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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSiEM

S.?

October 13, 1959

(For Immediate Release)

N ^ l i a M j T ^ E S OF ALL BANK? IN THE UNITED STATES, SEPTEMBER 30, I959
•*
*

..... "—
Item

All
Member banks
All
commer­
Central reserve Reserve
banks*
cial
, Total -___ city banks
city
1/ banks* i/
1/ New York Chicago banks

Country
banks 1/

ASSETS
^

Loans and investments

187,690

155,910

25,194

6,728

60,653

63,335

132,590
66,46o
26,450

107,790
59,200
20,700

92,057
47,297
16,556

17,244
5,570
2,380

4,012
2,053
663

37,735
17,172
5,746

33,066
22,502
7,767

44,640

43,900

38,871

7,690

1,994

16,344

12,843

17,710
3,360
11,070
12,500

17,710
3,250
10.470
12.470

17,709
2,421
6,561
12,180

3,597
138
127
3,828

1,077
29
120
768

7,468
743
2,229
5,904

5,567
1,511
4,085
1,680

5,340

4,800

4,216

1,217

86

1,564

1,349

275,480

236,390

198,997

34,101

8,808

78,561

77,527

|■
» Gross demand deposits
1 Gross time deposits

143,620
102,660

143,590
67,790

123,200 24,318
54,526
4,823

6,232
1,452

48,616
21,924

44,034
26,327

P

246,280

211,380

177,726

29,141

7,684

70,540

70,361

15,510
6,420
123,770
100,580

15,510
6,420
123,740
65,710

14,822
5,785
104,504
52,615

5,571
1,234
18,795
3,541

1,230
357
4,679
1,418

6,695
2,399
39,952
21,494

1,326
1,795
41,078
26,162

Borrowings

1,420

1,420

1,369

244

253

562

310

Other liabilities

4,970

4,160

3,737

1,374

118

1,415

830

y

Loans and discounts
U. S. Govt, obligations
Other securities

y ^ Reserves, cash, and
bank balances
¥
Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
*v
1 v Other assets
^
v-

*
*+

*
j

Total assets
LIABILITIES & CAPITAL

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

22,810
16,165
19,430
3,342
14 Total capital accounts
6,044
6,026
753
u
.
Total liabilities
275,480
236,390 198,997 34,101
8,808
78,561
4
and capital
77,527
1M
^ * Figures have been rounded to nearest 10 million.
l/ Beginning with August 1959, includes ten nonmember commercial banks in Hawaii with
-v
total deposits of $365 million (a national member bank in Hawaii with total deposits
of $220 million has been Included in country member banks since April 1959). Six
national banks in Alaska with total deposits of $133 million have been included with
country member banks since April 1959 (these and eleven others with total deposits
Digitized forof
FRASER
$39 million had been in nonmember commercial banks since January 1959)•


2 -

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
-r G-7

AUGUST 26, 1959 TO SEPTEMBER 30, 1959
(Partly estimated. In millions of dollars)
All
commer­
cial
banks*

► V

All
banks*

Item

Total

Member banks
Central reserve Reserve
city banks
city
New York Chicago banks

Country
banks

ASSETS

t\

-

-

442

+

51

- 490

+ 254

+
620 + 420 + 300 +
- 1,110 - 1,090 - 1,073 +
210 +
170 +
li*6 +

38
.517
37

+

58
14
7

- 45
- 493
+ 48

+ 249
- 49
+ 54

+ 179

+ 903

+ 367

+
+

113
30
214
832

+
+
+

100
18
217
232

+

80

+

59

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
V*
Cash items
r

k*

Other assets
Total assets

280

500 -

+ 2,490 + 2,470

627

+ 2,324

+

180
180
180 _
10
10 16
+
590 +
570
462 +
+ 2,090 + 2,090 + 2,058 +

+

260 +

250 f

224 +

+ 2,470 + 2,220

+ 1,921

Gross demand deposits
Gross time deposits

+ 3,510 + 3,510
+
220
40

-

TOTAL DEPOSITS

+ 3,730

+

875

-

+

4l
+ 74
.
1
3
18 . + 13
901 + 93
74

+

11

507

+ 241

3,197 + 1,324
42
39 ~

+ 157
2

+ 888
- 27

+ 828
+ 33

+ 3,470

f 3,158 + 1,282

+ 154

+ 861

+ 861

+
700
+
4oo
+ 2,280
+
350

+
700
+
4oo
+ 2,280
+
90

t* 699
f 406
f 1,952
h 101

+
+
+
+

311
153
752
66

+
+
-

97
64
6
1

+
+
+
+

+
+
+

Borrowings

- 1,350

- 1,350

1,316

-

756

+

71

- 410

- 221

Other liabilities

-

20 +

10

H

k

-

27

+

12

+

2

+

17

Total capital accounts

+

110 +

90

\h

75

+

8

+

4

+

40

+

23

)h 1,921

+

507

+ 680

LIABILITIES & CAPITAL

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

Total liabilities
and capital
*

+ 2,470

+ 2,220

Figures have been rounded to nearest 10 million.




