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F E D E R A L

R E S E R V E

(For Immediate Release)

September 27 , 1961

syi

\

L I Si

^SSETS AND LIABILITIES OF ALL BAKKS IN THE UNITED STATES, SEPTEMBER 13, 1961
,*y
^

L

R

E

S

t H

Item

estimated. In millions of dollars)
Member banks
All
Central reserve Reserve
All
commer­
city
city banks
Total
banks*
cial
banks
Chicago
New York
banks*
\

ASSETS

Country
banks

"I

206,380

172,050

29,042

7,175

65,360

70,473

148,150 119,260
64.060
70,340
23.060
28,930

101,368
52,160
18,522

17,994 4,229
8,152 2,170
2,896
776

40,657
18,545

38,488

6,158

23,293
8,692

47,970

47,080

4l,20lt

8,297 1,994

17,076

13,837

16,6io

16,610

929

3,820
14,350

14,063

205
153
4,111

31
103
931

6,999
904
2,164
7,009

4,859
1,740

12,300

16,615
2,880

3,828

3,940
13,040
14,380

6,800

6,160

5,544

.1,968

143

l,9te_ .....1*462.

302,130 259,620

218,79£

39,327 .2

Gross demand deposits
Gross time deposits

147.340 147,310
119.340 81,380

125,793

24,292

TOTAL DEPOSITS

266,680 228,690

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

247,420

7,646

5,226
2,012

84,380

85,779

6,211

66,216

7,220 1,945

49,285
25/156

46,003
31,295

192,00'i

31,512 8,156

75,041

77,298

7,512

1,609

LIABILITIES & CAPITAL

15,110
Deposits of banks l/
15,H0
3,490
U. S. Govt, deposits
3,490
Other demand deposits l/ 129,470 129,440
Other time deposits l/~ 118,610 80,650

108,855
65,673

l4,4lS

3,062

1,210

1,211

20,026
7,018

1,335
136
4,753
1,932

40,742
25,577

43,334
31,144

3,963
505

Borrowings

2,090

2,090

2,07;

1,219

108

633

113

Other liabilities

7,820

7,040

6,55C

2,934

191

1,958

1,467

Total capital accounts

25.600

21.800

18.166

3.662.

857

6,748

6,501

Total liabilities
and capital

j 302,190

259,620

218,79*

39,327 9,312

84,380

85,779

rX^UiCD 1JLCLVC UCCU JLWUiiUCU
v.w«
-, Note--The comparability of figures in this series is affected by changes in Federal
Reserve membership, mergers, etc., and in reserve classifications.
1/ Due to the reclassification of deposits of foreign central hanks, Deposits of banks

was
reduced by about $1,9 0 0 millionj Other demand deposits was increased^by about $400
http://fraser.stlouisfed.org/
million
and
Other
Federal Reserve Bank
of St.
Louis time deposits by about $1,5 0 0 million (on April 2o, 19ol)*

-2G.7

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
AUGUST 9, 1961 TO SEPTEMBER 13, I96I
(Partly estimated.

Item

In millions of dollars)

All
banks*

All
commer­
cial
banks*

+2,500

+2,280

+1,973

+ 868

- 72

+ 565

+ 612

+1,830
+
10
+ 660

+1,560
+
40
+ 680

+1,328
+
16
+ 629

+
+
+

300
214
354

+ 9
- 92
+ 11

+ 533
- 139
+ 171

+ 486
+ 33
+
93

+3,310

+3,l4o

+2,961

+

510

+245

+1,537

+ 669

- 240
+ 300
+ 920
+2,330

- 240
+ 290
+ 760
+2,330

- 232
+ 219
+ 687
+2,287

+ 188
+
20
+
14
+ 288

+ 6
+ l
- 13

- 229
+
63
+ 272
+1,431.

+
+
+

197
135
4i4
317

+

-

+

17

Member banks
Central reserve Reserve
Total
city banks
city
New Yorkl Chicago banks

Country
banks

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

+

90

+

70

+

65

-+Li >00 . +5ii29., +4,999

+251

7

4

+1,437

+166

+2,098

+1,298

698
24l

+144
- 7

+1,893
+ 202

+1,133
+ 238

59

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+4,230
+1,220

+4,230
+ 790

+3,868
+ 674

TOTAL DEPOSITS

+5,450

+5,020

+4,542

939

+137

+2,095

+i,37i

+ 690
-1,270
+4,810
+1,220

+ 690
-1,270
+4,810
+ 790

+ 652
-1,206
+4,4l6
+ 680

+
26
- 478
+1,144
+ 247

+ 33
-124
7

+ 531
- 424
+1,786
+ 202

+ 62
- 180
+1,251
+ 238

Borrowings

+ .70

+

70

Other liabilities

+ 210

+

Total capital accounts

+

+

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

Total liabilities
and capital

170

+5,900

+235
-

98

+

381

+ 15

- 127

- 171

290

+ 269

+

120

+ 4

+ 100

+

110

+

90

3

+ 10

+

+4,999

+1,437

+166

+5,490

+

* Figures have been rounded to nearest 10 Billion.
Note— See notes on page 1*



+

J

45

30

. + . 53

+2,098

+1,298

r-7

CHANGES IN ASSETS AMD LIABILITIES OP ALL BANKS IN SHE UNITED STATES,
SEPTEMBER l4, i960 TO SEPTEMBER 13, I96I
(Partly estimated.

