The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
/ ^ Z l—-<2— 1; / ^L . JO-7 BOARD OF GOVERNORS OP THE FEDERAL RESERVE SYSTEM -rt (For Immediate Release) RAKY February 7, 1961 ® AND LP^LITIES OF ALL BANKS IN THE UNITED STATES, JANUARY 2 5 . 1961 (Partly estimated. '3*1 In millions of dollars) All banks* All commer cial banks* 236,560 197,160 163,240 26,821 6,875 61,879 67,665 l4l,530 68,490 26,540 114,070 62,160 20,930 96,773 49,806 16,661 17,387 7,062 2,372 4,195 1,989 691 38,763 17,568 5,548 36,428 23,187 6,050 44,420 -j& f r o 38,174 7,561 1.814 -1^789 13,010 16,300 3,820 12,620 11,680 16,300 3,700 12,020 11,650 16,296 2,768 7,732 11,378 3.-652 204 151 3,554 920 31 169 694 6,907 833 2,610 5,439 4,817 1,700 4,802 1,691 6,320 5,740 5,093 1,666 120 1,875 1,432 287,300 246,570 206,507 36,048 8,809 79,543 82,107 fiross demand deposits Gross time deposits 144,640 110,280 144,610 73,900 123,369 59,234 24,507 5,472 6,138 1,595 47,988 44,736 22,970 29,197 Total 254,920 218,510 182,603 29,979 7,733 70,958 73,933 16,850 3,570 126,280 108,220 16,850 3,570 126,250 71,840 16,101 3,175 105,990 57,337 5,882 616 19,257 4,224 1,317 143 4,743 1,530 7,346 1,199 39,883 22,530 1,556 1,217 42,107 29,053 600 600 563 99 88 237 139 7,100 6,360 5,877 2 ,401 167 1,926 1,383 24,680 21,100 17,464 3,569 821 6,422 6,652 246,570, 206,507 36,048 8,809 79,543 Item A 4 Member banks Central reserve Reserve Total city banks city New York IChicago banks Country banks S S E T S * JLoans and investments Loans and discounts 5 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 & CAPITAL ...... rf 1 1" “ 1 1 "* 1............ ‘ 11 ■ "" ■ deposits 4 - Deposits of banks , U. S. Govt, deposits Other demand deposits Other time deposits A Borrowings * Pther liabilities Total capital accounts V 4 Total liabilities and capital 287,300 82,107 _ * Figures have been rounded to nearest 10 million. Hou2--Tue comparability of figures in this series is affected by changes in Federal Reserve membership, mergers, etc., and in reserve classifications. CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, . DECEMBER 28, i960 TO JANUARY 25, I9S1 (Partly estimated. In millions of dollars) G.7 All banks* r/ Item All commer cial banks* '* Member banks Central reserve Reserve Total city banks city New York IChicago banks ► Country 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 Other assets * -2,920 -3,150 -2,998 -1,132 -157 -1,329 - -3,860 + 84o + 100 -4,090 + 840 + 100 -3,766 + 608 + 80 -1,345 + •163 + 50 -251 + 85 + 9 -1,481 + 159 7 - 689 * + 281 + 28 , -3,630 -3,530 -3,318 -1,311 -167 ... -1rl48 145 49 8 -1,399 + 9 - 10 + 19 -185 - 227 - 148 + 307 -1,080 - + - 110 - 110 46o - 46o 80 + 20 -2,980 ■ -2,980 - 118 - 375 + 113 -2,938 + - + + 164 + 200 + 190 84 1 30 .. 3G0 - 6.92 ’ -4 ^5 - 168 4 - 205 - 274 + 51 -6,350 -6,490 -6,152 -2,359 -325 -2,447 -1,021 Gross demand deposits Gross time deposits -5,74o + 930 -5,740 + 870 -5,279 + 708. -1,455 -303 + 77 . -1- 22 -2,269 + 284 -1,252 + TOTAL DEPOSITS -4 ,810 -4,870 571. - 360 -2,470 -2,900 + 920 - 360 -2,470 -2,900 + 860 - 351 -2,274 -2,641 + 695 + Borrowings -1,430 -1,430 Other liabilities - - Total assets - LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Total capital accounts Total liabilities and capital * 110 ~- -1,378 -281 113 649 918 76 - 57 -190 - 56 + 22 -X,2S5__. - 927.. * - 28 . - 379 - 864 - 571 -1,014 - 653 > + 272 + 325 -1,410 - 934 - 24 - 392 - 169 - 66 - 28 - 65 10 2 + 19 + -6,490 -6,152 180 + 8 r> 10 - 24 V -6,350 -2,359 -325 -2,447 * Figures have been rounded to nearest 10 million. Kote--See note on first page, r/ December 28, i960 figures for mutual savings banks have been revised. 