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FEDERAL statistical ' RESERVE release l i b r a r y October 11, 1963 For immediate release ^ \ % ASSJCTS AND LIABILITIES OF All^ BANKS IN THE “UNITED STATES, SEPTEMBER 25, 1963 ->J.4 -1 Item ASSETS Loans and investments (Partly estimated. All All coml. banks banks In millions of dollars) All Reserve city 'banks member New York City of Other Chicago banks City Country banks 292,200 244,840 202,599 32,957 9,346 75,875 84,421 . 184,470 67,970 39,760 148,870 6l,8lO 34,160 125,458 48,633 28,508 22,036 5,642 5,279 5,796 1,915 1,635 49,757 16,539 9,579 47,869 24,537 Reserves, cash, and bank balances 48,920 48,080 42,211 8,995 2,094 17,478 13,644 _ Reserve with FR Banks Cash in vault > Balances with banks Cash items 16,350 4,680 12,510 15,380 16,350 4,550 3,752 4,661 1,059 2,304 7,199 2,085 179 4,799 1,022 49 135 888 6,916 15,320 16,351 3,458 7,445 14,957 4,827 2,071 8,090 7,330 6,502 2,233 183 2,322 1,764 . 349,210 300,250 -211*312 . 44 185 11,623 . LIABILITIES & CAPITAL gross demand deposits Gross time deposits 155,740 152.610 155,680 131,732 6,461 25,422 10,939 _3,575 50,241 49,608 108.880 _ 88,998 34,313 40,171 TOTAL DEPOSITS 308,350 264,560 220,730 36,361 10,036 84,554 89,779 Loans and discounts U. S. Govt, obligations Other securities Other assets TOTAL ASSETS/LIABILITIES * Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 11,860 15,060 265 12,015 SSiSJS- .99,822_ 15,060 14,208 9,080 9,080 8,143 132,380 132,320 109,959 151,830 108,100 88,420 4,3.93 2,138 19,353 10,677 1,221 587 4,669 3,559 7,056 2,998 40,341 34,159 1,738 2,420 45,596 40,025 Borrowings 2,930 2,930 2,836 1,031 327 1,250 228 “Other liabilities 9,100 8,040 7,369 2,848 277 2,314 1 ,930 / 28,830 24,720 20,377 .3,945 983 7,557 7,892 Total capital accounts 1 / Excludes total coml. interbank loans. 240,700 145,000 61,700 34,000 NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. http://fraser.stlouisfed.org/ Seasonally adjusted data Loans and investments 1/ > Loans and discounts 1/...... . U.S. Govt, obligations......... > 0 Other securities....... Federal Reserve Bank of St. Louis -2CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, 1963 TO AUGUST 28, j SEPTEMBER 25, 19^3 k ' (Partly estimated. In millions of dollars) Reserve city ttanks ‘'AIT ‘ ‘ 'All member New York City of Other All coml. Chicago City banks banks banks Ji Item ASSETS emrl i •* Country banks +4,750 +4,460 +3,819 +1,010 +381 +1,159 +1,269 +3,320 + 96O + 470 +3,070 + 940 + 450 +2,695 + 757 + 367 + 845 + 224 - 59 +230 + 90 + 61 + 860 + 99 + 200 + 760 + 344 + 165 +2,730 'c-) I-J +2,690 +2,584 +i,4o4 +143 + + 4io + 60 + 430 +1,830 + 410 + 60 + 390 +1,830 + 415 + 18 + 355 +1,796 + 481 + 8 2 +104 + 5 - 13 + 47 4. -L-LU— iin T 4. + +7,590 +7,250 +6,hQ5_ LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +6,740 + 750 +6,740 + 480 +6,062 + 365 + TOTAL DEPOSITS 4 7 , 1*90 +7,220 + T30 +2,980 +3,050 S 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/LIABHITIES TOO 82 + 917 - 18 + 2 813 1 + - 169 l4 9 143 + + 680 + + 4 45 + 4* 224 227 152 53_ -+8.326 +526 +2,017 +1,546 +2,541 11 +391 + 7 +l,7kO + 110 + +6,427 +2,552 +398 + 1 i 850 +1,627 + 681 +2,791 +2,609 + 346 + 1?5 +1,143 +1,213 + 1 + 44 +294 + 53 + 7 4- 346 + 925 + 474 + 105 + 96 + 429 + 869 + 233 - 240 - 173 + 75 + 37 - 179 +1,390 237 + 730 + 730 +2,980 +3,050 + 460 Borrowings - 310 - 310 Other liabilities + 270 + 220 + 194 + 12 + 49 + 63 + 70 Total capital accounts + i4o + 120 + 104 + 5 + 4 + 67 + 28 