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l ib r a r y July 12, 1965 For immediate release REStRVE-S^ ^ ASSETS AM) LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 30, I965 J.4 Item 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 341,260 286,870 In millions of dollars) ....... .. Reserve city 1banks All I Country member New York City of Other banks banks Chicago City 236,858 230,930 187,910 158,402 62,610 56,800 43,502 47,720 42,160 34,954 42,202 10,802 87,204 30,947 4,906 6,349 7,381 1,743 6i,069 1,678 12,132 59,005 22,850 14,795 58,060 57,040 50,029 12,229 2,310 19,908 15,582 17,970 5,200 14,070 20,820 17,970 5,070 13,240 4,285 314 311 7,319 1,023 20,760 17,968 3,898 7,896 20,267 64 125 1,098 7,352 1,148 2,307 9,101 5,308 2,372 5,153 2,749 10,520 9,590 8,422 2,832 389 2,925 2,276 409,840 .253x500 .2.2iJ02_ .57j263_ ja^oi.. 110,037 114,508 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 188,850 138,120 TOTAL DEPOSITS 361,820 311,030 259,263, Vr,366 11,687 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 14,003 96,650 „ 30,047 172,910 6,910 54,442 17,319 _ 4 ,777. 42,963 17,070 16,145 12,130 10,928 145,000 144,940 119,788 187,620 136,890 112,402 5,624 2,646 22,426 17,070 12,130 54,418 48,387. 97,^05 102,805 16,670 1,317 699 4,921 4,750 42,739 1,875 3,209 49,478 48,243 7,329 4,374 42,963 3,500 3,500 3,380 1,388 415 1,343 234 Other liabilities 10,840 9,820 8,562 3,422 302 2,556 2,282 Total capital accounts 33,680 29,150 24,104 5,087 1,097 8,733 9,187 Borrowings Seasonally adjusted data Tmnn find 1nvftst.mftnta 1/ Loans and discounts ....... IT K (lovh. nbl 1fi'A'h inns.......... 1/ Excludes total coml. interbank loans. 282,200 . 182,600 57,600 42,000 Other securities....... 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, MAT 26,1965 TO JUNE 30, 1965 Item (Partly estimated. In ATT '' All coral, ir banks banks?' ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances Reserve with PR Banks Cash in vault Balances with banks Cash items Other assets millions of dollars) KFT ~ Reserve city banks I-------member New York City of Country banks City Chicago Other banks •• + 5,160 + 4,900 + 4,485 +2,001 +439 +1,170 + _ 875 _/ + 4,480 + 4,190 + 3,697 330 - 300 - 113 + 1,010 + 1,010 + 901 +1,389 + 232 + 380 +100 + 66 +273 +1,054 - 120 + 236 + 981 - 325 * + 219 1 + 5,860 + 5,810 + 5,225 +1,999 + 78 +1.924 +1.224 + + 350 + 1 + 63 +1,585 + + 10 + 263 4 + 5 + 453 + 503 + 79 + 23 + 231 46 + l4o +1,599 + 92 +4,079 +540 +3,186 +2,173 840 + 840 + 834 4o 40 37 + 1,180 + 1,130 + 645 + 3,880 + 3,880 + 3,783 + 320 + 300 + 268 TOTAL ASSETS/LIABILETIES +11,340 +11,010 + 9,978 3 11 96 + 74 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +10,320 +10,320 + 9,386 + 2,080 + 1,660 + 1,383 +3,461 + 85 +365 + 4o +3,559 + 716 +2,001 + 542 TOTAL DEPOSITS +12,400 +11,980 +10,769 +3,546 +405 +M75 +.2,543 1,860 + 1,860 + 1,803 + 767 + 574 +2,137 + 68 +125 1,970 + 1,970 + 1,837 6,510 + 6,510 + 5,763 2,060 + 1,640 + 1,366 +121 +121 + 38 + 789 + 77^ +1,994 + 718 + 122 + 368 +1,511 + 542 Borrowings - 1,470 - 1,470 - 1,321 - 110 + 82 - 986 - 307 Other liabilities - 350 240 - 168 +, io4 + 27 - 160 - 139 Total capital iaccounts + 760 + ?40 + 698 + + 26 + + Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments 1/* Loans and discounts 1/.. U.S. Govt, obligations.. + + + + + 3,100 + 3,300 900 + 700 539 57 For nunibered footnotes, see first page. t / May 26, 1965 nutual savings bank figures revised.» 