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*f^AL LIBRAR \r j ASSETS AND LIABILITIES OF J.4 For immediate release August 28, 1968 XTED STATES, AUGUST 14, 1968 (Partly estimated. In millions of dollars) All banks All coml. banks All member banks 440,960 373,360 303,969 52,835 13,370 110,185 127,579 301,640 64,410 74,910 248,110 59,950 65,300 206,628 44,988 52,353 39,836 5,680 7,319 9,353 2,014 2,003 77,974 13,462 18,749 79,465 23,832 24,282 71,410 70,460 62,123 16,497 3,125 23,357 19,144 21,030 6,450 16,190 27,740 21,030 6,300 15,470 27,660 21,031 4,898 9,139 27,055 4,728 379 431 10,959 1,122 81 560 1,362 8,673 1,512 2,082 11,090 6,508 2,926 6,066 3,644 14,750 13,530 11,791 3,442 673 4,335 3,341 527.130 457.j 50 _377.883 72,774 17,168 137,877 150,064 Gross demand deposits Gross -time deposits 194,390 258,570 194,310 195,300 161,922 157,095 33,419 20,117 6,889 6,014 58,606 59,818 63,008 71,146 TOTAL DEPOSITS 452,960 389,610 319,017 53,536 12,903 118,424 134,154 20,650 4,890 170,490 256,930 20,650 4,890 170,410 193,660 19,629 7,222 4,227 708 139,526 26,225 155,635 , 19,381 1,290 177 5,433 6,003 8,761 1,616 48,763 59,284 2,356 1,726 59,105 70,967 Other liabilities 11,810 21,580 11,810 20,270 11,339 18,349 4, 642 8,486 1,016 1,879 4,733 4,357 948 3,627 Total capital accounts 40,780 35,660 29,178 6z.no, 1,370 10,363 11,335 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 TOTAL ASSETS LIABILITIES Reserve citv banks New York City of Other City Chicago Country banks LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings NOTE: 9 Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications, 9 - 2- CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JULY 10, 1968 TO AUGUST 14, 1968 J.4 (Partly estimated. Item 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 ^ In millions of dollars) All banks All coml. banks All member banks +6,470 +6,260 +5,566 +1 .,459 +396 +2, 393 +1 ,318 +3,100 +1,830 +1,540 +2,950 +1,810 +1,500 +2,430 +1,821 +1,315 + + + 141 927 391 - 43 +283 +156 +1» 335 + 628 + 430 + + 997 17 338 + 210 + 130 + 242 393 +411 + 457 - 233 + 310 + 310 + + - +160 - 9 +180 + 80 + - 102 18 44 433 + + 264 — 24 169 _ + + - 210 19 20 62 - 12 + + 71 + 80 + - 160 260 + - 80 260 + - 316 8 180 246 + 210 + 190 + 148 — Reserve city banks New York City of Other Chicago City - 9 Country banks +6,890 46,580 +5,956 +1 ,054 +816 +2, 921 +1 ,165 Gross demand deposits Gross time deposits - 120 44,770 - 120 +4,400 14 +3,749 + 975 614 + 96 +338 +1) 052 +1, 592 - 187 +1 ,205 TOTAL DEPOSITS +4,650 +4,280 +3,735 361 +434 +2,,644 +1 ,018 - 380 +2,220 -1,810 +4,620 - 380 +2,220 -1,810 +4,250 - 322 +2,039 -1,581 +3,599 74 + 542 -1 ,331 + 502 - 74 +155 + 17 +336 • 23 + 857 + 254 +lj,556 151 + 485 - 521 +1 ,205 Borrowings +1,570 +1,570 +1,608 +1 ,403 +108 + 170 - Other liabilities + 430 + 500 + 416 - 70 +267 + 67 + 152 Total capital accounts + 240 + 230 + 197 + 82 + + 40 + 68 TOTAL