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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