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ANNUAL TOT AL FLOWS & YEAR-END ASSETS AND LIABILITIES BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis DECEMBER 1976 ANNUAL TOT AL FLOWS & YEAR-END ASSETS AND LIABILITIES BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TABLE OF CONTENTS Out standings Flows Summary Tables 92 95 1 4 7 Income and Product Distribution Funds Raised in Credit Markets Nonfinancial Sectors Financial Sectors All Sectors Credit Market Supply of Funds Direct and Indirect Sources of Funds to Credit Markets Corporate Equities Not Included Above Sector Tables 98 10 101 13 104 107 16 19 110 22 113 25 116 28 119 31 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Households Households, Personal Trusts, and Nonprofit Organizations Total+ Noncorp Business Nonfinancial Business -- Total Farm Business Nonfarm Noncorporate Business Nonfinancial Corpo·rate Business State +Local Governments and Foreign State and Local Governments -- General Funds Rest of the World U.S. Government+ Credit Agencies U.S. Government Federally Sponsored Credit Agencies and Mortgage Pools Banking System Monetary Authorities Commercial Banking Commercial Banking Subsectors Commercial Banks Domestic Affiliates of Commercial Banks Edge Act Corporations and Agencies of Foreign Banks Banks in U.S. Possessions Nonbank Finance Summary Private Nonbank Financial Institutions -- Total Savings Insitutions Combined /0'7"09 - ii Page Out stand Flows ings 122 34 125 37 128 40 Savings Institutions Savings and Loan Associations Mutual Savings Banks Credit Unions Insurance + Pension Funds Life Insurance Companies Private Pension Funds State + Local Government Employee Retirement Funds Other Insurance Companies Finance N.E.C. Finance Companies Real Estate Investment Trusts Open-End Investment Companies Money Market Funds Security Brokers and Dealers Transaction Tables 131 43 134 46 137 49 143 54 146 57 149 60 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Monetary and Insurance Reserves Gold and Official Foreign Exchange Holdings Treasury Currency and SDR Certificates Insurance and Pension Fund Reserves Interbank Claims Money and Deposits Summary Demand Deposits and Currency Time Deposits and Savings Accounts U.S. Government Securities Total Outstanding, By Sector and Type Total Holdings, By Sector and Type Private Securities State and Local Government Securities Corporate and Foreign Bonds Corporate Equities Mortgages - I Total Mortgages Home Mortgages Mortgages - II Multi-Family Residential Mortgages Commercial Mortgages Farm Mortgages - iii - Page Out standings Flows 152 63 155 66 158 69 161 164 167 72 75 78 170 81 84 87 Consumer Credit and Bank Loans N.E.C. Consumer Credit Bank Loans Not Elsewhere Classified Other Loans Open-Market Paper, Federal Funds + RP's, and· Money Market Fund Shares Other Loans Security Credit, Trade Credit, and Taxes Payable Security Credit Trade Credit Profit Taxes Payable Miscellaneous - I Miscellaneous - II Total Claims Credit Market Debt Claims Total Claims and Their Relation to Total Financial Assets Saving by Individuals Discrepancies Sector Discrepancies Transaction Discrepancies Money Stock Relationship Total Money Stock Demand Deposits Currency Derivation of F/F Bank Deposits Matrix Tables vi 90 91 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Summary of Flow of Funds Accounts for the Year 1975 Financial Assets and Liabilities, December 31, 1975 Financial Assets and Liabilities, December 31, 1975 --Continued - iv Flow of Funds Accounts, 1946-75 This is a purely statistical publication, consisting of the complete set of flow of funds accounts in annual form--year total flows and year-end outstanding amounts of assets and liabili ties. It complements the current quarterly releases as a historical base book and summarizes the full quarterly history that is published as a whole only in computer data tape form. The contents of the tables are described, defined, and discussed in a separate publication, Introduction to Flow of Funds Accounts, that is available for purchase. Derivation procedures are in another publication that may be requested. Organization. On page vi is a matrix presentation of the structure of flow of funds accounts for one period, the year 1975. The Introduction describes this structure and its relation to the tables that follow, but a brief summary may help here. Each double column of the matrix gives for the year the transactions of an economic group--sector--such as households, listing net acquisitions of assets under "U" (uses) and saving and net borrowing under "S" (sources). In the pages that follow, after three summary tables on income and product and on credit market flows, there are tables for each of the sectors in the matrix giving time-series forms of the transactions in the matrix with added detail on both t·ransactions and on sector groups. The sector tables are followed by a set of transaction or market summary tables that present each of the matrix rows for financial transactions, showing who lent money and who borrowed money in each type of claim. Nonfinan cial transactions in the matrix--saving and physical investment--are summarized in the table on page 1 in their relation to income and product accounts. The set of flow tables is.followed by tables of outstanding assets and liabilities in the same sequence. These are preceded by a matrix structure of outstandings on pp. 90-91. The organization of tables is outlined in the table of contents. Statistical basis. This version of flow of funds accounts includes the long-term revisions of income and product accounts that wa first published by the Department of Commerce in January 1976. It also reflects long-run revisions that appeared in 1976 for financial items, in particular for mortgage debt and mortgage holdings that first appear in the Federal Reserve Bulletin for September 1976. The 1976 revision of flow of funds was described in the August 1976 publication of II/76 quarterly data, and a copy of that description is available on request. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis - V - Publications. Because of these revisions this publication replaces all earlier sets of flow of funds tables, of which the most recent complete set appeared in August 1973 with a supplement in September 1974. At present an up-to-date set of data consists of these tables, quarterly publications beginning November 1976, and computer tapes written after November 1976. The quarterly data are published approximately six weeks after the close of each quarter and usually cover the most recent six or seven quarters. They are avail able on request, and a mailing list is maintained for continuing distribution. For longer spans of quarterly information, computer data tapes can be written providing a complete set of all available flow of funds tables. Alternatively, full quarterly tables can be printed on request for data of particular interest to a user, provided the request is restricted to a limited number of tables only. Address all requests for further information to the Flow of Funds and Savings Section, Room 3222, Division of Research and Statistics, Board of Governors of the Federal Reserve System, Washington, D. C., 20551. Tel.: (202) 452-3483. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SUMMARY OF FLOW OF FUNDS ACCOUNTS FOR THE YEAR 1975 (Billions of dollars) Private domestic nonfinancial sectors Sector Households Transaction category u Gross �qving ...... : ...··········· CapuaI consumption. Net saving (1-2). ·········· 4 5 9 10 Gross investment (S +II) ........... Private capital expenditures........ Consumer durables ............. Residential construction......... Plant and equipment............ Inventory change ........... Mineral rights........ : ......... 11 Net financial investment (12-13)..... IOU 12 13 Financial uses ... ·············· ... 154.1 Financial sources. 8 . . . . . . . . .. s 149.6 .. 106.9 127.6 391.1 92.8. -5.4 10.4 ..... 203.6 41.9. 15.1 17 18 19 Demand deposits and currency... Private domestic.............. Foreign ..................... U.S. Government............. 6. 7 6. 7 2.9 2.9 .3 .3 10.0 10.0 20 21 22 Time and savings accounts....... 4.9 At commercial banks ......... 25.7 At savings institutions......... 59.2 1.9 1.9 -2.0 -2.0 84. 25.7 59.2 23 24 25 Life insurance reserves .......... 7.6 36.1 Pension fund reserves ........ Interbank claims ............ · • Corporate equities.. -1.8 Credit market instruments ....... U.S. Treasury securities ....... Federal agency securities ...... State and local govt. securities.. Corporate and foreign bonds... Mortgages................... Consumer credit.............. Bank loans n.e.c.............. Private short-term paper....... Other loans.................. 