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FEDERAL

RESERVE

statistita
\AJ ^ 0JWv
November 10, 1964
For immediate release

•

‘\
i
*. /
^v/

OF ALL BAMS IN THE UNITED STATES, OCTOBER 28, 1964
J*4

(Partly estimated.
Item

ASSETS
Loans and investments
Loans and discounts
U. S. Govt, obligations
Other securities
Reserves, cash, and
bank balances

All
banks■

All
coml.
banks
'

In millions of dollars)
All
Reserve city 1banks
member New York City of
Other
Chicago
banks
City
•

Country
banks

317,920

266,160

219,678

36,611

9,788

82,239

91,040

207,300
67,090
*3,530

167,070 140,646
61,130
47,458
37,960
31,57*

25,048
5,712
.5,851

6,4o4
1,791
1,593

55,712
15,722
10,805

53,482
24,233
13,325

51,830

50,980

44,680

9,639

2,234

18,305

1*,502

17,180
5,110
13,300
16,240

17,180
4,980
12,630
16,190

17,184
3,850
7,844
15,802

4,071
299
189
5,080

1,030
55
149
1,000

7,240

1,175
2,405
7,485

4,843
2,321
5,101
2,237

9,380

8,500

7,497

2,508

283

2.621

2.085 ,

TOTAL ASSETS/LIABILITIES 379,130

325,640

271,855

Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets

103,165 Jfffx&L.

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

161,260
172.580

161,210 135,677

25,682

124.420

101.979

14.319

6,465
4.337

51,455
38,967

52,075
44,^56 .

TOTAL DEPOSITS

333,840

285,630 237,656

40,001

10,802

90,422

96,*31 _

4,649

1,261

7,270

20,324
13,909

*,939
*,311

1,733
42,618
38,801

1,93*
1,367
48,912
44,218

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

16,070
4,950
l4l,i6o

16,070
4,950
141,110

15,114
4,510
116,793

171,660 123,500 101,239

1,119

291

Borrowings

3,9^0

3,9*0

3,733

153*5

255

1,725

*08

Other liabilities

9,740

8,820

7,992

2,976

214

2,66l

2,l4l

31,610

27,250

22,474

*,*36

1,03*

8,357

8,647 ,■

Total capital accounts

Seasonally adjusted data
Loans and inves+.men-hs 1/
260,800
Loans and discounts 1J, ........ 163,100
U.S. Govt, obligations......... 59,900
Other securities....... •••♦•r#•• 37,800
NOTE:

1/

Excludes total coml. interbank loans.

Comparability of figures affected by changes in FR membership, mergerB, etc.,
and in reserve classifications.




1
CHANGES IN ASSETS AND LIABILITIES OP ALL BAMS IN THE UNITED STATES,

SEPTEMBER 30, 1964 TO OCTOBER 28, 1964

Item

(Partly estimated. In
■ "nr'""'
All
coml.
banksr/ 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

millions of dollars)
member
banks

Reserve city ,
banks
New York City of
Other
City
Chicago

ait

Country
banks *

+

250

+

100

-

427

-1,293

-126

+

17

+975

+
+

220

+
+

570

+
+

747

-

+
+

92
42

+354

350

67

+123

120

500
170

992

107

40

- 17
- 66
- 43

213 - 261

+498

-1,870

-1,820

-1,743

- .544

- 17

-

853

-^29

+ 44o
+ 210
- 340
-2,180

+ 440
+ 210
- 290
-2,180

+ 443 + 520
+ 170 +
19
- 210 35
-2,146 -1,048

+ 26
+ 2
- 9
- 36

+
-

34
74

- 69
+ 75
-101

828

-234

101

- 10

-

64

-102

-1,938

-153

-

900

+544

-

320

TOTAL ASSETS/LIABEI TIES -i,'9to

-

320

-2,040

-

277

-2,447

-

65

*

•

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

-4,770
+1,630

-4,770
+1,380

-4,808 -2,594
+1,133 + 308

-318
+156

-201 +
-1,695
+ 167 ,,±5.02 . *

TOTAL DEPOSITS

-3,140

-3,390

-3,675

-2,286

-162

-1,528

- 440
-4,44o
+ 130
+ 1,610

- 44o
-4 ,4 4 0
+ 130
+1,360

- 464
-4,139
- 176
+1,124

- 4l8
-1,293
- 875
+ 300

- 89
-328
+ 99
+156

62
+ 85
-1,561
-957
71 • +671
+ 166. +502

Borrowings

+1,180

+1,180

+1,109 +

407

Other liabilities

-

100

+

40

+

27 -

48
b

Total capital accounts

+

120

+

130

+

92

-

11

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.••••••••«




-

3

+ 12
—

i

+301

+

575

+130

+

20

+ 43

+

33

+ 70

For nunibered footnotes, see first page.
iber
1064 mutual savings bank
- 900 r/ Septem’
-^ ^0.
----------figure
+ 100
-1,300
+ 300

f

*

CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES,
October 30, 19^3 to October 28, 1964
J.4

