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FEDERAL
* * n t i :>t i c a I

RESERVE

release

January 11,6x966
For immediate release
ASSETS AND LIABILITIES'OF ALL BANKS IN THE UNITED STATES, DECEMBER 29, I965
> J.h

Item

(Partly estimated.
All
All
coml.
banks
banks

In millions of dollars)
Reserve city banks
All
member New York City of Other
Chicago
banks
City

Country
banks

*
*
ASSETS
Loans and investments

360,460

304,150 250,675

44,622

11,240

92,103

102,710 .

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

246,310 201,030 169,422
64,040
58,520 44,390
44,600
50,110
36,863

32,909
5,120
6,593

8,133
1,541
1,566

65,536
13,989
12,578

62,844
23,740
16,126

vReserves, cash, and
* bank balances

58,410

57,430

50,205

11,035

2,458

20,346

16,366 ,

►
^
*
^

18,370
6,030
14,440
19,570

18,370
5,900
13,640
19,520

18,371
4,582
8,194
19,058

3,999
376
251
6,409

1,050
85
155
1,168

7,746
1,402
2,370
8,828

5,576
2,719
5,418
2,653

10,940

9,980

8,716

2,732

428

3.104

2,452..

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

Other assets

371,560. 3Q2,526 .
58,382—

„ TOTAL ASSETS/LIABILITIES

429,810

* LIABILITIES & CAPITAL
^Gross demand deposits
•■Gross time deposits

177,010 176,960 148,501 29,001
199.390 146.810 120,333 18,374.

"TOTAL DEPOSITS
A
Deposits of banks
*• U. S. Govt, deposits
Other demand deposits
Other time deposits

.

14.126 115,553 . 121,528

7,007
5.025

57,276
55,217
45,53a. .... 51».4.QJL-

323,770 268,834 47,375

12,032

100,747

108,680 .

17,440 16,344
17,440
5,270
5,106
5,580
5,580
1,341
155,220 155,170 128,080 22,987
198,160 145,580 119,304 17,777

1,276
359
5,402
4,995

7,679
1,873
45,924
45,271

2,119
1,533
53,767
51,261

376,400

^Borrowings
>
*Other liabilities

6,810

6,810

6,501

2,646

531

2,627

697

11,720

10,750

9,344

3,219

438

3A53

2,534

"'Total capital accounts

34,880

30,230

24,917

5,149

1,125

9,026

9,617.

>■Seasonally adjusted data estimated as of December 31. 1965
294,000
Loans and investments
191,800
Loans and discounts
1/ Excludes total coml. interbank loans■*
U.S. Govt, obligations........
57,600
44,600
Other securities..............
NOTE: 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,
NOVEMBER 24, 1965 TO DECEMBER 29, 1965
J-4
Item

(partly estimated. In millions of dollars)
All
All
Reserve city banks
All
member New York City of
coml.
banks
Chicago Other
banks
banks
City

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

-_*
Country *
banks

i-

+ 7,540 +7,160 - +6,415

+2,700

+182

+2,022

+1,511 - ;

+ 6,940 +6,470
230 - 200
+ . 830 + 890

+2,069
+ 223
+ 408

+409
-110
-117

+2,065
- 209
+ 166

+1,282 *
- 66 «
+ 295 -

+ 2 ,Vf0 +2,390

+5,825
- 162
+ 752

<
537i

+ 85

+

+ 399
+ 68
+
4
+ 466

+
+
+
+

24
7
17
37

+ 161
+ 191
+ 275
- 91

+ 380 *
+ 255 *
- 15
- 83 <

302

+ 105

+ 4

+ 146

+

+9,870

+8,812

+3,742

+271

+2,7CA

V”
+2,095 *.

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+ 7,930 +7,930
+ 1,920 +1,300

+7,196
+1,008

+3,4o 8
+
10

+237
- 39..

+2,117
+ 479

+1,434 - .
+ 558 r
*

TOTAL DEPOSITS

+ 9,850 +9,230

+8,204

+3 ,4l8

+198

+2,596

+

640 + 640
4o - 4o
+ 7,300 +7,300
+ 1,950 +1,330

+ 619
22
+6,577
+1,030

+ 354
+ 472
+2,553
+
39

+ 11
-195
+424
- 42

+ 197
- 251
+2,175
+ 475

+

840 + 84o

+ 810

+

574

+ 71

+

65

+1,992 ^
*
+ 57
- 48 +1,425 ,
+ 558 v
■
♦
1
+ 100 -

540

- 351

- 257

- 6

55

-

33 -

+

+

+

98

+

3 6 £;

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

+
+
+
+

960
650
540
320

+

300 + 320

+10,310

Other liabilities
Total capital accounts

+

+
+
+
+

960
650
460
320

- 370

160 + 170

+2,095

+

+ 964
+ 521
+ 281
+ 329
+

149

937

7

8

+

536

+

Changes in seasonally adjusted data November 24, 1965 to. December 31? 1965 (estimated)
Loans and inves’
tmen'bs 1/.*••••••••* +2,500
For numbered footnotes, see first page
Loans and. discounts 1/* •••••••••• +2,000
U.S. Govt• obligations«•••••••••••
+ 500




