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LIBRARY February 8, 1966 For immediate release ifd S ?/ ASSETS AHD LIABILITIES OF J.4 Item ASSETS Loans and Investments Loans and discounts U* S. Govt, obligations Other securities Reserves, cash, and bank balances RESERVE*?^" IN THE UNITED STATES, January 26, 1966 (Partly estimated. In millions of dollars) All "All-Reserve city banks AT1 cool. member New York City of Other banks banks ' City banks Chicago 358,210 Country banks 301,500 247,921 43,410 10,976 24-3,770 198,130 166,717 64,750 59,190 44,809 49,690 44,180 36,395 32,404 4,852 6,154 7,722 1,753 1,501 64,146 14,029 12,512 62,445 24,175 16,228 90,687 102,848 55,230 54,260 47,366 10,l4l 2,274 19,313 15,638 , 18,220 5,630 13,650 17,730 18,220 5,500 12,860 17,680 18,218 4,255 7,633 17,260 3,971 348 234 5,588 1,036 76 127 1,035 7,776 1,269 2,112 8,156 5,435 2,562 5,160 2,481 11,200 10,220 .8,876 2.826 425 3.025 2,600 424,640 365,980 304,163 56,377 13,6T5 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 170,210 170,160 142,172 201,860 148,900 121,983 26,754 18,844 6,$92 4,922 TOTAL DEPOSITS 372,070 319,060 264,155 45,598 .H , 51^ 16,550 16,550 4,030 4,030 150,940 150,890 200,550 147,590 15,485 3,606 124,179 120,885 4,995 718 21,707 18,178 1,246 123 5,257 4,888 7,202 1,413 44,251 45,693 2,042 1,352 52,964 52,126 6,150 6,150 5,873 2,104 638 2,537 594 Other liabilities 11,520 10,540 9,239 3,574 398 2,914 2,353 Total capital accounts 34,900 30,230 24,896 5,101 1,125 9,015 Reserve with FR Banks Cash in vault Balances with banks Cash Items Other assets TOTAL ASSETS/LIABILITIES Deposits of banks U> S. Govt, deposits Other demand deposits Other time deposits Borrowings 113,025 121,086 52,611 45,9^8 56,215 52,269 98,559 108,484 9,655 _ / 1/ Excludes total cool. Interbank loans. Seasonally adjusted data T/umo and "fmrafrhmAYvhA 1/. 9Q7 ooo Tioans find discount;a I/. •••••••••• 195,000 |T,Govt• obligations 57,400 44,600 HOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, DECMBER 29, 19^5 TO JANUARY 26, 1966 Item (Partly estimated. In millions of dollars) Reserve city banks All All All City of New York member coml. Other banks Chicago City banks 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 TOTAL ASSETS/LIABILITIES > -2,75^ -1,212 -264 -l,4l6 + 138 -2,900 + 670 - 420 -2,705 + 419 - 468 - 505 - 268 - 439 -411 +212 - 65 -1,390 + 4o - 66 - 399 + 435 + 102 -3,180 -3,170 -2,839 - 894 -184 .„^pia. - 150 - 400 - 790 -1,840 - 150 - 400 - 780 -1,840 - 153 - 327 - 561 -1,798 28 28 - 17 - 821 - 14 - 9 - 28 -133 + 30 - 133 - 258 - 672 + 260 + 240 + 160 + - 3 . - -5,170 -5,580 -5,433 _ -2,012 -451 -2,528 - 442 -1,061 + 865 94 79 -.128 _ - l4l 157 258 172 -6,800 +2,090 -6,329 +1,650 -2,247 + 470 -415 -103 -2,606 + 4l8 -4,710 -4,679 -1,777 -518 -2,188 - 196 - 890 -1,550 -4,280 +2,390 - 890 -1,550 -4,280 +2,010 - 859 -1,500 -3,901 +1,581 - 275 - 623 -1,280 + 401 - 30 -236 -145 -107 - 477 - 460 -1,673 + 422 - 77' - 181 - 803 + 865 Borrowings - 660 - 660 - 628 - 542 +107 - 90 - 103 Other liabilities - 200 - 210 - 105 + 355 - 40 - 239 - 181 Total capital accounts + Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 1 4=~ TOTAL DEPOSITS -6,800 +2,470 20 unanges in cmajuoucu.uouo aa *7 +3,000 Loans and investments i/........ +3,200 - 200 For numbered footnotes * see first page* - 21 xr — 48 — - I I + 148 . U> O LIABILITIES & CAPITAL Gross demand deposits Gross time deposits Country banks -2,650 -2,250 1 + r1o 4=--q vn j.4 11 ----- — s.