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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.