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RESERVE

FEDERAL
JfL
\V
ASSETS
G.T
Item

■> i u t ' s l i t a I

release

• *
,.
February 12, 1963
rr?->„*
«cvH
.— -**> r
1 ’*-v
For immediate releas
/
ALL BANKS IN THE UNITED STATES, JANUARY 30, 19&3
'(Partly estimated. In millions of dollars)
Reserve city banks
All
All
Country
All
member New York City of Other
coml.
banks
banks
Chicago
Citybanks
banks

ASSETS
toans and investments

2?6,600 231,840 192,301

31,808

8,682

72,053

79,758

Loans and discounts
* U. S. Govt, obligations
Other securities

169,270 136,420 115,289
72,100 65,920
52,749
35,230 29,500 24,263

20,649
4,150

5,101
2,217
1,364

45,692
18,143
8,218

43,847
25,380
10,531

7,009

Reserves, cash, and ,
bank balances

46 ,610

45,730

40,024

8,731

1*969.

16,172

13,152

> Reserve with FR Banks
Cash in vault
Balances with banks
» Cash items

16,260
4,470
11,880
14,000

16,260

16,262
3,262

3,724

6,792
994

4,733
1,963

13,940

6,946
13,554

4,539

1,013
42
107
807

7,740

7,040

6,240

2,087

209

2,242

1,702

330,950 284,610 238,565

42,626

10,860

90,467

94,612

LIABILITIES & CAPITAL
“Gross demand deposits
Gross time deposits

151,300 151,240 128,1.88

25,H9

6,314

48,720

48,035
JL211

rTOTAL DEPOSITS

292,610

85,208

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

Other assets
►

TOTAL ASSETS/LIABILITIES

4,340

11,190

263
205

2,066
6,320

4,568

1,888

81,401

9,680

.h 2£L

31.381

250,860 209,589

34,799

9,481

80,101

14,620 14,620 13,790
4,010
4,470
4,470
132,980 132,920 110,954
98,850 80,835
140,540

4,332
823
20,231
9,413

1,155
. 223
4,956
3,147

6,620
1,470
40,765
31,246

45,002

99,620

1,683

.1,494

37,029

Borrowings

2,670

2,670

2,614

1,082

132

1,178

222

Other liabilities

7,880

7,240

6,665

2,848

291

'1,925

1,601

27,790

23,840

19,697

3,897

956

7,263

7,531

Total capital accounts

1/ Includes amounts now reported by insured
>Seasonally adjusted data
“
mutual savings banks as demand deposits;
Loans and investments 2/.......
228,800
formerly, they were reported as time
Loans and discounts 2 j .......... 134,900
deposits or other liabilities.
64,300
U. S. Govt. obligations........
29,600 2/ Excludes total coml. Interbank loans.
Other securities.
NOTE: Comparability of figures affected by changes in FR membership, mergers, etc.,
qnfl in reserve classifications.



♦
CHANGES IN ASSETS AMD LIABILITIES OF ALL BANKS IN THE UNITED STATES,
DECEMBER 26, 1962 TO JANUARY 30, 1963
G.7
Item

(Partly estimated. In millions of dollars)
Reserve city banks
All
All
All
coml.
member New York City of
Other
banks
Chicago
City
banks
banks
-2,840

-3A30

-2,894

-1,091

-229

-1,092

-3,210
+ 100
+ 270

-3,440
+ 50
+ 260

-3,235
+ 124
+ 217

-1,493
+ 265
+ 137

-239
+ 54
- 44

-1,076
- 55
+ 39

- 427
- i4o
+ 85

-2,830

-2,790

-2,517

+.. 131.

- 41

.. -1,791.

- 816

- 300
- 360
-1,080
-1,090

- 300
- 360
~i,o4o
-1,090

- 301
- 318
- 852
-l,o46

+ 107
- 53
+

+ 210

+ 190

+ 152

+

-5,460

-5,730

-5,259

- 923

-255

-2,865

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

-7,400
+2,450

-7,400
+2,120

-6,639
+1,816

-1,193
+ ..312..

+120

-325

-3,328
-1-793 ,
+ 767 _+ £L2_-

TOTAL DEPOSITS

-4,950

-5,280

-4,823

876

ro
01
0

ASSETS
Loans and investments

Country
banks

--2,561.

-1,181

-1,050
-2,550
-3,780
+2,430

-1,050
-2,550
-3,780
+2,100

- 992
-2,376
-3,266
+1,811

+ 58
- 647
- 626
+ 309

-127
-200
+ 3
+119

- 782
- 975
-1,574
+ 771

- 171
- 553 .
-1,069
+ 612

Borrowings

- 550

- 550

- 543

- 249

- 92

- 187

-

Other liabilities

-

30 +

4o

+

45

+ 172

+ 37

- 143

Total capital accounts

+

70 +

60

+

62

+ ..-30--±—5

Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets
TOTAL ASSETS/LIABILITIES

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

Changes in seasonally adjusted data,
Loans and investments 2/........
Loans and discounts 2/.........
U.S. Govt, obligations.........
Other securities..............

-

169
268
885

37

+ 1 5 ._ +

18

+

469

26

,
•#

+ 96 .
- 84
- 567
- 261 „
+

82

-1,216

15
21

4-

December 31 , 1962 (estimated), to January 30, 19^3
+1,200
+ 100
+ 500
+ 600

For numbered footnotes, see first page.



