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^ ve BOA!^X)F GOVERNORS OF THE FEDERAL RESERVE SYSTEM X J C I l A tSY Iiminary) (For Immediate Release) MARCH 2, 1959 &$B Rl^Nja^KHJTIES OF ALL BANKS IN THE UNITED STATES, FEBRUARY 11, 1959 (Partly estimated. Item In millions of dollars) Member banks All Central reserve Reserve Country commer All city city banks Total cial banks* banks2/ banksl/ 1 Chicago New York banks*!/ 1/ 1/ ASSETS t * Loans and investments 220,230 183,840 153,884 25,722 6,601 60,051 61,510 ¥ * 120,540 73,700 25,990 97,170 66,350 20,320 83,213 54,385 16,286 15,723 7,744 2,255 3,436 2,556 609 33,984 20,256 5,811 30,070 23,829 7,611 43,980 43,160 38,076 7,485 1,865 15,764 12,962 18,210 3,140 11,250 11,380 18,210 3,030 10,580 11,340 18,209 2,292 6,513 11,062 3,727 157 97 3,504 1,035 33 108 689 7,637 728 2,086 5,313 5; 810 1,374 4,222 1,556 4,990 4,510 3,996 1,203 87 1,529 1.177 231,510 195,956 34,410 —2jl553 77,344 75,649 Gross demand deposits Gross time deposits 141,010 140,980 121,548 99,820 66,050 53,487 24,022 5,164 6,210 1.432 47,791 21.630 43,525 25.261 TOTAL DEPOSITS 240,830 207,030 175,035 29.186 7.642 6.2^21 68.786 15,900 15,900 15,139 4,100 4,100 3,675 105,102 123,610 123,640 97,190 63,420 51,119 5,726 828 19,181 3,451 1,192 180 4,876 1,394 6,814 1,403 40,021 21,178 1,407 1,259 41,024 25,096 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 269,200 LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings 1,680 1,680 1,554 485 53 652 364 Other liabilities 4,900 4,220 3,829 1,440 127 1,488 774 Total capital accounts 21,790 18,580 15,538 3,299 731 5.783 5,725_ Total liabilities and capital 269,200 231,510 195,956 34,410 8,553 77,344 75,649 * Figures have been rounded to nearest 10 million. 2J Beginning with 1959, 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. http://fraser.stlouisfed.org/ 2J Includes a Virgin Islands member bank. Federal Reserve Bank of St. Louis CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JANUARY 14, 1959 TO FEBRUARY 11, 1959 G.7 (Preliminary) (partly estimated. Item All banks# In millions of dollars) All commer cial banks* Member banks Central reserve Reserve city city banks Total New York I Chicago banks 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 Other assets Total assets 54 + 206 ~ 35 - 340 + 115 490 650 170 - 436 — + 565 + - 183 mm 193 506 107 — 1 — 18 — 16 " 153 107 + 80 '+ 89 184 20 - 3,160 - 3,110 -2,661 — 521 176 — 1,168 — 796 420 420 260 250 - 1,170 - 1,110 — 1,320 — 1,320 - 418 - 218 - 724 -1,301 — — — 400 5 10 106 — 19 — — 2 — — 4 — Ml 151 57 + 68 — 166 — 877 58 143 •544 167 + 32 - 1 + 210 — 10 — 370 _' 790 + 210 — + 110 + 110 - + 108 74 ♦ 3 - 2,840 - 3,010 -2,607 - 241 - 208 - 1,476 - 682 — 3,190 — 3,190 ♦ 120 + 10 -2,691 8 — 57 48 - 133 13 1,551 43 + 950 96 3,180 -2,699 — 105 — 146 1,594 — 854 -1,368 — +1,939 + -3,381 “ + 111 *fr 322 544 351 24 — 770 — 181 95 + 118 818 + 459 — 159 — 1,643 — 1,228 10 + 96 1 + 121 - 150 - + 157 - 9 •f 1 + 23 + LIABILITIES & CAPITAL Gross demand deposits Gross time deposits TOTAL DEPOSITS Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits mm 1,440 1,440 2,090 + 2,090 - 3,960 - 3,960 + 240 + 130 80 - 80 250 + 180 + 60 + 70 mm 2,840 Borrowings - Other liabilities + Total capital accounts Total liabilities and capital * 3,070 3,010 - + 56 -2,607 241 67 - 26 + 122 •f 129 + 36 4 15 + 14 208 1,476 Figures have been rounded to