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OF GOVERNORS OP THE FEDERAL RESERVE SYSTEM & / June 27, 1961 (For Immediate Release) ILITIES OF ALL BANKS IN THE UNITED STATES, JUNE l4, 1961 (Partly estimated. In millions of dollars) Member banks Central reserve Reserve city city banks Total New York) Chicago banks All banks* All commer cial banks* 243,030 202,710 169,035 28,544 7,085 145,430 Loans and discounts U. S. Govt, obligations 69,830 27,770 Other securities 117,280 63,500 99,802 18’,080 4,237 7,957 2,507 2,112 21,930 51,717 17,516 47,980 47,130 4l,4ll 16,080 16,080 16,077 3,830 3,710 Item Country banks ASSETS Loans and investments Reserves, cash, and bank balances / m1 + r Reserve with FR Banks Cash in vault Balances with banks Cash items 64,i4o 39,791 69,266 37,694 23,108 736 18,540 5,809 9,101 2,179 16,732 13*322 3,674 193 6,696 877 2,399 4,643 1,694 4,974 5,046 1,064 31 143 941 6,760 2,088 8,464 12,820 15,250 12,120 15,220 2,795 7,704 14,835 6 ,boo 5,810 5,239 1,838 142 1,899 1,360 297,4io 255,650 215,685 39,483 9,4o 6 82,771 84,025 Gross demand deposits Gross time deposits 147,250 116,180 26,090 147,220 126,172 64,164 .6,652 78,970 6,4li 48,753 24,995 44,918 1,881 TOTAL DEPOSITS 263,430 226,190 190,336 32,742 8,292 73,748. ..JJh S k 15,070 4,130 U. S. Govt, deposits Other demand deposits 1/ 128,780 Other time deposits l/ 115,450 14,386 15,070 4,130 3,735 128,750 108,605 63,610 78,240 •4,442 798 1,289 7,145 1,456 40,331 24,816 Other assets Total assets 188 LIABILITIES & CAPITAL *1 A Deposits of banks l/ 21,062 331 4,803 6,440 1,869 30,636 1,510 1,150 42,409 30,485 1,060 1,060 1,023 261 71 480 ; 211 7,800 6,930 6,437 201 1,905 ' 1,469 Total capital accounts 25,120 21,470 17,889 2,862 3 ,6l8 842 6,638 6,791 Total liabilities and capital 297,410 255,650 215,685 39,483 9,4o 6 82,771 84,025 Borrowings -t 1 Other liabilities * Figures have been rounded to nearest 10 million. Note— The comparability of figures in this series is affected by changes in Federal Reserve membership, mergers, etc., and in reserve classifications. l/ Due to the reclassification of deposits of foreign central banks, Deposits of banks was"~reduced by about $1,900 million; Other demand deposits was increased by about $400 million and Other time deposits by about $1,500 million (on April 26, 1961). -2- 0.7 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MAY 10 , 1961 TO JUNE 14 , 1961 (Partly estimated. In million* of dollar*) All bank** All commer cial banks* +2,810 +2,570 +2,351 +1,032 + 77 •+ 796 + 446 * 270 +2,960 + 120 - 500 - 543 +3,010 +2,867 + 60 27 - 239 +1,235 + 36 -207 +339 55 - 205 +1,016 - 15 + 108^ + 277 < + 61 +3,410 +3,360 + 890 +479 +1,064 + 654 + +249 + 1 + 7 - 489 + 59 + 448 +1,04$ + + + - - Item Member bank* Central reserve Reserve Total city banks city New York IChicago banks Country* banks ASSETS Loans and investment* Loans and discount* U. S. Govt, obligation* Other securities Reserves, cash, and bank balance* Reserve with FR Banks Cash in vault Balances with banks Cash items - - 290 + 250 +1,040 +2,410 * Other assets Total assets - 200 +3,087 - 290 - 296 + 250 184 841 + 990 +2,410 +2,358 + + 778 +222 - 170 - - - 136 +6,020 +5,760 +5,302 +5,160 +1,190 +5,160 +1,010 +6,350 +6,170 105 1 8 19 +1,903 2 +554 27 161 125 378 fc 312 ^ 88 +1,833 +1,012 LIABILITIES & CAPITAL *• 891 +2,039 + 236 + 13 +1,869 + 383 W + 506 \ + 259 * +5,807 +2,275 +515 +2,252 + 765 + 820 + 320 +4,020 +1,190 + 820 816 + 320 369 +4,020 +3,741 +1,010 881 + 215 + 148 +1,689 + 223 + 81 +174 +247 + 13 + 499 + 157 +1,210 + 386 21 110 ^ 595 „ 259 Borrowings - 830 - 830 - 851 - 510 + 22 - 470 107 V Other liabilities + 280 + 230 215 + i4i + 12 + 25 37 % Total capital account* + 220 + 131 J__5_ + 26 103 * Total liabilities and capital +6,020 +5,760 +5,302 +554 +1,833 Gross demand deposits Gross time deposits total Deposits Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 190 +4,916 * Figures have been rounded to nearest 10 Billion Note— See Note on page 1 . +1,903 +502 A +1,012 G»7 CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATIS, i JUNE 15, I960 TO JUNE l4, 1961 (Partly estimated. In million* of dollars) Item ** All banks* All commer cial banks* Member bank* Central reserve Reserve Total city bank* city New York 1 Chicago banks Country banks ASSETS Loans and investments H Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balance* +14,594 +12,573 +11,378 +2,770 +378 +4,390 +3,839 + 4,054 + 1,973 + 1,458 - 270 + 8,289 + 8,587 + 8,191 +2,573 + 2,251 + 2,013 + 1,728 + 467 -149 +448 + 80 + 257 +3,619 + 514 +1,620 +1,552+ 667 6 - + 47 - 646 - + 92 + 464 + 211 76 v \ Reserve with FR Banks Cash in vault Balances with banks Cash items hr jOther assets - 1,838 - 1,837 - l,84l - 380 + 462 + 458 + 368 + 49 + 1,105 + 1,024 + 698 + 61 + 362 + 361 + 311 + 481 + 582 + 526 + 6o4 + 399 +15,268 +13,106 -Gross demand deposits Gross time deposits + 2,001 +12,265 + 2,003 + 1,494 + 843 +10,359 + 9,323 +2,181 .TOTAL DEPOSITS +14,267 +12,361 Deposits of banks „ U. S. Govt, deposits Other demand deposits * Othe” time deposits Total assets + + + - 69 786 3 25 51 + + - 137 129 126. - 745 + 179 + 482 + 8 + 53 + 247 - +11,518 _£&..3§L_ +478 • -+3^91 . 95 +31,668 LIABILITIES & CAPITAL +174 +426 + 50 +3,812 + 428 +2,904 +3,023 +600 +3,861 +3,332 - 298 - 295 - 286 - 759 - 2,527 - 2,524 - 2,232 - 367 + 3,868 + 3,866 + 3,039 +1,164 +13,224 +11,315 +10,296 +2,985 + 13 - 7 +134 +46o + 275 - 939 + 572 +3,954 + 185 - 919 +1,169 +2,897 +10,817 . ■7 Borrowings - 1,534 - 1,530 - l,48o - 719 -262 - 390 - 109 jpther liabilities + 1,211 + 1,135 + 1,121 + 888 + 64 + 63 + 107 Total capital account* + 1,324 + 1,139 + 1,060 + 188 + 77 + 457 +15,268 +11,518 +3,381 +478 +3,991 Total liabilities and capital * +13,106 Figures may not add to totals because of rounding. Note— Sea footnotes on page 1. + 338 +3,668 -4CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* G.7 All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. Item In billions of dollars) June 14, May 10, 1961 1961 June 15 , i960 Change to June 14;'% 1961 from — May 10, ■JuneT^T' 1961 i960 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 22.9 22.8 24.7 + .1 IT. 5 5.^ 17.4 19.4 5-^ + .1 269.T 266.1 144.5 97.5 144.1 94.6 253.3 139.2 69.8 26.8 66.9 26.9 .8 88.6 61.5 26.2 +3-4 + .4 +2.9 +3.0 - .1 + .1 .8 5.fc - 1.8 - 1.9 .1 + 27.8 27.7 •9 25.5 292.6 289.1 278.0 J3i2. 258.1 255.3 241.6- +2.8 28.4 113.5 115.4 •7 28.4 28.5 110.0 +1.6 114.2 •7 102.2 +1. 2 ...4,7. ^•3 7.2 4.1 .6 3.8 . .4 1.3 n.4 28.1 1.3 2.7 ,.4 * +16.4 1 + 5.3 + 8.8 + 8.3 + .7 " *2 M + 2.3 +14.6 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1 / 2/ Time deposits adjusted 1 / Postal savings deposits 111.9 - .8 .1 v + 3.5" +13.2 „ - .1 A, U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net 1/ Treasury cash Capital and miscellaneous accounts, net Total liabilities and capital, net 292.6 27 289.1 + .4 - 2-5 6.7 + -3 - •5 + .1 26.0 278.0 2. 5 V- ♦ >3 ’ -I5 ' + 2.1 ■*. +3-5 +14.6 * Figures may not add to totals because of rounding. For description and back figures of seasonally adjusted data, see February i960 Bulletin, pp. 133-36. ~ l/ See footnote on page 1 . 2/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were 115.0 on June l4.