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June 10,
For immediate release
ASSWL’S AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MAY 27, 1964

w»
I *J. 4

(Partly estimated.

>
Item
r

ASSETS
Loans and investments
♦
^ Loans and discounts
U. S. Govt, obligations
* Other securities
•^Reserves, cash, and
* bank balances
Reserve with FR Banks
-v Cash in vault
Balances with banks
^ Cash items
>
Other assets
TOTAL ASSETS/LIABILITIES

All
banks

All
coml.
banks

In millions of dollars)
All
member
banks

Reserve city 'banks
New York City of
Other
City
Chicago

Country
banks

305,660 255,720 211,293 35,467

9,394

79,226

87,206

199,210
65,150
41,300

160,860
59,110
35,750

135,665
45,979

6,173
1,706
1,515

53,749
15,294
10,183

23,360

29,649

24,544
5,619
5,304

48,850

48,000

41,983

9,393

2,185

16,999

13,406

16,180
4,810
12,390
15,470

16,180
4,680
11,720
15,420

16,176

3,864

5,000

1,006
50
168
961

6,617

3,619
7,139
15,049

1,116
2,242
7,024

4,689
2,166
4,487
2,064

8,910

8,090

7,165

2,486

227

2,525

1,927

363,420

311,810

260,441 J l z 3 t e . 11,806

98,750

102,539

153,960

287
242

51,199

12,647

u
LIABILITIES & CAPITAL
.“..
... ...-.
*
Gross demand deposits
Gross time deposits

165x540

153,910 129,644
119,260 _ 57,815

25,090
13,500

6,345
4.069

48,948
rr.866

49,261
4p ,^8o

’TOTAL DEPOSITS

319,500

273,170

227,459

38,590

10,414

86,814

91.641

14,310
7,420

13,511

4,366
l,4l6

164,690

14,310
7,420
133,030
118,410

110,182
97,129

13,138

1,174
387
4,810
4,043

6,346
2,757
40,009
37,702

1,625
2,077
45,693
42,246

3,560

3,560

3,389

1,494

185

1,301

409

9,740

8,700

7,874

2,911

199

2,603

2,161

30,620

26,380

21,719

4,351

1,008

8,032

8,328

Deposits of banks
■* U. S. Govt, deposits
, Other demand deposits
Other time deposits
Borrowings
*Other liabilities
<Fotal capital accounts

133,080

Seasonally adjusted data
. Loans and investments l/
Loans and discounts 17........

4

U.S. Govt, obligations...
Other securities.......

MOTE:

6,637

l/

19,670

Excludes total coml. interbank loans.

252,800

156,700
60,300

35,800

Comparability of figures affected by changes in FR membership, mergers, etc.,
and in reserve classifications.




-

r*

2-

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IH THE UNITED STATES,

A

*

APRIL 29, 1964 TO MAY 27, 1964
(Partly estimated.

Item

ASSETS
Loans and investments
Loans and discounts
U. S. Govt, obligations
Other securities

In millions of dollars)
Reserve city banks
n r
Airmember New York City of
coml.
Otber
City * Chicago
banks
banksE/ banks

+1,530

+1,130

+

918

+

843

+ 78

+2,630
-1,030
70

+2,200

+1,792
- 755
- 119

+
+
+

577
229
37

+ 85

529

+ 67

264
14
52
199

+
+

Resei'ves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets
TOTAL ASSETS/LIABMTIES

140
-

60

-

1,010

-

60

+

110

60

-

+

320

+

290

-

120

-

120

-

10

-

10

+1,660

+1,230

+

94

66
1

-

+
+
-

99

+
+
+
+

31

- _____

258

-

981

+

66.

+1,306

- 7

+
+

’ ■
Country.
banks *

576

-

938
398

+ 192 ♦ *
- 586
- 185

36

579

^ 4

- 446

55
37

- 326
+
7
+
99
- 226

-IS.

+___51.

+130

+ 181

23
2

-

51."

+
19
18
+
52
- 109

LIABILITIES & CAPITAL

V"
"4

,L

+126

- 448
- 216 *

Gross demand deposits
Gross time deposits

5^0
+1,590

540
+1,310

- 440
+1,082

+

81 9

+ 25

- 191
+ 4o4

TOTAL DEPOSITS

+1,050

+

+

642

+

942

+151

+

30
+3,020
-3,5^0
+1,600

30
+3,020
-3,540
+1,320

1

+
+
-

+ 44
+172
- 83
+ 18

3
+1,121
-1,312
+ 407

- 60 ^ ,
+ 879
-1,267 - 216 , 4

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

770

Borrowings

+2,686
>3,132
+1,089
+

18

Other liabilities

+

280

+

160

+

102

Total capital accounts

+

330

+

300

+

219

Seasonally adjusted data
Loans and investments 1/.
Loans and discounts y . .
U.S. Govt, obligations..
Other securities......

18

664

213

+

514
470
880

+

224

+ 19

- 199

-

26

8

- 36

+

119

+

27 * ‘
u

-

+

48

+

+

148

4

For numbered footnotes, see first page.
+1,900
+1,400
+ 300
+ 200

r/ Mutual savings bank figures for
April 29, 1964 revised.

* As of May 18, 1964, country bank totals were reduced and New York City figures
increased by $1,116 million following a change in reserve classification of a
bank.




