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...... R E 5 E R V _E FEDERAL -= statistical release For immediate release May 12, 1970 ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES APRIL 29, 1970 H.8 (Partly estimated. In millions of dollars) All coml. banks All member banks 414,130 332,071 58,010 14,522 119,213 140,326 Loans and discounts 288,670 U. S. Treasury Securities 51,810 Other securities 73,650 236,410 38,192 57,469 45,286 5,091 7,633 10,530 1,688 2,304 88,093 ll,298 19,822 92,501 20,115 27,710 78,220 69,174 . 20,778 2,760 25 '042 20,594 22,520 6,950 15' 640 33' 110 22,516 5,371 8,839 32,448 4,139 457 389 15' 793 1,165 99 140 1,356 9,501 1,686 2,593 1:1..,262 7 '711 3,129 5, 717 4,037 19 '930 17,326 5,357 872 6,393 4,704 512,280 418,571 84,145 18,154 150,648 165,624 Gross demand deposits Gross time deposits 212,340 1981720 175,799 154,337 42,011 15,525 7,466 4_~_ 833 60,723 56,395 65,599 77,584 TOTAL DEPOSITS 411,060 22,310 6,400 184,540 197,810 330,136 57,536 12,_299 117,118 143_, 183 21,139 5,427 149 '940 153,630 9' 172 1,011 32,116 15,237 1,275 233 5,999 4, 792 8, 272 2,349 50,306 56,191 2,420 1,834 61,519 77,410 Borrowings 23,500 22,350 5,756 2,503 11,788 2,303 Other liabilities 37,290 33,557 14,563 1,817 10,027 7' 150 Total capital accounts 40,430 32,528 6,290 1,535 ll,715 12,988 ASSETS Loans and investments 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 SEASONALLY ADJUSTED DATA Loans and investments 1/ Loans and discounts I! u. s. Treasury Securities Other securities NOTE: 400,400 275,200 51,900 73,400 -1/ Excludes total Coml. Interbank Loans. Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. - 2 - CHANGES IN ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES April 22, 1970 to April 29, 1970 H.8 (Partly estimated. All coml. banks Item ASSETS Loans and investments Loans and discounts S.Treasury Securities Other securities u. Reserves, cash, and bank balances In millions of dollars) All member banks -1.110 - - - 532 - 142 + 970 200 60 + 657 17 Reserve citv banks New York City of Other City ChicaJ;to + 420 + 528 -- 108 - 111 - + + 154 -3.302 + 187 Gross demand deposits Gross thne deposits -4,460 + 500 -3,542 + 383 + - 172 63 + TOTAL DEPOO ITS -3,960 -3.159 + 109 -1,100 +1,100 -4,470 + 510 -1,034 + 938 -3,455 + 392 + + - 252 367 57 63 + 165 86 144 19 Borrowings - 320 - 420 - 291 - 24 Other liabilities + 200 + 223 + 373 Total capital accounts + 70 + 54 - 4 & - + 5 - 168 304 -1 777 -1.408 - 223 19 -1,703 + 237 -1,788 + 190 - 204 -1.466 -1 598 - - 466 + 186 -1,432 + 246 - 151 + 299 -1,936 + 190 - 305 + 200 43 - 35 17 __± ?'l CAPITAL Deposits of banks U. S. Govt. deposits Other demand deposits Other time deposits 790 20 -4.010 LIABILITIES - 43 401 178 64 TOTAL ASSETS/LIABILITIES 77 - + + 290 + 289 5 - 67 -1,227 203 + 763 86 -. - - Other assets - 74 1 16 116 + + -1,217 38 - 525 -1,068 - 222 16 44 -1.588 686 9 73 + 453 -1,210 60 820 -1,100 - 772 173 - Reserve with FR Banks Cash in vault Balances with banks Cash items - + 297 -2,848 194 75 40 4 - + - -3,190 - Country banks + - 72 4 ..!. - 3 - CHANGES IN ASSETS AND LIABILITIES OF ALL C~RCIAL BANKS IN THE UNITED STATES April 30, 1969 to April 29, 1970 (Partly estimated. H.8 In millions of dollars) All canl. banks All member banks + 8,460 +5,061 +1,576 +13, 130 - 6,220 + 1,550 +8,521 -4,227 + 767 + + - 2,920 -3,224 -1,832 - 1,590 440 + - 10 - 1,760 -1,595 + 362 - 265 -1,726 -1,147 60 + - 137 608 - + - + 106 14 23 43 185 + 161 + 129 95J - - 157 127 234 206 + 2,480 +2,356 + . 