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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 .