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RESERVE

FEDERAL
statistical

release
For immediate release

July 9, 1970
ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES
JUNE 24, 1970

H.8

(Partly estimated.

In millions of dollars)

All
coml.
banks

All
member
banks

!~19.430

333.825

57.819

14.387

119~473

142.146

Loans and discounts
293' 280
U. S. Treasury securities 51,080
Other securities
75,070

238,917
36,986
57,922

45,634
4,300
7,885

10,779
1,480
2,128

88,768
11 '039
19,666

93,736
20,167
28,243

77 570

68 124

19 404

2 717

24 999

21 004

21,350
7,320
16,390
32,510

21,345
5,656
9,228
31,895

3,278
463
515
15,148

1,108
103
114
1,392

9,260
1,749
2,623
11,36 7

7,699
3,341
5,976
3,988

20.710

17.869

') 622

1 .003

6.374

4 870

517.710

419.818

82 845

18 .107

150.846

168.020

Gross demand deposits
Gross time deposits

212,370
201 880

174,793
155 559

40,641
1') 096

7' 116
4 896

61,124
56 922

65,912
78 64')

TOTAL DEPOSITS

414 2'10

110 1'i2

'i'i 717

12.012

118 046

22,960
7,850
182,460
200,980

21,836
6,560
147,142
154,814

9,504
1,038
30,419
14,776

1,325
265
5,568
4,854

8,565
2,926
49,842
56,713

2,442
2,331
61,313
78,471

Borrowings

22,870

21,576

5,231

2,481

11' 272

2,592

Other liabilities

39,670

35' 119

15,573

2,061

9,730

7,755

Total capital accounts

40,920

32' 771

6,304

1,553

11' 798

13' 116

ASSETS
Loans and investments

Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets
TOTAL ASSETS/LIABILITIES

Reserve city banks
New York City of
Other
Chicago
City

Country
banks

LIABILITIES & CAPITAL

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

Loans and investments l/
Loans and discounts 1/
U.S. Treasury securitie
Other securities

ll

lld...

'i'i7

1970
405,300
276,700
53,500
75,100

NOTE:

Current and week-ago figures reflect
adjustments to December 31, 1969
benchmarks.

Excludes total coml. interbank loans.
NOTE: Comparability of figures affected by changes in FR membership, mergers,
etc., and in reserv~· classifications.




- 2 -

CHANGES IN ASSETS AND LIABILITIES OF ALL C<l1MERCIAL BANKS IN THE UNITED STATES
June 17, 1970 to June 24, 1970

H.8

(Partly estimated.
All
coml.
banks

Item
ASSETS
Loans and investments
Loans and discounts
Treasury securities
Other securities

u. s.

Reserves, cash, and
bank balances

In millions of dollars)
All
Reserve city banks
member ·New York City of
Other
banks
Cit_y
Chicago

Country
banks

-1,580

-1,268

+

223

-

92

-

869

-

530

-

-

+

+

588
175
106

-

531

-

15
71
36

-

-

746
317
206

+

93

-

313

-

413

-1,450

-1,037

-

+
+

670
720
190

-

358
655
255

-

-

-

92

-3,780

-3,213

-1,360
+ 270
-1,890
800

-1,362
+ 205
-1,365
- 691

-1,653
+
18
489
+1,811

85
8
+
12
+
- 348

+ 281

+

+

90

+

125

+

1

;-

-5,330

-4,391

+

35

-

504

-21.253

-1,669

Gross demand deposits
Gross tfme deposits

-5,580
+ 490

-4,434
+ 403

+

272
.13__8.
+

-

645

+

n

-2,014
+ 10~

+

TOTAL DEPOSITS

-5.090

-4 031

+

_ilfr

-

633

-1.90(;

-1 QO?

- 750
-1,140
-3,690
+ 490

- 650
-1,035
-2,744
+ 398

+

-

+
+

346
721
649
136

-

+

81
227
337
12

- 693
+
89
-1,407
+ 105

222
176
-1,649
+ 145

Borrowings

-

530

-

620

-

752

+

87

138

+

183

Other liabilities

+

270

+

248

+

403

+

38

-

240

+

47

Total capital accounts

+

20

+

12

-

26

+

4

+

31

+

3

Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets
TOTAL ASSETS/LIABILITIES
LIABILITIES

&

30

+ 48
- 392
-1,387
_.6.6

-

-

95
131
496
767
10?

CAPITAL

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




-

'

-

-2,047
1l..'i

-

- 3 CHANGES IN ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES
June 30, 1969 to June 24, 1970
(Partly estimated.

