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RESERVE FEDERAL release For immediate release November 2 7, 1968 ASSETS AND LIABILITIES^Ljffit!lS3ttnS IN THE UNITED STATES, NOVEMBER 13, 1968 J.4 (Partly estimated. In millions of dollars) Reserve citv banks New Y-?rk City of Other Chicago City All banks All coml. banks All member banks 458,360 390,070 316,587 54,827 13,854 115,752 132,154 311,^40 67,970 78,950 257,200 63,970 68,900 213,461. 47,903 55,223 41,010 6,327 7,490 9,738 2,079 2,037 80,639 14,744 20,369 82,074 24,753 25,327 77,210 76.240 67,690 18,237 3.352 25.699 20.402 21,380 6,750 16,980 32,100 21,380 6, 590 16,270 32,000 21,379 5,098 9,944 31,269 4,002 432 445 13,358 1,118 89 571 1,574 9,721 1,581 2,291 12,106 6,538 2,996 6,637 4,231 15.430 14.180 12.415 3.808 725 4.4.31 3.451 551.000 480.490 396.692 76.872 17.931 Gross demand deposits Gross -time deposits 208,300 264,950 208,200 201,230 173,006 161,700 36,450 20,742 7,358 6,180 62,075 61,976 67,123 72,802 TOTAL DEPOSITS 473,250 409,430 334,706 57,192 13,538 124,051 139,925 22,830 4,840 182,260 263,320 22,830 4,840 182,160 199,600 21,551 4,084 148,798 160,273 8,118 658 28,408 20,008 1,448 171 5,750 6,169 9,355 1,648 51,574 61,474 2,630 1,607 63,066 72,622 Borrowings 13,150 13,150 12,690 4,045 1 ,063 6,665 917 Other liabilities 22,930 9,463 6.172 4,582 41 .670 19,571 29.725 1,913 Total capital accounts 21,460 36,450 .-LALZ— 10.584 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 Country banks 145.882. 156.007 LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits NOTE: ... Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. 3,613 11.552, CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, | OCTOBER 9, 1968 TO NOVEMBER 13, 1968 (Partly estimated. Item ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances Reserve with FR Banks Gash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES i In millions of dollars) All banks All coml. banks All member banks + 4,070 + ^,660 +3,846 + 707 +159 +1 ,539 + 2,650 + 620 + 800 + 2,640 + 1,210 810 + +2,285 + 961 + 600 + + - 834 244 371 +198 - 64 + 25 + + + + 6,290 + 6,290 +5.711 + 999 +353 +2 r970 tl ,^89 + 1,130 + 350 + 940 4 3,870 + 1,130 + 340 + 950 + 3,870 +1,133 + 267 + 673 +3,638 157 + 34 + 10 +1 ,112 + 55 + 7 - 39 +330 +1 ,148 + 75 + 224 +1 ,523 + + + + + + + + 37 + 380 360 363 Reserve city banks New York City of Other City Chicago .+ 306 565 409 565 Country banks -------1 +1 ,441 + + ■ + 36 688 372 381 87 151 478 673 16 , +io„74Q -±11*2X0„ _±2.»2.2Q +z ,012 ±542.. +4.545 +2,,814 Gross demand deposits Gross time deposits + 7,680 + 7,680 +6,545 + ... Z1Q_ + J^54Q_ +1.398 +1 ,047 + 269 +579 +130 + 2 ;,600 + 733 +2,,319 + 266 TOTAL DEPOSITS + 8.390 -+-9.2.20 -+7.943 +1 .316 +709 +3,.333 +2, 585 + 560 940 + 7,940 + 830 + 560 940 + 7,940 + 1,660 + 550 - 899 +6,771 +1,521 + + + 240 176 948 304 +154 -108 +533 +130 + 153 - 515 +2 j,874 + 821 + 3 100 +2, 416 + 266 Borrowings + 1,230 + 1,230 +1,113 + 103 -133 + 910 + 233 Other liabilities ■ > Total capital accounts + 830 + + + 553 - 31 + 232 - 49 + 290 _± 120. .±.