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FEDERAL RESERVE statistica ^ L K S A R Y 1' 1 ' ’■'Al March. 23, 1966 For immediate release FES^TVt-SH. ' ASSETS AMD LIABILITIES OP ALL BAMS IH THE UNITED STATES, March 9, 1966 ‘J.4 Item (partly estimated. All All cctnl. banks banks In millions of dollars) Reserve city banks AH member Hew York Clty of Other Chicago banks City Country banks ASSETS Loans and Investments 357,880 300,690 247,136 42,970 11,026 90,247 102,893 * Loans and discounts U. S* Govt, obligations Other securities 246,01*0 61.420 50.420 200,020 168,457 32,860 55,800 41,763 4,010 44,870 36,916 6,100 7,956 1,^93 1,577 64,897 12,672 12,678 62,7^ 23,588 16,561 Reserves, cash, and bank balances 54,860 53,920 46,879 10,052 2,205 18,5^9 16,073 Reserve with FR Banks Cash in vault f Balances with banks Cash Items 17,400 5A70 14,040 18,250 17,400 5,040 13,280 18,200 17,397 3,922 7,784 17,776 3,327 332 243 6,150 965 77 136 1,027 7,200 1,200 2,122 8,027 5,905 2,313 5,283 2,572 Other assets 11,400 10,410 9,135. 3,o4o 3,H3 2,479 TOTAL ASSETS/LIABILITIES 424,140 365,020 303,150 56,062 13,73^ 111,909 121,445 LIABILITIES & CAPITAL Gross demand deposits firoBB time deposits 166,020 204,060 165,970 138,578 26,388 150,780 123,483 18,645 TOTAL DEPOSITS TTO.080 ^16.750 262.061 17,100 2,360 147,850 202,770 17,100 16,012 5,157 420 2,360 2,053 147,800 121,601 21,471 149,490 122,395 17,985 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 503_ 6,322 5,178 50,705 46,527 45,033 . 11,500 97,232 108,296 1,243 41 5,073 5,1^3 7,517 579 42,859 46,277 2,095 1,013 52,198 52,990 55,163 53,133_ 6,380 6,380 5,940 1,903 556 .2,559 922 Other liabilities 12,520 11,460 10,090 4,011 547 3,o 4o 2,492 Total capital accounts 35,160 30,430 25,059 9,078 9 J3 L ^Borrowings NOTE: 1,131- 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, FEBRUARY 9, 1966 TO MARCH 9 , 1966 J*4 Item (Partly estimated. In millions of dollars) All All Reserve city banks All coml. member New York City of banks Other banks banks Chicago City ASSETS Loans and investments Country banks +1,210 + 830- + 736 +123 +l4l +227 +245 +2,610 -1,960 + 560 +2,310 -2,000 + 520 +2,104 -1,766 + 398 +928 -644 -l6l +154 - 75 + 62 +622 -649 +254 +400 -398 +243 - 450 - 420 - 306 - 30 . +178 -203 -251 - 61*0 4o - 150 + 380 - 640 - 40 - 120 + 380 - 640 - 30 - 23 + 387 -276 - 7 - 87 +340 + + + + 78 1 14 85 -282 - 2 +118 - 37 -160 - 22 - 68 - 1 + 190 + 180 + 242 +238 + 45 + 75 -116 + 950 + 590 + 672 +331 +364 + 99 -122 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits -2,100 +1,7T0 -2,100 +1,520 -1,551 +1,248 +234 - 31 + 92 +201 -886 +551 -991 +527 TOTAL DEPOSITS - 330 - 58O - 303 +203 +293 -335 -464 + to -l,k6o - Tio +1,800 + 40 -l,46o - 710 +1,550 + 54 -1,395 - 232 +1,270 + 85 -374 +507 - 15 + 23 -115 +183 +202 - 13 -737 -l4l +556 - 4l -169 -781 +527 Borrowings + 490 + 490 + 407 -117 + 22 +297 +205 Other liabilities + 650 + 590 + 513 +263 + 51 +113 + 86 Total capital accounts + i4o + 90 + - 18 - 2 + 24 + 51 