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FEDERAL statistics! RESERVE release ti For Immediate release May 24, 1967 ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MAY 10, 1967 J.4 Item ASSETS Loans and investments Loans and discounts U* S. Govt. obligations Other securities Reserves, cash, and hank balances Reserve with FR Banks Cash in vault Balances with hanks Cash items Other assets (Partly estinated. In millions of dollars) All All Reserve city banks All ccml. member Nev York City of Other banks Chicago banks banks City 389,210 328,390 268,571 11,947 268,320 218,560 182,624 35,200 60,050 55,670 41,805 4,938 6o,84o 54,l6o 44,142 6,213 8,362 1,776 1,809 68,596 12,909 16,562 70,466 22,182 19,558 60,130 59,030 51,544 11,198 2,646 20,464 17,236 19,030 5,750 15,o4o 20,310 19,030 5,620 14,130 20,250 3,859 351 342 6,646 1,122 84 385 1,055 7,956 1,342 2,122 9,044 6,088 2,571 5,565 3,012 12,620 ll,54o 19,025 4,348 8,4l4 19,757 10,026 3,023 475 3,643 2,885 398,960 330,141 60,572 15,068 LIABILITIES & CAPITAL Oross demand deposits Gross time deposits 175,090 175,030 228,140 171,160 TOTAL DEPOSITS 403,230- 346,190 284,999 ^7,9^6 Borrowings Other liabilities Total capital accounts NOTE: 98,067 112,206 46,351 TOTAL ASSETS/LIABILITIES 461,960 Deposits of hanks U. S. Govt, deposits Other demand deposits Other time deposits Country banks 18,090 7,130 151,450 226,560 145,921 139,078 28,862 19,084 6,6l4 5,563 122,174 132,327 ^ 53,245 53.199 57,200 61.232 12,177 106.444 118.432 18,090 16,957 5,666 6,494 7,130 1,607 151,390 123,849 22,366 169,580 137,699 18,307 1,253 387 4,988 5,549 7,881 2,589 43,225 52,749 2,157 1,911 53,270 61,094 6,340 6,340 6,109 2,243 680 2,729 457 1^,730 37,660 13,680 12,131 26,902 4,821 996 3,003 5,562 1,215 3,311 9,690 32,750 Comparability of figures affected by changes in Fii membership, mergers, etc., and in reserve classifications. -2CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, APRIL 12, j.4 Item 1967 TO MAY 10, 1967 (Partly estimated. In millions of dollars) Reserve city banks All All All member New York City of Other coml. banks City Chicago banks banks ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and hank balances Reserve with FR Banks Cash in- vault Balances with banks Cash items +1,720 +1,790 • +1,323 + 554 -163 - Country 4 banks 26 + #8 + 742 - 265 + 481 +1,880 -1,710 +1,550 +1,550 -1,270 +1,510 +1,171 -1,102 +1,254 + 598 - 93 + 49 - 7^ -159 + 70 - 95 - 585 + 654 -4,540 -4,710 -4,471 -1,889 -139 -2,003 - 820 - 130 - 370 -3,220 - 820 - 130 - 540 -3,220 - 829 - 109 - 356 -3,177 805 9 + 73 -1,148 - 47 - l +139 -230 - 322 - 39 - 70 -1,572 + 345 - 60 - 498 227 + 90 + 251 + 13 + - 214 40 1 1 440 \ 1 J J 10 20 -2,810 -2,940 -3,058 -l,o84 -289 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits -4,290 +1,940 -4,290 +1,600 -3,801 +1,147 542 - 66 -131 + 9.. 1 -2,291 837 + 341 _ + 263... TOTAL DEPOSITS -2,350 -2,690 -2,654 608 -122 -1.950. + -1,020 +3,960 -7,260 +1,970 -1,020 +3,960 -7,260 +1,630 - 965 +3,672 -6,538 +1,177 . 