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*

BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM

*G.7 (Preliminary)
(For Immediate Release)
February 16, 1?59
f
ASSETS AND LEAHELETEES OF ALL BANKS IK THE UNITED STATES AND
CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM
JANUARY 28, 19$9
The attached statement marks the first release under a new program designed to
Lpresent speedier reports of these data. Hitherto, this series has consisted of a single
statement, issued around the end of each month, presenting data as of the last Wednesday
vof the preceding month.
*
Hereafter, there will be two releases in this series each month, as follows:
r

^w

*
^

1.

A statement to be issued around the middle of each month,
showing preliminary figures for the last Wednesday of the
previous month. The attached statement, for example,
shows preliminary figures for January 28; under the pre­
vious schedule figures for January 28 would not have
been available before the end of this month.

2.

A statement to be issued around the end of each month,
showing preliminary figures as of the Wednesday on or
immediately preceding the 15>th of each month. The first
release of this statement, around the end of February,
will show data as of February 11.

►
Both statements will be sent to addressees now on the mailing list for this (G*7) series*
*
^
To effect the speedier presentation of data, it is necessary to present figures
|on a preliminary basis, using estimates based on incomplete' tabulations* Revised estimates,
t>ased on more complete tabulations as of the last Wednesday, will be shown on a separate
rpage of the following release, i.e., with the one that will be released around the end
of February with figures for February 11* The Federal Reserve Bulletin will continue to
K<?&rry the last Wednesday series*




^

L IB R A R Y

V

BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
,G.7 (Preliminary)

(For Immediate Release)

February 16, 1959

ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JANUARY 28, 1959
(Partly estimated.
Item

In millions of dollars)
Member banks
All
Central reserve Reserve Country
commer­
All
city
city banks
Total,
banks* , cial
banks2/
I
Chicago
banks!/
New
York
y
banks*!/
1/

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

221,1*50

185,130 155,053. 25,959

6,651

60,700

61,71*3

120,910
71*,1*70
26,070

97,560 83,600 16,011
7,650
67,230 55,129
20,31*0 16,321* 2,298

3,1*33
2,6ll
607

31*,081*
20,779
5,837

30,072
21*,089
7,582

1+3,080

1*2,230 37,338

7,311*

1,831

15,650

12,1*93

18,1*00
3,260
10,980
10,1*1*0

18,1*00 18,399
2,386
3,150
6,330
10,270
10,1*10 10,223

3,999
11*8
99
3,068

1,067
33
108
673

7,765
751
2,077
5,057

5/568
1,1*51*
l*,0l*6
1,1*25

3,968

1.17U

85

1,521

1,188

231,81*0 196,359

31*,1*1*7

8,617

77,871

7£ik2k-

1**960
269,1*90

U, 1*80

■

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

11*1,290
99,890

11*1,260 121,851* 23,952
66,110 53,51*9
5,239

6,252
1,1*1*3

1*8,11*1*
21,678

1*3,506
25,189

TOTAL DEPOSITS

21*1,180

207,370 175,1*03

29,191

7,695

69,822

68,695

15,690
1*,720
123,61+0
97,130

15,690 11*,89 5
1*,720 1*,208
123,610 105,251
63,350 51,01*9

5,661
956
19,130
3,1*1*1*

1,172
208
1*,913
1,1*02

6,6ll+
1,51*6
1*0,1*83
21,179

1,1*1*8
1,U98
1*0,725
25,021+

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

1,780

1,780

1,682

51*3

68

' 833

238

Other liabilities

1*,760

l*,ii*o

3,761+

1,1*1*1

128

1,1*33

762

Total capital accounts

21,770

18,550

15,510

3,272

726

5,783

5,722

Total liabilities
and capital

269,1*90

231,81*0 196,359

31),1*1*7

8,617

77,871

7S,U2li

* Figures have been rounded to nearest 10 million.
l/ Beginning with 1959, figures include all banks in Alaska (one member bank was previ­
ously inoluded); edded banks had total deposits of $172 million on December $1,
1958. Comparability is also affected by the absorption, early in January, of a
mutual savings bank with deposits of $292 million by a reserve city member bank.
2/ forIncludes
a Virgin Islands member bank.
Digitized
FRASER


CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
DECEMBER 3 1 , 1958 TO JANUARY 28, 1959

G.7

►
v

(Partly estimated.

