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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM ► G.T (For Immediate Release) July 29# 195$ ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 25, 1958 (Partly estimated. Item 1 All j bank®* In millions of dollars) Member banks All Central reserve Reserve commer city city banks Total cial banks Chicago New York banks* Country ■banksly ASSETS Loans and invesxments 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 214.860 179,660 151,386 27,177.. 6.846 ..52*120 _ 117,150 72,130 25,580 94,920 64,740 20,000 81,707 53,470 16,209 16,608 8,195 2,37^ 3,492 2,702 652 32,666 20,488 5,966 43.270 42.350 37.385 7.661_ 2.029 15,286. .12J&2. 18,480 3,130 11,570 10,090 18,480 2,990 10,830 10,050 18,479 2,260 6,842 9,804 4,272 153 119 3,117 1,182 30 185 632 4,830 4,280 3,813 1,217 262.960 226.290 7,633 712 2,330 4,611 76 , lait2L_ 192.584 36x055- ..8x251- 28,941 22,085 7,217 5,392 1,365 4,208 1,444 1.086 75«81i0_,. 71x238. LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 139,000 138,970 120,647 25,782 5,304 52,267 64,370 97,330 6,640 1,442 47,180 21,164 41,045 24,357 TOTAL DEPOSITS 236,330 203,340 172,91^ 31,086 8,082 68,344 65,402 16,130 9,710 115,790 94,700 16,130 9,710 115,760 61,740 15,508 9,067 98,550 49,789 6,015 3,009 18,550 3,512 1,333 682 4,669 1,398 6,853 3,367 37,^62 20,662 1,307 2,009 37,869 24,217 910 910 865 276 40 399 150 4,580 4,030 3,706 1,472 121 1,^70 643 21,140 18,010 15,099 3,221 708 5,627 262,960 226,290 192,584 36,055 8,951 75,840 Deposits of banks U. Govt, deposits Other demand deposits Other tj.tne deposits Borrowings Other liabilities Total capital accounts Total liabilities Vand capital * Figures have been rounded to nearest 10 million. 1/ Includes an Alaska and a Virgin Islands member bank. 71,738 0.7(a) CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MAY 28, 1958 to JUNE 25, 1958 (Partly estimated. Item In millions of dollars) Member banks Central reserve Reserve city city banks New York 1 Chicago banks All banks* All commer cial banks* Total 4 4,420 +4,220 +4,114 +1.637 + 362 + 2,360 +1,460 + 600 +2,120 + 1,500 + 600 +1,994 + +1,554 + + 566 + + + + 75 ±1*229. +1.230 +1.175 Country banksl/ 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 570 570 100 600 + + 60 600 + + + 775 626 236 M l 572 + 234 19 23 4l 41 + 585 + 382 + + + 682 19 + + + 624 619 190 + 44 + 256 + .... 27 1 25 7 + 213 - 33 - 64 + 140 268 - 8 .J:___ 32L +5,283 +5,720 +2,278 520 41 121 98 30 39 70 23 22 398 +1,666 + 941 6o4 411 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +4,790 + 1,260 + 4,790 + 960 +4,666 +2,167 + 881 + 123 + + 366 24 +1,529 + 323 + + TOTAL DEPOSITS +6,050 + 5,750 +5,547 +2,290 + 390 + 1,852 +1,015 + 150 +4,040 + 530 +1,330 + 150 +4,040 + 530 +1,030 + 106 - 47 +3,941 +1,857 + 550 + 331 + 950 + 149 + + 16 386 39 27 261 + + 94 +1,398 3 + 363 + 19 - 110 96 10 - 130 4 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings - 200 - 200 - 175 + Other liabilities - 230 - 190 - 179 - 35 + 100 +__ 22. _+ 20 + 11 1, Total capital accounts Total liabilities and capital +5,720 + 5,450 + 5,283 * Figures have been rounded to nearest 10 million. 