60 + -1,021 + CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JANUARY 27, 19^0 TO JANUARY 25, 1961 (Partly estimated. In millions of dollars) ♦S.7 Item All commer cial banks* All banks* Member banks Central reserve Reserve city Total city banks banks New York 1Chicago Country 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 Other assets +11,030 + 9,380 +7,731 +2,108 +202 +1,545 +3,876 + 6,670 + '4,520 + 3,650 + 4,180 680 + 710 + +3,206 +3,931 + 594 - 227 +123 +2,081 + 6l + 254’ + 18 + 481 +1,078 - 14 +2,829 + 711 + 336 + 1,260 + 1,200 .. + 1,180 - 1,180 + 200 f 210 + 1,900 + 1,830 340 + 340 + __ + -740 + 710 842 + 187 - 55 + 165 + - 443 + 35 + 566 + 7 + + + 840 139 208 + 101 -1,187 + 200 +1,513 + 316 - 95 + 41 + 53 + 188 + - + + 313 + 33 + 655 90 1 54 18 545 559 125 +13,030 +11,290 +9,228 +2,608 +180 +1,918 +4,522 Gross demand deposits Gross time deposits + 2,860 + 2,860 + 8,510 .7,000 +2,435 + 957 +5,7?8 . +1,221 + 62 +121 + 398 +1.444 +1,018 +2.942 TOTAL DEPOSITS +11,370 f 9,860 +8,163 +2,178 . +183 +1,842 +3.960 +232 + 171 - 143 + 969 +2,963 Total assets LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits + 2,540 - 250 + 960 + 8,120 - 2,540 . +2,401 250 - 158 960 + 545 6,610 ►5,375 . + 978 + 44 + 225 + 931 + 88 +1,020 - 28 - 543 +1,393 - 31 -106 Borrowings - 1,740 - 1,740 -1,712 - 538 -120 - 706 - 348 Other liabilities + 1,760 K 1,720 i-l,64o + + 51 + 480 + 350 Total capital accounts + 1,640 h 1,450.. <-1,137 Total liabilities and capital +13,030 1-11,290 f9,228 * Figures have been rounded to nearest 10 million* Note--See note on first page. 759 + 209_ + 66 +2,608 +180 + 302 +1,918 + S,6o +4,522 4- <» V CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* G.7 All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds 1/ (Partly estimated. Item In billions of dollars) Jan. 25, 1961 Change to Jan. 25, from — Dec. 28, Jan. 27/ • 1961 Dec. 28, Jan. 27, i960 i960 r/ I960 i960 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 22.9 23.2 21*.8 - 17-5 5 -^ 17.8 5A 19.5 5-3 - .1+ - 2.0 + .1 26^.6 llj-1.0 96.1 26s.7 250.2 . ... -2.0 +13.5 1^3 .5 95.7 133.0 91 *3. + .4 68.5 26.7 .8 26.5 67.7 27.2 .8 6^.8 25. if 1.0 25.8 + .8 - .5 — + .1 286.5 288.9 27^. 9 251.5 251.k 2 b 2 . <5 108.2 .8 28.8 1U .5 107,3 .8 2 7 .9 lllj-.O 100.1 .9 i+.l 6 .5 3 .6 •5 6.0 3 .1 3-3 .A 2 6 . k . k - 1.9 + 8.0 + 3-7 + 1-3 - .2 + 1 1 . 6 . LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 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 accounts, net Total liabilities and capital, net 28.0 I l k . 6 . k . k 2 1 . k 91 X 286.5 288.9 — J,--- + 8.6 - .9 + .1 + .9 -- + .1 + .6 + 8.1 - .2 ...a - 2 . k .3 .1 3.8 .6 -2 .5 + .1 - 2.8 - .2 --- .3 -+ 3_i0---. . k 9k . k 21k . 9 + +11 .6- Seasonally adjusted + .1 + .2 28.2 28.1+ 2 8.3 Currency outside banks 111.7 . 110.8 Demand deposits adjusted ------- 112.2 ------a . . .. * Figures may not add to totals because of rounding. For description and bac g seasonally adjusted data, see February i960 Bulletin, PP- 133-136. 1/ Treasury funds included are gold account, Treasury currency account, and Exchange Stabilization Fund. savings banks figures for December 28, I960 have been revised. r/ Mutual