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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