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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. ,