Item
.

All
banks*

All
comer*
cial
banks*

+16,060

+13,820

____ ______ __ — ^...

Ia Billions of dollars)
Member banks
Central reserve Reserve .
Country
city
Total
city banks
banks
New York I Chicago banks

ASSETS
Loans and investments

I-

Loans and discounts
U. S. Govt, obligations
Other securities
Reserves, cash, and
bank balances

+3,019

+484

.+4,238

+4,485

+ 5,970 + 3,750
+ 6,890 + 7,140
+ 3,200 + 2,930

+ 3,006 + 425
+ 6,69c +1,956
+ 2,530 + 638

-158
+476
. +166

+ 760
+2,628
+ 850

+1,979
+1,630 .
+ 876

+

50

-

18C + 395

-107

+

4

- 472

910
330
370

905
271

89
1

160

+
+
+

+
+
-

19
93
39

69

- 859
+ 132
+ 211
+
44

7k0

+

+ 102

90

+
+
+

910 -

+

820 +

+12,226

251

+
24
+
45
+
48
+ 278

+
-

736

+ 405

+ 37

+ 192

+16,970 +14,510

+12,782

+3,819

+4l4

.,14*424..

Gross demand deposits
Gross time deposits
<
TOTAL DEPOSITS

+ 3,190 + 3,190
+12,500 +10,220

+ 2,404
+ 9,267

+ 649
+2,353,

- 90
+424

+ 621
+3,767

+1,224
+2jJ21 _

+15,690 +13,1*10

+11,671

+3,002

+334

+4,388

.+2x2^2-..

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

- 1,380 - 1,380
- 250 - 250
+ 3,620 + 3,620
+13,700 +11,420

- 1,321
- 25l<
+ 2,756
+10,1*90

-1,262
- 46
+1,011
+3,299

- 44
- 25
- 73
+476

- 145
- 97
+ 631
+3,999

+ 130
- 86
+1,187
+2,716

Borrowings

-

670 -

670

-

581 +

77

- 30

- 364

- 264

Other liabilities

+

520 +

58O

+

592

+

554

+ 33

-

+

186.

+ 77 . + ^?4

Reserve with FR Banks
Cash in vault
Balances with banks
Cash items
Other assets
Total assets

350 +
%0 +
160 +

203

17

2

LIABILITIES & CAPITAL

j

,Total capital accounts

+ l.teo + 1.1QO

+ }_r100

+

Total liabilities
and capital

+16,970 +14,510

+12,782

+3,819

* Figures have been rounded to nearest 10 ailllon.
Note--Bee notes on page 1.



+4l4

44

+4,434

49
3fl3-

+4,1.15

-4CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
G.7

All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds

' i

(Partly estimated. In billions of dollars)

Item

Sept. 13> Aug. 9,

1961

1961

Change to Sept. 13,
1961
from —
Sept. 14, Aug. 9>
Sept. 14,
I960
1961
19&L-.
>

ASSETS
Monetary re serve
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

23.0
17.5
5.6

23 .I
17.6
5-5

273.9
146.1
Q8.9

271.7
144.8
98.6

70.3
27.8
.7
28.9

70.3
27.5

24.3

-

1 i
256.2
139-6
90.9
63.5

.1
.2

+ 2.3
+ 1.3
__±— >3—

- 1.3
- 1.5
+ .2
+1Z*Z—
+ 6.5
t a.o—
+ 6.9
+ 1.2
- .1
+ 3.2

26.6

+

.3

28.3

-9
25.7

+

.7

296.9_

294.8

280.5

+ 2.J.- . +l£.k—

263.2

259.6

245.9

+ .3-6-

+13*3—

28.9
115.1

28.6
111.6

- .1
+ 2.5
+ 1.2

•7

29.0
112.6
117.4
.7

+ .2
+ 3-5
+13-7
- .1

4.0

5.2

4,2__

3*5
•5

4.8
.4

3-7
.4

- 1.3

1.3
.4

1.2

3-0
.4

+

.1 .

- 1.7

-

.2

4. 1-Q-

•O

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted l/ 2/
Time deposits adjusted lj~
Postal savings deposits'
U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net l/
Treasury cash
Capital and miscellaneous accounts, net
Total liabilities and capital, net
*

118.6

.4

28.1

28.3

296.9

294.8

104.9

.8

280.5.

+ 2.3—

_

-2_

-

-3

+16.4

Figures may not add to totals because of rounding. Treasury funds included are gold
account, Treasury currency account, and Exchange Stabilization Fund.

2/ Demand°deposits

Sjusted, including demand deposits of foreign banks and of mutual
savings banks, were $116.5 billion on September 13-




,