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FEDERAL RESERVE October 12, 1962 For immediate release 'ED STATES, SEFTMBER 26, 19^2 ASSETS AMD LIABILITIES OF .ons of dollars) Item Reserve city banks New York City of Other Chicago City All banks All coral. banks All member banks 269,110 225,270 186,641 30,42L 164,690 70,550 33,870 132,840 64,250 28,180 112,240 51,271 23,130 20,234 6,421 3,842 4,879 2,028 1,386 17,809 7,734 10,168 47,4oo 1^,630 40,877 8,488 1,997 16,897 13,495 16,800 16,800 16,800 4,4oo 3,215 7,187 13,675 996 39 97 7,272 99O 12,120 14,080 4,270 11,540 14,020 3,730 254 4,343 865 6,539 4,802 1,932 4,838 1,923 7,180 6,500 5,761 1,883 179 2,121 1,578 323,690 278,400 233,279 40,868 10,469 88,950 92,992 150,780 150,720 127,864 135,260 94,760 77,131 24,503 8,530 6,252 2,835 49,108 29,838 48,001 35,928 286,040 245,480 204,995 33,033 9,087 78,946 83,929 15,040 8,340 15,040 8,340 14,215 7,511 4,198 1,258 134,500 94,000 76,567 19,054 8,273 445 4,569 2,815 7,076 2,916 39,259 29,695 1,683 2,642 43,820 35,784 2,610 2,610 2,585 1,384 . 163 938 100 7,810 6,980 6,4l8 2,642 289 1,918 ,1,569 27,230 23,330 19,281 ■3,809 930 7,148 7,394 banks ASSETS Loans and investments * Loans and discounts " u, s. Govt, obligations Other securities Reserves, cash, and bank balances . ,§*222~ 69,932 77,919 44,389 42,738 25,013 V - Reserve with FR Banks Cash in vault Balances with banks Cash 'items kOther assets TOTAL ASSETS/LIABILITIES LIABILITIES & CAPITAL Gross demand deposits _Gross time deposits 'TOTAL DEPOSITS * Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits l/ ^Borrowings Other liabilities * Totel capital accounts *Seasonally adjusted data 4r v i r / a a + '. n i A n + i n 0!. 128,160 128,100 106,702 222,000 129,700 64,300 156 1,508 2,096 Includes amounts now reported by insured mutual savincs banks as demand deposits; formerly. they were reported a3 time dat>osits or other liabilities. 2/ Excludes total coml* Interbank loans. 1/ 28,000 Other securities........ NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., ’ and in reserve classifications. CHANGES IK ASSETS AMD LIABILITIES OF ALL BANKS IN THE UNITED STATES, AUGUST 29, 1962 TO SEPTEMBER 2o, 19&2 G .7 (Partly estimated. All banksr/ Item In millions of dollars) Reserve city banks All All New York City of member coml. Other Chicago City banks r/ banks Country banks *’ K ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities + 335 +1,409 +118 + 340 + 27 - 53 + + + + +3,410 +3,130 +2,243 +407 + +2,710 + 390 + 310 +2,410 + 400 + 320 +1,909 + 122 + 212 ■♦615 + 80 -288 92 10 5 836 393 - 180 4 \ Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items +1,920 +1,960 +1,770 +462 +127 + 870 +.... 311 .. « + 190 + 50 + 440 +1,240 + 190 + 50 + 480 +1,240 + 187 + 34 + 359 +1,190 +166 . + 12 - 21 +305 + 47 115 - 14 + 94 + + + + - i4l * + 21 + 265 * + l66 + 35 - 86 + + 23 +4,048 +783 +222 + Other assets total assets /liabilities 80 +5,410 + 80 +5,170 LIABILITIES & CAPITAL 3 l 129 625 + 95 4 +1,228 +1,815 +1,243 + 179 A +1,526 + 408 ‘ .... .. +1,934 , Gross demand deposits Gross time deposits +4,530 +1,200 +4,530 + 900 +3,657 + 671 +775 + 44 +5,730 +5,430 +4,328 +819 +153 +1,422 TOTAL DEPOSITS + 690 + 630 +3,200 +1,210 + 690 + 630 +3,200 + 910 + 645 + 576 +2,422 + 685 +144 +125 + + 48 + + + + Borrowings - 140 - 140 - 97 +142 + 41 - Other liabilities - 310 - 250 - 252 -181 + 23 - 102 + 8 + + 6 + 55 o-rpusits of banks U. 3. Govt, deposits Other demand deposits Other time deposits l/ + Total capital accounts Seasonally adjusted data T A .^ n a a n /3 ^ y r t r o .C ’f.TTIA'n'h.Cl 9 / . 