27.2 10.5 37 Security credit.................. .l 38 39 Trade credit ................... Taxes payable.................. 40 41 Equity in noncorporate business.. -9.9 Miscellaneous .................. 3.7 .7 11.3 -9.9 ····· 2.4 42 Sector discrepancies (1-4) .......... -24.3 14.5 1.3 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -4. 8.7 10.4 4.4 -75.0 .. 9.9 . -1.8 37.7 12.1 6.3 2.7 2.6 1.5 27.2.. 16.4 1.6 40.5.. 8.5 1.3 -13.0 .... -1.5. -1.9 5.0 -2.2 .... 6. 7 2.2 . .6 7.9 4.8. -3.2 -. I .... 4.3 2.4 . . .2. .2. .z no.a. 15.1 17.0 31.3.. .1 .3 ·eo:e. .9 2.9 .I ····· ..... .7 .... .7 .... 4.7 89.9 ..... 30.1 59.8.. .1 .l 1.6 2.1 1.2 -3.3 15.6 .7 -.7 15.0 .3 -2.6 - .5 ... 4.3 4 .4 I.7 .6 5.3 4.6 1.0 4.3 1.9 -u 7.6 32.4 -3.3 1.2. .I .I 4 .5 .. . . 2.2 4.6 10.6 6.2 .I 85.2 139.1 13.7 14.5 5.8 52.0 1.5 -.6 10.4 12.7 7.3 25.3 2.9. -.I 49.8 2.3 15.7 7.2 -14.4 -3.9. 2.8 -.2 1.4 -3.1 -2.4 6.3 -3.2 -9.9 -9.9.. I. 15.1 3.1 . 4.3 3.7 .6 .l u u 13.5 12.7 .9 1.6 .8 -4.9 . 317.& ....& . 315.4 131.7 51.2 147.1 . -14.6 -4.4 z.z -z.z -z.z 8.5 7.4 1.0 27.6 28.8 1.4 1.7 1.8 4.3 2.9 -14.4 .I I.I -. I 12.0 .3 1.6 -.2 -.4 9.4 -4.3 1. 1.9 2.9 2.8 -. I 59.� 89.9 30.1 59.8 59.8 89.9 30. \ 59.8 11.3 30. \ 30.1 4.3 3.7 .6 7 .6 7.6 32.4 36.1 -3.3 7 .6 36.1 -3.3 .2 11.2 11.2 1.0 8.3 .7 .5 14.3 8.1 5.6 .2 23.5 29.8 4.3 -.3. .8 -1.0 3.8 -.7 .I .I 4 .5 4.5 10.1 -3.4 4.9 -9.9 11.4 32.6 -9.9 30.0 1.4 -6.6 .6 331.S 315.4 131.7 51.2 147.1 -14.6 16.Z 31.3 15.1 <: ..... -.5 214.0 214.0 85. 85.8 12.1 12.1 17.3 17.:l 2.7 36.3 36.:l 2.3 59.0 59.0 8.5 .5 -3.6 -14.4 -14.4 .5 2.0 .5 8.7 -4.0 8.7 11.5 .2 -3.4 2.5 -.3 .9 13.2 1.2 1.2 I. 9 2.2 14.3 16.1 5.4 7.0 .2 -1.7 -4.1 2 '5.0 37.9 285.0 26.0 2.1 1.6.. Natl. savini,: and investment 3Z3.0 311.0 3.1 2.2 .. u s .5 .9 16.1 13.2 7.9 -.1 z.z. u .5 1.0 1.3 1.3 8.:l .1 s u .3 1.0 ..... 2.8. .I .I s Discrepancy All sectors 4i,f4 .3 2.9 Pvt. non bank finance 15.5 34.0 110.3 ····· 408.7 11.Z 15.Z. 171.5 .. 11.0. 113.Z. 32.1.. 1.0 .1 3.6 .. -3.3 9.9 .z .3 -.5 171.0 Cami. banking u s .6 .3 9.4 u .6 -1.3 'i.i:i .9 s &.I 9.9 . -18.Z ..... -73.9 14.9 53.7 102.3 6.1 12.8 15.1 8.1 25. -2. 4.5 9.9 17.3 .6 10.4 27.2 6.2 6.0 56.8 ····· ····· 3.2 1.3 8.5 4.0 -14.5. 3.1 -2.2 -2.6 -.1 9.1 2.8 7 .3 .2 .. 2.2. u s Monetary autb. 1.0 8.9 7.6 36.1 27 28 -75.0 .. .5 26 29 30 31 32 33 34 35 36 -11.9 -1.3 ..... 49. 7 14 .4 9.0 -.7 -.2 u s -11.9. .... 306.9 16 • u Sponsored agen. and mtg. pools Total -5.4 ····· 399. 7 .... -H.Z .... -75.Z Gold and official foreign exchange. Treasury currency .............. ' Govt. s 280.i 110.4 .. 14 15 ' u s .s. 131.7 50.2 .... 13 .3 -14.6 1.3 -3.4 ·sa:i u --LI 7. 133.2 -14.6 1.3 31.4 s Total --4.1. 131.1 i .6 ZIU ..... 1Z4.Z ... 179.2 131.7 42.4 5.1 u 131.7 %56.5 1 2 3 6 7 u s , tate and local govts. Business Financial sectors Rest of the world 2.2 -1.4 -2.6 -6.6 - .7 ot:.CE MBER 1976 JNCOME AND PRODUCT DISTRIBUTION --- INCOME ANO PROOUCl DlS1RlB U11011< INCOME ANO PRODUCT ACCOUNTS: GNP EXPENDllURE.S AND GROSS SAVING ------------- YEAR-10TAL FLOWS, 1946-55 ----------1946 1947 1948 1949 209.579 232.757 259.079 l 7lo35b 143.808 15.756 9.931 17.617 187. 195 161.742 20.431 12.75> 12.698 206. 713 174.749 22.855 15.2.64 16.700 30.651 33.952 1950 1951 1952 2.58.023 286.172. 330.183 347.178 216.527 178.135 25.047 17.982 2.0.410 230.459 191.966 30.754 19.769 18.724 267.165 207.066 29.814 21.777 38.322 292.675 217.093 29.148 23.217 52.3t>5 45.855 35.277 53.815 59.180 52.109 2.4-272 7.504 80 169 -1.211 519 34.414 11.525 160 13.074 11.844 697 41.147 14.969 192 10.2.00 8. 775 873 38.352 14.069 97 10.221 9.544 837 47.026 19.889 121 13.014 11.236 785 48.884 17.744 134 15.058 14.402 816 14 15 16 921 461 460 533 267 266 552 276 276 -154 -77 -77 993 497 496 17 18 19 20 21 7.255 0 -446 7.701 0 -1. 709 0 -250 -1.459 0 4.577 0 1.461 3.096 0 3.745 0 268 3.477 0 23 24 25 26 27 22 16.768 361 l.652 2.938 -47 11.864 22.889 488 2.644 4.308 249 15.200 26.178 118 3.399 4.352 353 17.296 28 29 30 31 32 6.379 29 6.350 383 5.967 -462 -1.760 1.298 58 1.240 33 34 35 7. 572 14.811 7.239 36 37 38 1953 -------- YEAR-TOTAL FLOWS, l94b-:>5 1954 1955 3b6. 129 366.306 399.2b6 TOTAL GNP 312-189 229.665 32.499 24.994 57.530 311.601 235.841 31.840 27-827 47.933 328.671 253.665 38.621 30.551 44.455 CURRENl OUTLAYS HOUSEHOLDS OF WHICH COll<SUMER DURABLtS SlATE + L OCAL GOV cRNMENT u. S. GOVE.�NMENT 2 3 4 5 53.349 52.715 68.3TI GROSS DOMESTIC JNVE.STMENT 1 48.976 17.774 215 16.269 15.410 767 52.902 l&.601 217 16.854 15.993 765 54.258 20.2.ao 227 18.351 17-304 711 62.424 24.107 356 22.076 20.566 6l4 -lt>O -80 -80 92 46 46 96 48 48 336 168 168 876 438 438 6.754 0 -504 7.258 0 2.552 0 17 2.535 0 1.290 0 &43 447 0 l.530 0 836 694 0 1.102 0 966 736 0 1.675 0 882 793 0 24.263 1.012 3.656 3.612 357 15.646 27.137 1.234 3.674 4.480 394 17.355 31.140 1.383 3.738 .,..704 431 20.884 31.202 1.292 3.436 4.428 556 21.490 34.301 1.390 3.655 4.935 432 23.889 33.978 l.685 3.190 4.905 653 23.545 38.317 1.726 3.246 5.917 747 26.681 4.708 l.732 2.976 923 2.053 -3.075 -866 -2.209 -488 -1.721 6.789 789 6.000 1.177 4.823 10.296 1.239 9.057 505 8.552 3. 133 987 2.146 -85 2.231 447 1.068 256 812 -1.543 586 -2.129 -202 -1.927 5.953 467 5.486 559 4.927 U .610 19.837 8.22.7 6.511 16.882 10.371 6.219 15.859 9.640 l.898 13.914 12.016 3.838 18.932 15.094 2.394 18.204 15.810 591 17.145 16.554 1.990 18.001 16.011 2..218 20.045 17.827 158.644 13.448 8.476 168.387 4.936 2.931 187.445 10.595 5.652 187.129 6.740 3.601 205.511 10.838 5.273 224.756 14.796 6.583 236.268 15.908 t,.733 250.728 17-028 6.791 255.673 15. 557 6.084 273.413 14.900 5.449 39 40 3.523 1.891 13.384 1.015 8.316 132 -2-638 -725 9.208 -1-205 6.508 -442 -3. 735 -47 -7.076 143 -6.034 -1.112 4.417 -1.274 41 42 43 44 45 24. 576 140 425 2.112 21.899 31.454 152 689 1.681 28.932 35.170 159 836 2.573 31.602 28.913 121 832 3.135 24.825 42.600 175 984 3.149 38.292 •U.883 149 1.162 3.581 38.991 38.856 65 1.099 4.002 33.690 40.536 40 1.135 4.514 34.847 38.140 73 1.422 4.634 32.011 CORPORATE PROFITS, TAXES + DIVIDENDS: PROFllS - TOUL 48.434 FARMS 46 FORHGN 1.579 FINANCIAL CORPORATIONS 4.813 NONFJN. CORPORAll BUSINESS 41.996 46 47 48 49 9.104 55 472 8.577 ll.268 58 434 10.776 12.421 69 651 11.101 10.203 50 873 9.280 17.92.5 88 1.051 16.786 22.559 88 1.329 21.142 19.399 54 1. 594 17.751 20.287 52 1.805 18.430 17.624 45 1.976 15.603 1.818 20.175 50 51 52 53 54 5.560 18 129 317 5.096 6.302 43 221 205 5.833 7.015 47 254 291 6.423 1.210 45 305 426 6.434 8.803 50 437 421 7.895 8.520 60 393 318 7.749 8.493 40 302 360 7.791 8.795 33 343 460 7.959 9.149 31 483 420 8.215 10.311 30 509 397 9.375 DIVIDENDS - TOTAL 55 56 57 58 59 9.912 67 296 1.323 8-22.6 bO 61 13.884 51 468 1. 042 12.323 15. 734 43 582 1.631 13.478 11.500 26 527 1.836 9.111 15.872 37 547 1.677 13-611 12-804 1 769 1.934 10 .100 10.964 -29 797 2.048 8.148 u .454 -45 792. 2.249 8.458 u.367 -3 939 2.238 8.193 16.082 -32 1.010 2.598 12.446 UNDIST. PROFITS - TOTAL FARMS FOREIGN BRANCH PROFITS FINANCIAL CORPORATIONS NONFIN. CORPORATE BUSINESS 59 64 65 6b 07 68 69 70 11 72 -3.364 -2 -47 -3.315 -3.917 -3 -65 -3.849 -3.839 -4 -64 -3.771 -3.974 -b -64 -3.904 -4.588 -3 -68 -4.517 -4.457 -2 -68 -4.381 -4.067 -13 -57 -3.997 -3.196 -22 -38 -3.136 -2.099 -17 -9 -2.073 60 63 -2.684 -4 -19 -2.661 CAP. CONS. ADJUSl. - TOTAL bl. 13.837 1-778 264 1.096 3.324 7.375 112 22 7.241 20.274 2.622 379 1.8.itl 4.523 10.929 184 31 10.714 21.972 2.835 389 2.183 4.754 11.811 203 37 11.571 73 11.200 2.257 331 1.393 4.010 9.209 147 25 9.037 23.853 3.100 414 2.468 5.070 12.801 223 43 12.535 27.573 3.552 501 2.909 5.743 14.868 261 49 14.558 29.619 3.864 540 3.087 6.163 15.965 285 5b 15.624 31.629 4.108 574 3.192 6.491 17.264 309 69 16.886 33.121 4.363 596 3.296 6.686 18.180 327 81 11.112 35.302 4.774 642 3.391 6.958 19.537 350 91 19.096 9.947 23.784 13.161 30.361 15.951 36.2.25 18.338 40.310 45.353 24.927 52.500 26.128 55.747 27.807 59 .436 28.300 61.421 30.663 65.965 2 3 4 5 6 8 9 10 11 12 13 74 75 76 11 21.soo -621 22.041 48 664 1.769 -1.174 1 .039 2.030 3.997 2.768 3.296 3.017 2.456 37. 044 10. 530 35.823 11.212 35.317 10.085 35.288 8.999 42.077 9.106 51.407 11.400 49.925 12..590 50.046 12.393 46.208 11.279 45.507 11.458 MON Ev AMO UNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis PRIVATE. FIXcD INVcSlMENT RESIDENTIAL CONSTRUCTION MOBILE HOMES 1-4 FAMILY STRUCTURES HOUStHOLD PURCHASES FARM CHANGE ]N WORK IN PROCESS ON NONFARM NONC.ORPO RA1 E COkPORAH MULTI-FAMILY UNITS HOUSEHOLDS NONCORPORATc BUSINESS NONFIN. CORP. BUSINESS REITS NONRES. PLANT + EQUIPMENT NONPROFIT 1,..sT. IHHI FARM NONFARM NONCOkP. BUS. FINANCIAL CORPORATIONS NONFIN. CORP. BUSINESS INVENTORIES FARM NONFARM NONCORPORATI: CORPORATE 6 Ii 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 2.9 30 31 32 NET EXPORTS EXPORTS IMPORTS 33 34 35 DISPOSABLE PERSONAL INCOME PERSONAL S AVING SAVING RAlE (PER CENl) 36 37 38 FcDERAL GOVERNMENT SURPLUS ST.