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- RESERVE FEDERAL .....·o_. release statistical FOR IMMEDIATE RELEASE AUGUST z. 1977 (PARTLY ESTIMATED. !N H.B ~!LLIONS OF DOLLARS) All COML. BANKS AlL MEMBER BANKS 869,880 632p240 98,491 614,680 100,670 154,530 452,972 72,086 107,182 131 490 JULY 20, 1977 RESERVE C ... TY SANKS l./ OTHER NEW YORK CITY OF CHICAGO I...UUNIRY 32,456 227,613 273,680 74,990 12.,396 ll' 105 23,887 3,801 4,768 171,173 .182,922 22,809 33,080 33,631 57,678 10b,892 29,332 4,547 40,483 32,530 29,180 13,100 41,970 47,240 29,178 9,71b 22,600 45,398 5,438 894 6,676 16,324 1,637 183 356 2t371 12,b27 3,26b 5,433 19,157 9,47b 5,373 10,135 7,546 56,330 50,340 20,147 3,176 21,117 TOTAL ASSETS/LIABiliTIESl/ 11ospoo 789,472 147,970 40,179 289,213 B_ANKS 1./ A.S~rl.s lOANS AND INVESTMENTS~/ LOANS AND DISCOUNTS~/ U.S. TREASURY SECURITIES OTHER SECURITIES RESERVES, CASH, AND BANK_BALANCES RESERVES WITH FR BANKS CASH IN VAULT BALAN(:ES WITH BANKS CASH ITEMS OTHER ASSETS '1./ LlA~ILlil~S - 5,900 312,110 ' C!eli!L GROSS DEMAND DEPOSITS GROSS TIME DEPOSITS .)22, 900 522,040 246,898 369,732 55,954 43,566 9,792 15,553 87,171 131,009 93,981 179.,604 TOTAl DEPOSITS 844,940 616,630 99,520 25,345 218' 180 273,585 46,300 5,500 280,080 513,060 41t852 4,162 207,698 362,918 20,791 b04 37,033 41,092 2,772 207 7,510 14,856 13,267 5,022 1,~38 lr813 74.827 128,548 88,3.28 178,422 BORROWINGS 92,710 83,029 23,297 10,396 39.024 10,312 OTHER liABILITIES3/ 41,240 30,409 12,480 1,679 11,164 5,086 59,404 12,673 2,759 20,845 23,127 DEPOSITS OF BANKS u.s. GOVT. DEPOSITS OTHER DEMAND DEPOSITS OTHER TIME DEPOSITS TOTAl CAPITAL ACCOUNTS9 ------ ]j ~- ·-· . 78,810 -~ AS OF NOV. 9, 1972, THE DEFINITIOOS OF RESERVE CITY AND COUNTRY BANKS WERE CHANGED (SEE FEDERAL RESERVE BULLETIN, NOV. 1972 ,P. 994). THE ClASSIFICATIONS EMPLOYED HERE ARE THE SAME AS THOSE PRICE. TO THE CHANGE IN DEFINITION, SO THESE SERIES ARE C~INUOUS OVER TIME. 2/ INCLUDES "RESERVES FOR LO!\N LOSSES" AND "UNEARNED INC<M ON LOANS". EFFECTIVE MARCH 31, 1976 ''RESERVE FeE. LOAN LOSSES" AND "UNEARNED INCCME ON LOANS ",WHICH FeR ALL C~CIAL BANKS ARE ESTIMATED TO BE APPROXIMATELY $14.5 BILLION, HAVE BEEN NETTED AGAINST "CYrHER ASSETS" AND " CYrHER LIABILITIES" AND, THEREFCRE, AGAINST "TCYrAL ASSETS /LIABILITIES". ~/ EFFECTIVE MARCH 31, 1976 INCLUDES ''RESERVES FCR SECURITIES" AND A PCE.TION OF ''RESERVES FCR UlAN LOOSES". NCYrE: COMPARABILITY OF FIGURES AFFECTED BY CHANGES IN MEMBERSHIP, BERGERS, ETC. "IJ - 2- CHANGES IN ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES JULY 20, 1977 JULY 13, 1977 TO (PARTLY ESTIMATED. IN MILLIONS OF DOLLARS) H.B ALL COML. BANKS ITEM ALL MEMBER BANKS RESERVE CITY ~ANKS l_/ NEW YORK CITY OF OTHER CITY CHICAGO COUNTRY BANKS 1J 6SSEIS ~ -1,790 -708 +642 +338 ~72 -1,216 -1,970 30 + 210 -763 +11 +44 +510 +67 +65 +380 -79 +37 -287 +77 ~262 -1,366 -54 +204 +7 110 +6.649 +3.240 +526 +2.160 +_"U3_ +4,250 - 160 + 480 +2,540 +4,245 -126 -44 +2,574 -697 -43 +524. +3,456 +712 +2 -150 -38 +3,106 -39 -193 -714 + l, 124 -46 -225 -130 -2,010 -1.501 -2 -20 -985 -494 +3,310 +4,440 +3,880 +844 +703 ~987 GROSS DEMAND DEPOSITS GROSS TIME DEPOSITS +1,640 - 69.0 +2,058 +123 +4,458 -120 +98 -90 -1,281 +62 -1,217 +271 TOTAL DEPOSITS +1 000 +2.181 +4,338 +8 -1.219 -946 + 560 +1,860 - 830 - 590 +591 +1,548 -129 +171 +817 +4£9 +3, 175 -83 -8 +92 +2 -78 -172 +602 -1,710 +61 -46 +425 -1,59b +271 BORROWINGS +1,210 +1,174 -1,230 +757 +1,613 +34 OTHER LIABILITIES'}_/ +1,440 + 1,309 +786 +88 +375 +60 -224 -14 -9 -66 -135 LOANS AND INVESTMENTS 'l:_/ LOANS AND DISCOUNTS 2/ TREASURY SECURITIES OTHER SECURITIES u.s. RESERVES, CASH, AND BANK BALANCES RESERVES WITH FR BAnKS CASH IN VAULT BALANCES WITH BANKS CASH ITEMS OTHER ASSETS '}_/ ... TOTAL ASSETS/LIABILITIES'}_/ - ' LIA6ILIIIES ti CAeiiAL DEPOSITS OF BANKS U.S. GOVT. DEPOSITS OTHER DEMAND DEPOSITS OTHER TIME DEPOSITS TOTAL CAPITAL ACCOUNTS f!/ ... . - - .. ---- -·---- FOR NUMBERED FOOTNOTES SEE PAGE 1. - 340