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RESERVE

FEDERAL
statistical

release

February 27, 19^3
For immediate release
......

J.T

ASSETS AHD LIABILITIES OF ALL I M S IN THE UNITED STATES, FEBRUARY 13, 1963
(Partly1 estimated. In millions of dollars)
Reserve city banks
All
All
Country
M
L
New
York City of
member
coml.
Item
Other
banks
banks
banks
banks
,CltJL .Chicago

> .
ASSETS
Loans and investments
Loans and discounts
U. S. Govt, obligations
► Other securities
Reserves, cash, and
> bank balances
Reserve with FR Banks
Gash in vault
* Balance® witlt banks
- Cash items
Other assets
TOTAL ASSETS/LIABILITIES

232,420 192,741

31,736

8.678 , I2.».280

170,210 137,370 116,076

20,605
7,008

46,170

4,123

5,130
2,234
1,314

277,200
71,770
35,220

65.540
29,510

52,421
24,244

50,270

49,400

43,153

9,356

16,220

16,220

16,217

17,893

44,171
25,286

8,217

10,590

2,257

17,081

14,459

926

6,681

47
144
1,140

985
2,140
7,275

5,029
1,879
5,174
2,377

2.268

1.7&L-

4,220

3,184

13,060
16,640

12,380
16,580

7,662
16,090

3,581
273
204
5,298

7,860

7,220

6,400

2,178

335,330 289,040 242,294

43,270

11,149 .91,622.

4,350

214 j

96^j£_

LIABILITIES & CAPITAL
Gross demand deposits
£ross time deposits

154,300
141,740

154,240 130,673
100,300 81,953

25,292
9,737

6,394 49,735
3,188 .31*580

TOTAL DEPOSITS

296,040 254,540 212,626

35,029

9,582

8k 2iL

86,700

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

14,600
15,460
15,460
4,720
5,230
5,230
134,360 134,300 111,904
81,402
140,990
99,550

4,544

1,193
259

1,678

19,984
9,430

4,962
3,168

7,082
1,762
41,021
3M50

45,937
37,304

*

Borrowings
Other liabilities
^Total capital accounts

%0T3:

1,021

..

49,252
3lJ£8

1,781

3,o 4o

3,040

2,988

1,392

313

1,071

212

| 8,390

7,550

6,934

2,935

300

1,971

1,728

27,860

23,910

19,746

3,914

954

7,272

7,606

Conrparability of figures affected by changes in FR membership, mergers, etc. ,
and in reserve classifications,




CHANGES IK ASSETS AMD LIABILITIES OP ALL BANKS IN THE UNITED SPATES,
JANUARY 9, 19o3 TO FEBRUARY 13, 1963

U« 1
Item

(Partly
estimated. In millions of dollars)
%
Reserve city banks
|
All
All
Country
All
City
of
member New York
cool.
Other i banks
banks
Chicago
City
banks
j ------- *
banks

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

-1,010

-1,170

- 954

-202

+ 10

- 340

- 550
- 730
+ 270

- 670
- 770
+ 270

636

-540
+254
+ 84

-146

- 504
+ 186

+238
- 82

+ 127
- 492
+ 25

- 422
i
- 77
504
+ 159

- 260

- 280

- 118

+563

+132

- 612

- 201

+

+

+

488
757

- 29
- 10
+ 8
+594

- 66
+ 2
+ 26

- 293
- 57
- 46
- 216

+
+

180

290

630

180

290

650

181
206

-

207
i4i

A
„

^

91

476
209
+ 31

.
"

+ 270

+ 260

+ 244

+111

+170
+ 11

-1,000

-1,190

- 828

+472

+153

- 861

- 592

-4,220
+1,890

-4,220
+1,740

-3,512
+1.484

-365
+293__

+ 89

-126

-l,667
+ 582

-1,354
+ 520

-2,330

-2,480

-2,028

- 72__ ... ~ ji_

-1,085

- 834

-1,700
+ 600
-3,i4o
+1,910

-1,700
+ 600
-3A40
+1,760

-1,574
+ 557
-2,518
+1,507

- 78
-f ^C|
-4o4

+311

-182
+ 21
+ 36
+ 08

-1,001
+ 247
919
+ 588

- 313
+ 196
-1,231 *
+ 520

Borrowings

+ 4io

+ 410

+ 407

+189

+163

+

+

Other liabilities

+ 770

+ 740

+ 677

+318

+ 30

+ l4b

+ 133

Total capital accounts

+ 150

+ l4o

+ 116

+ ,XJ_

.. j

+

+

Other assets
TOTAL ASSEDS/LIABILITIES
LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

