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FEDERAL
statisticoi

RESERVE

rele

r

September 24, 1963
For immediate release

ASSETS AND LIABILITIES OF ALL'BAJJKS IlfTHE UNITED STATES,SEPTEMBER 11, 1963
J. 4
■*--

...

-

— .-

Item
ASSETS
iioans and investments
Loans and discounts
* U. S. Govt, obligations
, Other securities
Reserves, cash, and
bank balances

All
banks

All
coml.
banks

Reserve city 1janks
All
member New York City of Other
Chicago
banks
City

289,380 242,310 200,899 32,448

Country
banks

9,189

75,521

83,741 .

5,690
1,884
1,615

49,629
16,413
9,^79

47,509
24,314

39,840

124,287 21,459
5,606
48,217
34,280
5,383
28,395

50,970

50,080

43,488

8,4o6

2,018

18,564

14,500

16,050
4,560

16,050

16,048

3,575

4,430
13,310

3,408
8,142

859
47

6,788
1,072

182,310

67,230

147,000

61,030

11,918

14,010
16,350

16,290

15,890

4,359

932

8,278

4,826
2,024
5,329
2,321

8,100

7,330

6,514

2,247

181

2,356

1,730 _

348,450 299,720 250,901

43,101

11,388

96,441

99,971

LIABILITIES & CAPITAL
Sross demand deposits
Gross time deposits

154,970 154,910 130,879 23,831
88.990 11.066
1*52.^50 108.720

6,271
3,600

50,866
34,301

49,911
40.023

'TOTAL DEPOSITS

307,320 263,630

34,897

9,871

85,167.

89,934_

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

15,180 4,385
4,160
3,602
4,160
637
135,520 135,460 112,666 19,071
151,580 107,950 88,421 10,804

1,324

7,621

1,850

4,805
3,584

1,323
42,071
34,152

1,484
46,719

Reserve with FR Banks
^ Cash in vault
Balances with banks
* Cash items
w>
Other assets
a

TOTAL ASSETS/LIABILITIES

Borrowings
►
Other
liabilities
<
¥■
Total capital accounts

r *

NOTE:

16,060

219,869

265
207

16,060

180

158 .

2,426

39,881

3,450

3,^50

3,379

1,420

296

1,369

294

9,010

8,020

7,322

2,832

235

2,387

1,868

28,670

24,620

20,331

3,952

986

7,518

7,875

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



CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
AUGUST 14, 1963 TO SEPTEMBER 11, 19^3
J.4
Item

(Partly estimated. In millions of dollars)
Reserve city banks'
TOT~
HI
City of
New
York
member
All
coml.
Other
Chicago
City
banks
■banks
banks

ASSETS
Loans and investments
Loans and discounts
U. S. Govt, obligations
Other securities

+1 ,7^0
- 140
+ 740

+1,570
- 150
+ 740

Reserves, cash, and
bank balances

+1,880

+296

+113

+1,396
- 159
+ 643

+ 35

+ 678

+506

+126

+112

+149

Country
banks

+ 899

+572

+106

901

-102
+109

- 184

+354
+ 15

182

+203

Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets
TOTAL ASSETS/LIABILCTIES
LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits
TOTAL DEPOSITS
Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

+482____ + 30

+1,019_

+635

+ 760
-1,646
+2,211
+ 841

+265

+ 51
-140
+ 60
+ 59

+ 337
- 706
+1,103
+ 285

+107
-362
+737
+153

+

+260
- 24

- 52
- 21

-

+

77
121

+

26
152

-105
+ 14

+

85

- 2

+ 6

+

52

+ 29

+1,323
+ 8^3_

+2,690

+2,480

+2,166

+ 800
-1,780
+2,550

+ 800
-

1,780

+2,550
+ 910

Borrowings

+

50

+

Other liabilities

+

140

50
+ 130

110

100




+482

+1,560
+ 920

+1,120

Total capital accounts

+ 739
+ 280

+1,560
+1A3Q-

_±35!

-438
+311
+344

- 24
+ 5?L

+153

-3-

*
,

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,

SEPTEMBER 12, 1962 TO SEPTEMBER 11, 1963

"J
j.

(Partly estimated.

