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July 10,IS For immediate release ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 24, 1964 J.4 Item r 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 TOTAL ASSETS/LIABILITIES (Partly estimated. All All coml. banks banks All member banks Reserve city banks New York City of Other City Chicago Country banks 308,850 258,650 214,131 36,072 9,^4 80,288 88,307 202,170 163,600 138,128 25,038 64,890 58,820 45,866 5,618 36,230 30,137 5,416 41,790 6,199 1,587 54,588 15,321 10,379 52,303 23,249 12,755 1,678 49,430 48,540 42,451 8,955 2,155 17,556 13,785 16,760 16,760 4,060 994 50 919 6,976 1,113 2,229 7,238 4,734 2,224 4,723 2,104 2,393 233 2,501 1,902 367,040 315,120 263,611 47,420 11,852 100,345 103,994 15,070 15,020 16,764 3,677 7,368 14,642 8,760 7,930 7,029 4,900 12,700 4,770 11,990 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 166,230 l_.119,530 TOTAL DEPOSITS 323,640 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits In millions of dollars) 157,410 157,360 132,765 290 224 4,381 192 98,175 25,398 13,530 6,311 4,068 50,497 37,951 50,559 42,626 276,890 230,940 38,928 10,379 88,448 93,185 13,728 4,292 14,570 14,570 10,120 10,120 9,087 2,030 133,600 133,550 110,655 19,448 165,350 118,650 97,470 13,158 1,156 584 4,598 4,o4l 6,578 3,740 40,351 37,779 1,702 2,733 46,258 42,492 Borrowings 3,540 3,540 3,411 1,507 262 1,333 309 Other liabilities 9,200 8,270 7,467 2,623 199 2,505 2,140 30,660 26,420 21,793 4,362 1,012 8,059 8,360 Total capital accounts . ^Seasonally adjusted data estimated as of June 30, 1964 2/ Loans and investments l/........ 255,100 1/ Excludes total coml. Interbank loans. Loans and discounts 1/... ..... 158,900 2/ Data shown in this release reflect * U.S. Govt, obligations......... 59,900 revision of seasonal factors. Back data Other securities.............. 36,300 and a description of the revisions are available in the June 1964 Federal Reserve Bulletin. NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, MAY 27, 1964 TO JUNE 24, 196k J.4 Item (Partly estimated. In millions of dollars) " H I - -" a i t Reserve city .banks All member New York City of coml. Other banks banks City banks Chicago 196 +1 ,1Q1 . . A +1,104 - 111 + 108 ‘ - 30 _ + 557 + +196 - 12 359 3 13 214 45 ' r-Q + 24 - 42 + — + + + 3 - 18 -6I9 + + 236 1a 1 40 6 - 24 CO on CO* ASSETS Loans and investments k Country banlcs ” V +605 + 70 tliQ&L. +2,463 - 113 + 488 +494 - 1 +112 + 26 - 28 + 72 •f 839 + 27 + 468 -438 + 580 + 588 58 + 90 + + 270 Hh 229 - 4oo - 407 136 - 93 + +3*620 +3,310 + 3,170 + 74 + 46 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +3^50 + 690 +3,450 + 270 +3,121 + 360 +308 + 30 - 3^ - 1 +1,5^9 + 85 +1,298 * + 240 ( TOTAL DEPOSITS +4,i4o +3,720 +3,481 +338 - 35 +1,634 +l,5kk * + 260 +2,700 + 520 + 660 + 260 + 217 +2,700 +2,450 + 520 + 473 + 240 + 341 - 74 +6l4 - 18 +197 + + -222 + 20 -212 - 2 + 983 342 77 20 + 22 + 13 + 77 + 32 - 100 - 430 - 407 -288 - 98 - 21 „ + + 74 + 11 + 27 + 32 - 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 +3,190 +2,930 +2,960 - 260 + 490 +2>740 - 290 + 480 + + + 580 + 90 + 310 - 400 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings - 20 Other liabilities - 540 Total capital accounts + 40 540 160 150 n+hPr V vllvi assets CtOOWwQ TOTAL ASSETS/LIABItlTIES 580 - 40 — + 4 379 ^ 58 < 25 +1,455 232 + + + + 77 656 * 565 _4/► ,' 246 t Changes in seasonally adjusted data, May 27 to June 30, 1964 (estimated) Loans and investments 1/....... Loans and discounts XJ........ U.S. Govt, obligations........ Other securities............. +1,600 +1,600 - 400 + 400 + ! For mnribered footnotes, see first page. -3CHANGES IN ASSETS AMD LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 29, 1963 TO JUNE 24, 1964 (Partly estimated. j.4 ► Item In millions of dollars) All banks All coral. banks All member banks +21,439 +17,636 +14,636 Reserve city banks New York City of Other City# Chicago Country banks # 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 Balance with banks Cash items Other assets +3,225 +382 +5.674 +5,355. +22,456 +18,551 +16,040 +3,592 - 4,818 - 4,722 - ^,533 - 888 + 3,801 + 3,807 + 3,129 + 521 +654 -393 +121 +6,424 -2,005 +1,255 +5,369 -1,247 +1,233 + 19 - 970 - 680 + + + - 207 298 119 942 + - 199 16 28 + - 6l + 12 + 208 - 42 - 2,616 - 2,616 - 2,478 - ,84? + 231 + 231 + 235 + 621 99 + 1,285 + 1,287 + 1,033 + 84l - 831 555 + 15 - 3,300 - 3,292 - 3,191 -1,582 + 321 + 224 + 239 + 20 10 625 467 639 +19,144 +15,245 +12,397 +2,439 +412 +4,912 +4,633 r Gross demand deposits Gross time deposits - 2,383 +16,595 - 2,366 +13,077 - 2,931 +11,252 -1,738 +3,213 -315 +553 -1,398 +4,291 + 520 +3,195 * TOTAL DEPOSITS +14,212 +10,711 + 8,321 +1,474 +238 +2,893 +3,715 Deposits of banks w U. S. Govt, deposits Other demand deposits ^ Other time deposits - 1,023 - 1,186 82 +16,503 - 1,022 1*033 891 - 1,177 74 893 +12,984 +11,137 - 629 81 - 903 +3,087 - 62 - 4 -242 +546 - 3^3 - 121 - 940 +4,297 + 1 - 685 +1,192 +3,207 + 1,977 + 1,995 713 +151 + 926 + 182 - 179 - 15 + 474 + 270 + + 38 + 619 + 466 TOTAL ASSETS/LIABILITIES LIABILITIES & CAPITAL Borrowings ' Other liabilities Total capital accounts + 908 + + 2,048 + 1,971 + 700 + + 1,838 550 + 1,555 431 3AXJUC Changes in seasonally adjusted data, June 30, 1963 (estimated) to June 26, 1964 (estimated) Loans and investments +16,700 # Beginning with the last Wednesday in Loans and discounts +17,200 May 1964 country bank figures were reduced U.S. Govt, obligations - 4,500 and New York City figures increased $1,116 + 4,000 Other securities, million following a change in reserve classification of a bank there. For numbered footnotes, see first page. CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* 4 All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. J.4 In billions of dollars) June 24, 1964 Item ** May 27, 1964 * Change to June 24, 1064 from — A June 29, June 29** May 27, 1963 126.4 . 1964 v ASSETS Monetary reserve Gold stock . Treasury Currency Bank credit Loans, net U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities 21.0 21.0 21.3 15.5 5.6 15.5 5-6 15.7 5.6 — 336.9. 195.9 99.7 65.2 34.0 •5 41.3 318.7 178.3 102.4 +3.7 +2.9 + -3 +2,i..2_. +20.5 - 2.4 * 69.7 32.0 - .3 + .5 •7 38.0 - 4.8 + 2.5 „ - .1 + .5 ... ±JLL_' 358.0 34o .o +3-7 +21.7 340.6 198.8 100.0 64.9 34.5 .6 41.8 361.7 Total assets, net -..-•3 - .3 A mm tm 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 316.9 315.1 296.5 +1.9 +20.5 32.7 118.5 165.3 .4 ro b\V Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits 31.8 115.3 + .3 + .9 + .7 + .8 \ + 3.2 +16.5 v - .1 11.1 8.3 12.1 +2.8 - 1.0 * 10.1 1.0 7.4 .9 11.3 .8 +2.7 + .1 - 1.2 + .2 \ < 1.3 .4 31.9 1.3 .4 32.9 1.3 .4 29,7 361.7 ,_2£8.0 340.0 148.8 .5 + 2.2 _ . _ ± M — .. Seasonally adjusted 2/+ 2.0 + .2 2/30.7 32.5 32.7 Currency outside banks 2/+ 2.9 £7117.6 + 1.1 119.4 120.5 Demand deposits adjusted Figures may xiuu cuxu. uu ------^ ---gold account, Treasury currency account* and Exchange Stabilization Fund. 1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual __sayings banks , were $ 120. 6 billion on June 196^. 2IforJune 26, 1963, figures and Digitized FRASER http://fraser.stlouisfed.org/ last Wednesday of month. Federal Reserve Bank of St. Louis ~ •1 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside batiks * _ , comparisons; seasonal adjustments are available only for