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■V^ U £UL± j BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM ►* rSryf^ '?T~> tV (For Immediate Release) March 13, 1959 XITIES OF ALL B A M S IN THE UNITED STATES, FEBRUARY 25, 1959 ----- ^ ?,»cor«¥L-y;^ --Item All banks* --- All Member banks commer Central reserve Reserve Country cial Total city banks city banks2/ banks*1/ 1/ New York |Chicago banks 1/ 219,770 183,310 153,1+87 25,51+9 ASSETS >»+ 4 f * -> ►* v 4 Loans and investments Loans and discounts U. S. Govt, obligations Other securities 6,637 60,031+ 61,267 83,712 15,861+ 53,392 7,361 16,383 2,321+ 3,1+1+0 2,572 625 3l+, 280 19,929 5,825 30,128 23,530 7,609 1+2.61+0 37,71+6 _ 7,621+ 1,952 15.676 12.1i9li 18,130 3,290 10,780 11,260 18,130 3,180 10,110 11,220 18,135 2,1+00 6,270 10,91+1 3,977 151+ 96 3,397 1,071 32 105 714+ 7,570 761+ 2,131 5,211 5,517 1,1+50 3,938 1,589 Ml+0 U, 330 3,81+0 1,180 .. ..78 1.1+51 1.131 121,150 72,530 26,090 Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets Total assets 97,690 65,200 20,1+20 268,070 230,280 195,073 .3^353.,,,- 8*667 Gross demand deposits Gross time deposits 139,010 99,990 138,980 119,920 23,725 66,180 53,599 5,175 6,296 1,1+30 1+7,205 21.679 1+2,691+ 25.315 TOTAL DEPOSITS 239,000 205,160 173,519 28,900 7,726 68.881+ 68.009 15,220 l+,l+20 122,000 97,360 15,220 H+,50l 5,653 l+,l+20 3,979 81+1 121,970 103,811 18,91+6 63,550 51,228 3,1+60 1,196 21+0 l+,900 1,390 6,31+1+ 1,591+ 39,718 21,228 1,308 1,301+ 1+0,21+7 25,150 _.7Z*i£i . LIABILITIES & CAPITAL * Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits ► Borrowings H* Other liabilities 2,200 2,200 2,083 723 79 932 3h9 5,030 U,320 3,917 l,M+9 137 1,5U1+ 787 Total capital accounts 2.1*81+0 18.600 15.551+ 3.281 Total liabilities and capital 268,070 230,280 L95,073 3k,353 8,667 .5fioi _«i,7li7. 77,161 7l+,892' * Figures have been rounded to nearest 10 million, 3/ Beginning with 190>9, figures include all banks in Alaska (one member bank was previ ously included); added banks had total deposits of $172 million on December 31> 1958# Comparability is also affected by the absorption, early in January, of a mutual savings bank with deposits of $292 million by a reserve city member bank# Digitized FRASER 2/ for Includes a Virgin Islands member bank* 2 - CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JANUARY 28, 1959 TO FEBRUARY 25, 1959 (Partly estimated. In millions of dollars) Member banks Central reserve Reserve city city banks New York I Chicago banks All banks* All commer cial banks* Total - 1,650 -1,810 -1,567 + 290 - 2,020 + 80 + 150 - 2,030 + 70 + 124 ... 147 -1,744 - 289 + 53 ♦ 26 + 7 - 39 + 18 ^Reserves, cash, and bank balances + 420 + 400 ♦ 410 + 310 + Reserve with FR Banks Cash in vault ” Balances with banks j Cash items + + 300 20 80 780 - 300 + 20 - 100 + 780 - 298 .— + 3 + 31 ♦ 736 ♦ 22 6 3 329 ♦ 4 1 3 + 71 — 186 ♦ 14 ♦ 66 ♦ 156 — 94 16 91 ♦ 180 - 90 - - ♦ 6 — 7 - 70 - 32 50 - 684 - 532 ♦ 918 2 - 797 ♦ 128 916 — 669 » Item Country banks ASSETS ^Loans and investments Loans and discounts U. S. Govt, obligations Other securities Other assets 120 103 - 410 - + 14 71 - 664 - hV + — 197 847 14 ♦ ♦ 67 569 23 ♦ 50 - 21 -1,320 -1,530 -1,260 - 94 - 2,260 + 210 - 2,260 + 100 -1,898 + 53 - 227 64 + 44 - 13 - 2,050 -2,160 -1,845 291 + 31 - 400 - 350 - 1,640 ♦ 340 - 400 - 350 -1,640 + 230 - 342 — - 276 — -1,409 + 182 ♦ 8 115 184 16 ♦ + — 24 32 13 12 — 270 ♦ 38 - 734 ♦ 50 — 88 — 231 - 478 ♦ 128 .»Borrowings + 420 + 420 + 399 180 ♦ 11 ♦ 100 ♦ 108 -‘ Other liabilities ♦ 230 + 160 ♦ 141 + 8 ♦ 9 ♦ 113 11 + 80 + 50 + 45 4* 9 - 1. ♦ 