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L_ FEDERAL RESERVE October 26, 1962 For immediate release G.T ~ASSET3_AKD LIABILITIES OP ALL RANKS IN THE UNITED STATES, OCTOBER 10, 1962 (Partly estimated. In millions of dollars) Reserve city banks All All Country All City of New York member coml. Item Other banks banks Chicago City banks banks ASSETS Loans and investments Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and bank balances Reserve with PR Banks Cash in vault Balances with banks Cash items 270,350 226,490 187,661 30,471 8,463 70,455 78,272 164,590 132,640 112,185 71,860 65,620 52,320 33,900 28,230 23,156 20,179 44,633 42,438 18,065 25,620 3,784 4,935 2,127 1,401 7,757 10,214 6,508 46,120 47,370 41,266 8,l6l 1,919 16,773 14,413 16,870 16,866 3,394 275 932 7,191 947 2,024 5,349 12,780 16,870 4,050 12,220 14,290 7,220 1,801 14,230 3,063 7,478 13,859 4,323 4o 96 851 6,540 5,794 1,890 171 2,138 1,595 325,690 280,400 234,721 40,522 10,553 89,366 94,280 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 152,530 152,470 129,150 135,830 95,280 77,591 24,489 49,412 8,615 6,291 2,858 30,013 48,958 36,105 TOTAL DEPOSITS 288,360 247,750 206,741 33,104 9,149 79,425 85,063 15,960 4,309 1,314 402 4,597 1,838 2,836 7,617 2,446 39,517 29,845 Other assets TOTAL ASSETS/LIABILITIES Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 1/ Borrowings Other liabilities Total capital accounts 4,180 15,960 169 6,611 5,189 2,074 15,078 6,809 7,580 7,580 107,848 129,710 129,770 135,050 94,500 77,006 2,440 2,365 2,440 1,493 18,938 8,364 939 193 939 2,468 44,796 35,961 294 7,620 6,830 6,282 2,645 274 1,846 1,517 27,270 23,380 19,333 ■ 3,834 937 7,156 7,406 l/lncludes amounts now reported by insured mutual savings banks as demand deposits; formerly, they were reported as time deposits or other liabilities. CHANGES IN ASSETS AMD LIABILITIES OF ALL BANKS IK THE UNITED SPATES, SEPTEMBER 12, 3.962 TO OCTOBER 10, G.7 Item A3SBTS Loans and investments 1962 (Partj./ cr.‘ !.'<•\i-~d. In millions of dollars) j Ail | Ail f" _Reserve city banks JFVJ.i. cok X, member- New York City of Other City 3 banks.7*,' ioankis r i banks Chicago s ! +2 *Y50 | "J-'l'.6. 1.0 +2,035 - 95 +262 + 738 Loans and discounts U. S. Govt, obligations Other securities Reserves, cash, and hank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets TOTAL ASSETS/LIABILITIES Country banks +1,130 +1,110 +1,640 + 860 +1,720 + 30 + 836 +1,241 42 +251 -180 -166 +143 - 39 4- 374 4* 351 4 13 + 53 + 927 + 150 -2,230 -2,lto "2,097 -533 -121 -1,432 - + - 20 180 4io + 12 - 132 - 366 -1,611 -370 + 23 - 65 - + 20 - 180 - 320 -1,660 + 29 - 71 - 151 -1,239 + 25 + 4l8 - 84 - 219 - 126 + +158 11 + 50 + 80 + 47 - 38 + 4 - 60 - U + 570 + 550 - 15 -666 +130 - 669 +1,190 -109 878 -1,660 -186 71 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits +1,190 +1,090 + 267 856 +113 + 30 + 3^ Hh 315 + 670 + 39^ TOTAL DEPOSITS +1,190 +1,090 + 569 + 4 + 64 563 +1,064 + 50 +2,220 >2,250 +1,170 + 50 +2,220 -2,250 +1,070 + 46 +2,006 -2,310 + 835 + 71 +115 - 21 +168 -115 + 32 35 + 635 -1,457 + 294 + 31 + 602 + 37 + 39^ Borrowings - 370 - 370 - 408 -608 + - 6 + l4l Other liabilities - 330 - 270 - 261 - 77 - 4 - 134 - 46 Total capital accounts + 80 + 15 4, 3h + 31 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits l/ For footnote, see first page; r/ Revised. + 100 ! + !V * j -V'Vi *5 4- CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, OCTOBER 11, 1961 TO OCTOBER 10, 0.7 (Partly estimated. Item All banks .1'....... . .. a,.