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FEDERAL

RESERVE

release

September 23, 1964
For immediate release
ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES, SEPTEMBER 9, 1964
J.4

(Partly estimated.

*■ *

Item

ASSETS
v Loans and investments
**
Loans and discounts
>
U. S. Govt, obligations
*
Other securities
r Reserves, cash, and
. ,. bank balances
*
,
^

Reserve with PR Banks
Cash in vault
Balances with banks
Cash items
Other assets
TOTAL ASSETS/LIABILITIES

In millions of dollars)

All
banks

All
coml.
banks

312,490

261,110 216,049 36,357

9,653

8l,l6l

88,878

204,470
65,080
42,940

164,750
58,970
37.390

139,031
45,903
31,115

25,021
5,611
5,725

6,235
1,761
1,657

55,280
15,192
10,689

52,495
23,339
13,044

52,240

51.390

44,166

8,194

2,043

18,018

16,910
4,620
14,820
15,890

16,910
4,490
14,150
15,840

16,911
3,490
8,391
15,374

3,242
298
215
4,439

934
56
181
872

6,984
1,086
2,339
7,609

2,454

_ A fr3Q -

8.560

..Ii5Q2

..2,485

.252.

. 2 *555 .

.2,201.

321.060 267,717

47.036

374,i 6o

All
member
banks

Reserve city banks
New York City of
Other
City
Chicago

Country
banks

5,751
2,050

5,656

ioij73^

106,996

50,704

>1,805

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

170.040

TOTAL DEPOSITS

328,690 281,050 233,704 38,468

10,456

89,385

16,750 15,795 4,743
4,570
4,021
804
138,230 138,180 114,140 19,299
169,140 121,550
99,748 13,622

1,391
199
4,712
4,154

7,691

1*970

1,570
4l,608
38,516

1,448
48,521
43,456

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

158,650 158,600 133,228 24,443
122x450 100.476 14.1.0.25.

16,750
4,570

.38,681

95,395

3,940

3,940

3,612

1,211

247

1,390

764

Other liabilities

10,030

8,062

2,929

215

2,758

2,160

Total capital accounts

31,500

8,890
27,180

22,339

4,428

1,033

8,201

8,677

NOTE:

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




CHANGES IN ASSETS AND LIABILITIES OP ALL BANKS IN THE UNITED STATES,
AUGUST 12, 1964 TO SEPTEMBER 9> 19^4
j.4
Item

(Partly estimated. In millions of dollars)
Reserve city banks
A IT ' A IT member New York City of
All
coml.
Other
banks
banks
banks
CitjL- Chicago

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

Country
banks

+2,160

+1,630

+1,424

+243

+ 63

+687

+

+1,040
+ 540
+ 580

+
+
+

490
540
600

+ 424
+ 471
+ 529

+ 72
+ 6

+240

+165

- 38
+ 27
+ 74

+313
+134

+ 150
+ 125
+ 156

+

200

+

220

209

-295

-110

-627

823

+
+
-

320
120
98O
98O

+ 320
- 120
+1,000
- 98O

+ 317
76
+ 535
- 985

-105
+ 12
- 57
-145

+ 21
+ 2
+ 30
-163

- 33
- 7

+

500

+

+

+ „^

+

500

35.3_

431

-7^3

+
+
+

434
83
4o6
66

6

+-1L

+

298

+156

+2.860

+2,350

+1,568

18

41

+ 75.

,+ l | ? g S -

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+
10
+1,450

+
10
+1,030

- 224
+ 850

-125
+124

- 4o
+ 33

-467
+31*!

+ 408
+ 352

+1,460

+1.040

+

626

- 1

- 7

-126

+

TOTAL DEPOSITS

+ 960
-1,190
+ 230
+1,460

+ 960
-1,190
+ 230
+l,o4o

+ 918
-1,107
42
+ 857

+392
-323

48
97
8
3b

+390

+

+132

+
+
+

+339

88
214
+ 53^
+ 352

TOTAL ASSETS/LIABILETIES

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

-202

-U73

-382

760

+

300

+

300

+

124

-127

- 36

-123

+ 410

Borrowings
Other liabilities

+

650

+

570

+

515

+114

-

6

+266

+

141

+

450

+

44o

+

303

4

+

8

+ 58

+

Total capital accounts

241




-3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
SEPTEMBER 11, 1963 TO SEPTEMBER 9, 19^4

j,lj.

