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FEDERAL statistical RESERVE release January 23, 1963 For immediate release ASSETS AM) LIABILiy^^^ALL BANKS IN THE UNITED STATES, JANUARY 9, 19^3 Cr£ly estimated. In millions of dollars) 5.7 *> Item ASSSTS ►Loans and investments Loans and discounts U. S. Govt, obligations ► Other securities Jfteserves, cash, and bank balances ► Reserve with FR Banks Cash in vault Balances with banks Cash items w- All banks 278,210 All coml. banks All member banks 233,590 193,695 Reserve city 1banks New York City of Other City Chicago Country banks 31,938 8,668 72,620 80,469 170,760 138,040 72,500 66,310 29,240 34,950 116,712 52,925 24,058 21,145 6,754 4,039 5,276 1,996 1,396 46,043 18,385 8,192 44,248 25,790 10,431 50,530 49,680 43,271 8,793 2,125 17,693 14,660 16,400 4,64o 13,690 16,398 3,390 3,610 992 45 4,822 2,020 5,650 15,800 16,400 4,510 13,030 15,740 7,590 6,960 8,150 283 196 118 15,333 4,704 970 6,974 1,042 2,186 7,491 6,156 2,067 203 2,177 1,709 336,330 290,230 243,122 42,798 10,996 92,490 96,838 » LIABILITIES & CAPITAL ,Gross demand deposits Gross time deposits 158,520 158,460 134,185 25,657 9 ,444 6,520 3,099 51,402 30,998 50,606 80,469 TOTAL DEPOSITS 298,370 257,020 214,654 35,101 9,619 82,400 87,534 4,622 1,375 8,083 2,094 1,488 47,168 36,784 ►Other assets TOTAL ASSETS/LIABILITIES - Deposits of banks U. S. Govt, deposits Other demand deposits ■* Other time deposits Borrowings 5ther liabilities Total capital accounts NOTE: 139,850 17,160 4,630 98,560 17,160 4,630 137,440 97,790 36,928 20,388 9,169 1,203 4,926 1,515 41,940 2,630 16,174 4,163 114,422 79,895 2 ,58.1. 3,080 150 30,862 1,030 7,620 6,810 6,257 2,617 270 1,825 1,545 27,710 23,770 19,630 3,877 957 7,235 7,561 137,500 139,080 2,630 922 238 Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. r •i 2,168 198 CHANGES IK ASSETS AMD LIABILITIES OF ALL BANKS IN THE UNITED STAKES, DECEMBER 12, 1962 TO JANUARY 9, 1963 G.7 Item (Partly estimated. In millions of dollars) Reserve city 1Danks ‘All All All coml. member Mew York City of Other banks City Chicago banks banks ASSETS Loans and investments Loans aad discounts U. S. Govt, obligations Other securities Reserves, cjash, and bank balances Reserve with. FR Banks Cash in vault Balances with banks Cash items Cmatry banks +2,810 +2,590 +2,186 +550 + 62 + 740 4 834 +1,690 +1,010 + 110 +1,540 + 930 + 120 +1,282 + 794 + 110 +279 +251 + 20 +216 + 244 ;-f 409 + ' 87 4 543 + ..30 + 70 . - .I38 . -46o + 13.. - 82 4 391 170 + + - 170 + 28 - 44 - 36 -408 + 27 + + - i4o 660 660 140 700 660 + + - l66 113 462 653 -131 - 23 + 20 - 34 + : 90 35 + 47 - 184 4 265 4 26 4 - 21 34 4 431 - 27 + 210 + 240 .+.177 .+ 59.. + 20 _ 26 4 124 +3,050 +2,900 +2,225 +149 + 95 + 632 +1,349 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +2,230 +1,780 +2,230 +1,610 +1,689 +i,4oi + 19 +210 + 69 + 73 + 453 + 676 .