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B O M p OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM G.? i-'!•,/) - iUH-Axu- r^lvrxt--: November 13, 1958 ' ;A£ttlfI5 A^riMlilLITIES OF ALL B A M S IN THE UNITED STATES, OCTOBER 29, 1958 (Partly estimated* ■ 1 Item ✓ All banks* In millions of dollars) Member banks All Central reserve Reserve commer city city banks Total cial Chicago banks New York banks* Country banksl/ ASSETS 217,250 181,140 151,902 25,444 6,6l4 59,475 60,369 117,850 73,180 26,220 94,810 65,790 20,540 81,293 54,041 16,568 15,604 7,418 2,422 3,426 2,547 641 32,985 20,511 5,979 29,278 23,565 7,526 43,110 42,280 37,097 6,850 1,887 15,425 12,935 18,270 3,250 11,540 10,050 18,270 3,140 10,850 10,020 18,275 2,375 6,672 9,775 3,871 157 97 2,725 986 30 173 698 7,690 750 2,075 4,910 5,728 1,438 4,327 1,442 4,830 4,330 3,844 1,171 82 1,465 1,126 265,190 227,750 192,843 33,465 8,583 76,365 74,430 Gross demand deposits Gross time deposits 138,180 98,950 138,150 65,500 119,181 23,257 5,130 53,059 6,261 1*432 _ 47,094 21,364 42,569 25,133 TOTAL DEPOSITS 237,130 203,650 172,240 28,387 7,693 68,458 67,702 16,340 3,700 120,770 96,320 16,340 3,700 120,740 62,870 15,554 3,290 102,712 50,684 5,815 606 18,518 3,448 1,279 197 4,826 1,391 . 7,031 1,189 39,363 20,875 1,429 1,298 40,005 24,970 Borrowings i,4oo 1,400 1,311 319 42 703 247 Other liabilities 4,950 4,230 3,857 1,500 128 1,488 741 Total capital accounts 21,710 18,470 15,435 3,259 720_ ,U . 16 h l h 2- Total liabilities and capital 265,190 227,750 192,84^ 33,465 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 & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits r ■ O * Figures have been rounded to nearest 10 million. 1/ Includes an Alaska and a Virgin Islands member bank. 8,583 76,365 74,430 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* G.7 (Preliminary) - Not for release All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds l/ (Partly estimated. Item > In billions of dollars) Oct. ?9, 1958 Sept. 2U, 1958 Oct. 30, 1957 Change to Oct. 29> 1958 from — Sept. 2U, Oct. 30, 1958 1957 ASSETS - .2 - .2 - 1.9 - 2.0 + .1 +2.5__ _ +1.0 +1.1* + .9 + .5 + .1 +17.7 + 3.9 +10.1 + 8.2 + 2.1 - .2 + 3.7 266,5 „ 25lt.O__ .+2,2 +15.8 236.2 233.3 223.0 + 2.9 +13.2 28.0 110.7 96.3 1.2 27.9 108.1 96.1 1.2 27.8 107.2 86.7 + .1 + 2.6 + .2 + .2 + 3.6 + 9.6 u.2 5.0 3.7 .5 U.5 .5 Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 3.8 .7 23.9 3.8 .7 23.7 Total liabilities and capital, net 268.8 266.5 27.8 22.7 5.1 25.9 20.7 5.2 26.1 20.9 5.2 2U2.9 116.9 99.8 73.2 25.il 1.2 26.2 2U0.U 115.9 98.U 72.3 2U.9 1.2 26.1 22$.2_._. 268.8 Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits 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 113.0 89.7 65.0 23.2 1.5 22.5 LIABILITIES AND CAPITAL U. S. Government deposits At commercial and savings banks At Federal Reserve Banks - .2 3.9 - .7._ _ + .3 3.5 .5 - .8 + .1 + .2 + .1 3.3 .8 21.9 . + .2 + .4 - .1 + 2.0 l.U 253.0 +2.3 +15.8 Seasonally adjusted + .2 + .1 27.8 27.7 27.9 Currency outside banks +1.0 + 3.k— 106.5 108.9 109.9 Demand deposits adjusted Figures may not add to totals because of rounding. seasonally adjusted data, see July 1957 Bulletin, pp. 828-29. 1/ Treasury funds included are gold account, Treasury currency account, and Exchange “ Stabilization Fund.