+LOC. GOVERNMENT SURPLUS 39 40 41 42 43 44 45 TAX ACCRUALS - TOTAL FARMS 46 41 FINANCIAL CORPORATIONS 4& NONFIN. CORPORATE BUSINESS 49 50 51 NEl FOREIGN 52 FINANCIAL CORPORATJONS 53 NONFIN. C.ORPORATE BUSINESS 54 FARMS 55 5b 57 Sb FARMS bl 62 FINANCIAL CORPORATIONS NONFJN. CORPORATE BUSINcSS 63 TOTAL CAPITAL CONSUMPTION OW,..ER-OCCUPIED HOMES IHHI NONPROFIT INSTITUTIONS (HH) 64 65 t,t, o7 08 FARM NONCORPORATE NONFARM NONCORP. BUSINESS t,9 TOTAL CORPORA 1E FINANCIAL BUSINESS 70 CORPORATE FARMS 71 NONFIN. CORPORATE BUSINESS 7._ MEMO: c.AP. CONS. ON CONSUME.R DURABLES NOT lNCLUOE.O ABOVE 73 TOT. CAP. CONS. INCL. OUN.A8LE.S 74 STATISTICAL DISCREPANCY 7!> PROFIT TAX RATE ci1 PERSONAL TAX RATE Ii) 7b 77 OECElefa 1976 1..cm.f AND ,aooucT ors Ta nun� INCOME ANO PRODUCT DISTRIBUTION INCOME ANO PRODUCT ACCOUNTS: GNP EXPENDITURES AND GROSS SAVING YEH-TOTAL FLOWS, 1956-65 1956 17 18 19 20 21 22 23 24 25 2f. 27 28 2C, 30 31 32 1960 1961 1962 1963 1964 1965 442.755 448.881 486.465 505 .978 523.292 563.817 594. 738 635.743 688.110 367.495 280.409 39.334 37.122 49.964 384.501 289.461 36.846 41.136 53.904 408.354 310.768 42.436 43.696 53.890 425.162 324.903 43.109 46.548 53.711 443.151 334.995 41.573 50.786 57.370 473.251 355.217 46.703 54.296 63.738 498.239 374.578 51.432 59.030 64.631 530.191 400.381 56.320 64.592 65.218 568.504 430.154 62.786 71.082 67.268 2 3 4 5 6 71 .022 69.188 61.916 77.552 76.444 74.335 85. 188 90.204 9t>.604 112.015 7 66 .327 22.607 524 20 .354 20 .144 700 67.853 21.179 545 18.477 l8. 231 681 63.407 21.788 500 18.511 17.900 650 72.325 27.028 542 22.670 21.215 674 72.685 24.982 512 20.532 20.420 584 72.143 25.047 498 19.591 19.115 703 78.683 27.435 548 20.252 19.390 645 84.241 30.645 622 21.503 20.678 655 90.806 31.151 831 21 .561 20.885 672 102.496 31.244 998 21.698 20.986 608 8 9 10 11 13 -490 -245 -245 -435 -218 -217 -39 -19 -20 781 391 390 -472 -236 -236 -227 -113 -114 217 108 109 170 85 85 4 2 2 104 53 51 14 15 16 1.729 0 756 973 0 2.157 0 1.105 1.052 0 2.777 0 1.429 1.348 0 3.816 0 2.087 1.729 0 3.938 0 2.250 1.688 0 4.958 0 2.935 2.023 0 6.635 0 4.257 2.378 0 8.520 0 5.749 2.771 0 8.759 0 5.801 2.958 0 8.548 0 5.569 2.979 0 17 18 19 20 21 43.720 1.990 2 .997 6.552 752 31.429 46.674 2.212 3.143 6.871 863 33.585 41.619 2.383 3.698 5.816 866 28.856 45.297 2.437 4.021 6.550 1.023 31.266 47.703 2.647 3.426 7.001 807 33.822 47.096 2.828 3.490 6.722 1.028 33.028 51.248 3.221 3.907 6.783 982 36.355 53.596 3.281 4.332 7.150 1.346 37.487 59.655 3.477 4.535 7.945 1.285 42.413 71-252 3.948 4.963 9.447 1.305 51.589 22 23 24 25 26 27 4.695 -380 5 .075 191 4.884 1.335 534 801 219 582 -1 .491 848 -2.339 198 -2.537 5.227 -86 5.313 1.015 4-298 3.759 288 3.471 779 2.692 2.192 274 1.918 -22 1.940 6.505 739 5.766 788 4.978 5.963 791 5.172 741 4.431 5.798 -590 6.388 981 5.407 9.519 1.021 8.498 1.225 7.273 28 29 30 31 32 4.270 23 .860 19.590 6.072 26.714 20.652 2.464 23 .286 20.822 559 23.725 23.166 4.372 27.595 23.223 5.806 28.882 23.076 5.378 30.607 25.229 6.295 32.709 26.414 8.948 37.393 28.445, 7.591 39.548 31.957 33 34 35 291 .252 19.662 6.750 306.915 ?.0.563 6.699 317.131 21.687 6.838 336.117 18.810 5.596 349.369 17.065 4.884 362.900 20.170 5.558 383.879 20.393 5.312 402.764 l8.793 4.666 437 .032 20.131 5.979 472.156 30.275 6.412 36 37 38 6 .067 -875 2.282 -1.359 -10.211 -2.354 -1.138 -443 3.035 60 -3.886 -368 -4.247 463 256 461 -3.269 998 530 -4 3<, 40 CORPORATE PROFITS, lAXES + DIVIDENDS: 48 .623 PROFITS - TOTAL 49 FARMS FOREIGN l .813 FINANCIAL CORPORATIONS 4.993 NONFIN. CORPORATE BUSINESS 41.768 46.940 42 1.886 5.243 39.769 41.104 66 1.734 5.654 33.650 51.613 32 l.809 6.753 43.019 48.540 56 1.,;09 7.180 39.395 48.586 66 2.343 7.047 39.130 53.571 86 2.620 7.259 43.606 57.706 38 2.622 6.790 48.256 64.709 76 3.141 6.926 54.566 75.209 161 3.270 7.540 64.238 41 42 43 44 45 P RIVATE FIXED INVESTMENT RESIDENTIAL CONSTRUCTION MOBILE HOMES 1-4 FAMILY STRUCTURES HOUSEHOLD PURCHASES FARM CHANGE IN WORK IN PROCESS ON NONFARM NONCORPORATE CORPORATE MULTI-FAMILY UNITS HOUSEHOLDS NONCORPORATE BUSINESS NONFIN. CORP. BUSINESS REITS NONRES. PLANT + EQUIPMENT N�PROFIT INST. 11-'HI FARM NONFARM NONCORP. BUS. FINANCIAL CORPORATIONS NONFIN. CORP. BUSINESS INVENTORIES FARM NONFARM NONCORPORATE CORPORATE 33 NET EXPORTS EXPORTS 34 35 IMPORTS 36 DISPOSABLE PERSONAL INCOME 3.7 PERSONAL SAVING SAVING RATE (PER CENTI 38 39 FEDERAL GOVERNMENT SURPLUS 40 ST.+LOC. GOVERNMENT SURPLUS 41 42 43 44 45 1959 345 .399 266.007 37 .887 33 .490 45 .902 7 GROSS DOMESTIC INVESTMENT 14 1·5 16 YEAR-TOTAL FLOWS, 1956-65 420 .691 TOTAL GNP 2 CURRENT OUTLAYS HOUSEHOLDS 3 4 OF WHICH CONSUMER DURABLES 5 STATE + LOCAL GOVERNMENT 6 u. S. GflVERNME!IIT 9 10 11 12 13 -------1957 1958 ------ -----·- 12 46 47 48 49 TAX ACCRUALS - TOTAL FARMS FINANCIAL CORPORATIONS NONFIN. CORPORATE BUSINESS 21 .993 50 1.937 20.006 21.423 42 2.327 19.054 18.964 55 2.781 16.128 23.646 45 2.,;09 20.69? 22.696 48 3.498 19.150 22.781 62 3.328 19.391 23.972 54 3.340 20.578 26.231 65 3.453 22. 713 27.985 70 4.028 23.887 30.876 BO 3.688 27.108 411 47 48 �o DIVIDENDS - TOTAL FARMS NET FC'REIGN FINANCIAL CORPORATIONS NONFIN. CORPORATE BUSINESS 11 .085 28 595 355 10 .107 11.514 33 634 480 10.367 11.304 36 702 400 10.166 12.171 13 831 515 10.812 12 .890 42 841 528 11.479 13.347 39 1.070 570 11.668 14.410 50 1.120 579 12.661 15.504 121 1.000 428 13.955 17.325 45 1.338 680 15.262 19.120 67 1.505 401 l7.147 50 51 55 56 57 5B UNDIST. PROFITS - TOTAL FARMS FOREIGN BRANCH PRQFITS FINANCIAL CORPORATIONS NONFIN. CORPORATE BUSINESS 15.545 -29 l .218 2.701 11.655 14.003 -33 1.252 2.436 10.348 10.836 -25 l.032 2.473 7.356 15.796 -26 978 3.329 11.515 12.954 -34 1.068 3. 154 8.766 12.458 -35 1.273 3.149 8.071 15.189 -18 1.500 3.340 10.367 15.971 -148 1.622 2.909 11.588 19.39� -39 1.803 2.218 15.417 25.213 14 1.765 3.451 19.983 55 57 58 59 60 61 62 63 CAP. CONS. ADJUST. - TOTAL FARMS FINANCIAL CORPORATIONS NONFIN. CORPORATE BUSINESS -3.006 -32 -23 -2.951 -3.336 -36 -19 -3.281 -3.367 -32 15 -3.350 -2.916 -40 13 -2.889 -2.287 -32 44 -2.299 -1.775 -29 63 -1.809 1.153 -22 114 1.061 2.053 -13 149 1.917 2.823 221 2.622 3.752 -23 183 3.592 60 61 b2 63 64 TOTAL CAPITAL CONSUMPTION 65 OWNER-OCCUPIED HOMES IHHI 66 NONPROFIT INSTITUTIONS IHHI 67 FARM NONCORPORATE 68 NONFARM NONCORP. BUSINESS TOTAL CORPORATE 69 FINANCIAL BUSINFSS 70 CORPORATE FARMS 71 NONFJN. CORPORATE BUSINESS 72 MEMO: CAP. CONS. ON CONSUMER DURABLES NOT INCLUDED ABOVE 73 74 TOT. CAP. CONS. INCL. DURABLES 38 .8 n 5.145 733 3.415 7 .635 21.943 407 104 21.432 42.001 5.455 806 3.576 7.975 24.189 454 115 23.f.20 44.079 5.906 835 3.660 8.258 25.420 475 130 24.815 46.109 6.403 884 3.!'71 8.416 26.535 512 145 25.878 47.712 6.788 937 3 .937 8. 512 27.�38 551 154 26.833 49.062 7.084 1.000 3.968 8.620 28.390 571 166 27.653 50.503 7.383 1.070 4.079 8.681 29.290 593 179 28.518 52.237 7.695 1.163 4.209 8.782 30.388 630 194 29.564 54.553 f..112 1.250 4.375 9.073 31.743 707 210 30.826 57.483 8.457 1.362 4.�55 9.450 33.659 812 22<; 32.618 t:,lt 33 .285 72.156 36.005 78.006 36.449 80.528 38.477 84.586 39.B20 87.532 40.642 89.704 42.169 92.672 44.490 96.727 47.499 102.052 50.758 108.241 73 -793 176 l.6f.5 -220 -682 1.598 4.007 3.738 2.238 892 7� 45.231 11 .982 45.639 12.132 46.136 11.728 45.814 12.033 46.757 12.597 46.887 12.547 44. 748 12.896 45.456 13.025 43.247 ll.826 41.053 12.080 76 71 51 52 53 54 5Q 75 STATISTICAL DISCREPANCY ,,, 76 PROFIT TAX RATE ltl 77 PERSONAL TAX RATE MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -zo 49 52 53 51t 56 65 611 67 68 69 70 71 72 71t DECE MBER 1976 JNC OME AND PRODUCT DI STRl8UTION INCO"E ANO PROOUtT OH1UIUTION -----·---- INCOME ANO PRODUCT ACCOUNTS: GNP EXPENDITURES ANO GROSS SAVING YEAR-TOTAL FLOWS, l9t>t>-l5 vEAR-TOTAL FLOWS, 1966-75 1967 1966 -------+----- 1968 1969 752.996 796.312 868.465 935.541 982.419 1063.436 1111.121 1306.554 1413.206 1516.338 623.459 464.793 67.663 79.833 78.833 670.546 490.358 69.646 89.2b4 90.924 734.659 535.932 79.995 100. 708 98.019 787.588 579.711 85.478 110.416 97.461 837-659 618.796 84.931 123-221 95.642 901.905 668.171 97.087 137.514 96.220 986.139 1079.412 1190.758 1312.169 733.034 809.885 887.494 913.216 111.241 123.714 121.634 131.726 150.979 167.339 191.638 214.536 102.126 102 .188 111-626 124.417 z 3 4 5 6 1970 1911 1972. 