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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM \ (For Immediate Release) May 14, 1959 °r& g g & \ x ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, April 29, 1959 ■ X<2fcw r,,/ R£SERVt.^>^' (Partly estimated. In millions of dollars) Item Member banks All Reserve Central reserve commer-All city Totali/ city banks banks*ly cial banks Chicago New York banks*!/ Country banksl/ ASSETS 222,490 185,580 155,112 25,886 6,602 6o,44i 62,183 124,930 70,960 26,600 101,090 63,610 20,880 86,590 51,715 16,807 16,307 6,971 2,608 3,575 2,344 683 35,491 19,109 5,841 31,217 23,291 7,675 43,690 42,940 37,786 7,521 1,883 15,715 12,667 18,330 3,330 11,010 11,020 18,330 18,329 ■3,190 2,395 10,440 6,352 10,980 10,710 3,971 148 95 3,307 1,030 29 121 703 7,704 757 2,136 5,118 5,624 1,461 4,000 1,582 4,079 1,126 90 1,624 1,239 271,340 233,130 196,977 34,533 8,575 77,780 76,089 Gross demand deposits Gross time deposits 140,980 101,480 140,950 121,213 67,170 54,385 24,123 5,287 6,192 1,424 47,678 21,836 43,220 25,838 TOTAL DEPOSITS 242,460 208,120 175,598 29,410 7,616 69,514 69,058 15,230 4,610 123,810 98,810 15,230 14,580 4,610 4,165 123,780 104,932 64,500 51,921 5,731 916 19,243 3,520 •6,332 1,573 40,256 21,353 1,333 1,362 40,700 25,663 909 423 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 5,160 4,610 LIABILITIES & CAPITAL Ir 2,090 2,090 1,941 519 1,184 314 4,733 1,385 90 4,690 4,050 3,660 1,314 131 1,450 765 Total capital accounts 22,100 18,870 15,778 3,290 738 5,907 5,843 Total liabilities and capital 271,340 233,130 196,977 34,533 8,575 77,780 76,089 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities * Figures have been rounded to nearest 10 million. l/ Beginning with April 1959, a national bank in Hawaii with total deposits ot $220 — million and six national banks in Alaska with total deposits of $133 million were included with country member banks (the Hawaiian bank was not previously in this series; the Alaskan banks have been in nonmember commercial banks since January http://fraser.stlouisfed.org/ 1959)• Federal Reserve Bank of St. Louis - 2 - .CHANGES IN ASSETS AND LIABILITIES OFI ALL BANKS IN THE UNITED STATES, MARCH 25, 1959 TO APRIL 29, 1959 (Partly estiiaated. In millions of dollars) Item All Danks*!/ Member banks All Central reserve Reserve commer city city banks cial !Potali/ banks Chicago New York banks*!/ Country banks l/ ASSETS + 2,800 + 2,640 •¥ 2,299 + 292 - 157 + 917 + 1,247 + 2,080 + 1,900 450 + 380 + 290 + 3^0 + * 1,708 + 323 + 268 + 160 - 26 + 158 + 24 - 232 + 51 + + 771 163 17 + + + 753 4l8 76 + 1,450 + 1,560 + 1 ,4o4 + 455 + 138 + 334 + 477 + + + + 230 84 282 808 - 4l + 6 + 3 + 487 + 79 1 + 24 + 36 + + + + 161 28 37 108 + + + + 31 51 218 177 220 + 209 - 22 + 11 + 169 + 51 + 4,460 + 4,420 + 3,912 + 725 - 8 Gross demand deposits Gross time deposits + 3,880 + 3,880 + 3,440 + 430 + 390 + 373 + 874 - 91 + 179 1 + TOTAL DEPOSITS + 4,310 + 4,270 + 3,813 + 783 140 - 157 140 + 720 + 720 + 687 + 3,330 + 3,330 + 2,944 360 + 339 + 400 + Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances Reserve with ER Banks Cash in vault Balances with banks Cash items Other assets Total assets + + + + + + + + 230 100 290 830 + 210 + 230 100 400 830 1,420 + 1,775 1,097 145 + 1,290 320 + + 178 + 1,242 + 1,610 - 121 + 198 + 764 - 58 + 19 + 84 + 78 - 3 106 228 + + 1,023 + . 