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of gou m n s S) / / \A4j ■1 i ■ BOARD OF GOVHRN<JrS M f RESERVE SYSTEM 'Xv (F b r ^ e ^ ^ ® g £ * & e ) May 11, i960 G.7 ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, APRIL 27, I960 (Partly estimated. Item In millions of dollars) Member banks Central reserve Reserve city Total city banks New York Chicago banks All banks* All commer cial banks* 226,990 188,810 156,570 25,355 6,531 59,649 65,035 138,710 112,950 96,387 55,830 ■ 44,289 15,894 20,030 17,991 5,249 2,115 ^,156 1,745 630 38,990 15,305 5,35^ 35,250 21,990 7,795 Country banks ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances 62,670 25,610 43 ,4oo 42,710 37,562 7,772 1,783 15,412 12,595 17,690 3,550 10,1+70 17,690 3,450 9,910 17,692 2,532 938 29 7,129 752 5,^85 1,592 11,690 11,660 6,000 11,338 4,140 159 3,375 707 1,965 5,566 3,828 1,690 5,620 5,060 4,486 1,442 96 1,662 1,286 276,010 236,580 198,618 34,569 8,410 76,723 78,916 Gross demand deposits Gross time deposits 140,220 140,190 67.990 119,809 54,314 23,729 4,455 5,842 1.439 46,713 103,280 43,525 27,434 TOTAL DEPOSITS 243.500 208.180 174.123 28,184 7,281 . 67,699 13,990 4,740 13,990 4,740 123,190 13,409 4,311 '+,932 1,148 Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets Total assets 98 109 LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 123,220 101,550 66,260 103,688 18,696 52,715 3,408 1,124 239 4,520 1,398 20,986 6,081 1,663 10,359^ 20,622 1,272 1,261 M ,13 9 27,287 39,333 Borrowings 3,000 3,000 2,942 1,056 241 1,192 453 Other liabilities 6 ,ibo 5,440 4,972 1,930 133 1,685 1,224 Total capital accounts 23,370 19,960 16,581 3,399 755 6,147 6,280 Total liabilities and capital 276,010 236,580 198,618 34,569 8,410 76,723 78,916 ,* Figures have been rounded to nearest 10 million. Note.— The comparability of figures in this series is affected by changes in Federal Reserve membership, mergers, etc., and in reserve classifications; also see comparability note on page 3* - 2 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MARCH 30, I960 TO APRIL 27, I960 (Partly estimated. In millions of dollars) G.7 Item All banks* commer cial banks* Central reserve Reserve city city banks Total banks New York Chicago Country* banks * ASSETS + Loans and investments Loans and discounts U. S. Govt, obligations Other securities + 3,220 + 1,560 + 1,670 90 - 100 + 1,700 + 1,610 Reserves, cash, and bank balances Reserve with PR Banks Cash in vault Balances with banks Cash items Other assets Total assets + 3,130 + + + +2,808 - 99 + 1,20U + 690 + + 82 + 21 - 121 + 1 598 615 9 + 553 + 1U3 v 6 +-• h + 179 + 368 + + 1,013 +1,301 + +1,603 + - 96 870 + 930 + 792 UiO + 90 +• 80 720 + UiO 90 20 720 + 137 + ♦ 59 + - 72 + 668 + T ' 129 966 8 2 + 9 5 + 127 + 3 6 + 2 5 1 57 6 93 1 2k + U86 2U9 - " + 53 + 5U + 22 + 120 4- " » 6 > 7U !i9 + 1 32 + 3,990 +3,526 + 960 + 81 + 1,510 + 915 + 3 ,aio + 3,U10 + U60 + U20 +3,057 + + 351 + 632 121 + 287 + 16 + i,UiU + 83 + 72U • + 131 _ 3,870 + 3,830 +3,li08 + 753 + 303 + 1,U97 + 855 + Uo + 70 + 3,5oo + 260 + Uo + 70 + 3,500 + 220 + 37 + 163 +3,0U7 + 161 - 119 - 2 + h17 + 7 + 22 + 100 + 1,339 + 36 3 - 265 + 992 + 131 < ' - 226 - 106 - + 101 * < 70 70 + U ,020 - " LIABILITIES & CAPITAL Gross demand deposits Gross time deposits TOTAL DEPOSITS Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits + 137 + 3 3 0 + 299 - 1 3 Borrowings 290 - 290 - 27U + 105 Other liabilities 330 + 350 + + 87 + 1 + 117 Total capital accounts 110 + 100 + 86 + 15 + 3 + 32 + 960 + 81 Total liabilities and capital + U,020 + 3,990 306 +3,526 x *■ + U7 1 36 ‘ ) + l,5U0 + 91 6 yi " 'r * Figures have been rounded to nearest 10 million. v * CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, APRIL 99, 1959 TO APRIL 27, 19^0 -G.7 (Partly estimated. Item 4 -> All banks* In millions of dollars) All commer cial banks* Member banks Central reserve Reserve city city banks Total New York Chicago banks Country