View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

.....

.

FEDERAL

-:

RESERVE

statistical

release
FOR IMMEDIATE RELEASE
MAY 13w 1975

ASSETS AND LIABILITIES OF All COMMERCIAL BANKS IN THE UNITED STATES
H.8

(PARTLY ESTIMATED. IN MILLIONS OF DOLLARS)

APRIl 30, 1975

RESERVE CllY BANKS .J.L
OTHER
NEW YORK CITY OF
CHICAGC

COUNTRY
BANKS_l/

ALL
COML.
BANKS

ALL
MEMBER
BANKS

728,270

550,722

92w146

29,808

200,755

228,013

523,630
63,720
140,920

406,634
45,137
98,951

77,324
5,601
9,221

24,025
2,066
3,717

152,746
15,323
32,686

152,539
22,147
53,327

113 290

96,678

26,510

4,089

37,306

28,773

32,210
10,320
32,590
38,170

32,207
7,812
19,843
36,816

7,171
581
6,690
12,068

1,917
141
327
1t704

13,565
2,559
16w487

9,554
4,531
8,131
6,557

53,670

44,663

13,192

1,984

18,157

11,330

895 230

692,063

131,848

35,881

256,218

268,116

282,850
437,520

221,964
327,816

49,705
48,283

9w174
16,348

79,130
118,263

144,922

720,370

549,780

97,988

25,522

197,393

228,877

44,670
8,580
242,130
424,990

41,535
6,721
184,671
316,853

21,084
1,077
32,653
43,174

2,569
305
7,316
15,332

14,016
2,924
66,427
114,026

3,866
2,415
78,275
144,321

BORROWINGS

60,580

55,697

13,306

6t122

28,057

8,132

'OTHER _I,.IAB.ILITIES

49,340

37,321

10,896

1,992

13,682

10,751

64,940

49,265

9,578

2,245

17,086

20,356

696,100
492,400
179,800
64,400
139,300

NOTE:

A~~t:

~

LOANS AND INVESTMENTS
LOANS AND DISCOUNTS
TREASURY SECURITIES
OTHER SECURITIES

u.s.

RESERVES, CASH, AND
BANK BALANCES
RESERVES WITH FR BANKS
CASH IN VAULT
BALANCES WITH BANKS
CASH ITEMS
OTHER ASSETS
TOTAL ASSETS/LIABILITIES

~,695

LIAaiLIIIES & t6eiiAL
GROSS DEMAND DEPOSITS
.GROSS TIME DEPOSITS
TOTAL DEPOSITS
DEPOSITS OF BANKS
GOVT. DEPOSITS
OTHER DEMAND DEPOSITS
OTHER TIME DEPOSITS

u.s.

TOTAL CAPITAL ACCOUNTS
SEASD~ALLX

ADJUSIED DAIA

LOANS AND INVESTMENTS l /
LOANS AND DISCOUNTS _v'
COMMERCIAL & INDUSTRIAL
U.S. TREASURY SECURITIES
OTHER SECURITIES
PLUS LOANS SOLD OUTRIGHT
TO AFFILIATES
LOANS AND DISCOUNTS .:l_/
CUMMERCIAL & .INDUSTRIAL




497,000
1s2;5oo·

83,955

CURRENT AND WEEK-AGO FIGURES REFLECT
ADJUSTMENTS TO THE DECEMBER l1A 1974
CALL REPORT BENCHMARK. BACK D TA
WILL BE AVAILABLE IN THE MAY
BULLETIN.
COMPARABILITY OF. FIGURES AFFECTED BY
CHANGES IN .MEMBERSHIP, MERGERS, ETC.

-

FOR NUMBERED FOOTNOTES SEE PAGE 2.

