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FEDERAL

-=

RESERVE

statistical

release
fOR IMMEDIATE RELEA5E
MAY 7t 1974

·····
ASSETS

A~D

LIARILITIES OF ALL COMMERCIAL BANKS IN THE UNITED ST4TES
APRIL 24t 1Q74

~ILLIONS

OF DOLLARS)

ALL
COML.
BANKS

ALL
MEMBER
BANKS

691 430

535 '946

8At649

28,431

l99t020

219' 846

503.,690
55,500
132,240

399,125
39,274
97,547

73t431
4t452
10t766

23,078
lt396
3,957

153t446
12t596
3?.,978

149, 170
20t830
49,A46

102 070

87,157

23,980

3,964

31t593

27,620

29,500
10,050
29,180
33,340

29,501
7.547
17.787
32.322

6,521
589
6.100
10.770

1,858
157
331
1,618

10t508
2t413
4tl43
l4t529

10.614
4t388
7t213
5,405

36,670

30, 349

e,o55

lt337

11,603

g, 354

830,170

653,452

120,684

33.732

242.216

256,820

GROSS DEMAND DEPOSITS
GROSS TIME DEPOSITS

271,230
391,500

214tl45
298,715

47,058
40,748

8,450
14,867

74t462
l08t822

84,175
134t27A

TOTAL DEPOSITS

662,730

512t860

87t806

23.317

l83t284

218t453

38,080
6,400
234,420
383,830

35,769
5,171
179,995
291,925

19.302
694
30 ,au
36,999

2,223
194
6,681
14,219

l0t713
2·349
63t284
l06t938

3t';31
lt934
79t219
133t769

BORROWINGS

66,850

62,981

15t461

6,481

3lt645

9t394

OTHER LIABILITIES

41 '110

31,720

8t419

lt931

1lt239

10tl31

TOTAL CAPITAL ACCOUNTS

59,480

45t891

8,998

2.003

16t048

18t842

H.8

!PARTLY ESTIMATED. IN

RESERVE CITY BANI(S J..l
NEW YORK CITY OF
nTHER
CHICAGO

COUNTRY
BANKS .l/

ASSEl.S

LOANS AND

INVEST~ENTS

LOANS AND DISCOUNTS
u.s. TREASURY SECURITIES
OTHER SECURITIES
RESERVES, CASH, AND
BANK BALANCES
RESERVES 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

SEAScitW.U..AO.l.llJSIElL UAl.A

LOANS AN~ INVESTMENTS 2/
LOANS AND DISCOUNTS ~/
COMMERCIAL ~ INOUSTRIAL
U.S. TREASURY SECURITIES
OTHER SECURITIES
PLUS LOANS SOLD OUTRIGHT
TO AFFILIATES
LOANS AND DISCOUNTS 2/
COMMFP~IAL ~ INDUSTRIAL




658,800
471,600
169,900
56,100
131,100

1/

AS OF NOV. 9t 1972, THE OEFINITIONS
OF RESERVE CITY AND COUNTRY RANKS
WERE CHANGED !SEE FEDERAL RESERVE
~ULLETINt NOV. 1972t P, 994).
THE CLASSIFICATIONS EMPLOYED HERE
ARE THE SAME AS THOSE PRIOR TO THE
CHANGE IN DEFINITION, SO THfSE
SERIES ARE CONTINUOUS OVER TIME.

21

EXCLUDES DOMESTIC COMMERCIAL
INTERFIANK LOANS.

477,000
173,000

NOTE:

COMPARABILITY OF FIGURES AFFECTED
RY CHANGES IN MEMBER~HIPt
MEPGERS, ETC.

- 2-

IN ASSF.TS AND LIAAILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES

C~ANGES

APRTL 17, 1974 TO
H.S

(PARTLY

~STIMATED.