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/LIABILITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 55 ' » , -3CHANGE3 IN ASSETS AMD LIABILITIES OF ALL BAMS IN THE UNITED STATES, MARCH 10, 1965 TO MARCH 9, 1966 (Partly estimated* In millions of dollars) Loans and investments I Loans and discounts U. S. Govt, obligations * Other securities f Reserves, cash, and bank balances Reserve with FR Banks I Cash in vault * Balances with banks Cash”items Other assets | TOTAL ASSETS/LIABILITIES LIABILITIES & CAPITAL I Gross demand deposits (Jross time deposits. TOTAL DEPOSITS + 2,500 + 2,570 i*8o + 290 + 290 + 130 + 60 + 1,670 + 1,670 + 1*80 + + 2,288 + 1*68 + 173 + 1*76 + 2l*7 98 + 1,663 - 199 + + + + 50 16 19 88 11 - + + 5 693 + 1*78 + 1,149 75 82 216 + 687 + - + + + + 700 160 94 195 253 + 1,580 + 1 ,1*80 + 1,350 + 1*70 + ll*9 + 1*78 + +32,480 +28,660 +23,566 +5,088 +1,127 46,813 + It,850 + 4,850 + 3,835 +20.890 +17.1*60 +14.190 + 701 +2,585 + 127 + 1*54 + 302 + 2,705 +4,859 + 6.292 +25,740 +22.310 +18,025 +3,286 + 660 + 528 - 1,630 1,870 1,870 + 6 , 11*0 + 4,998 + 6,140 +20,810 +17,380 +ll*,129 + - 269 31*0 + 816 + 660 + +2,5^1 +10,538 +5.161 ♦ 8,991. 37 123 + 292 + 1*1*9 + 1^5 - 749 + 913 +4,852 + 151 - 4l8 + 2,977 + 6,287 581 mm mm Borrowings + 1,960 + 1,960 + 1,73' + 21*8 + 272 + 737 + 480 Other liabilities + 2,050 + 1,930 + 1,798 + 935 + 202 + 413 + 248 + g-rZ20 + 2 .1*60 + 2,006 + 619 + + vn O ro Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits +7,218 + 7,055 528 -2,59^ +1,233 + 2,609 +28,550 +24,430 +20,769 - If,800 - 4,470 - ^,378 + 4,650 + 4,650 + 3,537 813 | Total capital accounts 72 + CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Sayings, and Federal Reserve Banks, the Postal Sayings System, and Treasury Currency Funds J.4 (Partly estimated. Item In billions of dollars) Change to Mar. 9 , 1966 from — Mar. 10, Feb. 9, Mar. 10, 1 1966 1966 1965 Mar. 9 , 1966 Feb. 9, 1966 19.4 19-4 20.2 13 -7 5-7 13-7 5-6 14.8 5-4 393-5 393-3 364.0 + .1 +29-5 240.3 102-7 238.1 105.4 213-6 104.6 +2.2 -2.6 +26.7 - 1.8 61.4 40.4 1.0 63.4 4l.l •9 66.2 37.3 1 .1 -2.0 - -7 - 4.8 + 3-1 - .1 50.4 49.9 45.8 + .6 + 4.7 » 412-9 412.7 384.2 + •2 +28.7 , 368.9 368.0 341.4 + .9 +27-5 . 36.3 129-6 202.8 •3 36.1 130.7 201.0 •3 34.0 125-1 181.9 .4 + .2 -1 .1 +1.8 + 2.3 + 4.5 +20.8 - .1 2.8 4.7 5-1 -1-9 ' 2.3 2.4 •5 3-8 -9 4.2 •9 - 1.9 - .4 1-7 •8 38.7 1.6 .8 37-5' 1-5 -7 35-4 -1.5 - -5 +1.2 + .1 . + *1 + 3-2 412.9 412.7 384.2 + .2 +28.7 ASSfeTS Monetary reserve Gold stock Treasury Currency Bank credit Loans, net U- S. Govt, obligations Commercial and savings banks Federal Beserve Banks Other Other securities Total assets, net — «*»m m .8 - 1 .1 + -3 ‘ LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted l/ Time deposits adjusted Postal savings deposits TJ. S. Government deposits At commercial and sayings banks At Federal Beserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Total liabilities and capital, net m m m m -- * 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, vere $ 131-9blllion on March 9, 1966. .