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RESERVE

FEDERAL
t‘i i'is J](. a !

release

LIBRARY

Jun^/23, 1965.
For immediate release

/

ASSET3 AMD LIABlEETT3!ST^AIiL BANKS IN THE UNITED STATES, JUNE 9, 1965
(Partly estimated.

► J.4
Item

ASSETS
Loans and investments

I

All
banks

All
coml.
banks

In millions of dollars)
Reserve city ttanks
All
member New York City of
Other
Chicago
City
banks

Country
banks

337,*80 282,900 233,1** *0,598

10,366

86,077

96,103

227,340 184,270 155,111 29,653
62,670 56,680 *3,23* *,658

7,106

60,033
13,853
12,191

23,108
1*,676

X

Loans and discounts
U. S. Govt, obligations
Other securities

58,319

*7,470

*1,950

3*,799

6,287

1,615
1,6*5

f ^Reserves, cash, and
T
bank balances

51,920

50,910

**,168

9,307

2,118

17,822

1*,921

Reserve with FR Banks
Cash in vault
Balances with banks
[ " Cash items

16,960
5,000
13,670
16,290

16,960

16,956
3,76*

986

15,819

3,682
315
222
5,088

6*
117
951

6,995
1,150
2,225
7,*52

5,293
2,235
5,065
2,328

10,170

9,220

8,058

2,616

352

2,825

2,265 .

TOTAL ASSETS/LIABILITIES 399,570 3*3,030 285,370 52,321

12,836

^

^

Other assets
a

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

‘ NOTE:

4,870
12,850
16,230

7,629

6,27©

162,070 162,010 135,*3* 25,*78
188.100 ITT.270 112,767 17,569

*,7*«5

350,170 299,280 2*8,201 *3,0*7

11,015

15,186 *,880
6,157 1,*09
l4o,24o 140,180 115,125 19,832
186,880 136,050 111,733 16,926
16,130

6,920

50,502
*2,*01

53,18*
*fi*Q5&—

92,903 101,236
7,126

16,130

6*920

106,72* 113,289

2,366
*1,232

*,698
*,720

*2,179

* 9 ^
*7,908

5,530

5,530

5,2*9

1,791

*59

2,*32

567

10,790

9,700
28,520

8,*2*

3,128

265

2,328

23,*96

*,555

1,097

2,703
8,686

33,080

9,158

Comparability of figures affected by changes in FR membership, mergers, etc.,
ppri in reserve classifications.




-2CIIANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
*

MAT 12, 1965 TO JURE 9, 1965
j.U

(Partly estimated. In millions of dollars)
Reserve city 1janks
.'Air— .A i r ~
City of
New
York
member
All
coml.
Other
banks
banks
banks
City _ Chicago

Item

ASSETS
t/ians and investments
Loans and discounts
U. S. Govt, obligations
Other securities
Reserves, cash, and
DcLIlK. DclX&IlCcH
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets
TOTAL ASSETS/LIABILITIES
LIABILITIES

&

+1,580

+1,353

+

561

- 23

-

83

+898

+2,020
- 900
+ 950

+1,520
- 89O
+ 950

+1,191
- 707
+ 869

+
+

276
86
371

+ 59
- *3
- 39

+
72
- *37
+ 282

+78*
-1*1
+255

-3.*70

-3,520

-3.377 1 *1,172

-328

_ -i,m

-37*

- 80
90
- 240
-3,060

- 80
90
- 280
-3,070

- 81
- 66
- 237
-2,993

- 100
+
1

- 67
+ 3
- 16
-21*8

30
- *2
- 88
*1,3*3

+116

- 100

- 130

- 1*9

- 158

-1,500

-2,070

-2,173

- 769

-*,*70
+1,500

-*,330
+1,3*0

-1,625

-*63

+

+

56

-1,017

-370

\JXUDD

tim
e5 d e D v
O S it s
UXJLiix

tyypat
lVinii.

’y
nRPHSTTS
uT U U llw

-2,510

-2,970

-2,99Q

- 995

-*33

+ 110
-2,230
-2,290
+1,900

+ 110
-2,230
-2,300
+l,*50

+

86
-2,135
-2 ,23*
+1,293

+

9
- 796
- 805
+
597

+

830

+

767

; +

282

+

r

53

Borrowings

+

830

Other liabilities

-

50

Total capital accounts

+

230




+

- 100

-

77

170

+

127

+

'

630

3

- 28
- 77
-385
+

-4,1+60
+1,950

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

Country
banks#

+2,070

CAPITAL

Gross demand deposits

-*

30

3

-216
-250
+ 30

59

-1,617

+583

+

-2,031
117

-211
+563

-1,91*

+352

10
- 900
-1,133
+
109

+

+

6*

-223
- *6
+557

55

+

293

+137

- 15

+

21

- 30

-

17

+12*

+

23

*
# See footnote, page three.
4

*^
S

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,

JUNE 10, 1964 TO JUNE 9, 1965
j.!
(.
(Partly
estimated. In millions of dollars)
d
. H\ ra ,x u
*................................................... ......— -----Reserve city banks
All
All
All
member New York 1City of Other
coml.
v
Item
banks
Chicago
City
'
banks
banks
*

Country
banks #

ASSETS
JjUcLIio

CULIU.

