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RESERVE FEDERAL statistical release > A TJ'Y’ I ^/ For immediate release V""-'.*.., January 1.3, 1967 ■ RESERVt^iJ^ ASSETS AND LIABILEDlE3~t!FALL BANKS IN THE UNITED STATES, DECEMBER 28, 1966 \ J.4 ■Item ■ASSETS Loans and investments Loans and discounts U. S. Govfc. obligations Other securities Reserves, cash, bank balances (Partly estimated. In millions of dollars) alt • All Reserve city banks MAH i ccml. member New York City of banks banks * City banks Chicago Other Country banks £ 96,190 109,139 381,140 321,940 263,673 46,591 11,753 266,580 218,100 183,095 60,420 55,600 :41,6l8 54,i4p 48,240 38,960 35,976 4,834 5,781 8,645 1,495 1,613 69,831 12,916 13,443 68,643 22,373 18,123 2,892 22,305 17,790, 65,660 64,750 57,072 14,085 19,610 6,600 15,290 24,160 19,610 6,470 14,570 24,100 19,605 8,918 23,513 4,867 4n 366 8,44l 11.940 10,930 9,520 2,860 458,740 397,620 330,265 63,536 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 184,340 184,280 154,362 213,750 158,820 128,942 31,645 17,766 ■TOTAL DEPOSITS 398,090 343,100 283,304 49,411 19,080 19,080 17,947 4,862 5,350 5,350 161,070 161,010 132,514 212,590 157,660 127,981 6,218 1,300 24,627 17,266 1,351 333 5,618 4,850 8,187 1,781 46,947 48,987 2,191 1,448 55,322 56,878 2,782 718 Reserve with FR Banks Cash In vault Balances with banks Cash Items Other assets TOTAL ASSBTS/LIABILmES Deposits of banks U> S. Govt, deposits Other demand deposits Other time deposits 1,060 : 7,778 108 1,6o4 2,478 349 1,375 10,445 452 2,696 15,097 122,007 129,625 _ 7,286 4,866 56,612 49,290 58,819 57,020 12,152 105,902 115,839 8,270 8,270 7,914 3,496 918 Other liabilities 15,510 14,250 12,824 5,334 Total capital accounts 36,870 32,000 26,223 5,295 851 1,176 Borrowings 3,512 5,900 2,913 5,725 3,252 3,882 , 2,757 9,441 10,311 V Seasonally adjusted data estimated as of December 31? 1966 Loans and investments l / ...... 310,700 l/ Excludes total coml. interbank loans. Loans and discounts \J>... .. 208,200 Note: Current and month-ago figures L U.S. Govt, obligations.*........ 54.300 reflect adjustments to June 30, 1966 Other securities............. 48.300 benchmarks. JKOTE: 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 30, 1966 TO DECEMBER 28, 1966 J » 4 _____ (Partly estimated. In millions of dollars) All All Reserve city banks All coml. member New York City of banks banks banks City Chicago Other Item 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 Country j banks ft + 6,830 + +2.266 +T79 +1 ,.5^6 + 5,060 + 1,270 + . 500 + 4,64o +3,989 +1,466 + 1,310 +1,263 + 531 + 420 + 380 . + 269 +363 - 31 + 47 + 872 + 679 - 15 + 3,960 + 3,860 +3,508 + 973 +207 +1,573 . + 755 * + 850 + 390 + 730 + 1,990 + 850 + 390 + 64o + 1,980 + 297 + 50 - 268 + 894 + 1 + 13 + 78 +115 + + + + 350 149 153 921 - 70 - 9 + 16 +10,170 +9,080 +3,169 +577 +3,125 +2,209 ' Other assets 6,.370 +5,632 + 847 + 335 + 359 +1,967 60 - 90 TOTAL ASSETS/LIABILITIES +10,700 60 +1.451 , r 1 +1,288 + 84 + 79 | + 199 . + 123 1 + 396 + 37 + 3} LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 7,890 + 2,420 + 7,880 +6,969 + 1,960 +1,659 +2,115 ■( 66 +565 +134 +2,4o6 + 885 +1,883 ^ + 57^ TOTAL DEPOSITS +10,310 + 9,840 +8,628 +2,181 +699 +3,291 +2,457 \ +1,029 +1,215 +4,757 +1,627 + 802 + 38 +1,279 + 62 + 83 +225 +256 +135 + 46 + 656 +1,733 + 856 + 98 • + 296 +1,489 + 574 | 320 + 455 + 942 -196 - + 54 + 79 - 129 - 4l \ 8 - 5 - 12 + 59 * + + + + 1,070 1,310 5,5^0 2,390 + + + + Borrowings + 320 + Other liabilities - 30 Total capital accounts + 100 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 1,070 1,310 5,530 1,930 + 60 - 37 70 + 34 25 - 266 Changes in seasonally adjusted data, November :>0, 1966 to December 31, 1966 (estimated). Loans and investments l /•••••«••••» Loans and discounts T/» •••»••«••* + QOO U*S* Govt• obligations••••••«••••• +1,490 For numbered footnotes, see first page. u 0.11 UUU.