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RESERVE FEDERAL statistical release August 8, 1962 (For Immediate Release) ^ASSETS AND LIAB^M/flES OF ALL BANKS IN THE UNITED STATES, July 25, 1962 Partly estimated. Item All banks In millions of dollars) Member banks All Central reserve Reserve commer city city banks Total cial New York Chicago banks banks Country banks ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances 263,060 219,980 183.008 29.471 7.765 70,305 15ML 159,380 128,280 108,767 70,320 64,040 51,612 33,360 27,660 22,629 18,852 43,969 18,482 7,854 41,436 6,995 3,624 4,510 1,907 1,348 24,228 9,803 45.590 44.780 39,001 7.578 1.860 16.409 ..1JL12 * 16,450 4,220 16.450 4,090 11.450 3,363 12,790 16,448 3,116 6,947 12,490 4,882 1,879 4,577 6,490 222 178 938 35 7,265 102 980 2,090 3,815 785 6,074 5,797 1,941 170 2,172 315,810 271,250 227,806 38,990 9,795 88,886 90,135 Gross demand deposits Gross time deposits 146,830 146,770 124,804 132.500 92.690 75.678 23,848 8.217 5,948 48,92? 29.759 46,081 2 .636. TOTAL DEPOSITS 279.330 239.460 200.482 32.065. 8.584 78.686 14,330 14,330 13,588 5,220 5,870 ' 5,870 127,450 127,390 106,611 131,680 91,870 75,063 4,137 990 6,712 18,988 1,220 263 4,489 7,950 2,612 40,367 29,571 1,519 1,931 42,767 34,930 Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES 12,070 12,850 7,160 1,816 LIABILITIES & CAPITAL Deposits of banks U.S. Govt, deposits Other demand deposits Other time deposits l/ Borrowings ■Other liabilities Total capital accounts Seasonally ad.iusted data •Loans and investments 2/ Loans and discounts 2/. U.S. Govt, obligations. NOTE: 2,036 1,930 1,930 1,870 393 75 1,159 243 7,710 6,900 6,394 2,784 246 1,860 1,504 26,840 22,960 19,060 3,748 890 ...jLlISI ..£*241 1/ . 217,400 . 125,700 . 63,900 . 27,800. 2/ Includes amounts now reported by insured mutual savings banks as demand deposits; formerly, they were reported as time deposits or other liabilities, Excludes total coram’l interbank loans. Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. -2G.7 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 2?, 1962 to JULY 25, 1962 (Partly estivated. In millions of dollars) Item All banks All coanercial banks - 90 - + 620 160 690 Total Member banks Reserve Central reserve city city banks banks New York I Chicago 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 380 58O - 782 -101 - 890 - 170 + 680 - 818 - 330 + 568 + 394 566 1-78 -122 -1,630 -1,590 -1,685 - 470 40 + 170 -1,290 - 470 - 40 + 210 -1,290 - 470 33 + 116 -1,298 - 828 68 + 23 + 60 + 60 - + 49 +352 141 - 5 + 26 + 65 -l6l +306 157 +207 -1,305 - 32 - 517 +169 - 455 + 25 — + 14 - 71 115 26 16 - 360 + 75 + 1 + 5 + 62 - 22 - 504 +499 8 14 - +132 - 39 -1,660 -1,910 -2,197 -2,064 -128 Gross demand deposits Gross time deposits -2,270 + 980 -2,270 + 830 -2,382 + 632 -1,485 70 892 +161 + 76 + 205 +421 TOTAL DEPOSITS -1,290 -1,440 -1,750 -1,555 - 90 . . 687 +582 + 220 -3,560 +1,080 + 970 + 220 -3,560 +1,080 + 820 + 185 -3,354 + 782 + 637 - 113 + 62 -623 Borrowings - 430 - 430 - 423 - 570 Other liabilities + 60 - 50 - 35 + + 10 + 11 + Total assets LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 1/ Total capital accounts Total liabilities and capital -1,660 -1,910 Seasonally ad.iusted data Loans and investments 2/ Loans and discounts 2/ ........ + U.S. Govt, obligations Other securities..... ........ + 200 800 -2,197 -166 + 51 + 852 -2 66 -1 ,613 593 + 46 + 79 + + 607 206 +421 8 + 189 - 34 48 - 38 + 8 - 53 13 + 41 69 -2,064 - 8 -128 +722 __+_1 _ - 504 For footnotes, seei first page. +499 -3a ® *7 CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, ->*■ JULY 26, 1961 TO JULY 25, 1962 (Partly estimated. In millions of dollars) All banks All comerclal banks Loans and investments +17,460 +14,910 +12,115 + 739 +554 +5,216 +5,606 f Loans and discounts +12,930 720 + 5,250 +10,210 700 + 5,400 + 8,669 - 1,295 + 4,741 + 752 -1 ,095 +1 ,082 +359 -394 +589 +4,059 - 689 +1,846 +3 ,499 + 883 +1 ,224 + 1,44-0 + 1,460 + 1,010 - - 94 + 676 + 670 -116 1 + + 409 - 15 + 36 + 356 + 100 - 10 7 + 327 + 131 + 186 Item * Member banks Central reserve Reserve city city banks Nev York 1Chicago banks Total Country banks ASSETS U. S. Govt, obligations Other securities Reserves, cash, and * bank balances ♦ Reserve with FR Banks Cash in vault » Balances vith banks Cash items + + + + Other assets + 370 250 370 + 240 430 420 + 268 + 400 420 + + + + + 90 + 465 - 450 + 400 + 305 367 242 282 37 32 29 . + - 126 + 28 + + 217 130 mmmm +19,350 +16,770 +13,430 371 +488 +6,109 +6 ,462 -Gross demand deposits Gross time deposits + 2,250 +14,720 + 2,250 +12,420 + 1,128 914 +10,438 +1 , ,262 -342 +699 + 619 +4,372 +1 ,765 ,105 TOTAL DEPOSITS +16,970 +14,670 +11,566 + 348 +357 +4,991 +5,,870 y Deposits of banks ^ U. S. Govt, deposits 4 Other demand deposits Other time deposits i/ + 250 + 30 + 2,040 +14,650 + 250 + 30 +2,040 +12,350 + . 59 253 544 ,204 +1 , + 5 -124 -211 +687 + 210 82 + 501 +4,362 + 87 + 377 ,286 +1 , +4,,120 Borrowings + 700 + 700 + 1 + 19 + + •Other liabilities + 190 + 120 + - 100 + 63 rfotal capital accounts + 1,490 + 1,280 + 1,079 + 122 + 49 + Total liabilities and capital +19,350 +16,770 +13,430 + 371 +488 Total assets LIABILITIES & CAPITAL ^ Seasonally ad.iusted data Loans and investments 2/. Loans and discounts 2f .. U.5. Govt, obligations.. +14,100 + 9,400 800 ■ + 5,500 243 82 + 1,032 +10,373 - 692 + 93 624 48 2 + 132 496 + 412 +6,109 +6,462 For footnotes, see first page. G .7 CONSOLIDATED CONDITION STATEMENT FOR RANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. Item In billions of dollars) July 25, 1962 June 27* July 26, 1962 i. 1961 Change to July 25^ 1962 from — June 27» July 26, 1961 . 1962 ASSETS Monetary reserve Gold stock Treasury Currency Total assets, net 5*6 22.0 23.0 - .2 - 1.2 * 16.4 5.6 17.5 5.4 - .2 - 1.3 + .2 A 291.2 291.3 272.2 - .1 +19.0 157.6 158.1 145.3 98.7 — .5 .4 +12.3 + 1.4 * .2 #2 100*2 .7 33.4 100.5 70.5 29.4 .7 32.7 313.0 71.0 .8 28.1 + .7 - .7 + 2.3 . - .1 + 5.3 313.3 295.1 - .4 +17.8 * 276.4 272.9 259.1 + 3.6 +l?,_2 _ 29.6 29.3 00 Bank credit Loans, net U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities 21.8 16.2 + .2 +2.4 +1.0 + 1.1 r + 1.6 +14.7 - .1 V + 70.3 29.2 26.9 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks • 114.6 131.7 t6 112.2 .6 0•0•cv• "33 Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits 6.4 10.0 6.4 -3.6 5.9 9.4 .6 .6 5.8 .5 -3.6 Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 1.3 .4 28.4 1.4 .4 - .2 28.6 1.3 .4 27.9 Total liabilities and capital, net 313.0 313.3 295.1 - .4 U. S. Government deposits 130.7 .1 ’ JW At commercial and savings banks At Federal Reserve Banks mm mm - .2 +17.8 > Seasonally adjusted Currency outside banks Demand deposits adjusted 29.5 114.8 29.3 114.1 28.3 113.2 + .2 + .7 + 1.2 + 1.6 ---- =-- 1, * Figures may not add to totals because of rounding. Treasury funds included are gold account, Treasury currency account, and Exchange Stabilization Fund, l/. Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $116.4 billion on July 25*