The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
w ,•*ofcow; FEDERAL ! R E S E R V E r e ie o s e November 25, 1964 For immediate release LIABILITIES OF ALL BANKS IN THE UNITED STATES, NOVEMBER 11, 1964 ?AL -RES (Partly estimated. Item \* ASSETS Loans and investments All banks All coml. banks In millions of dollars) Reserve city banks All member New York City of Other Chicago banks City 319,350 267,450 220.670 36.401 209,130 168,730 66,760 60,810 43,460 37,910 142,060 47,111 31,499 53,160 52,310 16,620 16,620 4,860 14,540 17,140 4,730 9,590 Country banks 9,936 82,663- 91,668 25,225 6,514 5,483 5,695 1,808 56,326 15,525 1,614 10,812 53,995 24,295 13,378 45,428 9,330 2,115 18,302 15,681 3,552 13,870 17,090 16,623 3,666 8,543 16,596 253 992 55 142 5,227 926 6,977 1,124 2,451 7,750 2,189 5,697 2,693 8,710 7,636 2,496 298 2,611 2,231 382,100 328,470 273,734 48,229 12,349 103,576 109,580 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 163,580 163,530 137,104 25,067 172,810 124,550 102,077 14,380 6,399 4,444 51,701 38,842 53,937 44,411 TOTAL DEPOSITS 336,390 288,080 239,181 39,447 10,843 90,543 98,348 17,280 4,250 17,280 16,228 4,611 1,403 4,250 3,860 879 142,960 142,910 117,749 19,981 236 8,051 1,517 2,163 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 I Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings ► r Other liabilities , Total capital accounts 298 5,102 171,900 123,640 101,344 13,976 4,785 4,419 42,299 38,676 1,228 50,684 44,273 4,200 4,200 3,978 1,390 257 1,893 438 9,740 8,800 7,986 2,937 204 2,744 2,101 31,770 27,390 22,589 4,455 1,045 8,396 8,693 ►- -> NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. CHANGES IN ASSETS AM) LIABILITIES OF ALL BANKS IN THE UNITED STATES, OCTOBER 1*, 1964 TO NOVEMBER 11, 1964 ■I.* Item (partly estimated.. In millions of dollars) 'AI T ~ All Rfese:rve city banks All member Nev York City of COJOl. Other banks banks City Chicago banks 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 ASSKDS/LIAMITIES Country 4 banks * 628 +24o + 776 +895 , +124 359 36 46o 28 l4o + + +513 +247 +135 " , - 22 783 2 9 -3,310 -3,125 421 -447 -1,819 -438 + 130 - 120 - 520 -2,820 + 130 - 120 - 500 -2,820 + 131 90 - 370 -2,796 619 12 38 + 25 + -1,066 - 28 -444 - 524 29 - 123 -1,143 + 11 , - 49 -257 * -143 _ + + + 76 82 + 27 A... 1L_ +116 -1,766 -1,131 -180 -1,028 +573 •■...— ----- H +1,960 +1,730 +1,283 +1,550 + 440 10 +1,210 + 490 + 30 + + - -3,330 140 -1,210 140 -l,44o 960 - + +138 V * ^ * LIABILITIES & CAPITAL Gross demand deposits Gross time deposits -2,910 + 960 -2,910 + 710 -3,058 + 608 -1,524 + 307 -345 +167 62 +228 +196 TOTAL DEPOSITS -1,950 -2,200 -2,450 -1,217 -178 -1,479 +424 - 550 - 580 -1,780 + 960 - 550 - 580 -1,780 + 710 - 586 - 521 -.1,951 + 608 528 231 767 + 309 - 47 - 14 -284 +167 84 85 -1,246 64 + 73 * -191 „ +346 +196 - Borrowings + 510 + 510 + 481 + 161 - 21 + 283 + 58 Other liabilities + 10 + 4o + 32 - 94 + 5 + 105 + 16 " Total capital, accounts + 220 + 210 i- 171 + 19 f 14 + 63 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits -1,417 + 75 ^ r ^ ' A" - ►' CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, * ► *► NOVEMBER 13, 19&3 TO NOVEMBER 11, 1964 4 (Partly estimated. »> Item In millions of dollars) All member banks All coml. banks All banks Reserve city banks New York City of Other Chicago City Country banks ASSETS Loans and investments ^A Loans and discounts U. S. Govt, obligations * Other securities > Reserves, cash, and * r bank balances Reserve with FR Banks * Cash in vault * Balance with banks Cash items *► * +23,680 +19,390 +15,791 +3,352 +594 +6,080 +5.il65_ +21,280 +17,050 +14,221 - 1,360 - 1,410 - 1,526 + 3,760 + 3,750 + 3,096 +2,746 - 205 + 811 +661 - 15 - 52 +5,765 - 888 +1,203 +5,049 - 4l8 +1,13^ + 1,100 + 1,060 .-.jBi. + + + - 660 + 80 + 490 + 130 + 894 + 739 -113 660 + 80 + 659 144 44o + 120 - 410 15 34 280 + 78 + 6 + 18 148 + + + + 931 + 239 25 + 451 101 l4o 14 196 -215 + + - 227 + + + + 187 +104 + 206 +_JQL 22 47 ^Other assets + 1,280 + 1,160 + * TOTAL ASSETS/LIABILITIES +26,060 +21,610 +17,616 +4,278 +585 +6,103 +6,650 Qross demand deposits Gross time deposits ► + 4,480 + 4,490 + 3,351 +18,050 +13,940 +11,644 + 886 +3, 022 - 91 +677 + 637 +4,l4o +1,919 +3,805 ■TOTAL DEPOSITS + 22,530 +18,430 +14,995 +3,908 +586 +4x711- +5».7Sk_ + 720 + 64o + 850 + 917 + 3,060 + 1,954 +13,800 +11,484 + 88 + 353 + 584 +2,883 + 37 + 86 -207 + +670 + 340 + 479 - 160 +4,118 - 49 + 208 + 105 - 6 + 367 + 103 + 54 + 751 + 718 r LIABILITIES & CAPITAL J Deposits of banks „ , U. S. Govt, deposits Other demand deposits * Other time deposits Borrowings pther liabilities / ^Total capital accounts + 720 + 850 + 3,050 +17,910 + 260 + 260 + 173 - 91 + 610 + 540 469 + 5 + 1,979 + 456 + 2,660 + 2,380 + 175 1 +1,737 +3,813 _4_ CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the postal Savings System, and Treasury Currency Funds j lj. (partly estimated. In billions of dollars) Change to Nov. 11,( 1964 from — Nov. 13/ Oct. 14, Nov. 11, Oct. 14, Nov. 13, . 1964___ . 196.1-. 1064... ..19 & -.1963 * , Item ASSETS jyiUIlt?UctXy Icoci vc. Gold stock . Treasury Currency Bank credit Loans, net U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other ’ A 4 U Q y » G / a n i l f l f,i <2 UuIlCX DCUlU 1U1CD Total assets, net 21.0 21.0 21.2 - -2 „ 15-5 5*5 15-5 5-5 15.6 5.6 - -1, .1 3S2.5 205.5 103-5 66.8 35-9 -9 43.5 349.7 204.1 102.2 373-4 370.7 332.2 34.1 r +2.7 +1.5 +1.3 + .4 + -7 + .1 +27.3, , +21.4 + 2.1" - 1.4" + 3.2 J + .2 + 3.8" 346.4 + 2.7 +27.0 " i- 329.6 309.0 +2.6 +23.3 32.0 171.9 .4 33-5 124.8 170.9 .4 122.6 154.0 •5 + .6 +1.0 +1.0 + 2.14 + 3.2 +17.9" - .1 , 4.9 5.9 4.4 -1.0 + .5 4.3 .6 4.8 1.0 3-4 1.0 - .6 - .4 + - -9 .4- 1-3 -5 3^-5 1.3 t5 33.4 1.1 .4 31.4 +1.1 + .2 ^ + .1 + 3-1 373-4 370.7 346.4 . +2.7 66.3 35-1 •7 43-5 325.2 _ 184.1 101.4 68.1 32.7 .6 ; 39.7 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Poatal savings deposite 125.8 U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Total liabilities and capital, net +27-0. ‘'Ruae of rounding. Treasury funds included are -"'rf Exchange Stabilization Fund. ■ ' -> io-u banks and of mutual