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FEDERAL s t a t i s t ! c n! RESERVE release l ib r a r y For immediate release August 22, 1967 RESEPVE-g^ ^ ASSESS AND LIABILITIES OP ALL BASKS II THE UHITED STATES, AUGUST 9, 1967 Item i (Partly estimated. In Billions of dollara) AH " . All Reserve city banks All ccslL. member New York City of banks banks banks City Chicago Other ASSETS Loans and investments Loans and discounts U* S. Oort, obligations Other securities Reserves, cash, and bank balances 1)00,840 338,380 276,150 Country banks 47,737 12,173 274,830 224,290 187,472 36,301 61,020 56,680 42,354. 5,179 64,990 57,4-10 46,324 6,257 8,846 1,644 1,683 70,129 13,009 17,581 72,196 22,522 20,803 53,873 13,024 2,607 21,14-2 17,100. 8,408 1,355 2,112 9,267 5,750 2,581 5,815 2,954 62, liOO 61,300 100,719 115,5^1 19,4-70 19,4-70 5,800 5,630 15,170 14,310 21,960 .21,890 19,469 4,394 8,606 21,4o4 4,221 370 375 8,058 1,090 88 3041,125 13,180 10,524- 3,288 4-97 476,420 411,760 340,54-7 64,049 15,277 125,602 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 178,490 178,420 148,386 29,514 6,513 237,030 178,560 14-5,087 20,887 .... 5,952 54,080 54,848 TOTAL DEPOSITS 415,520 .356,980 293,473 50,4-01 .12,465. 108.928 .121,679 Reserve vlth PR Banks Cash in vault Balances vlth banks Cash items Other assets TOTAL ASSBTS/LIABILISIIS Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 12,080 3,74l .. 2,998. 58,279 63,400 19,o4o 19,040 17,969 6,034 4-,4io 4,4io 3,865 689 156,830 156,760 128,139 23,725 235,24-0 176,770 14-3,500 19,953 1,300 1645,058 5,943 8,375 1,580 44,629 54,344 2,260 1,432 54,727 63,260 6,750 6,750 6,51^ 2,102 573 3,378 46i Other liabilities 16,050 14-,860 13,310 5,858 1 ,012 3,504- 2,936 Total capital accounts 38,100 33,170 27,250 5,688 1,227 „..Jk722. Borrowings 10,54-3. NOTE: Comparability of figures affected by changes In PR membership, mergers, etc., and in reserve classifications. CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JULY 12, 1967 TO AUGUST 9, 1967 J-4 Item (Partly estimated. In millions of dollars) All All Reserve city banks All coml. member New York City of banks banks banks City Chicago. Other ASSETS Loans and investments banks 1 478 -867 - 36 - 550 + 975 + 240 -1,020 + 84o + 67 -1,1.48 + 603 - 97 -667 -103 + 82 - 91 - 27 - 254 - 585 + 289 + 336 ; + 195 + 444 -3,280 -3,280 -2,651 +709 -273 -1,610 + 260 - 400 - 880 -2,260 + 260 400 - 880 -2,260 + 260 - 305 - 517 -2,089 +320 - 8 + b2 +355 + 17 - 14 + 30 -306 + 4i4 - 96 - 253 -1,675 -1 ,477 ; J 491 - 187 - 336 1 - 463 + 250 + 220 + 228 +139 - 5 + 115 - -2,64o -3,000 -2,901 - 19 -314 -2,045 - 523 \ — -— | LIABILITIES & CAPITAL Gross demand deposits Gross time deposits -5,910 +3,030 -5,910 +2,620 -5,4.15 +2,200 -74 0 +754 -494 +159 -2,951 + 484 -1,230 + 803 1 TOTAL DEPOSITS -2,880 -3,290 -3,215 + 14 -335 -2,467 . 