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RESERVE

FEDERAL
statistical

release

July 27, 1961

(For Immediate Release)

ASSETS AMD LIABILITIES OF ALL BAMS IN THE UNITED STATES, JULY 12, I96I
G.7
Item

(Partly estimated. In millions of dollars)
All
Member banks
All
commer­
Central reserve Reserve
banks*
Total
cial
city banks
city
banks*
New York| Chicago banks

Country
banks

ASSETS
242,190 201,700

168,043

27,864

6,959

64,090

69,130

146,410 118,100
Loans and discounts
U. S. Govt, obligations 67,750 61,430
28,030 22,170
Other securities

100,469
49,843
17,T31

18,182
7,188

4,208

22,686

2,494 » 744

40,150
17,962
5,978

Loans and investments

Reserves, cash, and
bank balances

2,007

37,929
8,515

48,400

47,600

41,549

8,459

2,087

17,065

13,938

16,400

16,400

16,404

3,635
196
4,461

167

928

6,846
924
2,251
7,044

4,941
1,751

7,744.
14,493

37
l4o

14,910

3,850
12,470
l4.,880

2,908

982

3,970

6,560

5,950

5,370

1,903

147

1,939

1,381

297,150 255,250

214,962

38,226

9,193

83,094

84,449

Gross demand deposits
Cross time deposits

145,860 145,830
117,250 79,850

124,560
64,900

24,385
6,824

6,181
1,922

48,749
25,291

45,245
30,863

TOTAL DEPOSITS

263,110 225,680

189,460

31,209

8,103

74,040

76,108

15,5^0 15,540
Deposits of banks 1/
3,670
3,670
U. S. Govt, deposlfs
Other demand deposits 1/ 127,370 127,340
Other time deposits 1/ 116,530 79,130

14,818
3,230
107,055
64,357

4,453

618
19,520
6,618

1,352
142
4,699

1,629

1,910

7,384
1,207
40,332
25,117

42,504
30,712

Reserve with FR Banka
Cash in vault
Balances with banks
Cash Items
Other assets
Total assets

13,120

5,186
2,060

LIABILITIES & CAPITAL

1,263

Borrowings

1,560

1,560

1,531

683

66

598

184

Other liabilities

7,220

6,440

5,992

2,702

175

1,772

1,343

25,260

21,570

17,97S

3,632

849

6,684

6,8l4

297,150 255,250

214,962

38,226

9,193

83,094

84,449

Total capital accounts
Total liabilities
and capital

* Figures have "been rounded to nearest 10 million.
Note— The comparability of figures in this series is affected by changes in Federal
Reserve membership, mergers, etc., and in reserve classifications.
1/ Due to the reclassification of deposits of foreign central banks, Deposits of banks was
reduced by about $1,900 milliony Other demand deposits was increased by about $400 million

and
Other time deposits by about $1,500 million (on April 26, 1961).


CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED 8TATIS,

G.7

JUNE 14, 1961 TO JULY 12, 1961
(Partly estimated. In Billions of dollars)

Item

All
banks*

All
commer­
cial
banks*

-

840

- 1,010

- 992

680

-126

- 50

-136

+ 980
- 2,080
+ 260

+ 820
- 2,070
+ 2k0

+ 667 + 102
-1,874 - 769
+ 215 13

- 29
-105
+ 8

+359
-570
+169

+235
-422
+ 51

- 642

- 92

+333

+539

39
3
21
585

- 82
+ 6
- 3
- 13

+1.50
+ 47
-148
+284 •

+298
+ 57
+212
- 28

65

+_i_

+ 4o .

+ 21

...,+323_..

+424

-230
+ 4l

- 4
+296

+327
+227

-1,533

-189

+292

+55^

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

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

-

+

420

+

470

+ 138

+
+
+

320
i4o
300
340

+
+
+
-

320
140
350
340

+ 327 + 113 +
to 342 -

+

160

+

i4o

+

131 +

-

260

-

400

-

723

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

-1,390
+.1,070

- 1,390
+ 880

TOTAL DEPOSITS

- 320

-

+ 470
- 46o
-1,410
+1,080

+ 470
- 460
-1,410
+ 890

+ 432 + 11
- 505 - 180
- 1,550 - 1 , 5^2
+ 747 + 178

+ 63
-189
-104
+ 4l

+239
-249
+ 1
+301

+119
+113
+ 95
+227

Borrowings

+ 500

+ 500

+ 508 + 422

-

5

+118

- 27

Other liabilities

- 580

-

Total capital accounts

+ i4o

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

Total liabilities
and capital

-

260

- 1,612 - 1,705
+ _73_6 + 172

510

490

876

-

160

- 26

-133

-126

+ 100

+ . 90 +

14

+ 7

+ 46

...tJ&

-

- 723

-1,257

-213

+323

+424

4oo

-

445

* Figures have been rounded to nearest 10 Million*
Note— See notes on page 1.



.

-3?