4

Item

I
t
■
v

All
banks

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

Country
banks #

ASSETS

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

►Reserves, cash, and
r*Reserve with FR Banks
" Cash
in vault
Balance with banks
. Cash items
A/
fu
VI
ll
AC
YX
*CUSOwwO
^V
4

TOTAL ASSETS/LIABILITIES
LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+21,780 +18,430

+15,273

+1,882

+988

+5,804

+6,59.2—

+18,830 +15,220
- 2,990 - 2,870
+ 5,9^0 + 6,080

+12,938
- 2,862
+ 5,197

+1,531
-1,082
+1,433

+913
-100
+175

•+5,370
-1,301
+1,735

+5,124
- 379
+1,854

+ 620 + 570 + 125 - 288
800 - 800 - 806 - 189
00 + 21398 +
13
+
200 + 2
+
+
820 + 770 + 2
+ 4oo + 400 + 420 - 15038
+ 930 + 870+ 767 + 319.
+1,
913—
+23,330 +19,870. +16,165

+ ^59
-138
- 374
+
7 + 54
+
+ 251
428
+8
28
1+
- 1 + 24i_

+ 76
- 105
+
139
- 79
+ 121
+ ?o6

+965

+6,4o6_

.+6»88l—

+2,440 +2,440 +1,442
+17,710 +14,530 +12,255

- 767
+2,564

+
1
0
+776

+ 576
14,603

+1,623
t'+,3.12_.

+20,150 +16,970

+1,797

+786

♦•5.1179

+5.9^L_

- 22.

*

»TOTAL DEPOSITS
Deposits of banks
* U.OtherS. Govt,
deposits
demand deposits
Other time deposits
Borrowings
v Other liabilities
Total capital accounts

+13,697

- 11
- 31
+
150 + 150 + 148 + 147
488
76
1,201
1,200
1
,
2
0
0
- 255
f
1,097
650
+
2,500
+
93
+
3,500
+
3,500
+780 f4,6oi
+17,TOO +14,520 +12,250
+2,555

+ 43
- 382
+1,960
+4,314

64c +

64o +

606

- 127

+168

h

424

+ l4l

+ 1,06C +

920 +

779

+

110

- 43

f 407

+ 305

+ 1,083

+

133

+ 54

+

+ l,48c + 1,340

[

396

1+

500

*

>



# Beginning 'with June 1963 country bank
totals have been increased and New York City
figures reduced $525 million incident to a
change in reserve classification of three
banks.

_4_
CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONKTARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
j

(

p

a

r

t

l

y

estimated.

Item

In billions of dollars)

Change to Sept. 11,
1963 from — v SEPT. 11, AUG. 14, SEPT. 12, -AUG. 14, SEPT. 12,
1962
1962 *
1963
1963
1962.
.

•4

ASSETS
Mfinet&rv reserve
Gold stock .
Treasury Currency
Ttenlt credit
Loans, net
U. S. Govt, obligations
Commercial and savings banks
Federal Reserve Banks
Other
Other securities
Total assets, net

. ,

21.2

21.2

21.6

15.6

15.6

16.1

5.6

5-6

5-5

TL9.5

316.6

295-9

179.2
100.4
67.2
32.5
.7

177. ^

160.9

39.8

67.4
32.1
.7
39.1

30.3
•7
33.9

3^0,jL

337.8

317.5.— .

302.7

299-0

280.3

tlJ

+22.5

+ .1
+2.5
+1.1

.5

31.4
116.7
150.4
•5

29.8
116.1

+ 1.8
3-1*
+17.7 - .1

5,2

7.0

6.0

4.2

5-9

5

100.2

101.2
70.2

- .4 y
> t
- -5 *

+22-6
+18.4 *
- .7* *
- 3.0 ,
+ 2.3

+2.9
+1.9
.+ ,.:.!
- .1
+ .4
+ .7.

+ 5.9 *

+

+23.1

£

u

2

-

—

,

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/
Time deposits adjusted
Postal savings deposits
U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net
Total liabilities and capital, net

31-5

119.2
151.6

u

1.0

1.1

1.2

1.2

4

.4

.

31.1

30.2

340.7

337-8

133.9

.6

+

J

__JL*:.
-1.8

^

.6

- 1 .2 * 1
.4

+

T

1.2
.4
29.7
..3.1.L.L-

+1.0
'

+2.SL.

+

1.5 1

+23.1*.

* 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 $ 1 2 1 .1 billion on September 11 , 1 9 6 3 .