- 2-

CHANGES IN ASSETS AND LIABILITIES OF All COMMERCIAL BANKS IN THE UNITED STATES
APRIL 23, 1975 Tn

H.a

APRIL 30, 1975

(PARTLY ESTIMATED. IN MILLIONS OF DOLLARS)
ALL

ITEM

COML.
BANKS

LOANS AND INVESTMENTS

R"'~"'""t:

ALL

MEMBER "1tEW .-y(JRK
BANKS
CITY

&;.J:TY BANitSU
l:ITY OF OTHER
CHICAG(J

COUNTRY
BANKS JJ

190

+44B

+637

+463

-271

-381

- 810
+1, 170
- 170

-149
+844
-247

+955
-116
-202

+272
+217
-26

-512
+361
-120

-864
+382
+101

+10 090

+9,035

+2.363

+384

+4.880

+1,408

+3,600
- 50
+2,950
+3,590

+3,594
-52
+2,112
+3,381

+408
-13
+1,716
+252

+368
-3
+34
-15

+2.775
+44
+2,110

+43
+13
+318
+1,034

+1,450

+1,123

+112

+84

+521

+406

+11. 730

+10,606

+3,112

+931

+5,130

+1,433

GROSS DEMAND DEPOSITS
GROSS TIME O~Po~ITS

+8, 710
- 830

+8,130
-786

+2,604
-322

+517
-65

+4.233
-351

+776
-48

TOTAL DEPOSITS

+7,880

+7,344

+2,282

+452

+3,882

+728

+2,450
+4,580
+1,800
950

-

+2,384
+3,751
+'2, 114
-905

+1,013
+658
+727
-116

+51
+252
+229

-so

+1,071
+1,747
+1,598
-534

+249
+1.094
-440
-175

BORROWINGS

+2, 720

+2,506

+460

+360

+1,339

+347

OTHER LIABILITIES

+

750

+451

+275

+61

-143

+258

TOTAL CAPITAL ACCOUNTS

+

380

+305

+95

+58

+52

+100

+

LOANS AND DISCOUNTS
U.S. TREASURY SECURITIES
OTHER SECURITIES
RESERVES, CASH, AND
BANK BALANCES
RESERVES WITH FR BANKS
CASH IN VAULT
BALANCES WITH BANKS
CASH ITEMS
OTHER ASSETS
TOTAL ASSETS/LIABILITIES

-49

LIABILITIES & CAPITAL

DEPOSITS OF BANKS
u.s. GOVT. DE.PDSIIS
OTHER DEMAND DEPOSITS
OTHER TIME DEPOSITS




----

-.

l/ AS OF NOVEMBER 9, 1972, THE DEFINITIONS
OF RESERVE CITY AND COUNTRY BANKS WERE
CHANGED (SEE FEDERAL RESERVE BULLETIN
NOV. 1972, p. 994). THE CLASSIFICATIONS EMPLOYED HERE ARE THE SAME AS
THOSE PRIOR TO THE CHANGE IN DEFINITION, SO THESE SERIES ARE CONTINUOUS
OVER TIME.
~I

EXCLUDES DCIIESTIC C<JofMERCIAL
INTERBANK LOANS ESTIMATED AT
$33,100.

