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FEDERAL t■s t (o' -A-R y RESERVE eease ^ j June 13., 1962 (For Immediate Release) LIABILITIES OF ALL BANKE IN THE UNITED STATES, MAY 30, 1962 (Partly estimated. rvr Item All banks* In millions of dollars) All commer cial banks* Member banks Reserve Central reserve city city banks Total banks New York Chicago Country banks ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and hank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets Total assets 260,250 217,710 181,180 29,534 7,631 69,433 74,582 127,220 107,980 4,592 51,913 21,287 19,223 7,167 3,144 1,926 1,113 43,304 18,585 7,544 4o,86l 24,235 9,486 157,790 70,620 64,3*10 31,840 26,150 46,210 45,390 39,702 8,292 1,928 16,523 12,959 16,390 4,160 16,390 16,388 3,335 980 38 99 4,846 1,837 4,367 1,909 11,850 13,810 11,220 6,816 3,075 226 13,750 13,423 177 4,554 811 7,227 974 2,173 6,149 7,010 6,340 5,674 1,920 lbl 2,133 1,1(60 313,470 269,41(0 226,556 39,746 9,720 88,089 89,001 146,640 146,580 124,781 74,197 24,453 8,133 6,022 2,502 48,613 29,298 45,693 34,264 237,380 198,978 32,586 8,524 77,9H 79,957 4,113 1,421 19,178 7,874 1,137 4,548 2,478 6,392 2,797 39,611 29,111 1,392 2,145 42,292 34,128 4,030 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 130,130 TOTAL DEPOSITS 276,770 Deposits of banks U.S. Govt, deposits Other demand deposits Other time deposits 1/ 13,720 7,450 90,800 13,720 7,450 13,034 6,724 126,270 126,210 105,629 90,000 73,591 129,330 361 2,070 2,070 2,002 606 75 1,058 263 . 7,870 7,080 6,561 2,813 237 1,958 1,553 Total capital accounts 26,760 22,910 19,015 3,741 884 7,162 7,228 Total liabilities and capital 313,470 269,440 226,556 39,746 9,720 88,089 89,001 Borrowings Other liabilities * Figures have been rounded to nearest 10 million. 1/ Includes amounts now reported by insured mutual savings banks as demand de posits; formerly, they were reported as time deposits or other liabilities. Note— The comparability of figures in this series Is affected by changes in Digitized forFederal FRASER Reserve membership, mergers, etc., and in reserve classification. G.7 CHANGES IN ASSETS AM) LIABILITIES OF ALL EJitiKS IN THE UNITED STATES, APRIL 25, I.962 TO MAY 30, I962 (fartly eetisated. Item la Kdllioas of dollars) All comercial banks* All tanka* vj Total Member banks Central reserve Reserve city city banka New York | Chicago banks Country banks ASSETS 00 + 450 + 308 -321 +127 + 195 + 307 + - 290 + 730 270 + 556 - 190 53 +219 -157 + 320 - 306 + 181 + + 358 -383 + 35 + 46 + 46 + 4o +229 + 16 118 - 425 + + + Loans and investments Loans and discounts U. S. Govt, obligations Other securities 10 Reserves, cash, and bank balances Reserve with ER Banks Cash in vault Balances with banks Cash items 20 ' 420 420 10 10 + 149 98 87 + ijyj -417 + 1 + 17 +628 00 - 25 - 13 - 15 + 68 - 65 660 + 323 -105 +1.28 + 14‘ + 155 -1,130 +l.,44o - 951 +1,255 + 67 +305 + 11 608 477 - 421 + 381 310 o4 +372 +103 131 4o - 530 +3,2b0 -3,850 +1, - 484 +2> -3,419 +1,244 + 46 + 91 - 360 +1,409 -1,655 + 475 112 -489 +297 58 +198 -128 -1,147 + 381 + 2 + 45 + 95 + 16 + 175 + 52 70 + Other assets Total assets - 520 + 90 520 - 19 + 11 4 + 10 5 7 + 15 149 - 208 + 66 99 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits -1,130 ■+1,590 46o TOTAL DEPOSITS Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits - 530 +3,260 -3,850 +.L ,)sa) Borrowings - 290 Other liabilities + Total capital accounts Total liabilities and capital + - + - 290 - 317 -459 290 + 210 + 198 - + 