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V l’" 1 I J r mi) 0F governors of the FEDERAL RESERVE system (o ^ / (For Immediate Release) November 29, 191*9 LIABILITIES OF ALL BANKS IN THE UNITED STATES, OCTOBER 26, 191*9 (Partly estimated. In millions of dollars) All' " Member banks com Central reserve Jleagrve Country Item A11 banks* mercial Total city banks city banks banks* New York{Chicago banksi/ '' ASSETS Loans and investments Loans and discounts U.S.Govt, obligations Other securities Reserves, cash, and bank balances Reserve Tilth FR Banks Cash in vault Balances with banks Cash items Other assets Total assets LIABILITIES & CAPITAL Gross demand deposits Gross time deposits TOTAL DEPOSITS Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities Total capital accounts Total liabilities and capital 11*0,11*0 119,810 100,771 19,31*1 1*8,290 1*1,930 35,136 7,216 79,230 67,710 57,333 10,893 12,620 10,170 1,232 8,302 33,230 33,1*50 16,030 16,030 2,320; 2,210 9,1*60 8,810 5,1*20 5,1*00 2,000 1,750 28,1*97 16,030 1,667' 5,523 5,277 1,522 6,288 1*,535 126 66 1,561 5,271 38,161 37,998 1,553 3,261 1*57 13,957 21,207 2,997 12,1*10 a , 972 3,616 1,637 1,126 27 123 361 10,951* 6,056 537 1,769 2,592 9,618 1*,313 977 3,565 763 393 26,022 1*9 608 1*72 175,370 151*, 010 130,790 6,957 1*9,723 1*8,088 10l*,910 101*, 890 55,690 36,590 90,987 29,228 21,1*08 1,651* 5,381* 1,053 31*,1*89 11,61*6 29,706 11*, 875 160,600 11*1,1*80 120,215 11,71*0 11,71*0 11,130 3,610 3,610 3,156 90,060 90,01*0 77,018 55,190 36,090 28,911 23,062 6,1*37 1*6,135 1*1*,581 3,920 917 16,701 1,521* 1,123 235 i*,030 1,01*9 5,195 1,238 28,162 11,51*0 892 766 28,125 11*, 798 31* 198 3,275 1*8,088 170 170 1,560 13,01*0 1,1*30 157 1,278 9,11*0 22 12 626 2,312 1*3 1*65 89 1*11 3,088 175,370 151*, 010)130,790 26,022 6,957 1*9,723 10,930 * Figures have been rounded to nearest 10 million# 1/ Data not entirely comparable with prior months due to reclassification on October 6 of 9 central reserve city banks in New York City as reserve city banks. Loans, U» S. Government obligations, and total deposits of these banks amounted to approximately 150, 210, and 1*70 million dollars, respec-* tively, r BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM G.7(a) (For Immediate Release) November 29, 19k9 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE TOUTED STATES, SEPTEMBER 28 TO OCTOBER 26, 1 9h9 Item (Partly estimated. In millions of dollars) Ail'" Member banks All com Res<erve Central reserve Country cr banks* mercial Total city banks banks banks* New York£/junxcago ban]& / 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 +1 ,080 + + 2U0 81*0 +1,060 + 9h1 - 333 + 90 — U28 + — + - 58 898 15 - 227 132 + + + 32 57 1 4. 678 4* 210 - 4* — 65 55 235 U33 — 77 8 150 910 + + “ 4- 820 + 820 + - 70 + 80 390 + 1*1*0 + 70 80 390 1*1*0 4- 30 4- 444- 50 + 4* 21). +1,950 +1,910 +1 ,61+3 Gross demand deposits Gross time deposits 4*2,110 + 20 +2,110 20 +1,851* 21 TOTAL DEPOSITS +2, 130 +2,090 — + 893 + 291 4* 4. + + 4- 285 533 75 + 169 81 1*1 58 + 1*21* + 102 _ 1*8 4* — + + 6 16 44- 158 1*. 135 135 44. 32 1*3 91* 19 4* 9 4* 1* 4- 295 4- 7 + 1* - 116 + 36 +1,326 + 397 4. 207 + + 78 1 +1*187 + 61 4- - 382 7 + 79 +1,21*8 4- 375 + — + + 39 26 65 1 4* + + 1*8 65 270 8 - 1*7 4- LIABILITIES & CAPITAL Deposits of banks U* S. Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities Total capital accounts Total liabilities and capital +1,833 41*50 + 1*50 + 1*32 - 130 - 130 - 103 +1* 790 +1,790 +1,530 20 20 t 26 - 210 - 210 - 218 30 20 11 460 + 50 + 39 j +1,950 - 76 - 131 112 11*9 21*7 79 203 - 18 26 44- - * - 116 * +l,910i +1,61*3 Figures have been rounded to nearest 10 million. 