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FEDERAL RESERVE release May 8, 1963 For immediate release OF ALL BANKS IN THE UNITED STATES, APRIL 24, 1963 Vt ' V * -1/ ’-■1 * All banks All coml. banks Reserve city banks All member New York City of Other Chicago City banks Loans and investments 280,730 234,890 194,589 31,829 8,813 72,921 81,026 Loans and discounts * U. S. Govt, obligations Other securities 173,470 139,440 64,010 70,250 31,440 37,010 117,677 50,950 25,962 20,258 6,805 4,766 5,291 1,354 46 „791 17,329 8,801 45,337 24,648 11,041 Item Country banks ASSETS 2,168 Reserves, cash, and bank, balances 47,290 46,460 40„434 8,296 1,949 16,940 13,249 , Reserve with FR Banks Cash in vault k Balances with banks Cash items 16,620 4,420 12,390 13,860 16,620 4,290 11,750 3,867 183 3,986 969 43 125 812 7,119 13,800 16,623 3,286 7,094 13,431 2,134 6,681 4,668 1,977 4,652 1,952 7,940 7,200 6,386 2,218 221 2,225 1,722 335,960 288,550 241,409 42,343 10,983 92,086 95,997 * LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 149,730 146,310 149,670 103,820 126,511 84,764 23,891 10,200 6,100 3,369 48,656 32,693 47,864 38,502 TOTAL DEPOSITS 296,040 253,490 211,275 34,091 9,469 81,349 86,366 14,470 4,000 14,470 4,000 132,000 6,706 103,020 4,146 724 19,303 9,918 1,194 145,510 13,670 3,518 109,920 84,167 4,757 3,352 32,537 1,624 1,344 45,038 38,360 3,270 3,270 3,235 1,352 313 1,429 141 8,510 7,640 6,974 2,973 238 1,978 1,785 28,140 24,150 19,925 3,927 963 7,330 7,705 Other assets TOTAL ASSETS/LIABILITIES 260 1,006 ♦ * Deposits of banks U. S. Govt, deposits . Other demand deposits Other time deposits ^Borrowings > Other liabilities Total capital accounts .Seasonally adjusted data Taqwq onirl “t T /- 132,060 232,600 137,400 64,000 166 1,284 40,822 T T CJ n y« vn rt vr sl v* va rVhi1iTA+llrmft... * ..... 31,200 l/ Excludes total coml. interbank loans. Other securities... . #• +##«»«» -4 NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, MARCH 27, 1963 TO APRIL 24, srly G.7) Item 1963 (Partly estimated. In millions of dollars)_________ Reserve city banks All 1 AH All City of New York member coml. Other banks £ banks Chicago City 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 Country banks V + 663 30 - 295 -704 -325 + + 380 -1,030 +■ 730 + 80 - 830 + 780 - 206 - 769 + 680 -692 - 85 -291 +279 -272 + 32 30 - 91 + 192 4 + 601 . - 115 + 177 •* A + 760 + 820 + 749 +309 + 50 + + + + + + 360 80 20 300 + 360 + 80 + 80 + 300 + 364 + 59 + 67 + 259 +422 + 1 + 3 -117 + + + - + 56 + 8 - 47 + 320 + 110 + 110 + 120 + 86 - 2 + + 960 + 574 -309 -277 + 464 + TOTAL ASSETS/LIABILITIES + 80 950 + $6 2 19 27 71 337 56 53 < - 170 * + 48 * + 92 , + 83 * - 20 + 696 ¥ >* LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 350 930 - 350 + 880 - 600 + 729 -727 + 24 -101 +160 - 208 + 237 + 436 ' + 308 * TOTAL DEPOSITS + 580 + 530 + 129 -703 + 59 + + 150 -3,570 +3,110 + 890 + 150 -3,570 +3,110 + 840 + 139 -3,224 +2,518 + 696 + 19 -715 - 17 + 10 + 28 -266 +138 +159 + 73 -1,385 +1,124 + 217 Borrowings + 170 + 170 + 193 +235 -283 + 347 + 744A * + 19 - 858 4 +1,273 * + 310 * - 106 ^ Other liabilities + 150 + 180 + 178 +136 - 59 + 73 + 28 - Total capital accounts + + + + 23 + 6 + 15 + 30 ^ Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments 1 Loans and discounts 1, U.S. Govt, obligations Other securities.... 