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 - 1,320 -1,530 -1,260 94 " ( * Figures have been rounded to nearest 10 million. + 50 19 684 ■ f 18 532 ■ » CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, G.7 FEBRUARY 26, 195® TO FEBRUARY 25, 1959 (Partly estimated. In millions of dollars) Item All banks* All commer cial banks* Total Member banks Central reserve Reserve city city banks New York | Chicago banks Country banks]/ ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances +16,890 +14,730 ►12,357 + 1,585 + 376 5,40a + 4,988 + 7,570 + 5,600 + 6,760 + 6,940 + 2,560 + 2,190 70 + 4,487 a. + 6,112 ♦ 1,427 ► 1,758 + 228 47 + 371 + 52 + 2,465 + 2,139 + 2,257 + 2,057 686 + 792 + 297 + 25 ♦ 742 + 225 595 — 148 + 37 ► 1,773 317 7 21 586 + - 83 1 16 123 + + ♦ 177 52 + 41 826 + 18 88 83 238 — 151 + 10 — 1 + + 1,170 + 1,300 ► 1,289 600 + 210 270 + 1,830 - 600 + 210 130 + 1,820 + 50 70 95 ♦18,010 +15,960 ►13,551 ♦ 1,731 ♦ 411 ♦ 6,149 + 5,260 Gross demand deposits Gross time deposits ♦ 7,470 + 7,940 + 7,470 + 6,210 + 6,439 * 5,172 + ♦ + 311 ♦ 41 ♦ 2,973 + 2,257 + 2,201 + 2,340 TOTAL DEPOSITS +15,410 +13,680 +11,611 + 1,488 4- 352 ♦ 5,174 + 4,597 + 90 + 670 + 6,960 + 7,690 + 90 + 670 + 6,960 + 5,960 49 * 583 *■6,052 *• 5,025 + + ♦ — •f 30 216 857 385 15 ♦ 34 + 288 + 45 48 16 166 + 167 ♦ 2,794 + 2,113 ♦ 2,262 + 2,333 Borrowings + 1,130 + 1,130 «■1,061 + 346 ♦ 10 ♦ 518 + 187 Other liabilities + + *■ 46 - 218 + 17 ♦ 84 + 163 Total capital accounts + 1,140 + 1,020 ► + 115 ♦ 32 + 373 + 313 Total liabilities and capital +18,010 +15,960 •■13,551 /♦ 1,731 Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets Total assets 47 . LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits * 330 130 833 898 590 411 ♦ 6,149 + 5,260 Figures have been rounded to nearest 10 million. Also see footnotes on first page. CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* G.7 All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds 1/ (Partly estimated* In billions of dollars) Feb. 25, 1959 Jan. 28, 1959 Feb. 26, 1958 25.7 20.5 5.2 25.8 20.5 5.2 27.9 22.7 5.2 244.7 119.5 99.1 72.5 25.3 1.2 26.1 246.8 119.6 101.2 74.6 25.4 1.2 26.0 226.7 112.7 90.5 65.8 23.4 1.3 23.5 270.4 272.6 Total deposits adjusted and currency outside banks 236.9 Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits Item Change to Feb. 25, 1959 from — Jan. 28, Feb. 26, 1959 ASSETS Monetary reserve Gold stock Treasury Currency L, Bank credit Loans, net U. S. Govt, obligations Commercial and savings banks >Federal Reserve Banks Other Other securities Total assets, net r — —■ - 2.1 - 2.2 + 1 - 2.1 .1 2.1 2.0 .1 + + + + + + 254.6 - 2.2 + 15.8 239.0 223.9 - 2.1 * 13.1 27.8 110.7 97.3 1.1 27.7 113.2 97.0 1.1 27.4 105.6 89.6 1.3 ~ + 2.4 .3 + .4 + 5.1 + 7.7 .2 4.9 5.3 4.2 4.4 .5 4.8 .5 3.8 .4 3.7 .7 24.1 3.8 .7 23.8 270.4 272.6 18.0 6.8 8.6 6.8 1.9 .1 2.6 LIABILITIES AND CAPITAL \* r' IT i. i. U. S. Government deposits r. At commercial and savings banks r At Federal Reserve Banks *> Foreign bank deposits, net i ^ Treasury cash Capital and miscellaneous account, net u, Total liabilities and capital, net .4.. + .7 - .4 ♦ .7 3.7 .7 22.1 - .1 + .4 + 2.0 254.6. - 2-2 + 15.8 Seasonally adjusted + .4 27.6 + .1 28.0 27.9 Currency outside banks 110.1 + _5,1_ 105.5 110.6 t....-uL Demand deposits adjusted . * Figures may not add to xoxaxs Decause 01 ruuu^xues* uoov4^v*v u ■ seasonally adjusted data, see July 195 7 Bulletin, PP- 828-29. Also see footnote 1/ on first page regarding series revisions beginning in 1959. 1/ Treasury funds included are gold account, Treasury currency account, and Exchange Stabilization Fund. r