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FEDERAL RESERVE statistical release For Dmmediate release February 11, 1970 ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES JANUARY 28, 1970 H.8 (Partly estimated. ASSETS Loans and investments In millions of dollars) All coml. banks All member banks 408,440 327,368 57,069 13,684 285,970 52,500 69,970 234,860 38,328 54,180 45' 722 4, 794 6,553 77_,280 68,449 22,590 7,180 15,590 31,920 Reserve city banks New York City of Other City Chicago ~~~~~--~~~------ Country banks ll8,177 138,438 10,376 1,351 1,9571 88,298 11' 255 18,624 90,464 20 '928 27,046 20,535 2,858 24 714 20 342 22,588 5,531 9,039 31,291 4,644 458 458 14,975 1,276 88 141 1,353 9,175 1,697 2, 727 11,115 7,493 3,288 5, 713 3,848 18,360 16 Oll 5,069 745 5,965 4 232 504,080 411' 828 82,673 17,287 148 856 163 012 Gross demand deposits Gross time deposits 213' 180 191,110 176,343 148,262 41,567 14,673 7,444 4,580 61,302 54,106 66,030 74 903 TOTAL DEPOSITS 404 290 324,605 56 240 12 024 115,408 140 933 22,230 6,500 185,340 190,220 21,057 5,604 150,363 147,581 8,933 1,181 31,730 14,396 1,237 336 5,903 4,548 8,470 2,405 50,625 53,908 2,417 1,682 62,105 74,729 Borrowings 22,620 21,263 4,930 1,783 11' 846 2,704 Other liabilities 37,310 33,882 15,255 1,960 10,097 6,570 Total capital accounts 39,860 32,078 6,248 1,520 11 '505 12,805 Loans and discounts U.S. Treasury Securities Other securities Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items .... Other assets TOTAL ASSETS/LIABILITIES I LIABILITIES & CAPITAL Deposits of banks U. S. Govt. deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments 1/ 396,100 Loans and discounts !7 275,300 U.S. Treasury Securities 49,900 Other securities 70,900 !/ Excludes total co~l. interbank loans. NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. - 2 CHANGES IN ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES JANUARY 21, 1970 TO JANUARY 28, 1970 H.8 (Partly estimated. All coml. banks All member banks Reserve citv banks New York City of Other Citv Chicago -1,580 -1,057 + 31 - 57 - 135 - 896 -1,220 - 310 - 50 - + 76 34 11 - 37 2 22 - + 34 87 14 - + 782 ll5 1 -6,050 -5,629 .-2,619 - 225 -1,941 - 844 -1,900 80 -1,000 -3,230 + -1,902 60 - 609 -3,178 - - + - - 113 8 48 152 - - - 7 - 44 -6,877 -2.595 - 326 -2,074 -1,882 - -1,538 49 - -2,279 + 45 -1. 587 -2,234 - - Item ASSETS Loans and investments Loans and discounts U.S. Treasury Securities Other securities Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets + 260 TOTAL ASSETS/LIABILITIES -7 890 LIABILITIES & In millions of dollars) - - 777 234 46 191 - - 660 2 90 -1,867 - + - - Country banks + - 833 13 245 876 - 296 57 322 283 + 2 - 142 - - CAPITAL Gross demand deposits Gross time deposits -6,970 - 130 -5, 7 60 - 157 -1,869 205 - + 74 52 TOfAL DEPOS ITS -7 100 -5 917 -2,074 - 22 -1,650 + 790 -6,110 - 130 -1,554 + 819 -5,027 - 155 - 705 + 322 -1,484 - 207 - + 162 106 13 47 486 + 466 -1,527 - 40 201 - 75 -2,003 + 45 - -1,032 - 851 - 209 - 316 + 344 Deposits of banks u. S. Govt. deposits Other demand deposits Other time deposits Borrowings Other liabilities Total capital accounts + 860 + - -- + 14 + 349 - 101 - 213 - 21 70 + 58 - + 6 + 42 + 29 19 - 3 - CHANGES IN ASSETS AND LIABILITIES OF ALL COHMERC