The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
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