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For immediate release
October 24, 1967

ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, OCTOBER 11, 1967
jl
.t

(Partly estimated. In millions of dollars)
Reserve city banks
All
All
All
New York City of Other
member
ccml.
banks
Chicago
'banks' City
banks

Item
ASSETS
Loans and investments

Country
banks

412,230

348,730

284,675

50,124

12,306

103,638

118,607

277,890
67,100
67,240

227,060
62,830
58,840

189,932 36,598
47,333 6,668
47,410 6,858

8,948
1,719
1,639

71,593
14,584
17,461

72,793
24,362
21,452

66,540

65,510

57,717

14,256

2,639

22,612

18,210,

20,180
6,000
15,520
24,840

20,180
5,830
14,730
24,770

20,175
4,546
8,782
24,214

4,475
372
347
9,062

1,129
96
114
1,300

8,563
1,411
2,194
10,444

6,008
2,667
6,127
3,408

13,040

11,920

10,411

3,279

473

3,741

2,918

TOTAL ASSETS/LIABILITIES 491^810^ 426^160

352.803

67.659

15,418 129.991

139,735

Loans and discounts
U« S Govt, obligations
*
Other securities
Reserves, cash, and
hank balances
Reserve with FR Banks
Cash in vault
Balances vlth hanks
Cash items
Other assets
V

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

189,610
240,120

189,540
181,040

158,176
146,909

32,491
20,675

7,059
5,990

57,782
55,599

60,844
64,645

TOTAL DEPOSITS

429,730 370,580

305,085

53,166

13,049

113,381

125,489

20,030
20,030
7,130
7,130
164,120
164,190
238,380 179,300

18,860 6,306
6,534
1,978
134,314 25,050
145,377 19,832

1,333
386
5,352
5,978

8,742
2,615
46,962
55,062

2,479
1,555
56,950
64,505

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

6,580

6,580

6,312

1,960

531

3,296

525

Other liabilities

17,050

15,520

13,907

6,827

598

3,419

3,063

Total capital accounts

38,450

33,480

27,499

5,706

1,240

9,895

10,658

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 13, 1967 TO OCTOBER 11, 1967
____
Item

(Partly estimated. In millions of dollars)
All
All
Reserve city banks
All
coml.
member New York City of
banks
banks
banks
City Chicago Other

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

Country
banks

+6,050

+5,640 - +4,997

,974
+1 )

+ 54

+1 ,880

+1 ,089

+2,690
+2,620
+ 740

+2,360
+2,750
+ 530

+2,241
+2,350
+ 406

+ 831
+ 960
+ 183

+ 4
+ 63
- 13

+1 ,176
+ 700
+
4

+ 230
+ 627
+ 232

+ 960

+1,0 10

+ 997

+1 ,354

-178

- 366

+ 187 i

+1,280
- 310
- 290
+ 280

+1,280
- 310
- 240
+ 280

+1,274
- 241
- 370
+ 334

+ 167
14
+
5
196
+1 >

+ 76
- 3
-109
-142

+ 470
71
- 106
- 659

+ 561
153
- 160
- 61

1

- 17

-

10

10

26

+

40

+

30

+7,000

+6,640

+5,968

+3, 329

-141

+1 ,474

+1 ,306 |

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+5,300
+1,470

+5,300
+1,140

+5,086
+ 777

+2 ,879
- 35

+235
- 82

+1 ,524
+ 199

+ 448
+ 695

TOTAL DEPOSITS

+6,770

+6,440

+5,863

+2 ,844

+153

+1 ,723

+1 ,143

+ 200
+4,590
+ 400
+1,580

+ 200
+4,590
+ 400
+1,250

+ 156
+4,465
+ 353
+ 889

+ 194
+1 ,801
+ 796
+ 53

- 9
+353
- 81

+

222

Borrowings

- 260

- 260

- 246

-

154

+ 25

-

76

-

41 1

Other liabilities

+ 100

+

+

+ 621

-329

-

233

-

14

Total capital accounts

+ 390

+ 430

+

+ 10

+

TOTAL ASSETS/LIABILITIES

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




30

45

+ 306

18

-110

mm

123

+1 ,999
-

375

60

+ 94
+ 312 1
+ 42
+ 695

+ 218

-3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
OCTOBER 12, 1966 TO OCTOBER 11, 1967

J.4
Item

(Partly estimated. In millions of dollars)
Reserve city banks
All
All
All
member New York City of
coml.
banks
banks
banks
City _ Chicago Other

