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FEDERAL

RESERVE

statistical

release

For linmediate releaae

Ju 1y 13, 1971
ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES
JUNE 30, 1971
(Partly estimated. In millions of dollars)

H.8

ASSETS
Loans and investments

All
coml.
banks

All
member
banks

478 640
321,160
60,430
97,050

377 938
259,393
43,833
74' 712

96,600

Reserve city banks
New York City of
Other
City
Chicago

~--~~~~~~~~~---

137 .21N

47' 344
5,112
8,742

16.442
11,738
1,735
2,969

85,003

26.J.320

3 104

30 852

24 727

24,380
7,660
22,090
42,470

24,377
5,886
13' 230
41,510

4,715
466
1' 277
19,862

1,017
126
304
1,657

10,392
1, 818
4,243
14,399

8,253
3,476
7,406
5,592

23,730

20,040

5, 912

918

7,389

5.821

598,970

482 981

93 430

20 464

175,530

193 557

Gross demand deposits
Gross time deposits

246,150
256,260

202,585
198,743

49,477
24,460

70,228
72 028

74,440
95 074

TOTAL DEPOSITS

502,410

401,328

73,937

15,621

142 256

169.514

33,500
8,880
206,540
253,490

31' 940
7,410
165,708
196,270

16,244
1,275
32,959
23,459

1,695
319
6,635
6' 972

10,819
3,219
57,206
71,012

3,182
2,597
68,908
94,827

Borrowings

22,790

21,641

4,530

2,364

12,108

2,639

Other liabilities

29,350

24,634

8,099

837

8,381

7,317

Total capital accounts

44,420

35,378

6,864

l' 642

12,785

14,087

Loans and discounts 1/
U. S. Treasury securities
Other securities l/
Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets
TOTAL ASSETS/LIABILITIES

61 198

Country
banks

_1_

1 n1 OOQ

97,0271 103,284
14,063
22,923
26,199
36,802

LIABILITIES & CAPITAL

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

Seasonally adjusted data
Loans and investments 2/
Loans and discounts 1/2/
U.S. Treasury securities
Other securities 1/
NOTE:
1/
2/

456,700
297,400
63,000
96,300

Comparability of figures affected by changes in FR membership, mergers,
etc., and in reserve classifications.
As of 6/30/71, Farmers Home Administration Notes will be classified as "Other
Securities". These notes were previous 1y classified as "Loans and Discounts". The
amount transferred to "Other Securities" for 6/30/71 is approximately $728 million.
Excludes total coml. interbank loans.




- 2 -

CHANGES IN ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES
JUNE 23, 1971 TO JUNE 30, 1971

Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets

+ 9,300

+ 8,744 + 4,976

-

278

+ 2,850

-

-

+

680
30
+ 1,910
+ 8,100
+

780

TOTAL ASSETS/LIABILITIES +14 380
LIABILITIES

&

+ 1,196

31
10
+
187
+ 4,830

-

354
12

-

72

+

160

+

135

+

19

+

+12 871

+ 6 018

-

99

+ 4 317

+ 2 635

+ 4,895
?Sf.

+ 3,095
673
+

681
29
+ 1,526
+ 7' 928
+

633

-

-

285
19
+
638
+ 1,946

+
+
+

-

581
12
773
992

260

+

219

-

CAPITAL

Gross demand deposits
Gross tUne deposits

+17,930
+ 1 610

+16,170
+ 1 207

+ 7,413
+
186

+
+

767

TOTAL DEPOSITS

+19,540

+17.377

+ 7.599

+

829

+ 5,181

+ 3,768

+ 5,100
+ 2,670
+10,250
+ 1,520

+
+
+
+

5,011
2,408
8,854
1,104

+ 3,582
+
697
+ 3,164
+
156

+
+
+
+

208
206
411
4

+
987
+ 1,031
+ 2,892
271
+

+
234
+
474
+ 2,387
+
673

Borrowings

- 2,890

- 2,747

- 1,152

-

657

-

607

-

331

Other liabilities

- 2,540

- 1,993

-

431

-

283

-

368

-

861

Total capital accounts

+

234

+

52

+

12

+

111

+

59

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

r/

270

+

Revised.
For numbered footnotes, see first page.




f.?

+

- 3 CHANGES IN ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES
JUNE 30, 1970 TO JUNE 30, 1971

H.8

(Partly estimated.
All
Item

In millions of dollars)

banks

All
member
banks

+55,400

coml.