+1,148 + 442 TOTAL DEPOSITS +4,010 +3,840 +3,090 +229 +142 +1,129 +1,590 +1,460 + 620 + 160 +1,770 +1,460 + 620 + 160 +1,600 +1,351 + 603 - 255 +1 ,391 +356 +239 +191 + 93 + 86 -111 + 74 + + + + 263 4- 4l + 844 + 442 - 366 - 49 - 33 - 220 - - 546 50 - 23 - 304 - 169 Other assets TOTAL ASSETS/LIABILITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings 1 COO CO - 380 Other liabilities - 590 - 610 Total capital accounts + 10 „jL 5£l \ + 47 — -557 _2__ + 639 237 431 684 27 - 64 8 -3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JANUARY 10, 1962 TO JANUARY 9, 19^3 0.7 (Partly estimated. Item All banks In millions of dollars) Reserve city banks* AH All member New York City of Other coml. Chicago City banka Country banks ASSETS ♦Loans and investments Loans and discounts U. S. Govt, obligations Other securities +19,320 +15,2k6 +2,420 +1,215 •*4,213 +7,398 +14,090 +11,349 +2,052 20 40 - 799 - 7^9 + 5,250 + 5,270 + 4,696 +1,117 + 837 57 + ^35 +3,686 -1,168 +1,695 +4,774 +1,175 +1,449 + 235 +22,530 +17,300 •Reserves, cash, and bank balances + 1,290 ‘ Reserve with FR Banka Cash in vault Balance vith banks * Cash items 380 - 384 - 380 238 390 + + 370 + 80 + - iio 39 + i,4io + i,4io + 1,375 Other assets + + 1,3^ 370 + + 390 + 1,268 + 203 295 65 + 279 + 72 9 20 178 - 195 + 45 - 83 + 784 35 + + + 23 226 + + + + - 85 + 19 + 551 + + + 196 165 79 187 190 + 155 +24,190 +21,050 +16,809 +2,538 +1,529 +4,954 +7,788 + 4,510 +17,630 + 4,510 +14,870 + 3,174 + 229 +12,365 +2,288 + 282 +1,047 + 312 +4,200 +2,351 +4,830 “TOTAL DEPOSITS +22,140 +19,380 +15,539 +2,517 +1,329 +4,512 +7,181 y Deposits of banks U. S. Govt, deposits Other demand deposits „ Other time deposits 8 100 + 100 + + 1,260 + 1,260 + 1,204 + 3A50 + 3,150 + 1,979 +17,630 +14,870 +12,364 + 49 + 116 + 116 +1,048 - 120 + 463 - 112 +4,261 + 198 + 234 +1,924 +4,825 TOTAL ASSETS/LIABILITIES LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 250 + 38 + 136 + 46 80 - i 4o - 198 - 429 + 74 + 87 + 70 + 1,490 + 1,330 + 998 + 200 + 88 + 219 Borrowings + Other liabilities + ,Total capital accounts - 135 + 371 + 51 +2,230 480 + 480 + 470 + + 491 ¥* Changes for New York and Chicago reflect Increases of 3 banks each on July 28, 1962. Total assets of the "banks added were $526 million and $405 million, respectively, on Aug. 15 , 1962, and "other" reserve city banks were reduced $931 million. G.7 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial* Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. Item In billions of dollars) Jan. 9> 1963 Dec. 12, Jan. 10, 1962 1962 Change tc> Jan. 9, 1963 i from — Dec. 12, Jan. lO,* 1962 19o2 Assets Monetary reserve Gold stock Treasury Currency Bank credit Loans, net U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities 4 21.5 21.5 22.4 16.0 16.0 16.8 5.6 5.6 5.6 306.6 168.3 304.0 +2.6 +23.6 166.4 103.4 72.5 30.3 71.5 30.7 283.1 151.4 101.9 72.5 28.7 .7 29-7 +1.9 + .6 +1.0 - .4 + .1 +16.9 + 1.5 * < + 1.6 - .1 + 5.3' .6 35.0 102.8 .6 34.8 . “ -9... -__-9 „ 328.2 325,5 395 s.5 • +2.7 +22.7 ^ 291.5 289.2 271.3 +2.3 +20.2 A 30.2 29.2 120.0 - .3 + .8 +1.8 + 1.0 >■ 121.7 139-1 -.5 30.5 120.9 137.3 •5 5.4 4.5 4.0 + .9 4.6 4.0 .5 3-4 .8 + .6 + .3 + l,_5l * + 1-3 + .2 * Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 1.3 .4 29.5 1.3 '.4 30.0 1.3 .4 28.5 Total liabilities and capital, net 328.2 325.5 305.5 Total assets, net LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks 121.4 . .6 .6 + 1'1 * +17.6 + .1 4 +2.7 +22.7 - * Figures may not add to totals because of rounding. Treasury funds included are gold account. Treasury currency account, and Exchange Stabilization Fund. l/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $123-7 billion on January $ , 1963. ^