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M V \ "$r- a r ' ) y For immediate release May 7, 1968 & LIABILITIES OP ALL BARKS IN THE UNITED STATES, APRIL 24, 1968 J.4 (Partly estimated. In millions of dollars) All banks All coml. banks All member banks 427,440 361,110 293,281 50,150 12,729 105,895 124,507 290,280 63,880 73,280 237,750 59,550 63,810 197,820 44,285 51,176 37,842 4,734 7,574 9,041 1,879 1,809 74,447 13,362 18,086 76,490 24,310 23,707 64.750 63.900 56.320 13.961 2.606 22.081 17.672 19,150 6,470 14,920 24,210 14,230 19,150 6,320 14,300 24,130 13,030 19,150 4,967 8,565 23,638 11,403 4,170 404 355 9,032 3,543 941 94 435 1,136 624 8,185 1,511 2,254 10,131 4,111 5,854 2,958 5,521 3,339 3,125 506,420 438,040 361,004 67,654 15,959 132,087 145,304 Gross demand deposits Gross .time deposits 187,700 250.890 187,620 188.920 156,230 151,926 32,360 19.676 6,720 5.687 56,226 57.666 60,924 68r897 TOTAL DEPOSITS 438,590 376,540 308,156 52,036 12,407 113,892 129.821 18,570 4,260 166,410 249,350 18,570 4,260 166,330 187,380 17,617 3,715 136,258 150,566 6,294 663 26,089 18,990 1,194 134 5,401 5,678 7,953 1,511 47,248 57,180 2,176 1,407 57,520 68,718 8,930 8,930 8,584 2,809 835 4,245 695 19,000 39.900 17,740 34.830 15,840 28.424 7,043 ,i.7£6 1,380 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 LIABILITIES Reserve city banks New York City of Other City Chicago Country banks LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities Total capital accounts Seasonally adjusted data Loans and investments 1/, Loans and discounts 1/.. U.S. Govt, obligations.. Other securities....... NOTE: 3,823 3,594 .,.1,337 ,.12.127 11.124 1/ Excludes total coml. interbank loans. 354,800 232,100 59,200 63,400 Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. CHANGES IN ASSETS AND LIABILITIES QF ALL BANKS IN THE UNITED STATES, ’ \1 MARCH 27, 1968 TO APRIL 24, 1968 J.4 Item (Partly estimated. In millions of dollars) All All Reserve city banks All member New York City of conl. Other banks r / Chicago banks banks City 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/LIABILITIES I ------------------------- Country banks +1, 539 < + 3 i.870 +3 ,500 • +2, 754 +177 +207 + ,530 ,630 -1. +. 970 +4 ,380 -1 ,550 + 670 +3, 517 -1, 225 + 462 +508 -417 + 86 +138 +133 - 64 +lj,215 - 428 + 44 +1» 656 - 513 + 396 117 -314 -209 + + 145 737 2 197 803 + + + 310 1 94 151 210 1 4 - 110 - 50 - 831 261 -1 ,700 + 70 + 340 + 1 ,,180 -1 ,700 + 70 + 400 +1:,180 "I, 695 + 89 + 333 +1> 156 -458 - 16 - 57 +217 -190 + 13 + 42 - 74 + + + + _ 35 -112 - 13 - + S& +2 P602 -249 - 15 +1,,088 ■■ 778 20 +3,,780 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +2«,640 40 TOTAL DEPOSITS 20 +3.,470 «■ i i - 49 -590 +117 -160.. + 613 - 341 +1» 338 t 1453 -639 - 43 + 272 +1, 863 + 580 -1,,390 +3,,380 220 + 571 -1, 287 +2, 671 502 +180 -678 +422 -563 + 56 - 30 + 90 -159 + + 313 297 561 305 + 22 - 282 +1, 598 1 + 525 780 + 780 + +526 - 18 + 722 - 301 Other liabilities + 170 + 110 + 46 -162 + 32 + 54 + 122 Total capital accounts + 230 + 230 + 174 + 26 + 14 + 40 + 94 +2.,640 290 +2, 019 566 +2,,600 +2.,350 + 580 -1,,390 +3,,380 + 30 Borrowings + Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits mm am + 1 - 1 I 929 1 1 Seasonally adjusted data Loans and investments if... Loans and discounts l/..