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FEDERAL

RESERVE
For immediate release
November 14, 1968

IABILITIES OF ALL BANKS IN THE UNITED STATES, OCTOBER 30, 1968
(Partly estimated.

In millions of dollars)

All
banks

All
coml.
banks

All
member
banks

455,060

386,950

314,164

54,882

13,579

114,861

130,842

307,450
68,750
78,860

253,360
64,760
68,830

210,270
48,704
55,190

40,488
6,607
7,787

9,356
2,222
2,001

79,584
15,135
20,142

80,842
24,740
25,260

72,350

71,360

63,275

16,975

3,403

23,605

19,292

21,620
6,890
15,940
27,900

21,620
6,730
15,210
27,800

21,623
5,195
9,132
27,325

4,301
415
388
11,871

1,373
87
707
1,236

9,179
1,606
2,153
10,667

6,770
3,087
5,884
3,551

15,.110

13,860

12,159

3,673

684

4,464

3,338

542.520

472,170

389,598

75,530

17,666

142,930

153,472

Gross demand deposits
Gross -time deposits

201,490
264,900

201,390
201,270

167,583
161,704

36,006
20,819

6,969
6,149

60,333
61,872

64,275
72,864

TOTAL DEPOSITS

466,390

402,660

329,287

56,825

13,118

122,205

137,139

21,020
6,410
175,730
263,230

21,020
6,410
175,630
199,600

19,842
5,532
143,684
160,229

7,417
1,118
28,207
20,083

1,272
253
5,456
6,137

8,746
2,280
49,854
61,325

2,407
1,881
60,167
72,684

Borrowings

11,660

11,660

11,153

3,438

1,134

5,554

1,027

Other liabilities

22,880

21,450

19,471

9,087

2,002

4,612

3,770

Total capital accounts

41,590

36,400

29,687

6,180

1,412

10,559

11,536

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
TOTAL ASSETS LIABILITIES

Reserve city banks
New York City of
Other
City
Chicago

Country
banks

LIABILITIES & CAPITAL

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.................
NOTE:

1/ Excludes total coml. interbank loans.
379,600
NOTE: Current and month-ago figures reflect
246,900
adjustments to June 29, 1968 benchmarks.
64,200
68,500

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




-

2-

i

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
SEPTEMBER 25, 1968 TO OCTOBER 30, 1968
(Partly estimated.

J.4
Item
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

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

All
All
coml.
banks Xj
banks

All
member
banks

+5,260

+5,110

+4,179

-

+1,980
+2,070
+1,210

+1,680
+2,220
+1,210

+1,353
+1,949
+ 877

+1,720

+1,720

+1,429

- 210
+
70
+ 630
+1,230

- 210
+
70
+ 630
+1,230

- 303
+
61
+ 425
+1,246

+

+

+

300

300

Country
banks
i

23

+245

+2 ,302

+1:,655

241
416
198

+ 59
+194
- 8

+
+
+

923
924
455

+
+
+

612
415
628

'

+
+

306

+218

+

223

+

682

|

+

242
16
22
554

- 54
+ 2
+192
+ 78

+
+

159
22
19
379

+
+
+
+

152
21
274
235

305

+

187

+

+

111

470

+470

+2 ,636

+2 ,337

1

!

+
-

7

+7,280

+7,130

+5,913

+

Gross demand deposits .
Gross time deposits

+3,280
+3,570

+3,280
+3,420

+2,674
+2,883

+

104
670

+239
+119

+1 ,355
+1 ,100

+1 ,184
+ 994

TOTAL DEPOSITS

+6,850

+6,700

+5,557

+

566

+358

+2 ,455

+2 ,178

+ 360
-2,480
+5,310
+3,660

+ 360
-2,480
+5,310
+3,510

+ 321
-2,249
+4,518
+2,967

50
-1 ,156
+1 ,071
+ 701

+ 38
+ 72
+130
+118

+ 244
- 672
+1 ,728
+1 ,155

+

39

-

167

- 84

+

117

+

TOTAL ASSETS/LIABILITIES
LIABILITIES

:
1

CAPITAL

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

Total capital accounts
Seasonally adjusted data
Loans and investments 1/«
Loans and discounts 1/,
U.S. Govt, obligations.,
Other securities........



—

—

-

+

120

+

120

+

123

-

1

+179

-

50

+

310

+

310

+

272

+

72

+ 17

+

114

+4,800
+3,100
+ 200
+1,500

89
493
+i ,589
+ 993
-

-

+

For numbered footnotes, see first page,
r/ Figures for mutual savings banks
were revised.