(Pai’tly estimated.
Item

All
banks

t-------------- — --- ‘

In millions of dollars)
Reserve citv banks
All
All
member New York City of
coml.
Other
Chicago
City
banks
banks

Country
banks

ASSETS
Tmnq and investments

+22,630

+18,320

+15,150

+3,909

+464

+5,640

+5,137

Loans and discounts
► U. S. Govt, obligations
Other securities

+21,640
- 2,390
+ 3,380

+17,230
- 2,300
+ 3,390

+14,744
- 2,314
+ 2,720

+3,562
+
5
+ 342

+545
-123
+ 42

+5,651
-1,221
+1,210

+4,986
- 975
+1,126

+ 1,570

+ 1,610

+ . 678

- 212

+ 25

-

546

+l,4ll

863
82
516

- 333
+
33
+
8
+
80

+ 75
+ 9
+ 1
- 60

+ 196
+
14
- 87
- 669

+ 925
+
26
+ 327
+ 133

988

+

238

+ 74

+

199

+ 477

Reserves, cash, and
bank bal Rnoe&

+
860 + 860
60
+
60 +
+ 1,110 + 1,140
450
460 -

+
+
+

+ 1,330

+ 1,230

+

+25,530

+21,160

+16,816

+3,935

+563

+5,293

+7,025

Gross demand deposits
.Gross time deposits

+ 3,580
+17,610

+ 3,590
+13,650

+ 2,349
+11,486

+ 612
+2,959

+

+580

5

- 162
+4,380

+1,894
+3,567

"*TOTAL
XvXXIuLI DEPOSITS
XJlil

+21,190

+17,240

+13,835

+3,571

+585

+4,218

+5,461

+
690
+
410
+ 2,610
+17,480

+
69O
+
410
+ 2,620
+13,520

+
615
+
419
+ 1,474
+11,327

+ 358
+ 167
+ 228
+2,818

+ 67
+ 4l
- 93
+570

+
70
+ 247
- 463
+4,364

+

Borrowings

+

440

+

440

+

233

-

209

- 49

+

21

+

470

Other liabilities

+ 1,070

+

920 +

740

+

97

- 20

+

371

+

292

Total capital accounts

+ 2,830

+ 2,560

+ 2,008

+

476

+ 47

+ 685

>• Reserve with FR Banks
Cash in vault
Balance with hanks
Cash items
Other
V yiiWJL assets
tjv#ww
h
TOTAL ASSETS/LIABILITIES

249

LIABILITIES & CAPITAL

.

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




120

36
+1,802
+3/575

+ 802

I

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.l*

(partly estimated.

Item
ASSETS
MntiP'hftT'v ressrvfi

In billions of dollars)
Change to Sept. 9*
1Q64 from — _
Sept. 11 , Aug. 12, Sept. l£,
Sept. 9> Aug. 12, !
1961 .
1964
1964
1964
1963
<
...
- .2 ^
21.2
21.0

21.0

.1 -

15-5
5.6

15.5
5.6

15.6

345.2

342.7

319.9

+2.5

+25.2

200.T

200.0

101.5
65.1
35.6

100.3
64.5
35.0
.7
42.4

179.7
100.7
67.5
32.5
.7
' 39.6

+ .7
+1 .2

+ .6

+21.0 „
+ .8
- 2.4^ “
+ 3 .1 «
+ «1
+ 3.4

366.2_

363.7

341.1

+2.5

+25..1 ,-

325.7

322.6

302.9

+3.1

+22.8 r

33.8
122.3
169.1
.4

33.4
121.1
167.7
.4

31.5
119.3

+ .4
+1.2
+1.5

+ 2.3 ^
+ 3 .1
+17.5
- .1 -

5.4

6.8

5.2

-1.4

+

4.6
.8

5.8

4.2

1.0

1.0

-1.2
- .2

+ .4
- .2 ■

Foreign bank deposits, net
Treasury cash
Pfl'nUai
miscellaneous
yCvUX
Vi3pJ» and WUUU
Vv^nfc^Mvvmnm* account,
wj net
■

1.3
.4
33.3

1.3
.4
32.5

1.2
.4
31.4

Total liabilities ajnd capital, net

366.2

Gold stock .
Treasury Currency
jJCmiX WvLXV/
Loans, net
tt s ffOvt. obligations
Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

.8
42.9

-

5-6

+ .5
+ .6

,

LIABILITIES AND CAPITAL
Total deposits adjusted and
mirrpnpv
V
VLL1Cllwj outside
UUwW AUV banks
Currency outside banks
Demand deposits adjusted 1/
Time deposits adjusted
Postal savings deposits
I
fJ
lfovv
fniBfint dfiDOfilts
yTA Qi V
Vfvt
4>
ww
At commercial and savings banks
At Federal Reserve Banks

*

,, 362U L -

151.6

.5

341.1

+

■

-1

+ ~a

+ i"a.

+2.5

+25.1

Figures may not add to totals because of rounding. Treasury funds included are
Kold account, Treasury currency account, and Exchange Stabilization Fund.
1/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual

savings banks, were $124.4 billion on September 9, 1964.


.2 "