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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.



-