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X For Immediate release October 10, 1966 .■rve-s *: ASSETS AHD LIABILITIES GET ALL BANKS H TH8 OTITED STATES, SEPTEMBER 28, 1966 (partly estimated. — f All" All ccml. banks banks J.4 Item ASSETS Loans and Investments Loans and discounts Q. 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 ASSBTS/LIABILITIBS In mllllona of dollars) Reserve city banks jar member Hew York City of Other Chicago banks' City 372,450 313,780 257,738 45,448 11,538 259,630 211,950 178,366 34,878 53,320 58,370 39,791 4,531 54,450 48,510 39,581 6,039 8,366 1,480 1,692 68,359 11,718 13,822 93,899 106,853 66,763 22,062 18,028 56,700 55,870 48,663 11,025 2,506 19,590 17,730 5,950 13,680 19,340 17,730 5,820 13,030 19,290 17,728 4,505 7,676 18,754 4,016 348 251 6,410 1,018 84 249 1,155 7,589 1,380 2,093 8,528 5,105 2,693 5,083 2,661 12,100 11,090 9,610 2,923 411 3,462 2,814 . 441.250 380.?4Q_ U6.011 59.396 _ 14.455 LIABILITIES ft CAPITAL Gross demand deposits Gross time deposits 170,840 170,790 142,401 27,896 211,880 157,690 128,828 18,840 TOTAL DEPOSITS 382,720 328,480 271,229 46,736 Deposits of banks U. S. Govt* deposits Other demand deposits Other time deposits Country banks 17,260 17,260 16,115 5,139 6,380 6,380 5,655 1,592 148,490 148,440 121,728 21,756 210,590 156,400 127,731 18,249 6,6^5 5,086 52,239 • 55,601 48,861 56,041 11,751... 101,100 111,642 1,185 358 5,148 5,060 7,337 1,978 43,262 48,523 2,454 1,727 51,562 55,899 7,050 7,050 6,684 2,093 1,033 2,821 737 Other liabilities 15,210 13,770 12,255 5,361 515 3,662 2,717 Total capital accounts 36,270 31,440 25,843 5,206 1,156 9,368 Borrowings Seasonally adjusted data JAKMIP w m ***» Zy 10,113 1 f Excludes total ccml. interbank loans. ... 307,600 205,500 54.000 48.000 HOTK: and in reserve 1 classifications! r CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, AUGUST 31, 1966^ TO SEPTEMBER 29, 1966 J.4 Item (Partly estimated. In millions of dollars) All Reserve city banks All All coml. member New York City of banks Chicago Other banks banks City ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Country banks * 1 +1,170 + 820 - + 423 -292 + 43 - 95 +767 + 9^0 - 150 + 38O + 590 + 3^3 - 150 . - 193 + 380 + 273 -409 +101 + l6 + 2 + 5 + 36 +257 "367 + 15 +493 + 68 +206 - 280 - 280 + 13 +451 +124 - 18 -544 Reserves, cash, and bank balances Reserve with FR Banks Cash' in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES + + - 810 180 530 740 + + - 810 180 530 740 + + - 810 152 252 697 +828 + 15 - 30 -362 + + + 14 1 75 62 +168 + 72 - 52 -206 -172 + 64 -245 -191 - 30 - 30 - 64 -155 - 9 + 37 + 63 + 860 + 510 + 372 + +158 - 76 +286 4 1 * + 280 - 4o + 280 - 390 + 278 - 570 +437 -570 + 59 -184 -311 -161 TOTAL DEPOSITS + 240 - 110 - 292 -133 -121 -47?.‘ +438 + 290 +1,330 -i,4oo + 20 + 290 +1,330 -l,4oo - 330 + 105 +1,255 -1,146 - 506 - 76 +657 -199 -515 - 45 +110 - 9 -181 -216 +364 -465 -155 +442 +124 -473 +3^5 Borrowings - 100 - 100 + 51 + 22 +147 +221 -339 Other liabilities + 570 + 570 + 536 +159 +145 +168 + 64 Total capital accounts + H O 1 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + O ITS H + 77 - 44 - 9 + 7 +123 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments ^-/.. . Loans and discounts J/« • 4 + 93 .______ J * 1 l » For numbered footnotes, see first page. -2,200 - 600 -1,900 + 200 tJ Figures for country and reserve city member and for mutuals savings banks were revised. ' 1 ^ 4 [ -3CHANGE3 IN AS3EP3 AMD LIABILITIES OF ALL BANKS IN THE UNITED STATES, SEPTEMBER 29, I965 TO SEPTEMBER 28, 1966 [ j.)