21
98

- 35
- 12
+ 4
+ 2

1

Loans and discounts
U. S. Govt, obligations
Other securities

• - 482 v

1

‘

1

'

CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES,
JANUARY 31, 1962 TO JANUARY 30, 1963
(Partly estimated.
All
' banks

v
ASSETS
>
Loans and investments
*
„ Loans and discounts
U. S. Govt, obligations
Other securities
Reserves, cash, and
* bank balances
>
Reserve with FR Banks
Gash in vault
Balance with banks
Cash items
►
^Other
\fV4»*V4i assets
Mfl#

In millions of dollars)
Reserve city banks*
All
All
member New York City of Other
coml.
Item
Chicago
City
banks
banks

Country
banks

+18,110

+1^,335

+2,136

+1,390

+3,997

•+6,812

+17,240 +14,000 +11,306
- 1,370 - 1,320 - 1,824
+ 5,410 + ‘5,430 + 4,853

+2,065
-1,143
+1,214

+ 748
+ '179
+ 463

+3,805
-1,533
+1,725

+4,688
+ 673
+1,451

- 1,180

9^7

- 298

+

96

- 307

- 438

432
259

+
+

56
9

6k6

+ 107
+
39
+
56
- 500

+

31

- 160
+
36
- 81
- 102

- ^35
+ 175
- 103
- 75

216

-

+

41

+ 142

+ 101

+21,280

- 1,130
+

430 4oo +
490 -

-

430

-

610

4oo +
5^0 610 -

+

330 +

280 +

128

68

+6,475.._

+13,604

+1,770

+1,527

98
+
64o + 64o
+17,750 +l4,66o +12,207

- 521
+2,270

+ 218
+1,062

, TOTAL DEPOSITS

+18,°>90 +1*5,300 +12.109

+1,749.

+lv280_ , +3,235. ..+5.i»84,5..

y Deposits of banka
p. U. S. Govt, deposits
Other demand deposits
* Other time deposits 1/

50
- T30
+ 1,420
+17,750

TOTAL ASSEBS/LIABILITIES
v

+20,480 +17,210

LIABILITIES & CAPITAL

Gross demand deposits
Gross time deposits

Borrowings

50 -

138
640

- 730
+ 1,420 + 667
+14,660 +12,220

+

470

+

470

+

476

+

110

+

100

+

5

+ 1,510

+

1,3^0

+

1,014

49

- 198
- 232
+2,228

-

15
11
+ 243
+1,063

- 941
+4,176

- 196
- 274
•- 530
+4,235

133

+

67

^

313

+

97

+

+

201

+

83

+

+

+

293

+1,146
+4,699

+ 122
- 157
+1,186
+4,694
-

IT

v

i,Other liabilities
"Total capital accounts
Seasonally adjusted data
_V

T a o w a

■! t V i f A f l ' f . V M A i n ' f . a




O / .

65

+

239

+

156
491

For numbered footnotes, see first page.
+18,100
Changes for New York and Chicago reflect
+14,100 increases of 3 banks each on July 28, 1962.
- 1,400
u
5,400 million and $*05 million, respectively, on
Aug. 15* 1962, and "other" reserve city banks
were reduced $931 million.
*

U JL

+

U CUJUU3>

-

4

-

CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banka,
the Postal Savings System, and Treasury Currency Funds
(Partly estimated.

Item

In billions of dollars)
QH
oTon
ail. j
vp

1963

Dec. 26, Jan. 31?
1962
19b2 :

Change"to Jan' 30y
1963
from —
Dec.. 2d, Jan, 31>
1962
19o2

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

21.5

21.5

22.4

—

15.9
5-6

16.0

16.8
5.6

- .1

- .9

-2.JZ_
-2.8
- .2

5.6

- -,-9h

.6
35-2

.6
35.0

.7
29.8

+ -3

+22-6—
+16.8 •*
+ .3
- 1.4
+ 1.8
- .1
+ 5-4 ,

326.6

329.4

305-0

-2.8

+21. 7

289.6

291.0

269.0

-1.4

+20.6

29.6
119.0

30.7
121.7

28.7
117.0

•5

122. 8
.6

-1 .l .
-2.7
+2.4

+ .9
+ 2.0
+17.8 .
- .1

307. 8

166.8
103.0
72.1
30.3

169.6
103.3
72.0
30.6

282.6
150.0
102.7

28.5

+ #1
- -3

73-5

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

,K

140.5
•5

138.1

p

7. 6

s.6 _

-2.4

•3 >

.8

7.0
.6

5-2
.4

-2.6
+ .2

- -7
4* •^4* a

Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net

1-3
.4
30.1

1.4
.4
29,0

1.3

- .1

28!§

+£7i

+"1.4 4

Total liabilities and capital, net

326.6

329.4

305.0

-2.8

+21.7

Seasonally adjusted
30.0
29.5
Currency outside banks
117.8
Demand deposits a d j u s t e d ______ 116.6
# Figures may not add to totals because of rounding*

29.1

+ .5
-1.2

+ .9
+ 2.0 ■<-

U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks

4.5

114.6

1/ Demand deposits adjusted, including deroand deposits of foreign banks and ox xautual
savings tanks, were $120,8 billion on January 30, 1^3-