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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) September 30, 1958 ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, AUGUST 27, 1958 (Partly estimated. Item All banks* In millions of dollars) Member banks All Central reserve Reserve commer city city banks Total cial New York Chicago banks banks* Country banksl/ 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 215,630 179,960 151,259 25,673 6,701 % J 62 _52*i2i Il6 ,l60 73,690 25,780 93,550 66,270 20,140 80,299 54,634 16,326 15,174 8,039 2,460 3,329 2,719 653 32,758 21,055 5,949 29,038 22,821 7,264 42,160 41,310 36,229 6,652 1,961 14,944 12,672 18,160 . 3,180 11,510 9,310 18,160 3,070 10,810 9,270 18,159 2,322 6,686 9,062 3,902 149 73 2,528 1,139 32 162 628 7,599 746 2,029 4,570 5,519 1,395 4,422 1,336 4,900 4,350 3,870 1,237 76 1,425 1,132 262,690 225,620 191,358 33,562 8,738 76,131 72,927 LIABILITIES & CAPITAL Gross demand deposits Gross time deposits 136,530 98,590 136,500 117,998 65,4oo 53,014 23,188 5,198 6,391 1,437 46,959 21,469 4l,46o 24^10 TOTAL DEPOSITS 235,120 201,900 171,012 28,386 7,828 68,428 66,370 16,400 5,770 116,930 96,020 16,400 5,770 116,900 62,830 15,747 5,252 99,412 50,601 5,880 1,227 17,801 3,478 1,346 342 4,744 1,396 .7,130 2,077 38,264 20,957 1,391 1,606 38,603 24,770 Borrowings 1,290 1,290 1,213 365 73 545 230 Other liabilities 4,820 4,160 3,834 1,561 119 1,495 659 Total capital accounts 21,460 18,270 15,299 3,250 718 5,663 5,668 Total liabilities and capital 262,690 225,620 191,358 33,562 8,738 76,131 72,927 Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits * Figures have been rounded to nearest 10 million. l/ Includes an Alaska and a Virgin Islands member bank. G.7(a) CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, JULY 30, 1958 TO AUGUST 27, 1958 (Partly estimated. Item Ia millions of dollars) Member banks Central reserve Reserve city city banks New York 1 Chicago banks All banks* All commer cial banks* Total +2,650 +2 ,4oo +1,979 -130 +125 +3-,123 4861 + 370 +1 ,960 + 320 + 150 +1 ,94o + 310 + 120 +1 ,606 + 253 -376 +134 +112 +108 +17 + 422 + 688 + 13 + 74 4676 +111 - 590 - 580 - 635 -533 + 23 - 263 +138 + 10 30 - 3^0 - 230 + 10 — - 360 “ 230 6 + 8 + - 426 - 223 -169 + 1 - 61 -304 +11 + 2 - 22 + 32 43 l4 + - 288 + 54 +207 - 9 - 55 - 5 - - - 118 - 15 + - 69 - 35 -678 +149 + 791 •*964 Country banksl/ 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 130 140 1 +1 ;,930 ,680 ,226 Gross demand deposits Gross time deposits + 580 + 510 + 580 + 370 + 353 + 234 -717 - 77__ + 67 + 2 + 468 + 73 . +535 +236 TOTAL DEPOSITS +1 , . 160 +1 ;500 770 + 520 950 + 587 -794 + 69 + 541 +771 . 160 +1 ;,500 - 770 + 380 174 367 +1 , - 850 + 244 -264 +260 -738 - 52 - 38 +109 - 7 + 5 + 76 + 623 ml 213 + 55 + 52 +375 +108 +236 Borrowings + 500 + 500 + 458 + 90 + 71 + 210 + 87 Other liabilities + 190 + 110 + 90 + 11 + 5 + 22 + 52 Total capital accounts + 150 + 120 + 91 + 15 + 4 + 18 +1 ,930 +1,680 +i,,226 CO t— vo1 +149 + 791 Total assets LIABILITIES & CAPITAL Total liabilities and capital * OOON! Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits Figures have been rounded to nearest 10 million. 