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RESERVE

FEDERAL
release
L I B R A R Y

June 8, 1966
For Immediate release

RESERVE-S'
ASSESS AID LIABILITIES QF AIL BANKS IN THE OTETED STATES, MAX 25, 1966
J.4
Item
ASSETS
Loans and Investments
Loans and discounts
U. S. Qoyt. obligations
Other securities

(Partly estimated.
a h ..
All
coml.
banks
banks

In millions of dollars)
■£ i i .”
Reserve city banks
■saber New York City of
Other
banks
City
Chicago

Country
banks

365,000 307,570 252,528 44,233

11,148

253,590 207,130 174,354 34,316
39,686
53,450
3,942
58,790
52,620 46,990 38,488 5,975

8,064
l,46l
1,623

66,817
11,832
13,706

65,157
22,451
17,184

Reserves, cash, and
bank balances

92,355 104,792

55,580

54,730

47,548 10,733

2,349

19,064

15,402 x

17,320
5,660
13,680
18,920

17,320
5,530
13,010
18,870

17,316
4,279
7,567
18,386

3,527
333
261
6,612

1,087
86
129
1,047

7,288
1,305
2,292
8,179

5,4l4
2,555
4,885
2,548

11,380

10.410

,-9.110

3.006

492

3,128

2,484

431,960

372,710

309,186

57,972

13,989

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

169,260 169,210 141,072 27,577
208,370. 155.150 .127,214 19,625

6,713
5.209

TOTAL DEPOSITS

377,630

47,202

11,922

Deposits of banks
. TJ. S. Oort, deposits
Other demand deposits
Other time deposits

16,000 16,000 15,114 5,190
7,042 1,469
7,990
7,990
146,560 146,510 120,016 21,613
207,080 153,860 126,U 4 18,930

1,195
458
5,087
5,182

6,895
2,866
'42,365
47,911

1,834
2,249
50,951
54,091

Reserve with FR Banks
Cash In vault
Balances with banks
Cash Items
Other assets
TOTAL ASSEFS/LIABILITIBS

324,360 268,286

114,547 122,678

51,891
48.146

54,891
54.2^4

100,037 109,125

5,610

5,610

5,114

1,708

428

1,990

988

Other liabilities

13,170

11,950

10,441

3,914

496

3,320

2,711

Total capital accounts

35.550

30,790

25,345_

5.148

1,143

304,300
pop
C
SJC.)pnn
CSJ\J
cji OAA

NOTE:

Borrowings

Seasonally adjusted data
Tittvia onA 4mrAaHkmAwfca 1/.-

HOTS:

9,200 ..9,854 .
/
i f Excludes total coml. Interbank loans.
Current and montn-ago rigures
reflect adjustment to December 31,
1905 benchmarks.

47,200
Comparability of figures affected by changes in FR membership, mergers, etc.,
and in reserve classifications.




CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
APRIL 27, 1966 TO MAY 25, 1966
J.4
Item

(Partly estimated. In millions of dollars)
Reserve city banka
All
All
All
City of Other
member
Nev
York
coml.
banks
banks
City Chicago
banks

ASSETS
Loans and investments

Country
banks

j£2_ + 584

-112

1 . 932. + 670

+ 425

+2,310
-1,950
+ 570

+2,050
-1,950
+ 570

+1,652
-1,684
+ 457

+ 889
- 484
- 410

- 97
- 9

-i*gio.

-1.910

-1.775

- 219

-gJA-

- ..951.

- 860
- 10
470
- 570

-

860

+
+

600
4
34
411

81
- 1
- 31
-106

- 214
7
- 43
- 693

+

- VfO
- 570

- 860
7
- 362
- 546

+ 150

+

170

+ 194

+

176

+ 31

+__ 2 L

‘

- 830

-1,070

■1,156

48

-300

- 962

+ 154

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

-4,220
+1,570

-4,220
+1,460

-3,819
+1,239

-1,103
+ 174

-451
+ 54

-1,476
+ 596

TOTAL DEPOSITS

-2,650

-

2,760

-2,580

929

-397

- 880

- 374

650
+2,7**0
-6,330
+1,590

- 650
+2,740
-6,330
+1,480

- 599
+2,232
-5,^3
+1,250

235
9
862
+ 177

- 59
- 73
-325
+ 60

- 195
+1,103
-2,386
+ 598

+1,211
-1,890 ^
415 *

670

+ 670

+ 560

+ 508

+ 61

- 235

226
263

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

-

10

-

-

6

-

-

+ 74
- 751
+ 635

Borrowings

+

Other liabilities

+ 98O

+

900

+ 758

+ 351

+ 24

+ 120

Total capital accounts

+ 170

+

120

+ 106

22

+ 12

*

Seasonally adjusted data
Loans and investments 1/.
Loans and discounts l/.
U.S. Govt, obligations.*
Other securities......




+ 786
- 440
+ 238
,3fiCL
35 i
3
254
- 158

t

5°

789
+ 415
-

- no

+1,100

l

33_

For numbered footnotes, see first page.
+1,300
+1,500
-1,300

4

i

r j April 27, 1966 mutual savings banks
figures revised.

