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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-