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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) f '' u B R A H T 7 \ ASSETS a; May 2ii, 1961 ILITIES OF ALL BANKS IN THE UNITED STATES, MAY 10, 1961 (Partly estimated. All banks* Item In millions of dollars) All commer cial banks* Member banks Central reserve Reserve Total city city banks New York |Chicago banks Country banks ASSETS 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 240,220 200,140 166,684 27,512 7,008 63,344 68,820 145,700 117,780 100,345 18,319 39,996 17,524 5,824 22,831 17,489 2,471 43,770 38,324 8,211 1,700 15,668 12,745 16,370 3,580 16,370 3,460 16,373 3,569 194 7,185 4,804 11,780 818 1,569 12,840 11,130 12,810 12,477 4,268. 815 30 136 719 1,951 5,714 4,596 1,776 6,600 5,980 5,375 1,857 144 1,926 1,448 291,390 249,890 210,383 37,580 8,852 80,938 83,013 60,490 27,650 21,870 44,570 48,850 2,611 6,863 6,722 180 8,403 • LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 142,090 114,990 142,060 77,960 TOTAL DEPOSITS 257,.089 220,020 l4*,250 14,250 Deposits of banks l/ U. S. Govt, deposits 3,810 3,810 Other demand deposits 1 / 124,760 124,730 Other time deposits 1 J 114,260 77,230 121,256 24,051 5,909 63,273 6,4i6 1,868 46,884 24,612 44,412 30,377 184,529 30,467 7,777 71,496 74,789 13,570 4,227 3,366 650 104,864 19,373 62,729 6,217 ,1,208 157 4,556 1,489 4l,8l4 1,856 6,646 1,299 39,121 24,430 1,260 30,226 Borrowings 1,890 1,890 1,874 771 49 950 104 Other liabilities 7,520 6,700 6,222 2,721 189 1,880 1,432 24,900 21,280 17,758 3,621 837 6,612 6,688 291,390 249,890 210,383 37,580 8,852 80,938 83,013 Total capital accounts Total liabilities and capital *f 37,586 4,444 1,773 791 66,870 ^ x v UCCU C b U X V U L L -L J L . L U I 1 . Note— The comparability of figures in this series is affected by changes in Federal Reserve membership, mergers, etc., and in reserve classifications. 1/ Due to the reclassification of deposits of foreign central banks, Deposits of Banks was reduced by about $1,900 million; Other demand deposits was increased by about $400 million and Other time deposits by about $1,500 million. -2CHANGES IN ASSETS AMD LIABILITIES OF ALL BANKS IN THE UNITED STATSES, APRIL 12, 1961 TO MAY 10, 1961 (Partly estimated. In million* of dollars) All banks** r/ Item — .... All coisaerci&l banka* Total Country b&nks ASSETS Loans and investment* +1,550 +1,390 +1,254 -1- 555 +138 +1,290 + 370 - 110 +1,120 + 38O - 110 + 960 -l- 635 + 449 + 302 - 155 - 382 -1,830 -1,820 -l,64l + 130 - 130 - 630 -1,200 + 130 - 130 - 620 -1,200 + 134 95 - 496 -1,184 + + 10 + - 270 - 420 - Gross demand deposits Gross time deposits -2,180 +1/110 TOTAL DEPOSITS + 143 +4l8 - 87 +197 + 28 + + 1 45 99 +413 - 95 +100 56 -174 - 953 -458 - 80 + 48 8 12 12 + 34 -128 + 203 25 - 183 - 9^ 8 + 59 - 62 -335 -120 25 + 9 + + 362 + 508 - 34 -2,180 +1,010 -2,026 + 969 + + 89 360 -101 + 56 -1,070 -1,170 -1,057 + 449 -2,490 +1,270 -2,380 +2,530 -2,490 +1,270 -2,380 +2,430 -2 ,468 -1,384 +1,169 + 355 30 -2,155 + +2 ,3 97 +1 ,4 48 Borrowings + 280 + 280 + 279 - 71 Other liabilities + 430 + 400 + 3^9 + 104 Total capital accounts + 90 + 70 + 67 + 26 - 420 - 362 + 508 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 10 - 2 . 