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FEDERAL
statistica

RESERVE

r ele a s t

M
196] U3
January 9, 1964
For immediate release

...„t.

ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, DECEMBER 25, 1963
(Partly estimated.
All
banks

All
coml.
banks

In millions of dollars)
Reserve city banks
All
member New York City of
Other
Chicago
banks
City

301,270

253,270

209,812

34,811

9,662

78,434

86,905

192,340

155,720

68,560

62,690

23,648
6,077

*tO,370

34,860

131,467
49,326
29,019

5,086

6,276
1,699
1,687

51,947
16,664
9,823

49,596
24,886
12,423

51,910

50,940

44,655

9,061

2,074

18,927.

14,593 -

16,780

16,780

16,776

4,930
13,450
16,750

4,800

12,670
16,690

997
57

16,260

3,872
303
274
4,612

110
910

7,089
1,137
2,4o 4
8,297

4,818
2,164
5,170
2,441

8,440

7,660

6,772

2,208

200

2,472

l,.89.2_

361,620

311,870

261,239

46,080

11,936

..2.2*823

163,370 163,310
156,170 .m , 58o

138,117
91,401

26,174
11,693

6,629
3.812

319,540

274,890

229,518 .37,867

15,890
,7,030
141,240
155,380

15,890
110,790

3,950

•Other liabilities
TPotal capital accounts

Item

ASSETS
"’Loans and investments
-*
k Loans and discounts
U. S. Govt, obligations
* > Other securities
""Reserves, cash, and
► * bank balances
* Reserve with FR Banks
»>j- Cash in vault
Balances with banks
Cash items
-a
Other assets
▼

TOTAL ASSETS/LIABILITIES

3,661
7,958

Country
banks

103,390

T
LIABILITIES & CAPITAL
\ --------------------Gross demand deposits
tJross time deposits
v
TOTAL DEPOSITS
*
Deposits of banks
U. S. Govt, deposits
‘ -» Other demand deposits
^ Other time deposits
borrowings

52,202

53,112
35,141...

40,75.5..

10,441

88,253

9?,.95J_

1,233
402

7,438

1,919

90,806

4,383
1,542
20,537
11,405

5,012
3,794

34,998

40,609

3,950

3,779

1,599

272

1,427

481

.8,910

7,960

7,273

2,643

223

2,450

1,957

29,220

25,070

20,669

3,971

1,000

7,703

7,995

xi

14,973
6,270
117,469

^Seasonally adjusted data estimated as of December 31, 1963
* *> Loans and investments 1/ . . . . .... 246, 300
Loans and discounts 1/......... 150,600 1
U.S. Govt, obligations.........
60,800
1 / Excludes total coml. interbank loans
Other securities............ ..
34,900
NOTE:

Comparability of figures affected by changes in FR membership, mergers, etc.,
classifications.


and in reserve


CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
NOVEMBER 27, 19^3 TO DECEMBER 25, 19^3

Item

(Partly estimated. In millions of dollars)
■ -All" '
ait
Reserve city banks
All
coml.
member New York City of
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

Cotmtry
batnlcs

+4,620

+4,420

+3,996

+1,196

+286

+1,658

+

856

+3,280
+ 700
+ 640

+2,960
+ 720
+ 740

+2,656
+ 679
+ 661

+
+
+

545
443
208

+238
- 32
+ 80

+1,248
+ 192
+ 218

+
+
+

625
76
155

+

570

+

379

-

198

+119

+

4o

+

4l8

+ 710
+ 260
+ 370
- 770

+
+
+
-

708
213
200
742

+ 641
+
4o
+
27
- 906

+130
+ 8
- 49
+ 30

+
+
+

208

+

+

86

_

118

+ 10

+

66

+

740

+ 710
+ 260
+ 540
- 770
+

160

l4o

264

67
29

+ 201
+
98
+ 193
74
+

128

+5,520

+5A 30

+4,46l

+

880

+415

+1,764

+1,402

LIABILITIES & CAPITAL
Gross demand deposits *
Gross time deposits

+5,180
+ 990

+5,180
+ 690

+4,618
+ 585

+1,036
+
24

+334
+ 4

+2,003
+ 359

+1,245
+ 198

TOTAL DEPOSITS

+6,170

+5>870

+5,203

+1,060

+338

+2,362

+1,443

+ 460
+2,420
+2,,320
+ 970

+ 460
+2,420
+2, 320
+ 670

+ 426
+2,256
+1,953
+ 568

101
818
336
7

+ 33

+
+
+

+103
+ 4

+
+
+
+

776
359

+
+
+
+

95
412
738

TOTAL ASSETS/LIABHITIES

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

+198

399

828

198

Borrowings

-

450

-

450

-

465

+

119

+ 61

- .675

+

30

Other liabilities

- 290

-

360

-

340

-

304

+

9

+

27

-

72

Total capital accounts

+

+

70

+

63

+

5

+

7

+

50

+

1

90

Changes in seasonally adjusted data,
Loans and investments 1/.......
Loans and discounts 1/.........
U.S. Govt, obligations...... .
Other securities..............

November 27 to December 31, 1963 (estimated)
+2,300
+1,800
+

For numbered footnotes, see first page.



