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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