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RESERVE

FEDERAL
statistical

release

For immediate release
February 13, 1968
LIABILITIES OF ALL BANKS IN THE UNITED STATES, JANUARY 31, 1968
J.4
Item
ASSETS
Loans and investments

(Partly estimated.
All
All
caul.
banks
banks

In millions of dollars)
All
Reserve city banks
member New York City of
Other
b a n k s ' City
Chicago

Country
banks

420,950

356,370

290,389

50,898

12,573

105,141

121,777

284,530
66,440
69,980

232,690
62,220
61,460

194,262
46,579
49,548

38,303
5,607
6,988

8,865
1,752
1,956

73,002
14,340
17,799

74,092
24,880
22,805

67,440

66,420

59,102

15,642

2,771

22,782

17,907

21,320
6,420
14,650
25,050

21,320
6,270
13,870
24,960

21,323
4,824
8,567
24,388

5,049
405
376
9,812

1,287
82
221
1,181

9,056
1,455
2,398
9,873

5,931
2,882
5,572
3,522

13,920

12,780

11,282

3,647

587

4,160

2,888

502,310

435,570

360,773 ^ 8 7

15,931

132,083

142,572

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

192,700
246,040

192,610
185,420

161,244
150,290

34,918
20,626

7,193
6,012

58,041
57,127

61,092
66,525

TOTAL DEPOSITS

438,740

378,030

311,534

55,544

13,205

115,168

127,617

18,850
7,220
168,210
244,460

18,850
7,220
168,120
183,840

17,838
6,547
138,263
148,886

6,545
1,641
27,530
19,828

1,180
427
5,596
6,002

7,944
2,831
47,681
56,712

2,169
1,648
57,456
66,344

6,820

6,820

6,427

1,979

561

3,104

783

Other liabilities

17,420

16,370

14,670

6,890

813

3,742

3,225

Total capital accounts

39,330

34,350

28,142

5,774

1,352

10,069

10,947

Loans and discounts
U. S. Govt, obligations
Other securities
Reserves, cash, and
bank balances
Reserve with F R 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
Borrowings

1 / Excludes total coml. interbank loans.
Seasonally adjusted data
348,400
Loans and investments l / .
227,200
Loans and discounts l]**
59.100
U.S. Govt, obligations..
62.100
Other securities.......
NOTE: Comparability of figures affected by changes in FR membership, mergers, etc.,
and in reserve classifications.



-2CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
DECEMBER 27, 1967 TO JANUARY 31, 1968
J.fc
Item
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

All
member
banks

Reserve city banks
New York City of
Other
Chicago
City

All r/
banks

All
coml.
banks

-1,810

-2,190 • -2,091

-2,680
- 420
+1,290

-3,030
- 320
+1,160

-2,687
- 276
+ 872

-5,400

-5,420

-4,829

-

+ 410
- 680
-1,230
-3,900

+ 410
- 680
-1,250
-3,900

+

+

510

510

Country
banks

-1,,077

-257

-

562

“ 195

674
323
80

-521
+181
+ 83

- 832
“ 65
+ 335

660
69
ro /
-'r 534

870

-224

-2 ,301

-1,,434

+ 418
- 577
- 823
-3,847

+ 315
78
38
-1 ,069

+ 82
- 27
- 16
-263

+ 262
— 269
— 145
-2 ,149

-

241
203
/•A /
624
366

+

+

163

+ 59

+

244

i

30

496

-

"

-6,700

-7,100

-6,424

-1 ,784

-422

-2 ,619

-i ,599

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

-8,550
+3,140

-8,550
+2,740

-7,372
+2,113

-1 ,470
232

-420
+ 20

-2 ,975
+1 >154.

-2 ,507
+1

TOTAL DEPOSITS

-5,410

-5,810

-5,259

-1 ,702

-400

-1 ,821

-1 ,336

-1,970
+ 340
-6,910
+3,130

-1,970
+ 340
-6,910
+2,730

-1,867
+ 405
-5,896
+2,099

_

-

745
50
681
226

-128
+ 48
-336
+ 16

768
+ 558
-2 ,749
+1 ,138

- 226
— 151
-2 ,130
+1 ,171

-1,680

-1,680

-1,564

-

381

- 92

-

848

-

243

50

-

50

+

17

+

245

- 50

-

63

-

115

440

+

440

+

382

+

54

+120

+

113
1

+

95

TOTAL ASSETS/LIABILITIES

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits
Borrowings
Other liabilities
Total capital accounts
illy
Change
Seasonally adjusted data
Loans and investments i/»
Loans and discounts 1/•
U •S • Govt. obligations..
Other securities.......




+

44,000
+3,200
- 900
+1,700

For numbered footnotes, see first page*
r/
Figures for mutual savings banks
were revised.