(. (partly estimated. Item All banks In millions of dollars) Reserve city banks All All member New York City of coml. City Chicago Other banks banks Country banks ASSETS Loans and investments Loans and discounts U> S. Govt, obligations Other securities Reserves, cash, and hs-nk 'bftlfmnes Reserve with FR Banks Cash in vault Balances with banks Cash' items Other assets TOTAL ASSETS/LIABILITIES +17,660 +3,572 + 724 +5,180 +8,184 +23,800 +20,260 +17,030 - 3,350 - 2,610 - 2,503 + 4,930 + 4,660 + 3,133 +4,198 + 165 - 791 + 858 - 64 - 70 +5,555 -1,751 +1,376 +6,419 - 853 +2,618 + 2,920 + 3,040 + 2,576 +1,174 + 305 + 924 + 173 + 38O + 380 + 380 346 + 450 + 450 + 225 10 - 120 + 2,210 + 2,220 + 2,075 + 78 + 21 + 30 +1,045 + 27 + 12 + 139 + 127 + + + 387 128 199 608 + + + 1,380 + 1,330 + 1,071 + + 42 + 437 + 453 , +29,680 +26,680 +21,307 +4,885 +1,071 +6,541 +8,810 +25,380 +22,310 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 4,180 + 4,190 +17,220 +14,650 + 2,681 +11,567 + 807 + 987 + + 98 205 + 244 +4,388 +1,532 +5,987^ TOTAL DEPOSITS +21,400 +18,840 +14,248 +1,794 + 3Q3_ +4,632 +7,519 * 370 + 263 + 370 + - 1,220 - 1,220 - 1,352 + 5,050 + 5,060 + 3,804 +17,200 +14,630 +11,533 - 93 - 462 +1,307 +1,042 - 79 - 176 + 358 + 200 - 30 - 528 + 888 +4,302 + 465 - 186 +1,251 +5,989 + 2,650 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Borrowings + 2,650 + 2,536 +1,100 + 467 + 740 + 229 Other liabilities + 3,640 + 3,380 + 3,112. +1,891 + 252 + 599 + 370 + 100 + 49 + 570 + 692^ Total capital accounts I+ 1,990 + 1,810 +21,400 +19,300 - 2,500 + 4,600 + 1,411 t see first page. For numbered footnotes, ; Seasonally adjusted data I 139 112 185 195 295 -4CONSOLmATED CONDITION STATEMENT FOB BANKS AHD THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds j.4 (Partly estimated. ----- 1---------- ------------------Item In billions of dollars) Change to Sept. 28, i960 from — Sept. 28, Aug. 31, Sept. 29, Aug. 31, Sept. 29, 1966 1966r/ 1965 * 1966 1965 Assfers Monetary reserve Gold stock Treasury Currency T«»it credit Loans, net V- S. Govt, obligations Commercial and savings banks Federal Reserve Banks Other Other securities 19.3 19.3 19-3 — 13.3 6 .1 13.3 6.0 13-9 5-5 — 409.7 407.8 383.5 +1.9 +26.3 . 253-6 101.7 252.0 101.8 231-6 102.3 +1.6 - .1 +22.0 - .6 58.4 42.0 1-3 58.5 42-5 .8 61.7 39-6 1.0 - .2 - -5 + .5 - 3.4 + 2.5 + .2 54.5 . 54.1 *9-5 + .4 + 4.9 - .6 + *6 * 429-1 427.2 402.8 +1.9 +26.3 Total deposits adjusted and currency outside banks 376.8 377-6 354.9 _ - ,9_ +21.9 c Currency outside banks Demand deposits adjusted 1/ Time deposits adjusted Postal savings deposits 36.9 129.2 210.6 .2 37*1 129-8 210.6 .2 3^.9 126.3 193.4 •3 - .2 - .7 7.7 6.7 8-5 +1.0 - .8 6.4 1.3 5-1 1.6 7-6 •9 +1-3 - -3 - 1.2 + .5 1.8 1 .1 41.7 1.9 l.l 39.9 1.7 .8 36,9 - .1 +1.8 + .1 + -3 < + 4.8 429.1 427.2 402.8 +1.9 +26.3 Total assets, net LIABILITIES ADD CAPITAL TJ- S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital wnd miscellaneous account, net Total liabilities and capital, net • + 2.0 + 2.8 +17.2 1 - *2 Seasonally adjusted + 2.0 34.8 36.8 36.8 Currency outside banks 1.0 127-4 + 3*0 131.4 130.4 Demand deposits adjusted * 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 $ 131.6 billion on September 28, 1966. Digitized tfor J FRASER Figures for member banks and mutual savings banks revised.