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For Immediate release
A u g u s t

CIE3 OF ALL BANKS IH TEDS UNITED STATES,
J.4
r

\

j-

J U L Y

8 ,

2 6 ,

1 9 6 7 .
1 9 6 7

tly estimated. In millions of dollars)
\----r A H
Reserve city banks
Ail
member New York City of Other
coml.
Chicago
City
banks
---- banks

Country
banks

4 0 0 , 6 0 0

3 3 8 , 2 9 0

2 7 6 , 3 8 1

4 8 , 3 8 0

1 2 , 2 7 2

1 0 0 , 8 0 0

1 1 4 , 9 2 9

2 7 4 , 6 0 0

2 2 4 , 2 1 0

1 8 7 , 5 3 6

3 6 , 6 8 3

8 , 9 6 1

6 9 , 9 8 9

7 1 , 9 0 3

6 1 , 5 6 0

5 7 , 2 2 0

4 2 , 9 5 7

5 , 4 0 8

1 , 6 7 9

1 3 ,4 3 7

2 2 , 4 3 3

6 4 , 4 4 0

5 6 , 8 6 0

4 5 , 8 8 8

6 , 2 8 9

1 , 6 3 2

1 7 , 3 7 4

2 0 ,5 9 3

6 3 , 4 7 0

6 2 , 3 7 0

5 5 , 1 6 6

1 4 , 4 3 1

2 , 9 2 0

2 1 , 1 7 8

1 6 ,6 3 7

1 9 , 5 7 0

1 9 , 5 7 0

1 9 , 5 6 5

4 , 8 8 8

1 , 1 8 7

8 , 0 7 4

5 , 4 1 6

6 , 2 2 0

6 , 0 5 0

4 , 7 0 1

3 7 5

8 9

1 ,4 3 7

2 , 8 0 0

1 4 , 6 1 0

1 3 , 7 5 0

8 , 3 8 1

3 0 9

3 4 3

2 , 2 5 0

5 , 4 7 9

2 3 , 0 7 0

2 3 , 0 0 0

2 2 , 5 1 9

8 , 8 5 9

1 , 3 0 1

9 , 4 1 7

2 , 9 4 2

1 2 , 8 3 0

1 1 , 7 3 0

1 0 , 2 3 7

3 , 1 5 3

5 1 0

3 , 6 8 8

2 , 8 8 6

4 7 6 , 9 0 0

4 1 2 , 3 9 0

3 4 1 , 7 8 4

6 5 , 9 6 4

1 5 , 7 0 2

1 2 5 , 6 6 6

1 3 4 , 4 5 2

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

1 8 0 , 8 8 0

1 8 0 , 8 1 0

1 5 1 ,1 4 7

3 1 , 4 3 9

7 , 0 3 0

5 5 , 1 2 6

5 7 , 5 5 2

2 3 5 , 3 4 0

1 7 7 , 0 2 0

1 4 3 , 8 2 9

2 0 , 5 1 4

5 , 8 4 7

5 4 , 6 1 0

6 2 , 8 5 8

TOTAL DEPOSITS

4 1 6 , 2 2 0

3 5 7 , 8 3 0

2 9 4 , 9 7 6

5 1 , 9 5 3

1 2 , 8 7 7

1 0 9 , 7 3 6

1 2 0 , 4 1 0

1 8 , 5 0 0

1 8 , 5 0 0

1 7 , 5 1 3

6 , 3 3 1

1 , 3 3 1

7 , 8 0 1

2 , 0 5 0

Loans and investments
Loans and discounts
U. S. Govt, obligations
Other securities
Reserves, cash, and
bank balances
Reserve with FR Banka
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

-

6 , 1 4 0

6 , 1 4 0

5 , 5 2 6

1 , 2 7 1

2 9 3

2 , 3 6 8

1 , 5 9 4

1 5 8 , 0 1 0

1 5 7 , 9 4 0

1 2 9 , 6 7 4

2 4 , 7 5 4

5 , 4 1 6

4 5 , 4 5 6

5 4 , 0 4 8

2 3 3 , 5 7 0

1 7 5 , 2 5 0

1 4 2 , 2 6 3

1 9 , 5 9 7

5 , 8 3 7

5 4 , 1 1 1

6 2 , 7 1 8

6 , 9 1 0

6 , 9 1 0

6 , 6 2 5

2 , 5 3 6

6 5 5

2 , 8 6 2

57 2

Other liabilities

1 5 , 8 8 0

1 4 , 6 9 0

1 3 , 1 2 2

5 , 8 7 5

9 5 6

3 , 3 2 9

2 , 9 6 2

Total capital accounts

3 7 , 8 9 0

3 2 , 9 6 0

2 7 , 0 6 1

5 , 6 0 0

1 , 2 1 4

9 , 7 3 9

1 0 , 5 0 8

Borrowings

1j Excludes total coml. interbank loans.

