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V

February 26, i960
'
j (For Immediate Release)
LIB]
,ET§ AND LIABILITIES/OF ALL BANK? IN THE UNITED STATES, FEBRUARY 10, i960
*al m m

V¥

Partly estimated.

V
*
*

All
banks*

Item

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

Country
banks

ASSETS
224,430

186,620

154,743

24,446

6,766

59,883

63,648

135,030

63,720

109,660
56,860
20,100

17,496
4,822
2,128

4,120
1,972
674

38,260
16,072
5,551

33,738
22,249

25,680

93,614
45,115
16,014

43,150

42,440

37,129

7,242

1,766

15,327

12,794

17,620
3,360

17,620
3,230

11,160

10,610
10,980

3,853
171
97
3,121

988
31
118

11,010

17,617
2,426
6,399
10,687

629

7,294
758
1,999
5,276

5,482
1,466
4,185
l,66l

5,700

5,150

4,575

1,466

95

1,682

1,332

273,280

234,210

196,447

33,154

8,627

76,892

77,774

Gross demand deposits
Gross time deposits

140,020

119,350 22,647
4,232
53,499

5,941
1,469

46,833
21,491

43,929

101,670

139,990
66,750

wTOTAL DEPOSITS

241,690

206,740

172,849

26,879

7,410

68,324

70,236

14,800

14,800

1,144
138

123,240

100,000

65,080

52,000

4,922
536
18,127
3,294

6,614

3,620
123,270

14,105
3,152
103,592

1,438

21,126

1,425
1,352
41,317
26,142

2,890

2,890

2,826

1,109

336

945

436

5,610

4,890

4,388

1,781

122

1,489

996

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

7,661

.

Reserves, cash, and
* bank balances
*
Reserve with FR Banks
* Cash in vault
Balances with banks
y Cash items
Other assets
'

Total assets
LIABILITIES & CAPITAL

‘ Deposits of banks
f U. S. Govt, deposits
Other demand deposits
* Other time deposits
A
Borrowings
f
©ther liabilities

3,620

4,690

1,126
39,458

26,307

6,106
6,134
16,384
759
23,090
3,385
19,690
•'Total capital accounts
A
Total liabilities
77,774
8,627 76,892
273,280 234,210 196,447 33,154
and capital
■*
.
* Figures have been rounded to nearest 10 million.
Note.— The comparability of figures in this series is affected by changes in Federal
* Reserve membership, mergers, etc., and in reserve classificationsj also see comparabili y
note on page 3*



_

- 2 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
JANUARY 13, 1960£/ TO FEBRUARY 10, i960

W 4
y

.G-7

(Partly estimated.

In millions of dollars)

►*
Item

4 *

All
banks*

Country
banks

ASSETS

Y*

■> Loans and investments

- 2,9^0

3,070

- 2,679

459

+

52

- 1,545

727

620
2,060

722
1,747

196
221
42

947
92

61
603

210

+ 41
+ 24
- 13

506

260

760
2,060
250

- 4,220

- 4,150

- 3,828

532

- 326

1,983

587
- 269
- 737
- 2,235

130
4
24
374

- 60
- 4
+ 16
- 278

-

269

197

+

+

794

Loans and discounts
U. S. Govt, obligations
Other securities

*
*
r

Reserves, cash, and
► V bank balances
*
► jfc

r
V r

Member banks
Central reserve Reserve
city
city banks
Total
New York IChicago banks

All
commer­
cial
banks*

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

580 >

58O
-

1,000

-

2,270

370
930
2)270

270

250

- 6,890

- 6,970

6,238

- 8,070
160

- 8,070
- 170

7,308

8,230

8,240

- 7,484

-

+

370

Total assets

987

81

316
86

175
533

- 196
- 1,385

198

83

26

- 259

3,445

- 1,740

- 459
11

3,643

- 1,908
___ 59_

- 1,420

470

- 3,745

1,230

236

- 989
- 5,198

67

349
796
39

- 89
121
- 249
- 11

153
- 752
136
- 383
- 2,534 - 1,619
59
- . 76 +

+

15

•*

►f

63

LIABILITIES & CAPITAL
Y
Gross demand deposits
t Gross time deposits
*r
TOTAL DEPOSITS
Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

-

- 1,849

+

860 +

860 +

838

400

+ 192

+

160 +

86

Other liabilities

+

440 +

380 +

368

198

+

16

+

123 +

31

Total capital accounts

+

40 +

30 +

40

28

+

3

+

6,238

794

Total liabilities
and capital
* V

-

102

Borrowings
4
4

- 1,240 - 1,240
- 1,040 - 1,040
- 5,890 - 5,890
60
70

176

- 1,298
122.

*

- 6,890

- 6,970

Figures have been rounded to nearest 10 million,

r/ Revised.




- 259

17

- 3,445

-

8_

- 1,740

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
FEBRUARY 11, 1959^ TO FEBRUARY 10, i960

G.7
r*

(Partly estimated.

