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J u ly 29 , 1964 For immediate release ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JULY 15, 1964 ► u J.4 Item 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 (Partly estimated. All All coml. banks banks 309,840 259,460 In millions of dollars) Ail Reserve city 'banks member New York City of Other banks City Chicago Country banks 214,655 36,221 9,544 80,550 88,340 203,510 164,760 139,142 52,281 23,299 58,190 36,510 45,146 30,367 25,401 5,274 5,546 6,261 64,260 42,070 1,596 55,199 14,886 10,465 -55J10Q 54,920 47,896 10,354 2,362 19f5^1 15.640 17,270 4,790 17,270 4,660 13,680 19,310 17,268 3,845 3,587 271 265 935 52 221 1,154 7,033 1,079 2,341 9,078 5,455 2,185 5,401 2,608 258 2.510 2.005 , 14.360 19.360 9,140 8,228 18,813 8.310 _ 7,351 5,973 2.578 TOTAL ASSETS/LIABILITIES 3X4*760 -322*620 . 269.902 | . 42*153. 1,687 12.164 12,760 102.591 JL05a.224.-j LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 167.250 120,450 _ 98,816 26,737 H.707 6,587 4.128 52,325 ^8.050 42.9 U TOTAL DEPOSITS m J m . 283,640 236,540 40,444 10,715 90,375 95,006 ,;f 16,570 6,260 16,570 141,310 166,350 141,260 119,550 15,643 5,503 117,304 98,090 4,973 1,110 21,050 13,311 1,332 296 4,986 4,101 7,432 2,103 42,959 37,881 1,906 1,994 48,309 42,797 Borrowings 4,340 4,340 4,094 1,489 235 1,779 591 Other liabilities 9>120 8,lito 7,378 2,829 196 2,348 2,095 30,810 26,570 21,890 .4,391 1,018 8,089 8,392 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Total capital accounts NOTE: 163,240 163,190 137,724 6,260 52,075 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 10, 1964 TO JULY 15, 1964 Item (Partly estimated. In millions of dollars) “ TOT “ AlT“ Reserve city ' banks All member New York City of coml. Other banks banks banks City Chicago 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 Country banks +2,870 +2,570 +2,376 + 333 +190 +1 ,112 + 741 +3,240 - 860 + 490 +2,970 - 890 + 490 +2,778 - 850 + 448 + 646 - 432 + 119 +216 - 74 + 48 +1 ,304 - 361 + 169 + + + 612 17 112 +5,630 +5,650 44,971 +1 ,018 +334 +2 ,102 +1 ,517 + 570 + 160 +1,250 +3,650 + 570 + 160 +1,270 +3,650 + 572 + 104 + 703 +3,592 132 20 + 5 +1 ,165 + 24 + 2 + 48 +260 + 103 + 10 + 159 +1,830 + + + + 577 112 491 337 + + + + + - + 77 220 210 173 107 9 20 +3,720 +8,430 +7,520 +1 ,458 +533 +3,194 +2 ,335 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +7,160 +1,000 +7,160 + 710 +6,391 + 611 +1,353 + 81 +472 + 59 +2 ,733 + 107 +1 ,833 + 364 TOTAL DEPOSITS +8,160 +7,870 +7,002 +1 ,434 +531 +2 ,840 +2,197 +1,530 + 680 +4,990 + 960 +1,530 + 680 +4,990 + 670 +1,466 + 515 +4,444 + 577 + 669 14 + 732 + 47 +112 + 31 +330 + 58 + 548 + 83 +2 ,101 + 108 + 137 + 415 +1 ,281 + 364 Borrowings + + 740 + 669 - 36 + 9 + 522 + 174 Other liabilities - 300 - 290 - 259 + 30 - 11 - 195 - 83 Total capital