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FEDERAL statistical RESERVE release K 3 7 y T (For Immediate Release) December 12, 1961 ♦ TIES OF ALL BANKS IN THE UNITED STATES, NOVEMBER 29, 1961 Item (Partly estimated. In millions of dollars) Member banks All Central reserve Reserve commer All city city banks Total banks* cial New York Chicago banks banks* Country banks ASSETS 252,260 211,250 175,827 29,066 7,329 67,038 72,394 150,740 72,420 29,100 121,670 103,129 66,210 53,874 23,370 18,824 18,398 7,908 2,760 4,341 2,111 877 41,259 19,509 6,270 39,131 24,346 8,917 46,970 46,130 40,394 8,044 2,019 16,779 13,552 16,390 4,420 12,520 13,61*0 16,390 16,390 4,300 3,196 11,860 7,622 13,580 13,186 3,359 237 269 4,179 986 35 l4l 857 7,299 1,006 2,242 6,232 4,746 1.918 4,970 1.918 5,494 1,948 154 1,988 l,4o4 306,000 263,510 221,715 39,058 9,502 85,805 87,350 Gross demand deposits Gross time deposits 150,170 119,950 150,110 127,981 81,960 66,685 24,566 7,281 6,312 1,972 TOTAL DEPOSITS 270,120 232,070 194,666 31,847 8,284 49,973 47,130 25,977 ,.2iJ£S_ 75,950 78,585 15,390 Deposits of banks l/ 5,740 U. S. Govt, deposits Other demand deposits l/ 129,790 Other time deposits l / -2/ 119,200 15,390 14,582 5,7W 5,049 129,730 108,894 81,210 66,141 4,218 856 19,693 7,080 1,286 254 4,790 1,954 7,464 1,996 40,694 25,796 l,6l4 1,943 43,717 31,311 Borrowings 1,830 1,830 . 1,795 602 137 905 151 Other liabilities 8,020 7,320 6,776 2,907 2,083 22,290 18,478 3,702 215 866 1,571 7,043 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 6,770 6,130 LIABILITIES & CAPITAL Total capital accounts 26,030 6,867 Total liabilities 85,805 87,350 306,000 263,510 221,715 39,058 9,502 and capital Note— The comparability of figures in this series is affected by changes in Federal Re serve membership, mergers, etc., and in reserve classifications. l/ Due to the reclassification of deposits of foreign central banks, Deposits of banks was reduced by about $1,900 million j Other demand deposits was increased by about $400 million and Other time deposits by about $1,500 million (on April 26, 1961). 2/ Includes amounts now reported by insured mutual savings banks as demand deposits; they were reported as time deposits or other liabilities. formerly, -2- G.7 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN M E UNITED SIATIS, OCTOBER 25, 1961 TO NOVEMBER 29, 19^1 (Partly estimated. In millions of dollars) Item All banks* r/ All commer cial banks* Member banks Central reserve Reserve city Total city banks New York 1 Chicago banks Country banks r 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 8c + 960 + 743 +320 -233 +205 +451 +1,370 - 4oo + i4o +1,200 - 420 + 180 +1 ,022 416 + 137 +376 - 34 - 22 - 18 -253 .+ 38 +298 -133 + 4o +366 • + 4 + 81 + 830 + 810 + 673 -124 +178 +310 +309 + 44 +125 + 89 + 51 610 330 490 620 + + + 610 330 470 620 609 + 255 + 422 + 605 -666 + 28 +118 +396 + + + + 69 3 49 57 - 56 + 99 +166 +101 - 170 - 170 - 115 + 5 - 4 + 7 -123 +1,301 +201 - 59 +522 +£2L~, +1,770 +1,600 . Gross demand deposits Gross time deposits + 985 182 +373 + 19 + 25 + 9 + 82 - 92 +505 -118 TOTAL DEPOSITS +1,090 +1,020 +• 803 +392 + 34 - 10 +387 + 380 - 210 +1,090 - 170 + 380 - 210 +1,090 - 240 — Borrowings Total liabilities and capital + + 410 270 — + + 350 230 + 376 221 + 831 183 +137 -138 +370 + 23 + + + 17 53 62 8 +217 - 47 - 84 - 96 + 5 + 17 +483 -118 - ■ x3 -258 -117 +289 + + + 57 + 10 + 13 + 11 +170 + 73 + 86 + 91 326 185 V A * _ - + T3 1 A V A- "1 M - *1 +1,770 +1,600 n ,3 0 l +201 - 59 * Figures have been rounded to