1/ See footnote on first page* * t + 1* + 36 + 4- 233 7 91*8 60 + 4> - 18 4* 11* 4* 21 — 4- 1*3 4* 11* 18 +1,326 + 397 BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM G.7(b) (For Iramediate Release) November 29, 19l*9 CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, OCTOBER 27, 191*8 TO OCTOBER 26, 19h9 (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 Cash in vault Balances with banks Cash items Other assets Total assets In millions of dollars) Member banks All com ' All Reserve Country Central reserve banks* mercial Total city banks city ' banks* New Yorkl/|Chicago bank si/. banks + 290 - 171* +1*,1*50 +1*,653 + 950 + 81*0 •f — + + 888 156 -li, 370 -1*,180 - 985 -3,860 1*0 30 - 500 -3,860 50 + 1*0 - 500 -3,861* 65 + 21*1* - 1*95 + 922 - - + 6,720 +5,690 +1,130 +U,310 +1,280 -1*,1*30 10 +5,319 692 352 16 6 + — + — - 519 + 1,192 227 - 175: + 653 i +2,615 + 93 + 1*76 : + 58o 1*97 115 250 - 1,722 -1,223 191 -1,365 25 21* - 356 -1,386 23 + 220 31* 1 6- + 52 53 + 2,916 12 - 38 ♦ +1,127 - 331 + 273 260 + 256 5 oo + 1*30 760 + 686 — + 31*8 li* 4* 11*2 + 101 + - 331* Hh 21*3 + 668 318 986 - 31* 1*1*8 + + + + 62 8 1*55 198 271 139 339 17 + + + 20 - 1* + +2,280 +1,300 Gross demand deposits Gross time deposits + 260 +1,330 + + TOTAL DEPOSITS +1,590 + + 92 +1,291* - 990 + 361* + 105 +1,115 - 799 + 265 - 661 87 4- 69 73 3 98 Borrowings + 92 +1,2914 - 990 +1,191* 20 - - 12 - + 3 Other liabilities Total capital accounts + + + + 90 + 1*70 + 78 375 4* + 65 30 38 4* 27 +1,127j! ~ 331 19 + 3 +1,213 - 28 - 206 LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Total liabilities and capital * 1/ 120 590 20 + 2,280j +1,300 Figures have been rounded to nearest 10 million. See footnote on first page. + 4- + ■ f 3 - + + 1*9 + 22 + 156 209 1 26 + 151* i 273 1 +1 ,2 13 |; - 28 BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM G.7(c) (For Immediate Release) November 29, 19l*9 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. Item ASSETS Monetary reserve Gold stock Treasury currency Bank credit Loans, net U. S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net In billions of dollars) Oct# 26, 19l*9 Sept, 28, 191*9 Oct. 27, 191*8 29.2 29.2 28.6 2I4.6 lw6 21*; 6 1*.6 21*. 0 1*.6 160.7 160.0 160.0 1*8.3 99.8 79.2 17.1* 3.1 12.6 1*8.0 1*7.3 99.1* : 101.1* 78.1* 71*. 9 23.2 17.9 3.2 3.3 12.6 11.3 C'hange to October 26, 19h9 From From September 28, October 27, 191*8 191*9 + .6 -- + .6 — + .7 + .6 + + + - +1;0 -1.6 ;3 .1* .8 .1* — +1*.3 -5.8 - .1 +1.3 189.8 189.2 188.6 + .6 +1.2 168.0 166.6 168.1 +1.1* ; 2k. 9 81*. 6 55.2 3.2 21*. 9 83.3 55.2 3.2 25.7 85.1 51*. 0 3.3 + .1 +1.1* - - ,1 - .7 - .5 +1.2 - .1 !*.0 1*.9 3.8 - .9 + .1 3.7 1.2 2.3 1.5 - .1 - .8 +1.3 -1.2 Foreign bank deposits, net Treasury cash Capital and miscellaneous accounts, net 3.6 •1* 2.0 1.3 1.9 1.3 1.8 1.3 + .1 + .1 ll*.6 11*.5 13.5 Total liabilities and capital, net 189.8 189.2 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits U. S. Government deposits At commercial and savings banks At Federal Reserve Banks -* —— --- —— +1.1 188.6 i +1# 2 + *6 For description of statement, see January 191*8 Bulletin, pp. 2l*-32 and cor responding table in current Bulletin. Figures may not add to totals because of rounding. 1/ Treasury funds included a r e -gold account, Treasury currency account, and Fund. Exchange Stabilization