View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

FEDERAL

r.

RESERVE

release
^

■•f*AL

r fy it

library

February 25 ,"1965
For immediate release

RFSrPVE-c

ASSET3 AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, FEBRUARY 10, 1965
J.4
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
TOTAL ASSETS/LIABILITIES

(Partly estimated.
All
All
coml.
banks
banks

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

Country
banks

326,670 273,610 226,186 38,9*0

10,253

84,014

92,979

215,700 174,050 146,860 27,472
66,180 60,290 46,633
5,260
6,208
44,790 39,270 32,693

6,960
1,652
1,641

57,384
15,508
11,122

24,213

15,653

55,044
13,722

51,160

44,270

8,889

2,048

17,680

17,020
4,750
12,990

2,956

980
55
135

16,400

17,019
3,683
7,587
15,981

5,379

878

7,105
1,120
2,157
7,298

5,063
2,426

8,890

7,839

2,637

334

2,678

2,190

388,620 333,66© 278,295 50,466

12,635

52,130

17,020
4,880
13,780
16,450
9,820

1

322
232

5,978

2,186

104,372 110,822

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

180,670 131,0*0 107,636 15,431

161,350 161,300 135,448 25,857

6,315
4,651

50,471
41,310

m

TOTAL DEPOSITS

342,020 292,340 243,084 41,288

10,966

91,781

99,049

16,570 16,570 15,595
5,131
4,510
4,123
977
. *510
141,420 141,370 116,705 20,324
179,520 129,890 106,661 14,856

1,228
258
4,858
4,622

7,234

2,002

1,695
^1,775
41,077

49,748
46,106

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

MR

Borrowings

4,470

4,470

4,060

1,372

286

1,584

818

Other liabilities

9,970

9,090

8,253

3,304

329

2,469

2,151

32,160

27,760

22,898

.4,502

1,054

8,538

8,8o4

Total capital accounts

NOTE:

,

Comparability of figures affected by changes in FR membership, mergerB «tc.,
and in reserve classifications.




-2CHANGES 'IN ASSETS AM) LIABILITIES OP ALL BANKS IN THE UNITED STATES,

JANUARY 13, 1965 TO FEBRUARY 10,
J. 4
Item

1965

(partly estimated. In millions of dollars)
7QX~
Reserve ‘city ;
mr
banks
All
member New York City of
coml.
banks
banks
banks
City
Chicago Other

ASSETS
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

150

- 290

- 15*

+380

- 31

- 241

+' 320
- 560
♦ 390

- 120
- 630
+ *6©

1

+6*9

- 569
+ *16

+203

+ 72
-13*
+ 31

- *8*
+ 1*1
+ 102

-4,050

-4,060

-3,755

-853

-280

+ no
- *50
-1,030
—2,680

+ 110
- *50
-1 ,6*6 '
-2,680

+ 31*
- 350
- 909
-2,610

-628
. 8
- 23
-19*

+ 29
- 6
+ 10
-313

+

+

+

+10*

+ 37

.-3 & . .

-27*

+

170

160

TOTAL ASSETS/LIABBZTIES z h .m ~

-

m

h

W

-*72

.
Country ^
banks
-*r

- 262 A
‘t
- 238 .
- 10*
+ 80 *
... r . _ m _

+ 138
- 119
- 151
-1,789
_. 3-

+
+

- 2 ^ ... t

575

T

‘

217 -

7*5 ,
31*
12

A-

___

4. *
LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

-6,690
+2.730

-6,690
+2.270

-5,626
+1^899

TOTAL DEPOSITS

-3,960

-*,*20

-3,727

-1,250
+1,730
-7,110
+2,670

-1,250
+1,730
-7,110
+2,210

-1 ,1*7
+1 ,6*8
-6,066
+1,838

500
600

- 500

- 70*

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

-

Other liabilities

+

Total capital accounts

+




130

...

-230
+328

-184
.

2

s

5

-3,0*2 -2,170 ‘
+ 928 ..+ .._6jB .

