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•i'

OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM f ^ W s

LIBKAin

es

(For Immediate Release)

July 13, 19&0

LITIES OF ALL BANKS IN THE UNITED STATES,

29, I960

(Partly estimated.

Item

All
banks*

*

In millions of dollars)

All
commer­
cial
banks*

Total

Member banks
Central reserve
Reserve
city
city banks
New York Chicago
banks

Country
banks

ASSETS
Loans and investments
„ Loans and discounts
- U. S. Govt, obligations
Other securities
i
Reserves, cash, and
bank balances

227,020 188,790 156,593 25,320

6,598

59,563

65,112

97,898 18,060
1*2,980 5,273
1,987
15,715

a,3a2

1,620
636

39,a21
ia,8a6
5,296

21,2ai

11*0,930 111*,81*0
60,700 51*,100
25,390 19,850

36,075
7,796

U3,85o

1*3,110

37,977

7,773

1 ,85a

15,786

12,56a

17,120
3,61*0
11,020
11,770

17 ,1*20

17,1*18
2,605
6,520
11,1*31*

3,953
161
118
3,51*1

9a7

7,260

iaa

733

791
2,258
5,a77

5,258
1,623
a, 000
1,683

5,81*0

5,260

1*,673 .1,507

9a

1,7U1

1,331

276,710 237,160 199,21*3 3U,600

8,5a6

77,090

79,007

Oross demand deposits
Gross time deposits
▼
TOTAL DEPOSITS

11*0,050 11*0,020 119,925 21*,133
ioa,aeo 69,11*0 55,275 ...a, 521

6,000
i,a7a

a6,6l9
21,1*09

a3,173
27,871

2UU.530 209,160 175,200 28,65a

7,a7a

68,028

71,0l*U

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

ll*,61*0 11*,61*0 11*,073
6,608 i,a39
7,330
7,330
119,750 119,720 100,790 18,379
102,810 67,1*70 53,729 3,512

1,199
an

i,2a7
ao,oo3

i,a22

6,303
2,688
37,966
21,071

' Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets
>
Total assets

3,51*0
10,1*10
11,71*0

30

LIABILITIES & CAPITAL

a,aa2

2,070

27,72a

2,130

2,130

2,069

a73

161

1 ,06a

371

6,380

5,620

5,152

2,oa6

ia2

i,7ai

1,223

Total capital accounts

23,670

20,250

16,822

3,a27

769

'6,257

Total liabilities
and capital

276,710

237,160 199,21*3

3a,600

8,5a6

77,090

Borrowings
► -k
Other liabilities

»

Figures have been rounded to nearest 10 million.

Note.— The comparability of figures
figi
in this series is affected by changes in
merge:
Federal Reserve membership, mergers,
etc., and in reserve classifications; also
see comparability note on page 3.

^



6,369 .
79,007

-2CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
Hay ?5, i960 to June 29, I960
(Partly estimated. In millions of dollars)

G.7

Item

All
banks*

All
commer­
cial
banks*

Member banks
Central reserve Reserve
Total
city
city banks
New York |Chicago banks

+

310

+ 210

+ 276

+1,3^0
-1,110
+ liO

+1,210
-i,oUo
+ Uo

+1,018 4- 762
+
20 •f

+1,670

+1,600

+ Uo
+ 130
+ 790
+ 710

+ Uo
+ 130
+ 720
+ 710

r

♦

Country
banks *

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

+

220

+

220

+2,200

+

230

+..36.... .+ ...72.. .

- 62

233 + 83
27 - 27
2U - 20

+ 295
- 200
- 23

+ U07 :
- 508
+ 39

_±!aU55 -f

U02

+ 131

+ 681

+ 2hl

+
3U +
+ 96 +
+ 652
+ 673 +

71
6
12
337

+
+
+

59
1
29
+ U2

+ 139
* 35
+ 297
+ 210

- 235
+ 5U
+ 338
+ 8U

208 +

93

+

+

.±1,222.. 4*

1

725 + 168

+

8U

+

.

*

30

.till ___ ±_2Q2__
<

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+2,090
+ 970

+2,090
+ 830

+ 1,163

+

70

+ 195
+ 25

+ 59U
+ 285

+ 1U8
*
+ 320 _

TOTAL DEPOSITS

+3,060

+2,920

+2,800 + 1,233

+ 220

+ 879

+ U68

9U0
180
880
+1,060

+
+
+
+

9U0
180
880
920

+ 933 +
+ 130

398 + 102
U2 + 26
751 + 71
126 + 21

+ U01
+
2

+ 155
+ 321

+ 32
+ 1UU

'

Borrowings

-1,0*0

-1,050

-1,019 -

670

- 6U

-

Ul

- 2UU

.

Other liabilities

+

UO

+

20

+

33 +

158

+

3

- 8U

- UU

‘

Total capital accounts

+

l5o

+

1U0

+

125 +

k +

9

+

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

Total liabilities
and capital

+
+
+

+2,200

+2,030

+2,100

+
+

700 +

9h9

788

+1,939 +

* Figures have been rounded to nearest 10 million.




