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For immediate release February 12, 1969 ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JANUARY 29, 1969 J.4 (Partly estimated. In millions of dollars) All banks All coml. banks All member banks 462,900 393,510 319,249 55,692 13,935 116,456 133,166 315,570 66,650 80,680 260,560 62,800 70,150 216,806 46,464 55,979 42,544 5,560 7,588 10,189 1,647 2,099 82,141 14,167 20,148 81,932 25,090 26,144 72,850 71,810 63,826 18,452 2,932 23,463 18,979 22,470 7,020 15,330 28,030 22,470 6,860 14,550 27,930 22,471 5,296 8,632 27,427 4,893 433 466 12,660 1,158 81 494 1,199 9,266 1,646 2,317 10,234 7,154 3,136 5,355 3,334 15,520 14,220 12,510 3,921 722 4,541 3,326 551,270 479,540 395,585 78,065 17,589 144,460 155,471 Gross demand deposits Gross .time deposits 204,570 267,020 204,470 202,110 170,504 161,780 38,588 19,637 7,456 5,920 60,141 62,228 64,319 73,995 TOTAL DEPOSITS 471,590 406,580 332,284 58,225 13,376 122,369 138,314 20,460 7,730 177,820 265,580 20,460 7,730 177,720 200,670 19,329 6,872 145,546 160,537 7,902 1,951 29,314 19,058 1,183 569 5,722 5,902 7,957 2,454 50,142 61,816 2,287 1,844 60,368 73,815 Borrowings 12,830 12,830 12,000 3,278 885 6,179 1,658 Other liabilities 24,800 23,340 21,335 10,443 1,904 5,169 3,819 Total capital accounts 42.050 36,790 29.966 6,119 1,424 10,743 11,680 ASSETS 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 Reserve city banks New York City of Other City Chicago Country banks LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments 1/., Loans and discounts 1/... U.S. Govt, obligations.,. Other securities......... NOTE: 385,300 253,800 60,400 71,000 1/ Excludes total coml. interbank 1<aans. Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, DECEMBER 31, 1968 TO JANUARY 29, 1969 j.U Item (partly estimated. In millions of dollars) Reserve city banks All All All City of New York member caml. Other banks r/ banks Chicago City banks ASSETS Loans and investments Country banks - 5,650 6,190 - 5,715 - 1,509 - 345 - 2,677 1,184 3,570 1,830 250 - 3,920 - 1,840 430 - 3,382 - 1,720 613 570 418 521 - 103 212 30 - 1,538 827 312 - 1,171 263 + 250 -10,850 -10,880 - 9,479 - 1,483 75 - 4.502 - + 1,360 410 - 3,680 8,120 + 1,360 410 - 3,710 8,120 - + 1,362 332 - 2,835 - 7,674 + + + 1,210 - 1,240 - 1,120 553 -17,710 -18,310 -16,314 - 3,545 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits -23,610 - 1,310 -23,610 - 1,630 ■20,775 ■1,869 TOTAL DEPOSITS -24,920 -25,240 - 5,300 + 2,360 -20,810 - 1,170 Borrowings Loans and discounts U- S. Govt, obligations Other securities Reserves, cash, and bank balances - 3.411 602 1 167 j - 2,236 J - 1,618 + - 6 17 198 250 - 101 197 269 - 521 - 7,376 - 4.872 - 4,639 - 1,059 879 273 9,089 701 -22,644 5,698 -1,152 - 9,790 - 6,004 - 5,300 + 2,360 -20,810 - 1,490 - 5,060 + 2,143 -17,997 - 1,730 - 1,728 + 991 - 4,004 957 365 312 821 278 2,407 312 7,090 605 560 + 474 - 6,082 + 164 + 3,960 + 3,960 + 3,546 + 545 + 203 + 1,969 + 829 : Other liabilities + 3,220 + 2,930 + 2,794 + 1,691 + 442 + 403 + 258 Total capital accounts + + 10 83 14 + 42 Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES Deposits of banks TJ. S. Govt, deposits Other clemand deposits Other time deposits Seasonally adjusted data Loans and investments _/• Loans and discounts _/. U •S. Govt. obligations.. Other securities....... 30 40 397 10 51 - 1,819 369 138 746 - 3,987 + - 6,168 + 164 : + ____45 For numbered footnotes, see first page. + 800 + 1,500 - -!