->

All
banks*

Item

In millions of dollars)
Member banks
Central reserve Reserve
city
city banks
Total
New York 1 Chicago banks

All
commer­
cial
banks*

Country
banksl/

ASSETS
+
5ko
Loans and investments
>
1+30
Loans and discounts
+
1,020
U. S. Govt, obligations
50
Other securities
Reserves, cash, and
- bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets

+

550

+

- 1+20 + 1,050 +
80 —

-

3

-

179

+

11+7 +

289

1+10 756 +
92 —

152
170
21

+

201+ +
1+9 +
21+

88 99
1+0 *

1I+2
1+38
7
901+

25U

- 5,810

- 5 ,71+0 - 5,237

- 2,013

-

278

— 2,01+2 -

70
250
- 1,730
- 3,760

72
70 250 - 191
- 1,670
1,333
- 3,750 - 3,61+1

- 1+75
11+
1+8
- 1,1+76

+
—

9
3
91
193

279
20
626
“ 1,675

+

+

+

21

+

2

90

90 +

70

-

+ ' 115
151*
- 568
— 297

1+

- 5,180

- 5,100

- 1+,913

- 1,995

-

1+55 - 1,899

Gross demand deposits
Gross time deposits

- 7,260
370

- 7,260 - 6,879
+ 1+60 +
336

- 2,517
+
18

-

833
117 .

TOTAL DEPOSITS

_ 6,890

- 6,800

1+90 - 3,039 29 + .222_ +
519 - 2,809 -

- 2,370
* 210
- 5,ol+o
310

2,370 — 2,360 ' — 81+1 +
210 +
108 1+8
- 5,01+0 - i+,578 - 1,586 + 1+00 + 287 “
—
21+ ■

219 — 1,218 1+8 +
3 +
223 - 1,817 223 +
29

82
201
952
117

Total assets

-

561+

LIABILITIES & CAPITAL

Deposits of banks
U. S. Govt, deposits
” Other demand deposits
Other time deposits
Borrowings

1,710

+ 1,710

Other liabilities

h

30

Total capital accounts

-

30

Total liabilities
and capital

*

5,180

-

- 6,51+3 — 2,1+99

+ 1,627

+

51+3 +

65

10

t-

21

-

26 +

6

20

—

18

—

—

+

817

+

62 -■

7 •f ,..51— -

716,.

202
21
29

5,100
561+
1+55
1,995
1,899
1+.913
'
Figures have been rounded to nearest 10 million. Also see footnotes on first page.




mm

mm

CHANGES IN ASSETS AMD LIABILITIES OF ALL BANKS IN THE UNITED STATES,
JANUARY 29, 1958 TO JANUARY 28, 1959
G.7 (Preliminary)
(Partly estimated. In millions of dollars)

Item

All
banks*

All
commer­
cial
banks*

Member banks
Central reserve Reserve
city
city banks
New York I Chicago banks

Total

Country
banks

ASSETS
-> Loans and investments
Loans and discounts
U. S. Govt, obligations
Other securities

