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FEDERAL y s to Jis t ic a I (L ib ra ry \^ RESERVE release For immediate release November 28, 1967 J ^^iRESFRVE^^ ASSETS^BnrXlABILITIES QP ALL BANKS U THE UNITED STATES, November 15, 1967 J.4 Item ASSETS Loans and investments Loans and discounts U* S* Govt, obligations Other securities Reserves, cash, and hank balances (Partly estimated. In millions of dollars) Reserve city banks “ n r .. ill" All ■ember New York City of Other coal. banks Chicago banks City banks 415,750 351,980 286,770 280,610 229,400 67,510 63,300 67,630 59,280 Country banks 50,040 12,354 104,083 120,293 191,294 47,629 47,847 37,079 6,404 6,557 8,902 1,671 1,781 71,839 14,628 17,616 73,474 24,926 21,893 67,740 66,780 59,243 14,345 2,885 23,400 18,613 19,210 6,170 15,380 26,980 19,210 14,660 26,890 19,210 4,636 9,116 26,281 4,078 389 388 9,490 1,143 85 192 1,465 8,141 1,414 2,283 11,562 5,848 2,748 6,253 3,764 13,270 12,120 10,546 3,294 465 3,763 3,024 TOTAL ASSETS/LIABILITIES 496,760 430,880 356,559 67,679 15,704 131,246 141,930 58,842 55,406 62,345 64,984 Reserve with PR Banks Cash in vault Balances with hanks Cash Items Other assets 6,020 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 192,540 192,450 160,550 241,200 181,710 147,394 32,240 7,123 TOTAL DEPOSITS 433,740 374,160 307,944 53,242 13,125 19,870 5,570 168,650 239,650 19,870 5,570 168,560 180,160 18,753 4,845 138,316 146,030 6,215 993 25,811 20,223 1,387 238 5,509 5,991 8,766 1,858 48,611 55,013 2,385 1,756 58,385 64,803 6,720 6,720 6,398 1,787 586 3,376 649 Other liabilities 17,590 16,260 14,576 6,904 765 3,715 3,192 Total capital accounts 38,710 33,740 27,641 5,746 1,228 9,907 10,760 Deposits of banks U- S. Govt* deposits Other demand deposits Other time deposits Borrowings NOTE: 21,002 6,002 114,248 127,329 Comparability of figures affected by changes in FR. membership, mergers, etc., and in reserve classifications. CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, OCTOBER 11, 1967 TO NOVEMBER 15, 1967 J.4 Item (Partly estimated. In millions of dollars) Reserve city banks All All All member New York City of Other coml. banks banks City Chicago banks ASSETS Loans and Investments Country j banks +3,250 +2,980 - +2,095 - 84 + 48 + 445 +1 ,686 | +2,140 + 530 + 580 +1,760 + 590 + 630 +1,362 + 296 + 437 +481 -264 -301 - 46 - 48 +142 + 246 + 44 + 155 + 681 + 564 + 441 | +1,510 +1,580 +1,526 + 89 +246 f 788 + 403 - 970 + 110 + 220 +2,150 - 970 + 130 + 290 +2,130 - 965 + 90 + 334 +2,067 -397 + 17 + 41 +428 + 14 - 11 + 78 +165 422 43 + 89 fl,118 160 + 81 + 126 + 356 + 190 + 135 + 15 - 8 + 22 + 106 +4,980 +4> 750 +3,756 + 20 +286 HI,255 +2 ,195 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +3,110 +1,010 +3,090 + 600 +2,374 + 485 -251 +327 + 64 + 12 H ,060 193 +1 ,501 - + 339 TOTAL DEPOSITS +4,120 +3,690 +2,859 + 76 + 76 t- 867 +1 - 160 -1,610 +4,710 +1,180 - 160 -1,610 +4,690 + 770 - 107 -1,689 +4,002 + 653 - 91 -985 +761 +391 + 54 -148 +157 + 13 b 24 - 757 1-1 ,649 49 94 + 201 +1 ,435 + 298 Borrowings + 140 + 140 + 86 -173 + 55 h 80 + 124 Other liabilities + 530 + 730 + 669 + 77 +167 h 296 + 129 Total capital accounts + 190 + 190 + + 40 + 12 h 12 + 102 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 220 142 * 1 1i 1 o