183 + 983 -1,382 - 26 - 77 +311 -363 + 7 - 570 +1,495 -3,208 + 333 135 \ + 883 -1,585 + 863 | Borrowings - 730 - 730 - 787 - 496 -190 - 200 + Other liabilities + i4o + 320 + 231 - 53 + 16 + 95 + 173 Total capital accounts + 130 + 160 + 152 + 73 + 7 + 66 + Other assets + 4 TOTAL ASSETS/LIABILITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits + ^°4 26 j 99 6 -3- CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MAY 11, 1966 TO MAY 10, I967 J.4 Item (Partly estimated. In millions of dollars) Reserve city banks All All All coml. member New York City of banks City Chicago Other banks banks Country banks ASSETS +23,490 +20,020 +15,5^1 +1,961 +672 +5,595 +7,313 +15,080 +11,900 + 8,750 +1,208 - 370 + 480 + 663 + 501 + 8,780 + 7,640 + 6,128 + 252 +152 +316 +204 +1,910 + 505 +3,180 +5,480 - 659 +2,492 + 2,620 + 2,360 + 2,251 + 427 +300 + 641 + 88^ + 1,430 + 1,430 + 1,428 + 189 + 290 + 290 + 214 + 21 + 690 + 440 + 328 + 92 + 210 + 200 + 28l + 125 + 82 +285 - 67 + 711 + 74 298 + 154 + 446 + 119 + 249 + 69 + 1,340 + 1,230 + l,o4o + 112 - 5 + .570. + .363. +23,610 +18,832 +2,500 +967 +6,806 +8,559... LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 2,120 + 2,110 + 1,734 +1,133 +20,320 +16,48o +12,468 379 -311 +379 + 198 + 714 +5,377 ... +7,091 TOTAL DEPOSITS +22,440 +18,590 +14,202 + 7?4 + 68 +5j 575 _ +7,805 - 21 - 63 -242 +394 + 583 + 237 - 380 +5,135 + 143 + 201 + 365 +7,096 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/LIABILITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits +27,450 ii 1 n 11 11 ir 1 u 11 n . i i - + 1,220 + 310 + 890 +20,020 + 1,220 + 310 + 880 +16,180 + .1,061 + 356 + 387 + 12 + 581 + 838 452 +12,173 • - Borrowings + 837 + 199 +300 + 603 - 265 Other liabilities + 2,190 + 2,380 + 2,260 +1,150 +525 + 147 + 438 Total capital accounts + 2,110 + 1,930 + 1,533 + 397 + 74 + 481 + 581 710 + 710 + - • A- CONSOLIDATED CONDITION STATEMENT FOB BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds J.4 (Partly estimated. In billions of dollars) Item May 10, Apr . 12, 1967 1967 Change t<5 May 10, 1967 i'rent — May 11, Upr. 12 May 11, 1966 1966 1967 , J ASSETS Monetary reserve Gold stock Treasury Currency Bank credit Loans, net U> S. Govt, obligations Commercial and savings banks Federal Reserve Other Other securities Total assets, net 19.7 19.6 19.4 + .1 +..3.. 13.1 6.6 13.1 6.5 13.5 5.8. + .1 - > + .7 Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits TJ. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Total liabilities and capital, net . 428.0 402.3 +2.3 +28.0. 262.2 ■ 260.4 108.3 107.,3 . 60.1 51.8 45.8 45.0 1.4 1.5 60.8 59.3 247.9 102.3 +1.8 -1.0 +14.3 + 5,0 60.4 4l.O .9 52.1 -1.7 + .8 - .1 +1.6 - .4 + 4.8 j + .5 ' + 8.8 450.0 447.6 421.7 +2.4 +28..3---. — ^— 1 396.2 ,__397.9 . 373.7 -1.8 +22.4 38.4 131.1 226.6 .1 38.1 135.2 224.6 .1 36.4 -L30.5 206.5 .3 + -3 -4.0 +2.0 + 1.9 + .7 •1 -. 8-3 ___ 3.7 7.3 +4.6 + 1.0 7.1 l.l 3.2 .5 6.8 .5 +4.o + .6 + + 1.7 1.4 42.5 1.7 1.4 42.9 1.7 1.0 38.0 + .1 450.0 447.6 421.7 +2.4 *30,3 . LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks ! +20.0 - .2 - .1 .4 ' -3 .7 I J " | J + .5 + 4.5 1 . +28.3 I .*.. ..f gold account, Treasury currency account, and Exchange Stabilization Fund. foreign banks of mutual 1jFRASER Demand deposits adjusted, including demand deposits of Digitized for http://fraser.stlouisfed.org/ savings banks, were $ 133.6 billion on May 10 , 1967. Federal Reserve Bank of St. Louis