130 + 130 + 69 +113 + 40 -"XL +502 + 3 40 54 15 44 5 + + + 356 234 639 193 98 + 105 + 163 + 4o o . +1,266 *•’ - 182 A < For numbered footnotes, see first page. +1,700 +2,400 - 700 > r/ Aug. 29, 1962 figures revised. ^ * L -3" CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE TOTTED STATES, SEPTEMBER 27, 1961 TO SEPTEMBER 26, 1962 Reserve city banks* City of Hew York ' : Other Chicago City f Country banks All banks I T coml. banks All member banks ASSETS V -... . 4 Loans and investments +18,080 +15,200 +11,595 +1,035 +1,011 +3,217 +6,332 *■ Loans and discounts ' * U. S. Govt, obligations Other securities +15,120 - 1,830 + 4,790 +12,050 - 1,840 + 4,990 + 9,867 +2,045 - 2,688 -1,982 + 4,4l6 + 972 + 665 - 210 + 556 +3,296 -1,575 +1,496 +3,861 +1,079 +1,392 V Reserves, cash, and bank balances + 2,560 + 2,610 + 2,212 423 + 132 + + + + + 68 9 + + 119 + 51 + 3 982 + 250 250 + 168 - 126 + Item 450 970 ► t o t a l a ss et s /liabilities liabilities 970 290 ‘‘Other assets ► 820 + 310 + 510 + 820 320 ► » Reserve with FR Banks Cash in vault * Balance with banks » Cash items 8l6 274 140 " 'tot al deposits * Deposits of banks U. S. Govt, deposits > * Other demand deposits Other time deposits 1/ *■ Borrowings Other liabilities ^* Total capital accounts r * Seasonally adjusted data Loans and investments2/ Loans and discounts 2/. U.S. Govt, obligations. Other securities..... rV * 832 + 825 + + + + 354 147 45 + 275 + 67 34 + 524 26 + + 115 10 153 161 163 +20,930 +18)060 +13,975 +1,332 +1,169 +4,202 +7,272 + 3,190 +15,660 + 3,190 +13,070 + 1,825 +10,678 - 226 +1,342 + + 894 - 160 +3,899 +2,177 +4,543 +18,850 +16,260 +12,503 +1,116 + 928 +3,739 +6,720 87 + 527 + 12 + 272 261 + 1,033 +10,671 +1,302 + + + 4o 33 -34 + 887 - 307 +3,939 + 195 + 415 +1,567 +4,543 278 + 67 + 93 + 21 - 217 + 99 + 8 + 70 + + 75 + 362 + 461 & CAPITAL * Gross demand deposits . - Gross time deposits + 590 590 + 310 310 + + 2,290 + 2,290 +15,660 +13,070 + + + 46o + no + 1,510 + 46o + 459 40 + 1,340 + 1,053 + 155 34 205 98 For numbered footnotes, see first page. +15,300 * Changes for New York and Chicago reflect +12,300 increases of 3 banks each on July 28, 1962. - 1,800 Total assets of the banks added were $526 + 4,800 million and $405 million, respectively, on Aug. 15, 1962, and "other" reserve city banks were reduced $931 million. -k~ G.7 CONSOLIDATED CONDITION STATEMENT FGi-L BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Fedei'al Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. Item In billions of dollars) Sept. 26, 1962 Change to Sept. 26 from — Aug. 29 , Sept. 27 , 1962 Aug, 29, Sept. 27 , 1961 .1.962 rj 1961 1962 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 - 1.4 21.6 21.7 23-0 - .1 lo.l 5 .C> lo.1 5.6 - .1 297.1 293-9 17-5 5 .6 276. & + 3-2 +20.5 162.9 100.3 1.99. 4 101.0 147-2 3.00.2 + 3-5 - -7 +15.7 + .1 70.6 29 •1 »'( "9.91•O J 70.2 30.1 *7 ■ ' ' a .’).j *^ 7 2 .4 27.1 .7 29.2 + .4 -1.0 + .3 - 1.9 + 2.0 - .1 + 4 .7 0.7 315.6 299-6 +3.1 +19.1 260.4 *i3-1 +18.1 26.6 112. 4 11'9 7 .7 - .1 +2.0 +1.2 -O 29*5 112.1 J-33.3 .6 ! .3 ■1- 1.6 -H5.3 - .1 9 8.2 8.9 + .7 ..1 c;.3 '(■ '( 8.4 .5 + .6 + .1 30.3 1.4 .4 29.5 315.6 2 y9 -6 + 3-1 +19 .1 28.5 113 .4 +1.5 + *8 + 1 .7 - 1.4 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 Currency outside banks Demand deposits adjusted kO tj ('• ) ,r r J ** - J. 'L lh d, -') 1.3 •J‘: 2>‘3.18.7 29. 3 115.1 "j '’• * i.ir oo - .1 .1 I 1.1 * Figures may not add to totals becaus* of round:inr9 ’V''ua..u.r.y' I'uncis included are gold •jtabiIiaation Fund. account, Treasury currency account, and fcccuange . os:!ts of forei;-;;ii ban'i/.3 and of atutual J . c r r a n d dop' l/ Demand deposit.i adjusted, includi nc 1 ’savings 'bank;;., were $115.9 billion 'u http://fraser.stlouisfed.org/ r/ Aug. 29 , 19 o2 i'iguras i'ovi.;od. Federal Reserve Bank of St. Louis