'

A\.7

CHANGES IN ASSETS AMD LIABILITIES OF ALL BANKS IN THE UNITED STATES,
JULY 13, I960 TO JULY 12, 1961
(Partly estimated. In Billions of dollars)

*
y

All
banks*

All
commer­
cial
banks*

•ioana and investments

+12,200

+10,080

+ 8,901 +1,699

+158

•+3,34l

+3,703

Loans and discounts
> U. S. Govt, obligations
Other securities

+ 5>220 + 3,130 + 2,417 + 152
+ 4,380 + 4,610 + 4,475 +1,085
+ 2,600 + 2,340 + 2,009 + 462

-182
+257
+ 83

+ 542
+2,099
+ 700

+1,905
+1,034
+ 764

^Reserves, cash, and
bank balances

+ 1,240 + 1,250

650 + 316

+ 64

-

98

+

368

- Reserve with FR Banks
Cash in vault
f Balances with banks
» Cash items

- 1,450 - 1,450 - 1,451 - 119
+
4oo +
380 + 312 + 38
+ 1,250 + 1,280 + 830 +
67
+ i,o4o + i,o4o + 959 + 330

+ 1
+ 6
+ 27
+ 30

+
+
+

818
118
148
454

+
+
+

150
588
145

+ 50

+ 221

+

21

* ■>

Item
i
r1iiin11r.1 11

^

Member banks
Central reserve Reserve
Total
city banks
city
New York 1 Chicago banks

Country
banks

ASSETS

dther assets

+

700 + 630

+

+

656 + 364

515

Total assets

+i4,i4o +11,960

+10,207

; LIABILITIES & CAPITAL
•4
•Gross demand deposits
Gross time deposits

+
610 + 610
+12*550 +10,600

+
4o - 275
+ .9*516 +2,327

- 96
+430

- 305
+3.828

+ 716
+2.931

TOTAL DEPOSITS

+13,160

+ 9,556 +2,052

+33^

+3,523

+3,647

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

- 260 - 260
- ^,390 - 4,390
+ 4,240 + 4,24o
+13,570 +11,620

- 225
- 4,163
+ 3,398
+10,546

- 862
-1,144
+ 910
+3,148

+ 62

-320
+120

+472

+ 35^
-1,963
+1,133
+3,999

+ 221
- 736
+1,235
+2,927

-Borrowings

- 1,190

- 1,142 - 363

-181

- 493

- 105

■t)ther liabilities
■r
l
Total capital accounts

+

652 + 505

+ 4o

+

7

+ 1,470

+ 1,280

+ l , l 4 l + 185

+ 79

+

427

+ ^50

Total liabilities
and capital

+ i4,i4o

+11,960

n o , 207 *2,379

+272

+3,464

+4,092

1

+11,210

- 1,190

700 +

660 +

* Figures have been rounded to nearest 10 Billion.
Note--See notes on page 1. .



__

+1 ,022...

+272

+

100

-4CONSOLIDATED 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 1/
(Partly estimated.

Item

In billions of dollars)
July 12, June 14,

1961

1961

July 13,
i960

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

Change tc) July 12,«
1961 irrom —
June l4, July 13, 1961
,I960.
-r

22.9

24.6

+ .1

- 1 .6 _ _ :

5-^

17-5
5.4

19.3
5.4

+ .1
--

- 1 .7
+ .1

\
-

268.6

269.7

255.1

-1.1

+13.5

V

144.9
9 5 .7

144.5
9 7 .5

67-8

69.8
26.8
.8

+ .5
138.9
9 0 .8 _ -1.8
63.4
-2.1
26.5
+ .3

23.0
17.6

27.1

.8
28.0
291.6

+ 6.0
+ 4,9.

2 7 .8

.9
25.4

+ -3

+
+
+

292.6

279.7

-1.0

+11 :.?

mm9m

1

4.4

.6
-1
2.6

*

_
.
.A

LIABILITIES AND CAPITAL

U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net 1/
Treasury cash
Capital and miscellaneous accounts, net
Total liabilities and capital, net

258.1

241.7

+ .3

+16.7

28.7
112.5

28.7
109.3

.7

28.4
113.5
115.4
.7

102.9
.8

+ -3
-l.l
+1.1
—

+ 3»2
+13.6
- .1

4.2

4.7

8.5

- .5

- 4.4

3.7
.5

4.1

8.1

•.6

.5

“ •?
*" #1

1.3
.4

2.8

116.5

1.2

mmmm

4

- 1.6

.4
27.V

28.1

,.4
26.3

—
- .7

+J

J

291.6

292.6

279.7

-1.0

+11.9

\

* Figures may not add to totals because of rounding.
1/ See footnote on page 1.
2/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual
savings banks, were ll4.0 on July 12.




u

r

Currency outside banks
Demand deposits adjusted l/ 2/
Time deposits adjusted l/
Postal savings deposits

258.4

1
-P•

Total deposits adjusted and
currency outside banks