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FEDERAL

-=

RESERVE

statistical

release
FOR IMMEDIATE RELEASE
JUNE 22, 1976

ASSETS AND LIAblLITitS OF ALL
H.B

COMM~RCIAL

BANKS IN THE UNITED STATES

(PARTLY ESTIMATED. IN MILLIONS OF DOLLARS)
ALL
COML.
BANKS

ALL
MEMBER
BANKS

JUNE

9, 1976

RESERVE CITY BANK~ _lL
NEW YORK C lTV OF
OTHER
CHICAGO

COUNTRY
BANKS ~/

ASSETS

LOANS AND INVESTMENTS

778,800

575 '&05

92,013

29,810

205,441

248 '541

542,020
91,570
145,210

409,486
66' 147
100,172

12,352
9,461
10,200

22,467
3,561
3,782

152,843
21 '736
30,862

161,824
31,389
55,328

106 750

&7,906

23.057

3.016

33,831

28.002

23,930
11,360
35,360
36,100

23,934
8,598
20,534
34,840

5, 523
813
5,322
11,399

813
196
161
1,846

9, 595
2,836
6,030
15,370

8,003
4,753
9,021
6,225

50,240

43,413

16,557

2,176

17,190

7,550

935,790

101 '184

131t 627

35,002

256,462.

284,093

GROSS DEMAND DEPOSITS
GROSS TIME DEPOSITS

288,080
471,560

221,733
341,987

47,029
45,333

9,067
15,316

78,042
120,582

87,595
160,756

TOTAL DE:POS1TS

759,640

563,720

92,362

24,383

198,624

248 ,35_1

43,500
2, 770
252,960
460,410

38,979
2,067
189,7£2
332 ,952

18,814
200
32,031
41,317

2,873
65
7,180
14,265

12t833
724
67,495
117,572

.. ,459
1,078
83,016
159,798

BORROWINGS

68,330

61 '8'.16

17,702

6,768

29,285

8,141

OTHER LIABlLITIES ll

36,100

26,854

9,729

1. t38 5

9, 580

6rlb0

TOTAL CAPITAL ACCOUNTS f!/

71,720

'54' 114

ll f 834

2,466

1&,97~

'1:._/

LOANS AND DISCOUNTS '1:._/
U.S. TREASURY SECURITIES
OTHER SECURITIES
RESERVES, CASH, AND
BANK BALANCES
RESERVES WilH FR BANKS
CASH IN VAULT
BALANCES WITH BANKS
CASH IT EMS
OTHER ASSETS ll
TOTAL ASSETS/LIABILITIES ll
-llA~ILlllE;S

Li CAeliA.L

DEPOSITS OF BANKS
U.S. GOVT. DEPOSITS
OTHER DEMAND DEPOSITS
OTHER TlME DEPOSITS

21,441
-··

l/

.

AS OF NOV. 9, 1972, THE DEFINITIONS OF RESERVE CITY AND COU'NTRY BANKS WERE CHANGED (SEE
FEDERAL RESERVE BULLETIN, NOV. 1972, P.994). THE CLASSIFICATIONS EMPLOYED HERE ARE THE
SAHE AS THOSE PRIOR TO THE CHANGE IN DEFINITIO;\, SO THESE SERIES ARE CONTINUOUS OVER TIHE.
2/ INCLUDES "RESERVES FOR LOAN LOSSES" AND "UNEAR~!ED INCOl'fE ON LOANS".
EFFECTIVE ~!ARCH 31, 1976 "RESERVES FOR LOAN LOSSES" AND "mlEARNED INCOME ON LOANS", WHICH
FOR ALL COrfrffiRCIAL Bfu~KS ARE ESTIMATED TO BE ·APPROXIMATELY $14.5 BILLION, HAVE BEEN NETTED
AGAINST "OTHER ASSETS" fu~D "OTHER LIABILITIES" AND, THEREFORE, AGAINST "TOTAL ASSETS/LIABILITIES".
9 EFFECTIVE MARCH 31, 1976. INCLUDES "RESERVES F()R SECURITIES" AND A PORTION OF "RESERVES FOR
LOAN LOSSES".
NOTE: COHPARABILITY OF F I CURES AFFECTED BY CHANGES IN ~IEHBERSHIP, MERGERS, ETC.

ll




-

2-

IN ASSETS AND LIABILITIES OF All COMMERCIAL BANKS IN THE UNITED STATES

CHA~GES

JUNE
H.B

2, 1976 TO

JUNE

9, 1976

(PARTLY ESTIMATED. JN MILLIONS OF DOLLARS)
All
COML.
BANKS
E.I
+ 500

ALL
MEMBER
BANKS
E.I
-986

-1,397

-201

-1,209

+1,821

+

330
390
560

-1,119
-331
+464

-1,025
-518
+146

-83
-169
+51

-1,782.
+425
+148

+lt77l
-69
+119

-13 030

-9,901

-a39

-960

-3.952

-4.150

+ 1,920
- 9,680

+l, 927
-39
-2,546
-9,243

+284
-43
+342
-1,422

-438
+25
-112
-435

+2,069
+55
--876
-5,200

+12
-76
-1,900
-2,186

- 1,270

-927

-171

+107

-478

-385

TOTAL ASSETS/LIABILITIES 1/ -13,800

-11,814

-2,407

-1,054

-5,639

-2 .. 714

-3,050
_+\67

-866
-b

-6,135
+522

-3,052
+241 ___

-12 '1 "'-'!" _-::-?,883

.,..872

-5-,613

-2.,811

-3' 103
-382
-9,533
+839

-156
+8
-2,853
+118

-320

-t: ,036

+1
-560
+1

-99
-3,957
+479

-591
-298
-2,lo3
+241

ITEM
ASSETS

LOANS AND

INVESTMENT~ ~/

LOANS AND DISCOUNTS 2/
U.S. TREASURY SECURitiES
OTHER SECURITIES
RESERVES, CASH, AND
BANK BALANCES
RESERVES WITH FR BANKS
CASH IN VAULT
BALANCES WITH BANKS
CASH IT EMS
OTHER ASSETS 'J./

-

+

80
-- 5,190

RESERVe (,1 1Y BANKS 1/ COIJNTRY
[NEW YORK ICilY OF OTHER
BANKS !./
CITY
CHICAGO
E.I
i.l

LIABILITIES & CAPITAL
GROSS DEMAND DEPOSITS
GROSS TIME DEPOSI IS

+ 1, ~20 .

TOTAL DEPOSITS

-14 000

DEPOSITS OF BANKS
u.s. GOVT. DEPOSITS
OTHER DEMAND DEPOSITS
OTHER TIME DEPOSITS

-15,120

- 3,710

580
--10,950

+ 1,240

-13,103
··-· +.9.~':t

..

·-

BORROWINGS

+

330

+331

+336

-117

+119

-7

OTHER LIABILITIES 1/

-

190

-10

+129

-59

-173

+93

TOTAL CAPITAl ACCOUNTS!!_/

+

60

+44

+11

-6

+2.8

+11

E_/

REVISED




··--

FOR NUMBERED FOOTNOTES SEE PAGE 1.