APRIL 24, 1974

IN MILLIONS OF DOLLARS)
RESERVE CITY BANI(S _ll.
t;ITY UF OTHER
CHICAGO
CITY

COUNTRY
BANKS_l/

-1.761

-754

•622

.. 2, 315

•3,.975
-1,536
+59

•1t000
-645
-116

-553·
-217
+16

-121
-439
-62

.. z. 301

- 8.150

-7,496

-1.162

-691

-4.667

-976

+ 110
+ 170
- 1,lHO
- 6,520

+108
+110
-1.428
-6,286

-3
+15
-124
-1.050

+153
-3
-233
-608

-747
+8
-535
•3t393

+705
+90
-536
•1t235

280

-146

-ss

-6

+103

-188

-15 530

-13,094

-2.978

-1,451

•5tl86

-3,479

GROSS DEMAND DEPOSITS
GROSS TIME DEPOSITS

-18,040
+ 2 370

-14.702
+2,231

-2.913
+406"

·883
+369

-5.902
+lt248

-5.004
+208

TOTAL DEPOSITS

-15,670

-12t47l

-2,507

-514

•4t654

-4.796

- 2,290
- 1,400
-14,160
+ 2,180

-2,071
-1.281
-11' 168
+2,049

-641
-561
•lt602
+297

+35
-160
-771
+382

-1·021
-357
•4t437
+lt161

•444
•202
•4t358
+20A

ALL
COML.
BANKS

ALL
MEMBER
BANKS

Nt.W YUI'CI'I:

- 7 100

-5, 452

- 5,590
- 1, 720
+ 210

ITEM
AC::c:;E ·s

LOANS AND INVESTMENTS
LOANS AND DISCOUNTS
u.s. TREASURY SECURITIES
OTHER SECURITIES
RESERVESt CASHt AND
BANK BALANCES
RESERVES WITH FR BANKS
CASH IN VAULT
BALANCES WITH BANKS
CASH ITEMS
OTHER ASSETS
TOTAL ASSETS/LIABILITIES

-

•235
+221

_IJ&B ILl IlES-LCAf..IIAl.

DEPOSITS OF BANKS
u.s. GOVTe DEPOSITS
OTHER DEMAND DEPOSITS
OTHER TIME DEPOSITS
BORROWINGS

-

670

-1,041

-136

-803

-998

+896

OTHER LIABILITIES

+

760

+386

-30~

-133

+413

+409

TOTAL CAPITAL ACCOUNTS

+

50

+32

-32

-1

+53

+12




FOR NUMBERED FOOTNOTES SEE PaGE 1.

- 3-

CHANGES

TN AS~~TS

AND

LIA~ILITIES

APRTL 25•

OF ALL COMMERCIAL

1~13

IN THE UNITEn STATES

BA~KS

APRIL 24• 1974

TO

!PARTLY FSTIMATED. IN MILLIONS OF DOLLARS!
RESERVE CITY BANKS ~/
YUI'(!(. I,; 11 T Ut UT"ifR
CHICAGO
CtTY

COIJNTRY
BANKS _1/

ALL
COML.
RANKS

ALL
MEMBER
BANKS

+74,950

+59' 207

+1lt815

+5,631

+23t266

+18, 495

+66,170
- 4,900
+13,680

+52, 260
-3,243
+10.190

+10.036
+198
•1.581

+4,825
-18
+824

+20t193
-alA
+3t891

+17' 206
-2.605
+3t894

+10 490

+8,938

+4,270

+687

+lt482

+2t~99

+ 3,650
+
900
+ 4,130
+ 1,810

+3,653
+6}8
+2,879
+lt78A

•1.309
+31
+},885
+1,045

+434
+21
+80
+152

+415
+244
+448
+375

+lt495
+322
+46f.
+216

+ 5,990

+4, 895

+977

+244

+?t206

+1 ,468

+91 430

+73,040

+17.062

+6,562

+26,954

+22.462

GROSS DEMAND DEPOSITS
GFlOSS TIME DEPOSITS

+ 8,930
+49~230

+6,5h3
+37,912

+4,323
+6,188

+Al
+3,216

+436
+14,488

+le723
+14e020

TOTAL UF.POSITS

+58,160

+44,475

+10.511

+3,297

+14.924

+15t743

+6,783

+586
-414
+42
+3,083

+958
•2t00A
+},797
+14,177

+101
-ltlBA
+2,742
+14.088

ITEM

NI:.W

.9~~-k..!.~

LOAN!;: ANn

!~VESTMENTS

LOANS AND DISCOUNTS
u.s. TREASURY SECURITIES
OTHER c:;ErURITIES
RESERVES• CA~H, AND
BANK RALANCES
RESE~VFS WITH FR RI\I\IK<::
CASH IN VAULT
BALANCE'S wiTH RANI<S
CAC\H JTFI-"C:

OTHF.R ASSETS
TOTAL ASSETS/LIAHILITIES

_L.l!alJ..lllfS_i_CWIAl.

