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LIBRARY ' ASSETS * July #8, 1965 For immediate release RESERVE-*'^'' 1703XCTFIES OF ALL BANKS IN THE UNITED STATES, JULY 1*, 1965 J.* Item ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances (Partly estimated. All All coml. banks banks In millions of dollars) Reserve city banks All member New York City of Other Chicago banks City 3*1,910 287,290 236,980 *1,55* 10,628 87,539 231,590 188,360 158,626 56,*20 *3,097 62,250 *8,070 *2,510 35,257 30,127 *,913 6,51* 7,316 1,625 1,687 13,663 61,710 12,166 Country banks 97,259 59,*73 22,896 1*,890 57,2*0 56,2*0 *8,808 9,990 2,*06 19,897 16,515 17,350 5,360 i*,700 19,830 17,350 5,230 13,890 19,770 17,3*7 *,030 8,176 3,775 19,255 5,6** 961 66 122 1,257 6,987 1,221 2,162 9,527 5,62* 2,*22 5,6*2 2,827 10,770 9,820 8,*83 2,626 377 2,883 2,597 353,350 29*,271 5*,170 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 170,300 170,2*0 1*2,621 189,750 138,860 11*,058 26,550 17,*33 6,778 *,793 55,500 53,793 * *3,15*. 8,678_ TOTAL DEPOSITS 360,050 309,100 256,679 *3,983 11,571 96,9*7 10*,178 17,270 16,263 7,816 8,750 8,750 1*5,*80 1*5,*20 119,557 188,550 137,660 113,0*3 5,1*9 1,781 1,359 *75 *,97* 16,82* *,763 7,670 3,083 *3,272 *2,922 2,085 2,*77 51,082 *8,53* Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES *09,920 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 17,270 321 250 20,229 13,*11 110,319 116,371 5,300 5,300 *,930 1,77* *51 1,958 7*7 Other liabilities 10,860 9,770 8,536 3,320 293 2,676 2,2*7 Total capital accounts 33,710 29,180 2*,126 5,093 1,096 8,738 9A99 Borrowings NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 9, 1965 TO JULY 14, 1965 J*4 (Partly estimated. Item ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities In millions of dollars) ah 'AIT ”■ Reserve city 'banks All member New York City of coml. banks r/ banks banks City Chicago Other Country^ banks + 4,790 +4,390 +3,836 ■f 956 +262 +1,462 +1,156 + 4,490 + 4,090 +3,515 260 - 260 - 137 560 + 458 + 560 + + 474 4- 255 + 227 +210 + 10 + 42 +1,677 - 190 - 25 +1,154 - 212 + 214 4 1 Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks . Cash items Other assets + 5,340 + 5,330 +4,64o + 683 +288 390 + 391 + 390 + + 360 + 360 + 266 + 1,050 + 1,040 + 547 ♦ 3,540 + 3,540 +3,436 + 93 4* 6 4- 28 4* 556 - 25 + 2 + 5 +306 8 + 71 63 +2,075 + 331 + 187 + 577 + 499 + 10 + 25 + 58 + 312 +1,649 +575 +3,595 +3,082 +2,316 + 626 + 620 + 600 + 425 TOTAL ASSETS/LIABIITIES +10,750 +10,320 +8,901 jtZiZE +1,52^ LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 8,230 + 8,230 +7,187 + 1,990 + 1,590 +1,291 +1,072 - 136 +508 + 48 +3,291 + 753 TOTAL DEPOSITS +10,220 + 9,820 +8,478 4- 936 +556 +4,044 +2,942 4- 269 + 372 4- 397 102 +116 +276 + 43 + 544 + 717 +2,040 + 7*3 + 148 + 449 +1,719 + 626 - 17 - 8 - 474 + 180 4* 192 + 28 - 27 - 81 660 + 630 .4- 538 - 1 + 52 + 4l Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits + + + + 1,140 1,830 5,24o 2,010 + + + + 1,140 +1,077 1,830 +1,659 5,240 +4,432 1,610 +1,310 230 - 319 Borrowings - 230 - Other liabilities + 90 + Total capital accounts + 670 + 70 + 112 +121 r/ June 9, 1965 mutual savings bank "" figures revised. '' CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JULY 15, 1964 TO JTJLY l4, 1965 j. 1). In millions of dollars)________ _ Reserve city banks All All City of New York 1 member Other coml. Chicago City ' banks banks (Partly estimated. All banks Item Country banks ASSETS Loans and discounts U. S. Govt, obligations Other securities 'Reserves, cash, and u C U JJV U C » .l C X ilv W 0 Reserve with FR Banks Cash in vault Balance with banks Cash items A - f - V lQ T * U b l l c l TOTAL ASSETS/LIABILITIES LIABILITIES & +1,084 +6,989 + 8,919 +27,870 +23,390 +19,484 - 2,110 - 1,870 - 2,049 + 6,030 + 6,030 + 4,890 +4,726 - 361 + 968 +1,055 62 + 91 +6,511 -1,223 +1,701 + 7,192 - 403 + 2,130 + 1,690 + 1,550 + 912 - 364 + 44 80 + 580 + 79 443 70 + 50 15 - 329 + + + 26 14 99 103 - 46 + 142 - 179 + 449 + 119 + + + + + 80 + 580 + 510 + 520 + 380 510 + 1,630 + 1,510 + 52 442 1,132 +35,110 +30,610 +24,369 48 + +5,017 CAPITAL ^ Gross demand deposits Gross time deposits HWPAT lVJ.nL TVR’WlST'Pf? i j r v O +5,333 + : Q C a Q 'f C a b b c o b D +31,790 +27,550 +22,325 l l O Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits + 620 + 2,313 + 2,253 +14,953 +7,728 169 237 + + + 241 219 + 592 + +10,377 +1,468 +5,104 +3,539 + 856 +6,572 + 9,172 + 176 + 671 - 821 +3,513 + + 27 179 12 + 662 + 238 + 980 + 313 +5,o4l + 179 + k&3 + 2,773 + 5,737 + 179 + 156 + 680 + 2,610 + 4,110 +18,030 + 680 +2,610 + 4,120 +22,120 +1,21*7 866 665 +29,530 +25,430 +20,139 + 373 + 191 +3,726 + 366 + 187 4,897 7,120 7,110 +22,410 +18,320 +15,242 + + - + 3>25 + 5,7^7 + Borrowings + 836 + 285 + 216 + 1,720 + 1,610 + 1,158 + 491 + 97 + 328 + 242 Other liabilities + 2,950 + 2,660 + 2,236 + 702 + 78 + Total capital accounts 649 j + 807 910 + 910 + CONSOLIDATED 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. In billions of dollars) 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 LIABILITIES 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 * Figures may not add to totals because of rowing. "* S i d account, Treasury currency account, and ^abllUatlon^und^ 1/ Demand deposits adjusted, Including forelgn ^ “ , savings banks, were $ 128.1 billion on ^ • tJ Mi^JuaLTsavings W n k figures for June 9 , 19&5 revised.