View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

FEDERAL

-:

RESERVE

statistical

release
FOR IMMEDIATE RELEASE
AUGUST 29, 1978

ASSETS AND LIABILITIES OF ALL
H.8

COMME~t.i[AL

BANI(S

(PARTLY E:S TIMATED. IN MILLIONS OF OOLLA~$1

~rt

THE UNITED STATES
AUGUST 16, 1978

j

ALL
COML.
BANKS

All
MEMBER
BANKS

lilESER VE CITY BANKS v
OTHER
NEW YORK CITY OF
CHICAGO

COUNTRY
BANKS !/

ASSHS
LOANS AND INVESTMENTS 2)

981 570 702,979

104.241

35,082

258,809

3Q4,847

723,350 524.274
94,850 66,136
163,370 112 '569

82,297
10,596
11' 34 8

27,800
2,679
4,603

201,720
21,171
35,918

212,457
31,690
60,700

143 970 115' 568

31,927

5,365

44,464

33,812

28,340
13,900
47,110
54,620

28,344
10,289
24,834
52' 101

5,915
984
8,788
16,240

1,518
194
558
3,095

u, 763
3,451
5,479
23,771

9,148
5,660
10,009
8,995

66,410

56,835

23,389

3,401

22,608

7,437

1,191,950 875,382

159,557

43,848

325,881

346,096

GROSS DEMAND DEPOSITS
GROSS TIME DEPOSITS

351,290 266' 142
587 780 411,724

57,055
47,808

10,955
17,991

96,352
149,441

101 t 780
196,484

TOTAL DEPOSITS

939,070 677,866

104.863

28,946

245,793

298.264

52.940 47 '775
2,936
4,050
305,43C 224,353
576,65C 402,802

22,815
190
36,705
45.153

3,367
65
8,354
17 trl60

15,934
1tr134
83,303
145,422

5,659
1,547
95,991
195,067

107,66(

93,960

26,248

9,788

43,425

14,499

59,62(

39,450

14,705

2,140

14,061

8,544

85,60(

64' 106

13,741

2,974

22,602

24,789

LOANS AND DISCOUNTS~/
U.S. TREASURY SECURITIES
OTHER SECURITIES
RESERVES, CASH, AND
BANK BALANCES
RESERVES WITH FR BANKS
CASH IN VAULT
BALANCES WITH BANKS
CASH ITEMS
OTHER ASSETS '}_/
TOTAL ASSETS/LIABILITIES'}_/
_llA.all.ITIES C. CA.ell.AL

DEPOSITS OF BANKS
U.S. GOVT. DEPOSITS
OTHER DEMAND DEPOSITS
OTHER TIME DEPOSITS
oORROWINGS
OTHER LIABILITIES ll
TOTAL CAPITAL ACCOUNTS

l/

y

AS OF NOV. 9, 1972, THE DEFINITIONS 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 PRIOR TO THE CHANGE IN DEFINITION, SO THESE
SERIES ARE CONTINUOUS OVER TIME.
2/ INCLUDES "RESERVES FOR LOAN LOSSES" AND "UNEARNED INCOME ON LOANS".
EFFECTIVE HARCH 31, 1976 "RESERVE FOR LOAN LOSSES" AND "UNEARNED INCOME ON
LOANS", WHICH FOR ALL COMMERCIAL BANKS ARE ESTIMATED TO BE APPROXIMATELY $14.5
BILLION, HAVE BEEN NETTED AGAINST "OTHER ASSETS" AND "aTHER LIABILITIES" AND,
THEREFORE, AGAINST "TarAL ASSETS/LIABILITIES".
!!_/ EFFECTIVE MARCH 31, 1976 INCLUDES "RESERVES FOR SECURITIES" AND A PORTION OF
"RESERVES FOR LOAN LOSSES".
NaTE: COMPARABILITY OF FIGURES AFFECTED BY CHANGES IN MEMBERSHIP, MERGERS, ETC.

l/




- 2CHANGES IN ASSETS AND LIABILITIES OF All COMMERCIAL BANKS IN THE UNITEG STATES
AUGUST

9, 1978 TO

(PARTLY ESTIMATED.

H.8

AUGUST 16, 1978

IN MILLIONS OF DOLLARS)

All
COML.
BANKS

All
MEMBER
BANKS

+ 2.750

+3,063

+2,577

+46

+794

-354

+ 2,590
+ 370
210

+2,542
+682
-161

+2,011
+487
+79

+194
-49
-99

+286
+597
-91

+49
-353
-50

+12 310

+10,517

+3,215

-11

+5,060

+2,259

+ 1,050
+ 430
+ 3,460
+ 7,370

+ 1,058
+298
+2 '075
+7,086

-310
+21
+1,594
+1,910

-432
+0
-229
+644

+1,224
+76
+259
+3,501

+576
+201
+451
+ 1,031

- 2,620

-2,299

-2,229

+58

+119

-247

+12,440

+11,281

+3,563

+87

+5,973

+1,658

GROSS DEMAND DEPOSITS
GROSS TIME DEPOSITS

+12,890
- 510

+11 '588
-347

+4, 126
+67

+1,095
-1

+4,674
-229

+ 1,693
-184

TOTAl DEPOSITS

+12,380

+11,241

+4,193

+1,094

+4,445

+1,509

+ 3,240
+ 970

+3,06&
+627
+7,795
-249

+1,434
-21
+2,614
+166

+445
-11
+658
+2

+933
+197
+3,548
-233

+256
+462
+975
-184

ITEM

RESERVE CITY BANKS 11
NEW YORK CITY OF OTHER
CITY
CHIC.AGO

COUNTRY
BANKS l/

ASS tiS
LOANS ANO INVESTMENTSĀ£/
LOANS AND DISCOUNTSĀ£/
U.S. TREASURY SECURITIES
OTHER SECURITIES
RESERVES, CASH, AND
BANK BALANCES
RESERVES WITH FR BANKS
CASH IN VAULT
BALANCES WITH BANKS
CASH ITEMS
OTHER

ASSETS~/

TOTAL ASSETS/LIABILITIES2/
LlA6ILlll~S

-

& 'AeiiAL

DEPOSITS OF BANKS
U.S. GOVT. DEPOSITS
OTHER DEMAND DEPOSITS
OTHER TIME DEPOSITS

+ 8,580
410

BORROWINGS

+

430

+187

-519

-831

+1 ,281

+256

OTHER LIABlllT IES2/

-

280

-71

-123

-170

+309

-87

TOTAL CAPITA.l ACCOUNTS.Y

-

90

-76

+12

-6

-62

-20

FOR NUMBERED FOOTNOTES SEE PAGE 1.