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'A

LIBRARY '

L / a & C c.

&-JL_'

October 11, 1965
For immediate release

£ ^ i RESERVE-S^

ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, SEPTEMBER 29, 19^5
(Partly estimated.
All
All
coml.
banks
banks

J.4
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/LIABILITIES

In millions of dollars)
Reserve city 1:>anks
All
member New York City of Other
Chicago
City
banks

Country
banks

346,830 291,230 240,078

41,876

10,814

88,719

98,669

235,T20 191,580 161,336
61,460 55,670 42,294
49,650 43,980 36,448

30,680
4,366

6,830

7,508
1,544
1,762

62,804
13,^9
12,446

60,344
22,915
15,410
15.362_

54.010

53.060

46.087

9,851

2.201

18.666

17,350
5,530
13,970
17,160

17,350
5,400

3,938
327
221
5,365

991
72
110

17,100

17,348
4,159
7,901
16,6T9

1,028

7,202
1,252
2,292
7,920

10.720

9,760

8,539

2,784

369

3,025

411,560

13,210

354,050 294,704 .. 5.^11 - 13,A

5,217

2,508

5,278

2,366

2,361

110,410 H6,399 .

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

166,810 166,750 139,720
194.480 142.860 117.261

27,089
17.853

6,567
_ 4.88L

51,995
44.473

TOTAL DEPOSITS

361,290 309,610 256,981

44,942

11,448

96,468 104,123_

16,820 15,852
16,820
7,730
7,007
7,730
143,510 143,450 117,924
193,230 141,610 116,198
4,148
4,400
4,400

5,232
2,054
20,449
17,207

1,264
534
4,790
4,860

42,374
44,221

1,989
1,913
50,3H
49,910

993

566

2,081

508

3,470

263

3,063

2,347

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits
Borrowings
Other liabilities

11,610

Total capital accounts

34,260

10,430
29,610

onH

1 n v p s t .m is w h .c i

1 /

TiOans and discotlnts 1/.

286,100
186,200
56,200
43,700

2,506

.5,106

9,421
8,798
1,107
Excludes total coml. interbank loans.

24,432
1/

Seasonally adjusted data
Tr \ o n a

9,143

7,367

54,069
50.054-

Other securities...... • • • • • • • • •
NOTE: Comparability of figvires affected by changes in FR membership, mergers, etc.,

and in reserve classifications.


CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS1IN' Tf® UNITED STATES,
AUGUST 25, I965 to SEPTEMBER 29, I965

j.4
Item

(Partly estimated. In millions of dollars))____________________ <
Reserve city banks
All
All
Country^
All
member New York City of IOther
coml.
banks
banks
City Chicago
banks
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
Other assets

+ 222_ + 887

,.£LSPi;

+3.920

+3.600

+3,110
+ 39O
+ 1*20

+2,780 1+2,451
+ 410 + 230
+ 410 + 304

+ 784
- 20©
+ 85

+ 192
+ 23
+
7

+2.340

+2.340

+2.136

+ 618

+

91^ +1.05V

+ rtL,

+ i4o
+ 200
+ 570
+1,430

+ 140
+ 200
+ 570
+1,430

+ 135
+ 155
+ 433
+1,M3

- 87
+
9
+ 44
+ 652

+
+

+ 262
+
55
+ 161
+ 575

-

43

+

3
2
10
96

+ 89
+ 238
+ 90r

+ 400

+

+

351

+ 118

-

27.

+ 186

+

74**

+6.330

+5.472

+1.405

+ 286

+2,12.6

+1.655.

TOTAL ASSETS/LIABILITIES

390

+2.985 ’+ 669

+ 811
+
92
- 16

+ 664*
+ 315
+ 228 r

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+5,150
+1.820

+5,150
+1.450

+4,656
+1.093

+2,122
- 70

+ 246
3

+1,265
+ 547

+1,023
+ 625-

TOTAL DEPOSITS

+6.970

+6,600

+5.749

+2.052

+ 237

+lx§12

+1.648

+ 990
+ 110
+4,080
+1,790

+ 990
+ 110
+4,080
+1,420

+ 95^
+ 231
+3,498
+1,066

+ 575
+ 677
+ 892
- 92

+
24
+ 151
+
70
8

+ 284
- 263
+1,250
+ 541

+ 71
- 334“
+1,286
+ 625

Borrowings

- 660

- 660

- 584

- 593

+ 119

+

- 142 .

Other liabilities

+

90

+ 170

+ 154

-

-

+ 246

+

Total capital accounts

+ 260

+

+ 120

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

1*6

75

32

29
i

Seasonally adjusted data
T AAMM
4 wnrao+’
tnaw+fl "1/_ .




+ 220

+ 153

8

+

3.

