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For immediate release
December 5, 1966
ASSETS ABD LIABILITIES OF ALL BABKS IB TUB BHITED STATES, NOVEMBER 9, 1966
J.4
Item
ASSETS
loans and investments
Loans and discounts
U. S* Oort, obligations
Other securities
Reserves, cash, and
bank balances
Reserve with FR Banks
Cash In vault
Balances vlth banks
Cash Items
Other assets
TOTAL ASSET8/LIABILITIBS

Ml
ALL
banks

jar
coml.
banks

372,310

313,610

Ail
Reserve city banks
member Bew York City of
banks: City
Chicago Other

257,137

44,152

11,328

261,080 213,080 179,153
57,900
53,020
39,386
53,330 47,510
38,598

34,486
4,095
5,571

8,331
■1,397
1,600

68,890
11*653
13,434

67,**6
22,241
17,993

12,688 . 2,638

20,066

17,427 .

60,940

.52,819

17,720
5,620
15,540
22,840

17,720
5,490
14,940
22,790

17,716
4,268
8,649
22,186

3,608
380
259
8,441

798
86
331
1,423

7,4*7
1,309
2,157
9,153

5,863
2,493
5,902
3,169

12,080

11,050

9,587

2,925

444

3,431

2,787

446.110 385,600

319.543

59.765

175,040 174,990 145,440 28,006
211.080 156.580 127.531 __17j834

TOTAL DEPOSITS

586.120

Borrowings

93,977 107,680

61,720

LIABILITIES & CAPITAL
Gross demand deposits
Oross time deposits

Deposits of banks
U> S. Govt, deposits
Other demand deposits
Other time deposits

Country
banks

14.410 117.474

6,^06
4.787

52,883
48.500

57,945
56.410

331.570 .272.971

45.840

u.ra

19,130 19,130 17,957
3,740
3,740
3,232
153,340 153,290 125,232
209,910 155,410 126,550

5,882
598
22,073
17,287

1,378
153
5,101
4,761

8,182
1,253
43,Tl4
48,234

2,515
1,223
54,344
56,268

101.38^ 114.^55

7,940

7,940

7,592

2,792

1,087

3,010

703

Other liabilities

15,520

14,350

12,882

5,845

754

3,642

2,641

Total capital accounts

36.530 „J3uIiQ

26.098

5.288

1.176

NOTE:

2A32,. .19,125..

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 12, 1966 £/ TO NOVEMBER 9, 1966
J.4
Item

(Partly estimated. In millions of dollars)
All
All
Reserve city banks
All
coml.
member
New
York
City of
banks
banks
banks
City
Chicago Other

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

Country
banks

"+ 710

+ 880- + 477

-

386

- 57

+ 215

+705

+ 880
+ 830
-1 ,000

+ 760
+1,000
— 880

+ 486
+ 850
- 859

+

247
322
461

- 46
+ 41
- 52

+ 246
+ 251
- 282

+533
+236
- 64

+

40

+ 128

+1 ,548

+157

-1,479

- 98

120
120
150
+ 430

+

124
87
121
460

23
24
25
+1,522

- 77
+ 3
+ 66
+165

- 132
- 49
- 119
-1,179

+108
- 65
- 93
- 1)6

4o

+

21

42

+ 32

2

+ 33

+

50

120
- 120
140
+ 430
+

60

.

+

-

-

mm

+

-

+ 820

+ 960

+ 626

-i,,120

+132

-1,266

+640

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+

450
890

+ 450
-1,060

+ 252
-1,104

+1,278
- 708

- 30
-160

-1,380
- 320

+384
+ 84

TOTAL DEPOSITS

-

Ho

-

570

-190

-1,700

+468

189
211
231
-1,021

+ 433
+ 72
+ 747
682

+ 23
- 1
- 53
-159

- 503
+ 107
-1,040
- 264

+236
+ 33
+115
+ 84

TOTAL ASSETS/LIABILITIES

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

-

+ 290
+ 220

610

•

852

+

810

l4o

+ 290
+ 220
l4o
980

Borrowings

+ 600

+ 600

+ 611

+ 185

+ 95

+

336

- 5

Other liabilities

+

530

+ 800

+

730

+

313

+222

+

68

+127

Total capital accounts

+ 130

+ 170

+

137

+

52

+

+

30

+ 50

-

+

5

x j Changes are based on corrected figures for country and other reserve city member banks.




CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
NOVEMBER 10, 1965 TO NOVEMBER 9 , 1966
In millions of dollars)
Reserve city banks
All
All
coml.
member New York City of
Other
Chicago
banks
City
banks

(Partly estimated.