76 1 - -3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 30, 1964 TO JURE 30, 1965 > J.k (Partly estimated. Item All banks In millions of dollars) All coml. banks All Reserve city banks member New York City of Other banks City Chicago Country banks ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cpsh, and bank balances Reserve with FR Banks Cash in vault Balance with banks Cash items Other assets +30,856 +26,691 +21,726 +5,509 +1,166 +6,738 +8,313 +27,811 +23,W f +19,753 - 2,727 - 2,522 - 2,733 +5,772 + 5,766 + *,705 +5,*57 - 873 + 925 +1,115 7 + 58 +6,*65 -1,*85 +1,757 +6,716 - 368 +1,965 +3,987 + 3,872 + 3,262 +1,679 + + 765 + 629 + 1,196 + 518 + 301 +1,972 + 366 + *1( + 72 +1,200 + 100 + 11 73 + 151 + 2k6 + 76 - 118 + 561 + *82 + 259 - 136 + 23 + + + 290 + 136 + 1,196 + 1 ,19*. + 531 + 387 + 183 - 25* + 1,961 + 1,935 + 1,089 + 1,028 + 885 358 189 100 +35,931 +31,591 +25,872 +7,5*7 +1,*55 +7,792 ..+M28 + 8,275 + 8,271 + 6,32* +21,703 +17,856 +1*,887 +2,001 +3,820 + + 396 66l +1,390 +*,870 +2,537 +5,53* +29,977 +26,127 +2l,2U +5,821 +1,057 +6,260 +8.072 + 1,120 + 1,628 + 5,8*0 +21,389 + 1,093 + 1,372 + *,16* +1*,582 + 596 + *63 +1,202 +3,560 + + + + 109 109 177 663 + 317 + 536 + 576 +*,831 + 71 + 26* +2,208 +5,528 Borrowings + 1,380 + i,toi + 1 ,*** + *6* + 205 + 771 + Other liabilities + 1,931 + 1,681 + 1,17* + 577 + 113 + 138 + 3*6 Total capital accounts +c2,6*3 + 2,382 + 2,0*4 + 685 + 80 623 + 656 TOTAL ASSETS/LIABILITIES LIABILITIES & CAPITAL Gross demand deposits <pross time deposits TOTAL DEPOSITS Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data ;a loans and investments ^ Loans and discounts - U.S. Govt, obligations Other securities. + 1,121 +1,635 + 5,830 +17,5*1 + For numbered footnotes, see first page. +25,900 +22,600 2 ,1*00 + 5,700 * CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banlcs, the Postal Savings System, and Treasury Currency Funds (partly estimated. J.* Item In billions of dollars) Change to June 30, ** 1965 from — + June 30, June 30, May 26, June 30, May 26, 1965,. . 196* ^ 1965 19651/ . 196* ASSETS Monetarv reserve Gold stock , Treasury Currency Bank credit ' Loans, net U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities 19*3 19.7 21.0 13*9 5.4 1*.3 5 .* 15.5 5.6 378.T 228.1 102.9 62.6 39.1 1*2 *7.7 371.0 221.9 102.* 3**.0 201.2 100.9 62.9 38.3 1.1 - .3 - .* - 1.7 ” +7.8 +6.2 + .5 +3*.7 +27.0 ♦ + 2.0 V ■, - 1.5 T •2 4 - 2.7 ; :2 n : *6.7 .7 *1.9 +1.0 + 5.8 398.1 390.6 365.0 +7 .* +33.0 3*6.6 3*1.3 320.0 +5.3 +26.6 Currency outside banks Demand deposits adjusted l/ Time deposits adjusted Posted savings deposits 3*.* 12*.2 187.6 .* 33-8 121.6 185.5 .* 33.0 120.3 166.2 + .6 +2.6 +2.1 + 1 .* r + 3.9 * +21.* - .i> Oovernment deposits 12.8 10.8 11 .* +2.0 + 1 .* 12.1 ♦7 10.2 •7 10.5 .9 +2.0 + 1.6 - -3 A 1.7 .8 1-5 .8 1.3 + .2 + .* + .* + *.3 - +7.* +33.0 * Total assets, net H ' LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks IT At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Canltal miscellaneous account, net Total liabilities and capital, net .* .* 36.2 36.2 31.9 398.1 390.6 365.0 Seasonally adjusted |/+ 1.3 + .1 3*.0 33.9 Currency outside banks +3.2 2/+ 5.9^ 2/120.8 126.7 123.5 Demand deposits adjusted * Figures may xioz aaa t>o tovoxb ucuauoo ui j.* -- — -----gold account, Treasury currency account, and Exchange Stabilization 1/ Demand deposits adjusted, Including demand deposits of foreign banks and of mutual savings banks, were $126*6 billion on June 30> 1965* 2/ June 2*, 1964, figures and comparisons; seasonal adjustments are available only for last Wednesday of month. Digitized“for FRASER http://fraser.stlouisfed.org/ r/ Mutual savings bank figures for May 26, 1965 revised. Federal Reserve Bank of St. Louis