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FEDERAL
statistic

RESERVE

release
196!

L E
^lRESEgi_
ASSETS AMD LIABILITIES OF ALL BANKS
J.4 (formerly G.7)
(Partly estimated.
t »
All
All
Item
coml.
banks
banks

July 11, 1963
For immediate release

<<?v
wy

IN THE UNITED STATES, JUNE 26, 1963
In millions of dollars)
All
Reserve city banks
member New York City of
Other
banks
City 1/ Chicago

Country
banks 1/

ASSETS
*Loans and investments

287,220 240,750 199,719

32,821

9,129

74,829

82,940

Loans and discounts
" U. S. Govt, obligations
• Other securities

179,460 144,650 122,201
69,650 63,510 50,589
38,110 32,590 26,929

21,355
6,598
4,868

5,593

2,080
1,456

48,293
17,387
9,149

46,960
24,524
11,456

17,391

13,529
4,718
2,065
4,670

► Reserves, cash, and
bank balances
* Reserve with FR Banks
Cash in vault
Balances with banks
- ► Cash items
Other assets
^ TOTAL ASSETS/LIABILITIES
* LIABILITIES & CAPITAL
' ffross demand deposits
Gross time deposits
'TOTAL DEPOSITS
>
Deposits of banks
J * U. S. Govt, deposits
Other demand deposits
Other time deposits

48,690

47,830

41,772

8,749

2,103

16,510

16,510

986

7,135

4,470

16,511
3,422

3,672

4,600
12,580

11,910

7,260

1,055

14,940

14,579

179
4,638

42
159

8,o4o

7,290

6,448

343,950

295,870

155A30

260

916

2,252
6,949

2,179

209

2,274

1,786

247,939

43,749

ii,44i

94,494

98,255

149,000 105,890

155,070 131,493
86,537

25,512
10,291

6,519
3,487

50,321
33,509

49,141
39,250

304,130 260,960 218,030

35,803

10,006

83,830

88,391

14,540
14,540
13,753
10,840
10,840
9,609
130,510 130,450 108,691
148,240 105,130
85,977

4,262

1,219

6,661

1,611

10,036

4,751
3,470

3,742
4o,o64
33,363

44,432
39,108

15,000

2,061
19,444

566

2,076

3,240

^Borrowings

3,000

3,000

2,928

1,286

202

1,171

269

Other liabilities

8,410

7,520

6 ,8 k8

2,731

264

2,065

1,788

28,410

24,390

20,133

3,929

969

7,428

7,807

^ Total capital accounts

Seasonally adjusted data
Loans and investments 2/........
*" Loans and discounts 2j.........
„ U.S. Govt, obligations.........
Other securities............
NOTE:

1/ Beginning with June 1963 country bank
totals have been increased and New York City
figures reduced $525 million incident to a
66,000 change in reserve classification of three
32,600 banks.
2/ Excludes total coml. interbank loans.
Comparability of figures affected by changes in FR membership, mergers, etc.,
and in reserve classifications.




239,400
140,800

-2-

CHANGE3 IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STAGES,
MAY 29, 1963 TO JUNE 26,
J.4 (formerly G.T)
Item

1963

(Partly estimated. In millions of dollars)
Reserve city banks
|
All 7
All
Country
All
member New York City of
coml.
Other
banks 1 /
banks
City 1/ Chicago
banks
banks
A

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

+4,360

+3,827

+706

+297

+1,332

+3,540
+ 530
+ 610

+3,100
+ 600
+ 660

+2,686
+ 566
+ 575

+469

+165

+117

+102

+ 993
+ 200
+ 139

+

970

+ 950

+ 763

-574

+ 19

+

788

+ 530 ..

+
+
+
-

590

+
+
+
-

+
+
+
-

+ 98
+ 20
- 16

+ 15

+ 4o8
+
56
+
88
+ 236

+ 69
+ 138 V
+ 253
+ 70 *

280
450
350

590
280
430
350

590
214

322
363

+120

-676

4

+ 30

- 3
+ 7

.

+1,492
+1,059
+ 216
+ 217

12

+ 150

+ 10^

-.7_

TOTAL ASSETS/LIABILITIES +5,800

+5,460

+4,693

+125

+298

+2,132

+2,138

__ +

••

. + .116—

+ 150

Other assets

4

+4,680

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+5,o 4o
+1,000

+5,040
+ 640

+4,390
+ 536

+424
- 80

+260
- 13

+1,953
+ 267

+1,753
+ 362

TOTAL DEPOSITS

+6,o4o

+5,680

+4,926

+344

+247

+2,220

+2,115

+ 270
+3,780
+ 970
+1,020

+ 270
+3,780
+ 970
+ 660

+ 246
+3,373
+ 752
+ 555

-223

+ 85

+805
-168

+216

- 70

- 4o
- 14

+ 295
+1,290
+ 358
+ 277

+ 89 v
+1,062 4
+ 602 *
+ 362

18

- 6

+ 37

+

- 302

-195

+ 16

- 143

+

51

- 18

- 2

.+,,.... iJl.

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

10

Borrowings

+

Other liabilities

- 310

HPntnl
bs
X'JW pftniJ/
Lf
Vcal ac^G’
'w‘wUn'V
w

+

.

