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RESERVE FEDERAL release For immediate release December 29, 1967 LIBRARY ASSETS ABD J.4 Item ffyi RKEf<Vt-^^ ALL BANKS IB TEDS UNITED STATES, DECEMBER 13, 1967 (Partly estimated. In millions of dollars) a i t . ■Ail.. Reserve city banks JAUTL1 L Country ccml. member New York City of banks Other .banks banks banks City Chicago ASSETS Loans and Investments Loans and discounts U. S. Oovt. obligations Other securities Reserves, cash, and bank balances Reserve vlth FR Banks Cash In vault Balances vlth banks Cash Items Other assets 417,740 353,730 288,188 50,916 12,427 282,480 231,080 66.630 62,430 68.630 60,220 192,831 37,897 46,705 5,948 48,652 7,071 8,997 1,610 1,820 72,197 14,137 17,614 73,740 25,010 22,147 103,948 120,897 68,280 67.250 59,647 _JL4r188 2,814 24,019 18,626 19,950 6,760 15,470 26,100 19,950 6,610 14,680 26,010 19,951 5,117 9,128 25,451 4,087 470 329 9,302 1,098 93 272 1,351 8,635 1,587 2,468 11,329 6,131 2,967 6,059 3,469 13,460 12,330 10,859 3,600 516 3,918 2,825 358,694 68,704 15,757 TOTAL ASSETS/LIABILITIES 499,480 433,310 131,885 142,348 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 191,560 191,470 242,700 182,860 159,749 32,522 148,438 21,241 6,923 6,104 TOTAL DEPOSITS 434,260 374,330 308,187 53,763 13,027 19,610 19,610 2,760 2,760 170,790 170,700 241,100 181,260 18,501 6,461 2,321 338 140,338 26,539 147,027 20,425 1,228 64 5,640 6,095 8,437 865 49,541 55,495 2,375 1,054 58,618 65,012 Deposits of banks TJ. S. Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities Total capital accounts 58,438 55,900 61,866 65,193 114,338 127,059 8,210 8,210 7,644 2,174 512 3,830 1,128 18,050 38,960 16,760 34,010 15,028 27,835 7,019 5,748 980 1,238 3,750 9,967 3,279 10,882 BOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. -2CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, NOVEMBER 15, 1967 TO DECEMBER 13, 1967 J.4 Item (Partly estimated. In millions of dollars) Reserve city banks All All All New York City of Other member coml. banks banks banks City Chicago ASSETS Loans and Investments -------Country banks +1,990 +1 750- +1 ?418 + 876 + 73 -135 +604 +1,870 - 880 +1,000 +1 ,680 +1 ,537 + 318 870 + 940 924 - 456 + 805 + 514 + 95 - 61 + 39 +358 -491 - 2 +266 + 84 +254 + 540 + 470 + 404 157 - 71 +619 + 13 + 740 + 590 + 90 - 880 + 740 + 590 + 20 - 880 + 741 + 9 + 481 + 81 + 12 59 188 - 830 - 45 + 8 + 80 -114 +494 +173 +185 -233 +283 +219 -194 -295 + 190 + 210 + 313 + 306 + 51 +155 -199 +2,720 +2 ,430 +2 ,135 ,025 + 53 +639 4418 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits - 980 +1,500 801 + 282 +1 ,150 +1 ,044 + 239 -200 +102 -404 4494 -479 +209 TOTAL DEPOSITS + 520 + 170 + 243 + 521 - 98 + 90 -270 - 260 -2,810 +2,140 +1,450 260 -2 ,810 +2 ,140 _ +1 ,100 -2 ,524 - 655 +2 ,022 + 728 + 997 + 202 -159 -174 +131 +104 -329 -993 +930 +482 - io -702 +233 +209 Borrowings +1,490 +1 ,490 +1 ,246 + 387 - 74 +454 4479 Other liabilities + 460 + 500 + 452 + 115 +215 + 35 + 87 Total capital accounts + 250 + 270 + 194 + 2 + 10 + 60 +122 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 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits - 980 - - - - 252 + 246 I -3- * CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, DECEMBER 14, 1966 TO DECEMBER 13, 1967 Itam t Loans and discounts U- S. Govt, obligations Other securities ^ Reserves, cash, and I bank balances Reserve city banks All member New York City of City Chicago Other banks Country banks +40,660 +35,530 +28,020 +5,597 +1,012 + 8,810 +12,601 +19,180 +16,040 +12,436 +2,751 + 6,750 + 7,380 + 5,705 +1,479 +14,730 +12,110 + 9,879 +1,367 + 672 + 3,202 + 5,811 + 105 + 1,429 + 2,692 + 235 + 4,179 + 4,098 + 5,630 + 5,370 + 5,603 +1,530 + 176 + 3,085 + 812 + 1,460 + 102 + + 213 + + 1,310 + 47 156 354 349 + 1,661 + 168 + 299 + 49 + 634 + 27 + 3,009 +1,286 + + + 80 8 40 64 + 1,350 + 1,260 + 1.229 + 679 + 58 + +47,640 442.160 +34.852 +7.806 +1 .246 +12.302 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +12,440 +12,400 +10,556 +3,1.13 +30.570 +25.300 +20.629 +3,537_ + 131 + 3,595 + 3,717 +1 ,375_ + 7,202- + 8,515 TOTAL DEPOSITS +43 010 +^7.700 +31,185 +6 f650 . +1 f506_ +10,752- +12r232 Reserve with FR Banks Cash in vault Balances with banks Cash'items Other assets f All coml. banks ASSETS Loans and investments | r I All banks total assets /liabilities Deposits of banks U* S. Govt. deposits Other demand deposits Other time deposits + 1,660 + 1,660 + 430 + 410 + 480 + 280 + 3,060 + 3,020 + 1,670 + 800 +10,450 +30,090 + 1,670 + 800 +10,410 +24,820 430 + + 1,695 + 651 + 8,692 +20,147 430 + +1,128 + 158 +2,155 +3,209 334 - 601 44 + 36 + 132 +1,382 + 435 + 176 + 273 + 184 + 3,009 + 3,396 + 7,080 + 8,476 - 441 + 1,187 + 189 220 + 483 538 + 594 Borrowings + Other liabilities + 2,050 + 1,990 + 1,704 +1,318 + 123 Total capital accounts + 2.150 + 2.040 + 1.629 + 432- + 407_ + ..25 58 + -b- CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTH4* All Commercial, Sayings, and Federal Reserve Banks, Postal Savings System, and Treasury Currency Funds J.4 (Partly estimated* In billions of dollars) Item Change to Dec. 13, 1967 from — Dec. 13, Nov. 15, Dec. 14, Nov. 15, Dec. 14, 1967 19f>7 1966 1967 1966 ASSfcTS Monetary reserve Gold stock Treasury Currency Bank credit Loans, net U. S. Oort, obligations Commercial and savings w v « Federal Reserve ttnnira Other Other securities Total assets, net 19.2 19.7 19.4 - .5 .2 12.4 12.9 6.8 13.2 6.3 - .5 6.8 - .7 + .5 459.8 <458.3 414.6 +1. 6 +45.3 274.6 274.1 116-6 -116. 1 , 256.0 -104.7 59.9 43.5 + .5 -±-U. +18.6 -+12.0 + 6.8 + 5.3 66. 6 48.9 67.5 47.8 1. 2 1. 2 1. 2 68.6 67.6 53.9 +1.0 +14.7 479.0 478.0 434.0 +1.1 445.0 426.1 421.2 386.8 +4.9 +39.3 40.3 U4.7 241.1 39.8 141.7 239.7 38.4 137.3 + .5 +3.0 +1.5 + 1.9 + 7.4 +30.1 +1 .0 - .1 LIABILITIES AND CAPITAL Total deposits adjusted currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Total liabilities and capital, net 211.0 .1 3.4 6.8 2. 2 2.8 5.6 .7 2.0 1. 2 .3 1.9 1.5 46.7 1.7 1.5 46.2 42.0 479.0 478.0 434.0 1.8 - -3.3 - 2.8 - .5 + 1.2 + .8 + .4 + .1 + .2 1.2 + ..4,2 +1.1 +45.0 * n? S?4 t0 totals because of rounding. Treasury funds Included are i/ nJ! ^ account, Treasury currency account, and Exchange Stabilization Fund J deposits adjusted, including demand deposits of foreign "hAnVa on/i 1 •w iags beak., ver, $ 1 4 7 .2 l .u u L H a S t 13 * 6 ? ^ “ 4 ° f ■ MtUal .1