97 + 51 + 177 + 1,079 + 303 + - 206 + 70 + - 77 + 10 + 46 - + 13 + 10 + 62 + + 725 - 8 LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings + Other liabilities Total capital accounts Total liabilities and capital + 40 + 40 8 10 30 29 120 + l4o + 4,46o + 4,420 + 136 + 3,912 * Figures have heen rounded to nearest 10 million* 1/ See footnote on first page. 6 + 1,420 122 8 51 1,775 g CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, APRIL 30, 1958 TO APRIL 29, 1959 (Partly estixnated. Item All banks* V In millions of dollars) Member ban ks All Central reserve Reserve commer city city banks Total cial banks Chicago New York 1/ banks* 1/ Country banks 1/ ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities +12,200 + 9,710 + + 650 + + 1,81*0 + Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets + 10,020 Uo + 7,6UO 780 1,600 90 mm 5 + 6,167 + 210 + 1,250 + 53 281 329 - U8 U52 51 + 7,627 U5 + 3,198 + U.U79 17 90 + 62 + 3,U79 - 518 + 237 + 2,758 + 1,099 + 622 + 10 + .... 3l2_ t. 65 + + - 121 99 11U 253 + + + 231 158 U5o 96 137 + 13k + + + 2U0 + 380 + 700 Uo + 2U0 + 380 + 570 Uo + 236 271 + 589 3U 12 8 + Uo5 + 17 90 + 180 + i5o + 9U 187 + 10 + 6UU - 25 + 3 , 69)1 4* 53 U + 1,901 + 1,U33 + 1 ,.U32_ U9 + 2.872 t.lxDk. 136 8 62 + 17 U62 396 + 2,228 + 1,502 71 + 1U7 + 1,860 + 1,998 + U91 + 250 70 + 128 + 7,673 - +12,3U0 + 10,260 Gross demand deposits Gross time deposits + 3,680 + 6,U20 936 + 3,680 + 2,3U5 + U,590 + 3,702 + 226 TOTAL DEPOSITS +10,100 * + 8,270 Total assets .. 2 + + U,6U8 LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits + 6,oU7 710 U71 - 1,090 - 1,090 - l,lU0 6UU 820 - 885 820 + 5,620 + 5,620 + U,3U8 + 198 + 6,390 + U,560 + 3,72U + 207 •f + 1,090 + 1,090 + 992 4. 26U - 13 Uo 160 - 226 - 288 + u Total capital accounts + 1,190 + 1,060 + 860 + 90 + Total liabilities and capital +12,3UO + 10,260 + 7,673 - 6UU - Borrowings Other liabilities * Figures have teen rounded to nearest 10 million. 1/ see footnote on first page. + 25 U01 + ...J 2L + 3,69U + U,6U8 - h CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* fi-7 All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds i/ (Partly estimated. Item In billions of dollars) April March April 29, 1959 25, 1959 30, 1958 Change to April 29; 1959 from — March 25, April 30, .. 1922 195.8. ASSETS .1 .1 - 1.6 23U.U 111*. 4 95.3 70.3 23.7 1.3 24.8 + 2.9 + 2.0 +13.3 + 9.0 + 2.5 270.6 261.6 + 2.8 +11. 7. _ 21*0.5 237.6 22 8. h + 2.9 +12.2 27.9 112.8 98.8 1.1 27.9 110.3 98.1* 1.1 27.6 107.2 92.4 1.2 + 2.5 + .4 — + + + - .3 5.6 6.4 .2 5.1 I*.4 6.0 + .7 - .9 4.6 3.9 .5 5.1* .6 + - .7 .1 - .8 .1 3.7 .7 23.3 3.9 .7 23.9 l*.0 .7 22.5 - .2 — - .6 - 273.3 270.6 261.6 25.6 20.3 *•3 25.7 20.1* 5.2 27.2 22.0 5.2 21*7.7 123. U 97.7 71.0 25.6 1.1 26.6 2l*l*.9 121.4 97.2 70.6 25.5 1.1 26.3 273.3 Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits 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 - - — +,,.5 + + + — .4 .1 .3 - 1.7 + .1 + .7 + 1.9 - .1 + 1.8 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 .5 + 2.8 . + — .3 .8 +11.7 Seasonally adjusted + .4 28.1 27.8 + .1 28.2 Currency outsidebanks + 5 . 6 .. + . 6 107.2 112.2 112.8 Demand deposits adjusted________ .. * Figures may no^ aaa w w w a b o- — II „ ^ . . seasonally adjusted data, see July 1957 Bulletin, pp. 828-29* Also see footnote on first page. l/ Treasury funds included, are gold account* Treasury currency account* and Exchange ~ for FRASER Stabilization Fund. Digitized