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Seasonally adjusted data Loans and investments \J 0 v*!A AHIa r*r\nn*h.ci 1 / For nucmbered footnotes, see first page. +2,200 +2,500 - 400 + 100 • • CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, SEPTEMBER 26, J.4 1962 TO (Partly estimated. Item In millions of dollars) All coml. banks All banks SEPTEMBER 25, 19^3 Reserve city banks All member New York City of Other City# Chicago banks Country banks # ASSETS v Loans and investments +23,120 +19,510 +15,958 +2,460 +1,053 +5,943 +6,502 Loans and discounts U. S. Govt, obligations * Other securities ► Reserves, cash, and > bank balances yH Reserve with FR Banks •* Cash in vault k Balance with banks Cash items +19,830 +16,030 +13,218 - 2,590 - 2,440 - 2,638 + 5,880 + 5,980 + 5,378 +1,802 - 779 +1,437 + 917 - 113 + 249 +5,368 -1,270 +1,845 +5,131 - 476 +1,847 + 507 + 97 + 581 + 149 + 22 + 11 + 23 + 451 + + -b + 26 10 38 23 - 356 + 69 + 208 + 660 - l4l + 153 - 11 + 148 + + 4 Qther assets + 1,440 - 450 - 450 - 449 280 + 280 + 243 + 320 + 258 + 310 + + 1,300 + 1,300 + 1,282 + 880 + TOTAL ASSETS/LIABILITIES +25,440 a, , + 1,450 + 1,334 830 + +21,850 741 350 + 201 + 186 +18,033 +3,317 +1,154 +6,725 +6,837 LIABILITIES & CAPITAL Jlross demand deposits Gross time deposits + 4,960 +17,220 + 4,960 + 3,868 +14,120 +11,867 + 919 +2,409 + 209 + 740 +1,133 +4,475 +1,607 +4,243 ^TOTAL DEPOSITS +22,180 +19,080 +15,735 +3,328 949 +5,608 +5_,.850- r Deposits of banks j. U. S. Govt, deposits Other demand deposits > Other time deposits 20 + 20 + 7 632 + 740 + 740 + + 4,220 + 4,220 + 3,257 +17,200 +14,100 +11,853 5 + 630 + 299 +2,404 20 + 142 + 100 + 744 + 82 +1,082 +4,464 + 55 - 222 +1,776 +4,241 251 - 353 + 164 + 312 + 128 951 + 206 - 12 + 396 + + 136 + 53 + 409 320 + 320 + Borrowings + jOther liabilities + 1,360 + 1,060 •♦Total capital accounts + 1,580 + 1,390 + 1,096 >. Seasonally adjusted data Loans and investments ^ Loans and discovints U.S. Govt, obligations Other securities. + 37 361 + 498 For numbered footnotes, see first page. # Beginning with June 1963 country bank +18,700 +15,300 totals have been increased and New York City - 2,600 figures reduced $525 million incident to a + 6,000 change in reserve classification of three banks. -4CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds 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 21.6 I 16.1 317.5 178.3 99.9 67.0 32.2 297.1 5.6 322.6 182.1 100.7 68.0 32.1 .7 , 3?-A 1962 21.2 15.6 5.6 21.2 15-6 .7 -< Sept. 26.|Au^.^28, 13ept>. 26 * Sept. 25, Aug. 28, 1963 1963 Monetary reserve V 1 ~~ - - - .5 * +3-8 + .8 +1.0 - .1 +19.2 + .4 * - 2.6 * + 3-0 .4 „ 5-6 162.8 1 100.3 70.6 1 29.1 j .7 .I' 3.3:iL- + 5-9.__ +25.1 343.7 I 338.7 318.7 300.4 1 298.5 278.7 +2^0. +21.7 31.1 117.0 31.1 115.8 151.1 29-4 114.1 134.6 +1 .2 + .7 + 1.7 ■<* + 2.9 * , +17.2 - .1 *• JLJL 8.9 +2.9 + 1.2 i.O 8.3 •5 +3-0 - .1 + + + - .1 —— < + 2.3 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 Seasonally adjusted 151.8 •5 10.0 9.1 . •9 1 .7 .4 “ t*- 1.2 1.2 .4 31-.1 ^43.7 .4 31.4 338 31.0 30. Currency outside banks 118.1 117-3 Demand deposits a adjusted Demand deposits d ju sted _________________ ------- 1 ^ , 1.3 .4 29.JI 31.8-X ill 29-3 + .1 + .8 115.1 Figures m y not add to totals because of rounding. gold account, Treasury currency account, and E x c h a n g e S t a M liza t i 1 / Demand deposits adjusted, including demand deposits of foreign banks savings banks, were $ l l 8 .9 b illio n on September 25, 19&3- + 1.7 + 3-0 * ’ . ^