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FEDERAL
p re SS
TTTl
.,u

RESERVE

ease
e>-v3
March 11, 1964
For immediate release

i(a v /

ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, FEBRUARY 26, 1964

> *
-J.k
*

Item

ASSETS
Loans and investments
A
* 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

(Partly estimated.
All
All
coml.
banks
banks

In millions of dollars)
All
Reserve city '
banks
member New York City of
Other
banks
City
Chicago

299,050 _250,190

206,916

33,611

9,423

77,289

86,593

191,480

129,888 22,799

5,956
1,867

1,600

51,529
15,994
9,766

49,604
24,451
12,538

40,580

154,140
61,000
35,050

48,680

66,990

47,873
29,155

5,561
5,251

47,780

41,969

9,317

2,023

17,193

13,436

16,710

16,710

16,708

3,988

4,620
11,440
15,010

3,513
7,099
14,649

272
203

982

4,750

51
132

4,854

858

7,018
1,078
2,199

6,898

4,720
2,112
4,565
2,039

7,820 - 6 , 9 1 9

2,449

... .195

2,363

1,912

12,150
15,070

V

Other assets

Country
banks

8,660

TOTAL ASSETS/LIABILITIES .256*329.. .305,790

255,804 j£*3J7.... 11,641

_26i845.. .101*341.

**
LIABILITIES & CAPITAL
Gross demand deposits
'Gross time deposits
TOTAL DEPOSITS
*
Deposits of banks
U. S. Govt, deposits
‘ Other demand deposits
Other time deposits

153,140
2S.Q.&9Q

153,080 129,142 24,655
115.490 _ .34,798 _12.*355

6,118
3.938

48,745
36.711

49,624
41.794

314,030

268,570 223,940 37,010

10,056

85,456

91,418

1,139

6,554
2,115
40,234
36,553

1,702
1,888
46,180
41,648

14,560

14,560

6,000
133,460

160,010

6,000
133,400
114,610

borrowings

3,310

Other liabilities
Total capital accounts
~ Seasonally adjusted data
► Loans and investments V*
Loans and discounts 1/..
*
U.S. Govt, obligations..
♦
Other securities......
NOTE:

13,723

4,328

5,268
982
110,823 19,694

283

94,126

12,006

4,715
3,919

3,310

3,166

1,320

370

1,095

381

9,180

8,240

7,526

2,863

213

2,480

1,970

29,870

25,670

21,172

4,184

1,002

7,814

8,172

1/

Excludes total coml. interbank loans.

249,000

152,700
61,000

35,300

Comparability of figures affected by changes in FR membership, mergers, etc.,
classifications.


and in reserve


-

2-

*A

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,

v

JANUARY 29, 1964 TO FEBRUARY 26 , 1964
j .)i

Item

(Partly estimated. In millions of dollars)
Reserve city janks
All" ' All
member New York City of
All
coml.
Chicago Other
banks
'City
banks
banks

ASSETS
Tnemc; anti 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

TOTAL ASSETS/LIABnilTIES

+

+181

+

+ 940
- 600
+ 450

+ 785
- 4?1
+ 423

-166
-130
+256

+119
+ 44
+ IS

+ 495
- 158
+
93

+ 337 H
- 227 v
+
56
*\

^70

+

330

+

489

+451

+ 29

+

230
150

+
+

230

+ 230
- 107
50
+ 4l6

+181
- 10
- 19
+301

- 4
- 3
+ 14
+ 22

+ 180
- 19
+
54
+ 152

- 360 *
r
- 127
- 75 «
- 99 * ^
59

-

66

+ 52

- 6

- 136

+

+465

+204

+

- 19
+ 531

+1,320
- 520
+ 450
+
+
+

120
410

79°

150

160
410

+

430

4* M
166 _

- 40

+

367

24 „

30
— JX-

50

+1,590

+1,070

+1,160

- 830
+i,i4o

- 438
+ 974

+203
+131_

+104
- 25

+

536

+316

+ 79

+

+ 49
+179
-124
- 25

56
+1,24£1
-1,205;
+ 531.

94. .
+ 672
-1 ,304 *
+ 329 ,

+113
+ 12

-

53

+

15:5

+
+

1- A,
5
66*

+

4:

+

156 *

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

- 830
+1,450

nwpAT
cj
no'xTxS
IUIxtJu •n
jjiilriojn
rv
u

+

620

+

310

- 110
+2,910
-3,610
+1,430

- no
+2,910
-3,610
+1,120

- 69
+2,644
-3,000
+ 961

+ 32

Borrowings

+

110

+

110

+

93

+ 26

Other liabilities

+

500

+

340

+

311

+ 80

Total capital accounts

+

360

+

310

+

220

+ 23

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

Country banks— v
.
-------

737

+1,250

Other assets

Seasonally adjusted data }
Loans and investments 1/
*
__
-Ionrviiri+C J-/.......
1 /.
Jr
jU
cAIlt»j CUilU. UlOWUiiww