- 3-

CHANGE3 IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
JANUARY 25, 1967 TO JANUARY 31, 1968
J.H

(Partly estimated.
Item

All
banks

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

Country
banks

ASSETS
+41,090

+36,050

+28,806

+ 5,142

+

925

+ 9,979

+12,760

+21,000
+ 5,760
+14,330

+17,720
+ 6,220
+12,110

+14,018
+ 4,806
+ 9,982

+ 3,091
+
832
+ 1,219

+
+
+

549
40
336

+ 4,511
+ 1,465
+ 4,003

+ 5,867
+ 2,469
+ 4,424

+ 7,870

+ 7,820

+ 7,715

+ 4,097

+

98

+ 2,499

+ 1,021

+ 1,830
+
370
+
470
+ 5,200

+ 1,830
+
350
+
470
+ 5,170

+ 1,834
+
227
+
608
+ 5,046

+ 1,056
+
38
+
142
+ 2,861

+

191

_

+

203
110

+
825
+
63
+
319
+ 1,292

+
+
+

238
126
350
783

+ 1,960

+ 1,880

+ 1,840

+

+

129

+

+

70

+50,920

+45,750

+38,361

+10,145

+1 ,152

+13,213

+13,851

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+18,500
+27,270

+18,470
+22,240

+16,374
+17,700

+ 6,241
+ 1,889

+
+

607
893

+ 5,394
+ 6,442

+ 4,132
+ 8,476

TOTAL DEPOSITS

+45,770

+40,710

+34,074

+ 8,130

+1 ,500

+11,836

+12,608

+ 1,690
+ 2,300
+14,740
+27,040

+ 1,690
+ 2,300
+14,710
+22,010

+ 1,673
+ 2,171
+12,782
+17,448

+
991
+
702
+ 4,704
+ 1,733

+
+
+

5
236
370
899

+
573
+ 1,029
+ 3,851
+ 6,383

+
114
+
204
+ 3,857
+ 8,433

190

190

-

-

34

-

511

+

297

+

37

Other liabilities

+ 2,920

+ 2,930

+ 2,641

+ 1,598

+

7

+

476

+

560

Total capital accounts

+ 2,420

+ 2,300

+ 1,857

+

+ ' 156

+

604

+

646

Loans and investments
Loans and discounts
U. S. Govt, obligations
Other securities
Reserves, cash, and
bank balances
Reserve with PR 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
Borrowings

Seasonally adjusted data
Loans and investments 1/• • ■
Loans and discounts !_/•••




211

906

451

--

735

For numbered footnotes, see first page.
+34,000
+16,800
+ 4,900
+12,200

CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*1
All Commercial, Savings, and. Federal Reserve Banka,
the Postal Savings System, and Treasury Currency Funds
(Partly estimated.

J.U
Item

In billions of dollars)

Jan. 31, Dec. 27,
1967 £/
1968

Jan. 25,
1967

Change to
t
from —
Dec. 27, Jan. 25,
1967
1967

ASSfeTS
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

18.8

19.2

19.5

- .4

-

.7

12.0
6.8

12.4
6.8

13.2
6.4

- .5
-

- 1.2
+ .4

465.3

465.1

418.8

+ .2

+46.6

278.6
116.7

. 279.2
117.2

257.0
106.1

- .6
- .5

+21.6
+10.6

66.4
49.1
1.2

66.9
49.2
1.2

60.7
44.2
1.2

- .4
- .1
--

+ 5.8
+ 4.9
--

70.0

68.7

55.7

+1.3

+14.3

484.1

484.3

438.3

- .2

+45.8

427.0

427.9

388.5

-1.0

+38.4

39.3
143.2
244.5
-

40.4
146.2
241.3
—“

37.4
133.6
217.4
.1

-1.1
-3.0
+3.1

+ 2.0
+ 9.5
+27.0
.1

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/
Tine deposits adjusted
Postal savings deposits
TJ. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net
Total liabilities and capital, net

8.4

7.2

5.3

+1.1

+ 3.0

7.2
1.2

6.9
.4

4.9
.4

+ .3
+ •8

+ 2.3
+ .7

1.9
1.4
45.5

2.1
1.4
45.7'

1.8
1.2
41.4

- .2
—
- .2

+ .1
+ .1
+ 4.1

484.1

484.3

438.3

- .2

+45.8

Seasonally adjusted
+ 2.0
+ .4
37.9
39.5
39.9
Currency outside banks
1.2
+ 9.4
130.9
141.5
140.3
Demand deposits adjusted
* Figures may not
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 $145. 7 billion on January 31, 1968
Figures for mutual savings banks were revised.
Digitizedr/
for FRASER