IAL BANKS IN THE UNITED STATES JANUARY 29, 1969 TO JANUARY 28, 1970 (Partly estimated. In millions of dollars) H.8 Item All coml. banks All member banks + 8,700 -----~~~~~~~~~--- Reserve city banks New York City of Other City Chicago Country banks + 4,029 + +19, 770 -10,700 370 +13,774 - 8,183 - 1,562 + 5 400 ASSETS 550 - 535 + 279 + 3,735 + 2,089 769 770 92 302 141 + 4, 716 - 2,957 - 1,480 + 7,061 - 4,155 + 829 + 4 623 + 2 083 71 + 1 249 + 1 362 + 120 + 380 + 890 + 4,010 + 117 + 232 + 407 + 3,867 + + 2,315 + + 2 980 + 2 553 + + TafAL ASSETS/LIABILITIES +17 080 +11 205 + 3.469 Loans and investments Loans and discounts U.S. Treasury Securities Other securities Reserves, cash, and bank balances Reserve with FR Banks Cash in vau 1t Balances with banks Cash items Other assets 249 25 + + 8 836 91 49 410 881 + + + + 339 151 358 514 + 1 .095 + 60R 592 I+ 2 . 623 + 'l 70'l 118 7 + 353 + 157 + 14 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 8,030 -11 500 + 5,845 -13 510 + 2,979 - 4 959 12 - 1 '340 + 1,167 - 8 .119 + C)08 Tm'AL DEPOS ITS - 3 470 - 7 665 - 1 . 980 - 1 . 352 - .952 + 2 filQ + 1,800 - 1,390 + 7,080 -10,960 + 1, 728 + 1,031 + 513 103 + 489 - 7,851 + 770 + 2,416 - 4,657 54 233 + 181 - 1,354 + - 1,268 + 4,823 -12,948 130 162 + 1' 737 + 914 Borrowings + 9,550 + 9,027 + 1,652 + 898 + 5,440 + 1,037 Other liabilities + 8,100 + 7,815 + 3,668 - 240 + 3,423 + Total capital accounts + 2,900 + 2,028 + 129 + 102 + + 1 085 Deposits of banks U. S. Govt. deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments 1/ Loans and discounts lf U.S. Treasury Securities Other securities - - 6_ - 712 + 1' 711 - 964 For numbered footnotes, see first page. + 5,400 +16,700 -ll ,000 300 CONSOLIDATED CONn fT1 ON STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Cornmerc-;dl, Savings, and Federal Reserve Banks, and Treasury Currency Funds H.8 (Partly estimated. Item In billions of dollars) Jan. 28, Dec. 31, Jan. 29' 1970 1969 !_I 1969 Change to. Jan. 2 8, 1970 from -Dec. 31, Jan. 29 1969 1969 + 1.2 + 1.0 + .2 + 1.2 + 1.0 + .2 - 15.7 + 5.2 11.3 3.7 + 13.2 7 ASSETS Monetary reserve 18.4 11.4 .2 6.9 514.6 17.2 10.4 17.2 10.4 6.8 530.3 6.8 509.5 322.3 111.4 333.6 115.0 309.1 119.5 55.8 55.6 57.9 57.2 -- 67.2 52.3 .1 - 8.2 2.1 - 11.4 - 1.6 + 3.2 --- 81 0 81 6 RO R - 533.1 547.5 526 7 - 14 5 + 6 4 455.7 473.2 458.5 - 17.5 - 44.7 153.4 257.5 46.3 167.3 259.5 42.1 150.4 266.0 - + 2.6 + 3.1 7.8 6.5 8.4 6.5 1.3 5.2 1.3 7.9 .5 2.5 2.7 2.2 .6 .7 Capital and miscellaneous account, net 66.5 Total liabilities and capital, net 533.1 Gold stock Special Drawing Rights Treasury Currency Bank credit Loans, net Treasury Securities u.s. Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net -- -- -- -- -- + 1 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted u. s. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Seasonal!~ - 1.6 13.9 2.0 + 1.2 + 1.3 2.9 - 8.5 - .6 - 1.4 .8 - .1 - .1 + + .8 -- - 64.5 56.8 + 2 0 547.5 526 7 - ] 4 ') .3 .1 + 9.7 + 6.4 adjusted Currency outside banks 42.8 45.3 45.3 + 2.5 - 1 n. 2 147.1 160.4 Demand deposits adjusted 150.2 + 2.9 * F1gures may not add to totals because of round1ng. Treasury funds 1ncluded 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 $156.8 billion on January 28, 1970. E_/ Revised. --