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Y h ^ BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) December 11, 1959 ^ X j I l 4 5 ^ B ^ 3 ^ L I A p ILirT1IES OF ALL BANK? IN THE UNITED STATES, NOVEMBER 25, 1959 / — m w s > ^ ------- All Member banks commer Central reserve Reserve cial Total city banks city banks* 1 / 1/1New York | Chicago banks Country banks w 225,640 188,140 156,14s 25,020 6,605 60,790 63,734 134,490 65,210 25,940 109,470 58,330 20,340 93,527 17,990 46,433 4,958 16,189 2,072 3,908 2,014 683 38,170 16,955 5,665 33,459 22,506 7,769 44,950 44,220 39,107 7,834 1,882 16,495 12,896 17,920 3,310 10,880 12,840 17,920 3,190 10,300 12,810 17,918 3,534 2,401 162 104 6,335 12,453 4,034 989 32 109 752 7,766 764 2,053 5,912 5,629 1,443 4,069 1,755 5,320 4,770 1,200 79 1,599 1,321 275,910 237,130 199,455 34,054 8,566 78,884 77,951 Gross demand deposits Gross time deposits 143,540 101,240 143,510 66,620 122,783 23,767 53,497 4,485 6,116 1,464 48,425 21,560 44,475 25,988 TOTAL DEPOSITS 244,780 210,130 176,280 28,252 7,580 69,985 70,463 14,810 4,690 125,920 99,360 14,810 4,690 125,890 64,740 14,102 4,992 4,142 716 106,252 19,183 51,784 3,361 1,140 222 4,787 1,431 6,575 1,619 40,622 21,169 1,395 1,585 4l,660 25,823 Borrowings 2,860 2,860 2,776 968 108 1,171 529 Other liabilities 5,290 4,550 4,118 1,497 124 1,643 854 Total capital accounts 22,980 19,590 16,281 3,337 754 6,085 6,105 Total liabilities and capital 275,910 237,130 199,455 34,054 8,566 78,884 77,951 Item All banks*, 1/ 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 f 4,199 LIABILITIES & CAPITAL 9 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits * Figures have been rounded to nearest 10 million. -i/ Beginning with August 1959, includes ten nonmember commercial banks in Hawaii with J s *oonep??i^8 °£ million (a national member bank in Hawaii with total deposits or $220 million has been included in country member banks since April 1959). Six Alaska with total deposits of $133 million have been included with s Se APril 1959 (these and eleven others with total deposits Digitizedor for FRASER $39 million had been in nonmember commercial banks since January 1959). - 2 - CHANGES IN ASSETS AMD LIABILITIES OF ALL BAMS IN THE UNITED STATES, OCTOBER 28, 1959 TO NOVEMBER 25, 1959 G.7 ( P a rtly estiaiated. Item All banks* In m illio n s o f d o lla rs ) All commer cial banks* Total Member banks Central reserve Reserve city city banks New York I Chicago banks ASSETS 179 - 41 - 96 89 + 1,440 + 1,310 + 1,199 1,320 - 1,240 - 1,138 300 - 260 - 240 + 586 - .437 - 190 - 36 - 78 + 18 + 413 - 461 - 41 Loans and investments Loans and discounts U. S. Govt, obligations Other securities r* 4 ► - Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items k» * Other assets r* 190 180 + + + Total assets 920 890 793 + 340 170 340 346 115 - 432 + 5 - 16 + 477 210 1,220 + 170 180 + 1,220 + 111 + 1,143 40 48 800 740 880 880 60 + 34 + 565 23 + 79 - 22 49 + 459 + 28 + 17 37 5 662 30 - 96 + 493 - 125 - 168 13 920 664 752 + 920 + 11 + 311 - 268 40 40 88 293 + 24 43 + LIABILITIES & CAPITAL Gross demand deposits Gross time deposits TOTAL DEPOSITS Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 52 50 50 770 739 - 770 + l,6oo + 1,600 + 1,351 648 820 820 - - 6l - 12 - 14 + 38 - 422 + 253 - 63 + 12 - 19 - 217 + 549 270 + 400 + 400 389 + 198 - 127 + 270 Other liabilities + 330 + 290 289 + 128 + 4 + 148 Total capital accounts + 110 + 90 72 - + 3 + 740 662 * Borrowings i> + Total liabilities and capital * 800 Figures have been rounded to nearest 10 m illio n . 