( | 1AM W V A A J W -3CHANGES IN ASSETS AND LIABILITIES OF ALL BAMS IN THE UNITED STATES, \ J.4 Itam DECEMBER 31, 1965 TO DECEMBER 28, 1966 (Partly estimated. In millions of dollars) All All Reserve city banks All coml. member New York City of banks banks banks City Chicago Other Country banks ASSETS +18,820 +15,880 +12,096 +1,828 +298 +4,193 +5,777 . +19,634 +16,442 +13,295 +2,851 - 4,596 - 3,947 - 3,374 - 369 + 3,783 + 3,385 + 2,175 - 654 +426 -205 + 77 +4,714 -1,438 + 917 +5,305 -1,362 +1,835 + 3,744 + 3,851 + 4,258 +2,209 +466 +1,158 + 424 . + 1,618 + 1,581 - 1,083 + 1,628 + 18 + 35 +182 +230 + 78 + 465 + 53 + 562 + 437 + 678 - 635 - 56 18 + 43 + 306 + 196 . +4,019 +807 +5,657 +6,398 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits - 466 451 - 133 + 884 +13,359 +11,115 + 7,900 - 743 -151 -171 - 675 +3,543 - 171 +5,272 TOTAL DEPOSITS +12,894 +10,664 + 7,787 + l4l -323 +2,868 +5,101_ + 472 - 55 + 362 - 638 -124 - 14 - 38 -147 - 44i 61 145 +3,515 - 254 - 121 + 204 +5,271 Borrowings + 3,706 + 3,798 + 3,680 +1,509 +563 +1,234 + 375 Other liabilities + 4,723 + 4,166 + 4,117 +2,189 +523 +1,121 + 284 Total capital accounts + 1,935 + 1,728 + 1,297 + 44 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 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits + + 1,618 + 1,619 - 1,021 + 1,635 693 + + 1,613 + 1,279 - 282 + 1,649 625 + 526 - +23,257 +20,356 +16,881 - 356 - 354 - 428 420 + 223 + 230 +13,454 +11,209 +1,079 + 101 + 117 + 912 - 347 - 251 + 383 + 8,002 + 181 - + 638 Changes in seasonally adjusted data. December 31. 1965 to December 31. 1966,(estimated). Loans and investments 1/......... +16,300 Loans and discounts 1/........ +16,200 § Comparisons are with call date figures of the previous year. U.S. Govt, obligations........ - 3,400 Other securities............ .. + 3,500 for numbered footnotes, see first page. Figures may not add to totals because of rounding. i -4CONSOLIDATED COHDITCOH STATEMENT FOB BASKS AHD THE MOOEEABT SISTBf* All Commercial, Savings, and Federal Reserve Banks, the Postal Seringa Sjrstem, and Treasury Currency Funds J.* (Partly estimated. In billions of dollars) --v . Item Dec. 28, 1966 Nov. 30, Dec• 1966 1965 Change t<0 bee. 28,i 1906 :rraa — Nov. 30, itec. 3i, 1966 1965 * Assists Monetary reserve Gold stock Treasury Currency Bank credit Loans, net U* 8. Oort* obligations Commercial and savings banks Federal Reserve Obher Other securities + .1 + .2 1 + .1 - .6 + 7 | 399.8 +7.1 +19.5 . +5.3 +1.2 +16.8 - 1.1 - 4.6 + 3*2 54.1 59.2 43.9 1.3 53.6 242.7 106.7 65.0 4o.8 •9 50.4 + -5 + *3 + 3.8 438.7 431.6 419.1 +7.1 +19.6 19.5 19.4 I3.2 6.3 13.2 6.2 419.2 412.2 259-5 105.6 .254.2 104.4 60.4 43.9 1.2 19.3 +1.3 - .1 1 1 0 Total assets, net LIABILITIES AHD CAPITAL 1 Total deposits adjusted and aurreaey outside banks 388.0 381.7 374.7 +6.3 +13.2 c Currency outside banks Demand deposits adjusted 1/ Tine deposits adjusted Postal savings deposits 38.3 136.9 212.6 .1 38.0 133.4 210.2 + .4 +3*6 +2.4 .1 37.0 138.3 199-1 •3 + 1.3 - 1.4 +13.5 - .2 5.6 4.3 6.4 +1.3 - .8 5.4 .2 5.8 .7 1.8 .8 35-4 +1.3 - .1 - .4 - .4 1.9 .1.2 42.1 4.0 •3 1.8 1.2 42.6 + .1 r .5 + .1 + .4 + 6.7 438.7 431.6 419-1 +7.1 +19.6 , 37.5 132.5 37.3 131.8 2/ 35.4 i/131.7 + .2 + -7 + 2.1 + .8 | V* S. Government deposits At commercial and savings banks At Federal Reserve Banks Poirelgn bank deposits, net Treasuxy cash Capital and mlscellaaeous account, net Total liabilities and capital, net Seasonally adjusted Currency outside banks Demand deposits adjusted JL ____ ___ __ . -- ----- — V —’ _ J"..1 1111' ■1. IMk A W IIIM I I V W I O / lU Q Q J I tmm ln C J L U O Q a I T 6 • goM account, Treasury currency account, and Exchange Stabilisation Fund. 1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual _8ayjjga banka^jtrere fe3S.5 billion QttDecember 28, 1966. Digitized FRASER 2/forDecember 29, 1965. Figures and comparisons of seasonal adjustments are available http://fraser.stlouisfed.org/ only for the last Wednesday of the month. Federal Reserve Bank of St. Louis 1 * | 1!