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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 ,