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7

’>*Cr.^’ L T B R A R ^rfeOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
A.
.,*,
N?f3ty
(For Immediate Release)
January 10, 1961
*ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, DECEMBER 28, i960
(Partly estimated.

In millions of dollars)

All
■banks*

All
commer­
cial
banks*

239,550

200,310

166,238

27,953

7,032

63,208

68,045

145,540
67,670
26,340

118,160
61,320
20,830

100,539
49,118
16,581

18,732
6,899
2,322

4,446
1,904

40,244
17,409
5,555

37,117
22,906
8,022

48,110

47,200

41 ,49:

8,872

1,981

2& 22 L.

l6,in o

12,750
14,660

16,410
4 ,l6o
12,000
14,630

l6 ,4l4
3,143
7,619
14,316

3,507
253
159
>1,953

911
4i
150
879

7,134
981
2,303
6,519

4,862
1,868
5,007
1,965

6,120

-5*55?

1,582

121

1,845

1,381

293,780

253,060

212,659

38,407

9,134

81,990

83,128

»Uro8s demand deposits
^Gross time deposits

150,380
109,440

150,350
73,030

128,648
58,526

25,962
5,395

6,441
JL2 D.

50,257
22,686

45,988
28,872

-ffOTAL DEPOSITS

259,820

223,380

187,174

31,357

8,014

72,943

Deposits of banks
'> U. S. Govt, deposits
Other demand deposits
Other time deposits
-4
borrowings

17,210
6,040
129,180
107,390

17,210
6 ,o4o
129,150
70,980

16,452
5,449
108,631
56,642

5,769
1,265
20,175
4,148

1,374
333
4,799
1,508

7,725
2,063
40,897
22,258

1,584
1,788
42,760
28,728

2,030

2,030

1,973

1,033

112

629

199

7,21+0

6,540

6,046

2,467

195

1,991

1,393

Total capital accounts

24,690

21,110

17,466

....8 l j .

6,427

6,676

Total liabilities
and capital

493,780

9,134

81,990

83,128

Item

Member banks
Central reserve Reserve
Total
city
city banks
New York [ Chicago banks

Country
banks

ASSETS
Loans and investments

fc.

Loans and discounts
U. S. Govt, obligations
Other securities
Reserves, cash, and
* bank balances
•.'_
V •Reserve with FR Banks
'
Cash in vault
"» Balances with banks
Cash items

Other assets
Total assets
• *

4,290

682

LIABILITIES & CAPITAL

—— —

......... —

... ............ LI. .... — ... - I . — , .............

■©ther liabilities

.V

253,060. 212,659

...

2*25°.

38,407

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 classifications
*



-2CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
NOVEMBER 30, i 960 TO DECEMBER 28, i 960

G.7

(Partly estimated.. In millions of dollars)
All
banks*
£/

Item

All
commer­
cial
banks*

Member banks
Central reserve Reserve
Total
city banks
city
New York |Chicago banks

Country
banks

ASSETS
+1+,811-0

+4,620

+4,241

+1,551

+3,450
+ 910
+ 48o

+3,150
+ 940
+ 530

+2,831
+ 894
+ 516

+ 990 +186
+ .280 + 63
+ 281 + 54

+ 971
+ 466
+ 146

+1,430

+1,290

+ 1,108

+

- 59

+

288

- 100
+ 44o
- 180
+1,270

+ 430
- 310
+1,270

-

- 4l4
+1,253

- 240
-110
+
8 1 + 9
91
- 33
+ 742 + 75

+
+
+

175
150
367
330

+ 78 *
+ 126
+ 77
+ 106

-

l4o

■ i4o

-

2

22

+ 27 *

+6,130

+5,770

+5,204

+1,895

+242

+1,849

+1,218

Gross demand deposits
Gross time deposits

+4,130
±i^9Q

+4,130
+1,020

+3,725
+ -82S-

+1,322
+ 113

+ 22

+192

+1,303
+ ..514

+ 908
±.-25£L

TOTAL DEPOSITS

+5,620

+5,150

+4,624

+1,435

+214

+1,817

+1,158 -

130

- 130
+ 4io
+3,890
+ 980

- 156
+ 421
+3,503
+ 856

- 182
+ 285
+1,227
+ 105

- 46
+ 70
+170
+ 20

+
94
+1,243
+ 481

+ 704

+

498

+ 19

+ 195

200

-

31

+ 9

184

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

-

100

+

97

366

145

-

492

148

+303

-

+ 804
+ • 684
+
85 "
+ 35
387

LIABILITIES & CAPITAL

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

-

410
+3,890
+1,450

700

+

700

290

-

190

Total capital accounts

100

+

110

Total liabilities
and capital

+6,130

Borrowings
Other liabilities

-

+5,770

-

+

76

+5,204

-

21

L.

+1,895

+242

* Figures have been rounded to nearest 10 million.
Note--See note on first page,
r/ November 30 figures for mutual savings banks have been revised.



