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BOARD OP GOVERNORS OF THE FEDERAL RESERVE SYSTEM 'j /TW Preliminary) -r ~r' i"•> r ■' \ Jlii f 7 i". ~ ASSETS AND , (For Inmiediate Release) June 15, 1959 ILI'T’ IES OF ALL BANKS IN THE UNITED STATES, May 27, 1959 (Partly estimated. In millions of dollars) All Item All banks* y commer cial banks*l/ Member banks Central reserve Reserve Total city city banks 1/ New York Chicago banks Country banks ly ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances 222,640 185,590 155,107 25,687 6,630 60,549 62,241 126,360 102,380 69,810 62,460 26,470 20,750 87,675 50,760 16,672 16,580 6,657 2,450 3,637 2,288 705 35,807 18,906 5,836 31,651 22,909 7,681 42,690 41,950 36,978 7,114 1,857 15,691 12,316 17,950 3,3^0 10,550 10,850 17,950 3,200 9,990 10,810 17,953 2,413 6,057 10,555 3,824 157 118 3,015 974 31 111 741 7,551 769 2,070 5,301 5,604 1,456 3,758 1,498 5,050 4,500 3,962 1,135 88 1,494 1,245 270,380 232,040 196,047 33,936 8,575 77,734 75,802 Gross demand deposits Gross time deposits 139,150 139,120 101,910 67,510 119,681 54,618 23,561 5,169 6,148 1,435 47,331 21,973 42,641 26,041 TOTAL DEPOSITS 241,060 206,630 174,299 28,730 7,583 69,304 68,682 14,920 14,920 14,296 4,634 5,130 5,130 121,640 121,610 103,085 52,284 99,370 64,970 5,613 1,036 18,553 3,528 1,143 311 4,735 1,394 6,280 1,792 39,736 21,496 1,260 1,495 25,866 Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets Total assets LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 4o,o6l Borrowings 2,260 2,260 . 2,098 530 125 976 467 Other liabilities 4,830 4,190 3,800 1,374 128 1,522 776 22,230 18,960 15,850 3,302 739 5,932 5,877 270,380 232,040 196,047 33,936 8,575 77,734 75,802 Total capital accounts Total liabilities and capital * Figures have been rounded to nearest 10 million. ’* l/ Beginning with April 1959, a national bank in Hawaii with total deposits of $220 million and six national bankfa in Alaska with total deposits of $133 million were included with country member banks (the Hawaiian bank was not previously in this series; the Alaskan banks have been in nonmember commercial banks since January 1959)* - 2 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, APRIL 29, 1959 TO MAY 27, 1959 (Partly estimated. Item In millions of dollars) All commer cial banks* \[ 1/ All banks* Member banks Reserve Central reserve city city banks Total 1 / New York I Chicago banks Country banks 1/ 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 + l4o - 4o - 43 - 199 + 28 + 110 + + 62 56 22 + 317 - 201 - 6 + 364 - 338 - 8 - 26 - 17 - 105 + 56 2 10 38 165 14 60 + 194 + 7 - 2 - 98 - 12 - 2 - 132 + - 39 - 28 +1,370 -1,110 - 120 + 1,190 -1,080 - 150 + 1,016 + 273 - ,909 - 314 - 150 - 158 - 650 - 640 - 555 + 360 10 220 80 + 360 10 210 80 - 407 - 361 147 + 23 + 9 - 145 + 23 292 - 72 + + + 18 - 30 - 540 - 720 - 664 - 597 -1,430 + 44o -1,430 + 310 -1,241 + 217 562 - 118 + 44 11 343 + 138 - 292 + 186 - 990 -1 ,120 -1,024 - 680 - 33 - 205 - 106 - 270 + 540 - 1,830 + 570 - 270 + 540 -1,830 + 44o 118 - 250 + 482 + 120 690 -1,603 8 + 347 + + + 41 3 2 9 - 56 + 219 - 512 + 144 35 + 146 - 403 + 186 + 170 + 170 + 154 + 11 + 35 + 67 + 41 + 160 + 140 + 135 + 60 - 3 + 73 + 5 + 120 + 90 + 71 + 12 + 1 + 26 + 32 - 540 - 720 - 39 - 28 - 40 - 66 + 9 — 59 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits TOTAL DEPOSITS Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities Total capital accounts Total liabilities and capital - 664 * Figures have been rounded to nearest 10 million. 