- 1,100 500 r / Figures for mutual savings banks were revised. CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES JANUARY 31, 1968 TO JANUARY 29, 1969 J.4 (Partly estimated. Item In millions of dollars) Reserve city banks New York City of Other City Chicago All banks All coml. banks All member banks +40,960 +36,540 +28.r860 :+ 4,794 +30,590 + 80 +10,290 +27,550 + 570 + 8,420 +22 544 115 + 6 431 • flnnn vUuii f* ut M mv y banks ASSETS Loans and investments Loans and discounts U . S. Govt, obligations Other Hsecurities Reserves, cash, and bank balances + 5,140 + 4,980 + 4 724 9,139 173 + 2,349 + + 681 + + + + 210 191 81 361 + 1,223 + 254 217 188 + 381 + 4,241 47 + 600 + - + 1,324 105 143 2,810 + 161 + + 274 + 135 +42,960 +34 812 + 7,878 + 1,658 + 1,440 TOTAL ASSETS/LIABILITIES +47,690 & + + + 1 228 + 1,590 LIABILITIES +11,389 + + 1 148 472 + 65 + 3 039 Other assets +11,315 129 1 273 18 + 1,150 + 660 + 150 + 3,020 + 1,362 156 28 + 90 + 2,848 1,150 + 670 + 290 + 3,030 Reserve with FR Banks Cash in vault Balances with banks Cash items + + + + - - - + 7,840' 210 + 3,339 1,072 438 +12,377 +12,899 CAPITAL Gross demand deposits Gross time deposits +11,600 +20,250 +11,590 +16,030 + 9 260 +11 490 + - 3,670 989 + 263 92 + 2,100 + 5,101 + - TOTAL DEPOSITS +31,850 +27,620 +20 750 + 2,681 + 171 + 7 }201 +10,697 + 1,670 + 540 + 9,240 +20,400 + 1,670 + 540 + 9,230 +16,180 + 1 + + 7 +11 491 325 283 651 + 1,357 + 310 + 1,784 770 + - 3 142 126 100 + 13 377 + 2,461 + 5,104 + 118 + 196 + 2,912 + 7,471 Borrowings + 6,010 + 6,010 + 5 573 + 1,299 + 324 + 3,075 + 875 Other liabilities* + 7,210 + 6,960 + 6 665 + 3,553 + 1,091 + 1,427 + 594 Total capital accounts + 2.620 + 1 824 + 345 + 72 + 674 + 733 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Seasonally adiusted data Loans and investments 1 / . Loans and discounts 1 / . U.S. Govt, obligations . 2,370 +35,400 +26,300 + 400 + 8,600 + + + 3,227 + 7,470 For numbered footnotes, see first page. -4CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. Item In billions of dollars) Jan. 29, 1969 Dec. 31, 1968 r/ Jan. 31, 1968 Change to Jan. 29 1969 from — Dec. 31, Jan. 31 1968 1968 ASSETS 17.2 17.2 18.8 10.4 6.8 503.4 10.4 6.8 512.9 12.0 6.8 466.3 -- 9.5 - 1.6 -+37.1 303.7 119.0 310.5 121.5 279.1 116.9 - 6.8 - 2.4 +24.6 + 2.2 66.7 52.3 .1 68.5 52.9 .1 66.6 49,1 1.2 - 1.8 - .6 -- + .1 + 3.2 - 1.1 80.7 80.9 70.4 - .3 +10.3 520.6 530.1 485.1 - 9.5 +35.5 457.5 472.7 428.2 -15.2 +29.3 42.1 149.8 265. 6 43.5 162.5 266.8 39.4 143.6 245.2 - 1.4 -12.7 - 1.2 + 2.7 + 6.2 +20.4 U. S. Government deposits 8.2 6.1 8.3 + 2.2 - .1 At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 7.7 .5 5.4 .7 7.2 1.2 + 2.4 •2 + - .5 .7 2.2 .8 51.9 520.6 2.5 .8 48.1 530.1 1.9 1.4 45.3 485.1 - + 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 - 1.6 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits * T^tal liabilities and capital, net .3 + 3.9 - 9.5 .3 .6 + 6.6 +35.5 Seasonally adjusted 42.6 40.0 42.7 + .1 + 2.7 Currency outside banks 146.7 155.8 140.6 - 9.1 + 6.1 Demand deposits adjusted * Figures may not add to totals because of rounding. Treasury funds included are gold account, Treasury currency account, and Exchange Stabilization Fund. 1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $152.8 billion on January 29, 1969. r/ forFigures Digitized FRASER for mutual savings banks were revised.