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RESERVE FEDERAL statist u g ! release ■'/*" v_JL,' 1j " v , For immediate release March 30, 19^7 .<*&/ F,r: ?viS‘ ^y ASSETS AKD LIABILITIES GP ALL BANKS IH THE UNITED STATES, MARCH 15, 1967 J.4 Item (Partly estimated. In millions of dollars) All All Reserve city banks All ccml. member New York City of banks banks banks Chicago Other City ASSETS Loans and investments Loans and discounts U. S. Govt. obligations Other securities Reserves, cash, and bank balances Country banks 268,461 47,810 12,417 98,017 110,217 266,680 217,670 182,565 62,880 58,120 44,018 57,9^0 51,520 41,878 35,808 8,809 69,116 13,862 68,832 387,500 327,310 5,670 6,332 1,930 1,678 22,556 15,039 18,829 64 ,610 . 63,620 55,993 13,870 2,954 21,609 17,560 19,140 5,760 19,136 1,077 7,893 4,349 8,955 23,553 4,342 344 360 5,824 2,597 24,150 19,140 5,630 14,760 24,090 8,824 ■375 1,420 10,050 12,250 11,190 9,685 2,814 442 3,559 2,870 464 ,360 402,120 334,139 64,494 15,813 123,185 130,647 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 181,510 223,600 181,450 167,440 152,209 136,224 32,410 18,989 7,268 5,461 55,177 52,193 57,354 59,581 TOTAL DEPOSITS 405,110 .348,890. 288J +31 . 51,399 12,729 107,370 116,935 18,600 4,160 160,280 160,220 222,070 165,910 17,479 3,766 132,293 134,895 5,910 998 8,150 1,389 46,057 51,774 2,146 1,164 26,263 18,228 1,273 215 5,791 5,450 54,182 6,900 6,900 6,658 2,748 702 2,728 480 Other liabilities 15,120 13,960 12,479 4,886 1,186 3,536 2,871 Total capital accounts 37,230 32,370 26,569 5,461 1,196 9,551 10,361 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 15,560 18,600 4,160 82 1,326 5,880 2,340 3,259 59,443 NOTE; 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 15, 196? TO MARCH 15, 1967 J*4 Item (Partly estimated. In millions of dollars) All All Reserve city banks All New York City of coml. member banks Other banks banks City Chicago ASSETS Loans and investments Country banks +2,266 +513 +1,73? +806 +2,810 +1,440 +1,510 +2,635 +lj.332 +1,314 + 530 +1,375 .+ 404 +305 +171 + 37 + 659 4 413 + 667 +339 +200 +267 - 950 -1,100 - 900 - 200 + 50 - 342 -408 - 310 - 110 + 70 - 600 - 310 - 110 80 - 600 - 310 - 93 + 31 - 528 73 18 69 4o + 70 l + 29 - 48 101 _ 38 + 18 - 221 -206 - 36 + 53 -219 + + 30 6 _ 101 - 27 + 63 + 59 +5,440 +4,690 +4,418 +1,'965 +J>26___ +1 f46o +451 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +2,420 +3,230 +2,420 +2,595 +2,620 .+2,145 +1,>969 + 214 +296 +230 + 747 + 786 -417 +915 TOTAL DEPOSITS +5,650 +5,o4o +4,740 +2j,183 +526 +1 >533 +498 - 390 - 260 +3,180 +3,120 - 390 - 260 +3,180 +2,510 - 396 - 163 +3,262 +2,037 200 +2j,014 + 136 - 69 + 41 +321 +233 130 - 163 +1 ,073 + 753 + 3 -274 -146 +915 Borrowings - 360 - 360 - 322 + 191 -162 - 278 - 73 Other liabilities + - 120 - 117 - 421 +171 + 132 + 1 Total capital accounts + 130 U+..11Q. + 117 12 + 1 + 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 +6,320 +5,76C - +5,324 +3,070 +1,330 +1,920 70 20 - + 233 + - _ ________ 73 L.