867 + 67 +1,205 + 217 + 8,020 +4,193 + 611 + 229 + 331 +3,022 Gross demand d ep os its Gross time deposits - 2,120 - 3,800 -3,155 -5,757 - 370 -1,930 - -2,525 -4,846 40 +1,701 TOTAL DEPOSITS - 5,920 -8,912 -2,300 - 220 682 902 -7.371 +1,661 + 130 - 2,900 + 260 - 3,410 + 83 -2,866 - 773 -5,356 35 -1,137 + 603 -1,731 - + 88 382 98 706 - 39 -1,266 -1,423 -4,643 + 69 - 81 51 +1, 724 Borrowings + 7,480 +7,226 +1,489 +1,184 +4,039 + 514 Other liabilities + 4,120 +4, 134 +1,372 - 134 +2,980 - 84 Total capital accounts + 2,340 +1. 745 + + 81 Item Reserve city banks New York City of Other Citv Chicaszo Country banks ASSETS Loans and investments Loans and discounts U. S. Treasury Securities Other securities Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES 960 + 472 144 - 24 +3,275 33 90 + 111 +1,720 -1,604 140 +5,808 -3,185 + 652 - - - + 234 + + 72 - 850 + - 470 LIABILITIES & CAPITAL Deposits of banks U. S. Govt. deposits Other demand deposits Other time deposits adjusted data Loans and investments 1/ ' + 4,900 Loans and discounts 1/ + 9,300 U.S. Govt. obligations - 5,900 Other securities + 1,500 Seasona11~ 50 - + - + 683 - - + 931 For numbered footnotes, see first page. - 4 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, and· Treasury Currency Funds H.8 (Partly estLmated. In billions of dollars) Item Change to Apr. 29, Apr. 29, Mar. 25, Apr. 30, 1970 fran -1969 Mar.25, Apr. 30, 1970 1970!_1 1970 1970 ASSETS Monetary reserve Gold Stock Special Drawing Rights Certificates Tre~~~ry Currency 18.7 11.4 18.7 11.4 + + + + 17.1 10.4 1.6 1.0 .4 .4 6.9 6.9 6.7 520.9 517.3 516.1 324.5 111.2 323.9 109.9 318.0 115.1 55.1 56.1 54.3 55.6 61.9 53.1 .1 + .8 .5 + 3.0 85.2 83.4 83.0 + 1. 7 + 2.1 539 6 536.0 533.2 + 3 6 + 6.4 463.5 458.9 459.2 + 4.6 + 4.3 45.9 151.4 266.2 45.4 150.8 262.8 42.9 149.4 266.9 + .5 + .7 + 3.0 + 2.0 7.8 7.8 10.3 6.4 1.4 6.3 1.5 9.3 1.0 2.6 2.7 2.3 .6 .6 •7 Capital and miscellaneous account, net 65.2 66.0 60.8 .9 Total liabilities and capital, net 539.6 536.0 533.2 + 3.6 Bank credit Loans, net U. S. Treasury Securities Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net r + 3.6 + .6 + 1.3 + .4 .2 + 4.8 + 6.5 - 3.9 - 6.8 LIAB IL IT ms AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash + 3.4 - •7 - 2.5 + .1 - .1 - 2.9 + .4 .1 + •3 - .1 + 4.4 + 6.4 Seasonally adjusted 43.3 45.9 + 3.0 46.3 + .4 Currency outside banks 153.3 149.0 + 1.9 150.9 - 2.4 Demand deposits adjusted * Figures may not add to totals because of round1ng. Treasury funds 1ncluded are gold account, Treasury currency account, and Exchange Stabilization Fund. l/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $ 154.7 billion on April 29, 1970. !_/ Mutual Savings figures were revised.