-------- I -3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JANUARY 27, 1965 TO JANUARY 26 , 1966 j.4 Item (Partly estimated. In millions of dollars) Reserve city banks All All All member New York City of coml. banks Chicago Other City banks banks Country banks ASSETS +31,330 +27,500 +22,428 +5,139 +731 +6,700 + 9,858 +28,850 + 5,no +24,710 +20,887 +5,831 - 2,330 - 2,488 - 778 + 5,120 + 4,029 + 86 +955 - 97 -127 +6,718 + 7,383 101 -1,512 +1,494 + 2,576 Reserves, cash, and bank balances + 3,270 + 3,250 + 2,905 + 714 +111 + 960 + 1,120 Reserve with FR Banks . Cash in vault Balances with banks Cash* items + 85O + 450 + 450 + 1,520 + 850 + 450 + 430 + 1,520 + 852 + + 372 + + 182 + + 1,499 + Loans and investments Loans and discounts U. S. Govt, obligations Other securities %Other assets TOTAL ASSETS/LIABILITIES LIABILITIES & CAPITAL Gross demand deposits Gross time deposits, ♦TOTAL DEPOSITS Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings ,Other liabilities Total capital accounts Seasonally adjusted data Loans and investments 3/.. Loans and discounts 1/.. U.S. Govt, obligations... Other securities...... . 2,630 - 166 12 + 329 + 92 + 147 + + 686 369 224 302 225 +130 + 368 + 368 +32,170 +26,557 •*£,211 +972 +8,028 +11,346 +22,100 + 7,720 + 6,187 +1,015 +18,570 +15,187 +3,693 +104 +233 +1,425 +4,861 + 3,643 + 6,400 +29,820 +26,290 +21,374 +4,708 +337 +6,286 +10,043 + 147 + 250 + 3,251 + 6,395 - 35 3 510 + 21 + 24 + 78 + 1,470 + 1,420 + 1,224 + 358 +36,070 + 7,720 + + - 860 + 738 860 + 274 280 280 + 5,872 + 7,310 + 7,310 +21,930 +18,400 +15,038 + 264 - 162 +1,037 +3,569 + 67 -139 +181 +228 + 260 - 223 +1,403 +4,846 + 1,750 + 1,750 + 1,687 + 323 +4o6 + 781 + 177 + 1,640 + 1,540 + 1,399 + -544 +150 + 450 + 255 + 2,590 + 2,097 + 636 + 79 + 511 871 + - + 2,860 + For numbered footnotes, see first page. +27,400 +24,800 - 2,500 + 5,100 -4CONSOLUJATED CONDITION STATEMENT FOB BAMS AND THE MONEEARX SXSTS4* All Commercial, Savings, and Federal Reserve Banks, the Postal Sayings System, and Treasury Currency Funds J.4 (partly estimated. Item In billions of dollars) Jan. 26, 1966 Dec. 29, 1965 Jan. 27, 1965 Change to Jan. 26, 1966 from — > Dec. 29, Jan. 27, 1965 1965 ASSETS Monetary reserve Gold stock Treasury Currency Bank credit Loans, net U. S. Oort, obligations Commercial and savings banks Federal Beserve Banks Other Other securities Total assets, net - 1.2 19.4 19-3 20.6 13-7 5.6 13.7 5.6 15.2 5-4 «... 394.1 396.2 360.6 -2.1 +33.5 238.7 105.7 240.2 105.9 210.9 105.1 -1.5 - .2 +27-8 + .6 64.8 40.0 •9 64.0 40.9 •9 67.4 36.7 1.0 + -7 - -9 — - 2.6 + 3.3 - .1 49.7 50.1 44.6 - .4 + 5-1 413-5 415-5 381.1 -2.0 +32-3 369.6 370.4 339-8 -.3 +29.8 35.5 ■ 133.2 200.5 •3 36.2 135.7 198.1 •3 33-4 127-4 178.6 .4 " -7 -2.4 +2.4 -- + 2.1 + 5-8 +21.9 - .1 4.8 6 .1 5*2 -1.3 - .4 4.0 •7 1.6 .8 36.7 5.6 •5 1-7 .8 36.5' 4-3 •9 -1.6 + .2 - -3 - .2 1-5 •7 34.0 - .1 — .+ .2 + .1 + .2 + 2-7 413.5 415-5 381.1 -2.0 +32.3 -1*5 + .2 * LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits 1J. S. Government deposits At commercial and savings banks At Federal Beserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Total liabilities and capital, net Seasonally adjusted + .6 + 2.1 36.0 35.4 Currency outside banks 33-9 124.8 _ Demand deposits adjusted 130.5 ., JL.., U L T * Figures may not add to totals because of rounding. Treasury funds Included are gold account, Treasury currency account, and Exchange Stabilization Fund. Demand deposits adjusted, Including demand deposits of foreign banks and of mutual Digitized1/ for FRASER http://fraser.stlouisfed.org/ savings banks, vere $ 135• 5 billion on January 26, 1966. Federal Reserve Bank of St. Louis *