The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
RESERVE FEDERAL -· statistical release For immediate l:'elease June 11. 1969 ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES MAY 28, 1969 (Partly est~ated. In millions of dollars) H.8 All member banks 397,900 321,197 54,847 13,646 116,902 135,802 271,330 55,220 71,350 224,696 40,177 56,324 43,174 4,099 7,574 9,996 1,473 2 '177 85,316 11 '982 19,604 86,210 22,623 26,969 77,240 68,479 20,784 3,067 24,557 20' 071 22,410 6,650 15,920 32,260 22,408 5,191 9,157 31' 723 4,556 431 585 15,212 1,205 95 358 1,409 8,994 1,602 2,599 11,362 7,653 3,063 5,615 3,740 16,530 14,295 4,564 846 4,660 . 4,225 491,670 403,971 80,195 17,559 146,119 160,098 Gross demand deposits Gross time deposits 205,020 201,830 39,228 16,960 64,039 76 304 406,850 56,188 7,309 5.353 12,662 60,144 61.096 TOTAL DEPOSITS 170,720 159 '713 330,433 121,240 140 343 21 '930 6,920 177,450 200,550 20,844 5, 710 145,261 158,618 9,239 885 29,577 16,487 1,207 233 5,886 5,336 8,130 2,379 50,043 60,688 2,268 2,213 59,755 76,107 17,490 29,440 16,467 26,319 4,921 12,869 1,682 1,769 7,819 6,046 2,045 5,635 37,890 30,752 6,217 1,446 11,014 12,075 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/LIABILITIES Reserve city banks New York City of Other City Chicago ' All coml. banka Country banks LIABILITIES & CAPITAL Deposits of banks U. S. Govt. deposits Other demand deposits Other time deposits Borrowings Other liabilitiea Total capital ~ccounta Seaaonallz ad1uate4 d!t• Loana and invea~tl 1/ Loans and discounts 1/ u.s. Govt. obliaation• Other securiti'• NOTE: 390,800 263,300 56,000 71' 500 !I Excludes total coml. interbank loans. .,. Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. - 2 • CHANGES IN ASSETS AND LIABILITIES OF ALL C(!JM!RCIAL BANKS IN THE UNITED STATES MAY 21, 1969 TO MAY 28, 1969 H.B Item (Partly eatimated. All coml. banks ASSETS Loans and investments dolla~s) In million• of All member banks Reserve city banks New York City of Other City ChicaRO -1,680 -1,433 -1,210 440 30 -- -1,039 337 57 --- + 10 + - + 700 160 300 850 + 417 - 137 334 52 31 - +1,381 705 129 35 + 861 + + + 350 + 279 + TOTAL ASSETS/LIABILITIES -1,320 - 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 464 - 415 122 9 6 - 285 118 61 -+- 298 158 41 - 187 - 504 - 440 - - - . 651 + 42 + 273 168 - + 68 5 174 50 - 300 65 126 79 114 + 29 + 4 + 132 904 +1,078 - 295 - 964 - 723 250 - + - 314 17 8 +1' 058 - - + - LIABILITIES & CAPITAL Gross demand deposits Gross tUne deposits - -1,180 30 -- 591 87 +1,113 150 -- 43 13 - 581 29 -1,080 + 10'1 TOTAL DEPOO ITS -1,210 - 678 + 963 - 56 - 610 - 975 . Deposits of banks · U. s. Govt. deposits Other demand deposits Other time deposits + 680. -3,370 +1, 500 20 + 721 + - 85 1·84. 