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For immediate release January 24, 1967 ASSETS AND LIABILITIES OF ALL BANKS IH THE UNITED STATES, JANUARY 11, 1967 Item ASSETS Loans and investments Loans and discounts U* S* Oort, obligations Other securities Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances vith banks Cash items Other assets (Partly estimated. In millions of dollars) — All""" Ail— Reserve city banks All canl. member Nev York City of Other banks banks ’ City banks Chicago Country banks 380,750 321,350 262,908 45,702 11,600 265,890 217,210 182,197 35,316 60,570 55,750 41,654 4,627 54,290 48,390 39,057 5,759 8,433 1,562 1,605 69,799 12,914 13,472 68,649 22,551 18,221 96,185 109,421 63,060 62,150 54,044 11,492 2,707 21,367 18,478 18,550 6,300 15,850 22,360 18,550 6,170 15,130 22,300 18,546 4,776 8,991 21,731 3,708 385 256 7,143 914 98 405 1,290 7,639 1,476 2,238 10,014 6,285 2,817 6,092 3,284 11,94o 10,930 9,469 2,771 451 3,467 2,780 TOTAL ASSETS/LIABILITIES 455.750 394J+30 326,421 59,965 14,758 121.0l9_ 130,679 . LIABILITIES & CAPITAL Oross demand deposits Gross time deposits 180,270 180,210 149,818 28,491 215,880 160,750 130,560 17,968 6,773 4,979 TOTAL DEPOSITS 396,150 340,960 280,378 46,459 11,752 18,670 18,670 17,407 5,625 3,228 3,590 3,590 513 159,220 159,160 130,187 22,866 214,670 159,54o 129,556 17,^55 1,368 109 5,314 4,961 7,949 1,530 45,861 49,671 2,465 1,076 56,146 57,469 Deposits of banks TJ. S. Govt, deposits Other demand deposits Other time deposits 55.005 50.006 59,549 57,607 105,011 117,156 7,730 7,730 7,411 2,595 986 3,199 631 Other liabilities 1^,930 13,670 12,333 818 3,339 2,593 Total capital accounts 36,940 32,070 26,299 5,583 5,328 1,202 9,470 Borrowings Or '^S'MHORs I 3 R A R Y ' REStRVE-^5- ' CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, II DECEMBER 14/ 1966 TO JANUARY 11, I967 J.4 Item (Partly estimated. In millions of dollars) All All Reserve city banks All coml. City of member New York banks banks banks City Chicago Other ASSETS Loans and Investments Country banks +3,870 +3,350 - +2,740 + 383 +185 +1,047 +1,125 +2,590 + 790 490 +2,170 + 800 + 380 +1,802 + 654 + 284 + 170 + 158 .+ 55 +108 + 57 + 20 + 8o4 + 206 + 37 + 720 • + 233 + 172 * + 410 + 270 -1 ;,166 + 69 + ^33 + + 260 - 30 + 860 - 680 + 260 - 30 + 730 - 690 + 256 - 42 + 497 - 711 211 , -104 36 - 3 - 46 +173 - 873 + 3 + 107 + 6 J + 387 I + 164 4 - 170 - 140 161 + 464 9 - 17 5 - 44 +4,110 +3,480 +2.579 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +1,300 +3,800 +1,200 +3,240 + 625 +2,751 918 + 264 TOTAL DEPOSITS +5/ 100 +^530 +3,376 _ + 730 +1,630 970 710 +3, + 730 +1,630 - 980 +3,150 + 601 +1 ,558 -1 ,459 +2,676 + 292 + 333 -1,518 + 239 + 96 + 81 -194 +248 53 + 938 671 +1,256 Borrowings -• 50 - 50 + 101 - 180 + 33 + 556 Other liabilities -1,070 -1,100 - 991 - 118 - 39 - 631 Total capital accounts + 130 + 100 + + + 22 + 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 — 93 - 150 - 7 w +247 654 19 - 19 +250 + 4o .+1,^36- +1 f8PQ + 162 +1,308 +231 _ +1.470 . 