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For immediate release
May 15, 1973
ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES
MAY 2, 1973

H.8

(Partly estimated.

In millions of dollars)

All
coml.
banks

All
member
banks

611' 750

477,449

76,570

22,800

176,113

201,966

Loans and discounts
435,240
Treasury securities 59,530
116,980
Other securities

347,733
42,254
87,462

63,302
4,083
9,185

18,199
1,379
3,222

133,651
13,382
29,080

132,581
23,410
45,975

94 780

82,110

20,638

3,654

31,067

26~751

26, llO
8,690
24,910
35,070

26,109
6,528
15,571
33,902

5,559
538
3,851
10,690

1,827
129
232
1,466

9,577
2,026
3,980
15,484

9,146
3,835
7,508
6,262

32,010

26._416

7.047

1 176

9.709

8,484

738 540

585.975

104.255

27.630

216,889

237,201

Gross demand deposits
Gross time deposits

266,910
339,250

213,990
261,335

44,871
34,593

8,632
11.741

76,123
94,582

84,364
120 419

TOTAL DEPOSITS

606,160

475 325

79_.464

20,373

170,705

204.783

33,150
12' 250
226,980
333,780

31,290
10,291
177,384
256,360

15,038
1,682
30,463
32,281

1,853
581
6,701
11,238

10,674
4,303
62,729
92,999

3, 725
3, 725
77,491
119,842

Borrowings

44,630

41,194

8,677

4,072

21,566

6,879

Other liabilities

33,990

27,354

7,941

1,263

9,623

8,527

Total capital accounts

53,760

42,102

8,173

1, 922

14,995

17,012

ASSETS
Loans and investments

u. s.

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 1/
Country
New York City of
Other
banks .!.I
Chicago
City

LIABILITIES & CAPITAL

Deposits of banks
U. S. Govt. deposits
Other demand deposits
Other time deposits

1/

As of November 9, 1972, th0 definitions of reserve city and country banks
were changed (see Federal Reserve Bulletin, November 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.

NOTE:

Comparability of figures affected by changes in membership, mergus, etc




- 2-

CHANGES IN ASSETS AND LIABILITIES OF ALL CCMMERCIAL BANKS IN THE UNITED STATES
April 25, 1973 to May 2, 1973
H.8

(Partly estimated.

In millions of dollars)

All
coml.
banks

Item
ASSETS
Loans and investments

All
member
banks

+1' 120

+

710

Loans and discounts
+1,280
Treasury securities - 280
+ 120
Other securities

+

868
263
105

u. s.

Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets

+4,730
+

&

+

-

--

264

+

359

+

615

+

617
25
23

54
35
89

+

--

+

-

398
32
7

+

956

+1. 630

93
171

+3,891

+

928

+

377

+

-

260
530
+1 '430
+3,570

+ 261

+ 347

+

401
+ 663
+3,368

-

403
7
19

+

20
364
965

+1' 360

+

962

-

31

+5,563

+

-

TOIAL ASSETS/LIABILITIES +7,210
LIABILITIES

-

Reserve citr banks 1/
Country
New York City of
Other
banks 11
City
Chica_g_o

-

--

-

--

516
143
+ 285
+1 '330

27
231
+ 761
+1 '073

+

83

+

+

633

+

460

+1.627

+2 843

-

312

+

-

598

CAPITAL

Gross demand deposits
Gross time deposits

+7,430
+ 640

+6,408
+ 532

+2, 136
+
33

+
+

263
90

+2,097
+ 248

+1,912
+ 161

TOIAL DEPOS ITS

+8.070

+6.940

+2 169

+

353

+2 345

+2 073

+2,430
+ 770
+4,290
+ 580

+2,304
+ 455
+3' 713
+ 468

+

874
- 67
+1,395
33

+

+

-

+

+

216
27
62
102

919
- 54
+1' 242
+ 238

+ 295
+ 603
+1,014
+ 161

Borrowings

-1,750

-1,882

-1,2la

+

101

-1,040

+

Other liabilities

+

+

402

-

7

+ 232

+ 396

Total capital accounts

+ 370

80

+

23

Deposits of banks
U. S. Govt. deposits
Other demand deposits
Other time deposits

520

+ 296

For numbered footnotes see page 1




209

+

-

I
,-

90

+

271

101