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RESERVE FEDERAL stical release .. ' f?ESFRVt-S5;>X ASSETS X M rR JB T L S S W Of ALL BANKS J-k Item (Partly estimated. In millions of dollars) All" Reserve city banks .n r — All member New York City of Other coal. banks friuilm ‘ City Chicago ASSETS Loans and investments Loans and discounts U. S. Govt. obligations Other securities Reserves, cash, and * bank balances I US For immediate release June 13 , 1967 THE UNITED STATES, MAY 31, 1967 Reserve with FR Banks Cash In vault Balances vlth banks Cash items Other assets TOTAL ASSETS/LIABILITIES 98,906 112,513 390,770 329,610 269,654 46,240 11,995 269,110 219,550 6o,l4o 55,660 54,400 61,520 183,480 35,151 41,900 5,130 44,274 5,959 8,426 1,822 1,747 69,174 12,938 16,794 70,729 22,010 19,774 65,020 63,930 56,487 15,394 2,691 21,164 17,238 19,290 5,900 14,900 24,930 19,290 5,770 14,000 24,870 11,790 1,109 86 207 1,289 485 7,801 1,363 2,253 9,747 12,870 19,291 • 4,987 361 4,465 355 8,531 24,200 9,691 10,281 3,160 3,753 5,394 2,655 5,716 3,473 2,883 468,660 405,330 336,422 64,794 15,171 123,823 132,634 53,966 53,638 56,745 61,777 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 178,780 229,980 178,720 172,900 149,915 32,243 140,526 19,439 6,961 5,672 TOTAL DEPOSITS 408,760 351,620 290,441 51,682 12,633 Deposits of banks U* S. Govt, deposits Other demand deposits Other time deposits Country banks 18,980 18,980 17,910 6,687 776 4,350 4,350 3,853 157,070 157,010 129,570 25,59’J 228,360 171,280 139,108 18,625 107,604 118,522 1,330 154 5,488 5,661 7,863 1,444 45,114 53,183 2,030 1,479 53,374 61,639 7,080 7,080 6,765 2,4l6 644 3,072 633 Other liabilities 15,030 13,750 12,207 5,098 3,446 2,992 Total capital accounts 37,790 32,880 27,009 671 1,223 Borrowings 9,701 10,487 V / 1/ Excludes total ccml. interbank loans. 5,598 Seasonally adjusted data JLAKUJ.D cfcUM- ***▼ -j/---^ --• 326.100 214.100 57,400 54,700 L NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., «nd in reserve classifications. J CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, APRIL 26, 1967 TO MAY 31 , 1967 Item (Partly estimated. In nillions of dollars) All All Reserr* city banks All coml. member New York City of banks £/ banks banks City Chicago Other ASSETS Loans and investments Country banks 1 +1,870 +1 ,5^0 • +1,188 - 4l6 -132 +993 + 743 +1,220 - 270 + 920 + 970 - 270 + 840 + 659 - 101 + 630 - 390 + 364 - 390 - 49 - 64 - 19 +490 -127 +630 + 608 J - 274 + 409 +3,320 +3,300 +3,000 +2,638 +115 -379 + 626 | - 430 - 170 + 620 +3,300 - 430 - 170 + 600 +3,300 - 426 - 124 + 4l4 +3,136 + 568 + 11 + 34 +2,025 - 76 - l - 26 +218 -747 - 43 + 71 +340 - 171 - 91 I + 335 ’ + 553 + 360 + 360 + 370 + 261 + 12 +109 +5,550 +5,200 +4,558 +2,483 - 5 +723 +1,357 I LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +1,620 +3,060 +1,620 +2,860 +1,632 +2,323 +1,558 + 522 +145 +143 -180 +630 + 109 J +1,028 * TOTAL DEPOSITS +4,680 +4,48o +3,955 +2,080 +288 +450 +1,137 +1,000 -2,270 +2,930 +3,020 +1,000 -2,270 +2,930 +2,820 + 966 -2,263 +2,928 +2,294 + 674 -1,075 +1,964 + 517 +137 -216 +224 +143 +202 -950 +592 +606 - Borrowings + 44o + 44o + 365 + 253 - 58 + 22 17 | 22 ' + 148 +1,028 1 + 148 ‘ Other liabilities + 80 20 - + 37 -256 +192 + Total capital accounts + 350 + 300 + 113 + 21 + 59 Loans and discounts U- S. Govt, obligations Other securities Reserves, cash, and bank balances Reserve with FR 'Ra.nVg Cash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES Deposits of banks U* S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments l/...... Loans and discounts 1 /...... U.S. Govt• obligations......... Other securities...... . 