The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
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.