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-FEDERAL RESERVE statistical release *^4LRB^'e FOR IMMEDIATE RELEASE JANUARY 9,1980 H.8 (510) ASSETS AND L I A B I L I T I E S OF DOMESTICALLY CHARTERED COMMERCIAL BANKS 1 / 1 PARTLY ESTIMATED, I N MILLIONS OF DOLLARS! DECEMBER 2 6 , 1 9 7 9 BY SIZE Of ASSFT 1/ BANKS OF SI BILLION ASSETS 1 . TOTAL LOANS AND INVESTMENTS A. SECURITIES, U . S . TREASURY B. OTHER SECURITIES C. INTERBANK LOANS D. OTHER LOANS (1) COMMERCIAL AND INDUSTRIAL 12) ALL OTHER 2 . TOTAL CASH ASSETS A. BALANCES WITH FRB 6. CASH I N VAULT C. BALANCES WITH DEPOSITORY INSTITUTIONS D. CASH ITEMS 3 . OTHER ASSETS 4 . TOTAL A S S E T S / L I A B I L I T I E S TOTAL AND QVPR II BANKS UNDER BILLION 1,143,341 92,522 190,732 62,917 797,170 253,431 543,739 518,275 34,660 68,469 24,751 390,395 151,547 238,848 625,066 57,862 122,263 38,166 406,775 101,884 304,891 146,419 28,402 17,909 37,670 83,358 16,567 7,013 11,736 63,061 11,835 10.896 25,934 62,437 48,041 14,396 61,215 47,636 13,579 1,350,975 649,269 701,706 1,030,614 377,575 203,389 449,650 436,836 180,718 70,111 186,007 593,778 196,857 133,278 263,643 140,535 110,388 30,147 74,058 59,031 15,027 105,769 43,015 62,754 12,754 7,941 4,813 LIABILITIFS 5 . TOTAL DEPOSITS A. DEMAND B. SAVINGS C. TIME 6 . BORROWINGS 7 . OTHER L I A B I L I T I E S 8 . RESIDUAL (ASSETS LESS LIABILITIES! MEMORANDUM: TREASURY TAX AND LOAN NOTES INCLUDED I N BORROWINGS ABOVE I/EXCLUDES U . S . BRANCHES OF FOREIGN BANKS 2/BASED ON TOTAL ASSETS I N DOMESTIC OFFICES AS OF DEC 3 1 , 1 9 7 7 , FOR IMMEDIATE RELEASE JANUARY 9.1980 H.8 <510) MONTHLY SUPPLEMENT ASSETS AND L I A B I L I T I E S OF DOMESTICALLY CHARTERED AND FOREIGN RELATED BANKING INSTITUTIONS ( PARTLY ESTIMATED, I N MILLIONS OF DOLLARS) NOVEMBER 2 8 , 1 9 7 9 1/ ALL COMMERCIAL BANKING INSTITUTIONS DOMESTICALLY CHARTERED COMMERCIAL BANKS FOREIGN RELATED BANKING INSTITUTIONS ASSETS 1,200,853 93,678 190,927 71,794 844,454 287,856 556,594 1,118,030 92,051 189,257 52,573 784,150 248,019 536,129 82,823 1,627 1,670 19,221 60,304 39,837 20,465 176,697 35,610 18,174 60,027 158,091 34*746 18,155 43,709 18,606 864 19 16,318 62,884 61,480 1,404 78,533 59,262 19,271 1,456,084 1,335,381 120,703 1,058,541 384,909 205,923 467,709 1,017,570 365,078 205,047 447,445 40,971 19,831 876 20,264 6 . BORROWINGS 169,545 135,638 33,907 7 . OTHER LIABILITIES 122,179 78,523 43r656 8 . RESIDUAL 1ASSETS LESS 105,815 103,651 2,164 1 . TOTAL LOANS AND INVESTMENTS A. SECURITIES, U . S . TREASURY B. OTHER SECURITIES C. INTERBANK LOANS 0. OTHER LOANS (1) COMMERCIAL AND INDUSTRIAL (2) ALL OTHER 2 . TOTAL CASH ASSETS A. BALANCES WITH FRB B . CASH I N VAULT C . BALANCES WITH DEPOSITORY INSTITUTIONS 0. CASH ITEMS 3 . OTHER ASSETS 4 . TOTAL A S S E T S / L I A B I L I T I E S LIABILITIES 5 . TOTAL DEPOSITS A. DEMAND B. SAVINGS C. TIME LIABILITIES) 1 / DATE SHOWN I S FOR COMMERCIAL BANKS. FOREIGN RE LATEO INSTITUTIONS REPORT AS OF THE LAST DAY OF THE Ml IN MARCH, JUNE, SEPTEMBER, AW) DECEMBER, AND ON THE LAST WEDNESDAY OF THE MONTH I N ALL OTHER MONTI U INCLUDES AGENCIES AND BRANCHES OF FOREIGN BANKS .EDGE ACT CORPORATIONS ENGAGED I N BANKING, AND NEW YORK STATE FOREIGN INVESTfENT COMPANIES.