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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.