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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