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FEDERAL

VjSjSmtt*

RESERVE

isti c

January 9, 1963
For immediate release
OP ALL BANKS IN THE UNITED STATES, DECEMBER 26 , 1962

Item
ASSETS
cans and investments
>
Jjoans and discounts
U. S. Govt, obligations
Other securities
!e§erves, cash, and
.bank balances
"Reserve with FR Banks
Cash in vault
Balances with banks
t!ash items

All
banks

All
coml.
banks

Reserve city banks
All
member New York City of
Other
Chicago
City
banks

Country
banks

279,440 234,970 195,195 32,899

8,911

73,145

80,240

139,860 118,524 22,142
72,000 65,870 52,625 6,744

46,768
8,179

44,274
25,520
10,446

34,960

29,240

24,046

4,013

5,340
2,163
1,408

49,440

48,520

42,541

8,600

2,010

17,963

13,968

16,560
4,830
12,960
15,090

16,560
4,700

16,563
3,580

3,617
316

7,261
1,163

12,230
15,030

1,048
54
103

14,600

4,441

805

2,334
7,205

4,637
2,047
5A35
2,149

7,530

6,850

6,088

2,050

194

2,224

1,620

172,480

7,798

226

18,198

)ther assets
►'
TOTAL ASSETS/LIABILITIES

336,410 290,340

243,824 43,549

11,115

93,332

95,828

LIABILITIES & CAPITAL
Jross demand deposits
Bross time deposits

158,700 158,640 134,827 26,312
138,860 97,500 79,585 9,363

6,639
3,047

52,048
30,6l4

49,828
46,561

OTAL DEPOSITS

297,560

256,140 214,412 35,675^

9,686

82,662

86,389

15,670

15,670 14,782 4,244
6,386 1,470
7,020
114,220
136,700
20,857
96,750 79,024 9,104
3,220
3A57
1,331

1,282

1,854

423
4,953

3,028

7,402
2,446
42,339
30,475

2,047
46,071
36,417

224

1,365

237

Deposits of banks
tJ. S. Govt, deposits
*•Other demand deposits
Other time deposits l/
borrowings
)ther liabilities
Potal capital accounts

7,020
136,760

138,110
3,220
7,910

7,200

6,620

2,676

254

2,068

1,622

27,720

23,780

19,635

3,867

951

7,237

7,580

Seasonally adjusted data estimated as of December 31, 1962
227,500
l/ Includes amounts now reported by
Loans and investments 2/...... .
Loans and discounts 2/7.... ...... 134,800
insured mutual savings banks as
' "’U.S. Govt, obligations..........
63,800
demand deposits; formerly, they
Other securities................ 29,000
were reported as time deposits or
other liabilities.
2/ Excludes total coml. interbank loans.
NOTE: Comparability of figures affected by changes in FR membership, mergers, etc.,
and in reserve classifications*



-

2-

CHAUGES IK ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STASES,
NOVEMBER 28, 1962 TO DECEMBER 26, 1962
G.7

4

All
All
coml.
banks r/ banks

Reserve city b:anks
All
New York City of
member :
Other
Chicago
City
banks

and investments

■*6,130

+5,910

+5,576

+2,528

+455

+1 ,881. 4- 712."

Loans and discounts
U. 3* Govt, obligations
Other securities

+5,240
+ 470
+ 420

+5,020
+ 470
+ 420

+4,659
+ 528
+ 389

+2,023
+ 398
+ 107

+311
+138
+ 6

4-1,557
+ 110
+ 214

+ 768
- 118
+ 62

+1,160

+1,070

+ 977

- 263

- 92

+1,082

+ 250

*

+ 480
+ 100
+ 240
+ 340

+ 480
+ 100
+ 150
+ 340

+
+
+
+

479
114
115

+ 94
+ 9
- 87

4- 353
+
87
+ 179
+ 463

+
27
- 26
+
36
+ 213

.

269

+
5
+
44
- 13
- 299

4-

+ 2S0

+

ppi

+

+7,540

+7,230

46,774

+2,345

+377

4-3,025

+1,027

Gross demand deposits
Gross tine deposits

+5,230
+1,830

•M
U
M

45,230
+1,430

+4,843
+1,310

+1,498
+ 431

+155
+ 81

+2,380
+ 505

+ 810 *
+ 293

+7,060

+6,660

46,153

+1,929

+236

+2,885

+1,103

TOTAL DEPOSITS

- 4o
+ 790
+4,470
+1,840

- 4o
+ 790
+4,470
+1,440

- 63
+ 869
44,039
+1,308

- 265
+ 518
4-1,251
+ 425

- 59
+139
+ 74
+ 82

+ 194
+ 455
+1,728
+ 508

+ 67 k
- 243 *
+ 986 ”
+ 293 .

396

+158

+

149

+

Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vaalt
Balances with banks
Cash items
j
Other assets
TOTAL ASSETS/LIABILITIES

-108

80_., +

Ik __

LIABILITIES & CAPITAL

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits 1/

J

+

Country
banks

—Q2_

+

A

65__,

31

Borrowings

+

720

+ 720

+ 73^

+

Other liabilities

- 330

- 250

- 202

+.

2

- 27

-

45

- 132 -

Total capital accounts

+

+ 100

+

+

18

+ 10

+

36

+

90

89

Changes in seasonal^ adjusted data, November 28, to December 31, 1962. (estimated)
Loans and investments 2/.... *•••', +1,800
Loans and discounts 2 / . + 2 , 5 0 0
TJ.S. Govt, obligations......... - 600
Other securities....... ........
- 100
For numbered footnotes, see first page.
r j for
Revised
Digitized
FRASER mutual


savings bank figures for November 28,

1962.