JLllv C o lilU C U u o

Loans and discounts
U. S. Govt, obligations
Other securities

^
>

*Reserves, cash, and
^

>

*

*■*

‘h
n n l r hU fal x
l c u iu c o
UaJJuv

Reserve with FR Banks
Cash in vault
Balance with banks
Cash items
:

f YUHI’H
ak'V
U
iw
I* u D O C u o

TOTAL

assets /liabilities

LIABILITIES & CAPITAL
* Gross
'l demand deposits
' "Gross time deposits
-1
H
YPAT. T
TT
XV
vXnJLi
yV
jH
UT
rP
unf
Oi
J
. i'
oS
A

Deposits of banks
U. S. Govt, deposits
" '■ Other demand deposits
r
Other time deposits
* Borrowings
Other liabilities
*
p, Total capital accounts




+30,510 +26,010 +20,865 +4,710

+1,012

+6,639

+8,504

+27,070 +22,480 +18,747 +4,898
- 2,450 - 2,400 - 2,762 -1,048
+ 5,890 + 5,930 + 4,880 + 860

+1,061
146
+
97

+6,138
-1,394
+1,895

+6,650
- 174
+2,028

+

+ 1,770 + l,64o + 1,243
+
+
+
+

260 +
370 +
560 +
580 +

260 +
370 +
44o +
570 +

+ 1,250 + 1,120 +

260
281
104
598

29

+

90

+

393

- 295
+
24
38
+ 280

+
+
+

75
i4
57

+
+
+
+

81
43
204

+ 415
+ 162
+ 155
+
57

+

103

+

295

+

-

880 +

145

56

65

789

337

+33,530 +28,770 +22,988 +4,826

+1.205

+7.327

+9.630

94
+ 5,990 + 5,980 + 4,101 +
+21,850 +17,530 +14,562 +3,943

+
+

155

676

+ 910
+4,458

+2,942
+5,485

+27,840 +23,510 +18,663

+4.037

+ 831

.+5*368

+8.427

+ 1,009
+ 1,169
+ 2,265
+14,220

+ 576
+ 285
- 486
+3,662

+
+
+
+

23
89
677

+ 242
+ 346
+ 374
+4,4o6

+ 168
+ 449
+2,335
+5,475

266

+

233

+1,175

+

150

787 + 329

+

58

+

160

+

240

+

83

+

624

+ 813

+ 1,090
+ l,34o
+ 3,920
+21,490

+ 1,090
+ 1,340
+ 3,910
+17,170

+ 1,930 + 1,930 + 1,824 +
+ 1,370 + 1,270 +

+ 2,390 + 2,060 + 1,714 +

194

42

For numbered footnotes, see first page.
$ Beginning with the last Wednesday in May
1965 total assets of country banks were in­
creased and Other Reserve city banks de­
creased by $645 million as a result of the
reclassification of Toledo, Ohio banks from
reserve city to country banks.

-IfCONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*

All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
(partly estimated.

Item

In billions of dollars)
Change to June 9,
from —
June 10,
June 9, ( May 12, 1 June 10, 1 May 12,
lofft
19&5
1964
196«L--- ,1964— ,
r

ASSETS
10-7

Monetary reserve

14.3
5.4

Gold stock .
Treasury Currency
Bank credit
Loans, net
U. S. Govt, obligations
Commercial and savings banks
Federal Reserve Banks
Other
Other securities

1

372.2
222.4
102.4

I

62.7
38.5
1.2
J I1.7.5
391.9

Total assets, net

19.8

21.0

14.4 1
5-4

15*5
5*6

370.1

339.0

220.8
102.8

197-1
100.4

63.6

65.1

38.1
1.1
46.5 r

34-7
-6
4l.6

389-9 1 360.1

- .1 1 _ - 1.4
- 1.2
1 “ *1
- *2
+2.1

. +33iL+25.3
+1.6
-J-4--- t 2..0.,—
- 2.5
- -9
+ 3.9
+ -5
+ *6
+1.0

| +2.0

_

*
*

*
,
‘
x

+31.8,

,

r.TABTT.TTTES AMD CAPITAL

Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/
Time deposits adjusted
Postal savings deposits

345.7
I 34.5
124.0
186.9
.4

Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net
Total liabilities and capital, net

I

7.Q

U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks

1 3^2.5

I

6.9

319-4

34.0 I 33-0
123-2
120.6
185-0
165-4
.4
.4

I

9-2
1.1

1.6

1.5

I + -5
+ -8
+1.9
-

+ 1.6
+ 3-3
+21.5
- .1

*
M
-■

| -2>3--- .+ Li-' "

5-6
-8

1 -2.2
- *1

+ 1-3
+ .1

1-2

+

32.6

+ -1
1 ’
+1.0

I 360.1

I +2.0

I

'
A

I

8
35.9

1 ^01.9

1

»T
34.9

1 389.9

1

* Figures may not add to totals because of rounding.
cold account, Treasury currency account, and Exchange Stabilization Fund.
1/ DeLad deposits adjusted, lnoludiag deaaM
i* for*ign
Digitized^ for FRASER
sa*i«B> tanks, wr e *026.2 M U l o n on June 9, 1965

+26*3

6,4

10.2

1.0

+3-1__

.4
+ .3
+ 3.3

__ +31.8

.

*
*