225 12 - 51 -1,018 + 491 32 - 970 Borrowings - 179 - Other liabilities 54 Total capital accounts 6 - -2,824 +1, 511 86 + - 947 652 815 147 727 - 118 + 460 + 470 + 241 + + - 8 - 610 40 - 31 - + - - - 90 + - 20 105 660 + 230 + 286 - 3 + 20 + 2'l - - 3 CHANGES IN ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS 1N THE UNITED STATES MAY 29, 1968 TO MAY 28, 1969 (Partly estimated. In millions of dollars) H.8 All All coml. banks member banks +34,790 +26,833 + 4,047 +1' 112 +10,397 +11, 277 +32,030 - 5,100 + 7,860 +25,822 + 4,437 - 4,556 - 1,070 680 + 5,567 + +1, 046 257 + 323 +10,619 - 1,514 + 1,292 + 9, 720 - 1 '715 + 3, 272 +12,140 +11,064 + 6, 211 + 99 + 2,607 + 2,147 + 2,480 + 670 + 1,610 + 7,380 + 2,480 + 561 + 481 + 69 + 204 770 + + 7,333 + 5, 377 + + + - 87 19 133 126 + 481 + 156 + 541 + 1,429 + 1,351 + 237 + 158 + 401 + 3,590 + 2,935 + 1,154 + 205 + 395 + 1,181 +50.520 +40,832 +11.412 +1 416 +13,399 +14.605 Gross demand deposits Gross time deposits +17 ,440 +11 950 +14,622 + 5,838 2 397 + 7.433 + - 522 285 + 4,395 + 3,087 + 3,867 + 7.028 TOTAL DEPOSITS +29.390 +22,055 + 3~441 + 237 + 7 482 +10 895 + 3,490 + 1,550 +12, 270 +12,080 + 3,315 + 2,574 + 1,151 + 49 +10, 019 + 3,071 2,253 + 7,570 + + + 60 64 407 294 + 498 + 685 +3,192 + 3,107 + 183 + 353 + 3,349 + 7,010 Borrowings + 7,790 + 7,394 + 2,335 + 856 + 3,412 + Other liabilities +10, 560 + 9,337 + 5,363 + + 1, 714 + 2,037 Total capital accounts + 2.780 + 100 + + 2.046 + 882 273 791 + For numbered footnotes, see first page. Item Reserve city banks New York City of Other City Chicago ~~~~~~~~~~~--I Country banks ASSETS Loans and investments Loans and discounts Govt. obligations Other securities u. s. Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES LIABILITIES & CAPITAL Deposits of banks U. S. Govt. deposits Other demand deposits Other time deposits adjusted data Loans and investments 1/ Loans and discounts l7 U.S. Govt. obligations Other securities Seasonall~ - +33,500 +30,700 - 5,000 + 7,900 - - - 223 791 - 4 CONSOLIDATED CONDITION STATEMENT FCil BANICS AND THE MONETARY SYSTEM* All Commercial, Savinss, and Federal Reserve Banks, and Treasury Currency Funds H.8 · (Partly estimated. In billions of dollars) May 28, Apr. 30, May 29, 1969 1969 1968 Item !..I Change to May 28 1969 fran -Apr.30, May 29 1969 1968 ASSETS Monetary reserve Gold stock Treasury Currency Bank credit Loans, net S. Govt. abligations u. Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted Tbne deposits adjusted u. J:/ 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 17.1 17.1 17.2 10.4 6.7 10.4 6.7 10.4 6.8 506.8 510.2 472.4 311.7 112.7 312.4 114.9 283.1 116.3 59.2 :;,.4 .1 61.8 53.1 .1 82.5 -- ---- - .1 -- .1 - 3.4 .8 - 2.2 + 34.5 + 28.6 64.7 50.5 1.1 - 2.6 + .3 -- 5.5 2.9 + 1.0 82.9 72.9 - 4 + 9 5 523.9 527.3 489 5 - 3 4 + 34.4 455.1 458.4 431 .9 - 1 43.5 145.2 266.4 7.4 42.9 149.1 266.4 10.3 41.1 140.3 250.5 -6 3 + .6 6.9 .4 9.4 1.0 5.4 1.0 - 2.4 2.1 2.3 2.1 .7 .7 . 55 6 527.3 1.0 58 7 523.9 48.2 489.5 - _3 - 3.9 -- - 2.9 + .s - - _±21 2 + + + + + 1 1 - 3.4 2.5 4.9 15.9 1.0 - 1.6 .5 - .4 .2 -- 3.6 + -10 6 + 34,4 Seasonalli adjusted Currency outside banks 43.6 43.3 40.8 + .3 + 2.8 "'..47.4 148.7 142.4 - 1.3 Demand deposits adjusted + 5.0 * Figures may not add to totals because of rounding. Treasury funds included are gold account, Treasury currency account, and EKchange Stabilization Fund. 1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $148.3 billion on May 28, 1969. !1 Figures for mutual savings banks were revised.