1/ See footnote on first page. - 597 — - 3 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MAY 28, 1958 TO MAY 27, 1959 G.7 (Partly estimated. All Member banks commer Central reserve Reserve cial Total city banks city banks* 1/ 1/ New York [ Chicago banks All banks* y Item In millions of dollars) Country banks 1/ ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances _ Reserve with FR Banks i* w Cash in vault „ Balances with banks Cash items If l>* Other assets r U r» • Total assets |^ LIABILITIES & CAPITAL , Gross demand deposits Gross time deposits r■ ¥ K „TOTAL DEPOSITS •*•12,200 + 10 ,15° + 7,835 + 147 + 146 + 2,862 + 4,680 +11,470 + 9,480 760 680 + 1,^90 + 1,350 + 7,962 + 7V7 -1,156 - 912 + 1,029 + 312 + 220 + 3,765 - 146 - 963 60 + 72 + + + 830 + 91 - 128 661 40 210 920 + 1,360 + 40 + 210 780 + 1,360 + + 46 - 214 130 - 15 7kk + 40 + 1,336 + 280 - 181 131 24 324 830 250 220 +13.140 +11,200 + 690 + 768 + ±____21_ + 181 + 8 ,7^6 + 159 + 22 + 3,560 + 5,005 + 4,940 + 4,943 + 5,840 + If,100 + 3,700 + 3,232 - 5^ - 12 - 126 + 1,680 + 17 + 1,132 + 2,095 + 9,o 4o + 6,932 - 66 - 109 + 2,812 + M95 - 174 4 214 + 2,1+53 + 2,060 + 10,780 - 1,106 - 449 492 - 116 + 5,085 + 33^ + 3,^-5 + 165 + + + Borrowings + 1,150 + 1,150 + 1,058 + 266 + 101+ + Other liabilities + 30 - - 3 + 1,190 + 1,040 + + 30 + + 13 ,1^0 + 11,200 + 8,746 + 159 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits ^H ‘4 Total capital accounts u Total liabilities •' and capital * 20 85 l/ See footnote on first page. - 133 841 + Figures have been rounded to nearest 10 million, 144 310 121 4ll 124 - 1,060 - 1,060 540 540 + 6,380 + 6,380 + 6,000 + ^,260 * A 865 585 + + + + + - 49 + 102 + __ 1^2 ji— 12,- + 3,230 92 - ^79 15 - 177 27 + 2,271 23 + 1,197 22 + 2,200 1+67 221 78 129 359 360 + 3,560 + 5,005 - G.7(c) }+ . 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 27, April 29, May 28, 1959 1959 1958 Change to May 27, ■ 1959 from — April 29, May 28, 1959 1958 ASSETS 25.6 26.8 - .1 - 1.4 20.3 5.3 247.8 21.6 5.2 - .1 - 1.5 + .1 123.5 97-7 70.9 25.6 1.2 26.6 234.9 114.0 95-9 70.6 24.1 1.3 25 .O + .3 + 1.2 - .8 - l.l + .3 - .1 + 13.2 + 10.7 + 1.0 - .8 + 1.8 - .1 + 1.5 273.5 273.3 261.7 + .1 + 11.8 239-3 28.1 110.8 99-4 1.1 240.3 27.9 112.5 98.8 1.1 228.1 27.8 105.8 93.3 1.2 - 1.0 +11.2 Hh - 1.8 + .6 + -3 + 5.0 + 6.0 - .2 5.7 5.1 6.1 + .6 -- .4 5.1 •5 4.6 •5 5.7 .4 + + -5 .1 + .5 .1 Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 3-7 .7 24.1 3.7 •7 23.6 4.0 •7 22.8 - .3 + .5 + 1.3 Total liabilities and capital, net 273.5 273.3 261.7 + .1 +11.8 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 25.5 20.2 5-3 248.0 124.7 96.9 69.8 25.9 1.2 26.5 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Seasonally adjusted Currency outside banks Demand deposits adjusted .2 . + .1 + .4 28.2 28.3 27.9 107.6 + .2 112.5 112.7 * Figures may not add to totals because of rounding. For description and back figures of seasonally adjusted data, see March 1955 Bulletin, pp. 252-55* Also see footnote on first page. l/ Treasury funds included are gold account, Treasury currency account, and Exchange Stabilization Fund.