50 80 -2,400 - 400 - 2,700 + 700 74 29 For numbered footnotes, see first page, r/ Revised mutual savings banks figures for March 27 » 1963• CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, APRIL 25, 1962 TO APRIL 24, 1963 j U (formerly G-T) (Partly estimated. In millions of dollars) .■»■ ...... ..... Reserve city banks* All All All New York City of member coml. » Item Other banks Chicago City banks 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 Balance with banks * Cash items % Other assets TOTAL ASSETS/LIABILITIES ‘4 +21,050 +17,500 +13,717 +1,974 +1,309 +3,683 +6,751 +16,590 +12,830 +10,253 + 878 TOO - 640 - 1,153 - 143 + 5,200 + 5,310 + 4,617 +1,239 + 734 + 288 + 287 +3,807 -1,562 +1,438 +4,834 + 264 +1,653 + 37 + + 203 11 + 1,100 + 1,070 + 299 440 + 570 + + 115 + 35 + 23 + 60 + + + 9 31 - 127 + 42 + 60 + 324 800 + 687 + 285 + 45 + 190 250 470 570 + + + 190 250 + + 870 + +19,370 +15,176 +2,492 8 +1,391 + + + 167 125 136 109 160 + 197 +4,142 +7,151 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 1,900 + 1,900 + 779 - 495 +17,700 +14,390 +11,822 +2,372 +16,290 "TOTAL DEPOSITS J A * Depositg of banks U. S. Govt, deposits * Other demand deposits * Other time deposits +19,600 r borrowings ♦ Other liabilities + 910 + + 930 + & - Total t 233 190 211 250 501 + + + +23,020 772 + capital accounts ‘Seasonally adjusted data Ty\orta 4mraaf.fiMiint.fl T/* +12,601 +1,877 + + - 565 , +3i,8.I2_ 95SL +1,048 ,+3i32L. +1,750 ’ +4,6l9_ ■*,.36_2 _ 965 - 46 - 104 - 444 +3,901 + 120 + 37 +1,599 +4,613 + 240 + 4l6 - 6ll. + 115 + 17 + 195 + 284 1,5801 + l,l|OC1 + 1,046 + 213 + 86 + 224 + + 220 + 220 + 152 + 79 - 190 - 190 - 243 - 179 872 - 364 + 1,880 + 1,880 + +17,690 +14,380 +11,820 +2,-34l + + + 910 + 916; + 287 7701 + + 89 1 3 81 27 525 For numbered footnotes, see first page. ___ ior +17,60C) •u a -- htK_fc. OUU r*Vi4 rrn ** unanges jp 3W XUXJ am +12,90C. increases ox 3 utuuu* V/U UTilltr OA7 60C TO-caJL assess ux iiUC? ucujlivo added were $526 % + 5,30C miJJLion ana 4.»aav\ 4v a Iv I. nn Aug. 15, 1962, and "other” reserve city banka were reduced $931 million. _4_ CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds J.4 (formerly G.7) (Partly estimated. In billions of dollars) ‘Change to April 24,1 1963 Item from --___ April 24, March 27,1 April 25, March 27,1 April 2 5 , < 1963 I 1963 rjI 19^2 1961 I 1962. 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 - 22.1 21.5 .6 1 I 5-6 1 5 .9 5 .6 16.5 5.6 309-6 3 0 9 .1 287.4 + .5 +22.2 171.1 101.5 1 7 0 .3 1 0 2 .5 154.9 + .8 -1 . 1 +l6.2 + .9' 70.3 30.5 .7 37-0 7 1 .3 3 0 .6 .6 7 1 .0 2 9 .0 36.3 •7 31.8 331.0 330.5 309.4 + .5 2 9 4 .4 2 9 0 .6 274.2 +3 . 8 3 0 .2 1 1 8 .2 2 8 .9 1 1 6 .9 + .1 +2.8 127-8 + .9 •5 30.1 115.4 144.6 •5 5-1 8.4 4.7 -3-4 4.0 7 .6 4.2 15.9 , 1 0 0 .6 -1 . 0 - .1 + .1 + .7 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outBide banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits U. 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 Seasonally adjusted Currency outside bankB 1 4 5 .5 1.1 .9 1.2 1.2 .4 .4 .6 -3-6 + .2 1.3 .4 2 8 .7 29.9 331.0 .6 330.5 30.5 30.4 1 1 7 .8 117.3 09-4 + -5 29-2 + .1 1 1 6 .6 + .5 are gold totals ~ of account, Treasury currency account, and Exchanec j U b i 1/ Demand deposits adjusted, including demand d e p o g t o ol savings hanks, were $120.1 billion on April 24, 196 t JFRASER March 27, 1963 figures revised. Digitized for b ^ lorexgn ^ of mutual