(

' Reserves, cash, and
bank balances
y
J

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

4

+19,670

+17 ,1+80 +H*, 931

2,778

+

1+1+0

+ 6 ,1+06 + 5,307

+ 7,510
+ 9,230
+ 2,930

+ 5,51*0 + 1+,l+2.;.0 + 510
+ 9,530 + 8,530 + 1,960
+ 2 ,1+10
308
1,961 +

+

167
561

+

+ 1,130

+

1+20

110

l+o

+ 1,1+00

150

Other assets

+

1,160 + 1,187

+

1+20

1+20

+

1+6

180 +

19

935

2I+8
2
19

75
+
70
90
+ 1 ,1+00 + 1 ,141*2

1+11

1*9
1
3k
101

+

123

21

-

+

110

150

91

+ 2,089
+ 2,386
+ 832
55

1*8
27 +
23 +
837

171
k9
82

,1.3k

_J>2_
+ 7,i*oo

5,1*91*

322
82

+ 5,91*5
+ 2,655

+ 2,526
+ 2,511

+ l+0i+

6,578

+ 5,057
75
+ 1*77
+ 1,985
2,501+

+20,950

+18,790

+16,209

+ 2,835

Gross demand deposits
Gross time deposits

+ 9,330
+ 9,1*20

+ 9,330
+ 7,570

+ 8,219
+ 6,391

+ 1,1+28 +
+ 1,163 +

TOTAL DEPOSITS

+18,750

+16,900

+ll+,6l0 + 2,591

+
860
+ 2,320
+ 6,960
+ 8,610

+ 860 +
658 +
333 +
+
+
666
+ 2,320 + 2,119
+
+ 6,960 + 6 , 11+2 + 1,01+9
+ 6,760 + 5,691 +
5k3 +

Borrowings

+

63O

+

630

Other liabilities

+

36O

+

180 +

Total capital accounts

+

1,210

+

Total assets

2,008

+ 3,623
+
775

+ U80

LIABILITIES 8c CAPITAL

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

Total liabilities
and capital
*

+20,950

1,080

+18,790

+

+

+
+

250
857

218

+

2,892

65

+ 2,579
+

610 +

21+7

22

109

-

123

16

880

+

120

38

+ 2,835

+ 1*80

+16,209

Figures have been rounded to nearest 10 million.




2
119

+

576

35

57

159

589

555

7 1*00

5,1*91*

,

Also see footnotes on first page.

G.7

CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*

All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds 1/
(Partly estimated.
Item

In billions of dollars)
Jan.
28,
1959

Dec.
31,
1958

Jan.
29,
1958

Change to Jan. 2b,
1959 from —
Jan. 29,
Dec. 31,
1958 .
,1?£8

ASSETS
- 2.2
- 2.3
+ .1

25.8
20.5
5.2

25.8
20.5
5.2

27.9
22.8
5.2

246.8
119.7
101.1
74.5
25-4
1.2
26.1

248.5
121.5
100.9
73.5
26.2
1.2
26.1

225.6
112.5
89.9.
65.2
23.4
1.3
23.1

- 1.7
- 1.8
+ .2
+ 1.0
.8
—
.1

+
+
+
+
+
+

272.6

27U.3, _

253.5

-

1.7

+ 19.1

Total deposits adjusted and
currency outside banks

239.2

241.0

22li. 8

-

1.9

+ i4.4

Currency outside banks
Demand deposits adjusted
Time deposits adjusted
Postal savings deposits

27.7
113.2
97.1
1-1

28.6 '
114.5
96.8
1.1

27-3
107.6
88.5
1.3

.9
- 1.3
+ .3
—■

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

—

—

21.3
7.1
11.2
9.2
2.1
.1
2.9

LIABILITIES AND CAPITAL

-f

.4

+ 5.6
+ 8.6
.2

5.2

4.9

2.9..

+

,3 . + 2.3_

4.7
.5

4.5
.4

2.4
.5

+
+

.2
.1

+ 2.3
——

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

3.8
.7
23.7

3.9
.7
23.8

3.3
.8
21.8

.1
.1

+ .5
.1
+ 1.9

Total liabilities and capital, net

272.6

274.3

2£k5

- 1.7

+ 19.1

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

-

—

Seasonally adjusted
.1
+ .4
28.0
27.5
27.9
Currency outside banks
+ 5.4
±2
104.7
110.3
110.1
Demand deposits adjusted
Figures may not "add to totals because of rounding. For description and back figures of
I S s o n S l y adjusted data, see Tuly 1957 Bulletin, pp. 828-2?. Also see footnote 1/
on first page regarding series revisions beginning in 1959.
1/ Treasury funds included are gold account, Treasury currency account, and Exchange
Stabilization Fund.