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ASSETS AID LIABTI.ITTBR OF ALL BANKS DJ THE UNITED STATES, NOVEMBER 29, 1967 J.4 Item (Partly estimated. In millions of dollars) ■” <Cl i . All Reserve city banks All coml. member New York City of Other banks banks City banks Chicago ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances 414,810 350,950 279,710 228,460 67,100 62,850 68,000 59,640 285,700 Country banks 49,805 12,350 103,221 120,324 190,515 36,799 47,091 6,257 48,094 6,749 8,843 1,701 1,806 71,628 14,127 17,466 73,245 25,006 22,073 62,690 61,730 54,809 13,106 2,560 21,957 17,186 19,170 6,770 13,990 22,760 19,170 6,620 13,270 22,670 19,170 5,108 8,356 22,175 4,331 425 369 7,981 1,072 97 156 1,235 8,229 1,572 2,259 9,897 5,538 3,014 5,572 3,062 12,950 11,820 10,379 3,340 465 3,795 2,779 490,450 424,500 350,888 66,251 15,375 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 185,680 185,590 154,721 30,918 241,980 182,360 147,968 21,245 6,813 6,047 56,693 55,736 60,297 64,940 TOTAL DEPOSITS 427,660 367,950 302,689 52,163 12.860 112.429 125.237 18,310 18,310 17,271 6,006 5,240 5,240 4,583 898 163,730 163,640 134,283 24,836 240,380 180,760 146,552 20,423 1,246 227 5,430 5,957 7,877 1,885 47,335 55,332 2,223 1,573 56,682 64,759 Reserve with FR Banks Cash in vault Balances with banks Cash Items Other assets TOTAL ASSETS/LIABILITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings 128,973 140,289 6,920 6,920 6,456 1,946 650 2,937 923 Other liabilities 17,030 15,740 14,009 6,413 640 3,676 3,280 Total capital accounts 38,840 33,890 27,734 5,729 1,225 9,931 10.849 1j Excludes total ccoil. interbank loans. 344,300 222,300 61,800 tt.fl. flairt • obllff&tlonfl•«••••••••• 60,200 NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. Seasonally adjusted data Triona omA -fmrAa’ favuarvfea 1/., I - 2- CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS TW THE UNITED STATES, k OCTOBER 25, 1967 TO NOVEMBER 29. 196/ j.4 Item F (Partly estimated. In millions of dd »m-a) Reserve city banks All All All New Yf >rk City of Other member coml. banks Chicago Ci 1 i banks 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 TOTAL ASSETS/LIABILITIES +1 ,435 1 + 113 “ 282 44 + + + i l 1 - 63 + 646 + 322 537 -567 + 302 + 43 - 35 + 15 + 609 - 57 + 33 - 4 -132 + 40 - 71 + 99 + 15 + 603 + 68 + 164 + 67 + 23 + 83 +138 - 28 + - +1 ,781 -341 - 41 + 448 +2,430 +2 140 • +1 ,359 + 87 + 50 213 +ls,280 + 470 + . 680 4*1,040 + 480 + 620 + 839 +319 + 124 -186 + 396 - 46 - 61 + 49 + 62 + 390 + 430 + 339 -566 540 + 380 60 + 610 _ 540 + 380 - 20 + 610 + + 40 +2,860 60 +2 ,630 Country banks 15 468 543 ,«/ 424 1 | 42 +1 ! LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 800 ,190 +1 . + 800 + 900 + 311 -855 + 794 +466 -143 + 60 + 236 + 143 +1 ,073 + 125 TOTAL DEPOSITS +1 . ,990 +1 ,700 +1 f105 -389 - 83 + 379 +1 ,198 290 -1 ,700 +2 ,700 +1 ,280 mm 290 -l,700 +2 ,700 + 990 m, 288 -1 ,701 +2 ,208 + 886 - 3 -894 + 34 +474 + 14 -120 + 45 - 22 232 - 674 +1 ,057 + 228 + 14 - 13 +1 ,072 + 125 Borrowings + 780 + 780 + 648 +251 +234 - 100 + 263 Other liabilities - 60 - 131 -224 -183 + 125 + 151 Total capital accounts +’ 190 + 210 + 159 + 21 - 9 + + 103 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments J./•• Loans and discounts T/.. U.S. Govt. obligations.•. 