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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- ,