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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