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FEDERAL

RESERVE

s t a 11s 11 c a

(For Immediate Release)

October 25, 1961

ILITIES OP ALL BAHKB IN THE UNITED STATES, OCTOBER 11, 1961
(Partly estimated. In millions of dollars)
----Member banks
All
Central reserve Reserve
All
commer­
Item
city
city banks
Total
banks*
cial
New York |Chicago banks
banks*
ASSETS

Country
banks

251,190

210,250 175,161

29,040

7,397

67,030

149,490
Loans and discounts
U. S. Govt, obligations 72,600
29,100
Other securities

120,630 102,317
23,280

18,152
8,002
2,886

4,275

54,047
18,797

41,240
19,522

844

6,268

24,245
8,799

47,660

1^,810

4l,004

8,652

1,928

16,654

13,770

16,540
3,890
12,740
14,490

16,540
3,770

16,541
2,809

3,658

7,605

170

923
33

115

14,430

14,049

4,609

857

2,076
6,615

6,850

6,210

5,54o

1,945

154

1,968

1,473

305,700

263,270 221,705

39,637

9,479

85,652

86,937

Gross demand deposits
Gross time deposits

150,420

150,360 128,406
82,140 66,832

24,761

46,890

7,313

6,307
1,9^

50,448

120,130

26,051

31,522

TOTAL DEPOSITS

270,550

232,500 195,238

32,074

8,253

76,499

78,412

4,202
19,472
7,099

1,324
398
4,602
1,929

7,631
2,572
40,419
25,877

1,641
1,984
43,409
31,378

Loans and investments

Reserves, cash, and
bank balances
Reserve with PR Banks
Cash in vault
Balances with banks
Cash items
Other assets
Total assets

66,340

12,070

215

2,278

71,694

38,650

4,881
1,677
5,244

1,968

LIABILITIES & CAPITAL

15,610
Deposits of banks l/
6,960
U. S. Govt, deposfts
.
Other demand deposits V ,128,600
119,380
Other time deposits

15,610
6,960

14,798
6,255

128,540 107,902
81,390 .66,283

1,301

Borrowings

1,930

1,930

1,903

1,092

175

528

108

Other liabilities

7,440

6,780

6,264

2,788

191

1,812

1,473

25,780

22,060

18,300

3,683

860

6,813

6,944

263,270 221,705

39,637

9,479

85,652

86,937

Total capital accounts
Total liabilities
and capital v

305,700

Reserve membership, mergers, etc., and in reserve classifications..
l/ Due to the reclassification of deposits of foreign central banks, Deposits of banks was
reduced by about $1,9 0 0 million; Other demand deposits was increased by about $+00 million
and Other time deposits by about $1,500 million (on April 26, 1961).
Includes amounts now reported by insured mutual savings banks as demand deposits; for­
Digitized2/
for FRASER
http://fraser.stlouisfed.org/
merly, they were reported as time deposits or other liabilities.
Federal Reserve Bank of St. Louis

-2CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN 2HE UNITED 8TATIS,

G.7

OCTOBER 11, 1961 TO SEPTEMBER 13, 1961 i f
(Partly estimated.

Item

Iu Billion* of dollar*)

All
banks*

All
commer­
cial
banks*

+3,920

+3,740

+3,m

- 2

+222

+1,670

+1,221

+1,300
+2,340
+ 280

+1,030
+2,380
+ 330

+ 949
+1,887
+ 275

+158
-150
- 10

+ 116
+108
+ 68

+ 583
+ 977
+ 110

+ 162 + 952.
+ 107

- 250

- 250

- 200

+355

- 66

- TO
- 110
- 30
4o

- 70
- 110
- 30
- 40

-

74
71
4i
14

+ 10
+ 17

-170

+498

+
+
-

4

- 43

Member banks
Central reserve Beserve
Total
city banks
city
New Yorkl Chicago banks

Country
banks "

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

CVI
CVI

-

67 '
*

+
80
- 20
- 88
- 394

+
+
-

22

+ 11

+

+

1

Reserves, cash, and
bank balances

1

Reserve with FR Banks
Cash in vault
Balances with banks
Cash items

20

Other assets

-

6
2
12
74

24

63
l8 44
4 ,

+3,650

+3,490

+2,907

+310

+167

+1,272

+1,158

Gross demand deposits
Gross time deposits

+3,060
+ 920

+3,060
+ 730

+2,615
+ 616

+469
+ 93

+ 96
+ 1

+1,163
+ 295

+ 887
+ 227 ,

TOTAL DEPOSITS

+3,980

+3,790

+3,231

+562

+ 97

+1,458

+1,114

+ 390
+3,480
- 810
+ 920

+ 390
+3,430
- 810
+ 730

+ 3T9
+3,193
- 953
+ - 612

+239
+796
-554
+ 81

- 11
+262
-151
- 3

+ 119
+1,362
- 323
+ 300

+
32"
+ 773
+ 75
+ 234 *

Borrowings

- 170

- 170

- 170

-127

+ 67

- 105

5^

Other liabilities

- 300

- 280

- 286

-146

—

- 1b6

+

Total capital accounts

+

+

150

+ ,132

+ 21

+

'65

+

+3,490

+2,907

+310

+167

Total assets
LIABILITIES & CAPITAL

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

Total liabilities
and capital

i4o

+3,650

* Figures have been rounded to nearest 10 Billion.
tJ September 13 figures have been revised.
Note— See notes on page 1 .