ASSETS/LIABILITIES LIABILITIES Sf CAPITAL Deposits of banks U* S. Govt, deposits Other demand deposits Other time deposits 7 < 73 i I CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES AUGUST 9, 1967 TO AUGUST 14, 1968 (Partly estimated. In millions of dollars) All coml. banks All member banks +39,830 +34,690 +27,819 +5,098 +1 ,197 + 9,466 +12,058 +26,230 + 3,500 +10,100 +23,240 + 3,380 + 8,070 +19,156 + 2,634 + 6,029 +3,535 + 501 +1,062 + + + 507 370 320 + 7,845 + 453 + 1,168 + 7,269 + 1,310 + 3,479 + 9,300 + 9,450 + 8,250 +3,473 + 518 + 2,215 + 2,044 + 1,560 + 590 + 1,360 + 5,790 + 1,560 + 610 + 1,500 + 5,780 + 1,562 + 504 + 533 + 5,651 + 507 + 9 + 56 +2,901 + + + 32 7 256 237 + + 265 157 30 + 1,823 + + + + 758 345 251 690 + 1,580 + 1,450 + 1,267 + + 176 + + 343 TOTAL ASSETS/LIABILITIES +50,710 +45,590 +37,336 +8,725 +1 ,891 +12,275 +14,445 Item All banks Reserve city banks New York City of Other Chicago Citv ■ ■Country 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 154 594 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +16,040 +21,470 +16,030 +16,670 +13,536 +12,008 +3,905 - 770 + + 376 62 + 4,526 + 4,970 + 4,729 + 7,746 TOTAL DEPOSITS +37,510 +32,700 +25,544 +3,135 + 438 + 9,496 +12,475 + 1,600 + 430 +13,880 +21,600 + 1,60C + 430 +13,870 +16,80C + 1,660 + 362 +11,387 +12,135 +1,188 + 19 +2,500 - 572 + + + 10 13 375 60 + 386 + 36 + 4,134 + 4,940 + 96 + 294 + 4,378 + 7,707 Borrowings > Other liabilities* .+ 5,060 + 5,06C + 4,825 +2,540 + 443 + 1,355 + 487 + 5,530 + 5,41C + 5,039 +2,628 + 867 + 853 + 691 Total capital accounts + 2,610 + 2,42C + 1,928 + + 143 + 571 + 792 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 422 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds J.4 (Partly estimated. Item In billions of dollars) August 14, July 10, August 9, 1968 1968 1967 Change to Aug. 14, 1968 from — July 10, Aug. 9, 1967 1968 ASSETS Monetary reserve Gold stock Treasury Currency Bank credit Loans, net U.S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net + .2 17.1 16.9 19.7 10.4 6.7 482.8 10.4 6.6 477.7 13.1 6.6 443.1 + .2 +5.2 - 2.7 ■ + .1 +39.8 290.2 117.7 288.7 115.6 269.1 109.2 +1.5 +2.1 +21.2 + 8,5. ■ 64.4 52.5 .8 62.6 52.0 1.0 60.9 46.8 1.5 +1.8 + .5 - .2 + 3.5 + 5.7 g .7 " 74.9 73.4 64.8 +1.5 +10.1 499.9 494.6 462.8 +5.3 +37.2 441.6 438.3 409.3 +3.2 +32.3 41.9 142.8 256.9 41.7 144.3 252.3 39.3 134.7 235.3 + .2 -1.6 +4.6 + 2.6 + 8.1 +21.6 _ _ - 2,6 j LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1_/ Time deposits adjusted Postal savings deposits — — 0 - - U. S. Government deposits 5.8 3.6 5.4 + 2 . 3 .. + .4 ^ At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 4.9 .9 2.7 .9 4.5 .9 +2.2 -- + .4 2.1 .8 49.6 2.1 .8 49.8 1.9 1.5 44.8 + .1 - .2 + .3 - .7 + 4.8 T^tal liabilities and capital, net 499.9 494.6 462.8 +5.3 +37.2 — ......... * 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 $146.5 billion on August 14, 1968. 1 . 1