nearest 10 Million* r/ Mutual savings hanks figures for October 25 have been revised. + A V +1,260 - 240 Total capital accounts "1 V r1 +1,260 - 170 Other liabilities * A + + + CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 1 +1,110 +522 +637 -3- G.7 CHANGES IK ASSETS AMD LIABILITIES OP ALL BANKS IN THE UNITED BIAT2S, NOVEMBER 30, i960 TO NOVEMBER 29, i$6l (Partly estimated. In millions of dollar*) Item All banks* All commer cial banks* Member banks Central reserve Reserve Total city banks city New York I Chicago banks Country banks ASSETS f13,830 +2,664 +600 +5,413 +5,153 + 8,650 + 6,660 f 5,421 + 5,860 + 6,030 + 5,650 + 3,240 + 3,070 + 2,759 + 656 +1,289 + 719 + 81 +270 +249 +1,986 +2,566 + 861 +2,698 +1,525 + 930 + 90 + 20 4- 10 - 336 - 21 + 130 + 237 - 120 570 + 650 220 + 121 419 411 123 - 388 + 65 + 19 - 35 + 3 + 120 570 + 610 250 + 32 - 42 + 53 + 340 + 175 - 428 + 43. 38 + 176 + 4o + 59 + 510 + 44o +• 420 + 218 + 31 + +18,350 +16,220 +14,260 +2,546 +610 +5,664 +5,440 Gross demand deposits Gross time deposits + 3,920 + 3,890 + 3,058 +12,000 + 9,950 + 9,058 - 74 +1,999 + 63 +421 +1,019 +3,805 +2,050 +2,833 TOTAL DEPOSITS +15,920 +13,840 +12,116 +1,925 +484 +4,824 +4,883 - 2,026 + 21 + 3,766 +13,260 +11,210 +10,355 -1,733 - 124 + 745 +3,037 -134 - 9 +161 +466 + 262 27 +i,o4o +4,019 + 103 + 127 +1,820 +2,833 Loans and investments Loans and discounts U. S. Govt, obligations Other securities Faserves, cash, and hank balances Reserve with FR Banka Cash in vault Balances with banks Cash items Other assets Total assets +17,750 +15,760 + - - 121 + 50 LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits - 1,950 - 1,950 + 110 + 110 + 4,500 + 4,470 - Borrowings + 500 + 500 + 526 + 67 + 44 + 471 - 56 Other liabilities + 490 + 590 + 530 + 409 + 29 - 92 + 184 Total capital accounts + i,44o + 1,088 + 145 + 53 + 46l + 429 +2,546 +610 +5,664 +5,440 Total liabilities and capital + 1,290 +18,350 +16,220 +14,260 * Figures have been rounded to nearest 10 Billion. Note— See notes on page 1. 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 (Partly estimated. Item In billions of dollars) Change to Nov. 29, 1961 from — Nov. 29# Oct. 25, Nov. 30, ’ I 960 Oct. 25, Nov. 30, 1961 r/ 1961 I960 1961 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 22.6 17.0 22.9 23.3 - -3 - .7 5.6 17.3 5.6 17-9 5-4 - -3 — - .9 + .2 280.0 278.3 261.7 +1.8 +18.4 149.0 101.9 147-8 101.5 140.9 94.9 72.4 72.8 28.0 66.6 + + + + + 8.1 29.1 29-0 25-9 +1.2 + .4 - .4 + .8 — + .1 302.6 301.2 285.0 +1.4 +17-7 265-1 264.4 247- 3 + .7 +17.7 29.1 28.7 28.7 111.9 119.2 .7 115-7 119.4 .7 .8 + .4 + -5 - .2 -- + .3 + 4.3 +13-3 - .1 6.2 6.3 6.1 - .1 + .1 5.7 .5 6.0 5-6 -5 - .2 + .1 + .1 .4 1.2 1-3 .4 3-1 .4 — 28.8 .8 .7 27-5 .8 7-.1 5-9 1-3 .1 3-2 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ 2/ Time deposits adjusted 1/ Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net l/ Treasury cash Capital and miscellaneous accounts, net Total liabilities and capital, net Seasonally adjusted Currency outside banks Demand deposits adjusted *FiGures may not add to totals because of seasonally adjusted data, see February I960 116.2 .4 105-9 _ _ - 1.8 _ _ 29.6 28.8 28.0 + .8 + i.6_ 302.6 301.2 285.0 +1.4 +17-7 + .4 - .2 28.2 28.8 28.6 + 4.2 - .2 110.6 114.8 115.0 rounding. For description and back figures of Bulletin, pp. 133-3°. §/Demand°depos it^ a d justed, including demand deposits of foreign banks and of mutual savings banks, were $117-9 billion on November 29 r/Mutual savings banks figures for October 25 have been revised.