banks ASSETS Loans and investments > + k, Q 3 0 + 3,070 +13,700 +11,7*4-0 > Loans and discounts U. S. Govt, obligations - 8 ,3^0 - 7,800 - 980 - 870 Other securities Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items >Other assets Total assets 53i - 71 - 790 +2,812 +9,728 +1,684 -7,380 -1,722 - 928 - 493 + 581 - 599 - 53 +3 ,500 -3,802 - 488 +3,963 -1,257 + 106 £51 - 100 - 296 + 622 + 169 92 - 12 + 4 587 3 - 165 + 459 - 112 + 134 - 28 + 180 +1,420 + 100 + 160 + + + 620 220 + 260 760 + 620 260 250 770 + + 142 + 202 + 711 + + S^O + 520 + 458 4* 316 29 + 11 3 68 + 5,020 + 3,750 +Ja22I + 380 _ + 1.780 + 380 760 -1,113 - 87 - 394 - fto? + 1,400 + 380 -1,200 -1,226 + 6 165 36 + 174 36- . + 1 QP -1.050 +3.086 LIABILITIES & CAPITAL ♦Gross demand deposits Gross time deposits TOTAL DEPOSITS Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings 1,220 1,220 150 150 + - 250 + 1,700 - 250 f 2,720 4- 910 4- 910 -1 .810 +?.m— 799 60 547 112 - 75 - 213 + 13 255 + 90 - 915 - 730 - 23 - 88 + 675 +1,607 998 + 537 + 151 + 283 + + 616 + 2 + 236 + 453 + 17 f 241 + 435 . 165 -1,050 +3,086 + 232 f 1,390 +1,307 Total capital accounts 1,240 1- 1,070 + 802 + 109 Total liabilities and capital + 5>020 + 3,750 +1,907 + 36 * 335 -1,137 _ + 159 + -1,000 + 778 - f 1,470 ^Other liabilities - 350 - 961 + 592 15.... - ,849... - +1 ,573— 27 Fissures have been rounded to nearest 10 million. Note._Figures for prior dates not entirely comparable with current data because of * changes effective: (1) December 1959, amounts due Federal Reserve Banks represented by ^ outstanding drafts, etc., estimated at approximately $400 million in early December and to range seasonally between $250 and $600 million, were excluded from deposits and in cluded with other liabilities; (2) August 1959, nonmember commercial banks in Hawaii with total deposits of $365 million were added to the series; and (3) during the year http://fraser.stlouisfed.org/ in the reclassification of member banks. Federal Reserve Bank of St. Louis u CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* - G .7 All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds 1/ (Partly estimated. In billions of dollars) Change to Apr. 27, I960 from — Mar. 30, Apr. 29, 1959I960.. March 30, I960 April 29, 1959 2U.7 19.a 5.3 25.6 mmmm 20.3 5.3 — 2a7.9 62.7 25.5 1.0 25.6 2a7.6 13a. 6 87.3 61.1 25.3 1.0 25.7 275.7 272.a 271*5 ♦ 3,3 __ 4* Total deposits adjusted and currency outside banks 21*1.9 239.0 2ao.3 + 2.9 + 1.6 Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits 27.9 111.5 101.5 .9 28.1 108.8 101.3 .9 27.9 112.5 98.8 1.1 - .1 + 2.8 + .3 .1 - 1.0 2.7 .2 5.3 5.2 5.1 .2 a. 7 .6 a.7 .5 a.6 .5 + .1 + .1 2.8 1 3.7 •7 23.7 + .1 —+ »2 - 25.3 2.7 .a 25.1 275.7 272. a 273.5 + 3.-3 + „2t3- April Item I960> 2 1 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 2U.7 19.a 5.3 251.0 1.36.3 89.1 .9 - 1.0 + .1 -- ♦ + • - 71.0 25.6 1.2 + + ♦ + + - 26.6 - .r 123.5 97.8 3.a 1.7 1.8 1.6 .2 .1 3t 2 12.8 8.7 8.3 .1 .2 - 1.0 2.3 LIABILITIES AND CAPITAL U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous accounts, net Total liabilities and capital, net .a ♦ O + .2 .1 4* It6•a ..... .9 .3 ✓ Seasonally adjusted 2/ -- .2 28.2 28.2 28.a Currency outside banks + LiXL. 111.2 112.2__ Demand deposits adjusted 111*1Figures may not add to totals because of rounding. 1/ Treasury funds included are gold account, Treasury currency account, and Exchange Stabilization Fund. 2/ For description of revised seasonal adjustment factors and figures, see February 1965 Bulletin, pp. 133-36. Special adjustment in seasonal factor for demand deposits ad« justed for March 30, I960, p. 135, footnote 3, has been changed from -0.9 to -0.5 mainly Digitized FRASER changed pattern of deposit movements immediately preceding April 1 Illinois toforreflect http://fraser.stlouisfed.org/ personal property tax assessment date* The new factor for March 30, I960 is 97• Federal Reserve Bank of St. Louis —