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RESERVE FEDERAL statistical release f June 27, 1963 For immediate release U K ’ ! \<:v r.„r, 1 •ITIES OF ALL BANKS (Partly estimated. --------------------- --------- All All coml. Item banks banks IK THE UNITED STATES, JUNE 12, 1963 In millions of dollars) Reserve city banks All member New York City of Other City 1/ Chicago banks . banks i/ oouuuiy ASSETS 196,345 32,057 8,824 73,557 81,907 37,610 120,294 62,360 49,573 26,478 32,070 21,048 6,174 4,835 5,480 2,033 l,3H 47,400 17,130 9,027 46,366 24,236 11,305 51,100 50,220 43,707 8,860 2,270 18,301 14,276 16,550 4,490 13,410 16,547 3,283 7,739 3,527 258 1,013 43 149 16,138 4,887 1,065 7,104 1,022 2,337 7,838 4,903 16,650 16,550 4,360 12,720 16,590 7,900 7,150 6,356 2,171 220 2,260 1,705 TOTAL ASSETS/LIABILITIES 342,100 294,220 246,4o8 43,088 11,314 94,118 97,888 £,oans and investments 283,100 236,850 Loans and discounts > U. S. Govt, obligations Other securities 176,980 142,420 Reserves, cash, and “ bank balances > Reserve with FR Banks A Cash in vault Balances with banks Cash items . Other assets 68,510 188 1,960 5,065 2,348 > LIABILITIES & CAPITAL Gross demand deposits tlross time deposits 153.520 153,460 148.520 105,580 129,941 86,272 24,818 10,297 6,392 3,5H 49,898 33,290 48,833 39,174 TOTAL DEPOSITS 302,040 259,040 216,213 35,H5 9,903 83,188 88,007 15,340 15,340 14,519 4,078 4,640 4,640 134,310 134,250 111,918 85,698 147,750 104,810 3,011 3,100 3,100 4,377 8k6 1,241 1,697 207 4,961 3,494 7,204 1,527 41,315 33,142 45,780 144 1,325 355 291 2,197 1,734 r Deposits of banks U. S. Govt, deposits * Other demand deposits * Other time deposits a >Borrowings r Other liabilities 8,630 7,097 7,750 19,862 10,030 1,187 2,875 1,498 39,032 7,408 7,792 976 20,087 3,911 24,330 28,330 'Total capital accounts O n r i n n f r»\r h n n V "Pi crnrps ha: b e e n i]nereased ------ --^ ±j beginning wiui uae ►and New York City figures reduced by $525 million incident to a change m reserve classification of three banks. k NOTE: Comparability of figures affected by changes in FR membership, mergers, etc. and in reserve classifications* 4 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STAPES, *4 MAY 15, 1963 TO JUNE 12, 1963 J.4 (formerly G.7) Item (Partly estimated. In millions of dollars) Reserve city banks All All All member New York City of coml. Other banks City 1/ Chicago banks banks ASSETS Loans and investments Loans and discounts IT. 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 Country . banks - 332 - 501 -13.6 •77 + 770 -1,330 + 530 + 370 + 282 -1,270 -1,058 + 540 + 484 - 168 - 628 + 295 + 23 -101 - 58 30 - 149 + 102 +457 -220 +145 -1,510 -1,530 -1,495 -1,002 - 39 321 -133 - 100 + 150 - 70 -1,490 - 100 - 103 + 150 + 63 - 90 + 15 -1,490 -1,470 - 209 + 15 - 19 - 789 + + 17 + 134 + 35 + 16 - 506 + 16 - 70 + 14 + 28 + + 42 - 1 - 10 - 70 - 4 -1,486 -179 - 382 +283 - 30 70 -1,470 - 360 60 + -1,830 63 -1,764 mm -+3.82 _ n. f <, > JL -105 + 34 1 4, LIABILITIES & CAPITAL Gross demand deposits Gross time deposits -2,64o +1,160 -2,64o -2,412 + 84o + 706 -1,092 16 -157 + 48 + 229 865 -298 +445 TOTAL DEPOSITS -1,480 -1,800 -1,706 -1,108 -109 636 +147 - 170 -3,020 + 540 +1,170 - 170 -3,020 + 540 + 850 - 184 -2,766 + 531 + 713 - 314 - 691 - 86 - 17 - 42 -216 +101 + 47 + 48 + 125 -1,205 + 207 + 237 -654 A. 1 +309 X Borrowings - 150 - 150 - 177 - 314 - 97 + 129 +105 Other liabilities + + 4o - 20 + 19 + 92 - 51 Total capital accounts + 100 79 - 44 + 8 + 33 + 82 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 60 20 + + 100 + 4. +445, V Jt For numbered footnotes, see first page. Y4- - * . - CHANGES IN ASSETS AND LIABILITIES OF ALL BAMS IN THE UNITED SMEES, '* > J.4 V JUNE 13, 1962 TO JUNE 12, 19^3 ' (formerly G.7) .... ... .....-T.. Item ASSETS •Loans and investments Loans and discounts U. S. Govt, obligations Other securities ► 3 ►Reserves, cash, and bank balances (Partly estimated. In millions of dollars) Reserve city banks All All All member New York City of coml. Other banks City 1/ Chicago banks banks +20,590 +17,070 +13,641 +1,993 +17,510 +13,700 +11,361 2,220 - 2,050 - 2,353 5,^20 +5,300 4,633 +1,708 -1,116 +1,401 - + + 1,720 +1,301 + 1,710 + - 220 - 201 + + + + 985 +3,713 +6,950 784 95 +3,762 -1,391 +1,342 +5A07 59 +1,784 106 + 250 + Country banks 466 + + 384 + ► * - Reserve with FR Banks Cash in vault Balances with banks Cash items *Other assets V V M V a x M U * /W V M 360 620 + + - 87 + 143 + 164 + 164 60 + 153 + 179 +1,295 +4,332 +7,513 200 979 249 +3,894 +1,998 +4,716 +1,179 +3,645 +6,714 20 20 233 986 6 - 372 + 87 +3,936 + 134 - 280 +2,150 +4,710 225 230 373 923 - 92 + 27 + 14 + 252 760 + 662 + 270 + +19,550 +15,604 +2,464 + + + 950 + 840 + TOTAL ASSETS/LIABILITIES +23,1^ 10 44 68 - 174 + 50 + 151 + 439 128 360 + 63O + 950 + 220 + LIABILITIES & CAPITAL ^Gross demand deposits Gross time deposits + 3,020 + 3,020 +17,460 +14,080 + 1,981 +11,601 + JTOTAL DEPOSITS +20,480 +17,100 +13,582 +2,044 310 + 780 310 780 - 245 751 2,451 3,*»-50 + 3,^50 +17,500 +14,120 +11,637 + 2 + y0 + + + + 32 + 1 2 + 137 79 - Deposits of banks * U. S. Govt, deposits Other demand deposits k Other time deposits + ^Borrowings + 510 + 510 + 492 + 133 + 44 + 229 + Other liabilities + 650 + 570 ^79 + 121 - 20 + 224 + Total capital accounts + 1,500 + 1,370 + 1,051 + 166 + 92 + + 559 + + + + - - 19 +2,005 •v + + 234 86 154 * >*■ Changes for New York and Chicago reflect increases of 3 hanks each on July 28, 1962. x Total assets of the banks added were $526 million and $405 million, respectively, on August 15 , 1962, and "other" reserve city banks were reduced $931 million. ► A For numbered footnotes, see first page. , CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds j.4 (formerly G.7) (Partly estimated. Item In billions of dollars) May 15, 1963 June 12, 1963 ASSETS Change to June 12, 1963 from — * June 13) ' June 13y 1962 1Q62 . _ 4 - .7 - .6 * __-< 21.4 15.8 5.6 21.4 22.0 -- 15.8 5.6 16.4 5.6 — 312.7 174.2 100.9 68.5 31.7 .7 37.6 312.6 290.4 + .1 +22.2 1 173-6 157-1 + .5 -1.0 31.3 .7 37-1 70.7 29-6 •7 32.3 -1.3 + .4 +17.1" - .2 * - 2 .2, + 2.1 i + -5 + 5.3+ 334.1 334.0 312.5 + .1 +21.6 296.7 293-3 275.5 +3.4 +21,2 _ 30.8 117.7 147.7 ..5 30.6 115.6 29-5 146.6 •5 115.2 130.2 .6 + .2 +2.0 +1.2 + 1-3 + 2.5* +17. £ - .1 5.3 8.7 5-9 -3-4 - .6, 4.6 •6 7-7 1.1 5.4 •5 -3.0 - .4 ~ + Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 1.3 .4 30.4 1.3 ..4 30.3 1.4 .4 29-3 + .1 + 1.1 334.1 334.0 312^ + .1 +21.6 Total liabilities and capital, net 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 101.8 69-8 101.0 LIABILITIES AND CAPITAL Total deposits adjusted ands currency outside banks Currency outside "banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks » Figures -ay not add to totals because of r o u n d in g & Td ^ savings banks, were $119-6 billion on June 12, - .1 * Treasury funds included are gold 9 3- , leaged June 1 — the s L s " : " f " o r ademnd Sepokts adjusted - s incorrectly published as $113-9 billion. This figure should have been $115-9 bill .&■ .