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H.8

(510)

FOR IMMEDIATE RELEASE
NOVEMBER 16 , 1 9 7 9

AJL51Z£_Q£_A5S£I 2 /

ASSETS
1.

TOTAL LOANS AND INVESTMENTS
A.
S E C U R I T I E S , U . S . TREASURY
B.
OTHER SECURITIES
C.
INTERBANK LOANS
0.
OTHER LOANS
(1)
COMMERCIAL AND INDUSTRIAL
(21
ALL OTHER

2.

TOTAL CASH ASSETS
A.
BALANCES WITH FRB
B.
CASH I N VAULT
C.
BALANCES WITH DEPOSITORY
INSTITUTIONS
D.
CASH ITEMS

3.

OTHER ASSETS

4.

TOTAL A S S E T S / L I A B I L I T I E S

IOIAL

BANKS OF
$1 B I L L I O N

BANKS
UNDER

*1 BILLIQAI

1,117,686
91,376
187,659
54,092
784,560
249,725
534,834

503,355
34,454
67,845
20,234
380,822
148,079
232,742

614,331
56,922
119,814
33,858
403,738
101,646
302,092

160,744
34,112
16,582
4 5 , 4 56

99,490
22,692
6,238
20,342

61,254
11,420
10,344
25,114

64,594

50,218

14,376

57,502

45,313

12,189

1,335,931

648,157

687,774

1,023,647
376,613
207,616
439,419

436,401
183,918
71,781
180,703

587,246
192,695
135,835
258,716

137,435

109,163

28,272

73,927

59,618

14,309

100,921

42,975

57,946

8,410

4,534

3,876

I I ABIL I I I . E S
5.

TOTAL DEPOSITS
A.
DEMAND
B.
SAVINGS
C.
TIME

6.

BORROWINGS

7.

OTHER L I A B I L I T I E S

8.

RESIDUAL (ASSETS LESS
LIABILITIES)

MEMORANDUM:
TREASURY TAX AND LOAN NOTES
INCLUDED I N BORROWINGS ABOVE

L / E X C L U D E S U . S . BRANCHES OF FOREIGN BANKS

2 / B A S E D ON TOTAL ASSETS I N DOMESTIC OFFICES AS OF DEC 3 1 , 1 9 7 7


rOR*IMMEDIATE RELEASE

H.8 (510) MONTHLY SUPPLEMENT

November 16, 1979

ASSETS AND LIABILITIES OF DOMESTICALLY CHARTERED AND FOREIGN RELATED BANKING INSTITUTIONS
(PARTLY ESTIMATED, IN MILLIONS OF DOLLARS)
September 26, 1979 1/
All
commercial
banking
institutions

Domestically
chartered
commercial
banks

Foreign
related
banking
institutions 2/

ASSETS
1.

Total loans and investments
A. Securities, U.S. treasury
B. Other securities
C. Interbank loans
D. Other loans
(1) Commercial and industrial
(2) All other

2.

Total cash assets
A.
Balances with FRB
B. Cash in vault
C. Balances with depository institutions
D. Cash items

3.

Other Assets

4.

Total assets/liabilities

1,197,675
93,461
188,338
69,194
846,675
288,205
558,467

1,112,107
91,858
186,404
53,561
780,283
249,494
530,789

85,568
1,603
1,934
15,633
66,392
38,711
27,678

172,186
32,493

23,657
893

62,378
60,644

148,529
31,600
16,658
40,724
59,547

21,654
1,097

76,829

57,541

19,288

1,446,698

1,318,177

128,521

1,043,672
383,216
214,244
446,213

996,627
358,739
213,420
424,469

47,045
24,447
824
21,744

182,086

147,004

35,082

115,388

71,200

44,188

105,552

103,346

2,206

16,666

8

LIABILITIES
5.

Total deposits
A. Demand
B. Savings
C. Time

6.

Borrowings

7.

Other liabilities

8.

Residual (assets less liabilities)

1/

Date shown is for commercial banks. Foreign related institutions report as of the last day of the month
in March, June, September, and December, and on the last Wednesday of the month in all other months.
2/
Includes agencies and branches of foreign banks, Edge Act Corporations engaged in banking, and New York
state foreign investment companies.