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■ :- > \ -y BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM / *' ' (Preliminary) (For Immediate Release) November 13, 1959 i I ■4 • ' Assets and liabilities of all banks in the united states, october 28, 1959 (Partly estimated. \ In millions of dollars) All banks ^ j All Member banks commer Central reserve Reserve cial , Total, city banks city banks* — > 1 / New York | Chicago banks 225,920 188,290 156,299 25,061 6,701 60,879 63,658 133,070 66,580 26,270 108,160 59,520 20,610 92,327 47,534 16,438 17,404 5,395 2,262 3,944 2,092 665 37,762 17,405 5,712 33,217 22,642 7,799 ,44,170 43,510 38,485 7,800 1,882 16,045 12,758 18,270 3,470 10,710 11,720 18,270 3,360 10,190 11,690 18,266 2,517 6,281 11,421 3,966 157 120 3,557 1,016 32 109 725 7,683 788 2,026 5,548 5,601 1,540 4,026 1,591 5,240 4,730 4,155 1,163 84 1,579 1,329 275,330 236,530 198,939 34,024 8,667 Gross demand deposits Gross time deposits 142,800 142,770 102,160 .67,540 122,281 54,249 23,892 4,653 6,108 1,453 48,236 21,833 44,045 26,310 TOTAL DEPOSITS 244,960 210,310 176,530 28,545 7,561 70,069 70,355 . 14,920 5,440 124,420 100,180 14,920 5,440 124,390 65,560 14,221 4,862 105,015 52,432 5,053 1,138 18,930 3,424 1,152 240 4,750 1,419 6,658 1,812 40,155 21,444 1,358 1,672 41 ,180 26,145 Borrowings 2,46o 2,460 2,383 770 235 884 494 Other liabilities 5,040 4,28o’ 3,830 1,369 120 1,499 842 16,196 3,340 7.51. 6,051 6.0.*5.4__ 236,530. 198,939 34,024 * Item I* L* Country banks ASSETS Loans and investments ;♦ h • Loans and discounts U. S. Govt, obligations Other securities f. Reserves, cash, and *■ M w bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets * * Total assets _J§i523L 77,745 LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits n * V % Total capital accounts 22,870 Total liabilities and capital 275,330 19,480 8 ,667 . 78,503 77,745 r * Figures have been rounded to nearest 10 million. k ► 1/ Beginning with August 1959, includes ten nonmember commercial banks in Hawaii with total deposits of $365 million (a national member bank in Hawaii with total deposits of $220 million has been included in country member banks since April 1959)• Six national banks in Alaska with total deposits of $133 million have been included with country member banks since April 1959 (these and eleven others with total deposits of $39 million had been in nonmember commercial banks since January 1959)• - 2 CHANGES IN ASSETS AND LIABILITIES OF ALL B A M S IN THE UNITED STATES, SEPTEMBER 30, 1959 TO OCTOBER 28, 1959 G.7 (Partly estimated. All commer cial banks* All banks* Item In millions of dollars) Total Member banks Central reserve Reserve city banks city New York I Chicago banks Country banks ASSETS 390 + 500 + 361 - 133 - 26 + 232 + 288 + + - 46o 110 l8o + + - 330 290 120 + + - 264 227 130 + 160 - 175 - 118 + + 67 40 1 + 29 + 236 - 33 + 1^2 + 126 20 460 - 400 - 349 + 110 - 110 - + + - 640 120 440 780 + + - 640 120 380 780 + 4 - 633 104 318 768 + 369 + 19 7 - 271 - 58 + 3 - 12 - 43 + + - 244 46 194 349 + + - 100 - 70 57 - - 2 + 13 45 - 77 - 138 - 8 + 178 914 269 - 426 - 170 - 121 + 1 - 337 - 90 - 30 10 - 596 - 120 - 427 + - - 78 - 115 + 72 + 1 - 37 582 + 24l - -49 39 144 + 75 10 + 329 ♦ 188 Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash iteins Other assets Total assets - . 170 uo 0 1 Loans and discounts U. S. Govt, obligations Other securities + on LPv CVJ 1 Loans and investments - 900 270 - 54 96 78 36 105✓ - 105 - 14 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits - TOTAL DEPOSITS • 1,360 - 1,170 - 1,183 560 - 1,000 + 560 360 560 - 1,000 + 560 170 + - Borrowings + 1,050 + 1,050 + 1,025 + 526 - 18 Other liabilities + 110 + 110 + 86 - 5 + 2 + 83 + 6 Total capital accounts + 30 + 4o + 27 - 2 - 2 + 7 + 24 Total liabilities and capital — 170 + 30 - 45 - 77 - 138 - 8 + 178 Deposits of banks U. S.. Govt, deposits Other demand deposits Other time deposits * 900 46o - 594 937 523 175 Figures have been rounded to nearest 10 million. 