DFPOSITS OF BANKS
u.c. t;("\VT • DEPOSITS
OTHEk DE~AND DEPOSITS
OTHER TIME DEPOSITS

+ 6,980
- 5,320
+ 9,250
+47,250

+6,324
+36,033

+5,138
-1.055
+1,743
+4,685

BOPRf'WINGS

+21,020

+19 .. 905

+5,570

+2,510

+Q,039

+2t78~

OTHEP. LIABILITIE"

+ 6,520

+4,575

+76

+651

+lt848

+2QOOO

TOTAL CAPITAL ACCOUNTS

+ 5,730

+4,085

+905

+104

+1•143

+1t933

Sf~ Ol!AJ..l.J: .....A.O.JUSIED_flAli

LO.ANS AN!"') INVESTMENTS Z/
l OAI'IS AI\IO DISCOUNTS ..2../
COMt-'FRC IAL ~ INOUSTQIAL
u.s. TREASURY SECURITIF-S
OTHER SECURITIES
PLIJS LOAI\IS SOLI) OUTPIGHT
TO AFFTL!ATES
LOA~S AND DISCOUNTS ?./
r:nr-1r-1ERCIAL &. INDUSTRIAL




+69,200
+60,500
+26,000
- 4,900
+13,600
+62,300
+26,800

-4,6~5

FOR NUMREREn FOOTNOTES SEF PAGE 1.

- 4 -

CONSOLIDATED CONDITION STATEMENT FCR BANKS AND THE MONETARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banks,
and Treasury Currency Funds

H.8

(Partly

est~ated.

In billions of dollars)

Apr. 24, Mar. 27, Apr. 25, Change to Apr~ 2,4,
1974
from -!Mar. 27, Apr. 25,
1973
1974
1974
1973
1974
. !J

Item

ASSETS
20.8
11.6
.4
8.8

20.7
11.6
.4
8.8

19.3
10.4
.4
8.5

----_..

816.0

804.9

750.9

+11.9

+65.0

520.2
140.6

510.2
140.6

467.9
140.7

+10.0
.1

-

+52.3
.2

58,5
79.1
2.9

59.7
78.0
2.9

63.8
74.0
2.9

- 1.2
+ 1.1

- 5.3
+ 5.1

155.2

154.1

142.2

+ 1 l

+12.9

836.7

825.6

770.2

+11.1

+66.6

Total deposits adjusted and
currency outsi~e banks

745.0

733.4

681.4

+11 6

+63 .7

Currency outside banks
Demand deposits adjusted
Time deposita adjusted

62.0
201.1
482.0

61.3
197.7
·474.5

56.9
193.6
430.9

+ .7
+ 3.4
+ 7.5

+ 5.1
+ 7.4
+51.1

8 8

8 7

15.4

+

1

- 6 .6

At commercial and savings banks
At Federal Reserve Banks

6.4
·2.4

6.6
2.1

11.7
3.7

+

.2
.3

- 5.3
- 1.3

bank deposits, net

4.8

5.0

3.2

.2

+ 1.6

.3

.3

.4

.1

-

78 1

6q 8

825.6

770.2

Monetary reserve
Gold stock
Special Drawing Rights certificates
Treasury ~urrency
Bank credit
Loans, net
T_reasury securities

u. s.

Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

--

+ 1.6
+ 1.2
+

--.4

-

--

LiABILriiES AND CAPITAL

u.

!/

S. Government deposits

Fo~eign

Tr~asury

cash

Capital and miscellaneous account, net
Total liabilities and capital, net

77 8.

836.7

-

-+11.1·"

.1

+ R 0
+66.6

Seasonalli adjusted
+ .7
+ 5.2
61.9
57.4
62.6
Currency outside banks
+ 7.5
201.9
193.0
200.5
- 1.4
Demand deposits adjusted
* Figures may not add to totals because of rounding. Treasury funds included are
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 $ 207.3 billion on April 24, 1974.
!./ Revised.