Seasonally adjusted data
*1 m r o c : <
3 Q/
TT <3 ftmrh obli cro/fci-Ons*




60

+

10

- 290
+

60

+

+

4o

53

20 ,

....+ ._5i^

For numbered footnotes, see first,page.
+4,600
+2,000
+1,900
+ 700

«

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
JUNE 30, 1962 TO JUNE 26,1963
J.4 (formerly G.7)
A___. ___
Item
*

(Partly estimated. In
_
All
All
coml.
banks *
banks *

millions of dollars)
_______________
Reserve city banks**
All
member New York City of Other
banks *
City 1/ Chicago

Country
banks 1/

ASSETS

lioans and investments
%
Loans and discounts
' U. S. Govt, obligations
* Other securities

+16,222

+2,425

+1,192

+4,684

+7,921

+19,337 +15,457 +12,989
- 1,072 - 933 - 1,476
+ 5,413 + 5,556 + 4,710

+2,131
-l,06l
+1,355

+ 921
+ 144
+ 127

+4,469
-1,240
+1,455

+5,468
+ 681
+1,771

■Reserves, cash, and
► bank balances

-

898 - 1,081

- 803

+ 210

- 211

- 277

Reserve with FR Banks
4 Cash in vault
Balance with banks
Cash items

- 329 - 329 - 328
+ 1,283 + 1,285 + 1,023
90
91
71
- 1,786 - 1,783 - 1,685

+ 177
+
95
- 14
-1,062

+
+
+
+

+
-

305
627

78

- 271
+ 291
+ 84
- 315

439

+ 217

+ . 30

+ 136

+

56

+21 d i 2.

+15,580

+1,839
-

+1^32

+4,609

+7,700

+ 2,325 + 2,331
+16,619 +13,331

+
949
+11,024

-1,219
+1,983

+ 326
+ 870

- 572
+3,771

+2,4l4
+4,399

+15,662

+11,973

+ 764

+1,196

+3,199

+6,8l4

- 386 - 385 - 393
+
999 + 1,005 + 6l4
+ 1,665 + 1,665 + 677
+16,667 +13,3T9 +11,076

- 465
+
90
- 852
+1,991

+
73
+
15
+ 231
+ 877

- 36
- 35
- 537
+3,807

+ 34
+ 543
+1,836
+4,401

+ 2,204 + 2,214 + 2,193

+

905

+

+

931

+ 189

459

+

l

+ 252

+ 213

954

+ 168

+

+ 484

r

+23,678

+20,080

922 -

70

11
50

212
387

*

Other assets
TOTAL ASSETS/LIABILITIES
LIABILITIES & CAPITAL
%
Gross demand deposits
Gross time deposits
->
TOTAL DEPOSITS
*
> Deposits of banks
U. S. Govt, deposits
1 Other demand deposits
i Other time deposits
borrowings
*■
Other liabilities
■V
-Total capital accounts

+

555 +

+18,9^

+

790 +

468 +

567 +

+ 1,374 + 1,207

+

168
7

+

75

227

For numbered footnotes, see first page.
Seasonally adjusted data
* Figures may not add because of rounding.
+19,100 **
^ iibans and" investments 2/.,
Changes for New York and Chicago reflect
Lnftjna end
amount ft £>/. .
+14,200 Increases of 3 banks each on July 28, 1.962.
600 Total assets of the banks added were $526
“ U.S# Govt* obligations*•*«•*•*«•«
Other securities•••«*«••••••*•**• + 5,500 million and $405 million, respectively, on
Aug. 15, 1962, and "other" reserve city banks
were
reduced $931 million.

r



-4CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
J.4 (formerly G.7)

(Partly estimated. In billions of dollars)

Item

Timp
QOy
luxe JW
26, May 29, J
1962
1963
1963

June

1963
from —
June 30,
May 29,
1962
i?6l

ASSETS
Monetary reserve
Gold stock
Treasury Currency
Bank

credit
Loans, net
U. S. Govt, obligations
Commercial and savings banks
Federal Reserve Banka
Other
Other securities
Total assets, net

- .1
- .1

- -7
- -7

293.2
159.5

+5.6
+4.0
+1.0

70.7
29-7
•7
32.7

+ -5
+ .5

+23.9
+17.6
+ .9
- 1.1
+ 1.9

+ .6

+ 5.4

332.9

315.2

+5.5

+23.2

294.9

292.6

274.6

+2.3

+20.3

30.7
115.5
148.2
■5

30.7
114.2

112.1
131.5

+1.3
+1.0

+ .3
+ 3.4
+16.7
- .1

11.9

7.7

10.5

+4.2

+ 1.4

10.8
1.1

7.1
.6

9.8
.6

+3.8
+ .4

+ 1.0
+ .4

1.2

1.2

1.5

21.3
15.7
✓ 5-6

21.4

22.0

15.8

16.4
5.6

317.2
177.1
101.9
69.7

38.1

311.5
173-1
100.9
69.1
31.1
•7
37-5

338.5

31.6

•7

5.6

101.1

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/
Time deposits adjusted
Postal savings deposits
U. S. Government deposits
At commercial and savings bank#
At Federal Reserve Banks

147.2
.5

30.4

.6

- -3

Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net

30.0

31.0

28.3

-1.0

+"l.7

Total liabilities and capital, net

338.5

332.9

315.2

+5.5

+23.2

30.7
117-5

30.6

29- 3 2/
114.0 2/

+ .1
+1.6

+ 1.4
+ 3-5

Seasonally adjusted
Currency outside banks
Demand deposits adjusted

.4

.4

rAl5- 9

.4

*

Figures may not add to totals because of rounding. Treasury funds included are
gold account, Treasury currency account, and Exchange Stabilization Fund.
1/ Demand deposits adjusted, including demand deposits of foreign banks and of
—
mutual savings banks, were $117-4 billion on June 26, 19632/ June 27, 19b2 figures and comparisons; seasonal adjustments are available only

for last Wednesday of the month.



£/ Revised.