36_

For numbered footnotes, see first page.
100
+ 400
- 500
+ 200

+

**
f

r4

-3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
SEPTEMBER 30, 1964 to SEPTEMBER 29, 1965
(Partly estimated.

V.4
It3m

All
banks

In millions of dollars)
______
Reserve city banks
All
All
member New-’York City of
coml.
Other
Chicago
banks
banks

Country
banks

ASSETS
Loans and Investments
Loans and discounts
*r U. S. Govt, obligations
Other securities
Reserves, cash, and
bank balances

•<“29,080 +25,050 +19,973

+ .20Q-

+6.407

+8r6o4

+28,,160 +23,910 +19,94-3 +4,64o
- 5>330 - 5,040 - 4,951 -1,607
+ 6>250 + 6,180 + 4,981 + 939

+1,087
- 313
+ 126

+7,000

+7,216
- 820

+

190

260

336

- 332

2,211
+1,708
-

+2,208

- *SB-

+ 538

+

262
76
174

+ 610 + 610 + 607 + 387
+ 620 + 620 + 479 + 47
3
+
290 + 230 - 153
- 1,260 - 1,270 - 1,269 - 763

13
19

48
8

-

-

393

+
+
+
-

920 +

765 + 175

76

+

340

+

+ 650 + 640 - 765 -1,187
+23,490 +19,780 +16,415 +3,842

- 216
+ 700

-1,155
+5,*67_i

+1,793

"TOTAL DEPOSITS
T*
Deposits of banks
* U. S. Govt, deposits5
Other demand deposit#
Other time deposit#

+24,140 +20,420 +15,650 +2,655

+ 484

+4,518

+7,993

+
300 + 300 + 254 + 165
- 1,690 - 1,690 - 1,642 - 358
+ 2,370 + 2,360 + 955 - 750
+23,160 +19,450 +16,083 +3,598

86
85
wm
50
+ 705

+

315
+5,586

+ l4o
411
+2,070
+6,194

^Sorrowings

+ 1,640 + 1,640 + 1,524 +

308

+ 931

+ 230

•¥

61

+ 422

+ 249

•*

73

+ 474

+ 844

►

Reserve with FR Banks
Cash in vault
Balances with banks
Cash" items
Other assets

+

990 +

72
151

178

305

105

TOTAL ASSETS/LIABILITIES
**
LIABILITIES & CAPITAL
l&ross demand deposit#
Gross time deposits

ijther liabilities

rr Total capital account#
i
*‘
Seasonally adjusted data
Loans and investment# j/.
* Loans and discount# 2/'
U.S. Govt, obligations..
Other securities.**#«««•



+ 1,780

+

55

1,600 + 1,178 + 446

+ 2,770 + 2,500 + 2,050

-

+ 659

-

35

788

+6,200

For numbered footnotes, see first page.

+24,400
+23,200
- 5,000
+

6,200

-4CONSOLIDATED 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.

J.4

In billions of dollars)
Change to Sept. 29,
1965 from —
Sept. 29J Aug. 25,ISept. 30,
Aug.
25, ISept. 30,
1965 I 1965 I 1964
1965
I 1964

Item
ASSETS

19.3

21.0

- 1.7

13-9
5-5

13.9
5-5

15.5
5-6

-

383.2

378.5

351.3

231.5
102.1
61.5

228.0

205.0

101.2

102.9
66.8

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

61.1

-

1.6
.1

+4.7
+3-5
+ .8

+32.0
+26.5
- .8

43.4

+
+
+
+

.4
.4
.1
.4

- 5-3
+ 4.2
+ -3
+ 6.3

372.3

+4.7

+30.3

+28.3

3?:§

3?:6
0
49.7

49-2

402.5

397.8

354.7
34.8
126.4
193.2
.3

350.2

326.4

+4-5_

34.8
123.7
I 191.4
•3

33.2
122.7
170.1
.4

+ .1
+2.7
+1.8

8.4

10.4

+ -2

9-4
•9

+ .1

-

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/
Time deposits adjudfced.
Postal savings deposits
U. S. Government deposit®

'

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

8.6
7*7
•9

I
!

7.6
.8

1-7
.8
36.7

1.6
.-8
36.7

402.5

1 32T-8

I

1.4
.4
33-7 _
1 372.3

Seasonally adjusted
34.633*1
34.7
Currency outside banks
1
123.8
125.3
127.5
Demand deposits adJusted
* Figures may not add to -comis oecauee ^
gold account, Treasury currency account, and E x c h a n g e Stabilizatio
1/ Demand deposits adjusted, including demand deposits of foreign b
savings banks, vere $128-7 billion on September 29, 19&5


+ 1.6
I + 3*6
+23*2
- .1
_

*

- 1.8
- 1-7
- .1

*

- .1

+ -4
+ .4
+ 3-0

*

+4.7

+30.3. *

+ .1

+ .1
+2.2
.

+ 1.6
I + ^.7

■