1973 1974 1975 TOTAL GNP CURRENT OUTLAYS HOUSEHOLDS OF WHICH CONSUMER.OURAbLE:S STATE + LOCAL GOVERN"ENT U. S. GOVERNMEN1 GROSS DOMESTIC INVE:STMEN1 2 3• 4 5 6 7 7 124-477 120.829 131.526 146.200 140.814 159.969 188.275 219.999 214.982 183.698 8 9 10 110.157 28-740 1.056 19.824 19-553 673 110.730 28.647 1.180 20.239 19.504 697 123.821 34.549 1.674 22.959 21.695 628 136.828 37.879 2.308 22.708 22.052 745 137.039 36.578 2.469 21.088 20.932 565 153.615 49.555 3.274 30.218 21.110 652 178.833 62.006 4.049 36.783 34.777 664 202.092 66.113 4.391 37.551 37.602 601 204.308 55.081 3.1&1 33.349 33.164 1.013 198.314 51.172 2.415 38.928 36.295 843 -402 -201 -201 19 19 38 636 317 319 -89 -45 -44 -409 -20't -205 1.856 928 928 1.342 671 671 -652 -326 -326 -828 -414 -414 1.790 895 895 17 7.860 200 4.622 3-038 0 7.228 500 3.870 2.858 0 9.916 1.000 5.610 3-188 118 12.863 1.500 7.314 3.935 114 13.021 1.800 7.309 3.829 83 16.063 l.600 10.474 3.855 134 21.174 1.800 14.191 4.812 371 24.171 3.000 14.888 6.042 241 18.551 6.400 7-178 4.623 350 9.829 3.700 3.156 1.974 999 22 23 24 26 27 81.41 7 4.161 5.458 10.306 l. 528 59.964 82.083 4.055 5.929 9.622 1.596 60.881 89.272 4.224 5.471 11.391 2.274 65.912 98.949 4.695 5.737 12.859 2-873 72.785 100.461 4.825 6-248 12.871 3.239 73.278 104.060 5.134 6.388 11.528 3.907 77.103 116.827 5.541 6.629 n.364 4.245 87.048 135.979 5.206 8.998 14.789 4.789 102.197 149.227 5.239 10.184 15.821 6.098 111.885 147 .142 5.076 10.490 14.752 8.890 107.934 28 29 30 31 32 14.320 -160 14-480 1.275 13.205 10.099 735 9.364 564 8.800 7.705 104 7.601 736 6.865 9.372 137 9.235 908 8.327 3.775 109 3.666 270 3.396 6.354 1.281 5.073 1.455 3.618 9.442 610 8.832 1.211 7.5t,l 17.907 3.248 14.659 1.342 13.317 10.674 -1.516 12.190 197 11.993 -14.616 3.010 -17.626 -1.240 -16.386 33 34 35 5.060 4 2. 773 37.713 4.937 't5.56l 40.624 2.280 49.933 47.t,53 l.753 54.699 52.946 3.946 62.468 58.522 1.562 65.595 64.033 -3.293 72.656 75.949 7.143 101.556 94.413 7.466 144.391 136.925 20.471 148.070 127.599 36 37 38 510-396 32..998 6.�65 544.546 40.867 7.504 588.136 38.069 6.472 630."25 35.107 5.568 685.934 50.573 7.372 742.810 57.335 7.718 801.298 49.369 6.161 901.661 70.322 7.799 982.925 1080.855 83.962 72.208 7.768 7.31w, 39 40 -1.789 502 -13.180 -1.057 -5.824 331 8.541 2.121 -12.136 2.769 -21.959 3.683 -17.263 13.747 -6.7ll 13.003 -11.515 7.273 -71.248 6.872 41 42 ao.7'>4 163 2.758 8.482 &9.341 77.330 70 3.016 8.956 65.288 85.508 136 3.230 10.421 71.781 83-422 124 3.719 11.211 68 .308 71.485 -1 3.786 12.555 55.145 81 .974 82 4.565 14.145 63.182 96.156 305 4.845 15.443 75.563 115.758 720 6.822 16.226 91.990 127.620 262 11.157 14.127 102.074 CORPORATE PROFITS, TAXE:S + DIVICJENOS: PROFITS - TOTAL 114.549 FARMS 253 FOREIGN 6.162 FINANCIAL CORPORAllONS 12.860 NONFIN. COkPORATt BUSINESS 95.274 46 47 48 33.658 74 4.167 29.417 32.480 53 4.789 27.638 39.408 76 5.790 33.542 39.b5l 86 6.333 33-232 34.4 77 63 7.185 27-229 37.710 92 7.792 29.826 41.535 llo 8.059 33.360 48.702 264 9.061 3<;.377 52....34 211 9.853 42.370 49.245 171 9.498 39.576 1w, TAX ACCRUALS - TOlAL 47 FAR"S 48 FINANCIAL CCJRPORATIONS NONFIN. CORPORATE BUSINESS 49 50 51 52 54 19.439 55 1.312 11 18.061 20.103 46 1.442 -229 18.844 21.943 52 1.409 -206 20.688 22.592 51 1.936 -24 20.629 22.884 29 2.222 785 19.848 22.982 54 2.111 265 19.952 24.597 75 2.93,; -43 21.62b 27.792 96 3.161 744 23.791 30-756 132 324 72 30.228 32.105 139 2.301 758 28.907 DIVIDENDS - TOTAL FARMS NET FOREIGN FINANCIAL CORPORAllONS NONFJN. CORPORATE BUSINESS 50 51 52 53 54 55 56 57 58 59 27.647 34 1.446 4.304 21.863 24-217 1. 821 4.837 17.551 21. 179 -13 1. 783 't.962 14."'47 14.124 -93 1.564 4.585 8-068 21.282 -64 1.854 6.088 13.404 30.024 114 1.906 7.427 20.577 39.264 3oO 3.&61 b.421 28 .822 44.430 -81 10.833 4.202 29.476 33.l99 -57 3.861 2.604 26.791 UNOISl. PROFITS - TOTAL FARMS FOREIGN BRANCH PROFITS FINANCIAL CORPORAllONS NONFJN. CORPORATE BUSINESS 55 56 57 58 59 60 61 62 63 24.747 -29 1.574 4.396 18.806 3.892 -12 114 3.790 3.675 l 53 3-621 3�672 -47 26 3.693 3.549 -12 17 3.544 1.473 -9 -69 1.551 253 -37 -210 500 2.522 -8 -165 2.695 l.890 -7 51 1.846 -2.991 -22 -12 -2.957 -11.530 -32 56 -11.554 CAP. CONS. ADJUST. - TOTAL FAR"S FINANCIAL CORPORATIONS NONFIN. CORPORATE 8USINE:SS &0 bl 62 t,3 61.734 8. 790 1.504 4.809 9.91 7 36.714 9611 249 3 5.497 67.015 9.206 1.665 5.165 10.534 40.445 1.162 274 39.009 73.783 10.478 1.808 5.543 11.538 44.416 1.;&8 302 42. 7.t.6 82.490 12.056 2.079 5.865 13.044 49.446 1.694 331 47.421 90.827 12.833 2.331 6.022 14.501 55.140 2.035 368 52.737 98.779 13.btl5 2.569 6.553 15.338 60.634 2.390 391 57.853 105.364 14.717 2.787 7.029 15.469 65.362 2.757 410 62.195 117.652 17.068 3.128 7.824 17.774 71.858 3.179 589 68.090 137-700 19.534 3.495 9.241 20.806 84.558 3.788 750 80.020 161-382 22.001 3.936 10.822 23.674 100.949 't.336 941 95.672 54.749 116.48 3 59.434 126....49 65.627 139.410 71.821 154.311 77.014 167-841 83.186 181.965 89.734 195.098 98.306 215.959 110.553 248.253 123.658 285.040 TOTAL CAPITAL CONSU,.PTION OWNER-OCCUPIED HOMES IHH) NONPROFIT INSTITUTIONS IHH) FARM NONCORPORATE NONFARM NONCORP. BUSINESS TOTAL CORPORATE FINANCIAL BUSINESS CORPORATE FAR"S NONFIN. CORPORATE BUSINESS MEMO: CAP. CONS. ON CONSUMER DURABLES NOT INtLUOEO ABOVE: TOT. CAP. C.ONS. INCL. DURABLES 11 12 13 14 15 16 18 19 20 21 25 ------------- 43 44 45 4'; 53 64 I>> 66 67 68 69 70 71 72 n 74 l5 l6 n 8 3.185 1. 738 -630 -3.267 -2.075 1.328 1.682 2.631 6.625 4.421 41.&84 12.733 42.001 13.098 46.054 14.168 47.530 15.472 48.229 14.394 'w,.002 13.535 43.195 14.984 '>2.072 14.326 41.086 l'--772 42.990 13.508 MONE:y AMO UNTS ARt IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis PRIVATE FIXED lNVESl"ENT RESIDENTIAL CONSTRUCTION MOBILE HOMES 1-4 FAMILY STRUCTURES HOUSEHOLD PURCHASES FARM CHANGE IN WORK IN PROCESS ON NONFARM NONCORPORATE CORPORATE MULTI-FAMILY UNITS HOUSEHOLDS NONCORPORAlt BUSINESS NONFlN. CORP. BUSINESS RE:ITS �NRE:S. PLANT + tqUIPMENT NONPROFIT INST. IHHI FARM NONFARM NONCORP. BUS. FINANCIAL CORPORATIONS NONFIN. CORP. BUSINESS INVENTORIES FARM NONFARM NONC OR PORAl E: CORPORATE 8 9 10 11 12 13 14 15 16 11 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 NET EXPORTS EXPORTS IMPORTS 33 34 35 DISPOSABLE PERSONAL INCOME: PERSONAL SAVING SAVING RATE IPER c.t:NTI 36 37 38 FEDERAL GOVERNMENT S URPLUS ST.+LO C. GOVERNMENT SURPLUS 39 40 41 4l 43 44 45 b .. &5 b6 67 68 69 70 71 72 73 74 STATISTICAL DISCREPANCY 75 PROF IT TAX RA TE 1%) PERSONAL TAX RATE: 1%) 76 77 DECEMBER 1976 FUNDS RAISED IN CP EDIT HARKET S FUNDS RAISED IN CREDIT l'IARKETS S UHHARY OF FUNDS RAJSl'D IN CREDIT MARKETS YEAR-TOTAL FLOWS, 1946-55 1946 1947 YE AR-TOTAL FLOWS, 1946-55 1948 1949 1950 1951 1952 1953 1954 1955 14.007 12.992 17.454 16.260 25.687 24.375 33.226 30.846 29.539 27.824 27.651 25.812 37.868 35.976 2.577 2.488 89 -1 .179 -557 -622 24.669 22.486 CREDIT H.&RKET FUNDS RAISE'D BY NONFINANCJAL SECTORS TOTAL Flt-IDS RAISED BY N�FINANC JAL SECTORS EXCLUDING EQUITIES -4.948 -5.966 3 U.S. GOVERNMENT PUBLIC DEBT SECURITIES 4 AGENCY ISSUES + MORTGAGES 5 n ALL OTHEP NONFINANCIAL SECTORS 7 CORPORATE EQUITIES DERT INSTRUMENTS 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 PRIVATE DOMESTIC NONFINANCUL SECTORS CORPORATE EQUITIES DEBT INSTRUMENTS DEBT CAPIHL INSTRUMENTS S T.+LOC. OBLIGATIONS CORPORATE BONDS Hl1RTGAGES HOME MORTGAGES HUL TJ-FAMIL Y RESID. COMMERCIAL FARM OTHER DEH INSTRUMENTS CONSUMER CREDIT BANK LOANS N.E.C. OPEN-MARKET PAPER OTHER -23 .449 -2� .246 -203 11! .501 1.018 17.483 15 .639 1.o 18 l'-.621 7.144 68 953 6 .123 4.343 348 1.295 137 7.477 2 .719 4.774 99 -115 16.862 15.784 -7.231 -7.194 -37 -5.709 -6.556 847 -438 -301 -137 5.365 4.984 381 7.020 5.393 1.627 2.398 2.313 85 -807 -80 -727 3 4 5 24.093 1.078 23.015 19.716 1.015 18.701 14.877 1.194 13.683 26.866 1.312 25.554 25.107 2.183 22.924 27.861 2.380 25.481 22.519 1. 715 20.804 25.253 1.839 23.414 38.675 1.892 36.783 19.720 1.093 18.627 18.417 1.000 17.417 14.610 1.212 13.398 26.631 24.544 2.101 22.437 27.226 2.320 24.906 22.519 1.766 20. 753 38.325 l.719 36.606 10 ll 15.049 3.332 1.624 10.093 7.508 1 .472 621 492 14.889 2.178 3.295 9.416 6.496 1.341 999 580 17.354 3.684 4.684 8.986 6.658 839 904 585 17.475 4.2f9 3.356 9.850 7.544 640 1 .165 501 24.819 1.583 23.236 24.210 5.276 2.836 16.098 12.449 825 2.048 776 12 13 14 15 16 17 16 19 11.303 1.412 2.813 7.078 5.085 517 1.309 167 7.324 3.214 3.782 31 297 13.708 2.169 4.300 7.239 5.0311 875 1. 102 224 3.709 2.851 197 -6 667 11.921 2.58? 