<
1

-3CHAKGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES,
MAY 26 , 1965 TO MAY 25, 1966

%

ASSETS

Loans and Investments
| Loans and discounts
U. S. Govt* obligations
< Other securities

+26,930 +23,200 +19,649 +4,758
- 4,240 - 3,740 - 3,929 - 732
6
+ 5,950 + 5,880 + 4,435 +

+ 956
- 182
+
11

+6,802
-2,291
+1,810

+ 7,133
- 724
+ 2,608

Reserves, cash, and
| bank balances

+ 3,430 + 3*550 + 2,744

+ 1 TL_ +1.080

+ 1.044

Reserve with PR Banks
Cash in vault
I Balances with banks
Cash'items
*
Other assets

+
190
+ 44o
+ 820
+ 1,980

+ 190 + 182
344
+ 440 +
316
+ 930 +
+ 1,990 + 1,902

+ 1,180 + 1,120

+__ 956

+30,010

+23,855

4o8
20
13
878

+
+

253

+ 126

+

54
25
7
45

+
+
+
+

167

369

188

111
125
677

185
302

282

+1.028

+Ti.626

+10.343

+ 6,640 + 6,650 + 4,641 + 991
+21,440 +18,530 +15,151 -*•2,391

+ 168
+ 472

+1,008
t5i§sa

+ 2,474
+ 6,389

+19,792 +3,382

640

+6,907

+ 8.863

Deposits of banks
U» S. Govt, deposits
Other demand deposits
' Other time deposits

+ 790 + 790 + 772 + 333
- 2,140 - 2,140 - 2,049 - 603
+ 8,070 + 8,080 + 5,991 +1,324
+21,360 +18,450 +15,078 +2,328

+
3
- 120
+ 287
+ 470

+ 355
- 734
+1,396
+5,890

+
81
- 592
+ 2,984
+ 6,390

Borrowings
I
Other liabilities

+

+ 210

+

95

- 339

+

447

+ 596

+ 221

+ 6o4

+

290

+

+

+

743

TOTAL ASSETS/LIABILITIES

i

LIABILITIES & CAPITAL
I Gross demand deposits
Gross time deposits .
*
TOTAL DEPOSITS

Total capital accounts

+28,080 +25,180

640 +

+ 1,980

64o +

+ 1,890




+ 1,7H

+ 2.300 + 1.939 + 600

f

Seasonally adjusted data
Loans and investments 1/•
■
Loans and discounts 1/•
U.S. Govt, obligations.«
Other securities......

41

72

524

Por numbered footnotes, see first page.
+24,900
+22,700
- 3,700
+ 5,900

-

4

-

OONSOLEDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
(Partly estimated*

J.4
Item

In billions of dollars)

May 25,
1966

Apr. 27, May 26,
1966 r/ 1965

Change to May 25,
1966 frcn ~
Apr. 27, May 26,
1966
. 1965__

ASS&TS
19-4

19.4

19-7

—

13-5
5-9

13.6
5-8

14.3
5-4

- .1
+ .1

- .8
+ .5

402.1

401.2

371.2

+1.0

+3O.9

248.5
101.0

. 246.8
102.3

222.1
102.4

+1.8
-1.4

+26.4
- 1-5

58.8
4l.l
l.l

60.7
40.7
•9

63.O
38.3
1 .1

-2.0
+ -3
+ -3

- 4.2
+ 2.8

52.6

52.1

46.7

+ .6

+ 6.0

421.5

420.6

390.9

+1.0

+30.6

Total deposits adjusted and
currency outside banks

371.2

375.1

341.5

-3.9

+29.7

, Currency outside banks
Detf&nd deposits adjusted l/
Time deposits adjusted
Postal savings deposits

36.2
127-6
207-1
•3

35.9
133.4
205.5
•3

33-9
121.6
185.7
.4

+ -3
-5.8
+1.6

+ 2.4
+ 6.1
+21.4
- .1

8.7

5-5

10.8

+3.2

- 2.1

8.0
-7

5-3
-3

10.1
•7

+2.7
+ .4

- 2.1
+ .1

1-5
1.0
39-1

1-7
•9
37.'3

1.5
.8
36.4

- .2
+ *1
+1.8

+ .2
+ 2.8

421-5

420.6

390.9

+1.0

+30.6

Monetary reserve
Gold stock
Treasury Currency
Bank credit
Loans, net
U. S. Qovt* obligations
Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

-

-3

LIABILITIES AND CAPITAL

9* 8* Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net
Total liabilities and capital, net

.

Seasonally adjusted
+ .1
34.0
+ 2-3
36.2
Currency outside banks
36.3
+ 6.0
Demand deposits adjusted
129,j>_._._ ..JSfco
123.ll.. ... s U
# 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 $ 130.0billion on May 25» 1966.
http://fraser.stlouisfed.org/
r j Mutual savings banks figures for April 27, i960 revised.
Federal Reserve Bank of St. Louis