-219

-2.11*

-li*2?_K

+ 91
+4*0

-100
+1*7

-225
- *1

- 903
+ 822
-2,937
+ 90*

- 235 "
+ 239 *
-2,17* .
+ 678

-124

- 1*8

+ 399 ,

+ 62

+

37

+ 113 -

+

+

60

+

-730
+297

+

580

+

537

-831
+325

+

150

+

135

+ 39

7

29

V

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,

FEBRUARY 12, 1964 TO FEBRUARY 10, 1965
(Partly estimated.

j.4
Item

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

All
banks

In millions of dollars)

All
coml.
banks

Reserve city banks
All
member New York City of Other
Chicago
banks
City

Country
banks

+27,340 +22,920 +19,205 +5,*07

+

811

+6,663

+6,324

+24,710 +20,240 +17,098 +4,826
- 1,7*0 - 1,700 - 1,589 - 520
+ 4,370 + 4,380 + 3,696 +1,101

+1,057
- 261
+
15

+5,652
- 385
+1,396

+5,563
- 423
+1,184

Reserves, cash, and
* bank balances

+ l,84o + 1,750 + 1,353 +

34i

+

102

252

+1,162

Reserve with FR Banks
’ Cash in vault
j, Balance with banks
Cash items
>

+
+
+
+

+

66

+ 320
+
47
99
- 520

+ 932
+ 128
+
78
+
24

Other assets

+

+

+ 229

' TOTAL ASSETS/LIABILITIES

+30,100 +25,480 +21,246 +5,890

+l,04l

+6,600

+7,715^

pross demand deposits
Gross time deposits

+ 4,980 + *,990 + 4,200 +1,634
+20,250 +15,910 +13,241 +3,182

+
+

173
688

+ 602
+4,768

+1,791
+4,603

.TOTAL DEPOSITS

+25,230 +20,900 +17,441 +4,816

+

861

+5,370

1-6x22*

-1 Deposits of banks
s U. S. Govt, deposits
Other demand deposits
Other time deposits

+ 1,470
+
370
+ 3,460
+19,930

+ 1,470
+
370
+ 3,470
+15,590

+
+
+
+

87
67

29
678

+ 167
+ 289
+ 221
+4,693

+ 161
- 83
+1,705
+4,611

Borrowings

+ 1,510

+ 1,510 + 1,246 +

357

-

11

+

449

+ 451

Other liabilities

+

729 + 406

+

147

+

21

+ 155

Total capital accounts

+ 2,490 + 2,240 + 1,830

+

44

+

760

+
+
+
+

6l4 217 +
39 +
483 +

704

480 +
470 +

610
280
380
480

27
976

+
+

33
3

920 +

810 +

688 +

142

+

128

610 +
280 +

42

-

189

. LIABILITIES & CAPITAL




870 +

+ 1,380
+ 447
+ 2,683
+12,931

830 +

+ 965
+ 174
+ 728
+2,949

+

311

+

715

-4CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
j.4

(partly estimated.

Item
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

In billions of dollars)
Change to Feb. 10,
1965 from —
Feb. 12/
f*eb. 10, Jan. 13, Feb. 12, Jan• 13,
1965
1965
, ...196L
<
20.3

20.6

21.0

- .2

-

-7

14.9
5-4

15.2
5.4

15.5
5-6

- -3

-

-5 <
.2 Ml

360.8
211.5
104.5
66.2
37*2
1.1
44.8

359.3
210.7
104.2

330.7
188.5
101.8

+30.2 ,
+23.0
+ 2.8

66.7
36.5
.9
44.4

67.9
33.2
.6
4o.4

+1.6
+ .8
+ .4
- .6
+ -7
+ .2
+ .4

- 1.7
+ 4.0 *
+ *5 <
+ 4.4

381.2

379-8

351.7

+1.3

+29.5

338.7

340.4

313.9

-1.7

+24.8 *

33.8

+ .1
-4.4
+2.7

+ 1.9
+ 3.0 ,
+19.9
- .1 <•

.

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

33-8

125.0

129.4
176.8

119: l

.4

31.9
122.0
159.6
.4

5-4

3.8

5.1

+1.7

.... ±

4.5

4.1
•9

+1.7
- .1

+

•9

2.8
1.0

1.7

1.6

+ .1

•7
34.7

33.4

1.2
.4
31.1

+ -5 "
+ .3 *
+ 3-6

381.2

379-8

351.7

• +1.3

•1

+1.3

.4

+29.5

* 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 $ 127.3 billion on February 10, 1965.



-iJ

«