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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~