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FEDERAL
stati sti cal

RESERVE

ir
----->
i

L IB R A R Y
September 27? 19*52
For immediate release

ASSETS AMD LIABILITIES OP ALL BANKS IN THE UNITED STATES, SEFTEMBER 12, 1962
(Partly estimated. In millions of dollars)
Reserve city banks
All
All
Country
All
New
York City of
member
coml.
Other
Item
banks
Chicago
banks
City
banks
banks

5.7

ASSETS
loans and investments
Loans and discounts
IT. 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/LIABILITIES
LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits
TOTAL DEPOSITS
Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits l/
Borrowings
Other liabilities
Total-capital accounts

267,150 223,420 185,626

30,566

8,201

69,717

77,142

163,010 131,310 111,349

19,928
3,950

4,777
1,984
1,440

44,259
17,714
7,744

42,385

6,688

24,693
10,064

70.070
34.070

63,750

28,360

51,079
23,198

50,520

49,700

43,363

8,694

2,040

18,205

14,424

16,850

16,850

3,764

4,310
13,420
15,940

4,180
12,790

997
40
92

7,162
1,018

4,509

911

2,175

4,931
1,885
5,408

15,880

16,854
3,195
7,844
15,470

7,850

2,200

7,160

6,450

5,747

1,928

182

2,113

1,524

324,830 279,570 234,736

4l,188

10,423

90,035

93,090

152,470 152,410 129,437
134,460 94,060 76,735

24,598

2,824

50,290
.29,698

48,288
35,7U

286,930 246,470 206,172 33,100
4,238
15,870 15,870 15,032
892
4,803
5,430
5,430
;
19,721
1
110,166
131,930i 131,870
8,249
133,70C► 93,3001 76,171
2,81c1 2,81c> 2,773i 1,547
2,722!
6,54:!
7,07C)
7,95C)

9,085

79,988

83,999

1,335
234
4,712
2,804

7,652

1,811

1,807
1,866

128

40,974
29,551
945

44,759
35,567
153

278

1,980

1,563

19,24£5 , 3,3lS>

932

7,122!

7,375-

27, 14c)

23,22C)

252
169

8,502

6,261.

l/lncludes amounts now reported by Instired mutual savings-banks as demand deposits;
formerly, they were reported as time deposits or other liabilities.
NOTE:

Comparability of figures affected by changes in FR membership, mergers, etc.,
and in reserve classifications. Topeka and Wichita, Kansas, were desi0nated
as nonreserve cities on August 23, 1962, and Kansas City, Kansas, on

September 6, 1962.


CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
AUGUST 15, 1962 TO SEPTEMBER 12, I962
G.7
Item

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

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

+1,720

+1,104

+164

-

96

-217

+1,253

+1,990
- 46o
+ 600

+1,580
- h6o
+ 600

+1,252
- 635
+ 487

+264
-357
+257

- 10

-108
+ 22

+290
-496
- 11

+ 708 4
+ 326
+ 219 ~

- 130

-

80 - 239

-573

- 86

+ 66

+

100
92
Hh 250 + 207
1*90 + 366
- 720 - 720

+302

+ 2Q
+ 2
- 15

-274
+ 97
- 17

+260

149
+
83 *
+ 424 .
4

- 35

h

100
250

+
+
-

44o

720
COO

+

Other assets

+2,130

TOTAL ASSETS/LIABILITIES +2,080

"i-

50

+1 ,,6go

+

+ 25
- 26
-874

35^

36

4- 48

-102
+ 6

901

-361

-176

-1.86

+1,624 -

17

4

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+ 660
+1,110

+ 660 a. 62
Hr 81+0 + 650

-927
+10o

-152
+ 60

+ 60

-110

+1 ,251
-f 424

TOTAL DEPOSITS

+1,770

+i, 500

712

-821

_ OO

- 50

+1,675

+ 470
-2,270
+2,1-30
+l,iho

+ 470
-2,270
+2,430
+ 870

391
,182
-2j
+1,825
+ &7o

-162
-667

+309

+119

+ 33
-199
+ 10
+ 64

+ 79

+
- 249
+1 >297 J
+ 41.6 y

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

-ill

-1,067

+629

Borrowings

+

180

+

180 + 1.93

+4?4

- 79

-152

-

Other liabilities

-

50

-

120 -

89

- 14

- 10

+ 38

_

.
1.03

Total capital accounts

+

180

+

130

+

80

—

3

- 22

+

97

For ioo'cuoues, G^e first, page.




+

'
“
*

45 ,

1

r _

-3CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
SEPTEMBER 13, 1961 TO SEPTEMBER 12, 1962

*G.7

(Partly estimated.

