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RESERVE

FEDERAL
r el e a s 5

A *,

K G.T

.

i_

//

November 15 , 1962
For immediate release

RESEKVE-!
ASSETS AMD LIABILITIES OFTnSTI&MS IN THE UNITED STATES, OCTOBER 31, 1962
(Partly estimated. In millions of dollars)

4

Item

All
banks

ALL
coml.
banks

All
member
banks

Reserve city banks
New York City of
Other
Chicago
City

j

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
i Balances with banks
Cash items
>Other assets
TOTAL ASSETS/LIABILITIES
. . LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits
.TOTAL DEPOSITS
A

Deposits of banks
U. S. Govt, deposits
Other demand deposits
"* Other time deposits l/
'‘Borrowings
Other liabilities
Tot si capital accounts

->

Seasonally adjusted data
Loans and investments 2/.
Loans and discounts 2}.,
U.S. Govt. obligations..
Other securities......
NOTE;

Country
banks

272,270 228,460 189,420

31,196

8,552

71,007

78,665

134,400
65,450

20,693
6,684
3,819

4,961
2,175
l,4l6

45,155
17,947
7,905

42,902
25,432
10,331

166,350
34,260

28,610

113,711
52,238
23,471

50,510

49,690

43,686

10,491

2,073

17,046

14,076

16,550
4,330

16,550
4,200

16,546
3,149
7,540

3,727
240
264

6,929
950

4,916
1,919
5,036

16,451

6,260

974
40
129
930

7,056

2,205

71,660

2,111

16,930

12,070
16,870

7,350

6,64o

5,903

1,947

190

2,191

1,575

330,130

284,790

239,009

43,634

10,815

90,244

94,316

155,620 155,560 132,322
95,810 78,006
136,490

27,138

8,628

6,473
2,907

50,079

30,138

48,632
36,333

292,110 251,370 210,328

35,766

9,380.

80,217

84,965

14,916
15,770
5,920
6,570
133,970 112,045
95,060. 77,447

4,555
1,330

1,296

7,306
2,139

1,759

12,700

15,770
6,570
134,030
135,740

371

21,501
8,380

4,826

40,781

2,887

29,991

2,080

44,937

2,780

2,780

2,722

1,333

267

892

36,189
230

7,780

7,080

6,493

2,682

224

1,945

1,642

27,460

23,560

19,466

3,853

944

7,190

7,479

224,400

131,700
64,100
28,600

l/ Includes amounts now reported by insured
mutual savings banks as demand deposits;
formerly, they were reported as time
deposits or other liabilities.
2/ Excludes total coml. Interbank loans.

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




CHANGES IK ASSETS AMD LIABILITIES OF ALL BANKS IN THE UNITED STATES,
SEPTEMBER 26, I962 TO OCTOBER 31, I962
G.7
Item

(Partly estimated. In millions of dollars)
Reserve city banks
All
All
All
coml.
member New York City of
Other
banks ry banks
Chicago
City
banks

ASSETS
Loans and investments
Loans and discounts
U. S. Govt, obligations
Other securities

+3,190

+3,190

+2,779

+

699

+259

+1,075

+1,710
+1,100
+ 380

+1,560
+1,200
+ 430

+1,471
+ 967
+ 341

+ 459
+ 263
23

+ 82
+147
+ 30

+
+
+

766
138
171

Country
banks
+

Jk6

+ 16 k
+ kl9
+ 163
V

Reserves, cash, and
bank balances
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets

+3,030

+3,060

+2,809

+2,003

+ 76

+

149

+

583»

- 250
70
+ 500
+2,850

- 250
70
+ 530
+2,850

- 254
66
+ 353
+2,776

3
14
+ 108
+1,912

- 22
+ 1
+ 32
+ 65

- 3^3
40
+
15
+ 517

+

114 “
13 ■
<
198

+

+

+

64

+ 11

+

-

+

i4o

TOTAL ASSETS/LIABILITIES +6,360

140

142

70

+
+

282
3

46,390

+5,730

+2,766

+346

+1,294

+1,324 ,

+
+

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+4,840
+1,100

+4,81+0
+1,050

+4,458
+ 875

+2,635
+
98

+221
+ 72

+
+

TOTAL DEPOSITS

+5,940

+5,890

+5,333

+2,733

+293

+1,271

+1,036>

+ 730
-1,770
+5,870
+1,110

+ 730
-1,770
+5,870
+1,060

+ 701
-1,591
+5,343
+ 880

+ 357
- 178
+2,447
+ 107

+ 38
- 74
+257
+ 72

+ 230
- 777
+1,522
+ 296

+

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits 1/

971

300

63140!5

76
562^

+1 .
+ 405

Borrowings

+

170

+

170

+

137

-

51

+io4

-

46

+

*
130 ,

Other liabilities

+

4o

+

100

+

75

+

40

- 65

+

27

+

7>

Total capital accounts

+

210

+

230

+

185

+

44

+ 14

+

42

+

8?

Seasonally adjusted data
Loans and discourrfcs t£J* *»*»«*•*•»
U.S. Govt. obligations.*.......