27

k

w n

-3-

►*
*

►

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,

*
i* V
[^j.If.

MAY 29, 1963 TO MAY 27, 1964
(Partly
estimated.
X-

■> V
Item
r

All
banks

In millions of dollars)
Reserve citv banks
All
All
member New York City of
coml.
Other
banks
City#...Chicago
banks

Country
banks #

ASSETS
+23,020

+19,230

+15,401

+3,352

+562

+5,729

+5,758

Loans and discounts
U. S. Govt, obligations
* Other securities
*
Reserves, cash, and
* ” bank balances
►
Reserve with FR Banks
'' Cash in vault
N Balance with banks
Cash items

+23,090
- 4,070
+ 4,000

+19,110 +16,150
- 3,900 - 4,044
+ 4,020 + 3,295

+3,658
- 859
+ 553

+745
-344

+161

+6,449
-1,893
+1,173

+5,298
- 948
+1,408

+ 1,130

+ 1,120

^ Other assets

+ 1,020

TiOans and investments
^

+
+
+
+

260 +

+

974

+

70

+101

+

396

+

407

260 +

255
411

+ 35
+ 8
+ 6
+ 52

- 110
+ 117
+
78
+ 311

+
+
+
+

4o
239

107

+ 290
+
47
+
47
- 314

820

+

263

+

257

260 +
120 +

490
240
130

+
+
+

+

950

+

490

TOTAL ASSETS/LIABILITIES +25,170

+

201

300

—

+

70
58

+21,300

+17,195

+3,722

■+663

+6,388

+6,422

LIABILITIES & CAPITAL
„ ,Gross demand deposits
Gross time deposits
*>

+ 3,870
+17,540

+ 3,880
+14,010

+ 2,541
+11,814

+
2
+3,129

+ 86
+569

+ 58O
+4,624

+1,873
+3,492

j*
^7TOTAX
j DEPOSITS
XV iJ
I'llAVMX-JLM

+21,410

+17,890

+14,355

+3,131

■^55

+5,204

+5,365

* Deposits of banks
k. , U. S. Govt, deposits
Other demand deposits
"* Other time deposits
*>
Borrowings

+
40
+
360
+ 3,540
+17,470

4
+
4o +
+
4oi
+
360
+ 3,550 + 2,243
+13,940 +11,707

- 119
+ 160
+
58
+3,032

+ 4o
+ 37
+ 19
+559

- 20
+ 305
+ 303
+4,616

+ 103
- 101
+1,863
+3,500

. ^Other liabilities
4 Total capital accounts
Seasonally ad.1u3ted data
Trtono am/3
1/_
T/^onct nrirl rH ROftlints 1
TT Q

H nvf

n h l 1 /7f t t i o n 3




500 +

500 +

479

+

202

+ 20

+

170

+

87

+ 1,020

+

890 +

724

-

15

- 49

+

395

+

393

+ 2,240

+ 2,020

+ 1,637

+

4o4

+ 37

+

619

+

577

+

+18,000
i +17,800
- 3,900
+ 4,100

For numbered footnotes, see first page.
# Beginning with June 1963 country bank
totals have been increased and New York City
figures reduced $525 million incident to a
change in reserve! classification of three
banks.

-4CONSOLIDATED 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.

J.4

Item

In billions of dollars)
May 27,
1964

Apr. 29>
196J+51/

May 29,
1963

Change to May 27,
1964 from —
May 29,
Apr. 29,
1963
1064

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

21.4

15-5
5.6

15.5
5.6

15.8

336.9

335.0

311.6

195.9
99.7

193.5

173-3

65.2

100.1
66.2

34.0
.5
41.3

33.1
.8
41.4

31.1
•7
’ 37.3

358.0

356.JL

315.1
32.4
117.6
164.7
.4

121.0
I63 .I
.4

8.3

5.4

7.4
.9

5.6

—
__

-

-3—

-

.3

+1.9
+2.4
- .4
-1.0
+ .9
- .3
- .1

+25. ^

332.2 ..._

+1-9...

+25.0

316.6

292.6

-1.5

+22.5

32.0

30.7
114.2

+ -3
-3.^
+1.6

+ 1.6
+ 3.^
+17.5
- .1

7 .7 __

+3.0

+

.6

4.4
1.0

7.1

.6

+3.0
- .1

+
+

.4
.3

1.3
.4
32.9

1.3
.4
32.4

1.2
.4
31.0

-—
+ .4

+

358.0

356.1

33.2,i>

+1.9

+25.0

101.0
69.2

+22.7
- 1.3
- 4.1
+ 2.9
- .2
+ 4.0

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

147.2
.5

.1
-+ 1.8

Seasonally adjusted
+ 2.0
+ .2
30.5
32.3
32.5
Currency outside banks
-1.2
+ 3-5
115.9
119.
^ "~T" 120.6
Demand
l^UICUiU deposits
VV adjusted
. n^i 1____________T - ..
... 1 "
-- --* Figures may not add to totals because of rounding. Treasury funds included are
cold account, Treasury currency account, and Exchange Stabilization Fund.
1/ DeSid deposit^ adjust, including demand deposits of foreign banks and of mutual
savings banks, were $ 119-6billion on May 27, 1964.
r/ Revised.