The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
RESERVE FEDERAL statistical release L IB R A R Y For immediate release July 13, 1966 ASSETS ADD LIABILITIES OF ALL BANKS IN TEE UNITED STATES, JUNE 29, 1966 J.4 Item (partly estimated. All All coml. banks banks ASSETS Loans and investments Loans and discounts U* S. Oort, obligations Other securities Reserves, cash, and bank balances Reserve with FR Banka Cash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES 370,260 Id millions of dollars) Reserve city banks All member Nev York City of Other Chicago City banks 46,435 11,523 259,590 212,740 179,604 52,460 57,750 39,031 38,670 47,290 52,920 36,347 4,063 6,025 8,598 1,408 1,517 68,781 11,648 13,709 65,878 21,912 17,419 58,160 57,340 49,721 11,274 2,466 19,656 16,325^ 18,030 5,800 14,400 19,930 18,030 5,670 13,760 19,880 18,026 4,391 7,952 19,352 3,729 349 333 6,863 1,014 82 236 1,134 7,366 1,340 2,305 8,645 5,917 2,620 5,078 2,710 11,910 10,910 3,024 485 3,226 2,736, 440,330 380,740 3l6,i»gT 60,733 14,474 117,020 124,270 i 175,490 175.440 146,600 29,441 209.010 155.440 127,46s 19,640 TOTAL DEPOSITS 384.500 Borrowings Other liabilities Total capital accounts 94,138 105,209, 312,490 257,305 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits Deposits of banks U> S. Govt, deposits Other demand deposits Other time deposits Country banks 6,962 5,203. 330,880 274,069 49,081 12,165 16,182 17,210 17,210 5,733 10,880 10,880 2,167 9,627 148,680 148,630 121,879 22,195 207,730 154,160 126,381 18,986 1,233 648 5,106 5,178 53,751 48,315 56,446 54,311. 102,066 HO,72L 7,044 3,839 43,135 48,048 2,172 2,973 51,443 54,169 7,100 7,100 6,614 2,472 595' 2,568 979 13,130 11,830 10,363 4,038 571 3,126 2,628 9,260 9,906 ..i2i232L.25*Jt2L Changes In seasonally adjusted data ^estimated as of .Tune 30 . 1966. Loans wad investments 1/.......... 306,600 205,500 1/ Excludes total coml. interbank loans. Loans and discounts 1J. U.S. Qovt. obligations. j>3>9°° SEE NOTE ON PAGE 2. 200 Other securities..... NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. -2CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MAY 25, 1966 TO JUNE 29, 1966 (Partly estimated. 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 All banks Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Country banks * +5,260 +4,920 - +4,777 +2,202 +375 +1,783 + 417 -»6,000 -1,040 + 300 +5,610 - 990 + 300 +5,250 - 655 + 182 +2,031 + 121 + 50 +534 - 53 -106 +1,964 - 184 + 3 + 721 - 539 + 235 +2,580 +2,610 +2,173 + 541 +117 + + 92i_^ + TlO + i4o + 720 +1,010 + 710 + l4o + 750 +1,010 + 710 + 112 + 385 + 966 + 202 + 16 + 72 + 251 - 73 - 4 +107 + 87 + 78 + 35 + 13 + 466 + 503 + 65 + 193 + 162 + 530 + 500 + + 18 - 7 + 98 + 252 +8,370 +8,030 +7,3H +2,761 +485 +2,473 +1,592_ +6,230 + 290 +5,528 + 255 +1,864 + 15 +249 - 6 +1,860 + 169 +1,555 + 77 +6,870 +6,520 +5,783 +1,879 +243 +2,029 +1,632 +1,210 +2,890 +2,120 + 650 +1,210 +2,890 +2,120 + 300 +1,068 +2,585 +1,863 + 267 + 543 + 698 + 582 + 56 + 38 +190 + 19 - 4 + + + + 149 973 770 137 + 338 + 724 + 492 + 78 +167 + 578 9 + 75 - 194 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits TOTAL DEPOSITS In millions of dollars) Reserve city bianks All All New York 1City of Other member coml. Chicago City banks banks 361 592 I l Borrowings +1,490 +1,490 +1,500 + 764 Other liabilities - 40 - 120 - 78 + 124 Total capital accounts + 50 + 140 + 106 6 + - 83 60 Changes in seasonally data, May 25, 1966 to June 30? 