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FEDERAL
s t at i st i c

RESERVE

e! e a s e

For immediate release
September 11, 1968

IJCBIiAKY

\ yf.
<*>/
ASSETS AND L I A B I L I T I ^ ^ ^ ^ L ^ ^ ^ X THE UNITED STATES, AUGUST 28, 1968
J.4

(Partly estimated.

In millions of dollars)

All
banks

All
coml.
banks

All
member
banks

442,170

374,170

304,669

53,187

13,473

110,257

127,752

301,030
65,450
75,690

247,300
60,990
65,880

205,850
45,898
52,921

39,806
5,855
7,526

9,381
2,061
2,031

77,262
13,952
19,043

79,401
24,030
24,321

68,340

67,390

59,497

16,347

3,033

22,100

18,017

20,630
6,730
15,330
25,650

20,630
6,580
14,610
25,570

20,626
5,117
8,651
25,103

4,424
395
405
11,123

1,227
85
555
1,166

8,813
1,573
2,036
9,678

6,162
3,064
5,655
3,136

14,510

13,280

11,600

3,443

673

4,254

3,230

525,020

454,840

375,766

72,977

17,179

136,611

148,999

Gross demand deposits
Gross -time deposits

191,220
259,900

191,140
196,230

159,300
157,886

33,828
20,215

6,863
6,007

56,954
60,254

61,655
71,410

TOTAL DEPOSITS

451,120

387,370

317,186

54,043

12,870

117,208

133,065

19,250
5,190
168,470
258,210

19,250
5,190
168,390
194,540

18,281
4,494
138,031
156,380

6,644
797
27,137
19,465

1,240
149
5,484
5,997

8,171
1,762
47,588
59,687

2,226
1,786
57,822
71,231

Borrowings

11,140

11,140

10,684

4,108

1,047

4,623

906

Other liabilities

21,890

20,580

18,656

8,738

1,897

4,381

3,640

Total capital accounts

40,870

35,750

29,240

6,088

1,365

10,399

11,388

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

Reserve city banks
New York City of
Other
City
Chicago

Country
banks

LIABILITIES & CAPITAL

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

Seasonally adjusted data
Loans and investments 1/..
T.oans a n d di s e n n n t s

1/

.

U.S. Govt, obligations...........
Other securities.................
NOTE:

1/ Excludes total coml. interbank loans.
369,100
240,300
63.400
65.400

Comparability of figures affected by changes in FR membership, mergers, etc.,
and in reserve classifications.




-2CHANGES IN ASSETS AMD LIABILITIES OF ALL BANKS IN THE UNITED STATES,
JULY 31, 1968 TO AUGUST 28, 1968
J •^

(Partly estimated.

In millions of dollars)

All
All
coml.
banks r/
banks

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
TOTAL ASSETS/LIABILITIES

|

All
member
banks

Reserve city banks
New York City of
Other
Chicago
..City

Country I
banks

+2,790

+2,070 - +1,660

-

242

+102

+1,047

+753

,

+ 160
+1,200
+1,430

- 320
+ 950
+1,440

- 528
+ 841
+1,347

+
+

912
180
490

+ 49
- 10
+ 63

+
+

63
501
609

+398
+170
+185

|

-2,510

-2,530

-2,357

-

296

- 56

-1,447

-558

- 630
+ 200
- 170
-1,910

- 630
+ 200
- 190
-1,910

- 635
+ 179
- 109
-1,792

9
18
61
244

-153
+ 4
+137
- 44

+

439
100
58
-1,050

- 34
+ 57
-127
-454

-

320

-

330

-

38

+ 13

-

275

- 22

-

40

-

790

-1,019

-

576

+ 59

-

675

+173

+
-

322

,
'

I

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

-5,810
+3,750

-5,810
+2,810

-5,476
+2,352

-2,366
+ 314

-191
+126

-2,028
+1,045

-891
+867

TOTAL DEPOSITS

-2,060

-3,000

-3,124

-2,052

- 65

-

983

- 24

i

-1,140
- 820
-3,770
+3,670

-1,140
- 820
-3,770
+2,730

-1,094
- 785
-3,528
+2,283

- 725
- 422
-1,162
+ 257

- 23
- 82
- 83
+123

- 329
- 238
-1,452
+1,036

- 17
- 43
-831
+867

|

Borrowings

+

990

+

+

921

+

655

-224

+

361

+129

Other liabilities

+

910

+1,110

+1,104

+

814

+353

79

+ 16

Total capital accounts

+

120

+

+

+

7

26

+ 52

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

Seasonally adjusted data
T.nnrvQ onfl nvpfl+.THPn+.B 1 /.
Loans and. discounts l/.
U.So Govt * obligations••••••••*•••
Other securities..................




. .

990

110

+4,500
+2,600
+ 800
+1,200

80

-

5

+

For numbered footnotes, see first page.
r/

Fiffures for mutual savines banks
yprp. rp vi s d .

1

!