+ . 31., , -3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MARCH 9, 1966 TO MARCH 15, 1967 jJi. --— (Partly estimated. In millions of dollars) .-.— ----------- Reserve city banks All All All member New York City of coml. Itom banks City Chicago Other banks 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 +28,960 +25,960 +21,325 +4,840 +1,391 + 7,770 +7,324 +20,640 + 1,040 + 7,280 +17,650 + 1,900 + 6,410 +14 ,108 + 2,255 + 4,962 +2,948 +1,660 + 232 + + + 853 437 101 + 4,219 + 1,190 + 2,361 +6,088 -1,032 +2,268 + 9,340 + 9,290 + 9,114 +3,818 + 749 + 3./,960 +1,487 + 1,740 + 580 + 1,160 + 5,860 + 1,740 + 580 + 1,120 + 5,850 + 1,739 + 427 + 1,171 + 5,777 +1,015 + 12 + 117 +2,674 + + + + 112 5 239 393 + + + + 693 126 218 2,023 - 81 + 284 + 597 + 687 + - 61 + 446 + 830 + 760 550 226 + ..-221 +3.2;120_ +36,010 +iO;j>82_ +3,.422„ +2, 0T2 _ +11,276 +9,202 LIABILITIES & CAPITAL Gross demand deposits Gross tine deposits +14,520 +19,470 +14,510 +16,590 +13,631 +12,741 +6,022 + 344 + + 28_3_ + 4,472 + 5,666 +2,191 +6,448 TOTAL DEPOSITS +33,990 +31,100 +26,372 +6,366 +1,229 +10,138 +8 , 63.9 + 1,590 + 1,690 +11,490 +19,220 + 1,590 + 1,690 +11,480 +16,340 + 1,467 + 1,713 +10,692 +12,500 + 753 + 578 +4,792 + 243 + + + + 307 + 633 + 810 + 3,198 + 5,497 + 51 + 151 +1,984 +6,453 718 + 845 + 146 + 169 - 442 TOTAL ASSETS/LIABILITIES Deposits of banks U- S. Govt, deposits Other demand deposits Other time deposits 500 946 30 174 718 Borrowings + 500 Other liabilities + 2,580 + 2,480 + 2,389 + 875 + 639 + 496 + 379 Total capital accounts + 2,060 1+ 1,930 + 1,510 + 346 + 65 + 472 + 626 + + CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds J.4 (Partly estimated. In billions of dollars) Item Change t<5 Mar. 15, 1967 rrcm — Mar. 15, Feb. 15, Mar. 9, Feb. I5, Mar. 9, 1966 1966 1967 1967 1967 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 Total assets, net 19.6 19.6 19*4 13.1 6.5 13.2 6.4 13*7 5*7 - .1 + *1 - .6 < +" .8 A 426.2 420.5 394.1 +5.7 +32.1 260.1 108.2 240.3 _ 103*2 61.8 40.4 1.0 +3-3 + -5 +1.3 - .2 - -7 +19.8 | + 5-0 1 62.9 44.6 •7 .256.8 107-7 61.6 44.8 1.4 + 1.0 I + 4.3 A - 0.3 57-9 56.0 5.0.7 +1.9 + 7*3 445.8 440.1 413-5 +5-7 +32.3 w 396.3 389*2 369.9 +7.1 +26.4 1 38.0 136.1 222.1 .1 37*8 132.4 219*0 .1 36.3 130.5 202.8 •3 + .2 +3-8 +3.1 — + 1.7 * + 5*6 +19.2 - •* 1 4.6 5-1 2.9 - .4 + 1.7 4.2 •5 4.4 .6 2.5 •5 - -3 - .2 + 1-7 i 1.7 1-3 41.9 1-7 1-3 42-9 1*7 .8 38.2 - .1 — - .9 + *5 + 3-7 | 445.8 440.1 413*5 +5.7 +32*3 1 - •' I LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Total liabilities and capital, net I < * Figures may not add to totals because of rounding. Treasury funds Included are gold account, Treasury currency account, and Exchange Stabilization Fund. Digitized for 1/FRASER Demand deposits adjusted, including demand deposits of foreign banks and of mutual http://fraser.stlouisfed.org/ savings banks, vere $138*6 billion on March 15, 1967* Federal Reserve Bank of St. Louis