+
+

725

+ 168

83

+ 837

- 28 ,
+ 320

+

29

+ 209

->
CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
G.7

June 2It, 1959 to June 29, I960
(Partly estiinated. In millions of dollars)

■»'

Item

All
banks*

All
commer­
cial
banks*

Member banks
Central reserve Reserve
Total
city
city banks
New York Chicago banks

+ 3,820

+- 2,870

+1,586

Country
banks

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

+ 82

-1.05U

+2.726

mm

+8,597 +1*379
-6,1814 -1,1*3
- 827 - 39k

+655
-517
- 56

+2,805
-3,378
- 1*81

+3,758
-1,136
+ 10U

+ 1.180

+ 806

+ 1?

+

+
+

- 275
+ 18
+ 171
+ 110

+12 ,21*0 +10,390
- 7,1*70
6,760
- 950 760
+ 1.120

600
280
600

+

+
+
♦

600
270 +
55o +
900 +

900

+
+
+

+

780 +

730

+ 669 +

OJ
C
V
r•
UN
+

Total assets

168

mm

569

608

16
151* +
1*21 + 19
839 + 53U

35

1
38
10

330 _ + 12

+ 4x780.. +3.061 •f 731

2li

. + 233 _

+ 201__
- 298
+ 121
+ 193
+ 185
+

9k

+1 Q6_ . .=.-,122 . + 3f021

LIABILITIES & CAPITAL

696

Gross demand deposits
Gross time deposits

+ 1,160 + 1,160
+ 2 ,11*0 + 1.370

+ 633 + 780
+ U9U - 51*1

+ 32
+ 19

-

TOTAL DEPOSITS

+ 3.300 ♦ 2.530

+1.127

239

+ 51

- 1 .1*20

+ 2,257

260
260
+ 2,600 + 2,600
- 1,850 - 1,850
+ 2,810 + 2,0U0

16U
- 173
+2,377 + 637
-2,202 • 191
+1,125 - 1*3

+ 1*5
+11*U
-lUU
+ 6

32
+ 973
- 1,755
- • 606

+ 623
- 112
+ 1,768

- 550

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

580 -

580

Borrowings

-

Other liabilities

+ 1,690

Total capital accounts
¥
Total liabilities
and capital

+ 1.310 + 1.220
+ 5,720 +

O
CO
c*—

~*

+ 1,610

+
mm

22

-

139

+

387

+

1*32

+ 29

+

T!2

+

hl'L

+106

-

797

+ 3,021

332

-

+1,537 +

689

+ 29

_+ 9li7 + i n
+ 731

+ 517
+ 1,71*0

76

mm

+3,061

72U

3

Figures have been rounded to nearest 10 million.
Note.— Figures for prior dates not entirely comparable with current data because of
changes effective? (l) December 1959, amounts due Federal Reserve Banks represented by
Z outstanding drafts, etc., estiinated at approximately fhOO million in early December and
^ to range seasonally between &250 and $600 million. were excluded from deposits and In—
eluded with"'other liabilities; (2) August 1959, nonmember commercial banks in Hawaii
vdth
total deposits of &365 million were added to the series; and (3) during the year

http://fraser.stlouisfed.org/
in the reclassification of member banks.
Federal Reserve Bank of St. Louis

-UCONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
G.7

All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds l/
(Partly estimated.

*
\A O
_
h*

June 29,
I960

CM

Item

In billions of dollars)
Change to «hme 29,
I960
from —
June 2kt
June 2k*
May 25,
1959
I960.___

ASSETS
Monetary reserve
Gold stock
Treasury Currency
Bank crfii3.it
Loans, net
U. S. Govt, obligations
Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

2U.7
19.3
5.U

2U.7
19. U
5.U

252.3
139.1
87.9
60.7.

250.7

136.8
88.?
61.8

26.2

25.7

1.0

25.1

19.8

—

5.3
2k8.5
126.9
95.2

68.2
25.9

.9
25.h

PS'.li

1.2
?6 .3

277.0

275. k

273.6

+ 1.7
+ 2.3
- .7
- 1.1
+ .5
- .1
•»

...r__ ^
.h .
+
#1 +
+
+

19

12.2
Mj 1

7.U ^
7.5* *
'
•3

.2
- 1.0

*

+ 1.7
4

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks

239.9

218.5

2I1O.I

+ l.h

Currency outside banks
Demand deposits adjusted
Time deposits adjusted
Postal savings deposits

28.3
108.0
102.8
•8

28.1
107.8
101.7
.9

28.3
110.7

100.0
1.1

+ .2
+ .2
+ 1 .1
mm

7.8

7.7

5.3

+ .2

7.3
.5

7.2
.5

U.7
.5

+ .2

2.9
.U

2.8|

3.6
1
.U
2U.2

U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous accounts, net
Total liabilities and capital, net

•U
25.9

26.0

277.0

_

275.k_

+

.1

mm
+ 1.7

27.3^4-- + LI.

A fS
- 2.8
+ 2.8 ;
•2

2.6 ♦ 2.6
_r

-

*7

+ 1.8
+ 3.5,

Seasonally adjusted
* •2
28.1
28.2
- *1
Currency outside banks
28.3
+ . 7 .._j 110.1
Demand deposits adjusted
l\2J>
m.k_
* Figures may not aaa to totals Derause
rumiuiug. r w
^ -*o--seasonally adjusted data, see February I960 Bulletin, p.133-36. See note on page 3.
1/ Treasury funds included are gold accounc, Treasury currency account, and Exchange
Stabilization Fund.



*