$00

-3*

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
DECEMBER 28, 19^2 TO DECEMBER 25, 19^3

J.4
> <4

Item

• ■*

ASSETS

All
banks

All
coml.
banks

All
member
banks

Reserve city banks
New York City of
Other
City# Chicago

Country
banks #

+20,873

+17,431 +14,114 +1.822

+705

+5,304

+6,282

+19,518
-4,003
+ 5,358

+15,6l4 +12,830
- 3,744 - 3,642
+ 5,562 + 4,927

+1,694
- 940
+1,069

+858
-430
+278

+5,380
-1,734
+1,658

+4,898
- 539
+1,922

- 3,029

- 3,109

- 2,772

-1,989

-206

- 612

+

* Reserve with FR Banks
, * Cash in vault
Balance with banks
Cash items
-*
Other assets
>

900
+
531
584
- 2 ,076

900 - 904
+
548 +
398
671 - 166
- 2,086 - 2,101

- 249
+
52
6
-1,786

- 74
+ 13
- 11
-135

- 582
+ 116
+
78
- 223

+
1
+ 217
- 227
+
43

+

+

+

+

k > TOTAL ASSETS/LIABILITIES

+18,419

LIABILITIES & CAPITAL
>«►
Gross demand deposits
~Gfc*oss time deposits
‘s
. £0TAL DEPOSITS

•'Loans and investments
«r •
Loans and discounts
' U. S. Govt, obligations
, x Other securities
“Reserves, cash, and
». jbank balances

* Deposits of banks
TJ, S. Govt, deposits
A Other demand deposits
» Other time deposits
-t
■
Borrowings
1 Other liabilities
^ •*
•Total capital accounts

226

34

61

410

+

112

+14,754

+11,751

-

55

+504

+4,919

+6,382

561
+16,447

568
+13,336

- 1,276
+11,327

-2,247
+2,230

-322
+769

- 310
+4,316

+1,603
+4,011

+15,887

+12,768

+10,050

-

18

+448

+4,005

+?i&5

-

- 607
+
81
-1,694
+2,202

- 61
- 13
-252
+774

- 121
75
- 135
+4,336

+
95
4o
+1,551
+4,007

575

432

653
653 60
50
+
156 + 139
+16,44-3 +13,331

+

694
k6
530
+11,320

5

+

315

+

323 +

229 - 129

+ 10

+

39

+

309

+ 1,043

+

688

+

657 +

19

-

5

+

435

+

208

+ 1,174

+

976

+

815 +

73

+ 52

+

44o

+

251

+

Changes in seasonally adj’
usted data, Dec. 31, 1962 (estimated) to Dec. 31, 19^3 (estimated)
# Beginning with June 1963 country bank
+18,200
«* Loans and investments l/.......
totals
have been increased and New York City
Loans and discounts y . .....
+15,900
figures
reduced $525 million incident to a
U.S. Govt, obligations...... ..
- 3,500
change
in
reserve classification of three
** Other securities..............
+ 5,800
banks.
For numbered footnotes, see first page.



CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*

* A-

All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
(partly estimated.

J.4

Item

In billions of dollars)
Change to Dec. 25,
1963 from —
►
Dec. 28, Nov. 27, Dec. 28,
1962
..1963
. 1962 A

Dec. 25,
1963

Nov. 27,
1963

21.1

21.2
15.6

21.5

- .1

16.0

- .1

5.6

5-6

326.9
185.3

+5-2

.6

309.4
170.7
103.7
72.6
30.5
.6

39-7

' 35-0

+ .6

+ 3:?
+ 5.4

348.0

330.9

+5.1

+22.2

ASSETS

4

Monetary reserve

15.5
5.6

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

332.0

188.8
102.9

68.6
33.7
.7
40.4
353.1

101.8

67.9
33-3'

'

-

.4

-

.5

4
+22.6
+18.1
- .8 •
- 4.0 «

+3.5
+1 .1
+ .7
+ .3

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
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net
Total liabilities and capital, net

*

1

K

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks

**

«>1+■20.6
1 m 4|
+ 2.0 .
+ 2.2
+16.4 t
.1 ,

313.2

308.8

292.6

+4.4

32.9
124.5
155.4
•5

32.5
121.4
154.4
.5

30.9
122.3
138.9
•5

+ .4 ■
+3.1
+1.0

7.9

5.6

7.7

+2.4

+

.2

7.0.
.9

4.6
.9

7.1

+2.4
- .1

+

.1 * ’
.3 "■»

1.2

1.2

+ .1

-

.2 "

.4
30.3

.4

1.5
.4

32.1

28.7

-1:8

+ 1.6

353.1

348.0

330.9

+5.1

+22.2

.6

n

■w

■*
Seasonally adjusted
+ 2*0 ^
31.6 • 2/ 29.6
31.6
Currency outside banks
+
1.0
+
3,0 _
^
118
.
0
.
120.0
121.0
Demand deposits adjusted
1
K r
XiUO C*UJU W WWCUD WOUOWOO WA
— ----- --*
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 $126.5 billion on December 25, 1963December 26, 1962,
Digitized2/
for FRASER
http://fraser.stlouisfed.org/
for last Wednesday of
Federal Reserve Bank of St. Louis

figures and comparisons; seasonal adjustments are available only
the month.