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FEDERAL

-=

RESERVE

statistical

release
FOR IMMEDIATE RELEASE
"1AV lh 1976

ASSETS AN(· LIAFILJTIFS OF ALL t:.OMM!::RClAL BANKS IN Tl-iE UNITED STATES

H.8

MAY

II''Ai<TLV ESTII-IATFL. IN MILLIONS ~~I= fHllLAPS)

ALL

ASSETS
LOANS ANP lNVESTMfNT~

Y

LP.ANS PNO DJSCOU"HSY
lREASI!kY SE:CURITIF<,
OTHER SE:CtJRITIES

u.s.

RESERVES, CASH, ANO
BANI< f<ALANCES
RESERVF$ WITH FR !1ANKS
CASH IN VAULl
BALANCES WITH BANKS
CASH ITEMS
OTHER A~SETS~/
T'JTAL ~SSETS/LIABILITIES~/
LI!BILIII~S

ALL

C0ML.

:-1[ Ml', ER

RANKS

F, ANI<.S

5, 1976

PE SE~VE CTT't f'·ANKS 1/
cnv nF OTHER
"JEW YORK
CHICAGO

COUNlRY
BANKS j_/

769 130

571,720

90,930

29,802

205,038

245,950

533,690
90,940
144,500

~06

t425
65,496
99,799

71' 556
9, 587
9,787

22,450

159,680

3,820

152,739
:n,159
31,)40

()7()

Q7.~>tt.

25.559

3·728

38,009

30,220

29,570
10,220
36,540
39,740

29,573
7,676
2.2.,047
38,220

7t930
813
5t244
11' 572

lt47l
142.
2.73
1,842

11,698
2,466
o, S34
11,311

8,474
4,255
9t996
7,495

50 120

43,338

15,68 8

2,028

17,316

6,306

<ns .12o

712.574

132.177

35,558

260,363

284,476

111';

3,532

31,218

55,052.

£ CAPII!L

GROSS JEMAND DE POSITS
GROSS TIME DFPOSITS

294,340

227,901

6.6':\.6.30

3~9.108

48,920
44.597

9,214
15,137

80,389
120,191

89,378
159,183

TOTAL DHOSITS

757 770

567,009

93,517

24,351

200' 580

248,561

45,460
6,200
253,480
452,630

41 t 196
4,653
191,083

2,913
Zl4
7,118
14,046

14,079

,on

19,479
680
32.,618
40,740

67,865
116,941

4t725
2,064
83,422
158,350

70,040

64,378

11t423

7,454

31,746

7,755

'i/

36,730

27 '133

9, 711

1,277

9,289

6,856

ACCOUNTS~/

70,780

54 ,OS4

11,526

2,476

18,748

21,304

DEPOSllS OF BANKS
u.s. GPVT. DEPOSITS
OTHER DEMAND DEPOSITS
OTHER TIME: DF. POS llS
RORROWINGS
OTHFR LlAf'IL!TIES
nnAL

CAPITAl

33o

l,6CJ5

l/ AS OF NOV. 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 TI}ffi.
2/ INCLUDES "RESERVES FOR LOAN LOSSES" AND "UNEARNED INCOME ON LOANS".
1/ EFFECTIVE MARCH 31, 1976 "RESERVES FOR LOAN LOSSES" AND "UNEARNED INCOME ON LOANS", WHICH
FOR ALL COM}ffiRCIAL Bru~KS ARE ESTIMATED TO BE APPROXIMATELY $14.5 BILLION, HAVE BEEN NETTED
AGAINST "OTHER ASSETS" AND "OTHER LIABILITIES" AND, THEREFORE, AGAINST "TOTAL ASSETS/LIABILITIES".
·
!:!:_/ EFFECTIVE MARCH 31, 1976 INCLUDES "RESERVES FOR SECURITIES" AND A PORTION OF "RESERVES FOR
LOAN LOSSES".
NOTE: COMPARABILITY OF FIGURES AFFECTED BY CHANGES IN MEMBERSHIP, MERGERS, ETC.



-

2-

IN ASSETS AND LIAI:ILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES

Cl-iAN~ES

APRIL 28,
H.8

(PA~TLY

1~76

MAY

5, 1976

tSTIMtTED. IN MILLIONS OF DOLLARS)
ALL

ITF~

TO

ALL

RESERVE CITY SANKS 1/

CnUNTRY

~N~E~W~Y~O~R~K~~C~l~T~Y~O~F~O~T~H~E~R~~BANKS ~/

COML.
BANKS

MEMF.ER
BANKS

+ 6,970

+4,336

+216

-19

+ 6,960
+
600
590

+4,278
-546

-l35
+550
-199

-ton

+ 4,570

+3,773

+
+
+

+1,7!'0

-1,442
+1,956

CITY

CHICAGO

ASSETS

LOANS AND INVESTMENTS '!:_/
LOANS AND DISCOUNTS 2/
U.S. TREASURY SECURITIES
OTHER SECURITIES
RESERVES, CASH, AND
BA.Nl( BALANCES
RESERVES WITH FR BANKS
CASH IN VAULT
BALANCES WITH BANKS
CASH ITEMS
OTHER ASSETS~/

1, 750
1,970
3,000
1,790

+[04

+1,509

+827

+3,312

+97t
+159

+3,369
-5

+13

-308

-52

+440

+181

+ l. 858

+1.294

+ 1,093
-92

+303
-23

+711
-441

+123

-14
-85

+728
+860

-357
-886
+1,119

-684

+68

+1,418

~+-3~,~2~7~0-4~+2~,3~3~5~~--+~5~5~3~-1------5~~--+~8~1~9~+-~~+9•6~8~.

TOTAL ASSETS/LIABILITIES~/ t±+=l4=·=8~1~0~+~~?~···='4=4=4==~+==1=,2=0=9==~==+=1=5=7==~+=3==,5=0=4==t=•=5==,5=7=4==:
LIABILliiES &.CAPITAL
GPOSS DEMAND DEPOSITS
GROSS TIME DEPOSITS

+ 8,650
+5,336
+_563
+ ... ~5_0 -·

-920

-236

+1,978

+4,~14

+366

+1

-174

+364

TOTAL DEPOSITS

+ 9 •.:?.QO...

+5,899

-554

-::229

+1,804

+4,878

+
+
+
+

+2.295

+407
+122
-1, 55u

+110
-579

+467

+lf>3

+1,195
+133
+578
-102

+583
+658
+3,273
+364

+1,512

+379

DEPOSITS OF BANKS
U.S. GOVT. DEPOSITS
OTHfR DEMAND DEPOSITS
OTHER liME DEPOSITS

2,670
1,490
4,170
1,170

BORROWINGS

+ 2,050

OTHER

+ 2,920

LIABILITIES~/

TOTAL CAPITAL ACCOUNTSi/




+

340

+990
+1,722
+892

+l,8t8
+3Gl

+56

+77

-444

-24

+609

+),088

+31

+162

+52

FOR NUMBERED FOOTNOTES SEE PAGE 1.