+ 241

260
200
398
• 3

+ 493

31
11
808
33

+ 680

CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES,
SEPTEMBER 24, 1958 TO SEPTEMBER 30, 1959
(Partly estimated.

Item

In millions of dollars)

All
banks*,
1/

All
Member banks
Central reserve Reserve
commer­
city
city banks
cial
. Total
1/
New York Chicago banks
banks* 1/

+ 10,030

+ 8,180

Country
banks 1/

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

+ 5,226

-

36

+15,530 + 13,560 +11,259 + 1,780
- 5,680 - 5,520 - 5,988 - 1,780
44 “ 36
140 +
180 +
+ 2,450

+ 2,570

+ 2,680

4-

1,381

—
-

240
244
- 240
110 +
+
110 +
51
410 - 180
530
+ 3,110 + 3,110 4- 3,054

222
4
4“
10
4- 1,595

+

380

4-

306

-

+ 11,130

4-

8,213

4*

4-

6,195
1,500

4-

7,695

4*

1,533

-

132
365
1,242
56

1+20 +

+ 12,900

151

+ 1,326

607
- k&k
427

+ 4,905
- 3,283
- 295

125

+ 1,097

4*

4-

4*

17
—
- 3
4* 111

4-

72
1
118
1,052

4-

4-

4*

3,785

4-

3,967
kkl
260

4-

4*

78

+

32
55

4-

4-

306
296

25

4*

10

4-

162

4-

159

1,319

4-

286

4-

2,585

4*

k,022

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+7,930 + 7,930
+ 3,930 + 2,400

TOTAL DEPOSITS

+ 11,860

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

+ 10,330

4-

+

900 *
811
900
4+ 1,920 + 1,920
1,738
+ 6,310 + 6,310 + 4,740
+
4,530 + 3,000 4- 2,028

Borrowings

-

44*
4*

1,926
393

4-

4l
15

4-

56

4*

- 110
105
437
4*
24
4*

4-

2,086
537

4*

4-

2,lk2
1 , 3^2

2,622

4-

3,^84

+

482
791
1,709
605

87
477
+ 1,752
+
1 , 3^*2

-

385

4*

184

4-

+
4-

4*

-

4-

140

140

-

145

-

l4l

+

-

128

-

174

-

7

-

21

4-

74

198

Other liabilities

+

30

80

Total capital accounts

+ 1,150

+ 1,020

4-

790

4-

102

4-

39

4-

369

+

279

Total liabilities
and capital

+ 12,900

+ 11,130

4*

8..213

4-

1,319

4-

286

4*

2,585

4.

4,022

* Figures may not add to totals because of rOunding.
l/ See footnote on first page.



- k
CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*

t •*

G.
x

All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds l/

>i

(Partly estimated.

Item
*

In billions of dollars)
Sept.

August

Sept.

30,
1959

26,
1959

21*,
1958

2U.8
19.5
5.3

2l».9
19.6
5.3

26.1
20.9
5.2

252.1
131.5
9lul
66.5
26.6
1.1
26.5

251.2
129.8
95.2
67.6
26.5
1.1
26.2

276.9

Change to Sept.30,
1959 from —
Aug. 26, Sept* 2h*
1959
1958

ASSETS

'Monetary reserve
Gold stock
Treasury Currency
♦Bank credit
Loans, net
U. S. Govt, obligations
Commercial and savings banks
Federal Reserve Bank's
9
Other
Other securities
Total assets, net

"
-

*1
.1
—

- 1.3
- 1.U
+ .1

21*0.1*
115.9
98.2
72.1
21*.9
1.2
26.3

+ .9
+ 1.7
- 1.1
- 1.1
—
mmmm
+ .2

+11.7
+15.7
- U.l
- 5.7
+ 1.7
- .2
+ .2

276.1

266.5

+

+10.1*

2lil.3

21*0.8

233.1

♦

28.5
111.3
100.6
1.0

28.5
100.2
1.0

27.9
108.1
96.0
1.2

+
+

7.1

6.6

5.0

+

•($

+ 2.1

6.U
.7

6.0
.5

U.5
.5

+
+

.2

+ 1.9
+ .2

3.3
•U
2l*.8

3.3
25.0

3.8
.7
23.9

276.9

276.1

28.3
112.1

28.5
112.9

#8

LIABILITIES AND CAPITAL
Total deposits adjusted and
* currency outside banks
Currency outside banks
Demand deposits adjusted
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 accounts, net
Total liabilities and capital, net
.Seasonally adjusted
Currency outside banks
Demand deposits adjusted

.1*

«...
#2
.k

+ .6
+ 3.2
+ U.5
- .2

—

-

mm

—•
#2

+

266.5

+

.8

27.8
108.9

*
-

*8

*2

.5
.3
.9

+10.1*
+

.5

+ 3*2

Figures may not add to totals because of rounding. For description and back figures of
seasonally adjusted data, see July 1957 Bulletin, pp. 828-29* Also see footnote on
first page.
l/ Treasury funds included are gold account, Treasury currency account, and Exchange
“
Fund.
Digitized for Stabilization
FRASER
l

*

111.1

+ 8.1