427 - 4-80 -3,190 +2,930 - Il80 -2,l40 -3,190 +2,520 - Ii28 -2,064 -2,826 +2,103 - 38 -714 + 84 +682 - 9 -146 -341 +161 - 265 - 993 -1,666 + 457 116 - 211 | - 903 + 803 Borrowings - 750 - 750 - 635 -354 -129 + 89 - 24l ! Other liabilities + 740 + 770 + 739 +244 +149 + 295 + 51 Total capital accounts + 250 + 270 + 210 + 77 + 1 + + 94 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 TOTAL ASSETS/LIABILITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits + 390 + + 480 -1,060 + 970 -2,lk0 60 • - - 38 21 } I ✓ CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, AUGUST 10 ,1966 TO AUGUST 9, 1967 l j.4 Itsm (partly e»ti*ated. In millions of dollars)________ Reserve city banks All All All City of I New York member coml. Other banks banks banks city Chicago Country banks ASSETS +30,610 +26,260 +20,423 +2,656 + 779 +7,071 + 2*91L_ +15,840 +12,530 + 9 M O + 3,800 + ^,570 + 3,829 +10,970 + 9,160 + 7,164 +1,1^5 +1,244 + 267 + ^•39 +1,768 + 305 +1,487 + 35 +3,816 + 6,07i3 + 793 + 3,046 + 5,410 + 5,170 + 5,039 +2,596 + 347 +1,980 + 116 + 1,180 + 1,180 + 280 + 240 + 1,000 + 820 + 2,950 + 2,930 + 674 + 31 + 180 +l,7U + 176 + 979 + 7 + 97 + 55 - k-3 + 109 + 9^7 + + + 654 96 535 139 924 + 263 + 73 + 4-17 + 171 TOTAL ASSETS/LIABILITIES +37,070 +32,430 +26,386 +5,515 +1,199 +9,4-68 +10,204- Loans and imrestmeats 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 + 1,175 + 231 + 727 + 2,906 + 1,050 + 1,000 + LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 8,820 + 8,800 + 7,389 +24,910 +20,360 +15,9^7 +3,191 +1,371 + 92 +2,091 + 632 +6,010 + 2,015 + 7,93^ TOTAL DEPOSITS +33,730 +29,160 +23,336 +4-,562 + 724 +8,101 + 9,9*19 + 1,580 + 1,580 + 1,598 980 - 956 980 + 8,690 + 8,670 + 7,211 +24,44o +19,890 +15,483 + 526 - 233 +3,177 +1,092 + + 869 - 370 +1,799 +5,803 + 176 - 266 + 2,103 + 7,936 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 27 87 + 132 + 652 Borrowings - 6l4 - 5^5 - 146 + 761 - 682 Other liabilities + 2,170 + 2,290 + 2,075 +1,015 + 55^- + 152 + 354 Total capital accounts + 2,120 + 1,930 + 1,589 + 483 + 69 + 454. + 583 950 - 950 - ■4- C0NS0LH5ATED CONDITION STATEMENT FOR BANKS AHD THE MONETARY STSTEM* All Conmercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds j.I*. Item (Partly estimated. In billions of dollars)_______ __ Change to Aug. 9, t967 frcat . Aug. 10, July 12, Aug. 1 0, July 1 2 , Aug. 9, '-967 - 1966. h'lLl-1967 ... ASSfeTS yAWA+.Arv rftftftwe Gold stock Treasury Currency yank credit Loans, net U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net 19-7 19.7 19•3 — + .4 13-1 6.6 13-1 6.6 13.3 6.0 - .1 - .3 + .6 442.8 441.4 4-06.4- +1.-.3. +36.4 268.5 109.3 6l.O 46.8 1.5 .267.I 110.1 251.9 100. 5 +1.4 -1.0 +16.6 + 8.8 62.1 4-6.9 1.5 57.2 42.4.8 -1.1 + 3*6 + 4.4: + .7 65.0 64.0 54.0 +1.0 +11.0 462.5 46i.l 4-25.7 +1..3 +36.8 409-5 407-2 377.6 +2.3 +31.9 39-3 13^.9 235.2 .1 39.1 135.3 232.3 + *3 - .9 +2.9 •.1 37-5 129.1 210.8 .2 + 1.8 + 5.7 +24-.5 - .1 5-3 7-7 6.4- -2.4- - 1.1 4.4 •9 6.6 1.2 5-4 1.0 -2.1 - -3 - 1.0 - .1 1.9 1.5 44,3 1-9 1-5 42.8 1-9 1.1 38.8 +1. 4 + .4 + 5.5 462.5 46l.l 425-7 +1*3 +36.8 LIABILITIES AHD CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits TJ. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Total liabilities and capital, net # Figures may not add to totals because of rounding. Treasury funds included are gold account, Treasury currency account, and Exchange Stabilization Fund. 1/ Demand deposits adjusted, Including demand deposits of foreign banks and of mutual savings banks, were $ 137* 5billion on August 9, 1967* . http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis ______________________________________________________________________________________________________________