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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.