2.903 6.436 4.2Cl8 1.167 680 291 1.477 2.91'5 -1 .806 23 345 2t�: 10.294 4�107 5.221 110 856 7.548 l.241 4.976 100 1.231 7.552 4.808 l.525 84 1.135 3.278 3.873 -843 112 136 21.695 6.082 3.479 12.13,. 9.336 544 1.745 509 1.541 1.011 4 355 111 12.396 6.366 5.277 -439 1.192 6 7 8 9 20 21 22 23 24 25 26 27 BY BORROWING SECTOR: ST.+LOC. GOVERNMENTS HOUSEHOLDS 15.639 47 6.960 19.720 1.431 8.321 18.41 7 2.23q 8.390 14.610 2.497 8.176 26.631 3.399 12.151 24.544 2.439 8.983 27.226 4.006 12.316 22.519 3.905 12.373 24.819 5.747 11.482 38.325 5.288 19.216 34 35 36 37 311 39 40 FOREIGN CORPORATE EQUITIES Dl'B T INSTRUMENTS BONDS BANK LOANS N.E.C. OPEN-MARKET PAPER U.S. GOVERNMENT LOANS 2.862 0 2 .862 -92 232 16 2.706 4.373 -15 4.388 -21 260 38 4.111 1.299 15 1.284 80 94 267 -18 285 -9 -171 -14 479 235 24 211 251 -216 57 119 563 76 487 277 -1 58 153 635 60 575 27 150 -20 418 0 -51 51 -112 -106 40 229 434 256 178 -50 355 74 -201 350 173 177 -193 364 39 -33 34 35 36 37 38 39 40 28 29 30 31 32 33 NONFINANCUL BUSINESS FARM NONFARH NONCORPORA TE CORPORATE DEBT INSTRUMENTS EOUJTIES 8.632 363 1.422 6.847 5.829 1.018 9.968 468 1.201 8.293 7.200 1.093 -2.114 -22.104 41 HEHO: U.S. GOVT. CASH BALANCE TOTALS NET OF CHANGES IN U.S. GOVT. CASH BALANCES-18.976 17.156 42 TOTAL FUNDS RAISED -1.345 -5.117 BY U.S. GOVERNMENT 43 7.788 658 712 6.418 5.418 1.000 -2 1.112 1.243 12.764 -6.952 3.937 392 521 3.024 1.812 1.212 483 16.971 2.094 11.081 1.058 1.999 8.024 6.736 1.288 13.122 1.287 1.256 10.579 8.472 2.107 10.904 790 887 9.227 6.907 2.320 6.241 -100 619 5.722 3.956 1.766 7.590 772 622 6.196 4.613 1.583 13.821 l.442 1.993 10.386 8.667 1.719 25 26 27 28 29 30 31 32 33 -429 197 1. 797 -1.356 41 24.472 -635 306 -674 26.116 -750 31.429 3.568 30.895 8.376 27.345 2.092 38.542 -133 42 4-3 CREDIT MARKET FUNDS RAISED BY FINANCIAL SECTORS 1 2 3 4 5 6 7 8 9 10 11 12 13 TOTAL FUNDS RAISED BY FINANCIAL SECTORS U.S. GOVT. RELATED SPONSORED CR. AG. SEC. MORTGAGE POOL SECURITil'S LOANS FROM U.S. GOVERNMENT PRIVATE FINANCIAL SECTORS CORPORATE EOUIT IES DEBT INSTRUMENTS C�PORATE BONDS MORTGAGES BANK LOANS N.E.C. OPEN--H• RKET PAPER + RP1S LOANS FRDH FHLB1S 14 TOTAL, BY SECTOR 15 SPONSORED CREDIT AGENCIES 16 MORTGAGE POOLS 17 18 19 20 21 22 23 24 25 26 PRIVATE FINANCIAL SECTORS COHHERC JAL BANKS BANK AFFIllATES FOREIGN BANKING AGENCIES SAVINGS + LOAN ASSNS. OTHER INSURANCE COMPANIES FINANCE COHPANIES REJTS OPEN-ENO INVESTMENT COS. HONEY MARKET FUNDS 1.226 1.589 1.134 116 116 0 0 2.577 1.275 2.135 2.282 973 295 295 0 0 6.123 279 275 4 0 -109 -112 3 0 1.110 297 1.310 178 1.243 358 238 227 11 0 57 47 10 0 1.166 390 406 381 25 0 4 -3 7 0 -17 -35 18 0 1.045 941 38 66 1 .461 776 161 100 276 143 96 813 192 80 288 122 131 1.132 425 42 409 179 77 1 -461 295 0 1.226 116 0 l.589 275 4 1.166 55 0 -16 168 53 624 0 282 0 1.110 1.310 45 0 0 93 37 1.039 0 96 0 11 0 7 209 77 597 0 209 0 885 382 44 373 168 -82 1.134 -112 3 1.243 11 0 5 -53 20 933 0 327 0 2.078 706 2.278 610 990 856 549 288 47 -237 350 101 1.372 257 132 676 354 239 209 -152 -85 4.246 924 123 2.361 288 550 1.275 227 11 1.668 1.401 50 -96 225 88 2.135 47 10 2.282 -3 7 2.078 139 0 -2 79 36 1.295 0 531 0 2.278 114 0 0 131 88 1.537 0 408 0 973 -35 18 990 228 0 3 167 106 -36 0 522 0 6.123 l .007 38 5.078 -11 0 0 725 103 3.481 0 780 0 17 18 19 20 21 22 23 24 35.361 531 2.555 31.821 408 1.917 28.624 522 2.173 43.991 780 1.944 l 2 3 2.111 357 1.037 488 1.814 380 46 967 38 383 2.577 381 25 2.111 72 0 5 445 46 1.364 0 239 0 1.037 144 0 0 152 47 397 0 297 0 -47 TOTAL CREDIT MARKET FUNDS RAISED, All SECTORS, BY TYPE 1 TOTAL FUNDS RAISED INVESTMENT COMPANY SHARES 2 3 OTHER CORPORATE EQUITIES 4 5 6 7 8 9 10 11 12 DEBT INSTRUMENTS U.S. GOVERNMENT SECURITIES STATE + LOCAL OBLIGATIONS CORPORATE + FOREIGN BONDS· MORTGAGES CONSUMER CREDIT BANK LOANS N.E.C. OPEN-MARKET PAPER + RP1S OTHER LOANS DigitizedHONEY for FRASER AMOUNTS ARE. IN MILLIONS https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -3.487 282 1.126 -4.895 -23.154 68 1 .022 6.223 2.719 5.282 258 2.687 OF DOLLARS. 18.088 209 1.166 16.713 -7.115 1.412 2.984 7.158 3.214 4.330 191 4.539 15 .596 96 1.097 14.403 -5.430 2.169 4.805 7.281 2.851 700 171 l.856 18.588 327 1.225 17.036 2.468 2.582 3.276 6.480 2.915 -1.604 177 742 28.264 239 1.430 26.595 -773 3.332 2.255 10.139 4.107 5.972 205 1.358 2 3 4 5 25.944 297 2.374 23.273 -200 2.178 3.860 9.463 1.241 4.738 508 1.485 32.275 5.422 3.684 4.968 9.118 4.808 2.351 418 1.506 29.496 7.024 4.269 4.645 9.900 3.873 -1.045 377 453 134 -77 25.929 2.381 6.082 3.352 12.373 1.011 568 277 -175 5.078 832 41.267 172 5.216 3.567 16.221 6.366 8.002 -112 1.715 6 7 8 9 10 11 12 13 14 15 16 25 26 4 5 6 1 8 9 10 11 12 DECEMBER 1976 FUNDS RAISED IN CREDIT MARIC.ETS FUNDS RAISEU IN CREDIT MARKETS SUMMARY OF F-UNDS RAISED IN CREDIT MARKETS -------------- YE:AR-TOTAL FLOWS, 1956-65 1956 1957 YE:AR-TOT AL FLOWS• 1951>-65 1958 1959 1960 1961 1962 1963 1964 1965 ----------- CREDIT MARIi.ET FUNDS RAISED BY NONFINANCIAL SECTORS TOTAL FUNDS RAISED BY NONFINANCIAL SECTORS EXCLUDING EQUITIES 1 2 U.S. bOVERNMENT PUBLIC DE:BT SECURITIES AGENCY ISSUE:S + MORTGAGl:S 3 4 5 ALL OTHER NONFJNANCIAL SECTOkS CORPORATE: E:QUIT IE:S DEBT INSTRUMENTS 7 8 1 2· 29.832 21.-.11 30.592 28.l 16 42.250 39.950 52 .900 50.627 38.566 37.115 47.652 At5.206 5At.734 54.390 59.353 59 .583 69.278 67.923 71.684 71.414 3 4 5 -5.816 -5.561 -255 -2.255 -2.674 419 8.9At5 9.300 35>5 7.077 7.411 -334 -2.061 -2.205 144 1.201 6.672 529 6.993 6.190 803 3.973 ...082 -109 6.2l9 5.344 885 1.764 1.297 467 6 7 8 35.648 2.361 33. 28 7 32.8At7 2.476 30.371 32.950 2.300 30.650 At5.823 2.2H 43.550 40.627 1.451 39.176 40.451 2.446 38.005 47.7Atl 3At4 47.397 55.380 -230 55.610 63.049 1.355 61.694 69.920 270 69.650 9 10 11 34.674 2.250 32.424 31.419 2-441 29.038 30.ol8 1.968 28.650 44.989 38. 770 1.365 37.405 37.929 2.121 35.808 45.667 369 45.298 52.069 -341 52.410 58.651 1 • 145 57.500 67.200 -28 67 .228 12 22.662 4.247 6-317 12.098 8.647 451 2.438 562 26.124 5.498 5.683 14.943 9.765 1.518 2.948 712 28.154 6.280 2.955 18.919 13.035 l.820 3.072 25.523 5.280 3.456 16.787 11.193 l.681 3.176 737 29.830 5.085 4.640 20.105 12.429 2.614 3.983 l.079 32.932 5.358 4.550 23.02At 14.120 2.850 ... 778 l.276 36 .145 5.723 3.913 26.509 16.565 3.230 5.085 l .629 37.715 6.001 3.994 27.720 11.251 4.524 19 21. 791 3.591 3.615 14.585 10. 777 574 2.421 813 2.120 40.1 75 7.345 5.392 27.438 17.162 ,3.616 4.415 2.245 DEBT CAPITAL INSTRUMENTS ST .+Loe. OBLIGATIONS CORPORATE BONDS MORTGAGl:S HOME MORTGAGES MULTI-FAMILY R ESID. COMMl:RCUL HRM 20 21 22 23 24 10.633 3.504 6.093 174 862 6.376 2.637 1.745 173 l.821 2.526 14.757 6.415 5.991 -332 2.683 U.882 3.372 695 3.218 5.9711 1.841 2.156 386 1.595 12-366 l.015 199 l.154 4.297 107 2.123 16.265 7.918 5.696 -463 3.114 19.791 8.529 7.40 .. 245 3.613 27.053 9.615 13.569 -254 4.123 OTHER DEBT lNSTRUMENTS CONSUMER CREDIT BANK LOANS N.E:.C. OPElt-MARKET PAPER OTHER 25 26 27 3At.674 3.659 16.116 31.479 4.398 12.910 30.618 5.678 12.020 44.989 6.465 21.369 38.770 5.485 18.482 37.929 5.311 16.958 45.667 5.8o2 21-789 52.069 5.956 26.753 5tl.651 6.262 29. 287 67.2UO 7.658 30.167 29 30 31 32 33 28 lAt.899 858 1.111 12.870 10.620 2.250 14.1 71 l .057 928 12.186 9.745 2.441 12.920 1-364 1.207 10.289 8.321 14.803 1.031 1.795 11.977 10.612 l.365 15.660 l.593 1.934 12.133 10.012 2.121 18.016 2.298 3.270 12.448 12.079 369 19.360 2.550 ...422 12.388 12.729 -341 23.102 Z.603 l.968 11.155 1.932 2.543 12.6110 10.602 2-078 29.375 3.30.l. 5.715 20.358 20.386 -28 34 35 36 37 38 39 40 97At 111 863 310 355 167 3l 1.368 35 1. 333 435 353 211 334 2.332 332 2.000 639 834 195 1.857 86 1.771 577 141 635 418 2.522 325 2.197 437 686 595 479 2.01-. -25 2.099 3.311 111 3.200 993 582 473 l .152 13 lAt 15 16 17 18 158 918 526 -76 632 2.078 42.911 9')2 473 223 -54 -3 4.597 5.839 994 424 -36 717 41 52 162 177 612 839 48 l.287 At2 43 29.780 -5.868 30.430 -2.417 42-073 9.123 52.288 6.465 37.727 --Z.900 47.604 7.153 53.447 5. 706 3.825 5.459 15.040 13.895 1 .145 4.398 210 4.188 467 1.703 407 l.611 2.120 298 2.422 460 501 -67 l .528 PRIVATE DOMESTIC NONFINANCJAL SECTORS CORPORATE EQUJTJES DEBT INSTRUMENTS b 9 10 11 BY BORROWING SECTOR z ST. +LDC.. GOVERNMENTS HOUSEHOLDS NONFINANCJAL BUSINESS FARM NONFARM NONCORPORATE CORPORATE. DEBT lNSTRUMl:NTS EQUITIES FOREIGN CORPORATE EQUITIES DEBT INSTRUMENTS BONDS BANK LOANS N.E.c. OPEN-MARKET PAPER U.S. GOVERNMENT LOANS MEMO: U.S. GOVT. CASH BALANCE -l.165 -355 319 TOTALS NET OF CHANGES IN U.S. GOVT. CASH BALANCESTOTAL FUNDS RAISED 68.959 72.849 59.708 BY U.S. GOVERNMENT 2-929 5.910 ... 