-L52 .. t 40 + + 70 + ..45. LIABILITIES & CAPITAL Deposits of banks U* S. Govt, deposits Other demand deposits Other time deposits 670 705 4 -3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES NOVEMBER 15, 1967 TO NOVEMBER 13, 1968 J.4 (Partly estimated. Item : Loans and investments . Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and t bank balances All coml, banks All member banks +42,610 +38,090 +29,817 +4,787 +30,830 + 460 +11,320 +27,800 + 670 + 9,620 +22,167 274 + 7,376 +3, 931 77 + 933 8,447 Reserve 'city banks New York City of Other City Chicago i n1 t'T*\7 " P v_<nU iUI L iy banks + 9,470 + 9,460 + + +1 ,500 +11,669 +11,861 +8,600 173 + 3,434 + + 836 408 256 + 8,800 116 2,753 +3, 892 + 467 + 2,299 + + + + 1,789 + 2,170 + 580 + 1,600 + 5,120 + 2,170 + 570 + 1,610 + 5,110 + 2,169 + 462 + 828 + 4,988 76 + 43 + 57 +3, 868 + + + 25 4 379 109 + 1,580 + 167 + 8 + 544 + + + + 690 248 384 467 + 2,160 + 2,060 + 1,869 + + 260 + + 427 +54,240 +49,610 +40,133 +9, 193 +2 ,227 +14,636 +14,077 Gross demand deposits Gross time deposits +15,760 +23,750 +15,750 +19,520 +12,456 +14,306 +4, 210 260 + + 235 178 + 3,233 + 6,570 + 4,778 + 7,818 TOTAL DEPOSITS +39,510 +35,270 +26,762 +3, 950 + 413 + 9,803 +12,596 + 2,960 730 +13,610 +23,670 + 2,960 730 +13,600 +19,440 + 2,798 761 +10,482 +14,243 +1, 903 335 +2, 597 215 + + 589 210 + 2,963 + 6,461 + + + 61 67 241 178 6,292 +2, 258 + 477 + Reserve with FR Banks Gash in vault Balances with banks Cash items Other assets : All banks ASSETS m : In millions of dollars) TOTAL ASSETS/LIABILITIES 514 668 LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits - - Borrowings + 6,430 + (|ther liabilities* + 5,340 + 5,200 + 4,995 +2, 559 +1 ,148 + Total capital accounts + 2,960 + 2,710 + 2,084 + + + 6,430 + 426 189 3,289 245 149 +■ 4, 681 + 7,819 + 268 867 + 421 677 + 792 -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,4 (Partly estimated. Item In billions of dollars) Nav. 13, 1968 Oct. 9, 1968 Nov. 15, 1967 Change to Nov. 13 1968 from -Oct. 9, Nov. 15 1967 1968 ASSETS Monetary reserve Gal cl stock Treasury Currency Bank credit Lparis% net U.S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other i \ Other securities Total assets, net LIABILITIES AND CAPITAL i Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal saving', deposits U. S. Government deposits At commercial and savings banks ? At Federal; Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net Tptal liabilities and capital, net - 2.5 17.2 17.1 19.7 10.4 6.8 10.4 6.8 12.9 6.8 -- - 2.5 -- 499.2 495.4 458.3 +3.8 +40.9 298.5 121.7 297.2 120.0 274.1 116.5 +1.3 +1,7. +24.4 + 5.2 68.0 53.7 .1 67.4 52.6 .1 67.5 47.8 1.2 + .6 +1 . 1 -- + .5 + 5.9 - 1.2 79.0 IB.2 67.6 + .8 +11.3 516.4 512.5 478.0 +3.9 +38.4 456.3 450.9 421.2 +5.3 +35.1 42.8 150.2 263.3 — 42.4 146.1 262.5 — 39.8 141.7 239.7 -- + .4 +4.1 + .8 5.6 7.1 6.8 -1A + 2.9 + 8.5 +23.7 — - 1.1 4.8 .8 2.1 .8 51.6 5.8 1.3 2.3 .8 51.4 5.6 1.2 1.9 1.5 46.7 - .9 - .5 - .1 -+ .2 - .7 - .4 + .2 - .7 + 4.9 516..A.. 512.-5_ . — 47a„Q_.. . +3.2 . +3a^ Figures may not add to totals because of rounding. Treasury funds included are 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 $153.0 billion on November 13, 1968. *