100 - _ 44 see first page. For numbered footnotes, i +1 ,700 + 500 500 +1 ,600 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS N THR UNITED STATES, NOVEMBER 30, 1966 TO NOVEMBER 29, 1967 Item 0 (Partly estimated. In millions of dollars) All All Reserve city banks All coml. member New York City of banks banks banks City Chicago Other Country banks ASSETS Loans and investments +40,300 +35,180 +27,659 +5,480 + 976 b 8,567 +12,636 | Loans and discounts U. S. Govt, obligations Other securities +18,190 +15,000 +11,409 +2,289 + 7,850 + 8,460 + 6,736 +1,954 +14,260 +11,720 + 9,514 +1,237 + 561 f 2,669 + 175 f 1,890 + 240 f 4,008 + 5,890 + 2,717 + 4,029 Reserves, cash, and I bank balances + 990 + 840 + 1,245 Reserve with FR Cash in vault 1 Balances with banks Cash”items + + + 410 + 560 + 570 590 + 410 + 540 + 660 550 + 412 407 203 629 - 239 + 64 - 265 + 434 + + 13 f 2 + 115 - 25 f Other assets + 920 + 830 + 799 + 410 + 1 TOTAL ASSETS/LIABILITIES I +42,210 +36,850 +29,703 +5,884 + 855 +10,091 +12,873 LIABILITIES & CAPITAL Cross demand deposits Gross time deposits + 9,080 + 9,040 + 7,328 +1,388 +30,600 +25,450 +20,685 +3,545 + 92 + 2,487 +1 ,315 + 7,331 + 3,361 + 8,494 TOTAL DEPOSITS +39,680 +34,490 +28,013 +4,933 +1 ,407 + 9,818 +11,855 + 300 + 1,200 + 8,050 +30,130 22 264 + 119 + 760 + 68 + 2,121 +1 ,242 + 7,201 + 130 + 421 + 2,849 + 8,455 Deposits of banks ' U- S. Govt, deposits Other demand deposits Other time deposits | Borrowings + 300 + 1,200 + 8,010 +24,980 + 353 + 936 + 6,526 +20,198 6 + 590 - 364 +1,488 +3,219 - 125 f 1,225 - _ 4 f + 151 801 117 66 373 + + 163 224 243 153 299 + 86 - 1,030 - 1,030 - 1,003 - 608 - 464 + 130 Other liabilities + 1,490 + 1,430 + 1,148 +1,133 - 132 335 + 482 Total capital accounts + 2,070 + 1,960 + 1,545 + 426 + 478 + 597 Seasonally adjusted data Loans and investments 1 /• *• ! Loans and discounts 1/••• 44 ■+ 61 For numbered footnotes, see first page. +35,000 +14,800 + 8,400 +11,800 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* Ail Commercial, Sayings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated* In billions of dollars) r 1 < Item Oct. 25, 1967 Nov. 29, 1967 Nov. 30, 1966 Change to Nov. 29,1 1967 from — Oct. 25, Nov. 30, 1966 1967 ASSETS 1 Monetary reserve Gold stock Treasury Currency Thmlr credit Loans, net U. S. Govt, obligations Commercial and sayings banks Federal Reserve Banks Other 19.7 19.8 19.4 - .1 12.9 - .1 13.0 13.2 6.8 6.8 6.2 &SR.0 454.7 412.4 +3.3 +45.6 273,0 117.0 • 272.4 115.0 254.2 104.5 + .6 +2.0 +18.8 +12.5 1 67.1 48.5 1.3 66.6 1.2 59.3 43.9 1.3 + .5 +1.4 + .1 + 7.9 + 4.6 - 1 fi7.1 c;'*.7 + -7 +14.3 431.8— +3.2 +45,9. _ 68.0 Other securities Total assets, net 4- •3 477.7.. 47.1 _ 474.5 mm mm ‘ i.6 + ! LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits 421.0 417.0 381.9 +4.1 +39.2 39.7 141.0 240.4 39.0 138.9 239.1 -- 38.0 133.5 210.3 + .7 +2.1 +1.3 + 1.7 + 7.5 +30.1 - .1 7.0 7.9 4.3 - .9 + 2.7 5.2 1.8 6.9 .9 4.0 .3 -1.7 + .8 + 1.2 4* 1.5 1.9 1.5 46.3 1.9 1.5 46.'2 1.8 1 .2 — "•■ ” 42.6 + .1 + •3 + 3.7 477.7 474.5 431.8 +3.2 +45.9 39.0 139.3 39.1 138.1 37.3 131.9 -0 .1 +1 .2 + 1.7 + 7.4 U. S. Government deposits 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 Seasonally adjusted Currency outside banks Demand deposits adjusted •» VB HHTy w—— ———-----------— .1 w gold account, Treasury currency account, and Exchange Stabilization Fund. 1/ Demand deposits adjusted, Including dgnwinfl deposits of foreign banks and of mutual sayings banks, nere $ 141.0 billion on Nov. 29, 1967 *\ , 1 1