3

+

+1,272

6
43 •

+1,158 -

-3I *
■' G.7

CHANGES IN ASSETS AID) LIABILITIES OF ALL BANKS IN HIE UNITED STATES,
OCTOBER 11, 1961 TO OCTOBER 12, i960
(Partly estimated.

Item

All
banks*

In millions of dollars)

All
commer­
cial
banks*

Total

Member banks
Reserve .
Central reserve
Country
city
city banks
banks
Nev York I Chicago
banks

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

+19,400 +17,310 +15,212 +3,265

+599

+6,122

+5^226 ,

+ 7,310 + 5,270 + 4,175 + 746
+ 8,780 + 8,990 + 8,304 +1,896
+ 3,310 + 3,050 + 2,733 + 623

-174
+521
+252

+1,607
+3,597
+ 918

+1,996
+2,290 .
+ 940

690 +

+ 18

-

- 33

- 629
+ 88
+ 145
+ 35

r *
Reserves, cash, and
bank balances

r •
*

+

75o +

507 + 962

112

-

361

99
+ 50
+ 43
+ 968

- 10
+ 61

- 105
+ 79
- 218
+ 132.

493 + 275

+ 31

+ 167

+

+20,740 +18,510 +16,212 +4,502

+648

+6,177

+4,885

Gross demand deposits
Gross time deposits

+ 6,680 + 6,650 + 5,523 +1,439
+12,520 +10,360 + 9,408 +2,411

+143
+4ll

+2,123
+3,928

+ l, 8lB

TOTAL DEPOSITS

+19,200 +17,010

+14,931 +3,850

+55^

+6,051

jM j £

- 1,290
+ 1,710
+ 5,050
+13,730

- 1,339
+ 1,511
+ 4,101
+20,658

- 1,161
+ 200
+1,424
+3,387

- 89
+108
+ 76
+459

- 178
+ . 739
+1,336
+4,154

+ 89
+ 464
+1,265
+2,658

Reserve with IS Banks
Cash in vault
Balances with banks
Cash Items
Other assets
Total assets

870
+ 330
+
20
+ 1,270
+

870 - 866
+ 310 + 217
+
10
40
+ 1,240 + 1,196

590 +

510 +

20

LIABILITIES & CAPITAL

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

- 1,290
+ 1,710
+ 5,020
+11,570

170

Borrowings

-

220 + 120

+ 14

-

184

-

Other liabilities

450 + 391 + 344
+ 1,480 + 1,320 + 1,110 + 188

+ 24

-

160

+ 183

+ 56

+ 470

+ 396

+20,740 +18,510

+648

+6,177

+4,885

Total capital accounts
Total liabilities
and capital

+

270 -

270

-

330 +

+16,212 +4,502

* Figures have boon rounded to nearest 10 Million*
Note— See notes on page 1.



_

CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
a. 7

All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
(Partly estimated. In billions of dollars)
Item

Oct. 11, Sept. 13,
1961 r/
1961

Change to Oct. 11,’-i+
V
Oct. 12,
1961 from —
i 960
Sept. 13, Oct. 12,
I960
1961

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

22.9

23.0

24.0

- .1

- 1.1

17.4
5.6
278.4

17.5
5-6
273.8

- .1
—
+4.6

- 1.3
+ .2
+20.5

147-7
101.6
72.6
28.3
.7
29.1

ll|6.2
98.8
70.3
27.8
.T
28.8

18.6
5.4
257.9
140.2
92.0
63.8
27.3
.9
25.8

+1.5
+2.8
+2.3
+ .5
—
+ .3

+
+
+
+

7.5
9.7
8.8
1.0
•1
+ 3.3

301.3

296.8

281.9

+4.5

+12-3

263.3

262.8

245.5

+ .5

+17.8

29.1
114.1
119.4
•7

28.8
114.9
118.4
.7

28.7
110.3
105.6
.8

+ -3
- .8
+ .9
mmtm

+ .4
+ 3.8
+13.7
.1

7.5

3.9

5.7

+3-6

+ 1.8

7.0
.5

3.5

5.3

.5

.5

+3.5
+ :i

+ 1.7
+ .1

1.2
.4
28.9

1.3
.4
28.3
296.8

- .1
+ .6

- 1,7
-+ 1.6

+i<-.5

+19.4

" 1
, A%
V
r4-~

<

M
A

*
)*v

1

T.TABTT.TTTES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
, ,
Demand deposits adjusted i/ £/
Time deposits adjusted 1/
Postal savings deposits
U. 8. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net 1/
Treasury cash
Capital and miscellaneous account®* net
Total liabilities and capital, net

3Q1.3

r/ September 13 figures have been revised.

3.0
.4
27_._a_
281.9

—

1

v-

-c.

*1
1 11A.

are gold,- ^
Figures may not add to totals because of rounding. Treasury funds included
account, Treasury currency account, and Exchange Stabilization Fund.
's*.'
1/ See footnotes on page 1.
mutual
2/ Demand deposits adjusted, including demand deposits of foreign banks and of
*

savings banks, were $115*9 billion on September 13*