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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. <