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June 9, ^ 6 5 For immediate release ^ u & s m i^ 0 y / t * ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MAT 26, *J.k (Partly estimated. Item ASSETS * Loans cind investments Loans and discounts U. S. Govt, obligations Other securities ^Reserves, cash, and bank balances All banks All coml. banks 1965 In millions of dollars) All Reserve city banks member New York City of Other Chicago banks City 336,460 281,970 232,373 Country banks 40,201 10,363 86,034 95,775 226,690 183,720 154,705 29,558 63,100 57,100 43,615 4,674 46,670 41,150 34,053 5,969 7,108 1,643 1,612 60,015 14,123 11,896 58,024 23,175 14,576 52,220 51,230 44,804 10,230 2,232 17,984 1^,358 17,130 5,240 17,134 3,935 7,251 16,484 3,935 313 248 5,734 1,033 7,121 1,194 16,940 17,130 5,110 12,110 16,880 7,502 5,045 2,367 4,700 2,246 10,220 9,290 8,154 2,753 366 2,833 2,202 398,900 342,490 285,331 53,184 12,961 106,851 112,335 162,650 162,590 136,431 26,586 187,110 136,460 112,063 17,234 6,545 4,737 50,883 42,247 52,417 47,845 'TOTAL DEPOSITS 349,760 299,050 248,494 43,820 11,282 93,130 100,262 Deposits of banks * U. S. Govt, deposits Other demand deposits Other time deposits 15,210 15,210 14,342 4,857 10,160 10,160 9,091 2,072 138,490 138,430 114,025 20,289 185,900 135,250 111,036 16,602 4,701 1,498 4,970 4,970 1,192 578 4,800 4,712 6,540 3,600 40,969 42,021 1,753 2,841 47,967 47,701 333 2,329 541 Reserve with FR Banks Cash in vault Balances with banks * Cash items Other assets TOTAL ASSETS/LIABILITIES LIABILITIES & CAPITAL Gross demand deposits Gross time deposits Borrowings «,Other liabilities Total capital accounts ‘Seasonally adjusted data 22,910 61 136 1,002 2,167 11,210 10,060 8,730 3,318 275 2,716 2,421 32,960 28,410 23,406 4,548 1,071 8,676 9,111 1/ Excludes total coml. : interbank loans. 279,100 Loans and discounts 1/......... 179,300 58,500 US. Govt, obligations......... 41,300 Other securities.............. NOTE: 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 28, 1965 TO MAY 26, 1965 (Partly estimated. Item All banks In millions of dollars) AIT ~ m Reserve city banks member New York City of coml. Other banks banks City Chicago +1,460 + +2,820 -1,080 - 280 - 320 Country banks # * ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances -124 - 62 +2,210 -1,220 - 240 +1,754 - 94o - 307 +385 - 90 -419 + 35 - 26 - 71 + - 370 302 +386 - 86 - 79 + 10 30 260 90 + 10 +1,150 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits TOTAL DEPOSITS Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIAEIIITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits + - Total capital accounts 924 39 + 020 318 4 222 _ 538 - 64 — 64 24 l4o + 154 5 118 95 + 8 314 506 68 + ~6 - 13 + 103 + 70 + 14 + 11 + 390 + 308 +332 -134 - 758 + 868 " -1,270 +1,690 -1,280 +1,170 -1,111 +1,0^2 -148 +466 -147 + 34 + 879 8 + + 63 534 + 420 - 110 69 +318 -113 - 871 + 597 * - 160 +3,050 -4,110 +1,640 - 160 +3,050 -4,120 +1,120 - 127 +2,616 -3,544 + 986 +139 - 12 +409 -247 + 33 - 214 +1,009 -1,682 + 16 - kO +1,171 * -1,062 + 528 70 - TO - 101 -157 - 22 + 19 + 59 510 290 + 370 + 325 +l4o - 5 + 93 + 97 6 + 1 + 115 + + + 80 + 10 + Seasonally adjusted data Loans and investments 1 / , 200 +1,800 +2,200 T/NQno Q-nrl rii Qr*nnn+.fl 3/ TT ft flovt obligations... . n 28 + + 1 + 35 +350 Borrowings Other liabilities + - 10 30 220 231 507 750 1 + 600 200 217 + 153 +113 +323 -553 + + 31 310 For nuiribered footnotes, see first