25 "

CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES,
DECEMBER 30, I96I TO DECEMBER 26, 1962
G,7

(partly estimated.

ft
Item;

All
banks

Inmillions of dollars)
Reserve city banks*
AH
All.
member New York City of Other
coml.
Chicago
City
tanks
banks
N

ASSETS
Loans and investments
Loans and discounts
U. S. Govt. obligations
Other securities
Reserves, cash, and
bank *bs*lftnetes
Reserve with FR Banks
Cash in vault
Balance with banks
Cash items
>
Other assets
TOTAL ASSETS/LIABILITIES

Country
banks

+15,596

+2,602

+1,305

+4,580

+7,109

+18,162 +14,935 +12,292
- 715 - 708 - 1,433
+ 5,293 + 5,303 + 4,738

+2,607
-1,118
+1,113

+ 714
+ 122
+ 468

+4,389
-1,550
+1,741

+4,581
+1,113
+1,415

- 7,038

-2,564

- 593

-2,253

-1,627

- 358 - 358 - . 355
+
991 + 1,011 + 767
- 2,196 - 2,194 - 1,169
- 6,364 - 6,371 - 6,280

+ 331
+ 76
- 64
-2,907

+ 159
+ 17
- 68
- 701

- 272
+ 305
- 287
-1,999

+
-

573
369
751.
673

154

-

27

+

20

+ 190

-

29

+11,779 + 8,712

+

11

+ 732

+2,517

+5,452

- 7,346 - 7,139 - 7,343
+17,730 +14,591 +12,125

-3,380
+2,238

- 622
+1,025

-3,392
+4,171

+ 51
+4,692

+10,384 + 7,451 + 4,782

-1,143

+ 403

+ 779

+4,743

- 2,726 - 2,725 - 2,716
+
801 + 808 + 756
- 5,419 - 5,220 - 5,375
+17,728 +14,588 +12,116

-1,243
+ 165
-2,272
+2,207

- 355
+ 49
- 315
+1,025

-1,010
+ 236
-2,647
+4,201

- 107
+ 307
- 140
+4,683

+ 2,738 + 2,749 + 2,719

+1,048

+ 189

+1,284

+ 197
+

+22,740 +19,529

- 7,928

+

- 7,912

204 +

+15,016

161 +

LIABILITIES &; CAPITAL
,Gross demand deposits
Gross time deposits
, TOTAL DEPOSITS
-h

Deposits-of banka
U. S. Govt, deposits
Other demand deposits
Other time deposits 1/
Borrowings

► Other liabilities
Total capital accounts

+

257 +

214

-

79

+

58

+ 214

+ 1,321 +

997

+ 184

+

81

+ 240 / + 492

400 +

+ 1,493

Changes in seasonally adjusted data,
Loans and iirv-esuments 2/..........
(
Loans and discounts 2/.........
U.S. Govt, obligations.........
Other securities.................

December
\+18,000
+13,700
- 900
+ 5,200

For numbered footnotes, see first page.



21

31, 1961 to December 31, 1962 (estimated)
*
Changes for New York and Chicago reflect
increases of 3 hanks 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.

4G.7

CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
ft-p Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
(Partly estimated.

In billions of dollars)
Dec. 26, Nov. 28, Dec. 30,
1962 r/ 1961
1962

Monetary reserve
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

21.5
l6.0
5.6

21.5

307.8

301. 7
164. 9

5.6

i.■

28.9

+6 .2
+4.7
+1.0
+ .5
+ .6

.7
29.X

+ .4

+21.8
+15.6
+ 1.0 '
- .7 ‘
+ 1.8 -*
- .1
+ 5.3

286.0
154.0
102.3
72.7

102.2

103. 3
72.0

- 19 ,
- .9 ,

22.5
16.9
5.6

16.0

169.6

Chawje to Decl 2b»
1962 from —
Nov..28, Dec. 30, 4
1961 »
1962

35.0

71.5
30.1
.7
34.5

329-4

323,0

30M.

+6 .2

+20.9 .

291.0

284. 4

271.8

+6.6

+19. 2

30.7
121.7

30.1
120.5

+ .7
+4.1
+1.8

.*5

30.1
117.5
136.3
■5

+ .7 *
+ 1.1
+17.5
- .1 "

7.6

6.8

6.7

+ .8_ ..

+

.9—

7.0
•6

6.2
.6

6.2

+ .8
+ .1

+
+

.8 "
.1 H

1.4
.4

1 #2

1.5
.4

+ .1

- .1

-1.4

+

30.6
*6

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

138.1

Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net

29.0

.4
30.4

Total liabilities and capital, net

329.4

323.2

120.6

.7

.5

28.1

308.5 . +6.2

.9^4.

+20.9 '

Seasonally adjusted
+ .8
- .1
29.6 2 / 28.7
29.5
Currency outside banks
1
+ 1.7
.
1
+1.7
g/
116.1
I
116.1
117-8
Demand deposits adjusted______
* Figures may not add to totals because of rounding Treasuryfunds included are gold

rPreas'urv' c'urrency account, and Exchange Stabilization Fund,
^

,

including demnd deposits of foreign banfcs

savings banks* were iC-23*^ billion on December 26 1962.
December 27
Digitized 2/
for FRASER
MecS


of mutual

<

1961, figures and comparisons; seasonal adjustments are available only
^ o f thfLnth.
r / Hore*er 28, 1962
raised.