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FEDERAL statistical release r>A .R Y JL.JJ ASSETS ABD RESERVE For Immediate release June 28, 1966 RESFRVE-S^ ALL BANKS IH THE UNITED STATES, JUNE 15, 1966 J.4 » Item ASSETS Loans and Investments Loans and discounts * U. S. Govt, obligations Other securities (Partly estimated. “ Ail— All ccml. banks banks In millions of dollars) Reserve city banks member New York City of Other Chicago banks City " i a r Country banks 93,020 104,945 , 309,770 254,674 45,327 11,382 256,150 209,560 176,630 53,220 58,530 39,598 52,640 38,446 46,990 35,072 4,279 5,976 8,425 1,411 1,546 67,674 11,684 13,662 65,459 22,224 17,262 367,320 Reserves, cash, and bank balances 62,280 61,430 53.^00 11.988 2,682 21 .16s 17.465 * Reserve with FR Banks Cash in vault Balances with banks t Cash items 17,900 5,520 15,520 23,340 17,900 5,390 14,850 23,290 17,902 4,167 8,616 22,615 3,768 325 305 7,590 1,005 85 181 1,411 7,202 1,253 2,411 10,299 5,927 2,504 5,719 3,315 Other assets 11,510 .10,510 9,147 2,995 463 3,083 2,606 441,110 381,710 317,121 60,310 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 178,400 207.^80 178,350 149,075 145.080 126.251 29,853 19,266 7,175 5,106 ♦total DEPOSITS 385,780 332,430 275,326 49,119 12,281 16,612 17,590 17,590 3,460 3,460 2,885 158,650 158,600 130,679 206,080 152,780 125,150 5,498 457 24,580 18,584 1,342 97 5,762 5,080 7,735 968 46,257 47,591 2,037 1,363 54,080 53,895 TOTAL ASSETS/LIABILITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings btber liabilities Total capital accounts i 14,527 117,268 125,016 . 54,709 47.842 57,338 54.037 102,551 111,375 6,600 6,600 6,044 2,132 544 2,249 1,119 13,060 11,780 10,323 3,904 557 3,239 2,623 -J2*22SL . . . 2 5 ^ 2 8 . . . .... 1 0 & 5 - . .....2x229 \ MOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. 2*§22,. - 2- CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, » MAY 11, 1966 TO JUNE 15, 1966 J.4 Item (partly estimated. In millions of dollars) All All Reserve city banks All coml. member New York City of banks Other banks banks City Chicago Country 1 banks < ASSETS Loans and investments +1,810 +1,610 - +1,644 + 937 +107 + +3,010 -1,840 + 640 +3,000 -1,920 + 530 +2,756 -1,544 + 432 +1,080 - 158 + 15 +215 - 49 - 59 + 988 - 720 + 280 + 473 - 617 + 196 , +4,560 +4,550 +4,007 +1,217 +336 +1,342 +1,112 _\ + 300 + 60 + 960 +3,240 + 300 + 60 + 950 +3,240 + 305 + 33 + 530 +3,139 98 5 + 55 +1,069 - 35 + 1 + 81 +289 - 43 15 9 +1,409 + 285 . + 52 1 + 403 + 372 + 230 + 200 + 161 + 84 - 17 + +6,600 +6,360 +5,812 +2,238 +426 +1,900 +1,248 * LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +5,240 - 250 +5,240 - 410 +4,888 - 359 +2,124 - 197 +250 - 78 +1,662 + 20 0 1 + 852 - 104 TOTAL DEPOSITS +4,990 +4,830 +4,529 +1,927 +172 +1,682 + 748 ! + 720 -3,360 +7,900 - 270 + 720 -3,360 +7,900 - 430 + 716 -3,222 +7,411 - 376 + 188 -1,138 +3,052 - 175 + 68 -353 +532 - 75 + 437 -1,384 +2,652 - 23 + 23 " - 347 +1,175 - 103 | Borrowings + 970 + 970 + 772 + 88 +164 + 123 + 397 Other liabilities + 520 + 480 + 452 + 233 + 86 + 75 + Total capital accounts + 120 + 10 + 4 + 20 _+ ...4. 