- 3CHANGES IN ASSETS AND LIABILITIES Of ALL COMMERCIAL BANKS IN THE UNITED STATES
MAY

H.e

APRIL 30, 1975

1, 1974 TO

(PARTLY ESTIMATED. IN MILLIONS OF DOLLARS)
ALL

ALL

RESERVE UTT~·~
UTMI::K
~ITT UF
NEW TURK

\.UUI'fiKT

BANKS ..J./

COML.
BANKS

MEMBER
BANKS

+25 930

+9,034

+497

+397

+62B

+7,512

+11, 150
+ 8,100
+ 6,680

+1,296
+6,375
+1,363

+901
+lt070
-1,474

-5
+725
-323

-2,195
+3,215
-392

+2,595
+1,365
+3,552

5.050

+4,212

+2,593

+110

+1,896

-387

+ 2,410
870
+
+ 3,410
- 1,640

+2,410
+672
+2,862
-1,732

+728
+21
+2,245
-401

+266
-8
-131

+2,321
+298
+224
-947

-905
+361
+410
-253

+14,870

+12,949

+4,913

+551

+6, 189

+1,296

+45 850

+26,195

+8,003

+1,058

+8,713

+8,421

GROSS DEMAND DEPOSITS
iROSS TIME DEPOSITS

- 4,130
+42,670

-4,744
+28,624

-591t
+7,315

+26
+1,184

-901
+9,207

-3,275
+10,918

roTAL DEPOSITS

+38,540

+23,880

+6,721

+1,210

+8,306

+7,643

+ 5,690
- 3,310
- 2,010
+38,170

+5,210
-2,984
-2,965
+24,619

+2,435
-406
-1,371
+6,063

+186
-162
+301
+885

+2,378
-l,lt-23
+506
+6,845

+211
-993
-2,401
+10,826

BORROWINGS

- 5,420

-5,860

-1,007

-639

-3,175

-1,039

OTHER LIABILITIES

+ 7,810

+5,074

+1, 796

+306

+2,599

+373

TOTAL CAPITAL ACCOUNTS

+ 4,920

+3,101

+493

+181

+983

+1,444

ITEM

CITY

CHICAGO

A!iS~I!i

LOANS AND INVESTMENTS
LOANS AND DISCOUNTS
u.s. TREASURY SECURITIES
OTHER SECURITIES
RESERVES, CASH, AND
BANK BALANCES
RESERVES WITH FR BANKS
CASH IN VAULT
BALANCES WITH BANKS
CASH ITEMS
OTHER ASSETS
TOTAL ASSETS/LIABILITIES
__LlABILITIES '

ADJUSlED DAIA

LOANS AND INVESTMENTS_zt
LOANS AND DISCOUNTS~
COMMERCIAL & INOUSTRIAL
U.S. TREASURY SECURITIES
OTHER SECURITIES
PLUS LOANS SOLO OUTRIGHT
TO AFFILIATES
LOANS AND OISCOUNTS_l/
COMMERCIAL & INDUSTRIAL




-17

tAPITAL

DEPOSITS OF BANKS
U.S. GOVT. DEPOSITS
OTHER DEMAND DEPOSITS
OTHER TIME DEPOSITS

SEASD~ALLX

__±_

+29,200
+16,100
+10,300
+ 7,300
+ 5,800
+15,300
+ 9,900

FOR NUMBERED FOOTNOTES SEE PAGE 2

- 4 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banks,
and Treasury Currency Funds

H.8

(Partly estimated.

In billions of dollars)

I
Item

Change to
April 30 March 26 April 24 1974 fran
March 26 April 24
1975
1975
1974

--

11Q7&::.

!/

1Q74

!/

ASSETS

--

+

.6

21.4
11.6
.4
9.4
871.6

21.4

20.8

11.6
.4
9.4
866.5

11.6
.4
8.8
823.2

+5.1

.6
+
+ 48.4

549.7
156 8

552.9
147.9

523.9
141.3

-3.3
+9.0

+ 25.8
+ 15.5

66.3
87.8
2.6

62.6
82.6
2.6

59.3
79.1
2.9

+3. 7
+5.2

+
+

-

7.1
8.7
.3

165.1

165.7

158.1

-

+

7.1

893.1

887.9

844.0

+5.1

+ 49.0

Total deposits adjusted and
currency outside banks

796.0

799.1

751.3

-3.1

+ 44.7

Currency outside banks
Demand deposits adjusted
Time deposits adjusted

67.7
204.0
524.4

67.1
202.2
529.8

62.0
202.9
486.5

+ .6
+1.8
-5.4

+ 5.7
+ 1.1
+ 37.9

16.9

8.2

8.9

+8.8

+

8.0

8.6
8.4
6.6

4.6
3.6
6.1

6.5
2.4
4.8

+4.0
+4.8
+ .5

+
+
+

2.1
5.9
1.8

and miscellaneous account, net

.3
73.2

.3
74.2

.3
78.7

-1.0

+

5.5

Total liabilities and capital, net

s<n 1

887 9

844.0

+5.1

+ 49.0

Monetary reserve
Gold stock
Special Drawing Rights certificates
Treasury currency
Bank credit
Loans, net
u. s. Treasury securities
Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

!

--

--

--

--

.6

---

LIAB ILIT ms AND CAPITAL

!/

U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
~apital

--

--

adjusted
Currency outside banks
+ 5.7
62.6
+ .5
68.3
67.8
?oc; o
Demand deposits adjusted
?01.4
202.1
+ 1.1
-1 6
* Figures may not add to totals because of round~ng. Treasury funds included are
gold account, Treasury currency account, and Exchange Stabilization Fund.
1/ Demand deposits adjusted, including demand depogits of foreign banks and of
mutual savings banks, were $211.5
b'-i;J;lion:t>n April 30, 1975~
!_I Revised.
Seasonall~





Federal Reserve Bank of St. Louis, One Federal Reserve Bank Plaza, St. Louis, MO 63102