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FEDERAL o]GQW> statistical RESERVE release For immediate release March 28, 1968 L I B R A R Y ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MARCH 13, 1968 J.4 (Partly estimated. In millions of dollars) All banks All coml. banks All member banks 422,560 356,850 290,288 49,720 12,378 105.334 122,856 284,310 66,870 71,380 231,870 62,560 62,420 193,171 46,761 50,356 36,924 5,459 7,337 8,726 1,707 1,945 72,906 14,466 17,962 74,615 25,129 23,112 66,720 65,720 58,161 14,132 2,920 22,692 18,417 20,540 6,290 15,430 24,460 20,540 6,140 14,670 24,370 20,538 4,751 8,962 23,910 4,434 434 383 8,881 1,203 80 299 1,338 8,494 1,475 2,356 10,367 6,407 2,762 5,924 3,324 13,860 12,710 11,127 3,468 595 4,015 3,049 503,140 435,280 359,576 67,320 15,893 132,041 144,322 Gross demand deposits Gross -time deposits 188,750 249,760 188,660 188.430 157,302 152.479 32,409 20,458 6,751 5,904 57,036 58,021 61,106 68,096 TOTAL DEPOSITS 438,510 377,090 309.781 52,867 12,655 115,057 129,202 19,490 5,620 165,300 248,100 19,490 5,620 165,210 186,770 18,400 4,817 135,569 150,995 6,365 945 25,885 19,672 1,227 155 5,379 5,894 8,469 1,757 47,317 57,514 2,339 1,960 56,988 67,915 6,370 6,370 6,012 1,500 759 3,039 714 Other liabilities 18,660 39,600 15,535 28,248 7,192 5,761 1,147 1,332 3,855 10,090 3,341 Total capital accounts 17,300 34,520 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 Reserve city banks New York City of Other City Chicago Country banks LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. 11,065 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, FEBRUARY 14, 1968 TO MARCH 13, 1968 J.4 Item (Partly estimated. In millions of dollars) All All Reserve city banks All coml. member New York City of banks Other Chicago banks banks City Country banks V ASSETS Loans and investments Loans and discounts U- S. Govt, obligations Other securities Reserves, cash, and bank balances Reserve with PR Banks Cash in vault Balances with banks Cash items Other assets 1 +3 ,500 +2 ,620 - +2 ,072 +322 + 7 +771 + 972 + 900 +1 ,370 +1 ,230 + 500 +1 ,280 + 840 - 470 - + + - - 770 120 70 -1 ,050 - 210 381 941 750 + 30 - 67 +359 - 20 + 24 + 3 +131 +436 +204 + + + 240 548 184 - 370 -287 -101 +138 - + 61 + 7 - 21 -334 + 32 - 7 + 1 -127 +329 - 10 - 73 -108 + - 766 82 139 915 120 ..a I 344 72 46 ( 346 } - 252 -158 - 8 -152 + 450 .770 120 50 -1 ,050 - + + + 220 + _ - _ - | 66 +2 ,820 +1 ,950 +1 .450 -123 -102 +757 + LIABILITIES & CAPITAL Gross demand deposits Gross time deposits - 970 +2 ,610 - 970 +2 ,150 _ 743 +1 ,621 -123 +189 -219 -126 + 64 +549 _ 465 +1 .009 TOTAL-DEPOSITS +1 ,640 +1 ,180 + 878 + 66 -345 +613 + 220 170 550 +2 ,580 220 170 550 +2 ,120 239 165 297 +1 ,579 -179 + 30 + 37 +178 - 51 - 50 -118 -126 - 51 -157 +303 +518 + + 42 12 _ 519 +1 ,009 J | tI TOTAL ASSETS/LIABILITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings - Other liabilities Total capital accounts 150 . - - 918 ,4 ul 544 - 150 - 184 -402 + 48 + 94 + 76 +1 ,030 + 720 + 617 +200 +206 + 18 + 193 + + 200 + 139 + 13 - 11 + 32 + 105 300 I J 1 I I f CHANGES IN ASSETS ADD LIABILITIES OF ALL B A M S IN THE UNITED STATES, MARCH 15, 1967 TO MARCH 13, 1968 (Partly estimated. All banks In millions of dollars) Reserve city banks All All coml. member New York City of Other Chicago banks banks City Country banks +34,530 +29,010 +21,827 +1,910 - 39 +7,317 +12,639 +17,700 + 3,770 +13,060 +14,270 + 4,220 +10,520 +10,606 + 2,743 + 8,478 +1,116 - 211 +1,005 - 83 -223 +267 +3,790 + 604 +2,923 + 5,783 + 2,573 + 4,283 + 2,150 + 2,140 + 2,168 + 262 - 34 +1,083 + 857 + 1,400 + 570 140 + 320 + 1,400 + 550 100 + 290 + 1,402 + 402 + 7 + 357 + + + + 92 90 23 57 +126 - 2 - 76 - 82 + + + + 601 149 16 317 + + + + 583 165 44 65 + 1,630 + 1,540 + 1,442 + 654 +153 + 456 + 179 +38,310 +32,690 +25,437 +2,826 + 80 +8,856 +13,675 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 6,980 +25,980 + 6,950 +20,810 + 5,093 +16,255 1 +1,469 -517 +443 +1,859 +5,828 + 3,752 + 8,515 TOTAL DEPOSITS +32,960 +27,760 +21,348 +1,468 - 74 +7,687 +12,267 + 980 + 1,410 + 4,720 +25,850 + 980 + 1,410 + 4,690 +20,680 + 921 + 1,051 + 3,276 +16,100 + 455 53 - 378 +1,444 - 46 - 60 -412 +444 + 319 + 368 +1,260 +5,740 + 193 + 796 + 2,806 + 8,472 530 530 - 646 -1,248 + 57 + 311 + 234 Other liabilities + 3,510 + 3,310 + 3,056 +2,306 - 39 + 319 + 470 Total capital accounts + 2,370 + 2,150 + iiiZl. + +136 + 539 + 704 Item 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 Deposits of banks U» S. Govt, deposits Other demand deposits Other time deposits Borrowings _ 300 raflflnT.TOA'FEn CONDITION STATMKNT FOR BASES AND THE MOSKEARX SISTBf* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly --- * estimated. In billions of dollars) Mar. 13, 1968 Item Feb. 14, 1968 fraa — Mar. 15, 1968 Mar. 15, Feb. 14, 1967 1967 1968 t Assfers 18.2 18.7 19.6 - .4 - 1.3 11.4 6.8 11.9 6.8 13.1 6.5 - .5 - 1.7 + .3 466.7 462.4 426.8 +4.4' +40.0 - 278.2 117.2 . 277.1 115.1 260.1 108.4 +1.1 +2.0 +18.1 + 8.8 66.9 49.1 1.2 65.5 48.4 1.2 63.1 44.6 .7 +1.4 + .6 + 3.8 / c +1 4.5 , + .6/- 71.4 70.2 58.3 +1.2 +13.1 485.0 481.0 446.4 +3.9 +38.6 428.9 425.4 396.8 +3.5 +32.1 40.0 140.8 248.1 “— 39.6 140.3 245.5 38.0 136.4 222.3 .1 + .4 + .5 +2.6 + 2.0 + 4.4 +25.9 .11 6.5 7.1 4.7 - .6 + 1.9 5.6 .9 5.8 1.3 4.2 .5 - .2 - .4 4- 1.4 + .5 2.0 1.3 46.3 2.0 1.3 45.1' - .1 - .11 +1.1 + 485.0 481.0 +3.9 +38.6 iffinft+ATv Gold stock Treasury Currency Piawlr wACHiJ.tw DBUUk Loans, net TT s. Oovti obllffatioM Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net | . T.TA-RTT.TTTBS AND CAPITAL Total deposits adjusted and tiiiiM'fA a ‘ hWf*iin nwlrtt UUi X vAlvJ fVUVOwUiv Currency outside banks Demand deposits adjusted l/ Time deposits adjusted Postal savings deposits TT y # P£/I.# <Tmr#%*minftnt yjVY vi lilUMI1# dftDOSltS ww At commercial and savings banks At Federal Reserve Banks Foreign bank deposits f net Treasury cash ajiA nisedlla&fioufl account* net Total liabilities and capital, net m mm m 1.7 1.3 41.9 _ 446.4 + 4.A_ t w J JiK m OB u v v w w * w ww w • i .. ..... . — "— — -------- - gold account, Treasury currency account, and Exchange Stabilization Fund, Demand deposits adjusted, Including demand deposits of foreign banks and of mutual Digitized l/ for FRASER http://fraser.stlouisfed.org/ sayings banks, were $ 1 4 3 . 4 billion on March 13, 1968. Federal Reserve Bank of St. Louis .3