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December 11, 1963 /Q^ V~ For immediate release / S ,' • : too *? '-V X j I jA£3SJ3T3 AND LM|llLITIES OF ALL BAMS IN THE UNITED STATES, NOVMBER 27, 1963 TEem ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities All coml. banks All banks Reserve city banks All member New York City of Other Chicago banks City Country banks 296,650 248,850 205,816 33,615 9,376 76,776 86,049 189,060 152,760 128,811 67,860 61,970 48,647 6,038 1,731 1,607 50,699 16,472 9,605 48,971 24,810 34,120 28,358 23,103 5,634 4,878 50,370 44,276 9,259 1,955 18,887 14,175 . 16,070 16,070 16,068 3,231 7,353 4,617 4,540 12,910 12,300 3,448 7,758 263 867 4,670 1,070 2,066 17,460 17,002 880 2,375 17,520 247 5,518 49 159 8,089 4,977 2,515 8,280 7,520 6,686 2,326 190 2,4o 6 1,764 . .306,740 256,778 45,200 -11J>21 98,069 101,988 . LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 158,190 158,130 133,499 155,180 110,890 90,816 25,138 11,669 6,295 3,808 51,109 34.782 50,957 40,557 .. TOTAL DEPOSITS 313,370 269,020 224,315 36,807 10,103 85,891 91,514 , 1,200 20,201 11,398 204 4,909 3,790 7,039 1,515 42,698 34,639 1,824 1,571 47,708 40,411 Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets 39,730 51,170 TOTAL ASSETS/LIABILITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 1 15,430 15,430 14,547 4,610 4,610 4,014 138,920 138,860 115,516 154,410 110,120 90,238 4,484 724 12,268 Borrowings 4,4oo 4,400 4,244 1,480 211 2,102 451 Other liabilities 9,200 8,320 7,613 2,947 214 2,423 2,029 29,130 25,000 20,606 .3,966 993 7,653 7,994 Total capital accounts Seasonally adjusted data \f Excludes total coml. interbank loans. Loans and investments l/ 244,000 Loans and discounts y, 148,800 U.S. Govt, obligations. 60,800 Other securities.. 34,400 NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. -2 - CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, -^ OCTOBER 30, 1963 TO NOVEMBER 27, 19^3 * 4 1CO j.)[ (partly estimated. In millions of dollars) -- -------- --------- 1— ; — Reserve city t ■ ■"Air ' a i t member New York City of Other All coml. Item Chicago City banks banks r/ banks ASSETS and iinvestments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and D&XuJlCCS Reserve with FR Banks Cash in vault Balances with hanks Cash items Other assets Country banks + 3,240 +2,910 +2,473 + 755 +165 + 670 + 883 +3,37° + 190 - 320 +3,040 + 200 - 330 +2,737 + 79 - 343 +1,338 - 292 - 291 +212 - 12 - 35 + 567 + 148 - 45 + 620 + 235 + 28 +2,380 +2,400 +2,381 + - 38 +1,702 + 234 - 310 - 150 + 360 +2,480 - 310 - 150 + 380 +2,480 - 311 - 102 + 376 +2,4l8 - 514 3 + 44 + 956 + + - + 359 30 + 251 +1,122 + + -1- + 4. + .8 - an TOTAL ASSETS/LIABILITIES +5,710 00 cn 483 70 1 38 7 115 - 86 70 43 347 16 - +5,400 +4,945 +1,353 +127 +2 ,364 +1,101 LIABILITIES & CAPITAL 'jross demand deposits UX U o wc* tirnp U iiu C H p 'n o s ’i.'fcs ww +4,030 + 44o +4,030 + 200 +3,560 + 280 + 879 + 273_ + 89 + 80 +1,547 + 78 +1,045 - 151— +4,470 +4,230 +3,840 +1,152 +169 +1,625 + TYYPAT. T lT ilP fiS 'P P fi + 664 +2,814 + 275 + 32 14 +107 + 80 - 117 + 323 +1,339 + 80 - 19 + 326 + 738 - 151 + 87 894 + 44® 90 + 780 +3,160 + 200 Borrowings + 710 + 710 + 691 + 42 - 63 + 602 Other liabilities + 420 + 380 + + 159 + 18 + 119 + 67 Total capital accounts + 110 + 3 + 18 + 30 90 + 780 +3,160 Deposits of hanks U. S. Govt, deposits Other demand deposits Other time deposits + CVilU. U l O W W W M tJ 80 + 363 51 + + + + 255 1 630 266 — + + 110 For nuinhered footnotes, see first page. Seasonally adjusted data Loans and investments l/ JJUCUIO + ............. +3,000 +2,500 600 - 100 + Revised mutual savings bank figures for October 30., 1963. t ! -3- CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, 1962 TO NOVEMBER 28, Item * ASSETS * #» Loans and investments * Loans and discounts U. S. Govt, obligations v Other securities ►> Reserves, cash, and. * fofink balances !