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FEDERAL statistical Sr RESERVE release -S'! November 28, 1962 For immediate release 'LI B K .A R Y OP ALL BANKS IN THE UNITED STATES, NOVEMBER l4, 1962 (Partly estimated. G.7 Jt In millions of dollars) .... ..... Reserve city banks New York City of Other Chicago City All banks All coml. banks All member banks 272,470 228,430 189,174 30,433 8,461 71,114 79,166 167,370 135,190 64,730 114,293 34,200 28,510 23,373 20,570 6,137 3,726 4,958 2,105 1,398 45,421 17,783 7,910 43,344 25,483 10,339 51,490 50,600 44,175 9,055 2,224 18,024 14,872 16,100 16,100 16,100 4,600 13,540 17,250 4,470 12,840 17,190 3,406 270 8,038 190 16,677 5,189 943 42 104 1,135 7,015 1,027 2,150 7,832 4,736 3,360 7,450 6,750 5,979 1,991 190 2,164 1,634 285,780 239,328 41,479 10,875 91,302 95,672 156,080 156,020 132,081 6,476 2,940 50,821 78,079 24,735 8,737 30,155 50,049 36,247 *TOTAL DEPOSITS 292,810 251,860 210,160 33,472 9,416 80,976 86,296 Deposits of banks -• U. S. Govt, deposits Other demand deposits "* Other time deposits 1/ 16,430 5,230 135,170 135,980 16,430 4,328 1,366 7,954 Borrowings Other liabilities A Item 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 *bther assets TOTAL ASSETS/LIABILITIES LIABILITIES & CAPITAL -’Gross demand deposits {Jross time deposits ^Total capital accounts * 70,900 331,410 136,730 95,840 51,508 Country banks 2,021 5,594 2,521 2,920 41,404 30,007 1,884 1,891 46,418 36,103 1,447 271 1,127 212 6,599 2,693 248 2,007 1,651 19,512 3,867 940 7,192 7,513 5,230 135,H0 95,090 15,532 4,642 112,461 77,525 19,760 8,495 3,110 3,H0 3,057 7,940 7,190 27,550 23,620 889 251 4,879 1,611 l/lncludes amounts now reported by insured mutual savings batiks as demand deposits; formerly, they were reported as time deposits or other liabilities. - 2- CHANGES IN ASSETS AMD LIABILITIES OF ALL BANKS IN THE UNITED STASES, 1 OCTOBER 10, 1962 TO NOVEMBER 14, I962 G.T (Partly estimated. All banks In millions of dollars) Reserve city banks All All member New York City of coml. Other Chicago City banks banks +2,120 +1,940 +1,513 - 38 - 2 + 659 + 894 +2,730 - 960 + 300 +2,550 - 890 + 280 +2,108 - 812 + 217 +391 -371 - 58 + 23 - 22 - 3 + 788 - 282 + 153 + 906 - 13T + 125 +3,370 +3,230 +2,909 +894 +305 +1,251 + 459 - 770 + 420 + 760 +2,960 - 770 + 420 + 620 +2,960 - 766 + 297 + 560 +2,818 + 12 - 5 + 21 - 176 + 80 + 126 +1,221 + + + 613 220 + 230 + 210 + 185 +866 +101 + 11 + 2 + 8 +284 + 19 + 26 + 39 TOTAL ASSETS/LIABILITIES +5,720 +5,380 +4,607 +957 +322 +1,936 +1,392 Item 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 Country banks 405 447 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +3,550 + 900 +3,550 + 560 +2,931 + 488 +246 +122 +185 + 82 +1,409 + 142 +1,091 + 142 TOTAL DEPOSITS +4,4-50 +4,110 +3,419 +368 +267 +1,551 +1,233 + 470 -2,350 +5,400 + 930 + 470 -2,350 +5,400 + 590 + 454 - 2,167 +4,613 + 519 + 19 -6o4 + 52 -151 +282 + 84 + 337 - 835 +1,887 + 162 + 46 - 5T7 +1,622 + 142 Borrowings + 670 + 670 + 692 +508 + 78 + 188 - Other liabilities + 320 + 360 + 317 + 48 - 26 + 161 + 134 Total capital accounts + 280 + 240 + 179 + 33 + 3 + 36 + 107 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits l/ For footnote, see first page. +822 +131 82 i -3“ CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, NOVEMBER 15, I96I TO NOVEMBER 14, I962 ■G.J (Partly estimated. In millions of dollars) Reserve city banks* New York City of Other Chicago City All banks All coal. banks All member banks Loans and investments +19,750 +16,650 +12,741 + • Loans and discounts .