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FEDERAL RESERVE *f*A LRt^* |> December 30, 1963 Fc»r immediate release K» ^ ASSETS AND LIABILITIES (JFTttiTTZMKS IN THE UNITED STATES, DECEMBER 11, 1963 > *♦ j.4 ► 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 (Partly estimated. All All coml. banks banks In millions of dollars) Reserve city 1sanks All member New York City of Other banks City . Chicago 298,460 250,620 207,397 34,113 9,390 77,478 86,416 . 189,690 153,280 129,259 23,077 62,680 49,290 6,020 5,016 28,848 34,660 5,950 l,74l 1,699 51,111 16,597 9,770 49,121 24,932 12,363 14,509 ... 68,570 40,200 51,020 50,130 43,839 8,962 2,056 18,312 15,910 15,910 4,970 3,469 336 963 57 202 *<•,955 134 902 6,799 1,171 2,296 8,046 4,676 12,580 16,670 15,907 3,799 7,876 16,257 7,450 6,603 2,226 183 2,402 1,792 , 308,200 257,839 45,301 11*629 5,100 13,280 16,730 8,230 TOTAL ASSETS/LIABILITIES 357,710 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 159,500 159,440 134,514 25,288 111,430 91,279 11,748 6,186 155,780 TOTAL DEPOSITS 315,280 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities Total capital accounts NOTE: Country banks 15,970 3,550 2,235 5,244 2,35^ 98,192 102,717 . 3,853 51,462 34,980 51,578 40,698 . 270,870 225,793 37,036 10,039 86,442 92,276 . 4,420 15,053 590 3,034 117,009 20,554 90,697 11,472 1,220 7,481 94 4,890 3,835 43,114 34,838 1,932 1,341 48,451 40,552 15,970 3,550 1,009 140,760 155,000 140,700 110,650 4,090 4,090 3,907 1,486 351 1,618 452 9,160 29,180 8,180 25,060 7,481 2,795 3,984 241 2,450 1,995 998 7,682 7,99V 20,658 Comparability of figures affected by changes in FR membership, mergers, etc., classifications. and in reserve CHANGES IN ASSETS AM) LIABILITIES OF ALL BANKS IN THE UNITED STATES, * NOVEMBER 13, 19^3 TO DECEMBER 11, 1963 J. 4 Item * (Partly estimated. In millions of dollars) , A1T Reserve city 1aanks "AIT Country <■ City of ,New York , member All coml. Chicago Otherry banks banks £/ banks banks City r* ASSETS Loans and investments +3,010 +2,780 +2,518 +1,062 + 48 +895 +5ll._ +1,750 + 760 + 500 +1,510 + 770 + 500 +1,420 + 653 + 445 + + + 598 332 +550 +184 +175 132 + 97 - 82 + 33 +161 +119 - 870 950 695 + 371 -172 -173 -721 < - 50 + 350 - 630 540 50 + 350 710 540 57 4* 277 428 487 + + 327 53 17 -203 + 69 -108 + 69 -230 < 8 + 49 + 8 + 10 -239 80 100 _ 102 83 - 11 TOTAL ASSETS/LIABEITIES +2,060 +1,730 +1,721 +1,350 -135 +719 -213 Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and Reserve with FR Banks Cash in vault Balances with banks Cash items A 4* Vi£iy* aboci/o q 0 0 A 'f ' Q uuner - + +219 +147 -313 -325 4. <«r - 5 •/ LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 650 +1,100 + + 650 900 + 761 + 846 +1,107 + 390 -304 + 86 +398 +278 -440 + 92 TOTAL DEPOSITS +1,750 +1,550 +1,607 +1,497 -218 +676 -348 - 56O + 140 +1,080 +1,090 - 560 + i4o +1,080 + 890 - 535 + 91 +1,214 + 837 - 103 + 64 +1,157 + 379 -146 - 56 -230 - 29 -102 . +655 +280 + 86 -496 + 92 + 150 + 102 + 5 + 45 - 67 +119 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits V - - 56 +112 Borrowings + 150 Other liabilities + 80 - 30 - 36 - 137 + 31 + 73 - 3 Total capital accounts + 80 + 60 + 48 - 15 + 7 + 37 + 19 V- 1* _r/ November 13, 1963 figures for "Other" Reserve city banks and for mutual savings