< For numbered footnotes, see first page • +3j,000 + 3 ,,600 700 100 r/ Figures for mutual savings banks were revised. i CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES APRIL 26, 1967 TO APRIL 24, 1968 j.4 (Partly estimated. In millions of dollars) Reserve city banks New York City of Other City .Chicago All banks All coml. banks All member banks +37,780 +32,280 +24,815 +3,494 +602 +7,982 +12,73/ +22,240 + 3,250 +12,290 +19,020 + 3,400 + 9,860 +14,999 + 2,284 + 7,532 +2,301 32 +1,225 +566 - 7 + 43 +5,763 + 297 +1,922 + 6,369 + 2,026 + 4,342 + 3,300 + 3,520 + 2,833 +1,205 + 30 + 538 + 1,060 570 + 440 + 700 + 2,730 570 + 420 + 960 + 2,710 567 + 378 + 448 + 2,574 - 249 + 54 + 34 +1,366 -244 + 7 +202 + 65 + + + 363 105 72 724 + + + + 289 212 140 419 + 1,750 + 1,630 + 1,492 + 644 +151 + 467 + ‘ .’ 30 TOTAL ASSETS/LIABILITIES +42,830 +37,430 +29,140 +5,343 +783 +8,987 +14,027 +10,270 +23,790 +10,250 +18,700 + 7,947 +13,723 +1,675 t- 759 - 96 +158 +2,080 +4,658 + 4,288 + 8,148 +34,060 +28,950 +21,670 +2,434 + 62 +6,738 +12,436 + 660 - 2,420 +11,980 +23,840 + 660 - 2,420 +11,960 +18,750 + 703 - 2,401 + 9,616 +13,752 + 281 -1,188 +2,459 + 882 + 1 -236 +137 +160 + 292 - 883 +2,726 +4,603 + Borrowings + 2,290 + 2,290 + 2,184 + 646 +133 +1,195 + 210 Other liabilities* + 4,020 + 3,940 + 3,611 +1,982 +453 + 569 + 607 Total capital accounts + 2,460 + 2.250 + 1,675 + +135 + 485 + 774 Item ASSETS T.nanfi flnH itivestfflfillts Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets Count.i y bank j LIABILITIES & CAPITAL Gross demand deposits Gross time deposits TOTAL DEPOSITS , . Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data t ___J 4 c on C 1 / . +31,600 +18,600 + 3,100 + 9,800 281 129 94 +4,294 + 8,107 For numbered fo otnotes, see first page. CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. J.4 In billions of dollars) IT Item Apr. 24, 1968 Mar. 27, 1968 ' A p r . 26, 1967 ASSETS Change to Apr. 24, 1968 from — Mar. 27, Apr. 26. 1967 1968 17.3 17.3 19.7 —— - 2.4 10.5 6.8 10.5 6.8 13.1 6.6 - - 2.6 + .2 469.5 467.7 430.6 +1.9 +38.9 282.1 114.2 279.3 116.2 262.1 107.6 +2.9 -2.1 +20.1 + 6.6 63.9 49.3 1.0 65.5 49.5 1.2 60.6 45.4 1.5 -1.6 - .2 - .3 + 3.3 + 3.9 .6 73.3 72.3 61.0 +1.0 +12.3 486.8 484.9 450.3 +1.9 +36.5 431.6 429.2 396.3 + 2 .4 +35.3 40.0 142.2 249.4 -- 39.8 140.0 249.3 — 37.7 133.0 225.5 .1 + .2 +2.2 -— + 2.3 + 9.3 +23.8 - .1 U. S. Government deposits 5.8 6.6 7.5 - .8 - 1.7 At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 4.3 1.6 5.7 1.0 5.7 .8 -1.4 + .6 - 2.4 + .7 2.0 1.1 46.3 2.0 1.1 46.0 1.7 1.4 43.4 — -+ .3 + .2 - .3 + 3.0 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 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits +36.5 +1.9 450.3 484.9 486.8 T$>tal liabilities and capital, net \ * Seasonally adjusted + 2.4 + .2 38.0 40.2 40.4 Currency outside banks + 9.2 .5 132.6 142.3 141.8 Demand deposits adjusted » Figures may not add to totals because of rounding. Treasury funds gold account, Treasury currency account, and Exchange Stabilization Fund. 1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $ 144.8 billion on April^24, 1968. r/ Figures for mutual savings banks were revised.