Seasonally adjusted data
3 3 4 , 1 0 0
2 1 8 , 4 0 0
tt

<3

rtm rf

n h l 1 crfl.t.'l o n s

5 9 , 1 0 0
5 6 , 7 0 0

NOTE: Comparability of figures affected "by changes in FR membership, mergers, etc.,
and in reserve classifications.




CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
JUNE 28, 1967 TO JULY 26, 1967

J‘4
Item

(Partly estimated. In millions of dollars)
All
All
Reserve city banks
All
member New York City of
coml.
Other
banks-' banks
banks
City Chicago

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

Country
banks

+4, 490

+4 ,100 . +3,,230

+ 727

+136

+1 ,057

+1 ,310

+ 660
+2 ,,940
+ 890

+ 270
+2 ,940
+ 890

+ 110
+2 ,,497
+ 623

+ 21
+ 599
+ 107

+183
+ 51
- 98

264
+1 »170
+ 151

+ 170
+ 677
+ 463

+li,330

+1 ,360

+1 ,492

+1 ,322

+115

+ 284

-

229

+ 850

+ 850

+ 782
3

+ 630

+ 842
27
+ 48
+ 629

+ 545

+
+
+

+ 269
7
+ 21
+
1

+
+

241
7
16
3

-

-

-

-

4

20

-

130
+ 630

90

-

-

20
100
90

89

-

2

32

10

13
80

•

56

+ 6

-

35

+5.,730

+5,370

,633
+4;

+1 ,993

+257

+1 ,306

+1 ,077

LIABILITIES &, CAPITAL
Gross demand deposits
Gross time deposits

+3,830
,570
+2 ;

+3,830

+2 ,210

+3,,262
,856
+1 .

+ 621
+ 744

+183
+158

+1 ,537
+ 405

+ 921
+ 549

TOTAL DEPOSITS

+6 ,400

+6 ,040

+5.,118

+1 ,365

+341

+1 >942

+1 ,470

+ 340

+ 340
+1 ,430

+ 1 ,366
+ 1 ,628
+ 1 ,796

+ 328

+ 208
+ 425
+ 16
+ 716

+ 70
+ 68
+ 44
+159

+ 13
+ 723
+ 834
+ 372

+ 37
+ 150
+ 734
+ 549

817

+ 115

-112

- 558

-

TOTAL ASSETS/LIABILITIES

Deposits of banks
U- S. Govt, deposits
Other demand deposits
Other time deposits

.

,

+ 1 ,430
,120
+2 ;
+2 ,510
,

950

+2 ,120
+2 ,150
950

,

,

,

262

Borrowings

-

Other liabilities

+ 200

+ 200

+ 270

+ 470

+ 27

-

89

- 138

Total capital accounts

+

+

+

+

+ 1

+

11

+

Seasonally adjusted data
Loans and investments i_/.
Loans and discounts \ J .
U.S. Govt. obligations..
Other securities......

80

-

80

+7,400
+4,100
+2,600
+ 800

-

62

43

For numbered footnotes, see first page.
r/ Figures for mutual savings banks were
revised.

Changes in seasonally adjusted data June 30, 1967 (estimated) to July 26, 1967.




7

-3-

CHANGE3 IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
JULY 27, 1966 TO JULY 26, 1967

jji
-- ----

"■

..