+2,400
+2,000
- 200
+ 600

For numbered footnotes, see first page.
t*/ Rentember 26 . 1962 figures revised.
—

V
^
r

CHANGES IN ASSETS At® LIABILITIES OF ALL BANKS IN THE UNITED STATES,
OCTOBER 25, 1961 TO OCTOBER 31, 1962
(Partly estimated. In millions of dellars)
G.T
--........ — ...— ...
Reserve city banks*
All
T All
All
member New York City of
coml,
Item
Other
banks
Chicago
City
banks
bants

Country
banks

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

+21,120

+18,170

+1^,336

+2,450

+

990

+4,174

+6,722

+16,980
- 1,160
+ 5,300

+13}930
- 1,180
+ 5,4A)

+11,6o4
- 2,052
+ 4,784

+2,671
-1,258
+1,037

+ 602
- 189
+ 577

+4,194
-1,695
+1,675

+4,137
+1,090
+1,495

+ 4,370

+1 If
1,9.■..>»7?f•t' : + 3,965

+2,323

+

232

+

577

+ 833

57

- 426
+
43
+
35
+ 925

+ 214
+ 126
+ 155
+ 338

1450
?.'j0
680
3,910
340

~
453
+
208
+
340
+ 3,870

- 298
+
31
+ 113
+2,477

+
+
+
+

37
130

+

+

+

32

+25,900

+22,880

+18,595

+4,777

+1,254

+4,961

+7,603

Gross demand deposits
Gross time deposits

+ 6,710
+16,370

+ 6,710
+13,610

+ 5,326
+11,139

+2,9^5
+1,3 66

+
+

186
944

+ 1188
+4,069

+2,007
+4,760

TOTAL DEPOSITS

+23,080

+20,320

+16,465

+4,311

+1,130

+4,257

+6,767

+
760
+
620
+ 5,330
+16,370

+
760
+
620
+ 5,330
+13,610

+
710
+
650
+ 3,982
+11,123

+ 474
+ 336
+2,178
+1,323

+
+
+
+

941

+
59
+
96
+
3
+4,099

+ 150
+ 154
+1,703
+4,760

Borrowings

+

950

+

950

+

914

+

473

+

13

+

276

+ 152

Other liabilities

+

170 +

no

+

43

- 168

+

22

+

32

+

157

Total capital accounts

+ 1,700

161

+

89

+

396

+

527

Reserve with PR Banks
Cash in vault
Balance with banks
Cash items
Other assets
TOTAL ASSETS/LIABILITIES

450
+
240
+
670
+ 3,910

+
+
+

+

+

410

294

4

8

+

210

+

48

LIABILITIES & CAPITAL

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits 1/

Seasonally adjusted data

+ 1,500

-

+17,300
+13,100
end discounts 27.
11- Govt* obligations. •••••••«»* - 1,200
+ 5 ,^ 0
Other* securities




+ 1,173

+

27
64

98

For numbered footnotes, see.first page.
iv'
xGa jn©w xopiv sluu.
xt3j.-1.t3uo
increases of 3 banks each on July £8, 1962.
Total assets of the banks added were $526
> v-'i*
miixion ana ip**-1? maxxion,
Aug. 15, 1962, and "other" reserve city banka
were reduced $931 million.

-4G.7

CONSOLIDATED CONDITION STATEMENT FOR BANKS AMD THE MONETARY SYSTEM*
All Commercial* Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
(Partly estimated. In billions of dollars)

Item

Change to Oct. 31>
1962 from —
Oct. 31, Sept. 26, Oct. 25 )
1962 r/ . 1961
Sept. 26, Oct. 25,
1962

1962

1961

-

.1
- .1

- 1.3
- 1.3

+ 3.6
+ 1.2
+ 1.9

+22. 3
+16.2
+ .8

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

21.5

16.0

21.6
16.1

5-6

5.6

300.6

297.1

164.1
102.3
71.7

162.8

30.0

100.3

70.6

.7
34.3

29.1
•7
33-9

322.1

22.9
17.3
5 .6 '
278.3
147.8
101.5

72.8
28.0
•7

+

1.1

-

1.2

-

.1

+ .9

+ 2.0

.4

+

318.7

29.0
301.2

+ 3-5

+ 5-3
+21.0

283.1

278.7

264.4

+ 4.4

+18.8

29.7
117.1
135.7

29.4
114.1
134.6

28.7

+ .3
+ 3.0
+ 1.1

+ 1.1
+ 1.4

.6

115.7
119.4
.7

7.1

8.9

6.3

6.6

8.3
.5

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
.
Demand deposits adjusted ±/
Time deposits adjusted
Postal savings deposits
U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks

.6

.5

1.2

Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net

.4
30.4

1.3
4
29.5

Total liabilities and capital, net

322.1

318.7

29-4
115.7

115.1

Seasonally adjusted
Currency outside banks
Demand deposits a d j u s t e d ________

29-3

+16.4
-

.1

- 1.8

+

.7

6.0

- 1.8

+
+

.6
.1

1.3
.4

-

.1

-

.1

.4

28.8
301.2

+ .9

+ 1.6

+ 3-5

+21.0

28.8
115.0

+ .1
+ .6

+ .6
+ .7

* Figures may not add to totals because of rounding. Treasury funds included are gold
account, Treasury current account, and Exchange Stabilization Fund.
1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual
savings banks, were $119.0 billion on October 31, 1962.
<
xj September 26, 1962 figures revised.