nearest 10 million* Also see footnotes on first page* 682 *r CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* i 41.7 (Preliminary) r ‘ ' « , All Commercial, Savings, ’ and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds l/ (Partly estimated. * Item In billions of dollars) Feb. 11, 1959 Jan. 28, 1959 £/ Jan. 14, 1959 Change to Feb. 11, 1959 from — Jan. 28, Jan. 14, V&L-. . m ± ASSETS — — — — 25.7 20.5 5.2 25.8 20.5 5.2 25.7 20.5 5.2 245.7 119.3 100.4 73.7 2^.6 1.2 26.0 246.8 119.6 101.2 74.6 25.4 1.2 26.0 245.9 119.7 100.0 72.9 25.9 1.2 26.2 " 1.1_„ - .4 - .7.. - .9 + .1 271.4 272.6 221*2— Total deposits adjusted and ^ currency outside banks 238.6 239.0 Currency outside banks * Demand deposits adjusted Time deposits adjusted Postal savings deposits 28.0 112.3 97.2 14 U. S. Government deposits * At commercial and savings banks At Federal Reserve Banks Monetary reserve Gold stock Treasury Currency 7. ♦ + - tZ.5 .4. .8 .3 - .2 - 1,2.. - .3 241.0 - .4 - 2.4 27.7 113.2 97.0 1.1 28.1 114.9 96.9 1.1 + + .3 .9 .2 - 2.6 + .2 4.5 5.3 2.4 - .7 + 2.1 4.1 .4 4.8 .5 2.0 .4 - .7 .1 + 2.1 >Foreign bank deposits, net ^Treasury cash Capital and miscellaneous account, net 3.8 .7 23,8 3.8 .7 23.8 3.8 .7 23.7 - .1 - Total liabilities and capital, net 271.4 272.6 271.7 Bank credit Loans, net » U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other 1 ^ Other securities 4 I , Total assets, net LIABILITIES AND CAPITAL - 1.2 .1 > "I1 - .3 >Seasonally adjusted NA NA NA 28.0 NA Currency outside banks NA NA NA NA 110.3 Demand deposits adjusted ** Figures may not add to totals because of rounding. For description and back figures of v seasonally adjusted data, 'see Tuly 1957 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. xJ Revised BOARD OF GOVERNORS OP THE FEDERAL RESERVE SYSTEM G.7 (Final) (For Immediate Release) ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JANUARY 28, 1959 (Partly estimated. Item All banks* In millions of dollars) Member banks All Central reserve Reserve commer city city banks Total cial banks I Chicago New York banks* Country banks ASSETS 221,420 185,120 155,054 25,959 6,651 60,698 61,746 120,860 74,550 26,010 97,540 83,588 67,230 55,136 20,350 16,330 16,011 7,650 2,298 3,433 2,611 607 34,083 30,061 20,776 24,099 7,586 5,839 43,040 42,240 37,336 7,314 1,881 15,626 12,515 18,430 3,270 10,860 10,480 18,430 18,433 3,160 2,397 6,301 10,210 10,440 10,205 3,999 148 99 3,068 1,067 33 103 673 7,756 750 2,065 5,055 5,611 1,466 4,029 1,409 3,943 1,174 85 1,521 1.163 269,390 231,810 196,333 34,447 8,617 77,845 75,424 Gross demand deposits Gross time deposits 141,270 99,780 141,240 121,818 66,080 53,546 23,952 5,239 6,252 1,443 48,123 21,677 43,491 25.187 TOTAL DEPOSITS 241,050 207,320 175,364 29,191 7,695 69.800 68.678 15,620 4,770 123,640 97,020 15,620 14,843 4,770 4,255 123,610 105,220 63,320 51,046 5,661 956 19,130 3,444 1,172 208 4,913 1,402 6,614 1,556 40,452 21,178 1,396 1,535 40,725 25,022 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 4,930 4,450 LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings 1,780 1,780 1,684 543 68 832 241 Other liabilities 4,800 4,160 3,776 1,441 128 1,431 776 Total capital accounts 21,760 18,550 15,509 3,272 726 5.782 5.729 Total liabilities and capital 269,390 231,810 L96,333 34,447 8,617 77,845 75,424 * Figures have been rounded to nearest 10 million. Also see footnotes on first page.