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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM G.7 (For Immediate Release) \ October 28, 19^9 ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, SEPTEMBER 28, 191*9' Item (Partly estimated. In millions of doll^r^),.^ ‘ •I;fr»JJ ........ '-"a i i ..; Meinbef*e4Si All com Central reserve Reserve Country banks* mercial Total city banks city banks*/ New York|Chicago, banks , banks --- "-..."H ASSETS Loans and investments 139,060 118,750 99,830 19,671* 5,181 37,268 j 37,707 1*8,050 78,390 12,620 1*1,780 66,800 10,170 35,078 56,1*35 8,317 7,61*1* 10,666 1,361* 1,521 3,201* 1*56 13,672 20,671* 2,922 12,21*1 21,891 3,575 32,1*10 31,630 27,819 6,078 1,695 10,530 9,516 15,960 2,1*00 9,070 J*,980 15,960 2,290 8.j1*20 1*,960 15,965 1,722 5,288 1*,81*1* 1*,612 131* 66 1,266 1,171* 27 117 377 5,898 51*1 1,631* 2,1*57 1*,281 1,020 3,1*71 71*1* 1,950 1,720 1,1*98 386 1*5 599 1*68 173,1*20 152,100 129,11*7 26,138 6,921 1*8,397 1*7,691 Gross demand deposits Gross time deposits 102,800 102,780 55,670 36,610 89,133 29,21*9 21,201 1,730 5,306 1,052 33,302 11,585 29,321* 11*, 882 TOTAL DEPOSITS 158,1*70 139,390 118,382 22,931 6,358 1*1*,887 1*1*,206 10,698 3,259 75,1*88 2.8,937 3,808 1,066 16,1*51* 1,603 1,081* 261 3,965 1,01*8 1*, 962 1,231 27,211* 11,1*80 81*1* 701 27,855 11*, 806 380 1,1*50 375 1,289 225 61*1* 59 1*3 75 390 16 212 12,980 i 10,880 9,101 2,338 1*61 3,01*5 3,257 173,1*20 j152,100 129,11*7 26,138 6,921 1*8,397 1*7,691 Loans and discounts U.S.Govt, obligations Other securities Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cafeh items Other assets Total assets LIABILITIES & CAPITAL Deposits of banks U.S.Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities Total capital accounts Total liabilities and capital 11,290 11,290 3,71*0 3,71*0 88,270 88,250 55,170 : 36,110 380 1,590 Figures have been rounded to nearest 10 million. BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) October 28, 1 9k9 G*7(a) CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, AUGUST 31 TO SEPTEMBER 28, 19h9 (Partly estimated. In millions of dollars) Member banks 'All' Central reserve AH com Reserve city banks banks* mercial: Total city New York[Chicago banks* banks Item ASSETS Loans and investments Loans and discounts U.S.Govt, obligations Other securities + + + + 890 690 50 l5o + + + + 820 590 90 11*0 4* 651 4* 559 27 + 119 + + + Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items _ + + - 290 U90 190 20 10 — + 290 k90 190 20 10 - 399 ii88 1U3 U7 7 - - 130 4* Uoo - + 120 U80 + Gross demand deposits Gross time deposits + + 580 30 TOTAL DEPOSITS + Other assets Total assets Country banks 223 225 2k + 3 5 7 9 + + + 263 2k9 32 k6 + + + + 369 92 237 Uo + + - kk 8 303 15 5 165 + + + kl 9 1 3 52 + + 11 lUo kl 7 95 + + — + 19 36 86 k2 11 116 - 33 9 - - U59 29 + 38 136 + 21k + 36 352 4- 580 20 - 4- 3U2 6 + 192 16 + - Ul 5 4* 202 20 — + + 291 3 610 4- 560 4* 336 - 176 + 36: 4- 182 + 29k + + + 30 6k0 80 20 430 + 6^0 80 30 4- 12 U8 4» 537 4- 81 218 - 199 4 — lit 9 + — 1 kk 2 5 4- 19 4* 269 85 — 21 + k2 + 1U3 4* 106 + 3 + + 290 100 + 60 { + 444- 7 Ik 44* 27 37 4- 21k + 352 - 22 LIABILITIES & CAPITAL ’ Deposits of banks U.S. Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities Total capital accounts Total liabilities and capital * 290 80 50 - 287 4- 58 4- 29 f - 285 4* 21 - 19 1*80l + iiOO! + 136 - 1*59 i. Figures have been rounded to nearest 10 million. + + - ' + 7 3 3 29 11 6 BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM 0.7(b) October 28, 19U9 (For Immediate Release) CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, SEPTEMBER 29, 19ii8 TO SEPTEMBER 28, 19U9 (Partly estimated. Item In millions of dollars) Member banks All Reserve Central reserve com All city city banks Total mercial banks* banks New York Chicago banks* Country banks 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 +1,197 + U30 +2,UU0 + 868 + 910 + 60 - 375 - 271 +14,160 +1*,3U0 +U,6U6 +1 , 3 U2 +1,100 + 750 + 6 6 I4 + 126 - - 272 +2,336 + 376 + + + 339 661 108 -U.U70 -U.370 -Ui202 -1.092 - 128 -1,8U8 -1,13U -1,51U 20 Uo - 27U -1,387 + 33 + 276 56 +6,170 +5,150 +1,935 -3,860 -3,860 -3,852 - 829 - 122 + 70 i + 60 + 10 - 2 - 1 2 2 80 + 30 + 236 + 3 - 600 - 600 - 596 - 263 30 .. — '“ 1 r +1,670 + UO 7U0 + 25 - 3 7 + 2 708 1 + 68 + 30U - + + 507 307 Sh + 2h - 1U * 616 - 280 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits TOTAL DEPOSITS Deposits of banks U.S. Govt, deposits Other demand deposits Other time deposits Borrowings Other liabilities Total capital accounts Total liabilities and capital - 370 - 370 - 262 - 119 +1,320 + 520 + U53 + 69 50 + 950 + 150 + 191 - + 135 + 108 + 151 + 279 - U29 3 2U3 + U30 - U32 12 + 12 977 + 977 -1,2 23 -1,223 +1,18U + 38U + 30 + 30 + 110 + 100 + 580 + U60 + 32 - 101 + 8U5 + 608 - 976 - 528 + 290 29 + 50 + 22 + 90 + 22 + 377 + 7 h + Ui + 93 + h + 105 + 3U + 3 + 85 235 - 123 + 233 + 31 + 22 + + - + 2U + 133 + 7 91 329 19 37 U3 1U6 +1,670 + + 30U + 6l 6 - 280 + + + 7U0 708 Figures have been rounded to nearest 10 million. + 68 + + BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) October 2$ 19h9 G.7(c) CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, . the Postal Savings System, and Treasury Currency Fundsi./ (Partly estimated. Item In billions of dollars) Sept. 28, 191*9 Aug. 31, 191*9 Sept. 29, 191*8 Change to September 28, 191*9 From From August 31, September 29, 191*8 191*9 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 29*2 21*. 6 1*.6 29.2 21*. 6 1*.6 28.1* 23.9 1**6 160.0 159.5 +1.3 1*8.0 99.1* 78.U 17,9 3*2 12.6 189.2 158.7 1*7.2 99.1 78.3 17;5 3*2 12,5 187.9 1*7.1 100.8 71*. 2 23.3 3.3 11.5 187.9 + .7 + .1* + .1 + .3 — + .2 + .5 + .8 -1.1* +1*;2 -5.1* - *1 +1.1 +1.3 +1.3 k 166.6 166.9 166.9 21*. 9 83.3 55.2 3.2 25.1 83.1* 55.1 3.2 25.7 83.9 51*. 0 3.3 - .3 - .2 - ,1 — - .1* - .8 - .6 +1.2 - <1 -». — + .7 + .7 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits — +1.2 U. S. Government deposits 1*. 9 l*.l* + .5 3.7 2.8 +1;0 At commercial and savings banks + i6 3.7 3.1 ♦6 At Federal Reserve Banks 1*2 + .6 1.7 - *5 — 1.8 + .1 Foreign bank deposits, net 1.9 1.9 — — Treasury cash 1.3 1.3 1.3 Capital and miscellaneous 11*. 2 +1.1 accounts, net 13.1* + .1* 11*. 5 Total liabilities and 189.2 capital, net 187.9 187.9 +1.3 | +1.3 # For description of statement, see January 191*8 Bulletin, pp. 2i|-32 and corre sponding 'table in current Bulletin. Figures may not add to totals because of rounding. l/ Treasury funds included are gold account, Treasury currency account, and "" Exchange Stabilization Fund.