43 - 29 - 767 - 69 + 4io -1,609 -405 +143 - 45 -1,199 -262 -137 + 70 -106 +128 - 882 + 491 -1 ,486 + 678 - 65 +253 -593 +143 + + 316 + 28 + 98 +147 + 18 + 18 - 767 - 69 . LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Total liabilities and capital - 270 Figures have been rounded to nearest 10 Million. Note— See footnote on page 1. r/ Mutual savings bank figures for April 12 have been revised. * ............... Member banks Central reserve Heserve city banks city New York Chicago I'isUkB 6 — + 5 - 34 G .7 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN ‘T*HK UNITED STATES, MAY 11, i960 TO MAY 10, 1961 (Partly eintimated. All coeaercial banks** All bank** Item la millions of dollars) Member banka Central reserve fieserve Total. city banks city New YorkT Chicago banks Country ban!?b ASSETS -- M... +13,890 +11,900 +10,705 +2,647 +399 +3,978 +3,681 Loans and discount0 + 6,720 U. S. Govt, obligation* + 4,88o Other securitie* + 2,290 + 4,64 0 + 5,190 + 2,070 + 3,905 + 4,986 + l,8 l4 + 673 +1,439 + 535 +209 + 47 +143 +1,002 +2,477 + 499 +2,021 +1,023 + 637 284 + 376 -194 - 107 - - 1,646 - 572 + 181 + 35 + 54l + 63 + 64o + 850 + 2 + 27 - 11 -212 + + 15 77 12 187 • - 877 + 67 + 463 12 809 + 421 + 42 + 229 + 117 ». Loans and investmente *1 * Reserves, cash, and bank balance* Reserve with FR Banks Cash in vault Balances with banka Cash items ^Other assets 20 70 - 1,650 *- 180 ► 790 + 700 - 1,650 + lbO + 720 f 700 *■ + + 860 820 - f - 359 +14,770 +12,650 +11,230 +3,444 +247 +4,100 +3,439 •- l,64o 5-11,620 + l,64o *■ 9,790 + 1,263 + 8,813 + 779 +1,986 + 45 +421 + 48 +3.548 + 391 !+2,.£5ft™ H 3 , 26o m , 430 HO, 076 +2,765 +466 +3,596 Deposits ol banks 7 U. S. Govt- deposit* 4 Other demand deposits * Other time deposits (320 - 2,090 !- 3,050 ■-12,020 320 - 2,090 >• 3,050 :' i 0 , 790 394 - 859 - 1,996 - .727 f- 2,599 +1,523 h 9,869 +2,828 + 39 -150 +125 +452 + 267 - 822 + 4 16 *-3,735 borrowings - I , l 60 - 1,160 - 1,107 341 -347 ■ 1,280 ■(• 1,200 n ,3 9 0 f 1- 1,190 + 829 t- 1,071 + 191 + 514. m4, 770 <H I,230 +3,444 Total assets ► LIABILITIES & CAPITAL S Gross demand deposits nGrosa time deposits TOTAL DEVOnrm •i ^Other liabilities * Total capital accounts 4 Total liabilities and capital i> ■ 12,650 Figures have been roundftd to nearoat 10 million. Note— See footnote on page I. - 48 + 159 - 299 + 535 +2,854 - 371 + 204 + 74 t- 103 n 449 +247 i-4, 100 H h3,439 - «• 357 CONSOLIDATED CONDITION STATEMENT FOR BANKS AM) THE MONETARY SYSTEM* ^ All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds G.7 (Partly estimated. * \ In billions of dollars) ♦ Change to May '10, 1961 from — vMay 10, April 12, May 11,' April 12, May 11,« 1961 1961 r/ i960 1961 I960 v Item ASSETS 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 22.8 22.8 2 4 .7 - 1-9 17-4 5 .4 1 7 .4 5 .4 19.4 5-3 ; 2: ? v 266.3 144.1 94.6 2 64.8 2 50.9 143.0 94.0 l£j 66.9 26.9 .8 2 7 .7 66.5 26.8 .8 27.8 62.0 25.8 1.0 25.4 289.1 287.6 255.3 +1 .5 +1 5.4 275.6 +1.5 +13.5 253.8 240.4 ’ +1.5 +1 4.9 2 8 .4 111.9 114.3 .7 28.3 113.1 111.7 .7 28.3 109.6 101.6 •9 + .2 -1.2 +2-5 + .1 „ + 2 .4 +12.6 \ - .1 4 .3 2 .9 6 .4 +1 .3 - 2 .1 3-8 .4 2 .5 .4 '5-9 •5 +1.3 - 2.1 X - .1 * 1 .3 3-1 .4 27-3 2.8 -1.8 - 1-5 25i^ +” 5 + 2.2 287.6 275-6 h +1.1 + 7-3 + - 5 . ..+ .5 J \ + .4 + 4.9 / + 1.1 ^ + .2 - .2 - .1 + 2.3 1 \ LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted 1/ Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net 1/ Treasury cash Capital and miscellaneous accounts, net Total liabilities and capital, net • 27^ 289.1 V- A- +1.5 +13-5 * Figures may not add to totals because of rounding. 1/ See footnote on page 1 . r/ Mutual savings bank figures have been revised. Memorandum— Demand deposits adjusted including demand deposits of foreign banks and of mutual savings banks with commercial banks was $113.5 billion on .May 10. M