1966 (estimated) --- v adjusted / +2,300 Loans and investments 1/ For numbered footnotes, see first page. I +3,300 Loans and discounts l/ 1,000 U.S. Govt, obligations.. Other securities..... . I NOTE- Beginning with data for June 15,about $1.1 billion in "Deposits accumulated for loans" were excluded from "Other tl » deposit." and excluded from "Loans" at all commercial banks. These changes resulted from a change in Federal Reserve regulations. l - -3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, I JUNE 30, 1965 TO JUNE 29, 1966 I J.4 (Partly estimated. In millions of dollars) All banks All coml. banks All member banks Loans and investments +28,122 +24,767 +19,977 +4,210 Loans and discounts U* S. Govt, obligations * Other securities +27,853 +24,099 +20,772 - 4,856 - ^,393 - 4,365 + 5,125 + 5,061 + 3,570 Reserves, cash, and bank "balances + Item Reserve city banks New York City of Other City Chicago Country banks ASSETS I I Reserve with FR Banks . Cash in vault * Balances with banks Cash* items * 77 + 277 + 688 +6,913 + 8,166 +5,,372 - 844 *• 317 +1,231 - 353 _ 190 +7,702 -2,382 +1,593 + 6,467 - 785 + 2,484 _ 912 + 155 - 208 + 488 + 184 545 + 538 + 35 - 119 + 25 - 1,079 - 427 14 + 18 + 124 + 27 + 92 + 191 + 8 - 500 + + - 650 294 276 179 314 - 477 + 188 + 671 + 254 - 1,036 + 187 + 692 + 430 - 1,033 + 1,196 + 1,1*3 + 285 + 96 + 253 + +29,395 +26,187 +20,448.. +3,583 + 939 +6,957 +r18,968 f ) 564 362 + 2,197 + 2,207 + +19,692 +17,041 +13,964 +2,324 + + 40 426 - 713 +5,361 + 1,59? + 5,854 +21,889 +19,248 +14,326 +1,759 4* 466 +4,648 + 7,453 6 24 + + 5 + 90 - 1,183 - 1,176 - I,4l4 - 480 + 3,361 + 3,364 + 1,802 - 185 +19,706 +17,054 +13,962 +2,335 91 - 53 + 180 + 431 - 298 - 559 + 164 +5,3*1 + 276 - 321 + 1,643 + 5,855 Borrowings '§■ + 3,374 + 3,*18 + 3,159 +1,049 157 +1,297 + 656 Other liabilities + 2,546 + 313 Other assets % TOTAL ASSETS/LIABILITIES LIABILITIES & CAPITAL IGross demand deposits Gross time deposits TOTAL DEPOSITS fl Deposits of banks U. S. Govt, deposits Other demand deposits | Other time deposits ■Total capital accounts + .1,585 + 2,070 948 + + 1,834 + 727 + 269 + 525 + 1,128 + 48 + *7 + 486 Ganges in seasonally adjusted data, June 30, 1965---to June --------■30, —*-.....1966 (estimated) v ...... ........ • I Loans ana investments 1//•"• ••••••••• 4-93 LoailS an3 inveSt/Htent/S ! _RfSCS For TPrvr* numbered footnotes, see first page. +23,800 r Loans and discounts l/ +22,500 U.S. Govt, obligation!* - 3,800 Figures may not add to totals because * Other securities...... + 5,100 of rounding. -4CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. J.4 Item In billions of dollars) re to June z y , 1966 from — June 29, May 25, June 30, May 25, IJune 30, * 1966 I 1965 1Q66 I 1066 1 1965 Assfcrs Monetary reserve Gold stock Treasury Currency Bank credit Loans, net U. 3 . Govt* obligations Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net + .1 - .1 + .1 + .5 .6 T78.8 +4.8 +2 8 .1 248.5 101.0 2 2 8 .7 +4.8 - .3 +24.6 - 1.6 57*8 41.8 1.1 I 58 .8 4l.l l.l 6 2 .6 -1 .0 + .8 - 4.9 + 2.7 + *5 5 2 .9 1 5 2 .6 I 47.8 + •3 + 5*1 426.4 421-5 398.2 +4.8 +28.2 373*3 371*2 347*2 +2.1 +2 6 .1 36*6 12 8 .8 36*2 34.5 124.4 + .4 +1.1 + .7 1 +2.1 + 4.4 4 +19*7 - .1 12 JL J 2 ii 13*4 6.0 i3*5 5.9 13*9 5-4 407.0 402-1 253*3 _12 : 10 0 .7 102. 3 39*1 .6 , T.TATm.TTTKq 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 banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Total liabilities and capital, net j 207*7 .2 127*6 207*1 *3. 188.0 •3 11*7 8 .7 12.7_ +3.0 - 1 .0 10.9 .8 8.0 •7 12.1 •7 +2.9 + .1 - 1.2 + .2 1.6 .8 25;8 + *1 + .1 *4 + .2 , + *3 + 2 .6 +4.8 +2 8.2 1.8 1.1 38.4 426.4 I 1*7 1.0 ,2§.2_ 421,5 Seasonally adjusted 1 1 . __ 1 + 2>2 Currency outside banks 3°*3 n a + 4 4 1.12,2^-- 1 TP6.9 1 +1.8 L ±Jh». Demand deposits adjusted____________ [ l ^ M * Figures may not add to totals because of rounding. Treasury funaa 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 $131*3 billion on June 29, 1966. ±-i I 1