banks „ have been corrected and revised. ^ > CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, '* DECEMBER 12, 1962 TO DECEMBER 11, 1963 -V j.4 > ** *n -----------Item ► > (partly estimated. In millions of dollars) ----- ------- ----- -------Reserve city banks All All All New York City of Other member coml. banks banks City# .Chicago banks Country banks # ASSETS Tinana and investments k Loans and discounts u . S. Govt, obligations *• Other securities * *■ Reserves, cash, and * bank balances ► Reserve with FR Banks ‘ Cash in vault k A Balance with banks Cash items ^ Other UJUlwA assets KJVi*V/M +19,420 +15,888 +2,725 +784 +5,528 . +6,781 +20,620 +16,780 +13,829 +2,211 - 3,120 - 2,900 - 2,841 - 483 + 5,360 + 5,540 + 4,900 + 997 +890 -386 +280 +5,312 -1,379 +1,665 +22,860 537 + 240 - 85 + 94 + 157 + 371 - 125 + 181 + 25 + 159 + + 207 + 520 + 520 + 430 - 291 - 56 _ + + + + 320, 320 + 250 + 270 + 320 320 250 270 296 + 188 - 325 - H3 9 30 - 157 - 2 + 12 + 36 + 85O + 730 + TOTAL ASSETS/LIABILITIES +24,230 +20,670 + + + 271 -102 624 + 218 +16,942 +2,652 +5,416 - 593 +1,958 19SL_ +728 +6,33^ +7,228 > LIABILITIES & CAPITAL hGross demand deposits Gross time deposits + 3,060 +17,660 + 3 ,060 + 2,018 +14,430 +12,211 - 350 +2,51^ -265 +827 + 513 +4,658 +2,120 +4,212 +20,720 +17,490 +14,229 +2,164 +562 +5,171 +6,332 230 + 154 526 - 93 - 62 - 58 -147 + 101 - 106 +2,127 +4,210 a TOTAL XV i f c i lDEPOSITS wMXJUfc# J „ Deposits of banks U. S. Govt, deposits Other demand deposits ' ' Other time deposits Borrowings 260 + 560 260 + 560 - + 3,370 +3,370 + 2,332 - 391 +17,650 +14,420 +12,193 +2,494 +829 + 37 - 269 + 743 +4,660 + 96O + 234 +168 + 368 + 190 760 + 678 + 128 " 52 + 321 + 281 + 126 + 50 + 474 + -425 + + 1,080 + 1,080 950 + ,,Other liabilities + v Total capital accounts + 1,480 + 1 ,3^0 + 1,075 # Beginning with June 1963 country bank totals have been increased and New York City figures reduced. $525 million incident to a change in reserve classification of three banks. -4CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Sayings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds j. if (partly estimated. Item In billions of dollars) Dec. 11, 1963 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 Change to Dec. 11/ 196^ from — Nov. 13> Dec. 12, : Dec. 12, Nov. 13, 1962 1962 « 1963 1963 W *r 21.2 15.6 21.2 15.6 21.5 5.6 5-6 5-6 329.0 325.0 304.2 +4.0 186.0 184.2 101.1 32.7 .6 39.7 166.4 103.0 71.7 . 30.7 .6 ‘ 34.8 +1.8 +1.7 + .'8 + .9 + .5 - 3-1 + 2 .9 * —— A-.4 + 5.4 346.2 325.7 +4.0 +24.4 . 102.8 68.6 33.6 •7 40.2 350.2 67.8 16.0 — - .4 *- - .4r +24.8? +19.6 — -— l2__ LIABILITIES AND CAPITAL Total deposits adjusted and 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 Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Total liabilities and capital, net < 312.0 308.7 289.3 +3.2 +22.6* ”■ 32.5 124.0 . 32.0 122.4 155.0 .5 153.9 .5 30.5 120.9 137.3 •5 + .5 +1.6 +1.1 + 2.0 + 3.1+17.7 , - .1 4.6 4.4 4.6 + .2 3.6 1.1 3-4 1.0 4.1 •5 + .1 1.3 .4 31.9 1.1 .4 31.4 350.2 346.2 1.3 .4 30.1.. .3.2^7 - .6 +. •5 + .1 + -5.. ■ +4.0 T1 + 1.9 * +24.4 v r/ Revised. * Figures may not add to totals because of rounding. Treasury funds included 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 $ 126.0billion on December 11, 1963.