Item

(Partly estimated. In millions of dollars)
...r
Reserve city banks
All
All
City of
All
York i
member
coml.
Chicago Other
banks
City i
banks
banks

ASSETS
T
/nomq CbilLL XUV
*!mreatments
ilUtUlO
CDViUCUwo

UOUilL/iJ
banks

+30,360 +25,910 +20,562 +3,384

+ 872

+7,281

+9,025

+16,570 +13,160 +10,326 +1,894
+ 3,730 + 4,500 + 3,885 +1,321
+10,060 + 8,250 + 6,351 + 169

+ 630
+ 316
74

+2,251
+1,646
+3,384

+5,551
+ 602
+2,872

+ 6,190 + 5,950 + 5,417 +2,995

-+ 473

+1,108

+

+ 1,180 + 1,180 + 1,173 + 783
275 + 40
310 +
+
350 +
99
605 +
+ 1,230 + 1,050 +
+ 3,430 + 3,410 + 3,364 +2,073

+
+
+
+

219
4
34
216

+ 187
+ 104
+
37
+ 780

+ 127
+ 435
+ 295

313

14

+ 404

+

+37,340 +32,600 +26,716 +6,692

+1,331

+8,793

+9,900

+ 9,850 + 9,830 + 8,578 +4,179
+23,810 +19,160 +14,934 + 899

+
+

336
582

+2,373
+5,874

+1,690
+7,579

+33,660 +28,990 +23,512 +5,078

+ 918

+8,247

+9,269

+ 1,930 + 1,930 + 1,960
188
260
260
+ 8,640 + 8,620 + 7,258
+23,350 +18,700 +14,482

+ 938
+ 195
+3,315
+ 630

+ 140
17
+ 192
+ 603

+ 768
+ 71
+1,740
+5,668

+ 114
- 437
+2,011
+7,581

180

38

+

18

+ 118

- 278

Other liabilities

+ 1,940 + 2,060 + 1,854 +1,213

+

327

20

+ 334

1 Ccxpj-Ucxx
a1 aucwuin/o
mints
TOuaJL

+ 2,060 + 1,870 + 1,530 + 439

+

68

+ 448

+ 575

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
ra
-V>r**y* aoocUo
fl cscp'f*Q
Uoncx

TOTAL ASSETS/LIABILITIES
LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits
W
YPAT JJ-E
TYfi’POc?T’T
lUXiiAJ
j.TVOa.L’c5
O

Deposits of banks
U- S. Govt, deposits
Other demand deposits
Other time deposits
Borrowings

+

790 +




320

320

Seasonally adjusted data
•f _ —^ _ aLI1U. 4
*1j/ ...............
J jO t U l S C
iUVCOOiucuuoO h
Loans anci uiscuuiiod y • • * • • • • • • •

740 +

737 +

841

16

34

For numbered footnotes, see first page.
+24,900
+12,000
+ 4,700
+

8,200

-4-

CONSOLIDATED CONDITION STATafflRT FOB BANKS AHD THE MONETARY SYST0«*
All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
J .k

(partly estimated. In billions of dollars)
Item

Change to July 26
1967
from —
June 28, July 27,
1966
1967

July 26,
1967

June 28,
1967r/

July 27,
1966

19.7

19.7

19.3

--

+

13.1
6.6

13.1
6.6

13.3
6.0

—

- .2
+ .7

442.2

436.1

406.9

+6.1

+35.4

267.9
109.9

266.3
106.2

251.8
100.6

+1.6
+3.7

+16.1
+ 9.3

61.6
46.9
1.5

58.6
46.2
1.4

57.8
42.0
.8

+2.9
+ .7

+ 3.7
+ 4.9
+ .7

64.4

63.6

54.4

+ .9

+10.1

462.0

455.9

426.2

+6.1

+35.8

407.2

403.1

377.0

+4.1

+30.2

38.6
134.9
233.6
.1

38.5
133.5
231.1
.1

36.9
129.7
210.2
.2

+ .1
+1.5
+2.5

+ 1.8
+ 5.2
+23.4
- .1

7.5

5.9

7.7

+1.5

- .3

6.1
1.3

4.7
1.2

6.4
1.3

+1.4
+ .1

- .3

1.8
1.5
44.0

1.8
1.4
43.7'

1.8
1.1
38.5

+ .1
+; .3

+ .4
+ 5.5

426.2

+6.1

+35.8

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

.4

LIABILITIES AHD CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted l/
Time deposits adjusted
Postal savings deposits
U* 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

462.0

455.9

Seasonally adjusted
38.5
38.5
36.8
Currency outside banks
+ 1.7
135.2
135.8
130.0
-0.6
+ 5.2
Demand deposits adjusted
* Figures nay not add to totals because of rounding. Treasury funds Included are
gold account, Treasury currency account, and Exchange Stabilisation Fund,
l/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual
savings banks, were $137.5 billion on July 26, 1967.
it/forFigures
Digitized
FRASER for Mutual savings banks were revised.