Reserve citv banks

-N-ew~Y~o~r~k~C~1~.t~y~o~f~~~----

Other

Country
banks

City

Chicago

+42,387

+ 4,110

+ 1,794

+16,076

+ 20,406

Loans and discounts })
+25,069 +19,293
U. S. Treasury securities + 8,861 + 6,509
Other securities 1/
+21,471 1+16,585
;

+-2,463
+
699
+
947

+
+
+

752
195
848

+ 6)875
+ 2,691
+ 6,510

+
+
+

9,203
2,924
8,280

+

1~986

+
+
+

1,017
254
314
401

+

1.036

ASSETS
Loans and investments

Reserves, cash, and
bank balances

+10,969

+ 9,464

+ 3,250

+

482

+ 3,746

+ 2,854
+
570
+ 3,492
+ 4,053

+ 2,851
+
410
+ 2,298
+ 3,904

+
94
+
37
+
584
+ 2,534

+
+
+
+

132
30
158
162

+ 1,608
+
90
+ 1,242
807
+

+ 2.922

+ 2.156

+

404

103

+

TOTAL ASSETS/LIABILITIES +69,291

+54,006

+ 7,764

+ 2,173

+20,641

+ 23,428

Gross demand deposits
Gross time deposits

+18,737 +14,590
+51,244 '+41.223

+ 4,504
+ 8.818

+
309
+ 2.045

+ 4,266
+14 317

+ 5,511
+ 16.042

TOTAL DEPOSITS

+69,981

+55,814

+13,322

+ 2,355

+18,583

+ 21.554

+ 6,264
+
602
+13,541
+49,574

+ 6,126
+
286
+ 9,792
+39,609

+ 4,775

+ 1,016
37
+ 3,889
+13,641

+

+
369
+ 8,179

3
29
+
533
+ 1,854

Borrowings

+ 4,244

+ 4,134

+

+

857

+ 2,329

+

475

Other liabilities

- 7,647

- 8,135

- 6,522

- 1,115

- 1,188

+

689

Total capital accounts

+ 2,712

+ 2,194

+

+

+

+

710

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

819

+

LIABILITIES & CAPITAL

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

Seasonally adjusted data
Loans and investments 2/
Loans and discounts!/~/
U.S. Treasury securities
Other securities !/
NOTE:

-

1

473

490

76

917

338
278
+ 5,001
+ 15,936

+

For numbered footnotes, see first page.
+50,300
+20,000
+ 8,900
+21,300

Comparisons are with call date figures of the previous year.
not add to totals due to rounding.




+

Figures may

- 4 CONSOLIDATED 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)
Change to June 3 0,
1971 from -May 26, June 30, May 26, June 30
1971
1970
1971
1970
~I

Item
June 30,
1971
ASSETS

- .6
- 1.0

18.2
10.3
.4
7.4

18.1
10.3
.4
7.4

18.8
11.4
.4
7.0

605.6

593.7

536.8

+11.9

+68.8

361.1
130.5

354.3
128.2

336.9
112.5

+ 6.8
+ 2.3

+24.3
+18.1

63.9
65.5
1.1

62.3
64.9
.9

54.7
57.7

--

+ 1.6
+ .6
+ .2

+ 9.2
+ 7.8
+ 1.1

114.0

111.2

87.5

+ 2.8

+26.4

623.8

611.8

555.6

+12.0

+68.2

545.5

537.4

474.7

+ 8.2

+70.8

50.5
164.1
331.0

49.4
160.3
327.7

47.0
154.6
273.1

+ 1.1
+ 3.8
+ 3.3

+ 3.4
+ 9.5
+57.9

10.2

9.4

9.3

+

.8

+

.9

8.9
1.3

8.5
.9

8.3
1.0

+
+

.4
.4

+
+

.6
.3

2.7

2.3

2.6

+

.4

.5

.5

.4

--

---

Capital and miscellaneous account, net

65.0

62.3

68.5

+ 2.6

- 3.5

Total liabilities and capital, net

623.8

611.8

555.6

+12.0

+68.2

Monetary reserve
Gold Stock
Special Drawing Rights certificates
Treasury Currency
Bank credit
Loans , net 1/
S. Treasury securities

u.

Commercial and savings banks
Federal Re~erve Banks
Other
Other securities

!/

Total assets, net

+
+

.1

--

-.1

+

--

.4

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted '1:..1
Time deposits adjusted
U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash

6/24/70
6/24/70
adjusted
+ 3.4
+ .5
46.6
49.5
50.0
Currency outside banks
+14.4
+ 4.8
153.0
162.6
167.4
Demand deposits adiusted
* Figures may not add to total because of rounding. Treasury funds included are
gold account, Treasury currency account, and Exchange Stabilization Fund.
l/ See footnote l/ page 1.
11 Demand deposits adjusted, including demand deposits of foreign banks and of
mutual savings banks, were $167.9 billion on June 30, 1971.
~/ Figures for mutual savings banks were revised.

Seasonall~