View original document

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

'>%. BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM

!
7 ♦>

March 10, i960
(For Immediate Release)
V- )
JL
v
ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, FEBRUARY 24, i960
^sN..
-.nT'*!,'4/
(Partly estimated. In millions of dollars)
Item

All
banks*

All
commer­
cial
banks*

Member banks
Central reserve Reserve
city
city banks
Total
New York Chicago banks

Country
banksl/

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

224,120

186,250 154,405

136,070
62,4l0
25,640

110,610
55,580

20,060

24,460

6,634

58,848

64,463

94,471 17,610
4,696
43,954
15,980
2,154

1,812

4,165
657

38,476
14,980
5,392

34,220
22,466
7,777

43,420 .42,710

37,689

7,664

1,882

15,600

12, 543

17,080
3,500

17,080
3,370

3,576
159
100

12, 230

3,829

1,014
29
99
740

7,135

10,580
12,260

17,077
2, 523
6,157
11,932

788
2,065
5,612

5,352
1,547
3,893
1,751

5,510

4,960

4,407

1,429

83

1,63.7

1,278

76.065

78.284

46,494
20.941

43,659
26,902

67,435

70,561

1,122
221
4,536
1,409

6,133
1,753
38,956
20,593

1,279
1,552
40,975
26,755

10,030

252. 233*221. 196^01 .-33*353.,-— 8x5.22.

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

139,590

101,690

139,560 119,359 23,358
5,848
468
66,770
4,,.185 _ 1.44o

TOTAL DEPOSITS

241,280

206,330 172,827

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits
-*■* Borrowings
■

14,060
4,750
122,38O
100,090

27,543 _ 7,288.

14,060
4,750

13,427
4,893
4,214
688
122,350 103,152 18,685
52,034
65,170
3,277

2,820

2,820

2,759

852

431

1,004

472

5,830

5,070

4,528

1,777

133

1,544

1,074

Total capital accounts

23,120

19,700

16,387

3,381 .: 747

6,082

6.177

Total liabilities
and capital

273,050

76,065

78,284

Other liabilities

* *

233,920 196,501

33,553

8,599

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*




- 2 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
JANUARY 27, 19602TO FEBRUARY 21*, I960
(Partly estiinated.

Item

All
banks*

In millions of dollars)

All
commer­
cial
banks*

Total

Member banks
Central reserve Reserve
city
city banks
banks
Chicago
New York

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

— 1,160

- 1,280 - i,iou

253

- 39

- 1,1*86

+

+ 1,170
- 2,210
-■ 120

+ 1,020 + 90l* mm
li
- 2,180 - 1,921
. 285
- 120 36
87 +

+ 93
- 116
- 16

+
191*
- 1,510
170

+ 621
- 10
+ 63

+

350

+

330 +

357 +

290

+ 13

21*

-

+

Uoo
60
90
900

1*00
60 110 900 +

1*06
U5 62 +
870 +

171
1*
2
U63

+ 1*
- 3
- 16
+ 28

Other assets

-

mm

+

mm

60

60 •

870

- 1,010 -

76

31

-

+
+

215
10
21
180

U

50

+

671*

78

- 21*
- 28
- 69
+ 199
-

53

778 +

113

- 30

- 1,560

+ 699

1,890
70

- 1,890 - 1,575
+
20 38 -

192
66

- 228
- 3h

- 1,096
585

- 59
+ 61*7

1,820

- 1,870

mm

258

- 262

- 1,681

+ 588

310
+
920
- 2,610
+
180

- 310
273
881 +
+ 920
- 2,610 - 2,293 + 130 +
72 —

11
116
3U7
16

+
+
-

- 193
+
526
- 1,1*70
- • 5UU

+
+

192
163
665

Borrowings

+

U80

+

U80 +

1*81*

215

+ 223

+

61

-

15

Other liabilities

+

370

+

310 +

291 +

135

+ 17

+

98

+

1*1

100

+

70 +

60 +

21

-

-

38

+

85

870

- 1,010

778 +

113

Total assets

-

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

—

•¥

TOTAL DEPOSITS
Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

Total capital accounts
Total liabilities
and capital

—

1,613

mm

mm

* Figures have been rounded to nearest 10 million.
r/ Revised.



37
1*7
313
33

8

- 30

- 1,560

106

+ 699

-3 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
■>• 1
G.7

FEBRUARY 25, 1959 TO FEBRUARY 24, 1$60
(Partly estimated.