•*

Item

All
banks

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

Country
banks

ASSETS
+19,880

+16,910

+13,576

+1,524

+1,026

+4,357

+6,669

* Loans and discounts
*- U. S. Govt, obligations
V Other securities

+14,820
190
+ 5,250

+11,710
- 210
+ 5,410

+ 9,981
- 1,081
+ 4,676

+1,934
-1,464
+l,oi54

+ 548
- 186
+ 664

+3,602
- 831
+1,586

+3,897
+i,4oo
+1,372

►Reserves, cash, and
V bank balances

+ 2,610

+ 2,640

+ 2,159

+

397

+

46

+1,129

+

- Reserve with FR Banks
Cash in vault
Balance with banks
Cash items

240
+
240 +
300
+
310 +
+
65O + 690
+ 1,410 + 1,410

+
239
+
315
+
198
+ 1,407

+
+
+

64
47

68

398

+
+
-

11
20

+ 163
+ 114
+
11
+ 841

+
72
+ 145
+ 182
+ 188

Other assets

+

+

-

60

+

39

+

Loans and investments

TOTAL ASSETS/LIABILITIES

290 +

240

203

16

9

169

TOTAL DEPOSITS
*
A Deposits of banks
A U. S. Govt, deposits
* Other demand deposits
^ Other time deposits 1/

+7,3H

50
879

+1,005
+3,942

+2,285
+4,4l6

929

+4,947

+6,701

+
98
- 41
+ 872

+ 140
+ 601
+ 232
+3,974

+ 198
+ 655
+1,425
+4,423

+15,938

+1,861

+ 5,110
+15,250

+ 5,110
+12,650

+ 3,646
+10,519

+ 306
+1,282

+
'+

+20,360

+17,760

+14,165

+1,588

+

+
650 + 650
+ 1,950 + 1,950
+ 2,520 + 2,520
+15,240 +12,640

+
613
+ 1,741
+ l,3H
+10,500

+ 275
+ 387
- 305
+1,231

+

710 +

J Other liabilities

+

.210 +

Total capital accounts




+ 1,500

710 +

700

10

7

+ 1,310

+ 1,080

+

328

- 212
♦

1*

55

+5,655

+19,790

► Borrowings

+

+1,111

+22,780

LIABILITIES & CAPITAL
“ Gross demand deposits
-Gross time deposits

587

20

+

312

+

40

+ . 87

+

22

+

96

+

+

374

+

474

+

75

For numbered footnotes, see first page.
* Changes for New York and Chicago reflect
increases of 3 banks each on July 28, 1962.
Total assets of the banks added were $526
million and $405 million, respectively, on
Aug. 15, 1962, and "other" reserve city banks
were reduced'$931 million.

-4~
G.7

CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*
All Commercial, Savings, and Federal Reserve Banks,
the Postal Savings System, and Treasury Currency Funds
(Partly estimated.

In billions of dollars)
Sept. 12,

Item

1962

Aug. 15, Sept. 13,

1962

1961

Change"to SeptT 12 v
1962 from —
Aug. 15, Sept. 13

1962

1961

ASSETS

Total assets, net

295.5
160.4

101.0
70.1
30.3

- .1

- 1.4

16.1

«-* f
5.0

17.5
5-6

- .1
- .1

293.7

273-3
14-6.2

+1.8

+21.7
+14.3
+ 2.2

158.8
101.5

98.8

+1.7
- -5

—

<
f

Bank credit
Loans, net
U. S. Govt, obligations
Commercial and savings banks
Federal Reserve Banks
Other
Other securities

23.0

-4*

5-5

21.7

1—1
1

21.6
16.1

Monetary reserve
Gold stock
Treasury Currency

*

70.5
30.3
.7
33.5

70.3
27.8
.7

- .5

28.8

4' .D

- .2
+ 2.5
- .1
+ 5-3

317.1

315.4

296.8

+1.7

+20.3

280.0

275.9

262.8

+4,1

+17. 3

29.8
116.0

30.0
112.8

28.8

i,

132.5

.6

- .1
+3-2
+1.1
--

1 f 1,0
+ 1.1

133.7

114.9
11.8.4
.7

+15*2
- .l

^

6.1

8.3

3.9

-2 .2

+ 2.1

5*4
.6

7-7
.6

3-5
•5

-2.3
-

+ 2,0
+ .2

1.3
.4-

.7
34.1

"

4

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted
Time deposits adjusted
Postal savings deposits

1/

U. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks

,6

Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net

1.2

1.2

.4
29.4

.4

29.6

Total liabilities and capital, net

317.1

315.4

—

-

.1

28.3

-- .2

+ 1.0

296.8

+1 .7

+20*3

* Figures may not add to totals because of rounding. Treasury funds included are
gold account, Treasury currency account, and Exchange Stabilization Fund. '
l/Demand deposits adjusted, including demand deposits of foreign banks and of mutual
savings banks, were $117.8 billion on September 12.



*

>

jl

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