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 Deposits of banks U* S. Govt, deposits Other demand deposits Other time deposits 80 1— 2 L .. + 548 ..+ 10 + 52 1 84 1 58 1 I 4 CHANGES IN ASSETS AND LIABILITIES OF AtL BANKS IN THE UNITED STATES, JUNE j j.4 1965 TO JUNE 15, 1966 (Partly estimated. Item All banks In millions of dollars) Reserve city banks All-All City of New York member coml. Other Chicago City battks banks 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 +29,900 +26,570 +21,530 +4,729 +1,016 +28,810 - 4,090 + 5,180 +25,050 +21,519 +5,419 - 3,570 - 3,636 - 379 + 5,090 + 3,647 - 3 H +1,319 + 7,641 - 204 - 2,169 - 99 + 1,471 + 7,140 - 884 + 2,586 +10,450 +10,590 + + 2.544 + 940 + 550 + 1,910 + 7,050 946 + 86 + 940 + 10 403 + + 550 + + 2,040 + 83 987 + + 7,060 + 6,796 +2,502 + 19 + 207 + 21 + 103 186 + 64 + + 46o + 2,847 + + + + 634 269 654 987 + 1,360 + 1,290 + ill + + 341 +41,710 .,+28^50 + 9,132 + 1,089 +2,681 + 319 + 6*243- + 8.842 564 + 258 +2M21. +7,789 +1 ,6 9 1 .+10,544 +11,721. LIABILITIES & CAPITAL Gross demand deposits Gross time deposits *• TOTAL DEPOSITS +16,370 +19,440 +16,380 +16,630 +13,641 +13,484 +4,375 +1,697 + 905 + 4,207 + 361. + 5,441 + 4,154 + 5.i285_ +35,810 +33,010 +27,125 +6,072 +1,266 +10,132_ Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits + 1,460 - 3,420 +18 ,410 +19,360 + 1,460 + 1,426 + 618 - 3,420 - 3,272 - 952 +18,420 +15,554 +4,748 +16,550 +13,417 +1,658 + 99 + 609 - 257 - 1,398 +1,064 + 5,025 + 360 + 5,412 + 1,070 + 1,070 + + + 2,290 + 2,080 + 1,899 + 776 Borrowings * Other liabilities i Total capital accounts 795 + 341 + 2,540 .+ 2*220 ..+ l*23g- + 600 + 9,648 + 100 - 665 + 4,717 + 5,987 85 - 183 + 552 + 292 + 536 + 295 48 + 543 + 741 + -4.CONSOLIDATED CONDITION STATH-tEMT FOR BANKS AND THE MONETARY SYSTiM* All Commercial, Savings, and Federal Reserve Banka, the Postal Savings System, and Treasury Currency Funds (Partly estimated. Item In billions of dollars) May 11, 1966 June 15, 1966 June 9, 1965 Change t<> June 15 ] 1966 iFrom — May 11, June 9,1 t 1966 1965 ASSfeTS Monetary reserve Gold stock Treasury Currency Bank credit Loans, net U* S. Govt, obligations Commercial and savings hanks Federal Reserve TRa.nk« Other Other securities Total assets, net 1 19-5 . 19.4 19-7 + .1 - .2 13-5 5-9 13.5 5-8 14-3 5-* + .1 + .8 -5 404-3 402.1 372.2 +2.2 +32.1 250.5 101.1 . 247.8 102.3 222.4 102.3 +2-7 -1.2 +28.1 - 1.2 \ 58.5 41.4 l.l 60.4 41.0 •9 62.6 38.5 1.2 -1.8 + .4 + -3 - 4.1 + 2.9 — 1 52.6 52.0 47.5 + .6 + 5-2 423-7 421.5 Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits TJ. S. Government deposits At commercial and savings banks At Federal Reserve ’ Rwwka Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Total liabilities and capital, net 1 . .378-5 ._ .313-7 345.6 +4.7 +32.9 36.9 135-3 206.1 .2 36.5 130.7 206.3 •3 3^-6 124.0 186.7 .4 + .4 +4.7 - -3 - .1 + 2.3 +11.4 +19.4 - .1 .^-5 . ...7-3 ___ 7.9 -2.8 -.3,4. 3-5 1.0 6.8 •5 6.9 1.0 -3.4 + .5 - 3-4 + .1 1.8 1.0 38.0 1-7 1.0 37-8 1.6 .8 36.1 + .1 + .1 .+ .2 + .2 + -3 .+ 1,9. 391.8 +2.3 +31.9 423.7 _ -JL21.5.. fl 1 < * 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 $137-7 billion on June 15, 1966. I _ 3 2 d L - _ +.2-.1 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks ! 1 1 I