1/ See footnote on first page. 12 + 2,278 1 + 398 ± 43 300 411 26 ___ +1,666 + 941 rG»7(b) CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 2 6 , 1 95 7 t o (Partly estimated. Item JUNE 2 5 , 1958 In millions of dollars) Member bankB Central reserve ; Reserve I city city- banks New York | Chicago’ banks All banks* All commer cial banks* + 16.260 +]4.060 +12.5^8 +3.491_ + Total Country banksl/ ASSETS Loans and investments s Loans and discounts U. S. Govt, obligations ” Other securities Reserves, cash, and bank balataces + 3,340 + 1,640 + 1,178 - 168 + 8,770 + 9,240 + 8,662 +2,925 + 4,150 + 3,180 + 2,698 + 73^ 553 - 401 + 855 + 99 + 498 +3,959 +1,014 +1,249 + 923 + 851 + + 1,020 + 970 + 725 + 277 + 117 + 30 + 50 + + 1,030 + 30 30 40 + 990 + 30 27 + 35 75^ 37 + 63 4 2 220 + + 109 2 70 60 - 62 + 7 + 334 - 143 - 137 + 34 + 352 5^ 630 + 550 + 505 + 234 + 23 + + +17,910 +15,580 +13,768 +4,002 + 693 +5,757 +3,316 *■Gross demand deposits i Gross time^ deposits + 5,920 + 5,920 + 5,^72 +1,917 + 10,620 + 8,540 + 7,326 +1,604 + + 566 109 +2,431 +2i.02J_ + 558 +2,586_ r TOTAL DEPOSITS +16 ,54-0 +14,460 +12.798 +3.521 + 675 +5,458. ,+2*l^ + 1,750 + 1,804 + 857 + 4,920 + 4,700 +2,04l + 100 - 123 - 172 + 7,690 + 6,417 + 795 + + + + 180 373 39 83 + 715 +I,6l8 + 186 +2,939 + 52 + 668 - 176 +2,600 ► * 1 Reserve with FR Banks Cash in vault Balances with banks Cash iteios + Total assets 136 150 195 98 LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits V + 1,750 + 4,920 + 100 + 9,770 780 - 726 - 13 - 51 - 431 - 231 640 + 601 + 182 + 24 + 298 + 97 + 312 + 45 + J02 + 306 +4,002 + 693 +5,757 +3,316 - 780 * Other liabilities + 770 ' Total capital accounts + 1,380 + 1,260 Borrowings Total liabilities and capital * + + 1,095 +17,910' +15,580 +13,768 Figures have been rounded to nearest 10 million, l/ See footnote on first page. 0.7(c) CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds 1/ (Partly estimated. Item In billions of dollars) June 25, 1958 May 28, 1958 June 26, 1957 Change t<0 June 25> 1958 :from — May 28, ,June 26, .. 1958 1957__ 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 26.6 26.8 21.4 5.2 21.6 5.2 240.4 116.4 98.4 72.1 234.9 113.9 _ 96.0 70.7 24.1 1.3 25.0 25.0 1.2 25.6 27.7 22.6 5.1 222.2 113.0 87.8 63.4 22.9 1.6 21.4 - .3 - .3 - 1.2 - 1.3 + .1 +5.5 _ +2.5 +2.4 + 1.5 + .9 +18.1 + 3.4 +10.5 + 8.8 + 2.1 - .3 + 4.2 ... + .6 266.9 26l.il_ __2lt9.*2 229.4 228.1 219.7 27.8 27.8 27.8 105.7 94.7 1.2 105.8 105.6 - .1 +1.3 + .1 + 9.8 - .2 10.2 6.1 5.2 *1-4.2 + 5.0 9.7 .5 5.7 4.8 .5 +4.0 + .1 + 4.9 + .1 4.0 .7 4.0 .7 3.4 - .1 ..±IL<2__ LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks 93.3 1.2 .4 84.9 1.5 +1.3 + 9.7 wmmm Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 22.7 22.8 20.9 - .1 + .6 - .1 + 1.8 Total liabilities and capital, net 266.9 261.7 249.9 + 5.2 +17.0 .8 Seasonally adjusted + .1 + .1 28.0 Currency outside banks 27.9 27.9 - .2 + .1 107.6 107.4 Demand deposits adjusted , * Figures may not add to totals because of rounding. For description and back figures of seasonally adjusted data, see July 1957 Bulletin, pp. 828-29* 1/ Treasury funds included are gold account, Treasury currency account, and Exchange , Stabilization Fund.