™... 1962 In millions of dollars) All coml. banks All member banks Reserve city banks* New York City of Other Chicago City Country banks ASSETS Loans and investments ,+19,160 +3j6,240 i +12,500 ' Loans and discounts U. S. Govt, obligations Other securities +15,100 +12,010 740 - 720 + 4,800 + 4,950 Reserves, cash, and bank balances + 46o + + Reserve with FR Banks Cash in vault Balance with banks Cash items + + + 290 + - Other assets ► TOTAL ASSETS/LIABILITIES + 9,868 + - 1,727 + 4,359 +1,066 +3,425 +6,578 + 660 - 151 + ’ 898 + 557 +3,393 -1,457 +1,489 +3,788 +1,375 +1,415 9 + 119 + 643 9 + 112 + 468 + b > i + 124 1 1 - 55 4 + 106 +1,431 +2,027 -1,494 560 + 262 - 491 330 325 254 127 190 - 264 + 60 200 - 280 + 150 200 - 370 + 330 254 - +13,016 + 330 + 4o + +19,990 +17,130 + + 1 - 286 + + - 19 + 17 7 6 170 + 122 885 +1,074 +3,714 +7,343 16 55 + LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + +13,140 744 +10,759 - 272 +1,302 + 912 -1,036 +3,962 +2>068 +4,583 ’TOTAL DEPOSITS +17,810 +15,250 +11,503 +1,030 + 896 +2,926 +6.651 350 + 350 + 280 620 + 620 + 554' 1,170 + 1,170 54 +15,670 +13,110 +10,723 + 107 + 192 - 534 +1,265 + 10 + 4 5 907 14 - 126 - 902 +3,968 + 197 + 484 +1,387 +4,583 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 1 / 2,110 + 2,110 + +15,700 + + + Borrowings + 510 + 510 + 462 153 + 18 + 4ll + 186 Other liabilities + 180 + 50 + 1.8 - 143 + 83 + 34 + 44 Total capital accounts + 151 + 77 + 343 + 462 1,490 + 1,320 + 1,033 + For numbered footnote, see first page. * Changes for New York and Chicago reflect increases of 3 basics each on July 28, 1962. Total assets of the banks added were $526 million and $M>5 million, respectively, on Aug. 15, 1962, and "other" reserve city banks were reduced '$931 million. -40.7 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Conmercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds (Partly estimated. Item In billions of dollars) Oct. 10, Sept. 12, Oct. 11, 1962 r/ 1961 1962 Change'' to Oct.1 1 6 * 1962 from — Sept. 12, Oct. 11, 1962 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 21.6 21.6 22.9 - 1.3. ‘ 16.1 16.1 - 1.3 5.6 5.5 17.4 5.6 278.4 +3-3' +1 .4 +1.9 +1.6 + .3 " +20.8 299.2 295-9' 162.3 103.1 71.9 30.5 .7 33-9 160.9 101.2 70.2 320.9 317.5 301.3 +3.3 +19.5 281.1 280.3 263.3 + .9 +17.8 30.0 29.8 + .3 + .6 +1.2 > + .9 . + 1.4 ’ +15.7 , - .1 30.3 •7 33.9 147.7 101.6 72.6 28.3 .7 29.1 +14.6 >, + jlJl - .7 + 2.3 - .1 __ + 4tfi— ^ „ LIABILITIES AND 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 115.5 135.0 ,6 116.1 29.1 n4.i 133.9 .6 119.4 .7 8.1 6.0 7.5 +2.1 + .6 7.6 .5 5-4 .6 7.0 .5 +2.2 + - .6 *.1 1.2 .4 Foreign bank deposits, net Treasury cash Capital and miscellaneous account, net 1.2 .4 30.0 1.3 ..4 29-7 28.9 +"?3 + lll__‘ Total liabilities and capital, net 320.9 317.5 301.3 +3.3 +19.5 " *Pi«ures may not add to totals because of rounding. Treasury funds included are jynld account Treasury currency account, and Exchange Stabilization Fund. 1/Demand deposits adjusted, including demand deposits of foreign banks and of mu savings banks, were $117.3 billion on October 10, 1962. r/Revised.