(Partly estimated.
Item

y

In millions of dollars)
Reserve city banks
New York City of
Other
Chicago
City

Country
banks

+3,751

+577

+6,133

+5,874

+14,572
- 1,110
+ 2,873

+3,283
- 214
+ 682

+578
+ 48
- 49

+5,580
- .602
+1,155

+5,131
- 3^2
+1,085

All
banks

All
coml.
banks

All
member
banks

+24,370

+20,080

+16,335

+21,660
no
+ 3,480

+17,400
830
+ 3,510

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

+ 3,060

+ 3,030

+ 2,785

+

863

+241

+1,120

+

561

+
800
+
290
+
770
+ 1,200

+
800
+
290
+
730
+ 1,210

+
805
+
300
+
462
+ 1,218

+
+
+

326

+
+
+
+

246
75

281
518

+
+
+
+

140

518

+ 93
+ 7
+ 28
+113

.Other assets

+ 1,190

+ 1,070

+

902 + 297

+ 93

+

207

+

305

+28,620

+24,180

+20,022

+4,911

+911

+7,46o

*6 ,740

+ 7,020
+17,800

+ 7,030
+13,690

+ 5,738
+11,443

+1,423
+2,923

+259

+609

+1,893
+4,263

+2,163
+3,648

+24,820

+20,720

+17,181

+4,346

+868

+6,156

+5,811

Deposits of banks
U. S. Govt, deposits
Other demand deposits
" Other time deposits

+
730
+ 1,120
+ 5,320
+17,650

+
730
+ 1,120
+ 5,330
+13,540

+
654
+ 1,160
+ 4,091
+11,276

+ 420
+ 396
+ 753
+2,777

+ 29
+101
+137

+ 114
+ 541
+1,259
+4,242

+
91
+ 122
+1,942
+3,656

Borrowings

+

250 +

250 +

180

-

93

" 19

+

225

+

67

Other liabilities

+

96C +

880

+

742

+

188

+ 18

+

357

+

179

'Total capital accounts

+ 2,59C

+ 1,91S

+

470

+ 44

+

722

+

683

TOTAL ASSETS/LIABILITIES

33
14

185
167
69

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits
r
.
TOTAL DEPOSITS

-1

Seasonally adjusted data
k Loans and investments 1/.,
Loans and discounts 17« •....... .
U. S. fiovt. ohH ffA-hlrms........ .
Other securities____



+ 2,330
+19,600
+17,000
900
+ 3,500

-+601

For numbered footnotes, see first page.

-4CONSOLIDATED 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

Item

In billions of dollars)
Change to Oct. 2B,
1964 from —
Oct.
30,
Oct. 28, Sept. 30,
1964 l/
1964
1963
3lept. 30, Oct. 30,4
1964
. 1<*22__

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

*
21.0

21.0

21.2

—

-

.2

15-5
5.5

15.5
5-6

15.6
5.6

—

-

.1
.1

350.6

351.1

203.9
103.2
67.1

205.0
102.8

323.6
182.2
101.3

- .5..
-1.0
+ .4

66.7

67.9

35.2
•9
43.5

35-4
.7
43.4

32.8
•7
4o.i

371.6

372.1

344.7

- .5

+26.9

330.2

326.3

306.6

+3.9___

+23,&_

33.2
124.9

33.2
122.6

120.8

+2.3
+1.6

1*9
+ 4.1
+17.7 '
- .1

+
+
+

.1

+27-1
+21.7
+ 1.9 ’
.8 ^
+ 2.4
+ .2

.1

+ 3.5 *

.4
.1

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside 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

31.3

171.6

170.0

.4

.4

5.7

10.3

5-0
•7

9.4
.9

• 3.8
.8

1.4
•5
33.9

1.4
,4
33*7

1.2
.4

371.6

312.1

154.0
•5
4.6.

32.0

-4.7

,

.+ 1-1

-4.4
- .2

+ 1.1
- .1 ,

+ .1

+ .2
+ >1 „
+ 1.9
*
■i
+26.2 &1

'..1.:1-

Seasonally adjusted
+ 2.2 .
+ .2
31.1
33.1 •
33.3
Currency outside banks
+ 4.6 *
119.6
124.2
+ .5
123.7
Demand deposits adjusted
Figures may nox* aaa. uo uuocijlo ucuauoc
xuuiiux^.
^
gold account, Treasury currency accountf and Exchange Stabilization Fund.
1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual
. savings banks, were $127*1 billion on October 28, 1964
Digitizedr/
for Mutual
FRASER savings bank figures for September 30, 1964 revised.