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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.



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