328 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 3C. 31 32 33 34 35 36 37 38 39 -.o 41 42 43 CREDIT MARKET FUNDS RAISED BY FINANCIAL SECTORS 2-632 3.772 1.559 8.228 ...890 4.966 7-126 9.196 4 5 771 443 33 295 l.l,.,_ l.400 24 -280 73 77 17 -21 2.288 2.195 14 79 636 740 -2 -102 769 614 88 67 l.622 1. 514 123 -15 1.559 1.536 112 -89 6 7 l.861 1.378 2.628 1.409 1.486 l.798 5.940 2.044 4.254 l.6At5 ...197 2.604 5.50At 1.961 8 9 10 11 12 13 483 1.081 -25 -495 111 -189 1.219 745 -31 16 452 37 -312 202 305 -699 -153 33 3.896 1.177 132 1.053 098 2.609 1.379 -107 6At6 844 -153 l.593 150 364 537 -139 681 14 15 16 2.632 738 33 3.772 1.120 24 1.559 56 17 2.274 14 8-228 4.890 638 -2 17 18 19 20 21 22 1.861 245 0 5 -239 62 739 0 1.049 2.628 273 0 13 0 1.-486 36 0 5.940 132 0 -2 1.074 135 2.824 0 1.777 0 4.254 125 0 -29 -29S 79 2.930 0 1.444 0 23 2-. 25 26 ·o 66 1.206 0 1.070 0 8 3b9 148 -671 0 ·1.596 0 836 TOT AL FUNDS RAJSEO BY FINANCIAL SECTORS 7.834 12.277 043 99 131 2.359 1.909 245 205 U.S. GOVT. RELATED SPONSORED CR. AG. SEC. MORTGAGE POOL SECUUTJES LOANS FROM U.S. GOVERNMENT 7-637 l.793 7.191 2.219 9.918 3.299 PRIVATE FINANCIAL SECTORS CORPORAU EQUITIES 3.543 -AtO At49 1.107 1.210 817 5.844 1.308 529 1.682 1.020 l.305 ... 972 2.304 -289 585 1.831 541 6.619 2.217 -Atl 2-328 1.443 672 4.966 681 88 7.126 9.196 1.447 112 7.834 544 99 12.2n 2.114 245 4.197 175 0 11 1.023 256 562 0 2.110 0 S.504 96 7.637 7. 191 92.l 0 293 123 3.7S4 5 2.046 0 9.918 1.012 0 -10 805 85 4.750 4 3.272 0 1.499 123 0 -15 1.224 143 2.334 1 1. 721 0 284 0 29 1.924 286 3.658 2 l.4S4 0 413 49 DEBT INSTRUMENTS CORPORATE IIONOS MORTGAGES BANK LOANS N • E.c. OPEN-MARKET PAPER + RP 1 S LOANS FROM FHLB IS TOTAL, BY SECTOR SPONSORED CREDIT AC.ENC IES MORTGAGE POOLS PRl·VATE FINANCUL SECTORS COMMERCIAL BANKS BANK AFFILIATES FOREIGN IIANUNG AGENCIES SAYINGS + LOAN ASSNS. OTHER INSURANCE COMPANIES FINANCE COMPANIES REITS OPEN-ENO JNYESll'IENT MONEY MARKET FUNDS cos. 2 3 4 5 b 7 8 9 10 11 12 13 14 lS lb 17 18 19 20 21 2.2 23 24 2.5 2o TOTAL CREDIT MARKET FUNDS RAISED, ALL SECTORS, BY TYPE l 2 3 " � 9 10 11 12 TOTAL FUNDS RAISED INVESTMENT COMPANY SHARES OTHER CORPORATE EQUITIES 1 2 3 32.464 l.049 2.690 34.364 1.010 2.815 43.809 1.596 2.502 61.128 1.777 2.540 43.456 1.444 1.652 52-618 2.170 2.880 61.860 1.721 68.549 1.454 109 77.112 2-046 1.528 83.961 3.272 297 28. 725 -5.340 3.591 5.006 \4.560 30.479 39. 711 56.811 8.971 6.280 4.605 19.366 40.360 -1 • 728 5.280 5.412 17.085 47.568 7.681 5.085 5.227 20.691 59.555 8.370 5.358 5.504 23.733 66.986 S.S59 5.723 6.214 27 • 100 73.538 6.711 6.001 o.765 27.461 80.392 3.899 7.345 8.069 27.416 DEBT INSTRUMENTS U.S. GOYEANMENT SEC.URITIES STATE + LDC.AL OBLIGATIONS CORPORATE: + FOREIGN &ONDS MORTGAGES 4 5 6 7 8 3.504 5.953 452 2.637 2.114 6.415 7.267 312 3.595 4.S97 4.159 2.174 3.381 1.841 3.379 842 2.822 5.839 5.828 1.281 3.642 7.918 7.960 1.030 5.482 9.529 9.692 2-�3 9.615 16-398 1.122 6.528 CONSUMER CREDIT BANK LOANS N.E.C. OPEN-MARKET PAPER + RP 1S OTHER LOANS 9 10 11 999 -927 4.247 7.497 12.11>3 836. 1.912 8,9S8 5.498 60803 15.684 158 842 -30 1-798 Digitized for EY FRASER AMOUNTS ARE IN MILLIONS MON https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis DF DOLLARS. 584 5.896 12. DECEMBER 1976 FUNDS RAISED IN CREDIT MARKETS 6 FUNDS RAISED IN CREDIT MARKETS SUMMARY OF FUNDS RAISED IN CREDIT MARKETS YEAR-TOlAL FLOWS, 1966-75 YEAR-TOTAL FLOWS, 1966-75 1966 1967 1968 1969 1970 1971 1972 1973 1974 1975 CREDIT MARKET FUNDS RAISED 8Y NONFINANCUL SECTORS TOTAL FUNDS RAI SEO BY NONFINANCUL SECTORS E XCLUOING EQUITIES 69.298 68 .292 83.900 81.453 98.318 98.322 93.477 89.604 100.659 94.897 151.034 139.572 176.896 166.388 197.636 189.952 186.833 184.985 210.370 200.333 3.629 2 .336 1.293 13.000 8.908 4.092 13 .56B 10.474 3.094 -3.664 -1.279 -2.385 11.851 12.884 -1.033 24. 747 26.020 -1.273 15.214 14.262 952 8.272 7.907 365 11.997 12.021 -30 85.206 85.848 -642 4 5 65.669 1.006 64.663 70.900 2.447 68.453 84.750 -4 84.754 97.141 3.873 93.268 88.808 5.762 83.046 126.287 11.462 114.825 161.684 10.510 151.174 189.364 7.684 181.680 176.836 3.8'" 172.988 125.164 10.037 115.127 6 7 8 64.093 1.259 62.834 66.884 2.397 64.487 8 l.921 -159 82.080 93.456 3.406 90.050 86.066 5.694 80.372 121 .107 11.435 109.672 157.693 10 .922 146.771 183.140 7.683 175.257 161.560 4.097 157.463 112.194 9.906 102.286 9 10 18 19 DEBT CAPITAL INSTRUMENTS ST.+LOC. OBLIGATIONS CORPORATE BONDS MORTGAGES HOME MORTGAGES MULTI-FAMILY RESID. COMMERCIAL FARM 39.569 5.647 10.224 23.698 13 .028 3.124 5 .681 1.865 46.104 7.769 14.658 23.677 13.425 3.603 4.684 1.965 51.845 9.516 12.893 29.436 17.274 3.437 6.565 2.160 52.457 9.926 u.975 30.556 18.127 4.930 5.681 1.818 60.227 11.225 19 • 756 29.246 14.379 6.948 7.088 831 86.828 17.511 18.807 50.510 28.626 9.677 9.826 2.381 102. 785 15.401 12.187 75.197 42.551 12.662 16.433 3.551 106.b62 16.316 9.159 81.187 46.434 10.371 18.867 5.495 101.153 19.621 19.670 61.862 34.645 7.043 15.107 5.067 101.310 17.281 27.204 56.825 40.791 -80 10.881 5.233 20 21 22 23 24 OTHER DEBT INSTRUMENTS CONSUMER CREDIT BANK LOANS N.E.C. OPEN-MARKET PAPER OTHER 23 .265 6.356 10 .870 1.087 4.952 18.383 4.544 9.620 1.653 2.566 30 .235 9.987 13.751 1.465 5.012 37.593 10.376 1'5.495 1.815 9.907 20.145 5.851 6.692 2.585 5.017 22.844 11.643 6.503 -357 5.055 43.986 18.607 18.070 774 6.535 68.595 21.717 34. 764 2.478 9.636 56.310 9.776 26.173 6.823 13.538 976 8.536 -14.466 -2.111 9.077 20 21 22 23 24 64�093 6.274 23 .313 66.884 7.944 22.354 8l.921 9.826 32.097 93.456 10.672 33.838 86.066 11.302 25.330 121 • 107 17.790 42.142 157.693 15.198 64.788 183.140 14.806 73.499 161.560 18.649 45.161 112.194 14.870 49.676 25 20 27 34.506 3.193 5.731 25.582 24.323 l .259 36.586 3.311 4.398 28.877 26.480 2.397 39.998 2.750 5.333 31.915 32.074 -159 48.946 3.052 7.454 38.440 35.034 3.406 49.434 2.305 5.660 41.469 35.775 5.694 61.175 4.468 10.349 46.358 34.923 11.435 77 •707 5 .828 13.111 58 •768 47.846 10.922 94.835 9.716 12.264 72.855 64.972 7.883 97.750 7.885 6.735 83.130 79.033 4.097 47.648 9.393 1.196 37.059 27.151 9.908 28 29 30 31 32 33 1.576 -253 l .829 7 35 -125 -51 1.210 4.016 '50 3.966 1.216 -279 473 2.556 2.829 155 2.674 l.OR4 -464 -15� 2.213 3.685 467 3.218 1.028 -234 315 2.109 2.742 68 2.674 874 -337 799 1.338 5.180 27 5.153 940 2.098 302 l.813 3.991 -412 4.403 1.030 2.952 -1.044 1.465 6.224 -199 6.423 958 2.841 930 1.694 15.276 -21,-9 15.525 2.102 4.694 7.081 lob48 12 .970 129 12.841 6.191 3.990 -105 2.765 34 35 36 37 38 39 40 .t,.l MEMO: U.S. GOVl. CASH BALAl'ICE 1.164 -399 TOTALS NET OF CHANGES IN U.S. GOVT. CA SH BA LANCES-69.697 82.736 42 TOTAL FUNDS RAISED 43 BY U.S. GOVERNMENT 11.836 4.028 -1 .192 458 2.754 3.185 -314 -1.675 -4.581 2.872 41 99.510 14.760 93.019 -4.12? 97.905 9.097 147.849 21 .562 177.212 15 .528 199.311 9.<,,p 193.414 16.578 207.498 82.334 42 43 3 U.S. GOVERNMENT PUBLIC DEBT SECURITIES 4 5 AGENCY ISSUES + MORTGAGES 6 All OTHER NONFINANCIAL SECTORS CORPORATE EQUITIES 7 DEl!T INSTRUMENTS 8 9 10 11 12 13 14 15 16 17 25 26 27 28 29 30 31 32 33 34 35 36 �7 38 39 40 PRIVATE DOMESTIC NONFINANCIAL SECTORS CORPORATE EQUITIES DEBT INSTRUMENTS BY BORROWING SECTOR: ST.+LOC. GOVERNMENTS HOUSEHOLDS NONFINANCIAL BUSINESS FARM N ONFARH NONCORPORATE CORPORATE DEST INSTRUMENTS EQUITIES FOREIGN CORPORATE EQUITIES DEBT INSTRUMENTS BONDS BANK LOANS N.E.c. OPEN-MARKET PAPER U.S. GOVERNMENT LOANS 11 12 13 14 15 16 17 18 19 CREDIT MARKET FUNDS IIAISED BY FINANCIAL SECTORS l TOTAL FUl'fDS RAISED BY FINANCIAL SECTORS 12 • 137 2.028 17.231 35.239 15. 754 l7. 028 29.140 56.713 42.978 14.839 2 3 4 5 U.S. GOVT. RHATED SPONSORED CR • .lG. SEC. MORTGAGE POOL SECURITIES LOANS FROM U.S. GOVERNMENT 5 .270 5.058 445 -233 53 -554 674 -67 4.014 3.229 538 247 9.461 9.066 678 -283 9.785 6.234 1.551 0 5.913 l.142 4.771 0 8.399 3. 521 4.878 0 19.931 16.295 3.636 0 23 .0�6 16.602 5.759 695 13.545 2.342 10.339 864 2 3 4 5 6 7 PRIVATE FINANCIAL SECTORS CORPORATE EQUITIES 6.867 3.798 1.975 3. 116 13.217 6.533 25.779 6.266 � .969 4.753 11.115 3.509 2C. 741 2.158 36.182 1.498 19.922 1.009 1.294 1.179 6 7 3.069 224 -928 -1.036 3.871 93e -1.141 679 987 -2.012 1. 754 -2.549 6.684 446 392 1.530 3.443 873 19.512 !'26 236 1.500 12.920 4.030 1.216 2.676 739 -21 -3.504 1.326 7.606 3.766 2.085 3.538 896 -2.679 17.983 5.133 1.660 6.163 4.384 43 35.284 3.514 -1.222 13.989 11.835 7. 168 18.913 2.098 -1.254 1.517 3.895 6.657 115 2.898 2.309 -3.946 2.813 -3.959 8 9 10 11 12 13 12.137 4 .825 445 2.028 -621 674 17.231 3 .476 538 35.239 8. 783 67e 15.754 8.234 1.551 17.028 1.142 4.771 29.140 3.521 4.8111 56.713 16. 295 3.636 42.978 17 .297 5.759 14.839 3.206 10.339 l<t 15 16 6.867 444 0 55 83 81 2.476 6 3.722 0 l.975 -42 0 -28 -1.702 110 594 7 3.036 0 13.217 771 0 85 1.137 247 3.873 1.202 5.907 0 25.77d 2.385 4.294 158 4.104 549 7.826 l .53.3 4.929 0 5.969 -1.973 -1.945 80 l.845 393 2 .637 2.162 2.770 0 11.115 2.434 -376 1.641 -66 599 7..665 2.931 1.287 0 20.741 4.615 664 844 1.960 456 6.219 6.312 -529 0 36.762 8.121 2.244 5.0R't 6.025 538 9.436 6.545 -1.211 0 19.922 -1.088 3.451 2 .872 6.285 873 4.544 1.146 -540 2.379 1.294 l.671 322 -337 -2.103 948 657 -1.920 790 1.266 17 18 l<, 20 21 2.2 23 8 9 10 11 12 13 DEBT INSTRUMENTS CORPORATE BONDS l'IORTGAGES BANK LOANS l'I.E.C. OP!:'fll-HARKET PAPER + RP 1S LO.lNS FROM FHLB I S 14 TOTAL, BY SECTOR 15 SPONSORED CREDIT AGENCIES "lORlGAGe POOLS 16 17 18 19 20 n n 23 24 25 26 l>RIVATE FINANCIAL SECTORS COMMERCIAL BANKS IIHIK AFFILIATES FOREIGN BANKING JGENCIES SAVINGS + LOAN •SSNS. OTHER INSURANCE CUMPANIFS FINANCE COMPANIES RE ITS OPEN-END INVfSTMENT COS. MONEY MARKET FUNDS ,,. 25 26 TOTAL CREDIT MARKET FUNDS RAISED, ALL SEClORS, BY TYPE TOTAL FUNDS RAISED INVESTMENT COMPANY SHARES OTHER CORPORATE EQUITIES 4 5 6 7 8 DEBT INSTRUMENTS U.S. GOVERNl'IENT SECl•RITIES STATE + LOCAL OBLIGATIONS CORPORATE + FOREIGN BOl'IDS HOR TG AGES 9 10 11 12 CONSUMER CREDIT BANK LOANS N •E • C • OPEN-MARKET PAPER + RP 1S OTHER LOANS Digitized MONEY for FRASER AMOUNTS ARE IN MILLIONS https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis el .435 3.722 1.082 85.928 3.036 2.527 115.549 5.907 622 128. 716 4.929 5.210 116.413 2.770 7.745 168.062 l.287 13.684 206.038 -529 13.797 254.349 -1.211 10.393 231.811 -540 5.397 225.209 790 10.426 1 2 3 76.631 9.194 5.647 11.183 22.708 80 .36!i 13. 183 7. 769 16.553 24.601 109.020 17.401 9.�16 14.423 29.762 118.577 6.161 9.926 13.829 30.711 105.898 21.711 11.225 23.306 29.'ilO 153.091 30.732 17.511 23.513 52.523 192.710 23.699 15.401 18 .350 76.771 245.167 28.274 lb.316 13. 631 79.894 226.95'> 34.465 19.621 23.870 60.501 213.9'i3 97.975 11.2e1 36.293 59.046 4 5 6 6.356 9.709 4 .907 6.927 4.544 7.329 3.880 2.506 9.987 14.81 7 4.769 8.345 10 .376 16.761 15.050 15 •763 5.851 6.334 -120 7.681 11.643 12.139 841 4.189 18 .607 27.785 4.114 8.043 21.111 51.594 15.243 18.498 9.776 ,38.384 17.799 22.538 8.536 -l'>.422 537 8.747 OF DOLLARS. 1 8 9 10 11 12 oECEM!:IER 1916 cREOJT MARKET SUPPLY OF FUNOS -- C.REDIT MARKET SUPPLY OF FUNDS DIRECT ANO IP«>IRECT SOURCES OF FlJIIOS TO C.REOIT MARKETS yfAR-TOTAL FLOWS, 1946-55 YEAR-TOTAL FLOWS, l946-S5 1946 1941 1948 1949 1950 1951 1952 1953 1954 -5.966 15.184 12.992 16.260 24.375 22.486 30.846 27.824 25.812 1955 TOTAL FUNDS ADVANCED IN CREDIT MARKETS TO NONFINANCIAL SECTORS 35.916 l 8Y PUBLIC A GENCIES + FOREIGN 3.089 1.340 2 3 4 5 6 565 -1.630 -230 96 2.329 2.963 -1.512 -41 131 4.385 7 8 9 10 2.280 79 -813 -981 4.288 195 11 295 12 13 14 15 16 17 18 -6.236 -21.">24 68 1.135 4.921 9.359 96 19 20 21 22 23 749 -6.356 2.929 4.591 -415 10.346 3.223 2.560 4.613 -50 60697 -2.596 2 .252 5.419 1.562 14.696 5.862 2.510 5.283 1.041 17.122 6.523 3.271 6.003 1.325 15.597 6.651 2.971 5. 730 245 23.542 8.634 4.962 7.434 2.512 19.767 3.700 5.795 8.434 1.838 25.233 9.447 c..464 8.506 816 24.734 4.442 8.118 8.416 3.758 CREDIT MARKET FUNDS ADVANCED BY PRIVATE FINANC.IAL INSTS. COMMERCIAL BANKING SAVINGS INSTITUTIONS INSURANCE + PENSION FUNDS OTHER FINANCE 19 20 21 22 23 24 25 26 749 13.509 776 ·10.346 7.332 813 6.697 576 1.132 14.696 3.018 885 17.122 7.546 1.814 15.597 10.815 549 23.542 11.041 1.372 19.767 9.437 1.668 25.233 13.888 134 24.734 10.775 4.246 SOURUS l.F FUNDS PRIVATE DOMESTIC DEPOSITS CREDIT MARKET BORROWING 24 25 26 27 -13.536 -541 -21.521 3.446 5.080 2.201 -398 -1.646 3.698 547 4.989 681 995 4.117 -804 10.193 294 733 4.107 5.659 1.n2 28 29 30 31 4.173 -163 553 5.091 -1.308 11.129 526 1.582 5.998 3.023 8.662 80 -795 6.602 2.175 11.211 842 "· 713 -181 -463 32 33 34 35 36 37 -6.209 -7 .490 -297 -896 48 2.426 3.404 1.325 440 -788 91 2.33b 4.617 1.311 1.128 -63 126 2.115 5.252 2.980 l.037 -785 -46 1.990 5.042 913 2.033 -1 140 1.963 1.300 134 1.490 2.908 271 559 236 78 l.764 3.276 2.204 -66 387 1.499 1.ceo -2.326 2.663 -938 38 39 40 41 42 13.769 bo482 0 3 •774 2.708 7.078 3.592 0 1.348 2.244 170 2.513 0 554 l .95'i 2.357 2.794 0 294 2.500 7.528 2.555 0 155 .:.400 11.817 4.980 0 1.917 3.063 12.212 7.865 0 2.872 4.993 10.026 8.542 0 2.841 5.b95 43 44 4� 7.287 1.021 -2 .343 -1.937 -406 -437 224 -661 4.973 4.991 -18 b.831 5.895 942 4.347 3.176 1.171 i.484 260 3.486 3.740 -254 46 7.560 10.482 4.787 7.609 12.716 14.72 5 47 48 -9.470 -12 .010 -1.522 18. 772 79.972 -1.031 23.77b 65.172 1.120 -17.908 77 .091 688 ll.579 83.!i38 l.855 21.20 4 86.802 -146 81 l7 1.585 -2.912 -4.183 486 -82 861 4.285 3.011 304 383 581 4. 168 3.003 615 101 1.049 3.691 2.029 474 -47 1.235 -881 1.290 -29 -4.561 394 733 485 -633 1.376 361 913 439 1.243 1.298 42 8 3.025 ll 1.512 133 926 1.120 116 219 -109 406 238 51 1.824 TOTAL NET ADVANCES, BY TYPE U.S. GOVERNMENT SECURITIES 84 RESIDENTIAL MORTGAGES -85 FHLB ADVANC.ES TO S+L'S 96 OTHER LOANS + SECURITIES TOTALS ADVANCED, BY SECTOR 719 -284 U.S. GOVERNMENT 569 1.054 GOVT.RELATED AG. + POOLS 68 334 MCWETARY AUTHORITIES -866 -251 1.200 432 969 FOREIGN 592 AGENCY BORROWING AND POOL SECURITY ISSUES NOT INCLUDED -17 4 1.045 IN LINE 1 2.429 1.794 351 88 190 -384 -479 2.491 1.019 360 550 562· ---------- 2 3 4 s 6 1 8 9 10 11 PRIVATE DOMESTIC FUNDS ADVANCED 12.931 -5.603 1.412 2. 741 5.643 8.779 131 10.182 -6.770 2.169 4.428 5.826 4.145 17 19.063 6.651 2.582 2.199 4.919 1.851 -82 20.496 -3.784 3.332 1.885 8e6lb 10.101 363 17.956 -3.203 2.178 3.566 1.222 8.296 101 21.212 3.393 3.684 4.675 1.023 8.419 -47 25.399 5.230 4.269 3.229 7.827 4.915 88 26.179 2.860 6.082 3.423 9.796 4.050 -85 34.530 -841 5.276 2.589 12.914 15.0lt, 550 TOTAL NET ADVANCES U.S. GOVERNMENT SECURITIES STATE + LOCAL OBLIGATIONS CORPORATE + FOREIGN BONDS RESIDENTIAL MORTGAGES OTHER MORTGAGES + LOANS LESS: FHL B ADVANCES 12 13 14 15 lb 17 18 PRIVATE FINANCIAL INTERMEDIATION bl2 -265 4.934 2.481 2b 6.702 3.641 1.111 3.180 ------ OTHER SOURCES FOREIGN FUNDS TREASURY BALANC.ES INSURANCE + PENSION RE S. OTHER, NET 21 20 29 30 31 PRIVATE DOMESTIC. NONFINANCIAL INVESTORS 49 -------1 -389 5.188 3.030 999 14.042 7.380 3.711 656 156 2.139 DIREC.T LENDING IN CR. MARKETS U.S. GOVERNMENT SECURITIES STATE + LOCAL OBLIGATIONS CORPORATE • FOREIGN BONDS 0PEN-MKT PAPER, ETC.. OTHER 32 33 34 35 36 37 13.659 9.846 0 3.284 6.562 11.211 8.485 0 l.4B5 OEPOSllS + CURRENCY TIME + SAVINGS AC.COUNTS LARGE NEGOTIABLE CD'S OTHER AT COMMERCIAL BANKS AT SAVINGS INSTITUTIONS 38 3-. 40 589 895 3.813 4.042 -229 2.126 2.290 436 17.254 17.326 14.739 25.253 11.965 86.513 1.646 8.729 77.82 5 672 -1.487 96.386 1.274 6.924 71.630 788 9b 1.585 1.000 MONEY DEMAND DEPOSl TS C.URRENCY TOTAL OF CREDIT MARKET INSTRUMENTS, DEPOSITS + C.URRENC.Y 41 4, 43 44 45 4b PUBLIC HOLDINGS AS l OF TOTAL 47 PVT• F JNAN. lNTERMEDUlION Ill 48 49 TOTAL FOREIGN FUNDS ------------ CORPORATE EQUITIES NOT INCLUDED ABOVE 1 .408 282 1.126 1.375 209 1.166 1.193 96 1.097 1.552 327 1.225 l.bb9 2.671 291 2.374 3.080 531 2.555 2.325 408 l.917 2.695 :>22 2.173 2.724 780 1.944 TOTAL NET ISSUES MUTUAL FUND SHARES OTHER EQUITIES 338 1.010 415 960 361 832 819 990 679 721 l.447 1.639 1.298 1.021 1. 747 948 1.043 1.081 ACQ. BY FINANCIAL INS TlTUTIONS OTHER NET PURCHASES 673 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 239 1.430 1.944 3 4 5 DECEMBER 1976 CREDIT M ARKET SUPPLY OF F�OS CREDIT MARKET SUPPLY OF FUlfDS DIRECT ANO INDIRECT SOURCES OF FUNDS TO CREOil' MARKETS 'WEAR-TOTAL FLOWS, 1956-65 YEAR-TOTAL FLOWS, 1956-65 1965 1956 1957 1958 1959 1960 196 1 1962 1963 1964 TOTAL FUNDS ADVANCED IN CREDIT MARKETS 27 .471 TO NONFINANCUL SECTORS 28.116 39 .950 50.627 37.115 45.206 54.390 59.583 67.923 1.794 -578 1.196 37 1. 139 3.970 2 .302 109 33 1.526 7.210 3. 417 1. 89 5 836 1. 062 4.143 1.489 1.002 -153 1.805 4. 779 1. 867 269 681 1.962 7.046 3.599 58 8 17 2 .572 o.766 3.80 4 - 1.2 32 1. 305 2.889 7.913 3.467 -152 541 4.057 9 .2'>2 3.733 513 672 4.32, 2 3 4 5 6 621 678 1 .492 336 1.323 1 .059 2.105 -701 195 37 551 1. 147 ISSUES l'<IT INCLUDB'.) 771 1.144 73 1. 783 2.238 314 2.875 1.031 1.185 738 1 .189 1. 660 1 .121 1.481 517 1 .949 1 .739 1.984 1.374 1.547 1.666 2.856 697 2 .831 8 35 3.381 866 2 .88 1 2.At76 3.828 57 7 8 9 10 2.288 636 769 1.622 1.55 9 6 43 2.359 11 BY PUBLIC AGENCIES + FORE I QI 2 TOTAL NET ADVANCES, BY TY P E 3 U.S • GOVERNMENT SECURITIES 4 RES IDENTIAL MORTGAGES FHLB ADVANCES TO S+L 1 S 5 6 OTHER LOANS + SECURITIES TOTALS ADVANCED, BY SECTOR 7 U.S . GOVERNMENT B G OVT.RELATED AG. + POOLS MONETARY AUTHO.RITI ES 9 FOREIGN 10 AGENCY BORROWING ANO POOL SECURITY 11 IN LINE 1 3.079 1.257 5 62 -189 1 .449 PRIVATE DOMESTIC FUNDS ADVANCED 25 .1 63 -6 .597 3.5 91 3.858 10.189 13 .357 -189 27.466 -349 4.247 6.662 7.998 8.924 37 36.053 6.656 5 .498 6 .5 47 11 .610 5.788 33 45. 