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FEDERAL RESERVE statistica For immediate release January 14, 1969 ASSETS AND LIABILITIES J.4 UNITED STATES, DECEMBER 31, 1968 (Partly estimated. In millions of dollars) Reserve city banks Nev York City of Other Chicago City All banks All coml. banks All member banks 468,600 399,700 324,964 57,201 14,280 119,133 134,350 319,230 68,640 80,730 264,480 64,640 70,580 220,188 48,184 56,592 43,114 5,978 8,109 10,292 1,859 2,129 83,679 14,994 20,460 83,103 25,353 25,894 83,590 82,690 73,305 19,935 3,007 27,965 22,398 21,110 7,430 18,900 36,150 16,660 21,110 7,270 18,260 36,050 15,460 21,109 5,628 11,467 35,101 13,630 4,496 443 517 14,479 4,474 1,164 98 296 1,449 823 8,897 1,784 3,063 14,221 4,738 6,552 3,303 7,591 4,952 3,595 568,850 497,850 411,899 81,610 18,110 151,836 160,343 Gross demand deposits Gross .time deposits 228,180 267,890 228,080 203,740 191,279 163,649 43,227 20,696 8,335 6,193 69,230 62,929 70,487 73,831 TOTAL DEPOSITS 496,070 431,820 354,928 63,923 14,528 132,159 144.318 25,760 5,370 198,630 266,310 25,760 5,370 198,530 202,160 24,389 4,729 163,543 162,267 9,630 960 33,318 20,015 1,548 257 6,543 6,180 10,364 2,142 57,232 62,421 2,847 1,370 66,450 73,651 8,870 8,870 8,454 2,733 682 4,210 829 21,910 42,000 20,410 36,750 18,541 29,976 8,752 6,202 1,462 1,438 4,766 10,701 3,561 11,635 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 Country banks LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities Total capital accounts Seasonally adjusted data T.nana anH ln \re>at"mAn f"S 1/. . Loans and discounts 1/........... U.S. Govt- obligations.... . NOTE: 1/ Excludes total coml. interbank loans. 384,500 252,300 61,700 70,500 Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. -2CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, NOVEMBER 27, 1968 TO DECEMBER 31, 1968 J.4 (Partly estimated. Item ASSETS Loans and investments All A1 1 A11 coml. banks r/ banks In millions of dollars) All member banks Reserve city banks New York City of Other Chicago City Country banks +11,080 +10,770 + 9,349 +2,117 + 622 +4,106 +2,504 + 8,110 + 1,900 + 1,070 + 7,840 + 1,810 + 1,120 + 7,096 + 1,364 + 889 +1,685 + 97 + 335 + + 719 131 34 +3,297 + 703 + 106 +1,395 + 695 •+ 414 + 6,460 + 6,470 + 5,630 +1,692 - 211 +2,162 +1,987 950 + 920 + 2,200 + 4,290 950 + 920 + 2,210 + 4,290 954 + 724 + 1,842 + 4,018 + 382 + 59 + 70 +1,181 + 50 11 301 29 - 942 + 258 + 868 +1,978 - 444 + 396 +1,205 + 830 +1.450 + 1.520 + 1,385 + 732 + 128 + + +18,990 +18,760 +16,364 +4,541 + 539 +6,514 +4,770 Gross demand deposits Gross time deposits +23,530 + 1,250 +23,530 + 1.000 +21,189 + 597 +7,019 - 749 +1 ,314 97 +8,141 + 697 +4,715 + 746 TOTAL DEPOSITS +24,780 +24,530 +21,786 +6,270 +1 ,217 +8,838 +5,461 + 4,000 + 1,790 +17,730 + 1,260 + 4,000 + 1,790 +17,730 + 1,010 + 3,829 + 1,886 +15,460 + 611 +1,634 + 715 +4,643 - 722 + + + - 251 199 867 100 +1,553 +1,198 +5,400 + 687 + 391 - 226 +4,550 + 746 Borrowings - 4,150 - 4,150 - 3,996 -1,181 - 271 -2,231 - 313 Other liabilities > Total capital accounts - 1,880 - 1,870 - 1,663 - 621 - 429 - 222 - 391 + + + + 73 + 22 + 129 + 13 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 - + + 246 : 279 LIABILITIES $ CAPITAL Deposits of banks U* S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments 1/.. Loans and discounts 1^/.. U.S. Govt, obligations... Other securities......... 