4.1 “-Lynon VjVjU +i,4oo 22 + 260 12 \ 5 + ----1 67 , -- For numbered footnotes, see first page. r/ Figures for mutual savings bank were revised. 1 * -3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MAY 25, 1966 TO MAY 31, 1967 J-1' Item (Partly estimated. In millions of dollars) All All Reserve city banks All coml. member New York City of banks banks banks City Chicago Other Country banks ASSETS +25,220 +21,490 +17,126 +2,007 + 847 +6,551 +7,721 +15,220 +12,120 + 9,126 + 835 + 1,250 + 2,110 + 2,214 +1,188 + 8,750 + 7,260 + 5,786 16 + 362 + 361 + 124 +2,357 +1,106 +3,088 +5,572 - 441 +2,590 + 9,990 + 9,750 + 8,939 +4,661 + 3^2 +2,100 +1,836 + 1,970 + 1,970 + 240 + 240 + 1,770 + i ,54o + 6,010 + 6,000 + 22 -•» + 78 + 242 + 513 + 58 - 39 +1,568 20 + 100 + 831 + 925 - 7 + 625 + +36,700 +32,620 +27,236 +6,822 +1,182 +9,276 +9,956 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 9,900 + 9,890 + 8,843 +4,666 +21,230 +17,370 +13,312 - 186 + 248 + 463 +2,075 +5,492 +1,854 +7,5^3 TOTAL DEPOSITS +31,130 +27,260 +22,155 +4,480 + 711 +7,567 +9,397 + 2,980 - 3,640 +10,890 +20,900 + 2,980 - 3,640 +10,880 +17,o4o + 2,796 - 3,189 + 9,554 +12,994 +1,497 - 693 +3,981 - 305 + + + 135 304 401 479 + 968 -1,422 +2,749 +5,272 + 196 - 770 +2,423 +7,548 Borrowings + 1,470 + 1,470 + 1,651 + 708 + 216 +1,082 - 355 Other liabilities + 1,860 + 1,800 + 1,766 +1,184 + 175 + 126 + 281 Total capital accounts + 2,240 + 2,090 80 + 501 + 633 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 Deposits of banks U* S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments 1 /... Loans and discounts 1/... Other securities....... + 1,975 +1,460 + 186 + 28 + 964 + 94 + 5,814 +3,079 + 1,490 + 1,380 + 1,171 +21,200 +11,800 + 2,300 + 7,300 + 154 + 1,664 + 450 ‘+ 399 For numbered footnotes, see first page. -4- CONSOLIDATED CONDITION STATEMENT FOR BASKS AND THE MONETARY SYSTEM* All Commercial, Sayings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds J.ll (Partly estimated. In billions of dollars) Item May 31, 1967 Apr. 26, May 25, Change t<> May 31 , ’raa — 1567 Apr. 26, May 25, 1966 1967 19671:/ 1966 19.7 19.7 19.4 -- + -3 13.1 13.1 6.6 13.5 5.9 Um m + .4 .7 431.7 429.9 402.7 + 1.8 +29.0 262.5 107.6 • 261.9 JOY.3 101.1 248.8 + .6 + .3 +13.7 + 6.5 58.9 41.1 1.1 - .3 + .7 - .1 + 1-3 + 5.0 + .3 ASSETS Monetary reserve Gold stock Treasury Currency Bank credit Loans, net U. S. Govt. obligations Commercial and sayings banks Federal Reserve Banks Other Other securities Total assets, net 6.6 60.1 60.4 46.0 1.4 45.4 1.5 61.5 60.6 52.7 + .9 + 451.4 449.5 422.1 +1.8 +29.3 399.1 395.6 371.2 +3.4 +27.9 132.1 38.5 37.7 132.5 36.2 .1 225.3 .1 + .7 - .4 +3.0 + 2.3 + 4 .9 +20.9 - .1 8.8 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits TJ. S. Government deposits At ocomerclal and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Total liabilities and capital, net 228.4 127.3 207.4 .3 — 4 .9 7.4 8 .7 -2.5 - 3.8 4.4 .5 6.7 8.0 -2.3 - .3 - 3.6 - .2 1.9 1.4 44.1 1.7 1.4 43-3 1.7 + 1.0 39.4 .2 + + .2 + .4 + 4 .7 451.4 449.5 422.1 .8 .7 --- .8 +1.8 - + 22*1 .. Seasonally adjusted Currency outside banks 38.6 38.0 + .6 + 2.3 36.3 134.1 129.2 Demand deposits adjusted 132.1 +2.0 + 4 .9 * Figures may not add to totals because of rounding. Treasury funds Included are gold account, Treasury currency account, and Exchange Stabilization Fund, l/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, vere $ 134.7 billion on May 31 , 1967. http://fraser.stlouisfed.org/ l/ Figures for mutual savings banks were revised. Federal Reserve Bank of St. Louis