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0.7 BOARD OP GOVERNORS OF THE FEDERAL RESERVE SYSTEM ^ March 28, 1961 (For Immediate Release) AS^fe.PAIffi LIABILITIES OF ALL BANKS IN THE UNITED STATES, MARCH 15 , 1961 (Partly estimated. In millions of dollars) All banks* All commer cial banks* 239,930 200,100 166,722 28,076 7,104 63,236 68,306 144,670 68,090 27,170 117,040 61,490 21,570 100,031 49,396 17,295 18,410 6,951 2,715 M 53 1,968 683 40,250 17,300 5,686 36,918 23,177 8,211 46,710 45,840 40,377 8,316 1,901 16,657 13,503 16,150 3,570 12,420 14,570 16,150 3,450 11,700 14,540 16,152 2,584 7,422 14,219 3,309 188 171 4,648 860 30 133 878 6,919 780 2,226 6,732 5,064 1,586 4,892 1,961 6,300 5,710 5,128 1,715 137 1,866 i,4io 292,940 251,650 212,227 38,107 9,142 81,759 83,219 Gross demand deposits Gross time deposits 146,310 112,710 146,280 75,880 125,454 61,315 25,496 5,869 6,190 1,760 48,842 23,740 44,926 29,946 TOTAL DEPOSITS 259,020 222,160 186,769 31,365 7,950 72,582 .74,872 16,760 4,470 127,160 110,630 16,760 4,470 127,130 73,800 16,038 3,966 107,367 59,398 5,846 669 20,233 4,617 1,318 209 4,735 1,688 7,381 1,556 40,347 23,298 1,493 1,532 42,052 29,795 Borrowings 2,020 2,020 1,964 698 182 773 311 Other liabilities 7,l6o 6,360 5,9H 2,468 185 1,864 1,394 Total capital accounts 24,740 21,110 17,583 3,576 825 6,540 6,642 Total liabilities and capital 292,940 251,650 212,227 38,107 9,142 &l, 759 83,219 Item Member banks Central reserve Reserve Total city banks city New York 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 LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits •^Figures have been rounded to nearest 10 million. Mote— Total assets shifted from nonmember commercial to country banks, the net result of a merger during the last half of February, increasing reserve city and decreasing nonmember commercial banks $700 million, and the reclassification of reserve city banks to country banks early in March, $600 million. -2G', 7 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATUS, FEBRUARY 15, 1961 TO MARCH 15, 1961 (Partly estimated. In millions of dollars) 4 All banks* Item ........ . All commer cial banks* ,, Member banks Central reserve Reserve Total city banks city New York I Chicago banks K •A. Country banks . % ASSETS Loana and investment* Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances Reserve with FR Banka Cash in vault Balances with banks Cash items Other assets + 890 + 64o +1,204 +492 - 37 +181 +568 + + 910 390 370 + 750 - 490 + 380 +1,152 - 340 + 392 +530 -246 +208 + 28 - 31 - 34 +349 -253 + 85 +245 +190 +133 & „ *-« -1,910 -1,930 -1,748 -826 -276 -440 -206 - 490 - 130 - 180 -1,110 - 490 - 130 - 200 -1,110 - 486 99 68 -1,095 -287 - 18 + 20 -541 -158 - 1 + 11 -128 -175 - 24 + 11 -252 +134 - 56 -110 • -174 90 + Total assets LIABILITIES n - 930 + 80 -1,210 + 129 - 415 + 67 -267 + 9 -304 + 33 -226 + \ „ 20 +382 » t. A CAPITAL pm Gross demand deposits Gross time deposits -1 ,460 + 880 -1,460 + 740 + TOTAL DEPOSITS - - - Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings Total liabilities and capital 720 47 -156 - 9 -317 +180 86 -165 -137 + -368 +537___ + i 6 a - 133 -1,075 + 236 + 930 + 31 -371 +188 +238 - 45 -■81 - 24 - 15 - 85 -536 +307 +177 - 39 - 87 -235 +530 - - 320 - 320 - 343 -315 -135 - 91 +198 — - 110 - 77 - 22 - 9 - 79 + 33 60 + 52 - 16 + 5 + 81 - is 30 _ v \ ♦ „ *T - 930 -1,210 - 415 *Figures have been rounded to nearest 10 million. Note— See footnote on first page. -153 +239 150 - 150 -1,110 -1,110 190 - 190 . + 870 + 730 - Other liabilities Total capital accounts 580 - 994 9^7 -267 -304 - £ 2 6 +382 V * .G.7 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MARCH 9, I960 TO MARCH 15, 1961 (Partly estimated. Iu Million# of dollars) ^ Item All banks* All commer cial banks# Member banks Central reserve Reserve Total city banks city New York 1 Chicago banks Country banka 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 +16,340 +14,500 +13,118 +3,857 +566 +4,586 +4,109 + 9,020 + 6,950 + 5,880 + 6,150 + 1,440 + 1,400 + 6,065 + 952 + 5,79^ +2,436 + 1,259 + 469 +299 +233 + 34 +2,081 +2,198 + 307 +2,733 + 927 • + 449 + 4,690 + 4,590 + 4,228 +1,090 +251 +1.856 +1.031 - 1,190 - 1,190 + 350 + 360 + 1,530 + 1,420 + 4,000 + 4,000 - 1,192 - 586 + 300 + 39 76 + 1,173 + + 3,947 +1,561 - 7 + 3 + 16 +239 - 238 + 62 + 277 f1,755 • + + + 678 + 317 + 48 + 208 + 105 + 720 + 680 + 361 196 804 392 +21,750 +19,770 +18,024 +5,264 +865 t Gross demand deposits Gross time deposits + 9,450 +10,480 + 9,450 + 8,710 + 8,959 +3,049 + 7,664 +1,628 +552 +317 *•3,632 +2,789 +1,726 +2J9:iO_ TOTAL DEPOSITS +19,930 +18,160 +16,623 +4,677 +869 +•6,421 +4,656 + + + + + 2,350 +1,093 + 6,004 + 7,176 +1,080 + 173 +2,131 +1,293 +209 + 92 +276 + 921 + 558 +2,261 *2,681 + l4o + 270 +1,320 +2,926 - Total assets . JL5*2k5-„. LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 2,460 + 2,460 1,170 + 1,170 6,350 +6,350 9,950 + 8,180 +292 Borrowings - 1,100 - 1,100 - 1,089 - 289 -128 - 485 Other liabilities + i,4oo + 1,380 + 1,336 + 683 + 50 h Total capital accounts + 1,520 + 1,330 + 1,154 + 193 + 74 *- 443 + 332 + 444 Total liabilities and capital +21,750 +19,770 +18,024 +5,264 +865 ^,650 +5,245 * Figures have been rounded to nearest 10 million. Note— See footnote on first page. 271 187 A CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* * All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds l/ G.7 (Partly estimated. Item In billions of dollars) March 15, Feb. 15, 1961 1961 Change to March ly’j * March 9> ■ 1961 from — Feb. 15, March 9y I960 1961 I960 ■4 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 ■ *V< 22.8 22.8 24.7 17.4 17.4 5-4 19.4 5-3 247-5 5.4 265.8 265.2 - 2.0 mmmm - - 2.0 + .1 + .6 +18.3 + .8 _ .,6. - .4 - .1 -+ .4 . 142.8 .........95,.9 141.9 133.3 88.5 68.1 27.0 .8 27.2 288.6 68.5 27-2 .8 26.8 62.2 25.2 1.0 25.7 288.0 272.2 + .6 +16.4 Total deposits adjusted and currency outside banks 252.3 250.4 240.2 +1.9 +12.0 Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits 28.3 112.6 110.6 Total assets, net + 9* 4 + 7.5 + 5-9 + 1.8 - .2 +• 1.4 * A <*t ■A LIABILITIES AND CAPITAL U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cach Capital and miscellaneous accounts, net 110.2 100.7 •7 28.2 111.7 109.7 .8 4.9 6.1 3-9 -1.2 + 1.1 4.5 5.6 •5 3-3 .6 -1.1 - ’.1 + 1.2 - .1 3-1 n.4 2.6 + -3 •+■ ,8 28.0 .4 25.1 -74 288.0 272.2 + .6 •5 3.4 27^ cq|h 288.6 Total liabilities and capital, net Ai.TU___ _ _ . _ Tigures may not add to totals because of rounding. seasonally adjusted data, see February i960 Bulletin, ,/ Treasury fvu^Ls included are gold account. Treasury tabilization Fund. 28.4 + .1 + .9 + -9 •9 - .1 + 2.4 +10.0 - .2 A m * 4. V A 4. > + 2~5 A +16.4 For description ana back figures of pp. I33-I36. currency account, and Exchange