240 250 + 2,900 + 1,900 + 700 + 300 237 For numbered footnotes, see first page; r/ Figures for mutual savings banks were revised. : CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES DECEMBER 30, 1967 TO DECEMBER 31, 1968 J.4 (Partly estimated. In millions of dollars) Reserve city banks New York City of Other Chicago City All coml. banks All member banks +44,466 +39,797 +31,844 +5,060 +1 ,536 +13,409 +11,839 +31,687 + 1,888 +10,891 +28,526 + 2,167 + 9,103 +23,339 + 1,228 + 7,277 +4,055 49 +1,054 +1 ,069 + 285 + 182 +10,108 + 8,108 664 + 327 + + 2,973 + 3,068 + 4,666 + 4,762 + 4,359 +1,138 + 60 + 1,098 + 2,064 + 835 + 1,317 + 340 + 2,172 + 835 + 1,339 + 442 + 2,145 + 834 + 982 + 650 + 1,893 + + + + 59 4 118 121 + + + + 279 332 153 333 + + + + 785 600 451 227 + 2,345 + 2,279 +2,112 + 217 + 703 + 388 TOTAL ASSETS/LIABILITIES +51,476 +46,838 +38,315 +7^001 +1 ,814 +15,210 +14,291 All banks Item - nmint"rv VjUUilL»JLY 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 290 46 72 +1,454 803 + LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +16,918 +23,650 +16,898 +19,914 +13,856 +15,039 +3,623 - 107 + + 384 159 + 4,853 + 4,996 + 6,821 + 8,166 TOTAL DEPOSITS +40,569 +36,812 +28,895 +3,516 + 543 +11,674 +13,162 2,409 137 +11,563 +15,060 +1,651 - 194 +2,036 + 23 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits + 2,562 138 +14,491 +23,653 2,561 131 +14,464 +19,917 + + + 93 12 293 169 + + + 680 347 3,944 6,703 + + + + 15 277 5,289 8,165 + + 3,024 + 3,093 + 3,084 + 853 + 299 + 1,655 + 277 Other liabilities* + 5,255 + 4,568 + 4,458 +2,144 + 879 + 1,213 + 222 Total capital accounts + 2,629 + 2,366 + 1,878 + 487 + 92 + 669 + 630 Borrowings > Seasonally adiusted data Tn ane TT U • C amA in vofifm p n ffi VJU V 1 / . ■? a r a t - 4 A f l C + ...... w w +38,000 +26,900 + 2,000 + 9,100 NOTE: comparisons are witn c a n aa.ce rigures o r tne previous year. For numbered footnotes, see first page. Figures may not add to totals because of rounding. -4CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds J.4 (Partly estimated. Item In billions of dollars) Dec. 31, 1968 Nov. 27 1968 r/ Change to Dec. 31, 1968 from -Nov. 27, Dec. 30, 1968 Dec. 30, 1967 ASSETS Monetary reserve 17.2 17.2 18.8 10.4 6.8 10.4 6.8 513.0 499.0 12.0 6.8 468.9 +13.9 +44.0 310.6 121.6 299.4 120.0 282.0 117.1 +11.3 + 1.6 +28.6 + 4.6 68.6 52.9 .1 66.7 53.2 .1 66.8 49.1 1.2 + 1.9 - .3 + 1.9 + 3.8 1. 1 80.7 79.7 69.8 + 1.1 +10.9 530.1 516.2 487.7 +14.0 +42.4 472.3 457.6 433.9 +14.7 +38.4 43.5 162.5 266.3 43.5 149.0 265.1 41.1 150.2 242.7 +13.4 + 1.3 + 2.4 +12.3 +23.7 U. S. Government deposits 6.1 4.0 6.6 + 2.1 .6 At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 5.4 .7 3.6 .4 5.5 1. 1 + .3 - 2.5 .8 48.6 2.4 .8 51.5 2.2 1.3 43.7 + .2 + .3 - .6 T^tal liabilities and capital, net 530.1 516.2 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 - 1.6 - 1. 6 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits + 1.8 - 2.9 - .1 .4 + 4.9 487.7 +14.0 +42.4 Seasonally adjusted Currency outside banks 42.6 42.3 2/ 39.6 + .3 + 3.0 Demand deposits adjusted 15J3.8 .2/141.9 + 8.6 147-2 +13.9 Figures may not add to totals because of rounding. Treasury 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 $165.8 billion on December 31, 1968. 2/ December 27, 1967. Figures and comparisons of seasonal adjustments are available only for last Wednesday of month. r/ Figures for mutual savings banks were revised. -