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RESERVE FEDERAL statistical release For immediate release June 26, 1968 LIABILITIES OF ALL BANKS IN THE UNITED STATES, JUNE 12, 1968 \ J.4 (Partly estimated. All banks ASSETS Loans and investments In millions of dollars) All coml. banks All member banks Reserve city banks New York City of Other City Chicago Country banks 430,770. 364,070 295,950 51,416 12,748 106,727 125,059 293,760 64,080 72,930 240,840 59,830 63,400 200,609 44,610 50,731 39,202 5,330 6,884 9,185 1,730 1,833 75,156 13,318 18,253 77,066 24,232 23,761 71,340 70,470 62,089 16,143 2,999 23,776 19,171 21,620 6,310 15,990 27,420 21,620 6,160 15,350 27,340 21,622 4,803 8,918 26,746 4,734 399 406 10,604 1,067 85 409 1,438 8,940 1,480 2,228 11,128 6,881 2,839 5,875 3,576 14.500 13,310 11,627 3,481 658 4,257 3,231 516.610 447,850 369,666 71,040 16,405 134,760 147,461 Gross demand deposits Gross .time deposits 193,320 251.640 193,240 189.370 161,307 152,136 34,699 19,351 6,953 5,619 57,728 57.832 61,927 69,334 TOTAL DEPOSITS 444,960 382,610 313,443 54,050 12,572 115.560 131,261 19,860 4,060 170,850 250,190 19,860 4,060 170,770 187,920 18,863 3,527 140,186 150,867 7,079 624 27,609 18,738 1,272 130 5,559 5,611 8,236 1,391 48,570 57,363 2,276 1,382 58,448 69,155 Borrowings 10,500 10,500 9,830 3,096 959 4,443 1,332 Other liabilities 20,840 40,310 19,490 35,250 17,556 28,837 7,895 5,999 1,514 1,360 4,485 10,272 3,662 11,206 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 LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Total capital accounts NOTE: Comparability of figures affected by changes in FR membership, mergers, etc. and in reserve classifications. CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, i MAY 15, 1968 TO JUNE 12, 1968 (Partly estimated. Item 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 In millions of dollars) All banks All coml. banks All member banks Reserve city banks New York City of Other Citv Chicago + + 410 +' 364 + 659 - 95 -316 +116 +1,560 -1,160 + 80 +1,370 -1,080 + 120 +1 ,179 - 942 + 127 + + + 520 2 137 + 73 -172 + 4 +233 -554 + 5 +353 -218 - 19 + + + 147 + 591 - 75 -476 +107 + + 657 13 32 47 +112 + 1 -135 - 53 -134 + 46 +131 -519 +441 + 45 - 74 -305 480 320 300 Country banks +1,070 + 120 + 100 - 970 +1,070 + 120 + 80 - 970 +1 ,076 + 105 110 - 924 + + 290 + 208 30 + 25 + 65 +148 +1*080 +1,000 + 719 +1^220 -145 -727 +371 Gross demand deposits Gross time deposits + 320 130 + 320 130 296 + ...18 + - 758 120 -165 - 14 -704 - 47 -185 +199 TOTAL DEPOSITS - 190 - 190 278 + 638 -179 -751 + 14 + 220 -2,230 +1,640 + 180 + 220 -2,230 +1,640 + 180 + 231 -2, 049 +1> 469 + 71 + + - 429 522 809 78 - 17 -183 + 36 - 15 -154 -854 +292 - 35 - 27 -490 +332 +199 20 20 - 152 - 119 + 84 -378 +261 Other assets TOTAL ASSETS/LIABILITIES 280 - - LIABILITIES & CAPITAL Deposits of banks U* S. Govt, deposits Other demand deposits Other time deposits Borrowings - - Other liabilities +1,070 + 980 + 955 + 670 - 62 +307 + 40 Total capital accounts + + 230 + 194 + 31 + 12 + 95 + 56 220 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES JUNE 14, 1967 TO JUNE 12, 1968 (Partly estimated. In millions of dollars) All coml. banks All member banks +36,690 +31,300 +24,240 44,270 +586 +7,518 +11,866 +22,680 + 3,780 +10,230 +19,470 + 4,010 + 7,820 +15,816 + 2,712 + 5,712 +3,4.92 + 24 + 754 +566 - 50 + 70 +5,956 + 484 • +1,078 +5,802 + 2,254 + 3,810 + 6,160 + 6,380 + 5,466 +2,104 +198 +1,756 + 1,408 + 2,590 + 370 + 600 + 2,600 + 2,590 + 350 + 850 + 2,590 + 2,588 + 274 + 75 + 2,529 + 246 + 30 + 72 +1,756 + 80 - 3 +102 + 19 +1,121 + 86 + 6 + 543 + 1,141 + 161 105 + 211 + + 1,630 + 1,476 + 402 +177 + + +39,310 +31,182 +6,776 +961 +9,905 +13,540 All banks Item Reserve citv banks New York City of Other Citv Chicago Country banks 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/LIABILITIES +44,590 631 266 LIABILITIES & CAPITAL | Gross demand deposits Gross time deposits +13,020 +20,340 +13,010 +15,290 +10,759 +10,748 +3,544 - 526 + 96 - 67 +3,117 44,045 + 4,002 + 7,296 TOTAL DEPOSITS +33,360 +28,300 +21,507 +3,018 + 29 +7,162 +11,298 + 820 + 1,910 +10,040 +20,590 + 820 + 1,910 +10,030 +15,540 + 871 + 1,740 + 7,915 +10,981 + 889 + 391 +1,992 - 254 + + - 43 98 39 65 55 + 818 +2,356 +4,043 + 80 + 433 + 3,528 + 7,257 + 3,350 + 3,350 + 2,888 + 611 +197 +1,169 + 911 + 5,290 + 5,220 + 4,895 +2,711 +591 + 987 + 606 + 2,590 + 2,440 + 1,892 + +144 + 587 + 725 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities* g ^Total capital accounts 436 -4 CONSOLIDATED 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. J.4 Item II In billions of dollars) June 12, 1968 May 15, 1968 June 14, 1967 Change to June 12,•4 1968 from — May 15, June 14, 1968 1967 ASSETS 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 17.2 17.3 19.7 - .1 - 2.5 10.4 6.8 10.5 6.8 13.1 6.6 - .1 -- - 2.7 + .2 473.3 472.4 433.9 + .9 +39.4 284.0 116.4 282.7 116.9 264.1 107.1 +1.3 - .4 +19.9 + 9.3 64.1 51.4 1.0 65.2 50.7 1.0 60.3 45.4 1.4 -1.2 + .7 “- + 3.8 + 6.0 - .5 72.9 72.9 62.7 + .1 +10.2 490.5 489.7 453.6 + .8 +36.9 Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits U. S. Government deposits i i j i LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks J 434.9 431.6 404.4 +3.3 +30.6 41.3 143.4 250.2 — 4.6 40.8 140.8 250.0 -7.4 38.7 136.0 229.6 .1 2.4 + .5 +2.6 + .2 -2.9 + 2.6 + 7.4 +20.6 - .1 + 2.2 At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 4.1 .5 6.3 1.1 2.2 .2 -2.2 - .6 + 1.9 4i- .3o 2.0 1.0 48.0 2.0 1.1 47.6 1.9 1.4 43.5 + .1 - .1 + .4 + .1 - .4 + 4.4 Total liabilities and capital, net 490.5 489.7 453.6 + .8 +36.9 i 4 I * Figures* may not add to totals because of rounding. Treasury funds included are gold account, Treasury currency account, and Exchange Stabilization Fund. 1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $146.2 billion on June 12, 1968. I