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BOARD OF GOVERNOR^jf RESERVE SYSTEM /§>V /V \ G.7 (Final) Not for release f JULJRJ^ \ R Y / February 11, 1959 ASSETS AMD LIABILITIES OF M M M N K S IN THE UNITED STATES, JANUARY li|, 1959 Item (Partly p « t . i Kmitj^Hrons of dollars) Member banks All Central reserve Reserve commer All city city banks cial . Total banks* Chicago banks New York banks*!/ Country banks tj ASSETS 220,020 183,850 153,938 25,516 6,636 60,391 61,395 120,910 72,910 26,200 97,660 65,700 20,490 83,649 53,820 16,469 15,916 7,238 2,362 3,437 2,574 625 34,137 20,563 5,891 30,159 23,645 7,591 47,1^0 46,270 40,737 8,006 2,04l 16,932 13,758 18,630 3,390 12,420 12,700 18,630 3,290 11,690 12,660 18,627 2,510 7,237 12,363 4,127 162 107 3,610 1,054 35 112 84o 7,694 796 2,252 6,190 5/752 1,517 4,766 1,723 4,880 4,400 3,888 1,129 84 1,497 1,178 272,040 234,520 198,563 34,651 8,761 78,820 76,331 Gross demand deposits Gross time deposits 1144,200 144,170 124,239 99,700 66,040 53,495 24,079 5,212 6,343 1,445 49,342 21,673 44,475 25,165 TOTAL DEPOSITS 243,900 177,734 29,291 7,788 71,015 69,640 6,048 17,340 16,507 17 ;34o 2,010 2,010 1,736 284 127,600 127,570 108,483 19,532 63,290 51,008 96,950 3,427 1,287 6? 5,035 1,404 7,584 590 41,664 21,177 1,588 800 42,252 25,000 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 Total assets LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 210,210 Borrowings 1,760 1,760 1,675 635 120 678 242 Other liabilities 4,650 4,040 3,672 1,449 126 1,359 738 Total capital accounts 21,730 18,510 15,482 3,276 7.21 ,5,J62__ Total liabilities and capital 272,040 234,520 198,563 34,651 8,761 78,820 ■ * Figures have been rounded to nearest 10 million* 1/ Beginning iAth 1959, figures include all banks in Alaska (one member bank was previously included)* Added banks had total deposits of $172 million on December Jl, 1958* 2/forIncludes a Virgin Islands member bank. Digitized FRASER 5,711 76,331 -- - CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* G.7 (Final) Not for release All Commercial, Savings, and Federal Reserve Banks, l, „ the Postal Savings System, and Treasury Currency Funds 1/ (Partly estimated. In billions of dollars) Change to Jan. 1I4., 1959 from — Deo • 3*^1 Dec. 31, 1957 1950 Jan. 1U, 1959 Dec. 31, 1958 Dec. 31, 1957 25.7 25.8 27-9 20.5 5.2 20.5 5-2 22.8 5-1 245.9 119-7 100.0 72.9 25.9 1.2 26.2 248.5 121.5 100.9 73-5 26.2 1.2 26.1 229.5 115.2 91.4 65.8 24.2 1.3 22.9 - 2.6 - 1.8 - .9__ - .5 - .3 — + .1 +16.5 + 4*6 + 8.6 - 7.1 + 1.7 - .1 + 3.3 271.7 27^.3 257.1+ - 2.6 +14.3 Total deposits adjusted and currency outside banks 241.0 241.0 227.7 Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits 28.1 114.9 96.9 1.1 28.6 114-5 96.8 1.1 28.3 110.3 87.8 1.3 2.4 h.9 4.7 - 2.4 - 2.2 2.0 .k 4.5 .4 4.2 .5 - 2.5 + .1 - 2.2 - .1 Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 3.8 •7 23-7 3-9 .7 23.8 3.3 .8 21.0 — Total liabilities and capital, net 271.7 274.3 257.4 Item 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 - 2.2 — — - 2.3 + .1 LIABILITIES AND CAPITAL U. S. Government deposits At commercial and savings banks At Federal Reserve Banks +i?*.2— + + .5 .1+ .1 — — - .1 - 2.6 - .2 + 4.6 + 9.1 - .2 • + .6 ■ 4 + .2.6 +14.3 Seasonally adjusted N.A. N.A. 28.0 N.A. I'/28.1 Currency outside banks £LJL— 2/105.1 N.A. 110.3— Demand deposits adjusted * Figures may not add to totals because of rounding. For description and back figures of seasonally adjusted data, see July 1957 Bulletin, pp. 828-29- Also see footnote 1/ on first page regarding series revisions beginning in 1959. l/ Treasury funds included are gold account, Treasury currency acoount, and Exchange Stabilization Fund. 2/ December 25, 1957 data; seasonal adjustments are available only for last Wednesday of the month.