page dkpp rtv»+.n<vhe --7. rtficrft three . J A i * CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MAT 27, 1964 TO MAY 26, I965 ■ (Partly estimated. -* All coml. banks All banks Item In millions of dollars) All member banks Reserve city banks New York City of Other City Chicago Country banks # > ASSETS Loans and investments +30,800 +26,250 +21,080 +4,734 * Loans and discounts U. S. Govt, obligations Other securities +27,480 +22,860 +19,040 +5,014 - 2,050 - 2,010 - 2,364 - 945 + 5,370 + 5,400 + 4,4o4 + 665 Reserves, cash, and * bank balances > Reserve with FR Banks Cash in vault • n Balance with banks Cash items ■+ pther assets + 3,370 + 3,230 + + 950 + 430 + 520 + 1,470 + 969 +6,808 + 935 + 97 +6,266 > +6,825 -1,171 - 185 +1,713 +1,929 2,821 + 837 _ + 47 + 985 + 952. 27 + 504 + 78 75 + 478 + + + + 356 201 213 182 308 + 275 + 950 + 958 + 430 + 316 112 + 390 + + 1,46© + 1,435 + 1,310 + 1,200 + + + + + 989 + 63 734 + + + 11 32 4l 267 + 139 71 26 6 TOTAL ASSETS/LIABILITIES +35,480 +30,680 +24,890 +5,838 + +8,569 +1*155 +8,101 +9,126 _ LIABILITIES & CAPITAL ^Gross demand deposits Gross time deposits + 8,690 +21,570 + 8,680 + 6,787 +1,496 +17,200 +14,248 +3,734 + + 200 668 +1,935 +4,381 +3,156 +5,465 * TOTAL DEPOSITS +30,260 +25,880 +21,035 +5,230 + 868 +6,316 +8,621 Deposits of banks v U. S. Govt, deposits Other demand deposits Other time deposits + 900 + 2,740 + 5,410 +21,210 + + + 18 191 10 669 + 194 + 843 + 960 +4,319 + 128 + 764 +2,274 +5,455 4 + 148 +1,028 + 132 856 + 407 + 76 + 113 + 260 2,030 + 1,687 + 197 + 63 + 644 + 783 + 900 + 2,740 + 5,400 +16,840 + 831 + 2,454 + 3,843 +13,907 + 491 + 656 + 619 +3,464 f- Borrowings * Other liabilities ^total capital accounts + 1,410 + 1,410 + 1,312 + + 1,470 + 1,360 + + 2,340 + i Seasonally adjusted data ^ Loans and investments 1/ +25,600 > Loans and discounts 1/......... +22,000 U.S. Govt, obligations........ . - 1,800 Other securities.............. , + 5,400 For numbered footnotes, see first page. § Beginning with the last Wednesday in May 1965 total assets of country banks were in creased and Other Reserve city banks de creased by $645 Million as a result of the reclassification of Toledo, Ohio banks from reserve city to country banks. -4CONSOLIDATBD 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 (Partly estimated. Item In billions of dollars) Change to May 26, „ 1965 from — May 26, April 28, May 27, April 28, May 27, 1964 1964 1965 1965 .. 1965 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 19.7 19.8 21.0 - .1 - 1.4 14.3 5.4 14.4 5-4 15*5 5*6 - .1 - 1.2 - .2 371.3 222.1 102.5 368.9 219.3 102.6 336*9 195*9 99*7 63.1 38.3 64.2 37.4 65.2 46.7 47.0 34.0 *5 41.3 +2.5 +2.9 - .1 -1.1 + *9 - *3 +34.4 +26.2 + 2.8 - 2.1 + 4.3 + .6 + 5.4 391.0 388.7 358.0 +2.3 +33*0 341.6 343.7 315.1 -2.1 +26.5 32.4 + *3 -4.0 +1.6 + 1.5 + 3*9 +21.2 - .1 +2.7 + 2.5 +3.1 - *3 + 2.7 - .2 +1.6 + .2 + *3 + 3.4 1.1 1.1 * " LIABILITIES AMD CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted l/ Time deposits adjusted Posted savings deposits U. S. 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 33.8 33-5 121.6 125.6 117.6 m :l 184.2 .4 164.7 .4 IQ S 8.1 ... 8.3^ 10.2 7*1 •7 1.0 7*4 .9 1.5 1.5 36.3 34.7 1.3 .4 32.9 388.7 -258.0 .8 .8 - .',-+2.3.. ...+13...P.. Seasonally adjusted Currency outside banks 33.8 + .1 + 1.4 33.9 32.5 Demand deposits adjusted 125_,2 H9.4 + 4.1 -A J ... * 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 $L23«7 billion on May 26, 1965. * ■*.