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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!