OO Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits + 1 1 * i -3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, NOVEMBER 9, 1966 TO NOVEMBER 15, 1967 '‘J--1' It:m (Partly estimated. In millions of dollars) Reserve city banks A11 AU AU coml. member New York City of banks banks banks City Chicago Other Country 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 +5,888 +1 ,026 +10 ,106 +12,613 +19,060 +15,850 +12,141 +2,593 + 9,290 + 9,960 + 8,243 +2,309 +13,950 +11,420 + 9,249 + 986 + 571 + 274 + 181 + 2 ,949 + 6,028 + 2 ,975 + 2,685 + 4, 182 + 3,900 + 6,570 + 6,390 + 6,424 +1,657 + 247 + 3,334 + 1,186 + 1,490 + 1,490 + 540 + 520 + 320 + 200 + 4,220 + 4,180 + 345 + 694 + 105 + + 126 + + 2,409 + 15 255 351 595 + 237 +42,300 +37,230 +29,633 + 1,494 + 470 + 368 9 + 467 + 129 + 4,095 +1,049 - 1 + 139 42 21 - 959 1- 369 + +50,060 +44,690 +37,016 +7,914 +1 ,294 +13,772 +14,036 LIABILITIES & CAPITAL Gross demand deposits Gross tir;ie deposits +17,420 +17,380 +15,110 +4,234 +29,580 +24,590 +19,863 +3,168 + 517 +1 r215 + 5,959 + 4,400 + 6 ,906 + 8,574 TOTAL DEPOSITS +47,000 +41,970 +34,973 +7,402 +1 ,732 +12 ,865 +12,974 + 630 + 1,920 +15,240 +29,210 + 630 + 1,920 +15,200 +24,220 + 796 + 1,613 +13,084 +19,480 + 333 + 395 +3,738 +2,936 + 9 4- 85 4- 408 +i,230 + 584 130 -f 605 + 528 + 4,897 + 4,041 + 6 ,779 + 8,535 Borrowings - 1,220 - 1,220 - 1,194 -1,005 - 501 + Other liabilities + 2,170 + 2,010 + 1,694 +1,059 + 11 .+ 73 + 551 Total capital accounts + 2 ,1 1 0 + 1,930 + 1,543 + 458 + 52 + 468 + 565 Other assets TOTAL ASSETS/LIABILITIES Deposits of banks U- S. Govt, deposits Other demand deposits Other time deposits + 1,190 + 1,070 + 332 + 366 54 -k- * CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONKEARY SYSTQt* All Commercial, Savings, and Federal Reserve Banka, the Postal Savings System, and Treasury Currency Funds (Partly estimated* In billions of dollars) jA Item Oct. 11, Nov. 9, 1967 . 1966 Nov. 15, 1967_ Change to Nov. 15, 1967 from — Nov. 9, Oct. 11, 1966 1967 ASS&FS Monetary ruserve Gold stock Treasury Currency Bank credit Loans, net U- S. Oort* obligations Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net 19.7 19.8 19.5 - .1 + 12.9 6.8 13.0 6.8 13.3 6.2 - .1 - .4 + .6 458.3 455.4 410.6 +2.9 +47.6 274.1 116.5 • 272.2 116.1 -1-1.9 + .4 67.5 47.8 1.2 67.0 48.0 1.2 254.3 102,8_ 58.2 43.3 1.3 +19.9 +13.7 + 9.3 + 4.5 - .1 I 67.6 | 67.1 53.7 + .6 +14.0 478.0 475. 2 430.2 +2.8 +47.8 421.2 417.1 379.3 +4.1 +41.9 39.8 141.7 239.7 39.5 139.1 238.5 38.0 130.7 210.4 .1 + .3 +2.6 +1.2 + 1.8 +11.0 +29.2 - .1 6.8 8.1 4.4 -1.3 + 2.3 5.6 1.2 7.2 .9 3.7 .8 -1.6 + .3 + 1.9 + .4 1.9 1.5 46.7 1.8 1.5 46.6 1.7 1.2 43.6 + .1 + .2 + .3 + 3.1 478.0 475.2 430.2 +2.8 +47.8 + .5 - .1 .2 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings 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 Total liabilities and capital, net __________________________________ 1 ----------- 1 ----------------- * Figures may not add to totals because of rounding* Treasury funds Included are gold account, Treasury currency account, and Exchange Stabilization Fund. 1/forDemand Digitized FRASER deposits adjusted, including demand deposits of foreign banks and of mutual http://fraser.stlouisfed.org/ savings banks, were $ 141.7billion on November 1j , 1967 Federal Reserve Bank of St. Louis