Country
banks

+39,580 +34,950 +28,015 +5,586

+ 921 + 9,876

+11,632

+17,220 +14,270 +11,265 +1,865
+ 9,760 +10,540 + 8,797 +2,895
+12,600 +10,140 + 7,953 + 826

+ 571 + 2,949
+ 363 4 3,182
13 4 3,745

+ 5,880
+ 2,357
+ 3,395

+ 5,440 + 5,180 + 5,026 +3,116

+ 158 + 1,067

+

685

+ 254 +
+ 13 +
151
+ 42 +

984
53
82

112

+
+
+
+

253
109
132
191

+

308

+

164

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

+ 2,340 + 2,340
+ 250 + 210
+ 310 + 110
+ 2,540 + 2,520
+ 1,020

+

+ 2,335 + 844
+ 191 + 16
+
12 + 113
+ 2,488 +2,143

910 +

845 + 312

61 +

+46,040 +41,040 +33,886 +9,014

+1 ,140 +11,251

+12,481

LIABILITIES & > 1
.
■ CAPITAL
'
Gross demand deposits
Gross time deposits

+15,020 +15,000 +12,988 +5,763
+27,640 +22,890 +18,274 +2,133

+ 423 + 3,519
+1 ,043 + 6,779

+ 3,283
+ 8,319

TOTAL DEPOSITS

+42,660 +37,890 +31,262 +7,896

+1 ,466 +10,298

+11,602

+ 200
+ 360
+ 2,721
+ 8,321

TOTAL ASSETS/LIABILITIES

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

+ 1,090
+ 3,700
+10,710
+27,160

+ 1,090
+ 3,700
+10,690
422,410

+ 1,092
+ 3,513
+ 8,851
+17,806

+ 857
+1,452
+3,724
+1,863

22 +
57
+ 232 + 1,469
+ 198 + 2,208
+1 ,058 + 6,564

760

760

669

- 647

- 461 +

622

183

Other liabilities

+ 2,160 + 2,070 + 1,755 +1,295

+

66

155

+

549

Total capital accounts

+ 1,980 + 1,840 + 1,538 + 470

+

69 +

486

+

513




-b-

CONSOLIDATED CONDITION STATEMENT FOB BANKS AND TEE MONETARY S3TST0f*
All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
J-h

(Partly estimated. In billions of dollars)
Item

Oct. 11, Sept. 13,
1967
1967

Change to October
11, from —
Oct. 12,
1966
Sept. 13, Oct. 12,
1966
1967

ASSETS
Monetary reserve
Gold stock
Treasury Currency
Bank credit
Leans, net
U. S Govt, obligations
.
Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

19.8

19.7

19.4

__

+ .
3

13.0
6.8

13.0
6.7

13.3
6.1

.. —

—

- .
3
+ .6

455.2

446.9

409.7

+8.2

+45.5

271.6
116.3
67.1
48.0
1.3

.268.5
111.9
64.5
45.9
1.6

254.2
100.9
57.3
42.3
1.2

+3.2
+4.4
+2.6
+2.1
- .
3

+17.4
+15.5
+ 9.8
+ 5.7
-“

67.2

66.5

54.6

+ .
7

+12.6

475.0

466.6

429.1

+8.3

+45.9

417.4

415.2

380.0

+2.2

+37.4

39.6
139.3
238.4
.
1

39.1
139.2
236.8
.
1

37.4
131.2
211.2
.
2

+ .5
+ .1
+1.6

+ 2.1
+ 8.2
+27.2
- .
1

8.0

2.8

4.3

+5.2

+ 3.7

7.1
.
9

2.5
.
3

3.4
.
9

+4.6
+ .6

+ 3.7
--

1.8
1.5
46.2

1.9
1.5
45.2'

1.8
1.1
41.8

- .
1
+1.0

+ .4
+ 4.4

475.0

466.6

429.1

+8.3

+45.9

LIABILITIES AND CAPITAL
Total deposits .adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/
Time deposits adjusted
Postal savings deposits
T. S Government deposits
J .
At commercial and savings banks
At Federal Beserve T n c
uia
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net
Total liabilities and capital, net

—

—

* Figures nay not add to totals because of rounding. Treasury funds Included are
gold account, Treasury currency account, and Exchange Stabilization Fund,
l/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual
savings banks, were $ 141.9 billion on
October 11, 1967




Federal Reserve Bank of St. Louis, One Federal Reserve Bank Plaza, St. Louis, MO 63102