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FEDERAL RESERVE release //yu. lUz* December 9, 1964 For immediate release ASSETS AND LIABILITIES OF Rrcrjrvl I-''' "ffi-lN THE UNITED STATES, NOVEMBER 25, 1964 (Partly estimated. J.4 Item ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances In millions of dollars) Reserve city banks All member New York City of Other Chicago banks City All banks All coml. banks 322,330 270,360 223,153 37,594 10,021 83,044 92,494 210,690 170,060 143,241 26,051 68,l4o 62,290 48,383 5,954 43,500 38,010 31,529 5,589 6,600 1,786 1,635 56,292 15,986 10,766 54,298 24,657 13,539 Country banks 52,950 52,060 45,689 10,103 2,232 18,646 14,708 16,440 4,910 13,460 l8,l4o l6,44o 3,497 277 1,015 56 7,168 4,761 18,090 l6,44l 3,688 7,897 17,663 203 6,126 156 1,005 9,510 8,610 7,564 2,474 384,790 331,030 276,406 50,171 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 165,270 165,220 138,995 26,334 172,940 124,680 14,419 4,472 TOTAL DEPOSITS 338,210 289,900 241,l4l 40,753 11,009 Reserve with FR Banks Cash in vault Balances with banks Cash items Other asset3 TOTAL ASSETS/LIABILITIES 16,160 7,200 4,780 12,750 16,160 102,146 4,727 1,119 2,323 2,236 8,036 2,496 284 2,616 2,190 12,537 104,306 109,392 38,766 52,533 53,591 44,489 91,299 98,080 7,234 6,537 5,215 15,197 6,503 118,030 101,411 1,317 20,679 14,030 4,906 2,631 42,851 172,030 7,200 142.770 123.770 4,447 38,583 1,963 2,172 49,594 44,351 4,500 4,500 4,297 1,784 256 1,845 412 Other liabilities 10,290 9,250 8,4o8 3,200 228 2,802 2,178 Total capital accounts 31,790 27,380 22,560 4,434 l,o44 8,360 8,722 Deposits of banks U. S‘. Govt, deposits Other demand deposits Other time deposits Borrowings Seasonal3-y adjusted data Loans and investments Loans and discounts U.S. Govt, obligations Other securities.... NOTE: 142,820 1/ 1,273 383 Excludes total coml. interbank loans. 264,900 165,200 61,300 38,400 Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. CHANGES IN ASSETS AIM!) LIABILITY OP ALL BANKS IN THE! UNITED STATES, OCTOBER 28, 1964 TO NOVEMBER 25, 1964 f. Item (Partly estimated. In millions of dollars) ~7yTjT Reserve city banks " Air ■ All . coml. member New York! City of Other Chi eago banks£ ' banks banks City ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bunk balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets Country banks +1,454 +4,470 +4,200 +3,*75 963 +233 + +3,350 +1,160 40 +2,990 +1,160 + 50 +2 ,59? +1,003 + 925 + 242 45 - 262 +196 580 264 39 + 8l6 *■ ■< - 5 + 42 + + - + 424 + 214 * +1,070 +1,080 +1,009 - 2 + 341 + 206 , - 743 - 162 - 72 - - 15 + 1 + 7 + 5 56 82 551 + + - 740 - - 200 - + 110 + 740 200 120 + 1,900 +1,900 t ^_1K) 120 + 53 +1,86l 464 - 574 22 + 14 +1 ,0*16 - + 805 82 ' ’ - 85 v 114 259 ' M +___ §1 - 2.4 + + 1 105 TOTAL ASSETS/LIABU T1 +5,660 +*>,390 +4,551 +1,413 +232 +I,l4l LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +4,oio + 390 +4,010 t 260 +3,318 + 167 + 652 + 100 + 72 +135 +1,078 201 +1,516 + 133 TOTAL DEPOSITS +4,400 +4,270 +3,485 + 752 +207 + 877 +1,649' ' 90 + 90 +2,250 +1,660 + 270 + 03 +1,993 +1,237 + 172 + + + 78 198 12 + 92 - 33 ■f 121 +136 + + - 898 233 218 + + + + 805 v 682 t. 133, Deposits of banks U. 8. Govt, deposits Other demand deposits Other time deposits + +2,250 +1,660 + 4oo 355 + 36 * 29 Borrowings + 560 + 560 + 564 + 439 + 1 + 120 + * Other liabilities + 320 + 430 + 4l6 + 224 + 14 + l4l + 37 - Total capital accounts + 180 + 130 + 86 10 + 3 + 75 ^ Seasonally adjusted data Loans and investments-^ Loans and discounts 1/. U.S. Govt, obligations, Other securities.... . +4,100 +2,100 +1,400 + 600 2 + For numbered footnotes, see first page. rj October 28, 1964 mutual savings bank figures revised. "V -3- CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, NOVEMBER 27, 1963 TO NOVEMBER 25, 1964 (Partly estimated. J.4 A__ Item In millions of dollars) All banks All coml. banks +25,460 +21,290 All member banks Reserve city banks New York City of Other Chicago City Country banks ASSETS +17,337 +3,979 + 645 +6,268 +6,445 Loans and discounts * U. S. Govt, obligations , Other securities +21,740 +17,410 +14,430 264 10 50 + 3,770 + 3,890 + 3A71 +2,948 + 320 + 711 + + 562 +5,593 - 486 + 28 +5,327 - 153 +1,271 r Reserves, cash, and •r bank balances + 1,680 + 1,590 + 1,413 + 844 + 277 - 373 240 139 266 + + 148 7 3 661 + + + - 185 + 49 52 53 + 148 94 ^ £oans and investments r > ■» Reserve with FR Banks Cash in vault Balance with banks Cash items Other assets TOTAL ASSETS/LIABILITIES + + + + 370 + 24o + 450 + 620 + 370 24o 350 630 14 44 608 + 1,230 + 1,090 878 +28,370 +23,970 +19,628 +4,971 + 6,900 + 17,680 + 6,910 +13,710 + 5,496 +11,330 +1,196 + 2,750 +24,580 +20,620 +16,826 +3,946 + 55 125 + 1,161 241 533 + + + 144 170 238 19 210 426 +1,016 +6,237 +7,4o 4 + + 242 664 +1,424 +3,984 +2,634 +3,932 906 +5,408 +6,566 73 179 3 657 + 195 +1,116 + 153 +3,944 + 139 + 601 + 1,886 +3,940 + ► ► * LIABILITIES & CAPITAL ■ — ---- -------------- Gross demand deposits 'Gross time deposits v _s TOTAL DEPOSITS . Deposits of banks U. S. Govt, deposits * Other demand deposits -* Other time deposits Borrowings 4 Other liabilities * Total capital accounts Seasonally adjusted data * * Loans and investments Loans and discounts * U.S. Govt, obligations * Other securities. 650 730 + + 730 + +2,590 + 2,590 + 2,489 + 3,720 + 3,730 + 2,514 +17,540 +13,570 +11,173 + 70 + + 243 + 593 + 478 +2,632 + + 70 + 53 + 304 45 - 257 - 39 900 + 795 + 253 14 + 379 + 149 + 1,954 + 468 51 + 707 + 728 + l,060 + + 2,660 + 2,380 For numbered footnotes, see first page. +20,700 +16,800 100 + 4,000 -4CONSOLIDATED CONDITION STATMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. J.4 'J Item In billions of dollars) Nov. 25, 1964 Change to Nov. 25, 1964 from -*Nov. 27,. Oct. 28* Nov. 27, Oct. 28, 1964r/ 1963___ 1^ 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 21.2 15.6 20.9 15-4 5-5 21.0 355-3 206.4 105-4 350.6 327.0 185.2 102.2 1.0 43.5 204.0 103.1 67 .O 35-2 •9 ^3.5 376*2 15-5 5.5 - .1 - .1 5.6 - .3 " ’ .2 * .1 ’ +4.7 +2.5 +2.3 +28.3 68.2 33-3 .6 • 39.7 +1.2 +1.1 + -1 - .1 . + 3-0 + .3 ^ + 3*8 «. 371-6 348.2 +4.6 +28.0 4 331.* 330.2 309.0 +1.3 +22.4 34.3 124.7 32.5 121.6 +1.1 - .2 + .4 .4 33.2 124.9 171.6 .4 + 1.8 * + 3.1 +17.5 V - .1 8.0 5-7 5.6 +2.3 + 2.4 7.2 4.6 •9 +2.3 .8 5.0 •7 + 2.6 v - .2 1.5 .6 3^.8 1.4 r5 33*9 1.2 .4 32.0 + .1 ■f *1 + .9 + .3 . + .2 + 2.8* 376.2 371-6 348.2 . +4.6 33-3 124.2 31.6 120.2 68.1 36.3 ’ +21-3 T + 3.2 T 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 Pani+al and miscellaneous account, net Total liabilities and capital, net Seasonally adjusted Currency outside banks Demand deposits adjusted 172.0 33-^ 123.2 15^.5 .5 +28.0 * _ --- + .1 -1.0 p. + 1.8 ' + 3.0- gold account, Treasury currency account, and Exchange Stabilization Fund. 1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual '