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RESERVE FEDERAL statistical release For Unmediate release September 9, 1970 ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES AUGUST 26, 1970 H.8 (Partly estimated. In millions of dollars) All coml. banks All member banks 428,250 341,096 296 '480 54,780 76,990 Reserve city banks New York City of Other City_ Chicago ----~~~~--~~------- Country banks 58,468 14,556 123_~418 144 654 241,594 40,305 59,197 45,208 5,458 7' 802 10,642 1,796 2,118 91,106 12,341 19,971 .94,638 20' 710 29,306 79,220 69,769 20_,982 2 911 25_,008 20.868 23,480 7,400 16,970 31,370 23,483 5,718 9 '772 30,796 5,054 464 625 14,839 1,204 99 304 1,304 9,516 1' 778 2,808 10,906 7,709 3,377 6,035 3,747 20 600 17 742 5 443 1 053 6 339 4.907 528 070 428 607 84 893 18 520 154 76'5 170 429 Gross demand deposits Gross time deposits 213,680 215,030 175,875 167 120 40,825 18 134 7,259 5 582 61,678 62 068 66' 113 81 336 TOTAL DEPOSITS 428 710 342 995 58 959 12 841 123 746 147 449 24,400 8, 720 182,400 213,190 23,248 7,322 146,996 165,429 10,397 1,269 29,943 17,350 1,250 342 5' 725 5,524 9,096 3,208 50,085 61,357 2,505 2,503 61,243 81,198 Borrowings 20' 160 19,059 5,243 2,129 9,485 2,202 Other liabilities 37,700 33,330 14,286 2,000 9,600 7,444 Total capital accounts 41,500 33,223 6,405 1,550 11' 934 13' 334 ASSETS Loans and investments Loans and discounts U.S. Treasury securities 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 Deposits of banks S. Govt. deposits Other demand deposits Other time deposits u. Seasonally adjusted data Loans and investments 1/ 416,300 }) Excludes total Coml. Interbank Loans. Loans and Discounts l/ 282,400 U.S. Treasury securities 57,200 Other securities 76,600 NOTE: Comparability of figures affected by changes in FR membership, mergers, etc., and in reserve classifications. - 2 - CHANGES IN ASSETS AND LIABILITIES OF ALL CCMMERCIAL BANKS IN THE UNITED STATES AUGUST 19, 1970 TO AUGUST 26, 1970 H.8 (Partly estimated. All coml. banks Item ASSETS Loans and investments Loans and discounts Treasury securities Other securities u. s. Reserves, cash, and bank balances Other assets TOTAL ASSETS/LIABILITIES LIABILITIES & All member banks Reserve citv banks New York City of Other Citv Chicago Country banks + 40 + 76 + 53 - 78 + 187 - 520 270 290 - 335 237 174 + + - ll7 58 19 + + + 122 54 + 28 79 2 - + + + 11 + 312 46 180 -1,090 - 956 ·+ 978 - 159 -1,489 - 286 130 300 190 -1,330 + + 129 225 35 -1,275 + + + - 179 1 208 189 - 367 + 70 + 100 -1,292 + + + 451 8 29 548 - + - 224 146 314 342 + 200 + 148 + 13 - 22 + 67 + 90 - 850 - 732 +1 ,044 - 259 -1,235 - 282 - + + + + Reserve with FR Banks Ca.sh in vault Balances with banks Cash items In millions of dollars) - - 86 CAPITAL -1,750 +1,210 -1,477 +1,102 + + 539 334 + 248 68 -1,221 + 516 + - 547 184 - 540 - 375 + 873 - 180 - 705 - 363 790 540 - 300 +1,090 - - - + 394 307 475 471 + + + 217 33 4 66 - + + 32 266 911 260 - + 751 561 44 981 + 108 45 484 184 Borrowings - 770 - 805 + 6 - 285 - 589 + 63 Other liabilities + 390 + 393 + 180 + 204 + 18 - 9 Total capital accounts + 70 + 55 - 15 + 2 + 41 + 27 ross demand deposits ross time deposits TOTAL DEPOSITS Deposits of banks ll. S. Govt+ deppsit! Other demand deposits Other .time deposits - 0· - - - - - - 3 CHANGES IN ASSETS AND LIABILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES AUGUST 27, 1969 TO AUGUST 26, 1970 (Partly estimated. In millions of dollars) H.8 All cornl. banks All member banks +22,390 +15,683 +1,897 + 724 +5,969 +7,093 Loans and discounts +15,800 450 Treasury securities + Other securities + 6,140 +10,940 + 551 + 4,192 + 294 + 554 +1, 049 + + + 269 323 132 +4,597 + 531 + 841 +5,780 857 +2>170 + 3,020 + 1 926 + 408 + 213 + 364 + 941 + 1,110 + 380 + 2,070 - 540 + l, 112 + + + + + + - 461 104 216 417 + + + - 69 1 200 57 + + + - 294 60 218 164 + 288 154 386 113 + 2, 910 + 2,354 + 633 + 239 + 752 + 730 TOTAL ASSETS/LIABILITIES +28,320 +19. 963 +2,938 +1,176 +7,085 +8,764 Item Reserve city banks New York City of Other City Chicago Country banks ASSETS Loans and investments u. s. Reserves, cash, and bank balances Reserve with FR Banks Cash in vault Balances with banks Cash items Other assets + 319 + 1,020 - 525 - LIABILITIES & CAPITAL Gross demand deposits Gross time deposits + 7,570 +19,370 + 5,257 +14,675 + 830 +3,591 + + 310 752 +2,081 +4,682 +2,036 +5.650 TOfAL DEPOSITS +26,940 +19,932 +4,421 +1,062 +6,763 +7,686 + 2,120 + 3,560 + 2,560 +18,700 + 2,108 + 3,026 + 857 +13, 941 +1,241 + 499 - 547 +3,228 + + + + 61 193 95 713 668 + 345 +4,291 + 138 + 875 + 964 +5,709 Borrowings - 1,110 - - 216 + 412 - 584 - Other liabilities - 350 - 1,092 -1,397 - 365 + 191 + 479 Total capital accounts + 2 840 + 1.989 + + 67 + 715 +1,077 Deposits of banks U. S. Govt. deposits Other demand deposits Other time deposits 130 +l ,459 478 For numbered footnotes, see first page. Seasonall~ adjusted data Loans and investments 1/ Loans and discounts 1/ U.S. Treasury securities Other securities 866 + +18,800 +12,100 300 + + 6,300 - 4 CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, and Treasury Currency Funds H.8 (Partly estimated. In billions of dollars) Change to Aug. 26, 1970 fran -Aug. 26, July 29, Aug. 27, July 29, Aug. 27 1970 1970 1969 1970 1969 Item ASSETS Monetary reserve Gold Stock Special Drawing Rights certificates Treasury Currency Bank credit Loans, net U. S. Treasury securities Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net 18.8 11.4 .4 7.0 18.8 11.4 .4 7.0 17.1 10.4 543.8 537.5 512.6 +6.3 +31.1 336.9 117.7 335.0 114.8 317.7 112.9 +1.9 +2.9 + 4.8 58.1 59.6 56.5 58.3 57.9 54.9 +1.6 +1.3 + 4.7 89.2 87.7 82.0 +1.5 + 7.2 562.6 556.3 529.8 +6.3 +32.8 481.0 477 2 452 9 +3 .8 +28 1 47.1 151.0 282.9 46.9 152.0 278.3 44.2 147.9 260.8 + .2 -1.0 +4.6 + 2.9 + 3.1 9 ]_ 8 6 6 '1 +1 1 + 8.7 7.5 1.0 5.2 1.0 +1.2 + 3.6 .9 2.4 2.6 2.1 - •2 •5 .7 67 q +1.5 R +6 _1 + + + + 6.8 1. 7 1.0 .4 .3 +19.1 + .1 LIABILITIES AND CAPITAL Total deposits adjusted and currency outside banks Currency outside banks Demand deposits adjusted Time deposits adjusted l/ U. S. Government deposits At commercial and savings banks At Federal Reserve Banks Foreign bank deposits, net Treasury cash •5 :.:.1 Capital and miscellaneous account, net 69.0 67 '} Total liabilities and capital, net 562 6 '1'16 1 '129 +22.1 1 ') - .1 + .3 - •2 +l~ Seasonally adjusted Currency outside banks 46.8 46.8 43.9 + 2.9 153.0 152.3 149.8 + 3.2 + .7 Demand deposits adjusted * Figures may not add to totals because of round1ng. Treasury funds 1ncluded are gold account, Treasury currency account, and Exchange Stabilization Fund. 11 Demand deposits adjusted, including demand deposits of foreign banks and of mutual savings banks, were $154.2 billion on August 26, 1970. r/ ~igures for mutual savings banks were revised. ""§:.! Corrected.