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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



.&■

.