H. 8

Item

In millions of dollars)

All

All

cornl.
banks

member
banks

+ 9' 151

+ 4,118

-

66

+

66

-

316

+ 4,435

+ 9,430

+ 4' 95 7

-

206
136
4

186
596
94

+ 5,163

+

598
145
677

+

- 2,964
+ 2,685

-

+

- 2,396
+ 1,558

-10,639

-10,491

- 6,819

+

1

- 2,266

- 1_1406

+ 1,549
+ 1,062

+ 1,544
+ 828

+

-

+
+

-

+
+

- 1,390
-11,474

456
25
37
443

+ 1,315
+ 250

- 1,492
-11' 759

934
63
1
- 5,947

+ 2,446

+ 1, 913

+

448

+

171

+

602

+

958

- 4_,460

- 6,438

+

238

- 1,981

+ 3' 721

-12,243

Reserve city banks
New York City of
Other
City
Chicago

----~~~~~~~~~~-----

Country
banks

ASSETS
Loans and investments
Loans and discounts
U. S. Treasury securities
Other securities
Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets

TOTAL ASSETS/LIABILITIES +

-

-

+

- 272
- 3,559

- 1,519
+ 791

708
490
- 1,080
- 1 '524
692

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+ 1,130

-12,465
- 1,648

- 6,028
769

-

-

718
305

- 4,107
- 3,004

+ 2,430

TOTAL DEPOSITS

-11,113

-14,114

- 6 797

- 1,023

- 7,111

+

-

68
10
624
321

-

622
593
+
- 4,237
- 2, 846

-

159
795
+
- 2,249
+ 2,431

+

Deposits of banks
u. s. Govt. deposits
Other demand deposits
Other time deposits

- 1,612
818

- 3,109

- 2,983

+ 1,860

+ 1,381

-11,327

+ 1,463

-11' 145
- 1,367

- 2,134
2
+
- 4,034
- 631

Borrowings

+ 8,130

+ 7,577

+ 1,560

+ 1,251

+ 3,961

Other liabilities

+ 1,844

+

623

- 1,222

-

52

+

538

+ 1,358

Total capital accounts

+ 2 097

+ 1 454

21

+

61

+

632

+

Loans and investments Jj
Loans and discounts 1/
U.S. Treasury securities
Other securities




+ 8,000
+ 7 500
'
- 2,800
+ 3,300

+

805

740

of June 30 1970
For numbered footnotes, see first page.
Figures may not add to totals due to
rounding.

- 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.
Item

In billions of dollars)

June 24,
1970

Change to June 2 4,
from -May 27, June 30, 1970
May 27, June 30
1969
1970 r
1970
1969

ASSETS
Monetary reserve
Gold Stock
Special Drawing Rights Certificates
Treasury Currency
Bank credit
Loans, net
Treasury securities

u. s.

Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

6.7

------

+1. 7
+1.0
+ .4
+ .3

525 0

522.1

+3.6

+6.6

330.2
111.6

326.1
113.0

326.7
111.8

+4.1
-1.4

+3.5
.2

54.5
57.0

55.9
57.1

57.7
54.1

-

-1.3
.1

-3.1
+2.9

86.8

85.9

83.5

+ .9

+3.3

547.4

543.8

539 2

+3 6

+8 2

466 4

464 4

460 2

+2 .0

+6 .2

46.6
150.0
269.8

46.4
149.4
268.6

44.5
149.5
266.2

+ .2
+ .5
+1.2

+2.2
+ .4
+3.6

9 0

7 5

7 .3

+1 5

+l 7

7.9
1.1

6.2
1.3

6.0
1.3

+1. 7
.2

+1.9

2.5

2.4

2.4

+ .1

+ .1

.5

.6

-

11R 7

--

- .2

1

.5
6CJ 0

547.4

543.8

539.2

+3 6

18.8
11.4
.4
7.0

18.7
11.4
.4
7.0

17.1
10.4

528 6

--

--

--

--

--

-

--

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted
Time deposits adjusted

u. s.

y

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
Seasonall~

6q_

-

.1

-

-1-

.1

4

+R 2

adjusted
46.6
46.5 2/ 43.7
Currency outside banks
+ •1
+2.9
152.6
Demand deposits adjusted
151.7 2/151.6
+1.0
+ .9
>'<
Figures may not add to totals because of round1.ng. Treasury funds 1.ncluded are
gold account, Treasury currency account, and Exchange Stabilization Fund.
11 Demand deposits adjusted, including demand deposits of foreign banks and of mutual
savings banks, were $153.1 billion on June 24, 1970.
~/ June 25, 1969.
Figures and comparisons of seasonal adjustments are available only
for last Wednesday of the month.
El Figures for mutual savings banks were revised.
NOTE: Current and month-ago figures reflect adjustments to December 31, 1969 benchmarks.