3 30 - 96 32 + 493 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, NOVEMBER 26, 1958 TO NOVEMBER 25, 1959 G.7 (P a rtly estiinated. ♦ Item In m illio n s o f d o lla rs ) Member banks All Central reserve Reserve commerAll city city banks banks*^ 1/ Total , New York 1 Chicago banks banks* =J Country banks 1/ ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets - 122 + 609 + 2,340 + 2,324 2,736 120 + 490 - 673 + 61 + 4,777 3,936 232 + 3,711 - 1,550 + 179 + 71 - 185 + 219 - 138 - 170 + 1 7 9 160 + + + 33 5 341 + + + 28 50 + 590 1 33 695 294 78 + 14 1 + 116 + 213 2 , 601+ - 447 - 308 + 944 + 2,415 2,295 +13,410 - 9,330 10 90 + 4-11,302 - 8,895 112 + 15,260 - 9,740 Reserves, cash, and bank balances 532 + 4,090 + 5,430 180 90 33 892 890 - 890 + i4o 590 + 1,160 + 130 + 1,170 83 329 +- 1,105 + + + 480 500 430 3^2 - + 5,730 + 4,1+30 Gross demand deposits Gross time deposits + 740 + 2,970 + 740 + 1,820 23 + 1,043 _ 139 567 - 314 + 32 + 179 441 + 609 + 1,137 TOTAL DEPOSITS + 3,710 + 2,560 1,020 - 706 - 282 + 262 + 1,746 1,054 1,124 1- 1,475 + +• 1,723 + 690 250 227 7 - 60 - 185 - 72 + 35 279 441 438 + + • 544 25 248 + 882 + 1,137 721 + 232 - 49 + 261 + 277 56 Total assets LIABILITIES & CAPITAL + + 1,190 2,310 + 3,730 + i ,i 4 o 1,190 Borrowings + 710 + 710 4- Other liabilities + 150 + 120 f 80 - 34 - 7 + 65 + Total capital accounts + 1,160 + 1,040 +• 783 + 61 + 30 + 256 + Total liabilities and capital + 5,730 + 4,1+30 t- 2,604 - 447 - 308 + 944 + 2,415 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 1,11*0 2,310 2,580 * Figures have been rounded to nearest 10 m illio n . 1/ See footnote on f i r s t page. - 4 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* G.7 ^ All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds l/ " (Partly estimated. .11 1 In "billions of dollars) Nov. 25, 1959 j.xem Oct. 28, 1959 1 / Nov. Change to Nov. 25, 1959 from — Oct. 28, Nov. 26, 1959 1958 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 24.9 24.8 19.6 5-3 19.5 5.3 251.2 132.3 93-0 65.2 26.7 1.1 25.9 251.8 131.5 94.0 66.5 26.4 1.1 26.2 276.1 276.5 272.0 242.5 242.2 ' 29.1 113.1 99-3 1.0 28.3 112.7 100.2 1.0 237.5 28.8 111.9 95.6 1.1 5-1 6.0 6.4 4.7 .4 5-5 •5 5.9 .5 3-0 .4 25.1 3.1 .4 24.9 3.7 .7 23.8 276.1 276 .5_ 272.0 + 25.8 20.6 5.2 .1 .1 - *9 - 1.0 + .1 246.2 118.2 102.0 - .5 + .8 - 1.0 + 5.1 +14.1 - 9*0 75.0 25.8 1.2 26.0 - 1.3 + .4 - 9*7 + -9 - .2 - .1 + - .3 .4 + .■ +■ + - .3 •8 .4 .8 - *9 - 1.2 •- .8 .1 - 1.2 - .1 + .3 - *7 - .3 + 1.3 - .4 j + 4.1 + 4.1 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 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 accounts, net Total liabilities and capital, net ■ . + 5.0 + -3 + 1.2 + 3.7 - .2 Seasonally adjusted 28.2 28.2 + .3 + *3 28.5 Currency outside banks + 1.2 110.6 .1 111.8 111.9 Demand deposits adjusted * Figures may not add to totals ‘ because of rounding. For description and back figures of seasonally adjusted data, see July 1957 Bulletin, pp. 828-29* Also see footnote on first page. Treasury funds included, are gold account, Treasury currency account, and Exchange Stabilization Fund, Digitized FRASER r/ for Berised.