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<£ > \ LIBRARY ) xx BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM Rr^ f RV c - G,7 (Prelairiinary)-~Not for release - i October 14, 1958 ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES AND CONSOLIDATED CONDITION STATEMENT FOR BANKS AND MONETARY SYSTEM SEPTEMBER 24, 1958 The attached preliminary figures for September 24 were prepared from reports submitted by the Federal Reserve Banks on form F, R, 635 in accordance with the Board*s letter of September 25# 1958s (S-1669), Tentatively it has been decided to start this new series on the same basis as the regular series, i»e,, including an estimate of mutual savings banks. Data for mutual savings banks, the Postal Savings System, and the Ex change Stabilization Fund, as well as for commercial banks, are largely esti mated and may vary from figures to be included in the usual final press state— msnt. Still being considered is an alternative plan of limiting the prelimi nary statement to commercial banks. An advantage of the attachment is that it follows the format of the usual last-Wednesday statement except that pages corresponding to G,7(a) and G»7 (b), showing changes since the previous month and a year ago, have been eliminated. These eliminations expedite preparation and release of the dataj they can be added if there is sufficient demand. Figures shown on the attached pages reflect revisions made on the basis of June 23 call date bench mark data as well as estimated changes from the pre vious month. Revisions in August 27 figures made on the basis of these bench mark data will be reflected on page G,7 (a) of the final G*7 release. Temporarily, the preliminary statement will be designated ” G*7 (Preliminary)— Not for release” and will be mailed only to Federal Reserve Bank personnel whose names appear in the regular G»7 circulation list. It is expected that the restriction against release will soon be removed and the data sent to the full G c7 circulation list and handled as a press statement. Similar procedures will be followed in the forthcoming mid-month series. Inasmuch as all plans relative to publication of these new series are still tentative, we would appreciate comments and suggestions from users regard ing the attachments and as to the form and content for eventual release to the public. BOARD OP GOVERNORS OF THE FEDERAL RESERVE SYSTEM G.7 (Preliminary) - Not for release October 14, 1958 ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, SEPTEMBER 24, I958 Item (Partly estimated. In millions of dollars) All Member banks All commer Central reserve Reserve banks* city Total city banks cial banks* New York Chicago banks Country banksl/ 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 215,570 179,610 150,664 117,150 72,380 26 ,OhO 94,320 64,930 20,360 42.170 41,320 18,000 3,110 11,620 9,440 25,230 _ 6,577 59,305 59,552 80,811 53,408 16,445 15,460 7,350 2,420 3,404 2,537 636 32,815 20,500 5,990 29,132 23,021 7,399 36,243 6,325 1,869 15,274 12,775 18,000 18,003 3,000 . 2,280 10,910 6,793 9,410 9,167 3,817 148 117 2,243 1,060 29 122 658 7,550 740 2,142 4,842 5,576 1,363 4,412 1,424 ..4,850 4,350 3.848 262,590 225,280 190,755 Gross demand deposits Gross time deposits 135,860 28,780 135,830 65,470 TOTAL DEPOSITS 234,640 77 1.410 ..1,147 32,769 8,523 75,989 73,474 117,124 53,034 22,385 5,221 6,191 1,438 46,547 21,352 42,001 25,023 201,300 170,158 27,606 7,629 67,899 67,024 16,400 4,500 117,630 96,110 16,400 4 ,500 117,600 62,800 15,611 4,068 99,870 50,609 5,687 871 17,554 3,494 1,342 251 4,642 1,394 7,157 1,589 38,292 20,861 1,425 1,357 39,382 24,860 Borrowings 1,520 1,520 1,485 385 55 945 100 Other liabilities 4,850 4,130 3,800 1,538 125 1,475 662 Total capital accounts 21,580 18,330 15,312 3,240 714 5,670 5,688 Total liabilities and capital 262,590 225,280 190,755 32,769 8,523 75,989 73,474 Total assets 1,214 ___ LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits * Figures have been rounded to nearest 10 million. 1J Includes an Alaska and a Virgin Islands member bank. CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* G.7 (Preliminary) - Not for reloaue All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds 1/ (Partly estimated. In billions of dollars) Aug. 27, 1958 Sept. 25, 1957 26.1 20.9 5.2 26.3 21.1 27.8 22.6 5.2 5.1 240.*? llb.O 98.5 72.4 24.9 241.1 115.3 100.0 223.6 Sept. Item 24, 1958 Change to Sept.24/ 1956 from — Aug. 27, Sept. 25, .■ -12 2 L - 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 - .2 - .2 - .6 + .7 1.2 73.5 25.2 1.3 113.4 88.4 63.7 23.2 1.5 26.0 2j.iL 21.8 + .2 1.1 - - .4 266.6 267.4 251.3 - 233.5 28.0 108.2 96.1 232^ . 28.0 107.5 95.6 220.9 +1.0 + .7 + .3 1.2 1.2 27.8 105.5 86.3 1.4 5.0 6.2 4.5 -1.3 4.5 .5 5.8 .5 3.9 -1.3 Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 3.8 •7 23.7 3.9 .7 24.1 3.3 .8 21.9 Total liabilities and capital, net 266.6 267.4 251.3 Total assets, net .8 LIABILITIES AMD 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 .6 - .1 - .4 .8 Seasonally adjusted .2 28.1 27.7 27.9 Currency outside banks .2 106.2 109.2 109.0 Deitend deposits adjusted * 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. r>w v,nn«r#» 1/ Treasury funds included are gold account, Treasury currency account, and Exchange Stabilization Fund. 2/ August 27 , 1958 figures revised.