200 + IbO + 138 + 27 + 7 + 56 + 48 + 660 + + 323 -105 +128 + 145 + 155 390 * Figures have been rounded to nearest 10 million. xj April 25, 1962 figures revised. + 92 45 -3Q>7 , ' CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, MAY 31, 1961 TO MAY 30, I962 » (Partly estimated. *1 All banks* All commer cial banks* +18,930 +16,550 +13,730 +1,778 +580 +5,727 +5,645 +11,940 + 2,820 + 4,170 + 9,370 + 2,890 + 4,290 + 7,840 + 2,096 + 3,79^ +1,044 + 51 + 683 +301 - 68 +347 +3,289 + 709 +1,729 +3,206 +1,404 +1,035 + 1,290 + 1,300 + 967 + 148 + 31 + 603 + 185 + + + 46 l 30 14 + + + + 353 113 55 + 129 + 194 - 77 - 61 9 + 18 + 210 + +1,935 +629 +6,54o +5,872 4,060 + 2,865 19 +10,386 +1,593 87 +633 +1,372 +4,426 +1,599 +3,734 Item * ASSETS •> Loans and investments Loans and discounts U. S. Govt, obligations Other securities » Reserves, cash, and ” bank balances In millions of dollars) Total Member banks Central reserve Reserve city city banks banks New York 1 Chicago Country banks V Reserve with PR Banks Cash in vault > Balances with banks ► Cash items + + + + >Other assets + Total assets 500 + 500 + 496 - 420 4io 120 + + + 300 90 + 346 + 9 + 134 + 420 + 350 279 250 +20,640 +18,200 + + +14,976 + 32 38 43 99 82 42 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits SOTAL DEPOSITS Deposits of banks **U. S. Govt, deposits Other demand deposits Other time deposits + 4,090 + - - +14,430 +12,140 +18,520 +16,200 +13,251 +1,574 +546 +5,798 +5,333 210 + 2,370 2,010 +14,350 210 + 2,370 - 259 + 2,258 + 936 +10,316 + 629 - 390 +1,533 198 - 59 +l4o + -156 +621 11 +1,075 + 321 +4,413 + + + + 1,980 +12,060 Borrowings + 330 + Other liabilities + 170 + Total capital accounts + - 330 + 363 + 250 + 212 + 3^ + ill . 1,620 + 1,420 + +20,640 +18,200 +14,976 1,150 216 2 + 38 + 43 + . + . + 9 4l4 +1,161 +3,7^9 28 173 47 + 93 522 + 474 to Total liabilities and capital *4 J* Figures have been rounded to nearest 10 million. +1,935 +629 +6,540 +5,872 -4G.7 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds l/ (Partly estimated. Item In billions of dollars) May 30, 1962 Apr. 25, 1962 t/' ■A May 31, 1961 Change to May 3<J, 1962 from — Apr. 25, May 31, * 1961 1962.. ASSETS 22.0 22.1 22.8 - .1 - 16.4 5.6 16.5 5.6 17.4 5-4 - .1 - 1.0 + .2 ’ 288.6 287.2 267.4 +1.4 +21.2 155.9 100.9 154.8 100.6 144.3 95.5 +1.1 + .3 +11.7 + 5-4 70.6 29.6 .7 70.9 29.0 .7 67.8 26.9 - .3 + *6 31.8 .8 27.7 + 2.8 + 2.7 - .1 + 4.2 310.7 309.3 290.2 +1.3 +20.4 271.7 274.1 254.7 -2.5 +17.0 29.3 112.5 129.3 •6 28.9 116.8 127.7 .6 28.4 110.6 + .4 -4.4 +1.6 + .9 + 1.9 +14.4 - .1 8.0 , 4.7 5-5 +3.3 + 2.6 7.5 .6 4.2 .6 5.1 .4 +3.3 + 2.4 + .2 Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 1.3 .4 29.3 1.3 l.l 28I7 281 £ +“‘ 5 + ~“l Total liabilities and capital, net 310.7 309.3 290.2 +1.3 +20.4 29.2 114.2 29.2 116.5 28.5 112.3 -2.3 + .7 + 1.9 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 31.8 .8 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 2/ Time deposits adjusted Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Seasonally adjusted Currency outside banks 115.0 .7 + * Figures may not add to totals because of rounding. For description and back figures of seasonally adjusted data, see February i960 Bulletin, pp. 133-36. l/ Treasury funds included are gold account, Treasury currency account, and Exchange Stabilization Fund. 2/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $114.3 on May 30* http://fraser.stlouisfed.org/ rj Revised figures. Federal Reserve Bank of St. Louis ' < ~ .2 '