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Item All banks* All commer cial banks* Total Member banks Reserve Central reserve city city banks banks New York Chicago Country banks ASSETS 228,180 190,000 157,626 141,230 61,510 25,440 115,210 54,890 19,900 48,290 17,950 3,470 11,910 14,960 11,290 25,™ 6,710 59,765 65,372 98,286 43,566 15,774 18,350 5,384 2,045 4,390 1,667 653 39,526 1^,938 5,301 21,577 7,775 47,540 41,945 8,888 2,132 17,365 13,560 17,950 3,370 17,953 2,471 4,055 143 996 28 14,930 14,459 4,564 117 991 7,^91 738 2,277 6,859 5,670 5,090 4,508 1,421 90 282,140 242,630 204,079 36,088 8,932 78,815 80,244 Gross demand deposits Gross time deposits 145,560 103,920 145,530 68,620 124,754 54,817 25,244 4,471 6,242 1,455 48,713 21*185 44,555 27,706 TOTAL DEPOSITS 249,480 214,150 179,571 29,715 .7,697 69,898 72,261 15,310 6,500 125,420 15,310 5,211 1,173 19,873 3,^58 1,409 6,874 2,406 39,773 20,845 1,349 1,920 41,433 27,559 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 7,062 . 126 _ 1l685 36,020 5,411 1,562 4,542 2,045 - 1,312 LIABILITIES & CAPITAL 102,250 125,390 66,950 14,708 5,837 105,755 53,271 Borrowings 2,560 2,560 2,508 978 333 873 324 Other liabilities 6,540 5,780 5,276 1,966 137 1,863 1,310 Total capital accounts 23,560 20,140 16,724 3,429 765 6,181 6,349 Total liabilities and capital 282,140 242,630 204,079 36,088 8,932 78,815 80,244 Deposits of banks U. S* Govt, deposits Other demand deposits Other time deposits * 6,500 1,274 338 ______ M 7 6 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; also see comparability note on page 3» CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MAY 11, I960 TO JUNE 15, I960 (Partly estiinated. In millions of dollars) Item Member banks Central reserve Reserve city city banks banks Chicago New York All banks* All commer cial banks* +1,850 +1,760 +1,61+7 + 911+ + 101 +2,250 - it80 + 80 +2,070 - 1*10 + 100 +1,81+6 + 701+ - 298 * 101 + 99 + 109 + 155 + 532 - 59 - 109 + 5 - 21+ + 1+55 - 231 + 9 +3,590 +3,550 +3.337 +1,053._ + 238 +!,52Q + 1+56 70 + 70 + 820 +2,770 - 70 + 70 + 780 +2,770 - 66 + 1+1 + 71+0 +2,622 - 86 - 16 + 9 +1,1146 + + 31 + 321 3 8 + 311+ 261 + 958 + 60 + 1+09 + 257- - - - Total 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 70 70 15 12 +1,952 + 327 58 - + 399 + 233* 270 19 -..12. _ +1,977 + 670 +1i,761 +1,972 +. .357 + la + 378 +1,877 + 8 + 121 + 531+ + I87 +5 ,iao +5,118 +2,013 + 386 + 721 + 7U0 + 600 +3,560 + 610 + 7l+0 + 6oo +3,560 + 510 + 71+1+ + 1+73 +3,1+90 + ltll + 125 «■ 20l+ +2,023 + 69 + 105 + 1+95 + 31 + 285 + 21+5 +1,068 + 5 + 150 Borrowings - 1+90 - 190 - 1+73 - 131+ Other liabilities + 300 + 280 Total capital accounts + + 1*0 +5,370 +5 ,21+0 +l+,926 Gross demand deposits Gross time deposits +l+,960 + 550 +l+,960 + 1*50 TOTAL DEPOSITS +5,510 Total assets LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Total liabilities and capital 50 +5,370 +5,21+0 - 125 + 19 + 361 ' + 151+ + 187 - 151 71+ + 2 + 86 + 82 ' 37 1 + 2 + 18 + 18 +l+,926 +1,952 + 21+1+ + + * Figures have been rounded to nearest 10 million. 63 +1,998 + 327 +1,977 + 670 -3CHANGES IN ASSETS AND LIABILITIES OF ALL BAMS IN THE UNITED STATES, june 10, 1959 to june 15 , i960 (Partly estimated. In millions of dollars) G.7 *r All commer cial banks* All banks* Item Member banks Central reserve Reserve city city banks Total New York Chicago banks Country banks ASSETS Loans and investments * Loans and discounts U. S. Govt, obligations * Other securities + 3,849 +2,337 + 131 +129 -1,047 .. .