74

- 7

+

57

-

14
u

80

+ 15

+ 11

+

34

+

20

Deposits of banks
U. S. Govt, deposits
Other demand deposits ,
Other time deposits
Borrowings
Other liabilities

+

Total capital accounts

+ 100

Seasonally adjusted data
Loans and investments !/•
Loans and discounts
/.1
MVVVU4* W 1■/
fW
U.S. Govt, obligations..




+

90

+

269

For numbered footnotes, see first page.
-2,000
+1,100
-3,800
+ 700

r/ Revised mutual savings banks figures
for June 26, 1963*

a

*

M 4.

I

-3>

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITS) STATES,

A

JULY 25, 1962 TO JULY 31, 1963
„J.4 (formerly G.7)

(Partly estimated.

Item

*

All
banks

In millions of dollars)

All
coml.
banks

Reserve'city banks*
..T O ™
member New York City of
Chicago Other
banks
City

Country
banks*

ASSETS
Loans and investments

+23,650 +20,080

, Loans and discounts
U. S. Govt, obligations
Other securities
>Reserves, cash, and
bank balances
+

+l6,4o4

+2,980

+l,4o6

+4,430

+7,588

+20,060
- 2,020
+ 5,610

+16,310 +13,783
- 1,950 - 2,241
+ 5,720 + 4,862

+2,564
-1,054
+1,470

+1,064
+ 189
+ 153

+4,543
-1,552
+1,439

+5,612
+ 176
+1,800

+4,000

+ 3,990

+3^7

+1,208

249 r.+l,3|t

+ 591

+ 3£0
+ 281
+ 274
+ 2,512

+
+
+
+
+

799

+
+
+
+
+

379

+

Reserve with FR Banks
Cash in vault
r Balano© with banks
Cash itmm

+
+

Xither assets

+

TOTAL ASSETS/LIABILITIES
„

LIABILITIES

320 +

340
+
750
+ 2,590
940

+28.590

320

+ 340
+ 740
+ 2,590
+ 880

+

799

356
17

36

+24^50, +20*520 .,,+L56L

28
9
76
136
34

+ 74
+
10
+ 86
+1,169

+
+
+

408

+

+

176

210

- 138
245

76

.+A*£82l ,.,.+54212........+8*

m

& CAPITAL
+ 7,390 + 7,390 + 5,912

+
+

+17,894

+3,714

+1,423

+
131
+ 1,342
+ 4,386
+12,035

+ 144
+ 523
+ 698
+2,349

- 54
+ .147
+ 437
+ 893

979

+ 636

+

165

564

+

21

+

11

+ 262

+ 270

+ 1,153

+

196

+

90

+ 281

+ 586

,,,±2^130. +21,810

Deposits of banks
, U. S, Govt, deposits
Other doaiand deposits
* Other time deposits

+ 170
+ 1,520
+ 5,650
+17,790

Borrowings
*

+

990 +

990 +

Other liabilities

+

830 +

690 +

Total capital accounts

+ 1,640

+17,740

SeaaonaHy adjusted data
J EoaHTaad investments 1
Loans and discounts 1,
U.S. Govt, obligations
Other securities...............

+14,420 tH,982

+ 170
+ 1,520
+ 5,650
+14,470

+ l,46o

+1,201
+4,100

+1,383
+2,33.1

,Gross demand deposits
Gross time deposits
't
TOTAL DEPOSITS

537

886

+2,791
+4,665
+7,456.

- 72
+ 510
+ 729
+4,134

+ 113
+ 162
+2,522
+4,659

+

+

135

43

For numbered footnotes, see first page.

+19,600
*
Changes for New York and Chicago reflect
+15,800 increases of 3 banks each on July 28, 1962.
- 1,900 Total assets of the banks added ttere $526
+ 5,700 million and $*<05 million,, respectively, on
r Aug. 1*?, 1962, and "other" reserve city banks were reduced $931 million. On June 12, 19^3
New York figures reduced $52$ million and country banks increased a like amount incident
Digitized
FRASER in reserve classification of 3 banks.
to afor change


-4CONSOLIMTED CONDITION STATEMENT FOR B A M S AND THE MONETARY SYSTEM*

All Commercial, SavingB, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
(Partly estimated.

In billions of dollars)

J.4 (formerly G.T)
Item

July 313 June 26 > July 25, 1
June
26>, July 25,- ,
1962
<
1963 r/
1963
1963
1 1962 ^

ASSETS
Monetary reserve
Gold stock
Treasury Currency

21.8
16.2 I
5.6

- .1

- .6

- 1

- .6

317.1
^17.8_.
177.4 i 177.0
102.0
101.6

291.7_ L1

+ .7
+ -5
- .4

70.5 I
29-2
.7
33,2

-1.3
+ -9

8

69.7
31.6
.7
38.1

+26,1
+19.3 ‘
+ 1.3 *
- 2 .0 * .
+ 3.3

+ .7

+ 5.6 *

0

338.4

313.5 I
I

+ .6

+25^_"
.. v ^

21.2

21.3

15.6

15.7
5.6

5.6

Bank credit
Loans, net
U. S. Govt, obligations
Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

68.4
32.5
.7

158.2
100.3

* *

!
LIABILITIES AND CAPITAL

Currency outside banks
Demand deposits adjusted 1/
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 miscellaneoue account* nex

% 0

294.9

276.7

+4.0

+22.2„

31.0
117.7

30.7
115-5
148.2
.5

29-5
114.7
132.0
.6 I

+ -3
+2.2
+1.6

+ 1.5 .f'
+ 3-1
+17 .8- •
- -1 _

8.0

11.9

6.4

-3.9

+ 1.6

7-3

10.8
1.1

5-8

1.3

1.2

J 2:

29-9

1.3
' .4 1
28.6 1

338.4

31& J L I

149.8

*

r/
June 26, 1963



+ .5

+ 12_

+ .6

+2i4_

+ 1.5
29.4 I + .2
30.7
+ 3.9
1
+
.4
I 117.5 I 114.9
Wll„dine
Treasury funds included are

30.9

S o n
figures revised.

+ i.5c
+ .* ,

<

Total liabilities and capital, net
Seasonally adjusted
Currency outside banks
Demand deposits adjusted
■mana aepoBj.™
-----------------

t C1O

Total deposits adjusted and
currency outside banks

<

I

31, 1963.