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FEDERAL RESERVE release For immediate release December 11, 1968 ^ l ^ g g ^ ^ I A B I L I T I E S OF ALL BANKS IN THE UNITED STATES, NOVEMBER 27, 1968 "l i b r a r y J.4 (Partly estimated. In millions of dollars) All banks All coml. banks All member banks 457,390 388,930 315,615 55,084 13,658 115,027 131,846 311,030 66,830 79,530 256,640 62,830 69,460 213,092 46,820 55,703 41,429 5,881 7,774 9,573 1,990 2,095 80,382 14,291 20,354 81,708 24,658 25,480 77,170 76,220 67,675 18,243 3,218 25,803 20,411 22,060 6,510 16,740 31,860 15,.190 22,060 6,350 16,050 31,760 13,940 22,063 4,904 9,625 31,083 12,245 4,114 384 447 13,298 3,742 1,114 87 597 1,420 695 9,839 1,526 2,195 12,243 4,492 6,996 2,907 6,386 4,122 3,316 549,750 479,090 395,535 77,069 17,571 145,322 155,573 Gross demand deposits Gross .time deposits 204,650 266,550 204,550 202,740 170,090 163,052 36,208 21,445 /, 021 6,290 61,089 62,232 65,772 73,085 TOTAL DEPOSITS 471,200 407,290 333,142 57,653 13,311 123,321 138,857 21,760 3,580 180,900 264,960 21,760 3,580 180,800 201,150 20,560 2,843 148,083 161,656 7,996 245 28,675 20,737 1,297 58 5,676 6,280 8,811 944 51,832 61,734 2,456 1,596 61,900 72,905 Borrowings 13,020 13,020 12,450 3,914 953 6,441 1,142 Other liabilities 23,790 22,280 20,204 9,373 1,891 4,988 3,952 Total capital accounts 41,740 36,500 29,739 6,129 1,416 10,572 11,622 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 LIABILITIES Reserve city banks New York City of Other City Chicago Country banks LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments 1/. Loans and discounts 1/.. U.S. Govt, obligations.. Other securities....... NOTE: 1/ Excludes total coml. interbank loans. 381,600 250,400 61,000 70 ,-200 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, 1968 to November 27, 1968 Item 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/LIABILITIES In milLions of dollars) All All coml. banks r/ banks All member banks +2,260 +1,980 +1,451 + 202 + 79 + 166 +1 +3,600 -1,930 + 590 +3,280 -1,930 + 630 +2,822 -1,884 + 513 + - 941 726 13 +217 -232 + 94 + + 798 844 212 + Reserve city banks New York City of Other Chicago City Country banks ^ .+ 866 82 220 1 +4,900 +4,860 +4,400 +1 ,268 -185 +2 ,198 +1 ,119 + 440 - 380 + 880 +3,960 + 440 - 380 + 840 +3,960 + 440 - 291 + 493 +3,758 187 31 + 59 +1 ,427 -259 + - -110 +184 660 80 + 42 +1 ,576 + - + + + + 69 + 11 + +1 ,539 - 95 110 +7,270 80 +6,920 86 +5,937 — 226 180 502 571 t 28 22 ^ +2 ,392 +2 ,101 + + i LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +3,160 +1,630 +3,160 +1,470. +2,507 +1,348 + + 202 626 + 52 +141 + + 756 360 +1 ,497 + 221 TOTAL DEPOSITS +4,790 +4,630 +3,855 + 828 +193 +1 ,116 +1 ,718 + 740 -2,830 +5,170 +1,710 + 740 -2,830 +5,170 +1,550 + 718 -2,689 +4,399 +1,427 + + + 579 873 468 654 + 25 -195 +220 +143 + 65 -1 ,336 +1 ,978 + 409 + 49 - 285 +1.,733 + 221 Borrowings +1,360 +1,360 +1,297 + 476 -181 + 887 + 115 Other liabilities > Total capital accounts + 970 + 830 + 733 + 286 -111 + 376 + 182 + 150 + 100 + 52 + + 13 + 86 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data L o a n s and i n v e s t m e n t s JL/, L o a n s and d i s c o u n t s 1/, U.S. Govt, o b l i g a t i o n s . , O t h e r s e c u r i t i e s ......... m (Partly estimated. o o J.4 - 51 4 For n u m b e r e d footnotes, +2,000 +3,500 -3,200 +1,700 see first page. r/ F i g u r e s for m u t u a l s avings banks w ere revised. . CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES November 29, 1967 to November 27, 1968 J.4 (Partly estimated. In millions of dollars) Reserve city banks New York City of Other City Chicago All banks All coml. banks All member banks +42,280 +37,830 +29,915 + 5,279 +1 ,308 +11,806 +11,522 +31,290 420 +11,410 +28,180 20 + 9,670 +22,577 271 + 7,609 + 4,630 376 + 1,025 + + + 730 289 289 + 8,754 + 164 + 2,888 + 8,463 348 + 3,407 +14,520 +14,490 +12,866 + 5,137 + 658 + 3,846 + 3,225 + 2,890 260 + 2,790 + 9,100 + 2,890 270 + 2,780 + 9,090 + 2,893 204 + 1,269 + 8,908 217 41 + 78 + 5,317 + + + 42 10 441 185 + 1,610 46 64 + 2,346 + 1,458 107 + 814 + 1,060 + 2,240 + 2,120 + 1,866 + + 230 + + TOTAL ASSETS/LIABILITIES +59,040 +54,440 +44,647 +10,818 +2 ,196 +16,349 +15,284 Item . PnnnfTV UUUllLi jr 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 402 697 537 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +18,970 +24,470 +18,960 +20,230 +15,369 +15,084 + 5,290 + 200 + + 208 243 + 4,396 + 6,496 + 5,475 + 8,145 TOTAL DEPOSITS +43,440 +39,190 +30,453 + 5,490 + 451 +10,892 +13,620 + 3,450 - 1,660 +17,170 +2^,480 + 3,450 - 1,660 +17,160 +20,240 + 3,289 - 1,740 +13,800 +15,104 + 1,990 653 + 3,839 + 314 + + + 51 169 246 323 + 934 941 + 4,497 + 6,402 + 233 + 23 + 5,218 + 8,146 Borrowings > Other liabilities* + 6,100 + 6,100 + 5,994 + 1,968 + 303 + 3,504 + 219 + 6,650 + 6,540 + 6,195 + 2,960 +1 ,251 + 1,312 + 672 Total capital accounts + 2,850 + 2,610 + 2,005 + + + + 773 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments 1/. Loans and discounts 1/. U.S. Govt, obligations . +37,300 +27,700 200 + 9,800 400 191 641 For numbered foe>tnotes, see first page. 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. Item In billions of dollars) Nov. 27, 1968 Oct. 30, 1968r/ Nov. 29, 1967 Change to Nov.27, 1968 from -Oct. 30, Nov. 29, 1968 1967 ASSETS Monetary reserve 17.2 17.1 19.7 - 10.4 6.8 10.4 6.8 12.9 6.8 ... 498.9 497.7 458.3 + 1.2 + 40.6 299.3 120.1 296.3 122.4 273.0 117.1 + 2.9 - 2.3 + 26.2 + 3.0 66.8 53.2 .1 68.8 53.6 .1 67.3 48.5 1.3 - 1.9 - .3 + - 79.5 78.9 68.1 + .6 + 11.4 516.1 514.8 478.0 + 1.3 + 38.1 457.5 452.9 421.1 + 4.6 + 36.4 43.5 149.0 265.0 — 41.8 147.8 263.3 — 39.7 141.0 240.5 — + 1.7 + 1.2 + 1.7 — + 3.8 + 8.1 + 24.5 — U. S. Government deposits 4.0 7.6 7.0 - 3.5 - 3.0 At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 3.6 .4 6.4 1.2 5.2 1.8 - 2.8 - .7 - 1.7 1.3 2.4 .8 51.4 2.1 .8 51.5 1.9 1.5 46.5 + .3 + .1 + .5 .7 5.0 Tptal liabilities and capital, net 516.1 514.8 478.0 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 - 2.5 - 2.5 .4 4.7 1.3 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits - _ + 1.3 + 38.1 Seasonally adjusted 41.6 42.3 39.0 Currency outside banks + .7 + 147.2 Demand deposits adjusted 146.3 + .9 + 139.3 * Figures may not add to totals because of rounding Treasury funds inc !.uded are gold account, Treasury currency account, and Exchange Stabilization Fund. 1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $152.0 billion on November 27, 1968. r/ Figures for mutual savings banks were revised. 3.3 7.9