* U. S. Govt, obligations Other securities +16,150 - 1,750 + 5,350 +12,970 - 1,710 + 5,390 +10,570 - 2,600 + 4,771 j, Item Country banks A ASSETS Reserves, cash, and bank balances +1,088 +3,927 +6,938 +1,708 -1,978 +1,058 + + 587 36 537 +3,962 -1,743 +1,708 +4,313 +1,157 +1,468 788 70 - 120 244 - 60 + 71 - 220 - 940 58O - 937 470 33 439 + 290 + 290 + 190 + 8 + 69 + 23 - 160 - + 940 570 + 33 + + + + 12 + 128 6 - 28 86 + 119 - 473 + 261 + 32 + 145 t)ther assets + 570 + 510 + 408 + 20 + 39 + 194 + * TOTAL ASSETS/LIABILITIES +20,250 +17,040 +12,905 + 748 + 1,060 +16,930 + 1,060 +14,000 235 +11,518 - 834 +1,526 + + 979 tOTAL DEPOSITS * Deposits of banks U. S. Govt, deposits - Other demand deposits Other time deposits 1/ +17,990 +15,060 +11,283 + 692 + 987 + 80 - 1,060 + 2,030 +16,940 + 80 - 1,060 + 2,030 +14,010 + 30 997 + 726 +11,524 97 - 243 - 462 +1,494 + + 124 976 .Borrowings + 26 + - 119 + > Reserve with FR Banks Cash in vault Balance with banks Cash items - 4o + +1,198 35 155 +3,901 +7,058 8 -1,050 +4,231 +l,64l +4,782 +3,181 +6,423 12 - 716 - 363 +4,272 + 166 + k& +1,427 +4,782 93 + 424 + 58 + 38 - 54 + 8l + 80 + 350 + 496 LIABILITIES & CAPITAL Gross demand deposits Jlross time deposits Other liabilities * Total capital accounts 610 + 610 + 601 10 54 +. 1,570 + 1,380 + 1,075 + 80 + 149 2! 86 For numbered footnote, see first page. * Changes for New York and Chicago reflect increases of 3 hanks each on July 28, 1962. Total assets of the hanks added were $526 million and $405 million, respectively, on Aug. 15, 1962, and "other" reserve city hanks were reduced $931 million. 4G.7 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. In billions of dollars) Nov. l4, Oct. 10, 1962 Item 1962 Nov. 15, 1961 Change to Nov. 14, 1962 from — Oct. 10, Nov. 15, 1961 1961 ASSETS Bank credit Loans, net U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities - .1 - 1.3 16.0 - 1.3 5-6 17.3 5.6 - .1 5.6 300.3 299.2 280.1 +1.1 +20.2 164.4 101.7 162.3 103.1 149.4 +2.1 -1.4 +15.0 - .1 70.9 72.7 -1.0 - .4 .7 34.2 71.9, 30.5 .7 33.9 28.9 + .3 - 1.8 + 1.7 - .1 + 5.4 321.8 320.9 302.9 +1.0 +18.9 284.5 281.1 265.1 +3.4 +19.4 30.0 30.0 117.9 115.5 135.0 29.2 116.2 119.0 +2.4 + .9 .6 .7 + .8 + 1.7 +16.9 - .1 5-T 8.1 6.9 -2.4 - 1.2 5.2 •5 7-6 .5 6.3 -2.4 - 1.1 - .2 1.3 .4 29.9 1.2 + .1 30.0 1.3 .4 29.2 - .1 + 321.8 320.9 302.9 +1.0 +18.9 30.1 Total assets, net 22.9 21.6 16.1 21.5 Monetary reserve Gold stock Treasury Currency 101.8 28.5 .7 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits 136.0 .6 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 •4 .6 ,7._ * TMmrres mav not add to totals because of rounding. Treasury funds included are trnifl nonourrh 'Treasury currency account, and Exchange Stabilization Fund. including demand ^ savings banks, were $119.8 billion on November 14, 1962. of foreign banfca and of . M L r