4l +1,400 j + 929 *| +2,329 266 | 206 924 • 933 d 1 - 308 t - 203 + 11 -1 + + + + I * i CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN'THE UNITED STATES, JANUARY 12, '1966 TO JANUARY 11, 1967 J.H Item (Partly estimated. In millions of dollars) Reserve city banks All All Country All coml. member New York City of banks 1 Other banks banks banks City Chicago .............. 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 +20,860 +18,010 +13,795 +1,748 +591 +4,855 +6,601 +20,370 +17,160 +13,695 - 3,800 - 3,060 - 2,463 + 4,290 + 3,910 + 2,563 +2,497 - 120 - 629 +503 + 12 + 76 +4,774 - 942 +1,023 +5,921 -1,413 +2,093 + 2,660 + 2,710 + 2,943 +1,593 +319 + 850 + l8l ! + 820 + 814 + 450 + 362 - 110 + 216 + 1,550 + 1,551 + 677 + 22 5 + 899 - 64 + 18 +273 + 92 + 381 + 146 - 36 + 359 - 180 + 176 - 16 + 201 + 74 + 2 + 522 + 196 j +3,415 +912 +6,227 +6,978 , + 820 + 450 - 170 + 1,560 + 940 + 900 + 79^ +17,532 TOTAL ASSETS/LIABILITIES +24,460 1 . • -1 111.-« 1 + in121,620 1 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 2,220 + 2,210 + 1,953 +15,110 +12,750 + 9,389 +1,227 - 376 + 26 + 93 + 19 +4,160 + 681 +5,512 , TOTAL DEPOSITS +17,330 +14,960 +11,342 + 851 +119 +4,179 +6,193 . + 50 + 670 + 1,490 +15,120 + 373 + 25 + 747 - 294 + 17 + 50 - 53 +105 - 505 + 618 - 18 +4,084 + Deposits of banks U* S. Govt* deposits Other demand deposits Other time deposits + 50 79 + 670 + 724 + 1,480 + 1,285 +12,760 + 9,412 36 + J 1' + 609 +5,517 Borrowings + 1,170 + 1,170 + 1,252 + 85 +375 + 998 - 206 Other liabilities + 3,880 + 3,630 + 3,522 +2,253 +349 + 592 + 328 Total capital accounts + 2,080 + 1,860 + l,4l6 + 226 + 69 + 458 + 663 j •4 CONSOUDATED CONDITION STATEMENT FOR BAMS AND THE MONKEARY SYSTEM* All Commercial, Savings, and Federal Reserve Basics, the Postal Sayings System, and Treasury Currency Funds J.4 (Partly estimated. In billions of dollars) Item Change to Jan. 11, 1967 from — Jan. 11, Dec. 14, Jan. 12, Dec. 14, Jan. 12,' 1966 1966 1966 1966 1967 ASS&TS Monetary reserve Gold stock Treasury Currency Bank credit Loans, net U* S. Oovt* obligations Commercial and savings banka Federal Reserve Banks Other Other securities Total assets, net 1 19.5 19.4 19.3 + .1 + .2 13.2 6.3 13.2 6.3 414.4 13.7 5.6 + .1 - .6 1 + .7 395.3 +4,5 +23.6 239.2 IO6 .I_ 64.4 4o.8 .9 +2.8 +1^ +19.6 - .3 + .8 + .5 — - 3.8 + 3.2 + .3 ! -+ .5 + 4.3 <1 418.9 258.8 105.8 60.6 44.0 1.2 •256.0 104.6 59.8 43.5 1.2 54.3 - 53.8__ 438.4 433.8 ■50.0 +4.6 1 +23.8 1 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks 389.7 ... 386.6 372.8 +3.0 +16.9 . . Currency outside banks Demand deposits adjusted l/ Time deposits adjusted Postal savings deposits 38.0 136.9 214.7 .1 38.4 137.2 211.0 .1 36.0 136.9 199.5 .3 - .4 - .3 +3.7 4.4 2.2 3.7 ... +2.2 + 2.0 - .1 ‘ +15.1 - .2 I 1 + -7 3.6 .8 2.0 .3 2.9 .8 +1.6 + .6 + .7 -- ! 1.8 1.2 41.4 • 1.7 1.2 42.0' TJ. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Total liabilities and capital, net JtafiJt___ 4^.fi \ mmm. 1.6 — .8 35.7 __ ..~ .7__ ..klkJZ +4.6— + .1 * + .4 + 5.6 .. ,^23,8 „! * 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 $139.5 billion on January 11, 1967. \