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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
______________________________________________________________________________________________________________