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FEDERAL

RESERVE

s t at i s t i c al
'•rfftuSsf:
For immediate release
October 22, 1968

1 j]
^
)
ASSETS AND LIABILITIESvOF, ALL BANKS IN THE
ITED STATES, OCTOBER 9, 1968
\4r.
><r c^'*'
(Partly estima
<>ns of dollars)

J.4

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

All
banks

All
coml.
banks

All
member
banks

454,290

385,410

312,741

54,120

13.695

114.213

130.713

308,790
67,350
78,150

254,560
62,760
68,090

211,176
46,942
54,623

40,176
6,083
7,861

9,540
2,143
2,012

80,074
14,335
19,804

81,386
24,381
24,946

70,920

69,950

61,979

17,238

2,999

22,729

19,013

20,250
6,400
16,040
28,230
15,050

20,250
6,250
15,320
28,130
13,820

20,246
4,831
9,271
27,631
12,052

4,159
398
435
12,246
3,502

1,063
82
610
1,244
688

8,573
1,506
2,067
10,583
4.395

6,451
2,845
6,159
3,558
3.467

469,180

386,772

74,860

17,382

141,337

153.193

TOTAL ASSETS LIABILITIES

Reserve city banks
New York City of
Other
City
Chicago

Country
banks

LIABILITIES & CAPITAL
Gross demand deposits
Gross -time deposits

200,620
264,240

200,520
199,690

166,461
160,302

35,403
20,473

6,779
6,050

59,475
61,243

64,804
72,536

TOTAL DEPOSITS

464.860

400.210

326.763

55.876 _ 12.829

120,718

137,340

22,270
5,780
174,320
262,490

22,270
5,780
174,220
197,940

21,001
4,983
142,027
158,752

7,878
834
27,460
19,704

1,294
279
5,217
6,039

9,202
2,163
48,700
60,653

2,627
1,707
60,650
72,356

Other liabilities

11,920
22,100

11,920
20,790

11,577
18,866

3,942
8,910

1,196
1,944

5,755
4,350

684
3,662

Total capital accounts

41,380

36,260

29,566

6,132

1,413

10.514

11.507

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

NOTE:

Comparability of figures affected by changes in FR membership, mergers, etc.,
and in reserve classifications.




CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
SEPTEMBER 11, 1968 TO OCTOBER 9, 1968
(Partly estimated.
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

In millions of dollars)

All
coml.
banks

All
member
banks

+5,430

+4,980

+3,766

+108

+143

+1> 303

+2 ,212

+4,190
+ 120
+1,120

+3,940
+
70
+ 970

+3,196
- 106
+ 676

+480
-213
-159

+350
-194
- 13

+
+
+

+1 ,380
+ 279
+ 553

-2,060

-2,080

-1,674

+366

-256

-1, 036

+ 670
- 290
- 930
-1,510

+ 670
- 290
- 930
-1,530

+ 668
- 231
- 624
-1,487

+253
- 2
+ 42
+ 73

-214
- 8
1
- 33

+

-

-

-

121

+ 13

-

1

+

All
banks

250

250

Reserve city banks
New York City of
Other
City
Chicago

-

986
22
295

Country
banks

-

748

-

182
122
359
85

104

-

237

371

+1 ,227

811
99
- 306
-1, 442
-

-

+3^120

+2,650

+1,971

+487

-114

+

Gross demand deposits
Gross time deposits

+ 180
+2,690

+ 160
+2,240

25
+1,834

+318
+331

-144
+ 49

+

520
701

+
+

TOTAL DEPOSITS

+2,870

+2,400

+1,809

+649

- 95

+

181

+1 ,074

+
40
+2,670
-2,490
+2,650

+
40
+2,670
-2,510
+2,200

+
19
+2,468
-2,479
+1,801

+258
+658
-567
+300

- 97
+250
-297
+ 49

200
151
+1>
-1, 470
+ 700

+
+
+

58
409
145
752

Borrowings

+

760

+

760

+

756

+333

- 37

+

459

+

1

Other liabilities
>
Total capital accounts

-

820

-

820

-

835

-474

- 13

-

371

+

23

+

310

+

310

+

241

- 21

+ 31

+

102

+

129

TOTAL ASSETS/LIABILITIES
LIABILITIES & CAPITAL

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




_

321
753

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES
OCTOBER 11, 1967 TO OCTOBER 9, 1968
J.4

(Partly estimated.