J.'l

Item

All
banks

Country
banks

ASSETS
Loans and investments

+20*930 +18.030 +14.112 +2.166

.+512..

h Loans and discotints
U. S. Govt, obligations
Other securities

+22,280 +18,910 +15,839 +3,656
- 5,350 - 4,650 - 4,184 - 774
+ 4,000 + 3,770 + 2,457 - 716

+711

iReserves, cash, and
bank balances

+L P85.

-111

+5,365
-2,029
+1,013

+6,107
-1,293
+2,271

2,948 + 606

+426

+1,041

+ 875

+ 293

+ 287

+ 110

+

+ 171
+ 301

-

88

+ 3,630

+ 3,820

Reserve with FR Banks
Cash in vault
4 Balances with banks
Cash* items

+ 250
+
350
+ 810
+ 2,220

+
250
+
350
+ 1,000
+ 2,220

+
+
+

244 294 +
294 +
+ 2,116 +

138
62
49
633

-198
+ 6
+402

- 142
+ 780

Other assets

+ 1,290

+ 1,220

+ 1,053 +

264

+ 35

+ 450

+ 304

+25,850

+23,070 +18,113

+3,036

+973

+5,840

+8,264

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+ 4,470 + 4,470 + 3,168
+14,030 +11,450 + 8,526

+ 614
- 334

+347
-213

+ 658
+3,499

+1,549
+5,574

TOTAL DEPOSITS

+18,500

TOTAL ASSETS/LIABILITIES

+216

116

\

%

Deposits of banks
U. S. Govt, deposits
l Other demand deposits
' Other time deposits

+15,920

+11,694

+

280

+134

+4,157

+7,123

+ 680 + 680 + 666
+ 1,040 + i,o4o + 857
+ 2,680 + 2,680 + 1,600
+14,100 +11,520 + 8,571

+
+
+
-

182
138
238
278

+ 78
+ 53
+220
-217

+ 134
+ 409
+ 123
+3,491

+ 272

+ 1,590 +

401

+394

+

633

+

+392

+

559

+ 312

+ 53

+

491

+ 667

borrowings

+ 1,670

+ 1,670

Other liabilities

+ 3,820

+ 3,770 + 3,501 +2,238

Total capital accounts

+ 1,860

+ 1,710

I




+

1,328 +

117

+ 257
+1,019
+5,575

162

-4OONSOUDAXED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
All Commercial, Sayings, and Federal Reserve Banka,
the Postal Savings System, and Treasury Currency Funds
j.4

(partly estimated.
Item

In billions of dollars)

Oct. 12, Nov. 10,
I966I/
1965

Nov. 9 ,
1966

Change to Nov. 9 ,
1966 frcm —
Oct. 12, Nov. 10,
1966
1965

ASSISTS
Monetary reserve
Gold stock
Treasury Currency
credit
Loans, net
1J. S. Govt, obligations
Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

.1

19*5

19.4

19.4

—

13*3
6.2

13*3
6 .1

13*9
5*5

+ ;1

- .6
+ .7

409.6

408.6

386.5

+ *9

+23*1

253*8
102.5

253*7
100.6

232.8
104.4

+1.9-

+21.0
- 1^

57*9
43*3
1*3

57-1
42.3
1.2

63.3
40.0
1 .1

+ .8
+1.0
+ .1

- 5*4
+ 3*2
+ .2

54.3

*9-3_

-1.0

+ 4.0

*

f

53*3

_

+

429.0

428.1

405-9

+1.0

+23.2

378.6

379. ^

362.3

- .8

+16.4

38.1
130.5
209.9
.1

37-5
131.1
210.7
.2

36.1
130.0
195.8
.3

+#*6
- .6
- .8

+ 2.0
+ -5
+14.1
- .2

4.5

4.4

3-9

+ .1

+

3.7
.8

3*5
•9

2.7
1.2

+ .2
- .1

+ 1.0
- .4

1-7
1.2
43.0

1.8
1 .1
41.3

1.6
.8
37-3

- .1
+1 . 7

+ .1
+ .4
+ 5.7

429.0

428.1

405.9

+1.0

+2,
2*2 _

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/
Time deposits adjusted
Postal savings deposits
TJ. 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

* Figures may not add to totals because of rounding. Treasury funds included are
gold account, Treasury currency account, and Exchange Stabilization Fund,
l/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual

savings banks, were $133*0 billion on November 9> 19°°*
http://fraser.stlouisfed.org/
x j Corrected member bank figures for October 12, 1966.
Federal Reserve Bank of St. Louis

.6

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