1

+1 ,849

73 ...
28
863 ' *
250 ^

8

l£L

'

“3 "
CHANGES

in assets and liabilities of all banks in the united states ,

DECEMBER 3'1, 1959 TO DECEMBER 28, i960
(Partly estiinated.. In millions of dollars)

Item

All
banks*

All
commercial
banks*

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

Country
banks

ASSETS
+11,719 +10,01*0

+8,359 +2,662

+147

+1,587

+3,963

+ 9,582 + 7,328
+ 1,869 + 2,383
269 + 329
+

+ 5,760 + 611
+2,305 +1,897
+ 291* + 154

+240
- 81
- 12

+1,558
+ 117
- 88

+3,351
+ 371
+ 241

- 302

- 22

-1,274

- 420

+
-

- 398
+ 300
- 121
-1,055

+
+
-

353

+ 41

+

234

+

18

+10,151

+ 8,27^ _ +6*231- +2,6,52— +167

+

547

+3,561

Gross demand deposits
Gross time deposits

—
+ 6,880

- 1,9^3
+ 5,^20

-131
+ 82

■ -1,560
+ 828

+ 46
+2.492

TOTAL DEPOSITS

+ ^,935

+ 3.VT7 • +2.468 +

710. _ - 48

- 7^>

+2,531..

+
117
+ 721
- 2 ,41+2
+ 6,539

+
119
+ 725
- 2,1*1*3
■f 5,077

- 43
+ 157
- 72
+2,495

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

- 2,186

- 2,267

1,522
1,521
+ 1,1^5 + 1,1^8
2^9 - 351
- 1,560 - 1,5^3
+

619 +

601

-2,017

401
-1,518
+ 921 + 102
21 - 31
28
-1,399 +
+

590 + 297

9

8
2
19

711 '
511
133

LIABILITIES & CAPITAL

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

-1,894 _ 249
+4,361 + 959

+
65 + 16
+ 699 + 214
-2,358 - 244
+4,061 + 725

+121
+ 48

- 28
+ 274
-1,771
+ 794

+ 54

-271

128

Borrowings

f 1 ,1*06 f l,M5.

+1,392

+ 801

+ 72

+

391

+

Other liabilities

f 2,036

1,927

+1,871

+ 957

+ 92

+

567

+ 254

Total capital accounts

f- 1,775

f- l,55l*

*1,202

* 189

+ si

+ ^

Total liabilities
and capital

+10,151

4* 8,37^

+6,933

+2,657

+167

+ 547

* Figures may not add because of rounding.
Note--See note on first page.



.............. -

+ 64l_

+3,561

-4 CONSOLIMTED 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)
Dec. 28, Nov. 30} Dec. 31)
.1960
i960 r/
1959

Change to Dec. 28,
i960
from —
Nov. 30> Dec. 31,
I960
.19.52 .

ASSETS
23.2
17.8
5.4

23.3
1 7.9
5 .4

2 4 .8

265.7
,11*3 .7
95.7
67 .7
27.2
.8
26.3

2 61 .9
140.9
9 5 .1
66.8
2 7 .5
.8
2 5 .9

255.4
135.9
93,5...
65.8
26.6
1.0
26.1

+ .5..

289.0

285.2

280.2

+3 .8

+ 8.8

Total deposits adjusted and
currency outside banks

251.5

247.3

246.6

+4 .1

+ 4 .Q

Currency outside banks
Demand deposits adjusted
Time deposits adjusted
Postal savings deposits

28.8
.114.5
107.4
.8

28.7
111.9
105.9
.8

2 9 .4
115.4
100.8
•9

+ .1
+2.6
+1 .5

.6
- .9
+ 6.5
- .2

6 .5

6.1

5 .8

+ *3

+

.6

6.0
.4

5-6
•5

5.3
•5

+ .4
- .1

+
-

.7,
.1

3-3
.4
2 7 .4

3 .1
.4
28„ 2

3.2
.4
?4 .2

+ .2

+

.1

-~~8

+ 3.2

289.0

285.2

280.2

+3 .8

+.8.^6—

28.2
110.8

28.2
110.6

2/ 28.2
2/112.0

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

19.5
5-3

- .1
- .1

- 1.5
- 1.6
+ .1

+^.9
+2.7
+ .6

+1 0.3.......
+ 7-8
+ 2.2 __
+ 1 .9
+ .6
- .2

+ -9
- -3

LIABILITIES AND CAPITAL

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
Seasonally adjusted
Currency outside banks
Demand deposits adjusted

+ .2

2/
2/-1.2

* Figures may not add to totals because of rounding. For description and back figures of jJ
seasonally adjusted data, see February i960 Bulletin, p. 133-3 6 .
1/ Treasury funds included are gold account, Treasury currency account, and Exchange
Stabilization Fund.
•
2 / December 30, 1959 figures and comparisons; seasonal adjustments are available only xor
last
Wednesdays of the month.

r/ November 30 figures for mutual savings banks have been revised. .
V,