► Reserve with FR Banks * Cash in vault Balance with banks Cash items All banks All coml. banks NOVEMBER 27, 1963 All member banks Reserve citv banks New York City of Other City# .Chicago Country banks # +23,140 +19,590 +16,197 +3,244 + 92O +5,512 +6,521- +21,820 +17,920 +14,946 +2,984 - 3,870 - 3,630 - 3,450 - 712 + 5,190 + 5,300 + 4,701 + 972 +1,009 - 294 + 205 +5,488 -l,6l6 +1,640 +5,465 - 828 +1,884 + 2,920 + 2,712 - 147 +2,006 + 457^ +'2,890 + 396 10 60 220 + 16 - 381 18 9 + 8 75 87 k 31 33 + 445 6 + 220 +1,347 + + + 2,770 + 2,770 + 2,671 + 7T8 + - 920 + + + 209. 10 60 190 + 7 7 - 122 + 579 + 1,000 + 819 + 356 + 10 +27,030 +23,430 +19,728 +3,996 + 783 +7,762 +7.187 + 4,570 +18,100 + 4,570 + 3,515 + 324 +14,770 +12,541 +2,737 - 189 + 842 +l,44l +4,673 +1,939 +4,289 „ TOTAL DEPOSITS +22,670 +19,340 +16.056 +3.061 + 6*53 +6.ll4_ .j & a a L ’ - Deposits of banks „ U. S. Govt, deposits Other demand deposits Other time deposits 280 - 298 280 - 1,720 - 1,720 - 1,503 + 6,580 + 6,580 + 5,335 +18,090 +14,760 +12,522 - 25 - 228 + 595 +2,719 - i4l - 80 + 30 + 844 - 169 - 476 +2,087 +4,672 + 37 - 719 +2,623 +4,287 + 545 + 145 + 886 + 791 + 273 - 67 + 310 + 275 + 52 + 452 + 439 AJfU VliipvYl' 0 f* l0 RS fi >\ QP vt ^.UO TOTAL ASSETS/LIABILITIES 244 % LIABILITIES & CAPITAL y Gross demand deposits Gross time deposits * Borrowings + 1,900 960 + ,, Other liabilities + *■ Total capital accounts + 1,500 Seasonally adjusted data 1 Tr-vo-nci 4mrAR+mpn+.Pl 1 /. •y —f t r*^vt + rvhlHIcrtk^rAr*n.ct•___ Ut* a UV YrW« » + 1,900 + 1,821 870 + + 1,320 +18,100 +16,600 - 3,800 | + 5,300 + 1,060 + 117 245 For numbered footnotes, see first page. # Beginning with June 1963 country bank totals have been increased and New York City figures reduced $525 million incident to a change in reserve classification of three banks. -4. CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. J.4 In billions of dollars) Change to Nov. 27, I - 196^ from — Nov. 27, Oct. 30, j j\jUV• CSJy 7r Nov. 28, )ct. 30, 1962 1963 j 1963 r/ ,l?6± . 1962 Item ASSETS jwonsu&ij icDcx vw Gold stock . Treasury Currency JDcilliV Cl“U.1U Loans, net iUt« Q• V fJ !mHobligations VVv• vWJ-J-gwwxvww Commercial and savings banks Federal Reserve Banks Other A 4 ' U / sv> BtJUlUJ-ulCD 4* ACS UuuCJT 21.2 15.6 21.2 15.6 .4 - .4 - 5-6 5-6 326.9 323-4 301.9 +3.4 +25.0 - I85.3 182.3 101.1 164.9 102.4 +20.4 .6 67.9 33-3 67.7 +3-0 + -7 4* .2 + .5 101.8 .6 39-7 Total assets, net - 21.5 j 16.0 5.6 32.8 .7 4o.i - 71.7 . 30.1 -7 ’ 34.5 ... - .3 - 3-9 + 3-3 + 5.2 348.0 • 344.6 323-4 +3.4 +24-6 308.8 306.4 284.5 +24.3 32-5 121.4 154.4 -5 31.3 120.7 30.1 117-6 154.0 -5 136.3 -5 ..+2 -2+1.2 + .7 + .4 LIABILITIES AND CAPITAL Total deposits adjusted and a .iv*y*<anrtir uu nn‘ ’flir]. a hfl.n currcuvj .1voau c5 " ucm *l bf *8» Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits t Q• n rtwJrVA THJfUfUl Al ni’ h i‘ fcfl UT» D Sj CX UC U UCJJwOaww * 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 + 2.5 + 3-8 +18.1 - .1 5-6 4.6 6^ +1.0 - 1-.3- 4.6 -9 3-8 .8 6.3 .6 + .8 + .2 - 1.7 + .4 1.2 1.2 1.2 .4 32.1 .,4 32.0 30.4 + .1 348.0 ^44.6 '-*2^.4 +3.4 - .1 ,k + 1.7 _ +24.6. .Seasonally adjusted + 2.0 29.6 + -5 31-6 31.1 Currency outside banks + 3,8 116.2 .. t -5.1 120.0 Tv=>mAnd deposits adjusted Lgures may not; aoa to wi,tuB uctauoc ^ **e.. ------ _ . gold account, Treasury currency account, and Exchange Stabilization Fund. 1J Demand deposits including of foreign banks an o mu 5U1CUM W Sfc/VW-i. adjusted, ----- demand deposits J L 'i s~\ savings banks, were $123-4 billion on November 0 * 1 ( 19^3 r/ Revised. —/ _ - )i j 1 *1 J Ttfrvt * / —