accounts + + 108 + 30 + + 27 + 47 TOTAL ASSETS/LIABILITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 740 120 + 110 4 A- -3CHANGES IK ASSETS AND LIABILITIES OP ALL BANKS IN THE UNTIED STATES, JULY 10, 1963 TO JULY 15, 1964 J.4 (Partly estimated. * Item In millions of dollars) All member banks All coml. banks All banks Reserve city banks New York City of Other Chicago City 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 Balance with banks Cash items Other assets TOTAL ASSETS/LIABILITIES +22,060 +18,350 +15,217 +3,878 +514 +5,717 +5.108 +23,270 +19,480 - 5,280 - 5,190 + 4,070 + 4,060 +16,963 - 5,052 + 3,306 +4,563 -1,244 + 559 +678 -311 +147 +6,676 -2,258 +1,299 +5,046 -1,239 +1,301 + 6,430 + 6,460 + 5,562 +2,131 +306 +1,857 +1.268 + 1,160 + 1,160 + 310 + 310 + 1,150 + 1,170 + 3,810 + 3,820 + 1,158 + 247 + 454 + 3,703 + 477 + 13 + 59 +1,582 + 47 + 7 + 61 +191 + 144 + 46 + 142 +1,525 + + + + 490 181 192 405 + 1,110 + 1,030 + + 386 + 61 + + 237 +29,600 +25,840 +21,686 +6,395 +881 +7,797 +6,613 + 7,490 + 7,500 +17,420 +13,910 + 6,191 +11,817 +2,359 +3,386 +236 +604 +1,701 +4,381 +1,895 +3,446 +24,910 +21,410 +18,008 +5,745 +840 +6,082 +5,341 + 760 - 1,830 + 8,690 +17,290 + 760 - 1,830 + 8,700 +13,780 + 719 - 1,626 + 7,262 +11,653 + 622 - 381 +2,261 +3,243 + 56 - 98 +288 +594 14 - 615 +2,349 +4,362 + 55 - 532 +2,364 +3,454 + 1,350 + 1,350 + 1,193 + 90 + 36 + 697 + 370 + + 741 + 95 ! - 36 + 369. + 313 + 1,744 + 465 + 41 + 649 + 589 907 223 LIABILITIES & CAPITAL * Gross demand deposits Gross time deposits TOTAL DEPOSITS * Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings ' Other liabilities Total capital accounts V 960 + 910 + 2,380 + 2,170 . CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* * < All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds July 10, 1964 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 21.0 21.0 3.5.5 5-6 15-5 5-6 15-7 5-6 341.5 199.4 339-0 317-9 177-4 102.5 42.1 I 362.5 21.3 197-1 100.1 64 3 35.2 .6 | I 100.4 65.1 69.5 34.7 32.3 -6 1 -6 • 38.0 41.6 | 360.1 | 339.2 1963 - 1 .2 A .2 * 1 4 . +23.6 +21-9 + 2 ‘3 - ‘ 3 — - 2 ,4 - 5*3 - *9 + 2.9 + *5 .1 — + 4.1 + .5 +2-5 I +2.4 ' * , , , > +23.3 V * 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 322.0 1 122.O I 319.4 j 33*0 I 120.6 .4 165.4 .4 33*3 166.3 1 to 1 6 .4 298.0 I +2.6 j 31*4 + *3 1 117*1 1 +l *3 149*0 +1*0 .5 1 9 .3 1 + ...8 6.3 •9 5.6 -8 8.1 1.2 1 + .7 + .1 1-3 •4 1,2 1 '? + .1 32.6 360.1 30.2 -1.0 , +2 .4 31.6 I 362.5 Total liabilities and capital, net 1 339*2 +23.9 + 1.8 + 4.9 +17-3 - .1 * *, - 1.8* ' *3 w- + 1 .4 41 +23.3^ * Figures may not add to totals because of rounding. Treasury ^ are Tv^asrirv currency account, and Sxchange Stabilization Fun • 1/ Demand d ^ d e p o s i t s of foreign ban*s and of mutual ^ savings banks, were *12*. 1 billion on July 15, 1961*. S£ 3 , S ^ n g J