Item

All

banks*

In millions of dollars)
Member banks
Central reserve Reserve
city
city banks
Total
New York Chicago banks

All
commer­
cial
banks*

Country
banks

ASSETS

+14,700 +12,720
-10,470 - 9,940
450 - 370

Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
9

Other assets

A
Total assets

-1,089

- 3

-1,185

+3,178

+10,743 +1,746
- 9,449 -2,665
393 - 170

+725
-760
+ 32

+4,197
-4,948
- 434

+4,075
-1,076
+ 179

O

Loans and discounts
U. S. Govt, obligations
Other securities

901

- 70

-

+ 3,780 + 2,410

30

140

8

- 1,030 - 1,030 - 1,036
120
+
150 + 160
102
- 300 - 210
+ 1,040 + 1,050 + 1,026
+

660 +

+ 4,300

640 +

+

Loans and investments

- 401
+
5
+
4
+ 432

-

57

578 + 249

+

+ 3,020 + 1,487

72

+

110

3
6
4

- 438
+
28
- 68
+ 4o6

- 140
+
90
- 32
+ 192

5

+

167

+ 157

- 800

- 68

-1,090

+3,445

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+
70
+ 1,470

TOTAL DEPOSITS

+ 1,540

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

70
500

132

500 - 367
- 990

-448
+ 10

- 704
- 737

+1,019
+1,585

570

632

-1,357

-438

-1,441

+2,6o4

- 1,080 - 1,080
+
300 + 300
140
140
+ 2,460 + 1,490

- 1,069
229
597

760
261
183

- 74
- 19
-364
+ 19

+
-

752
.634

- 21
+ 242
+ 780
+1,603

+

72

+ 123

+

805

-

153

214

159

+

610 +

610

676 + 129

+352

Other liabilities

+

890 +

760

612 + 328

- 4

1

+ 1,080

831 + 100

+ 22

+ 280

+ 429

- 68

-1,090

+3,445

% Total capital accounts

+ 4,300 + 3,020

+ 1,487

O

Total liabilities
and capital

+ 1,260

O
00
1

Borrowings

+

289

* Figures have been rounded to nearest 10 million.
Note.--Figures for prior dates not entirely comparable with current data ^ecause of
changes effective; (l) December 1959, amounts due Federal Reserve
December and
outstanding drafts, etc., estimated at approximately $400
to range seasonally between $250 and $600 million, were excluded from
!£?«?
eluded with other liabilities; (2) August 1959, nonmember commercial banks in Hawaii
with total deposits of $365 million were added to the series and; (3) April 3.959, a
national
 member bank in Hawaii with total deposits of $220 million was added to
http://fraser.stlouisfed.org/
series.
Federal Reserve Bank of St. Louis

-4 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
G.7

r* f
'*-

All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds l/
(Partly estimated.

Item

In billions of dollars)

1960E/

Feb.
25,
1959

Change to Feb. 24*
i960 from —
Jan. 27, Feb. 25/
i960
1959

24.7
19.4
5-3

24.8

25.7

- 1.0 *

19.5
5-3

20.5

- 1.1 *
+ .1

248.0

249.9

245.3

133.7

133-1

119.8

64.6
25.4

99-4
72.9
25.3

Feb.
24,
I960

Jan.

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
62.4
25.2
1.0
25.6

272.7

91.1

5.2

1.0
25.8

1.2
26.1

274.7

271.0

- 1-9
+ -7
- 2.5
- 2.2
- -3

+ 2.7
+14.0
-10.8 -10.5 *
~ *2 ,
- .2

.1

- .5

- 2.0

+ 1.7

-

LIABILITIES AND CAPITAL

■
4

Total deposits adjusted and
currency outside banks

239.1

242.4

237.7

- 3-3

Currency outside banks
Demand deposits adjusted
Time deposits adjusted
Postal savings deposits

28.0
110.1
100.1
1.0

28.0
113.6

27.7
111.3
97-6

+ .1
- 3-5
j + .2

5.3

4.4

4.9

+

-9 . +

4.8

3.8

4.5

+
-

-9

.5

.6

.1

+
+

2.6
.5
25.2

2.8

3.7
•7
23-9

-

.1

.4
24.6

+

.6

- 1.1
•3
+ 1.3

272.7

274.7

271.0

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

99-9
•9

1.1

.5

- 2.0

+ 1.4
+ .3 *
- 1.2
+ 2.5 *
- .2
.4
.3

*
*

.1 *

'
*

+ 1.7 *

|
Seasonally adjusted 2/
Currency outside banks
deposits adjusted

28.3

28.4
111 .3

28.0£/
ill.
6£/
|

-

.1

+ .3 ,
- 1.2
------- #
* Figures nay not add to totals because of rounding. See note on page 3 .
„
l/ Treasury funds included are gold account, Treasury currency account, and Exchange
Stabilization Fund.
2/ For description of revised seasonal adjustment factors and figures, see February
i960 Bulletin, pp. 133-36.
r/ Revised.




110.4

.9