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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

*

/

—