-3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
DECEMBER 31, 1964 TO DECEMBER 29, I965
J.4
Item

(Partly estimated. In millions of dollars)
Reserve city banks
All
All
All
coml.
member New York City of
banks
City _ Chicago Other
banks
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

+30,721 +26,774 +22,178 +5,115

+ 678

+7,433

+8,951

+29,636 +25,441 +21,732 +5,608
- 4,739 - 4,471 - 4,327 -1,058
+ 5,823 + 5,804 + 4,774 + 565

+1,031
- 332
- 21

+7,981
-2,337
+1,789

+7,111
- 601
+2,441

- 785

+

92

-1,261

- 578

790 + 269
+
789 + 789 +
98
+ 1,334 + 1,368 + 1,092 +
- 1,788 - 1,812 - 1,145 - 58
- 3,419 - 3,405 - 3,269 -1,095

+
+
+

44
30
21
39

+ 66
+ 337
- 169
-1,494

+
+
-

809 + 191

+

68

+

327

+ 223

- 3,083

+ 1,012

- 3,059

+

- 2,532

924 +

411
627
897
719

+28,649 +24,639 +20,454 +4,522
_

+ 837

+6,500

+8,596

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

- 2,692 - 2,671 - 2,882 -1,469
+22.784 +19,271 +15,993. +3,653

- 199
+ 425

-2,149
_+5J51

+ 936
+6.164

TOTAL DEPOSITS

+20,092 +16,600

+13,110 +2,184

+ 225

+3,602

+7»Q99_.

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

- 1,319 - 1,317 - 1,326 - 254
- 1,190 - 1,183 - 957 - 220
28
14 - 459 - 909
+22,628 +19,113 +15,853 +3,567

- 194
- 40
+
40
+ 419

- 744
- 397
- 959
+5,702

- 135
- 300
+1,369
+6,165

Borrowings

+ 4,110 + 4,131 + 4,020 +1,422

+

327

+1,786

+ 484

Other liabilities

+ 1,763 +1,473

+ 1,308

+ 238

+ 216

+ 574

+ 281

Total capital accounts

+ 2.684 + 2,435 + 2,016

+ 678

+

,±..538

+ 731.

TOTAL ASSETS/LIABILITIES

69

Changes in seasonally adjusted data. December 31. >1964 to December 31. 1965 (estimated)
+26,800
Loans and investments 1/.
# Comparisons are with call date figures
+24,700
Loans and discounts T/.
of the previous year.
- 3,800
U-S- Govt. obligations..
+ 5,900
Other securities........
For numbered footnotes see first page.
Figures may not add to totals because of rounding.



CONSOLIDATED CONDITION STATEMENT FOB BANKS AND THE MONETARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
j.4

_______
Change to Dec. 29,
1965 frcm —
Nov.
24, Dec. 31>
Dec. 29> Nov. 24, Dec. 31,
19.64
1964
1965
1965
1965

(Partly estimated. In billions of dollars)
Item
ASSETS

Monetary roserv®
Gold stock
Treasury Currency
Bank credit
Loans, net
U. S. Govt, obligations
Commercial and savings banka
Federal Reserve Banks
Other
Other securities
Total assets, net

19-3

19*4

20.8

—

13*7
5-6

13.8
5-5

15-4
5-4

- .1

- 1-7
+ .2

396.2

389-0._

365.4 .

+7.2

+30.8

240.2
105.9

234.3
105-4

214.3
106.8

+5-9
+ .4

+26.0
- 1.0

64.0
40-9
-9

64-3
4o.l
l.l

68.8
37-0
1.0

- .2
+ .8
- -1

- 4.7
+ 3.8
- .1

50.1

49-3. _

44.^

+ .8

+ 5-8 .

A-JL_

415-5..

408.3

^86.2

+7.2

+29.4

T70.4

^61.5

?4^.0

+8.9

+2Ll3 _

36-2
135-7
198.I
•3

36.3
128.7
196.2
•3

34.9
132.3
175-5
.4

- .1
+7.0
+2.0

+ 1-4
+ 3-4
+22-6
- .1

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/
Time deposits adjusted
Postal savings deposits
Tj. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital and ^
1 ftwaAPfl account, net
Total liabilities and capital, net
Seasonally adjusted
Currency outside banks
Demand deposits adjusted

6.1

6.5.

7,.6._

5-6
•5

5-6
•9

6.8
.8

1-7
.8
36.5

1-5
.8
38.0

1-7
.6
33-2

.-1-5

Hb 02
+ 3-3 ,

415-5

408.3

386.2

+7-2

+29-4

35-^
131-4

35-3
127-2

!/
33*5
2/125.8

+ .1
+4-2

+ l-9
+ 5-6 .

- ,4..._
- -3
+ .2

- 1.2
- -3

* Figures may not add to totals "because of rounding. T r e a s u r y funds included are
gold account, Treasury currency account, and Exchange Stabilization Fund.
1/ Demand deposits adjusted, including demand deposits of foreign ‘banks and of mutual
savings banks, were $138.0 billion on December 29, 19652/ December 30, 1964. Figures and comparisons of seasonal adjustments are available

only for the last Wednesday of the month.