Item

All
banks*

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

All
commer­
cial
banks*

Country
banks

ASSETS
•Loans and investments
**
Loans and discounts
’ * U. S. Govt, obligations
„ Other securities
’Reserves, cash, and
, bank balances

- 1,276

+ I65

164

+ 2,175

+14,330 +12,330 +10,408 + 1,773
- 10,200
- 9,730 - 9,230 - 2,922
- 350 - 260 - 278 - 1 2 7

+ 684
- 584

+ 4,278
- 4,182

- 1,060

950

968

243

580

58O

585 +
124 +

126

260

- 99

453

173

341
24
95
41

+

323
88
31
93

8

152

+

149

116

380

170
170
370

391

630

630

572

263

+ 3,350 + 2,020

504

- 1,256

+

74

465

+ 2,151

160
260

Other assets
Total assets

+65

+ 3,673
- 1,542
+
44

- 47
1 4 - 2
—
+ 10
383
- 60

' Reserve with FR Banks
^ Cash in vault
Balances with banks
* Cash items

*

900

+ 3,780 + 2,340

+

’ LIABILITIES & CAPITAL
Gross demand deposits
1 Sross time deposits
*
TOTAL DEPOSITS

-1,570
+ 1,620

1,570

- 2,184
9

- 1,375
- 932

- 269
+ 37

974
139

+
434
+ 1,043

50

960

2,175

2,307

232

1,113

+ 1,477

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

1,034
- 1,030 - 1,030
470
- 470
499
1,520
990 - 990
878
+ 2,540 +1,530 +

- 804
- 292
- 1,054
157

+

48
42

200

186
44

596
52

+
18
+
100
+
316
+ 1,043

* Borrowings
*
Other liabilities

+ 1,220

+

624

+ 283

296

+

75

556 +

341

-

845 +

86

■Total capital accounts
>

Total liabilities
and capital

+

610 +

+ 1,220

790 +

+ 1,290

+ 1,278

660 +

+ 1,100

+ 3,350 + 2,020

+

504

- 1,256

265

5

+

1

+

219

+ 28

+

351.

+

380

465

+ 2,151

+

74

*^ Figures have been rounded to nearest 10 million.
* Note.— Figures for prior dates not entirely comparable with current data because of
changes effective: (1) December 1959, amounts due Federal Reserve Banks represented by
»outstanding drafts, etc., estimated at approximately $400 million in early December and
to range seasonally between $250 and $600 million, were excluded from deposits and in­
cluded with other liabilities; (2) August 1959, nonmember commercial banks in Hawaii
with total deposits of $365 million were added to the series and; (3) April 1959, a
national member bank in Hawaii with total deposits of $220 million was added to the

series.
http://fraser.stlouisfed.org/
Revised.
Federalrj
Reserve
Bank of St. Louis

CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
’G**7
*
1

All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds l/
—*
(Partly estimated.

rM

Item

In pillions of dollars)
Feb*
10
1960

Jan*
13, /
1960?/

2lw7
19.1*
5.3

2U.8

Change to
from —
Jan.
13,
Feb. 11,
1959£./
1960
1959
Feb.

ASSETS
Monetary reserve
Gold stock
’ ^Treasury Currency

- .9
-1.0
+ .1

19.5
5.3

25.7
20.5
5.2
21*6*1
119 .U
100*7
73*9
25*6
1.2
26*0

-U.5
-1.U
-2*9
-2*1
- *8
- .3

+2*5
+13.1+
-10.5
-10.2
- .2
- .2
- .u

mmm*

mmmm
mmmm

5ank credit
" Loans, net
„U. S. Govt, obligations
Commercial and savings banks
Federal Reserve Banks
■* Other
•Other securities

2U8.6
132.8
90*1
63.7
25.U
1*0
25.7

253.1
13U.2
93.0
65*8
26*2
1*0
25*9

’'

273.U

277.9

271*8

-1»*5

+1.5

Eptal deposits adjusted and
currency outside banks

21*1.U

2U5.2

239 .U

-3.8

+2.0

Currency outside banks
^ demand deposits adjusted
*Time deposits adjusted
I Postal savings deposits

28.2
112*3
100*0
*9

28.3
115.9
100*0
*9

28.0
112*9
97.k
1.1

- .1
-3.6
- *1 .
—*

+ .3
- .6
+2.5
- .2

L» S. Government deposits

U.o

5.2

li-5

-1.1

- .5

* At commercial and savings banks
1 £t Federal Reserve Banks

3.6
.U

U.7
.5

U*1

-1*0
- .1

- .5

2*6
.u
2U.8

3.0
.h
2U.2

3.8

- .3
—
+ .6

-1.1
- .3
+1.U

273 .U

277.9

-ii*5

+1.5

Total assets, net

mmmm

LIABILITIES AND CAPITAL

i'breign bank deposits, net
treasury cash
Capital and miscellaneous accounts, net
Total liabilities and capital, net

•7 »
23 .U
271.8

^ 'Figures may not add to totals because of rounding. For description and back figures of
seasonally adjusted data, see July 1957 Bulletin, pp. 828-29. See note on page 3*
L/ Treasury funds included are gold account, Treasury currency account, and Exchange
”■ Stabilization Fund.
/, Revised* Revision of statement released on February 11, I960: Seasonally adjusted
demand deposits adjusted for January 28, 1959, reported as 111*3, should have been
111*5