518 96 135 117 40 + CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, y* G.7 OCTOBER 29, 1958 TO OCTOBER 28, 1959 (Partly estimated. Item *4 In millions of dollars) All banks* All commer cial banks* T Total Member banks Central reserve Reserve city city banks New York 1 Chicago banks Country banks ASSETS V Loans and investments , * Loans and discounts U. S. Govt, obligations Other securities + 8,230 + 6,620 + 4,197 - 383 + 87 + 1,408 + 3,085 +15,110 - 6,920 + 40 + 13,190 - 6,650 80 + +10,952 + 1,800 - 6,632 - 2,023 160 - 123 + 518 - 455 + 24 + 4,778 - 3,103 *■ 267 + 3,856 - 1,051 280 + Reserves, cash, and fc * bank balances + 1,150 + 1,350 + 1,465 4* 950 - 5 + 597 '— 77 + 90 + 190 - 790 + 1,660 + + + 87 + + 120 390 + + 1,648 * 95 -23 832 + 30 + 2 - 64 + 27 _ + + 28 38 + 58 645 + 10 80 291 144 + + 332 - 8 + + 115 + 223 Reserve with ER Banks Cash in vault Balances with banks Cash items r * Other assets 46o 90 190 600 + 1,670 430 + 2 + 9,840 + 8,400 + 5,994 559 + 84 + 2,120 4* 3,231 Gross demand deposits Gross time deposits + 4,300 + 3,210 + 4,300 + 2,020 + 3,044 + + 1,185 - 635 477 - 153 + 21 + 1,135 46o + 4- 1,427 + 1.181 TOTAL DEPOSITS + 7,510 + 6,320 + 4,229 + 158 - 132 + 2.608 + + + 1,420 1,710 3,360 3,860 1,420 + 1,710 + 3,360 + 2,670 + + + _ + + - 762 532 412 24 + + + ..1*525373 + 623 4* 785 4- • 560 75 374 + + 1,130 + 1,179 + 1,060 + 1,060 * 1,066 + 451 +193 + 179 + 243 + + 10 60 - 131 - + 9 4- 70 759 + 81 + Total assets LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other' demand deposits Other time deposits Borrowings Other liabilities 1i Total capital accounts * K* Total liabilities and capital 110 1,337 1,572 2,251 1,743 + 1,160 + 1,010 + + 9,840 + 8,400 + 5,994 559 I * Figures have been rounded to nearest 10 million, l/ See footnote on first page. 127 43 76 28 8 31.. 4- ...222- 4- .31& + 84 + 2,120 4- 3,231 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* G.7 ' All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds 1/ (Partly estimated. Item In billions of dollars) Oct* 28, 1959 * Sept* 30, 1959 21**8 2lt*8 19.5 5.3 Oct* 29, 1958 Change to Oct. 26 1959 from — Sept* 30, Oct* 29, 1958 IK S ASSETS 19*5 5.3 25.9 20.7 5.2 — — — - 1*1 - 1.2 ♦ .1 251.9 131.6 91*.0 66.6 26.lt 1.1 26.3 252.1 131*6 91**1 66*5 26*6 1.1 26*5 21*3.3 117.0 100*1 73.5 25 .1* 1.2 26*2 • .3 — - .1 + .1 - .2 — - *2 8*5 + l b 06 6*1 6*9 + 1*0 .2 276.6 276.9 269.2 - *3 + 7.4 Total deposits adjusted and currency outside banks 2U2.2 2lil.li 236.1* + *8 + 5.8 Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits 28.3 112.7 100.2 1.0 28*5 111 .I* 100.5 1.0 28*0 111.0 96*3 1.2 - *1 +1*3 - .1* •¥ .1* •¥ 1.7 + 3.9 o2 * 6*0 7*1 1**3 -1.2 + 1 .7 5.1* .5 6.1* •7 3.7 •5 -1*0 - .2 + 1 .7 3.1 •h 25.0 3.3 •U 21**8 3.8 •7 2i*»i - .2 —• + .2 - 276*6 276.9 269.2 - *3 + 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 — LIABILITIES AND CAPITAL U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous accounts, net Total liabilities and capital, net tmmt mmm + .6 •3 •?. 7 .1* Seasonally adjusted •i + m 0I 28*2 .3 27.9 28*3 Currency outside banks + 110.2 1.7 112*2 - .3 111.9 Demand deposits adjusted * Figures may not add to totals because of rounding. For description and back figures of seasonally adjusted data, see July 1957 Bulletin, pp. 828-29* Also see footnote on first page* 1/ Treasury funds included are gold account, Treasury currency account, and Exchange “ Stabilization Fund•