1/ See footnote on first page. +964 G.7(b) CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES, AUGUST 28, 1957 TO AUGUST 27, 1958 (Partly estimated. Item In millions of dollars) Member banks Central reserve Reserve city city banks New York I Chicago banks All banks* All commer cial banks* + 16,380 +14 ,060 +2,421 +412 +5,931 +3,485 + 2,570 + 9,650 + 4,160 196 -1,017 + 710 + + 10,100 + 9,300 +2,741 + 3,250 + 2,753 + 697 -586 +896 +102 + 499 +4,359 +1,073 + 1,300 +1,304 + 881 Total Country banksl/ 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 + 80 +12,249 10 - 365 -1,049 - 7 + 261 + - 222 - 17 + 1 + 39 - 30 + + + 58 18 162 139 - 32 + 14 + 434 + 14 46 + 19 + 131 + - 330 + 10 + 1,100 700 + + 330 30 + 990 + 700 - 329 33 628 697 + + 320 + 286 + 380 7 - 820 430 90 + 16,84o +14,370 + 12,170 +I,4l8 +424 +6,323 +4,005 Gross demand deposits Gross time deposits + 4,280 +11,140 + 4,280 + 3,631 - 306 + 8,940 + 7,614 + 1,622 +270 +118 +2,733 +3,174 + 934 + 2,700 TOTAL DEPOSITS +15,420 + 13,220 +11,245 +388 +5,907 +3,634 + 2,030 + 1,330 + 1,780 + 10,280 + + + + 2,030 1,330 1,780 8,080 + + + + 2,066 + 1,252 + 1,225 6,702 + 935 456 897 822 +161 + 63 + 70 + 94 + 882 +• 509 + 1 ,444 +3,072 + 88 + 224 + 608 +2,714 460 - 453 - ill - 34 - 229 - 79 379 + 22 + 23 + 224 + 110 999 + 191 + 47 + 421 + 340 +1,418 +424 +6,323 Total assets LIABILITIES & CAPITAL Deposits of banks U. S. Govt, deposits Other demand deposits Other time deposits 46o Borrowings + 430 + Other liabilities + Total capital accounts + 1,320 + 1,180 + Total liabilities and capital + 16,84o +14,370 + 12,170 * 560 Figures have been rounded to nearest 10 million, l/ See footnote on first page. +1,316 +4,005 G.7(c) CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, the Postal Savings System, and Treasury Currency Funds l/ (Partly estimated. In billions of dollars) Change to Aug. 27, 1958 from — July 30, Aug. 28, 1958 1957 Aug. 27, 1958 July 30, 1958 Aug. 28, 1957 26.3 21.1 5.2 26.4 21.2 5.2 27.7 22.6 5.1 - .1 - .1 - 1.4 - 1.5 + .1 241.0 115.1 100.2 73.7 25.2 1.3 25.8 238.5 115.2 97.9 71.7 24.9 1.3 25.5 223.2 112.7 88.9 64.0 23.3 1.5 21.6 +2.5 - .1 4-2•2 +2.0 + m3 + -3 . +17.9 + 2.4 +11.3 + 9.7 + 1.9 - .3 + 4.2 267.3 265.0 250.9_ +2.4 +16.4 Total deposits adjusted and currency outside banks 232.8 232.7 220.0 + .2 + 12.8 .Currency outside banks Demand deposits adjusted Time deposits adjusted Postal savings deposits 28.0 107.6 96.0 1.2 27.8 108.2 95.5 1.2 27.8 105.1 85.7 1.4 Hh •2 - .5 + .5 + .2 + 2.5 +10.3 - .2 6.2 4.8 4.9„ +1.4 + 1.3_ 5.8 .5 4.3 .6 4.4 .5 +1.5 - .1 + 1.3 4.0 .7 23.6 4.0 .7 22.8 3.2 .8 21.9 - .1 + .7 - .1 + 1.7 267.3 265.0 250.9 Item ASSETS Monetary reserve 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 LIABILITIES AND CAPITAL U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash Capital and miscellaneous accounts, net Total liabilities and capital, net + .9 +2.4 +16.4 Seasonally adjusted + .2 + .1 28.0 28.1 27.9 Currency outside banks + 2.5 106.8 .3 109.6 109.3 Demand deposits adjusted * Figures may not add to totals because of rounding. For description and back figures seasonally adjusted data, see July 195? Bulletin, pp. 828-29. 1/ Treasury funds included are gold account, Treasury currency account, and Exchange Stabilization Fund.