+1*124 +13,675 +11,804 - 7,874 - 7,145 - 993 - 810 +9,855 -6,659 - 859 +1,836 -1,361 - 344 +747 - 50 +3,211 -3,725 - 533 +4,060 -1,004 + 68 Reserves, cash, and „ bank balances + 4,615. + 4.646 +4.089 .333 .*1 , +282 +1,754 + 720 35 5 - 2 - 1 + 5 + l4l - 12 + 132 +1,494 + + + 139 444 373 +4,808 136 Reserve with FR Banks - Cash in vault " Balances with banks Cash items f 240 + 802 «• 3,709 134 + 252 + 818 + 3,710 - 133 + 120 + 592 +3>510 11 + +1 ,,362 Other assets f f f 388 + .237 > 464 409 tj&iSBL- <*6,814 Total assets -568 +281 + 1 + .155__ +laJ01 __ +412 236 __ 5— .;±3^3SL LIABILITIES & CAPITAL Gross demand deposits 'Gross time deposits * TOTAL DEPOSITS Deposits of banks U. S. Govt, deposits Other demand deposits Other time depOiits Borrowings >A ■*Other liabilities -Total capital accounts " Total liabilities and capital + 5#701 + 5,702 ¥ 1,682 4- 855 +4,733 ¥ 27 +1,518 - 682 +305 + 17 +1,415 - 900 +1,494 f 7,384 t-6,556 ^ ,76 0 + 836 +322 + 516 +3,086 - 308 + 3,423 f 1,819 f 2,450 - 305 + 3,425 * 1,816 f 1,620 - gga +3,148 f1,084 f 755 389 + 668 + 662 104 + 83 +211 + 19 + 10 + 63 +1,430 - 217 - -761 + 16 + 840 + 621 +1,610 210 - 178 + 169 + 6l - 268 - 139 *• 1,571 * 1,517 1-1,427 + 567 + + + 489 f 1,145 f 1,040 ¥ 805 + 129 + 22 + 251 + 9,887 + 8,904 +6,8l4 +1,701 +412 + - 212 - 7 365 863 +, .,4Qi_ +3,839 ♦Figures may not add because of rounding. * Note.— Figures for prior dates not entirely comparable with current data because of _ changes effective: (1) December 1959, amounts due Federal Reserve BankB represented by outstanding drafts, etc., estimated at approximately $400 million in early December and. i to range seasonally between $250 and $600 million, were excluded from deposits and in cluded with other liabilities; (2) August 1959, nonmember commercial banks in Hawaii Digitized FRASER deposits of $365 million were added to the series; and (3 ) during the year withfor total http://fraser.stlouisfed.org/ in the reclassification of member banks. Federal Reserve Bank of St. Louis -4CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds 1/ (Partly estimated. Item In billions of dollars) June 15, I960 May 11, i960 24.7 19.4 5.4 24.7 19.4 5-3 25^.1 139.1 250.9 136.7 Change to June 15, I960 from — June 10, May 11, June 10, * 1959 i960 1959— : 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 88.6 61.5 26.2 •9 25.4 277.8 88.8 62.0 25.8 1.0 25.4 275.6 . 25.4 - 20.1 - 5.3 248.6 125.7 96.5_ 69.4 25-9 1.2 26.4 274.0 +2.2 +2.3 - .2 + + -5 .4 .1 .1 +2.2 - .rl - .8 + .1 + 4.5 +13.3 - 7-2. - 7.9 + .2 - .2 - 1.0 : - + ^.8 - LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous accounts, net Total liabilities and capital, net * 242.0 240.5 241.8 28.4 110.5 28.3 109.7 28.6 102.2 .8 101.6 .9 112.4 99-8 +l«-5--- + + .1 + .8 + .6 1.1 .2 ___ - .1 - 1.9 + 2.5 - .2 7-0 6.4 3-5 + .6 + 6.5 .5 5.9 •5 3.1 .4 + .6 + 3.4 + *1 2.8 2.8 .4 25.6 .4 25.5 3.6 .7 24.5 + .1 - .8 " *3 + 1.1 277.8 275.6 274.0 +2.2 + 3-8 Figures may not add to totals because of rounding. 1/ Treasury funds included are gold account, Treasury currency account, and Exchange — Stabilization Fund. ' ■