“
V
---- M■

+545
-367

+126

661

518

- 170 *

*
- 726
+ 329 ^
A
- .32Z-„

For nviimbered footnotes, see first page.
+3,200
+l,4oo
+1,2001
1 + 6001

^
Vt

*

-3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
FEBRUARY 27, 1963 TO FEBRUARY 26, 1961*

(Partly estimated. In millions of dollars)
J.U
4*-- --------------- —-- ■..
Reserve city banks
All
All
All
New
York City of
member
coml.
Item
Other
banks
City# Chicago
banks
banks

Country
banks #

ASSETS
■'Loans and investments

+20,200

+13,222

+1,309

+ 522

+b»97b

+6,1*17

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

+19,680 +15,730 +12,813
- l*,l*6o - Ii,270 111
+ ii,980 + 5,110 + U,520

+1,925
-1,561*
+ 9b8

+ 608
- 365
+ 279

+5,117
-1,570
+1,1*27

+5,163
- 612
+1,866

*■Reserves, cash, and
bank balances

+

270

+

2I4Q +

U98

+

192

+

hi

+

309

-

+
+
-

1*60 +
380 +
U90 80

I4.6O +
380 +
520 80

U56
261*
126
96

+
+
-

227
12
28
19

+
+
+
+

25
10
1
5

+
+
+
-

259
80
79
109

55
+ 162
- 178
+
27

+

890

770

677

+

313

-

Hi

+

182

+

* Reserve with FR Banks
* Cash in vault
Balance with banks
Cash items
►

Other assets

+16,570

+

+

bh

196

+21,360

+17,580

+11*,397

+1,811*

+ 5119

+5,165

+6,5.6<?__

Gross demand deposits
’ Gross time deposits

+
890
+17,690

+
890
+11,210

+
21*1*
+12,171

- 1*60
+2 ,1*26

- 257
+ 719

- 189
+1*,922

+1,1*50
+l*,10l*

TOTAL DEPOSITS
•>
^ Deposits of banks
U. S. Govt, deposits
* Other demand deposits
Other time deposits

+18,580

+15,100

+12,10-5

+1,966

+ 1*62

*k»h22 .

125
100 100 620
680
680
+ 1,790 + 1,790 + 1,093
+17,570 +ll*,090 +12,067

+
72
- 11*0
- 306
+2,3U0

- 70
- 31
- 157
+ 720

- 181
- 227
61*
+U,905

+
5U
- 222
+1,620
+1*,102

Borrowings

+

2l*0 +

Other liabilities

+

670

Total capital accounts

+ 1,870

TOTAL ASSETS/LIABILITIES
LIABILITIES & CAPITAL

>Ck
- 'Seasonally adjusted data
Loans and investments
Loans and discounts &
U.S. Govt, obligations
Other securities.



21*0 +

133

-

325

+ 135

+

101

+

222

+** 580

+

U96

-

107

-

95

+

1*15

+

283

+ 1,660

+ 1,353

+

280

+

b7

+

5l6

+

510

+ 16,700

+15,900
- l*,l*oo
+ 5,200

For numbered footnotes, see first page.
# Beginning with June 1963 country bank
totals have been increased and New York City
figures reduced $525 million incident to a
change in reserve classification of three
banks.

-4CONSOLIDATED CONDITION STATMENT 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)
Feb. 26,
1961

Jan. 29,
196U

Change to Feb. 26,
from —
Feb. 27, 1961;
Feb. 27,
Jan.
29,
1963
1961;
1963 '

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

21.0

21.1

21.5

15-5
5.6

15.5
5.6

15-9
5.6

- .1

—

330.0
188.8
100.6
67.0
32.9
.7
U0.6

328.3
187 •ii
100.8
67.5
32.7
.6
U0.1

307.1
168.9
102.6

+1.6
+l.li
“ .2

+22.9
+19.9
- 2.0

+
+
+

.5
.2
.1
.5

- U.5
+ 2.1;

351.0

3U9-U

328.5

+1.6

+22.5

310. h

312.8

289-3

-2.1;

+21.1

31.5
118.U
160.0
•li

31. U
122. li
158.6
.li

29.8
116.5
11*2.1*
.5

+ .2
-li.O
+1.1*
mmmm

+ 1.7
+ 1.9
+17.6
- .1

6.8

3.9

7.U

+2.9

-

.6

6.0
.8

3.1
.8

6.7
.8

+2.9

+

.7
.1

1.1
.5
32.2

1.2
.li
31.1

1.2
.5
30.1

-

.1

+1.2

+ 2.1

351.0

3!i9.1i

328.5

+1.6

+22.5

71.5
30.5
.6
35.6

*1;
.U

+ 5.0

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted l/
Time deposits adjlisted
Postal 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

Seasonally adjusted
30.2
31.8
+ .1
Currency outside banks
31.9
+ 1.7
118.8
116.9
-1.1
Demand deposits adjusted
119.9
+ 1.9
* 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 $120.3 'billion on February 26, 196U*


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