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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.