840

840

+

J

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




O 'J

-

4l

37

14

45

*

~

3

'

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

lb,

1962 TO .FEBKUAKY 13, 19^3

(Partly estimated.
Item

All
banks

In millions of de.12.ars)
Reserve city banks*
All
All
New
York City of
member
coml.
Other
Chicago
City
banks
banks

Country
banks

ASSETS
+15,407

+2,558

+1,284

+4,525_ i +6 ?970

+17,540 +14,430 +11,739
- 500 - 550 - 1,123
+ 5,360 + 5,390 + 4,791

+2,123
- 739
+1,174

+ 675
+ 176
+ 433

+4,288
-1,386
+1,693

+4,653
+ 826
+1,491

^Reserves, cash, and
bank balances

+ 1,560

+ 1,560

+ 1,423

+

574

+

226

+ 103

+

> Reserve with FR Banks
Cash in vault
Balance with banka
> Cash items

- 360 - 360
330
+
330 +
+
130 + 130
+ 1,460 + 1 ,1*60

- 360
+
212
+ 209
+ 1,362

- 133
+
37
+
47
+ 623

+
+
+
+

6
12
46

162

- 246
+
43
- 40
+ 346

+ 13
+ 120
+ 156
+ 231

’Other assets
>
TOTAL ASSETS/LIABILITIES

+

-

+

47

+ 191

+ 148

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

+22,400 +19,270

44o

+

46o +

374

12

520

+24, too

+21,290 +1.7,204

+3,120

+1,557

+4,889

+7,633

*Gross demand deposits
Gross time deposits

+ 4,520
+17,190

+ 4,520 + 3,333
+l4,44o +12,022

+ 812
+2,241

+ 224
+1,031

+ 153
+4,105

+2,144
+4,645

* TOTAL DEPOSITS

+21,710

+18,960

+15,355

+3,053

+1,255

+4,258

+6,789

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

305
+
400 + 400 +
+
830 + 830 + 835
+ 3,260 + 3,260 + 2,l62
+17,220 +14,470 +12,053

+ 349
+ 297
+ 192
+2,215

50
+ 84
+ 189
+1,032

- 161
+ 319
- 66
+4,l66

+ 167
+ 135
+1,84?
+4,64o
+

LIABILITIES & CAPITAL

57

+

650 +

650 +

639

+

111

+

122

+

349

vOther liabilities

+

510 +

300 +

169

- 253

+

93

+

49

+ 280

► Total capital accounts

+ 1,530

+ i,o4i

+ 209

+

87

+ 233

+ 512

Borrowings

+ 1,380

Changes for New York and Chicago reflect increases of 3 banks each on July 28, l$6c..
Total assets of the banks added were $526 million and $405 million, respectively, on
Aup\ 15 , 1962, and "other" reserve city banks were reduced $931 million.




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
(Partly estimated.

Item

In billions of dollars)
■Feb. 13,
1963

Jan. 9,
1963

Feb. 14,

1962

Change to Feb. 13,
1963
from —
Feb. 14,
Jan/ 9,
196^ .. ASfig—

4

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

21.5

21.6

22.4

15.9
/ 5.6

16.0

16.8

5.6

5.6

305.8

306.6

281.6

167.4
103.2

168.3
103.4

150.5
101.2

71.8

72.5
30.3
.6

72.3

30.7
. .6
35-2

28.2

_

- .!L

- ,.'*2-

- .1

- .9

- ...q_ ,_1;£4.c2—
+16.9
- -9
+ 2.0
- ,3
- .5
- .7
+ 2.6
+ -5
- .1
+ 5.4 + .3

35.0

•7
29.9

327.3

328.2

304.0

- .9_

+23.3

289.2

291.5

269.2

-2.3

+20.0

30.0

30.2

117.7
141.0

121.7
139.1
•5

28.9
115.9

-.3
-4.0
+1.9

+ 1.1 _
+ 1.8
+17.2
- .1

6.0

5-4

4.8

+ .6

+ 1.2

1-

4.6

4.4
.4

+ .6

+
+

.8

*

5.2

1.2

- .1

2812

+ T§

304.0

. - -9

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 banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net
Total liabilities and capital, net ,

.8

.8

1.2

.4
30.4

1.3
»4
29.5

327.3

328:2

123.8
.6

'

.4

A
•
-*

+ 2~2
+23.3 L

* Figures m y not add to totals because of rounding. Treasury funds included are
gold'"account, Treasury currency account, and Exchange Stabilization Fun ,
1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual
savings banks, ware $119-6 billion on February 13, 19&3*



.4