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FEDERAL

.

-=

.

RESERVE

·statistical

release
FOR

RELEASE
JULY lOt 1973

I~MEDIATE

ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES
~ILLIONS

OF DOLLARS)

ALL
COML.
BANKS

ALL
"'EMBER
BANKS

623.480

485,924

79t227

24e4l0

177t378

204,909

447,880
56,900
118,700

357,015
40t595
88 '314

65t510
4e343
9t374

19t629
lt462
3e319

ll5t447
12t698
29t233

136,429
22,092
46t388

90 .. 970

17t032

18t785

3t332

29t442

25,473

24,820
9,540
25,950
30,660

24t819
7t219
15.362
29,632

4t860
588
4t376
8t961

lt258
144
232
lt698

9t626
2t246
3t962
l3t608

9t075
4,241
6,792
5,365

Ji,920

26t446

7t059

ltl78

9t795

8,414

746,370

589t402

l05t071

28t920

216t615

238,796

GROSS DEMAND DEPOSITS
GROSS TIME DEPOSITS

260,390
346.310

207,097
265,954

41 t6l4
35t331

8t584
12t686

73t579
95t997

_121~940

TOTAL DEPCSITS

606 700

473t051

76t945

2lt270

l69t576

205,260

32,060
10,930
223,730
339,980

29t990
8t 175
173t886
260,400

l4t776
ltl95
28t336
32t6l8

lt807
535
6t899
l2t029

9t896
3t339
fllt972
94t369

3e5ll
3,706
76,679
121.3b4

BORROifiNGS

48,810

45t624

11•586

4t432

22tl99

7,407

OTHER LIAAILITIF.S

36,610

2Rt309

Rt366

l-.296

9t713

8,934

TOTAL CAPITAL

54,250

4?t41A

8,114

lt922

l5tl27

17' t95

CPARTLY ESTIMATED. IN

NE~

JUNE 27, 1973
RLSERVE CITY BANKS 1/
YORK CITY OF
OTHER
CHICAGO

COUNTRY
BANKS j /

"~~~

LOANS AND It.IVESTMENTS
LOANS AND DISCOUNTS
U,S, TREASURY SECURITIES
OTHER SECURITIES
RESERVES, CISHt AND
BANK BALANCES
RESERVES ~ ITH FA BANKS
CASH I"'' VAULT
BALANCES WITH BANKS
CASH ITEMS
OTHER ASSETS
TOTAL ASSETS/LIABILITIES

.:_UABlllllfLL.c.&f! Il&L

DEPOSITS OF BANKS
U.S, GOVT. DEPOSITS
OTHER DEMAND DEPOSITS
OTHER TIME DEPOSITS

ACCOL~TS

83,320

EST !MATED AS OF Jl'NE 30, 1973
LOANS AfliD INVEST~ENTS_:z/
596,600
l/ AS OF NOV. 9, 1972, THE DEFINITIONS OF RESERVE
LOANS AND DI SCOU~ TS 1.1
417,800
CITY AND COUNTRY BANKS· WERE CHANGED (SEE FEDERAL
COMMERCIAL P. I~DUSTRIAL
148,900
RESERVE BULLETIN, NOV. 1972, P. 994). TH!
lJ,S, TREASURY SFCURITIES
60,800
CLASSIFICATIONS EMPLOYED HERE ARE THE SAME AS
OTHER SECURITIES
118,000
THOSE PRIOR TO THE CHANGE IN DEFINITIONS, SO THESE
PLUS LOANS SOLD OUTRJr,HT
SERIES ARE CONTINUOUS OVER TIME.
TO AFFILIATES
LOANS ANO DISCOUNTS 2/
421,300
1/ EXCLUDES DOMESTIC COMMERCIAL INTERBANK LOANS.
COMIIIERCIAL & INDUSTRIAL
151,100

S.U.SOMAJ.U....JIWUSif.C_




NOTE:

COMPARABILITY OF FIGURES AFFECTED Bt CHANGES
IN MJ!MBERSHIP, MERGERS, ETC.

- 2CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banks,
and Treasury Currency Funds

H.8

(Partly estimated.

In billions of dollars)
June 27, May 30,

Item

1973

1973

June 30,

1972

Change to June 2 7,
1973 fran -May 30, June 30
1973
1972

ASSETS
Monetary reserve
Gold stock
Special Drawing Rights certificates
Treasury Currency

19.3
10.4
.4
8.5

19.3
10.4
.4
8.5

756.7

----

750.0

18.9
10.4
.4
8.1
677.4

+ 6.7

+79.3

476.4
137.8

469.8
137.9

406.8
137.6

+ 6.6
.2

+69.6
+ .2

60.4
74.4
2.9

61.0
73.9
2.9

63.7
71.3
2.6

+

-

.6
.5

--

- 3.3
+ 3.1
+ .4

142.6

142.3

133.0

+

.3

+ 9 6

776.1

769.3

696.3

+ 6.8

+79.8

686.6

683.9

614.8

+ 2.8

+71.8

58.0
193.1
435.6
14.5

57.5
191.3
435.0
10.6

55.1
180.0
379.7
11.9

+ .5
+ 1.8
+ .5
+ 3.9

+ 2.9
+13.1
+55.9
+ 2.6

10.9
3.6
3.7

6.7
3.9
3.6

9.6
2.3
3.0

+ 4.2
.3
t
.1

+ 1.4
+ 1.2
+ .7

.4
70.9

.4
66.2

--

--

Capital and miscellaneous account, net

.4
70.9

Total liabilities and capital, net

776 1

76Q 1

Bank credit
Loans, net
Treasury securities

u. s.

Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

----

-

+
-t-

.5

---.5

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted
Time deposits adjusted

u.

1/

S. Government deposits
At commercial and savings banks
At Federal Reserve Banks

Foreign bank deposits, net
Treasury cash

Seasonall~

6Q6 1
b/ 28!72

-

--

+ n.R

+ 4.7
+1_Q _g
b/28/7'2.

adjusted
58.0
57.0
53.2
+ 4.8
Currency outside banks
+ 1.0
196.4
194.2
180.7
+15.7
+ 2.2
Demand deposits adjusted
* F1gures may not add to totals because of round1ng. Treasury funds 1ncluded are
gold account, Treasury currency account, and Exchange Stabilization Fund.
l/ Demand deposits adjusted, including demand deposits of foreign banks and of
mutual savings banks, were $198.1 billion onJune 27, 1973.