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FEDERAL RESERVE statistical release For immediate release July 10, 1969 ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES JUNE 25, 1969 H.8 (Partly estimated. All coml. banks ASSETS Loans and investments In millions of dollars) All member banks Reserve city banks New York City of Other City Chicago Country banks 403,190 326,010 57,109 13 918 118,171 136 812 277' 750 53,780 71' 660 230,306 39,151 56,553 45,109 4,331 7,669 10,422 1,350 2,146 87,081 11,471 19,619 87,694 21,999 27,119 77' 160 68 183 20,595 3 111 24 145 20 332 20,960 6,800 16,320 33,080 20,958 5,297 9,412 32,516 3,754 418 574 15,849 1' 136 93 499 1,383 8,530 1,615 2,634 11,366 7,538 3' 171 5,705 3,918 17 320 14 940 4 689 823 4 Q22 497' 670 409 133 82,393 17 852 147 238 161 . 6')() Gross demand deposits Gross time deposits 207,460 199,660 172' 630 157,561 39,610 16 090 7,339 5 218 60,658 59.983 65,023 76 270 TOTAL DEPOSITS 407' 120 330,191 55.700 12 557 120 641 141 293 21,640 6,290 180' 770 198,420 20,532 5,163 147,984 156,512 8, 719 562 30,782 15,637 1,290 147 5,919 5,201 8,199 2,406 50,435 59,601 2,324 2,048 60,848 76,073 Borrow~ngs 18,420 17,264 4,902 1,389 8,654 2,319 Other liabilities 34,110 30,809 15,561 2,441 6,860 5,947 Total capital accounts 38,020 30,869 6,230 1,465 11,083 12,091 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 lJ. <;()/) LIABILITIES & CAPITAL Deposits of banks U. S. Govt. deposits Other demand deposits Other time deposits as of June 30 1969. Loans and investments 1/ 390,400 !/ Excludes total coml. interbank loans. Loans and discounts!/- 263,100 U. S. Govt. obligations 55,900 Other securities 71,400 NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. - 2 CHANGES IN ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES JUNE 18, 1969 TO JUNE 25, 1969 H.8 (Partly estimated. All com1. banks All member banks - 2,440 - 1,955 - 1,110 - 1,120 - 210 - - 3,170 + + Item ASSETS Loans and investments Loans and discounts Govt. obligations Other securities u. s. Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets & Reserve city banks New York City of Other City Chicago - 306 - 54 - 827 - - + 196 157 47 + - 371 188 209 180 195 39 - 474 346 7 - 2,815 ·- 186 - 205 - 1,698 - 726 420 200 - 790 - 3,000 + + 414 152 - 436 - 2,945 + + + + + + - 60 2 6 261 - - 414 17 9 608 - 40 llO 484 392 + + 115 - 40 - 17 8 + 164 - 4,655 - 994 - 528 - 1 744 - 1 389 200 - 861 886 208 - Country banks 768 TOTAL ASSETS/LIABILITIES - 5,410 LIABILITIES In millions of dollars) - - - 100 23 + 63 + - 1,684 + - CAPITAL Gross demand deposits Gross time deposits - 6, 770 540 - - - 5,788 524 - 1,381 234 - - - 347 14 - 2,221 245 - - TOTAL DEPOSITS - 7,310 - 6 312 - 1,615 - 361 - 2 466 - 1 870 - - - + - - 89 332 74 14 ·- 591 852 777 246 - Deposits of banks U. S. Govt. deposits Other demand "'<lepos its Other time deposits 1,590 - 3,680 - 1,490 550 - 1' 526 . 680 - 3,226 - 1,216 516 - 1 '(}34. + - 526 - 235 - 166 826 847 31 - + 278 - 48 + 291 + 405 689 + 359 - 116 + 382 + 64 ;42 - 16 - 3 + 49 + 12 Borrowings + 1' 120 + 926 Other liabilities + 730 + Total capital accounts + 50 + - - 1,839 31 ' - 3 - CHANGES IN ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES JUNE 29, 1968 TO JUNE 25, 1969 H.8 (Partly estimated. In millions of dollars) All coml. banks All member banks +35,630 +28,380 +5,748 +1,070 +10,517 +11,045 +33,170 - 4,824 + 7,284 +27,290 - 4,210 + 5,300 +5,565 - 715 + -898 +1,174 - 412 + 308 +10,868 - 1,612 + 1,261 + 9,683 - 1,470 + 2,832 + 1,826 + 1,053 - 38 + 464 - 383 + 1,011 113 + + 1,610 + 559 - 456 + 111 + 1,298 9 - 347 -1,260 + 113 - 81 +1,190 + + + + + - 210 24 249 19 - 276 382 435 924 + 1,437 + 780 612 - 594 + 3,387 + 2,796 +1,139 + 150 + 501 + 1,006 TOTAL ASSETS/LIABILITIES +40,843 +32,229 +6,849 +1,684 +10,635 +13,062 Item Reserve city banks New York City of Other City Chicago Country banks ASSETS Loans and investments Loans and discounts Govt. obligation~ Other securities u. s. Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 4,015 + 9,101 + 2,390 + 4,811 - 373 -3,256 + 258 + 734 + 1, 771 - 401 + 1,784 + 6,685 TOTAL DEPOSITS +13 116 + 7,201 -3 629 - 92 + 999 + 2,933 + 9,276 - 46 751 + 1,514 + 4,982 + + + Borrowings +10, 289 144 + 2,518 172 350 343 -3,108 50 52 + 151 - 397 + 232 889 41 + + 1,820 + + 9,580 +2,619 + 578 + 4,934 + 1,449 Other liabilities +15,192 +13,718 +7,651 +1, 147 + 2,451 + 2,469 Total capital accounts + 2,246 + + + + Deposits of banks U. S. Govt. deposits Other demand deposits Other time deposits + + 1.730 - 208 103 - 732 + 8,456 - 36 159 + 1,665 + 6,668 688 Seasonally adjusted data, June 29, 1968 to June 30, 1969 (estimated). Loans and investments 1/ +32,600 . . t s _1-/ + , 600 For numbered footnotes, see f~rst page. • Loans and d ~scoun 29 - 4,500 Figures may not add to totals due U.S. Govt. obligations Other securities + 7,500 to rounding. CONSOLIDATED CONDITION STATEMENl' !'OR BAN¥.3 AND 'fH.E HONETARY SYSTEM* All Commercial, Savings, an.d Federal Reserve Banke, and Treasury Currency Funds H.8 (Partly estimated. In billi.ons of dollars) l Change to June 25, 1969 from June 25, I May 28,1 June 29, May 28, June 29 1969 I' 1969 r/1 1968 1969 1968 I Item ! ASSETS I 17.1 17.1 Monetary reserve ... """' .._~,._,__.J>t' 10 . 4 Gold stock Treasury Currency l. 6 .. 8 i! ' 1510.5 Bank credit 10.4 6.7 506.7 -·-'""""""-,.........,.~ Loans, net u. s. 317.0 110.7 Govt. obligations Conunercial and savings banks Federal Reserve Banks Other 5'' = ,' s·~ • c • ·; ,_j "' """ -- j- 82.9 Total assets, net 11:?, 5 i ---"' ' Other securities 311.8 'i i ~ i I 1 i I -- 17.1 -- -- 10.4 --- --- +3.9 +30.9 +5.2 -1.8 +27 .l -1.6 .2 -- - 5.3 + 1.0 - .8 •5 + 8,9 496.7 +3.9 +30 9 +1.0 +17.8 + .2 +2.5 '' -l. 7 6.4 I + •5 + 1.5 + 3.4 +12.9 6.7 I 479.7 l : 289.9 i 115.8 I Y:L 0 5.3.4 .1 82.4 I ; I Ii l ! ! 62.8 52.2 .8 I - 73.9 527.7 523.8 456.3 455.3 438.5 43.7 147.7 264.8 43.5 145.2 266.6 42.3 144.3 251.9 + - 5.1 LIABILITIES AND CAPITAL Total deposits adjusted and currency outs ide banks Currency outs ide banks Demand deposits adjusted 1/ Time deposits adjusted u. s. I 7.4 ! l 6.3 1.5 6.9 .4 5.3 1.1 ·- .6 +1.1 + 1.5 + 1.0 + .5 2.1 .7 58.4 2.2 .8 48.9 + .1 -- Capital and miscellaneous account, net 2.2 .7 60.7 +2.3 .2 +11.8 Total liabilities and capital, net 527.7 523.8 496.7 +3.9 +30.9 7.8 Government deposits At conunercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Seasonal!~ ' -- - adjusted 43.7 43.6 .;£! 40.8 +0.1 Currency outside banks + 2.9 . 150.3 147.4 21145.9 +2.9 Demand deEosits adjusted + 4.4 * Figures may not add to totals becaui:H! of round1.ng. Treasury funds 1.ncluded are gold account, Treasury currency aet:ount~ and Exchange Stabilization Fund. !_/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $150.9 billion on June 25, 1969. JJ June 26, 1968. Figures and comparisons of seasonal adjustments are available only for last Wednesday of the month, ~/ Figures for mutual savings banks were cevised. --