95
5
69

j

-3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES
OCTOBER 25, 1967 TO OCTOBER 30, 1968
j.4

(Partly estimated.

In millions of dollars)
Reserve c;ity banks
New York City of
Other
Chicago
City

All
banks

All
coml.
banks

All
member
banks

442,680

+38,140

+29,823

+5,164

+1> 279

+11,427

+11,953

+29,020
+ 2,120
+11,540

+25,940
+ 2,390
+ 9,810

+20,594
+ 1,737
+ 7,492

+4,008
+ 164
+ 992

+
+
+

452
570
257

+ 8,069
+
726.
+ 2,632

+ 8,065
+
277
+ 3,611

+10,050

+10,060

+ 8,805

+3,303

+

780

+ 2,294

+ 2,428

+ 1,910
+
500
+ 1,890
+ 5,750

+ 1,910
+
490
+ 1,920
+ 5,740

+ 1,916
+
389
+
741
+ 5,759

- 597
+
33
+
34
+3,833

+

+
+

+
+

334
14
419
41

879
133
91
+ 1,373

+ 1,300
+
237
+
379
+
512

+ 2,200

+ 2,100

+ 1,863

+

+

191

+

+

+54,930

+50,300

+40,491

+8,938

+2.,250

+14,405

+14,898

Gross demand deposits*
Gross time deposits

+16,610
+24,110

+16,600
+19,810

+13,173
+14,530

+4,233
+
40

+
+

13
162

+ 3,876
+ 6,279

+ 5,051
+ 8,049

TOTAL DEPOSITS

+40,720

+36,410

+27,703

+4,273

+

175

+10,155

+13,100

+ 2,420
530
+14,700
+24,130

+ 2,420
530
+14,690
+19,830

+ 2,283
752
+11,609
+14,563

+1,408
- 674
+3,405
+ 134

Item
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
TOTAL ASSETS/LIABILITIES

471

684

■Country
banks

517

LIABILITIES 6c CAPITAL

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

+

40
94
71
158

+

+

+

637
279
3,576
6,221

+

+

+

198
295
4,557
8,050

+
+
+

+

5,520

+

5,520

+

5,345

+1,743

+

718

+

2,517

+

367

Other liabilities*

+

5,750

+

5,650

+

5,331

+2,450

+1 ,179

+

1,061

+

641

Total capital accounts

+ 2,940

+

2,720

+

2,112

+

+

178

+

672

+

790

Borrowings
>

Seasonally adiusted data
T A ori e a m A
niro efmon f- C 1 / .




+37,600
+25,500
+
2,300
+
9,900

472

For numbered fo(Dtnotes, 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)

Oct. 30,
1968

Sept. 25,
1968 r/

Oct. 25,
1967

Change to Oct. 30,
1968
from -Sept. 25, Oct. 25,
1967
1968
1

ASSETS
17.1

17.1

19.8

—

10.4
6.8
497.6

10.4
6.7

13.0
6.8

—

492.2

: 454.7

+5.4

+42.9

296.4
122. 4

295.4
119.1

272.4
115.0

+ .9
+3.2

+24.0
+ 7.4

68.8
53.6
.1

66.7
52.4
.1

66.6
47.1
1.2

+2.1
+1.2
—

♦ ,x
+ 6.4
- 1.2

78.9

77.7

67.3

+1.2

+11.5

514.7

509.3

474.5

+5.4

+40.2

452.8

444.8

417.0

+8.0

+35.9

41.8
147.8
263.2

41.5
143.8
259.6
--

39.0
138.9
239.1
-

+ .3
+4.1
+3.7
—

+ 2.8
+ 9.0
+24.1

U. S. Government deposits

7.6

9.9

7.9

-2.4

-

.3

At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net

6.4
1.2

8.9
1.0

6.9
.9

-2.5
+ .1

+

.5
.2

2.1
.8
51.4

2.1
.8
51.7

1.9
1.5
46.2

-- .3

T$>tal liabilities and capital, net

514.7

509.3

474.5

+5.4

+ .2
- .7
+ 5. 2.
+40.2

41.6
146.3

41.4
145.1

39.1
138.1

+ .2
+1.2

+ 2.5
+ 8.2

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

- 2.7
- 2.6

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted JL/
Time deposits adjusted
Postal savings deposits

%

Seasonally adjusted
Currency outside banks
Demand deposits adjusted
JL

V. *-*

----------------------------------------------------------------------

gold account, Treasury currency account, and Exchange Stabilization Fund.
1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual
savings banks, were $150.7 billion on October 30, 1968.
r/

Figures for mutual savings banks were revised.




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