In millions of dollars)
All
member
banks

Reserve city banks
New York City of
Other
Chicago
City

All
banks

All
coml.
banks

+41,790

+36,410 +28,066

+3,996

+ 1 ,389 +10,575

+12,106

+30,320
+
370
+11,100

+26,920 +21,244
+
50 391
+ 9,440 + 7,213

+3,578
- 585
+1,003

+
+
+

592 + 8,481
249
424 373 + 2,343

+ 8,593
+
iy
+ 3,494

+ 4,690

+ 4,750 + 4,262

+2,982

+

360 +

117

+

803

+
70
+
340
+
880
+ 3,400

+
70
+
360
+
950
+ 3,370

+
71
+
285
+
489
+ 3,417

- 316
+
26
+
88
+3,184

+
-

66
14
496
56

+
+
+

10
95
127
139

+
+
+
+

443
178
32
150

+ 2,000

+ 1,890 + 1,641

+

+

215 +

654

+

549

+48,480

+43,050 +33,969

+7,201

+1 ,964 +11,346

+13,458

Gross demand deposits
Gross time deposits

+11,190
+24,050

+11,160 + 8,285
+18,580 +13,393

+2,912
- 202

+

280 + 1,693
60 + 5,644

+ 3,960
+ 7,891

TOTAL DEPOSITS

+35,240

+29,740 +21,678

+2,710

-

22C + 7,337

+11,851

+ 2,240
- 1,400
+10,380
+24,020

+ 2,240 + 2,141
1,400 - 1,551
+10,350 + 7,713
+18,550 +13,375

+1,572
-1,144
+2,410
- 128

+

39
107
135
61

+
460
452
+ 1,738
+ 5,591

+
148
+
152
+ 3,700
+ 7,851

Borrowings
>
Other liabilities*

+ 5,340

+ 5,340 + 5,265

+1,982

+

665 + 2,459

+ 5,040

+ 5,260 + 4,959

+2,083

+1 ,346 +

Total capital accounts

+ 2,860

+ 2,710 + 2,067

+

+

173 +

Item

VjUljntry
b;anks

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

223

,

LIABILITIES & CAPITAL

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




426

+

159

931

+

599

619

+

849

-<+CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
t4

All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency F mds
(Partly estimated.

J.4
•

In billions of dollars)
Change to Oct. 9,
1968
from
Sept.11, Oct. 11,
1968
1967

Oct. 9 }

Sept. 11,

1968

1968

1967

17.1

17.1

19.8

—

- 2.7

10.4
6.8

10.4
6.7

13.0
6.8

—

- 2.6

495.4

488.9

455.4

+6.5

+40.0

297.2
120.0

293.6
118.2

272.2
116.1

+3.6
+1.8

+25.0
+ 3.9

67.4
52.6
.1

67.2
51.0
.1

67.0
48.0
1.2

+ .1
+1.7
-“

+ .4
+ 4.7
- 1.2

78.2

77.0

67.1

+1.1

+11.1

512.5

506.0

475.2

+6.5

+37.3

450.9

448.9

417.1

+2.0

+33.8

42.4
146.1
262.5
-

42.0
147.1
259.8
“-

39.5
139.1
238.5
““

+ .3
-1.0
+2.7
*"“
“

+ 2.8
+ 7.0
+24.0
""""

U. S. Government deposits

7.1

3.1

8.1

+3.9

- 1.0

At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net

5.8
1.3

3.1
--

7.2
.9

+2.7
+1.3

- 1.4
+ .4

2.3
.8
51.4
512.5

2.0
.8
51.1
506.0

1.8
1.5
46.6
475.2

+ .2
-+ .3
+6.5

+ .4
- .7
+ 4.8
+37.3

Item

Oct. 11,

i

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
LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/
Time deposits adjusted
Postal savings deposits

Total liabilities and capital, net

*

F i g u r e s m a y n o t add to t o t a l s b e c a u s e of rounding.
T r e a s u r y funds i n c luded are
gold a ccount, T r e a s u r y c u r r e n c y account, and E x c h a n g e S t a b i l i z a t i o n Fund.

1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual
savings banks, were $ 149.2 billion on October 9, 1968.