C H A N G E S IN A S S E T S A ND L I A B I L I T I E S OF A LL B A N K S IN T H E U N I T E D S T A T E S

t

A U G U S T 30, 1967 T O A U G U S T 28, 1968

I J.4

(Partly estimated.

Item

In m i l l i o n s o f dolla r s )

Reserve city banks
New York City of
Other
C i t y . Chicago

All
banks

All
coml.
banks

All
member
banks

+37,890

+32,940

+26,410

+4,666

+26,160
+ 1,940
+ 9,790

+22,960
+ 1,850
+ 8,130

+18,720
+ 1,482
+ 6,208

+3,446
+ 221
+ 999

+ 8,500

+ 8,580

+ 7,437

+ 2,520
+
330
+ 1,370
+ 4,280

+ 2,520
+
350
+ 1,440
+ 4,270

+ 1,700

• Country
banks

ASSETS

\

221

+ 9,015

+11,508

+
+
+

458
347
416

+ 7,258
+
219.
+ 1,538

+ 7,558
+
695
+ 3,255

+3,407

+

427

+ 2,016

+ 1,587

+ 2,520
+
321
+
336
+ 4,260

+ 250
+
18
+
78
+3,061

+
+
+

133
5
283
16

+ 1,097
+
88
45
+
876

+ 1,040
+
220
+
20
+
307

+ 1,590

+ 1,343

+

206

+

179

+

+48,090

+43,110

+35,190

+8,279

+ i .,827

+11,520

+13,564

Gross demand deposits
Gross time deposits

+14,610
+21,560

+14,600
+16,520

+12,195
+11,876

+4,141
- 737

+
-

248
46

+ 3,491
+ 4,949

+ 4,315
+ 7,710

TOTAL DEPOSITS

+36,170

+31,120

+24,071

+3,404

+

202

+ 8,440

+12,025

+

950
+ 1,290
+12,250
+21,680

+

950
+ 1,290
+12,240
+16,640

+
997
+ 1,134
+ 9,945

+
+

+
+

211
472
+ 2,837
+ 4,920

+
+

-

13
22
238
45

+
+

+11,995

675
154
+3,126
- 551

+ 4,620

+ 4,620

+ 4,475

+1,968

+

549

+ 1,664

+

294

Other liabilities*

+ 4,760

+ 4,980

+ 4,722

+2,482

+

937

+

809

+

494

i

Total capital accounts

+ 2.540

+ 2.390

+ 1.922

+

425

+

139

+

607

+

751

i

Seasonally adjusted data
Loans and investments 1/.
Loans and discounts 1/.
U.S. Govt, obligations .

Lo an s and inve stmen t s
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

f
*

f

\

I

TOTAL ASSETS/LIABILITIES

-

489

+

469

LIABILITIES & CAPITAL

Deposits of banks
U. S. Govt, deposits

Other demand deposits
Othf'r time deposits
Borrowings
■
>




32,500
22,300
2,100
8,100

124
486
+ 3,744
+ 7,671

For numbered footnotes, see first page.

CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
J.4

(Partly estimated.
Item

In billions of dollars)

Aug. 30,
1967

Change to Aug. 28.
1968
from —
July 31, Aug. 30,
1968
1967

Aug. 28,
1968

July 31,
1968 r/

17.1

17.1

19.7

10.4
6.7
484.3

10.4
6.7
483.2

13.0
6.7
445.6

+1.0

+38.7

290.5
118.1

291.6
117.4

268.5
111.2

-1.1
+ .7

+22.0
+ 6.9

65.5
52.6
.1

64.3
52.4
.8

63.5
46.2
1.5

+1.2
+ .2
- .7

+ 1.9
+ 6.4
- 1.5

75.7

74.3

65.9

+1.4

+ 9.8

501.4

500.3

465.3

+1.1

+36.1

442.6

440.6

410.0

+2.0

+32.6

41.6
142.8
258.2

41.4
144.7
254.5

38.6
134.9
236.5

+ .2
-1.9
+3.7

+ 3.0
+ 8.0
+21.7
““

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

--

- 2.6
- 2.6

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/
Time deposits adjusted
Postal savings deposits

6.2

7.1

5.2

- .9

+ 1.0

At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net

5.2
1.0
2.0
.8
49.8

6.0
1.1
2.2
.8
49.5

3.9
1.3
1.9
1.5
46.7

- .8
- .1
- .2
+ .3

+ 1.3
- .3
+ .1
- .7
+ 3.1

T^tal liabilities and capital, net

501.4

500.3

465.3

+1 . 1

+36.1

U. S. Government deposits

Seasonally adjusted
41.3
+ 3.0
41.4
38.4
+ .i
Currency outside banks
145.0
.3
+
8.0
144.7
136.7
Demand deposits adjusted
* Figures may not add to totals because of rounding. Treasury funds included are
gold account, Treasury currency account, and Exchange Stabilization Fund.
1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual
savings banks, were $ 145.5 billion on August 28, 1968.
r/
Figures
 for mutual savings banks were revised.


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