70 5 5.554 6�280 3."84 13.275 17. 935 836 33.608 -3 .217 5.280 3.954 12.277 15.164 -153 41.196 5.81 4 5.085 5. 076 14.996 10.913 681 48.966 4.771 5.358 5.519 17.172 16.949 817 54.376 1. 755 5.723 4.849 21.089 22.296 1.30 5 60 .653 3.2 "4 6.001 4.253 21 .957 25.737 5'tl 6 4.531 166 7.345 5.999 20 .28-. 31.420 672 12 13 14 15 u. 17 18 21.8 55 5 .421 7.305 8 .336 793 22. 978 5.055 7.216 8.851 1.856 33.099 15.048 9.050 9.216 -215 28. 780 4.816 1 o. 393 9.800 3.771 32.882 9.154 9.518 9.799 4 .411 38 • .i.82 15.295 11. 946 9.99 5 1.246 47 .964 19.060 14 .o 31 11.319 3.554 49.615 17.252 17. 400 lloAt71 3.492 57.469 23.130 16.186 12.876 5 . 277 61.706 28.59'> 14.332 13 .'>5& 5.322 19 20 21 22 23 24 SClJRCES OF F�OS rRIVATE DOMESTIC DEPOSITS 25 26 -,nT MARKET BORROWING 21.855 10 .850 483 22.978 10.983 1. 21 9 33.099 20.158 -3 12 28. 780 10.788 3.896 32.882 15.652 2.609 38.482 23.336 1.593 47.964 30.267 3.543 49.615 3 1. 02 5 5.844 57 .469 34.522 4.972 61.706 38.344 6.61 9 27 28 29 30 31 10.522 442 24 7.372 2.684 lo. 776 30 16 5 7.737 2.844 13.253 9 75 352 7 .871 4.055 1 4.096 -660 800 8.866 5.090 14.621 1.178 895 8.162 4.386 13. 553 1.295 1 8 . 199 4.058 14.154 5 24 1.212 8.726 3.692 1 2. 74 6 1.489 -610 9.969 1.898 17 .975 2 .774 -38 11.739 3.500 16. 743 763 -98 5 11 .287 5 .678 27 28 29 30 31 12 TOTAL NET ADVANCES U. S. GOVERNMENT SE CURI TI ES 13 STATE + LOCAL OBLIGATION S 14 C OR PORATE + FOREIG N BOND S 15 RES IDENTIAL MORTGAGES 16 17 OTHER MORTGAGES + LOANS LESS: FHLB ADVANCES 18 PRIVATE FINANCIAL INTERMEO IATICN 19 20 21 22 23 CREDIT MARKET FUNDS AOVANC ED BY PRIVATE FINANCIAL INSTS. COMMERCIAL BANKING SAVINGS INSTITUTIONS INSURANCE + PENSION FUNDS OTHER FINANCE on,. < SOLRCES FOREIGN FUNDS TREASURY BALANCES INSURANCE + PENSION RES. OTHER, NET PRIVATE DOMESTIC NONFINANCUL INVESTORS 32 DIRECT LENDING IN CR• *RK ETS 33 U.S • GOVERNMENT SECU RITIES 34 S TATE + LOCAL OBLIGATIONS CORPORATE + FOREIGN B ON D S 35 36 O PEN-HK T PA PER, ETC. 37 OTHER 3.791 -l .964 2.276 1.0 13 131 2 .335 5. 707 162 1.938 920 243 2.444 2.642 -2.806 1 .439 1.201 -409 3 .211 20 • 821 13.338 3.997 449 -315 3.352 3.335 -5.736 3.236 683 1 .753 3.399 4. 307 -1.03 5 1.235 -136 474 3.769 4.545 1 .4 28 -900 - 4 37 7 50 3.704 10.605 4. 793 1.841 110 860 3.00 1 8.156 1.058 2 .423 --488 1 .931 3.232 9.44 4 3.338 2.649 504 752 2.201 32 33 34 35 3o 37 38 DEPOSITS + CLRRENCY TIME + SAVINGS ACCOUNTS 39 LARGE NEGOTIABLE CO'S 40 41 OTHER AT COMMERCIAL BANKS 42 A T SAVINGS INS TITUTIONS 10.9 CB 9.496 0 2.344 7.152 l O. 953 12.348 0 5. 59 6 6. 752 20.603 15.584 0 7.021 8.563 11.422 10.333 0 2.030 8.303 15.598 15 .002 1.095 4.436 9.471 24.043 20.323 2.028 7.272 11.02 3 30.857 28.037 2.681 12.419 12.937 33.637 28.635 3.406 10.180 15.049 36.l76 28.905 2.233 10.980 15 .692 40.462 3 2.648 3.568 16.009 13.071 31 39 1.407 1 .354 53 -1.395 - 1.365 -30 5 .019 4.574 445 1.089 455 634 596 650 -54 3.720 3.013 107 2.820 2.230 590 s.002 2.390 2.612 7.271 5 .617 1.654 7.814 5.696 2.118 14.6� 1 6.660 23.245 32.243 18.933 28.350 35.402 44.242 44.332 49.906 11.208 86 .853 1.589 6.380 8 3.659 581 9 .937 91.806 1.012 14.241 62.96 9 2. 21 5 11.162 97.839 2.367 1 0.571 93.411 1.812 12.954 97.953 1.898 11.355 9 1.2 4 4 2.186 11.649 94.750 3.640 12.9 4 1 95.622 820 43 44 45 46 HONEY OEIUNO DEPOSITS CURRENCY TOTAL OF CREDIT MARKET INSlR� HENTS, DEPOSITS + CURRENCY 47 Pl.BLIC HOLDINGS AS i OF TOTAL 48 PVT. FINAN. INTERMEDIATION Iii 49 TOTAL FOREIGN FUNDS CORPORATE EOUI TI ES NOT I l'CLUOED AB CNE 1 TOTAL l'ET ISSUES 2 MUTUAL FUND SHARES OTHER EQUITIES 3 3 .7� 1.0"9 2.690 3.885 1.070 2.815 4.098 1.596 2.502 4.317 1.777 2.540 3.096 1.444 1.652 5.050 2.110 2.88 0 2.305 1• 721 584 1.563 1.4!54 109 3.574 2.046 1 .5 28 3.569 3.272 29 7 4 ACQ. BY FINANCIAL 1 .503 2 .236 2.20 4 1.68 1 2.611 1.487 3.354 963 3.431 ➔35 4.409 641 4.305 -2.000 3.816 -2.2 5 3 4.012 6.072 -2. 503 INSTITUTIONS 5 OTHER NET PURCHASES HONEY AHOU'4TS ARE IN HILL IONS OF CXJLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -ua "° .. 41 lt2 43 45 ... 41 41 4t 1976 DECEMBER MARKET SUPPLY OF FUNDS CREDIT -- CREDIT MARKET SUPPLY OF FUi.DS 9 DIRECT AND ll'<>IRECT SOURCES OF FUNDS TO CREDIT MARKETS L FLOWS, 1966-75 YEAR-TOH YEAR-TOTAL FLOWS, 1966-7> 1966 1967 1968 1969 1970 1971 1972 1973 1974 68.292 81.453 98.322 89.604 94.897 139.572 lM>.388 189.952 184.985 1975 TOTAL FUNDS ADVANCED I N CREDIT MARKETS TO NONFINANCIAL SECTORS 200.333 l BY PUBLIC AGENCIES + FOREIGN 2 3 4 5 6 1 8 9 10 11 12.560 3.378 3.121 938 5.123 12.047 6.861 2.555 -2.549 5.180 13.004 3.330 3.323 873 5.478 u,.530 519 5.123 4.030 6.858 29.173 u.103 6.528 1.326 6.216 43.356 34.436 7.008 -2.679 4.591 19. 774 7.596 7.036 43 5.099 5.050 5.562 3.513 -1.565 4.663 581 4.805 1.998 5.249 3.779 3.681 295 3.142 9.448 4.223 -283 2.793 11.129 4.981 10.210 2.819 5.236 8.866 26.435 1.845 9.247 271 8.411 5.210 53 4.014 9.461 9.785 5.913 8.399 TOTAL NET ADVANCES, BY TYPE U.S. GOVERNMENT SECURITIES RESIDENTIAL MORTGAGES FHLB ADVANCES TO S+L 1 S OTHER LOANS + SECURITIES TOTALS ADVANCED, BY SECTOR 15.060 U.S. GOVERNMENT 9.817 2.818 GOVT .RELATED AG. + POOLS 25.571 14.549 21.417 MONETARY AUTHORITIES 6.150 8.537 9.227 6.098 ll.204 FOREIGN 710 AGENCY BORROWING AND POOL SECURITY ISSUES NOT INCLUDED 13.545 IN LINE 1 19.931 23.056 34.172 9.584 8.243 7.168 9.177 52.742 11.876 14.699 6.657 19.510 44.244 22.487 16.229 -3.959 9.487 L 3 4 5 o· 7 8 9 10 11 PRIVATE DOMESTIC FUNDS ADVANCED 69.459 6.322 7.769 16.002 14.410 22.407 -2.549 89.332 14.071 9.516 13.790 17.322 35.506 873 82.535 5.b42 9.926 12.467 17.853 40.677 4.030 75.509 6.608 11.225 19.959 14.724 24.319 1.326 102.129 -3.704 1 7.511 19.455 31.223 34.965 -2.679 155.013 16.103 15.401 13.146 48.091 62.315 43 175.711 18.690 16.316 10.048 48.491 89.334 7.168 155.299 22.589 19.621 20.922 26.882 71.942 6.657 169.634 75.488 11.2n· 32.833 24.394 15.679 -3.959 TOTAL NET ADVANCES U.S. GOVERNMENT SECURITIES 12 13 14 15 12 13 14 15 16 17 18 61.002 5.816 5.647 10.339 12.969 27.128 938 19 20 21 22 23 4b.701 17.498 7.945 lb.668 4.590 63.375 35.841 14.9b9 12.907 -342 75.539 38.709 15.413 13.828 7.589 57 .403 18.648 14.645 13.334 10.776 77.035 35.035 17.393 17.124 7.483 109.693 so.552 39.062 l4.19 2 5.887 149.368 70.492 47.238 17.824 13.814 163.792 86.549 35.999 23.833 17.411 126.166 b4.581 26.998 30.090 4.497 116.031 27.554 50.989 39.307 -1.819 CREDIT MARKET FUNDS ADVANCED BY PRIVATE FINANc.IAL INSTS. COMMERCIA L BANKIN G SAVINGS INSTITUTIONS INSURANCE + PENSION FUNDS OTHER FINANc.E 22 23 24 25 26 46.701 22.471 3.069 63.375 49.824 -1.141 75.539 45.944 6.684 57 .403 2.316 19.512 77.035 60.691 1.216 109.b93 89.442 7.606 149.368 100.919 17.983 163.792 86.385 35.284 126.166 b9.409 18.913 116.031 90.493 115 SOURCES OF FUNDS PRIVATE DO'IESTIC DEPOSITS CREDIT MARK ET BORROWING l.4 2.:, lb 27 28 29 30 31 21.161 3.654 -533 13.577 4.4b3 14.692 2.296 242 11.389 765 22.911 2.609 -224 11.393 9.133 35.575 9.b40 44 10.792 15.099 15.128 -8.0E-2 2.884 13.2.53 7.073 12.645 -3.933 2.231 8.645 5.702 30.466 5.322 706 U.649 12. 789 42.123 6.911 -1.oro 18.386 17 .83.6 37.844 14.527 -5.058 26.0lb 2.359 25.423 -364 -1.693 29.923 -2.443 32 33 34 35 3b 37 17.370 7.650 2.420 1.356 2.813 3.131 4.943 -1.105 -2.557 4.040 1.786 2.779 20.477 8.622 -144 4.215 4.157 3.627 44.644 17.455 8.219 5.3b4 10.021 3.585 -310 -7.133 -1.262 9.532 -5.lCl 3.b 54 42 -10.831 484 8.316 -1.114 3.187 23.628 4. 161 3.142 4.154 3.049 9.122 47.203 19.378 7.457 944 12.481 6.943 48.046 17.927 12.232 5.258 4.558 &.on 10.39b 3.098 7.281 38 39 40 41 42 24 .479 19.982 -451 13.25b 7.177 51.847 38.809 3.934 18.262 16.613 48.475 33.680 3.295 17 .422 12 .963 5.124 -2.200 -13.653 3.085 8.368 t.4.172 55.285 14.540 24.115 lb.630 92.834 79.085 6.302 33.161 39.622 105.331 83.712 7.743 30.588 45.381 90.326 76.215 18.277 29.551 28.387 75.703 67.422 18.898 26.142 22.382 84.835 -13.297 38.959 59.173 43 44 45 4.497 2.489 2.008 13.038 11.015 2.023 14.795 12.2b4 2.531 7 .324 4.516 2.808 8.887 5.406 3.48 1 13.749 10.357 3.392 21.619 17.207 4.412 14.111 10.110 3.941 8.281 1.987 6.294 11.864 5.b58 6.206 4b 41 .849 Sb.190 68.952 49.768 63.862 92.876 128.959 137.529 123.749 150.417 47 18 .391 1b.556 2 .089 14.790 91.240 4.294 13 .225 84.559 2.904 18.447 t.9.549 9.357 30.741 102.020 2.188 31. 063 107.406 2 2.502 11. 884 96.358 13.733 17.989 93.216 7.621 28.511 81.240 25.731 22.085 b8.400 5. 734 PUBLIC HOLDINGS AS l OF TOTAL 47 PVT. Fl NAN. INTERMEDIATION Ill 48 49 TOTAL FOREIGN FUNOS lOTAL Nt:T I S SUES MUTUAL FUND SHARES OTHER EQU IT1ES STATE + LOCAL OBLIGATIONS CORPORATE + FOREIGN 80\IDS RESIDENTIAL MORTGAGES OTHER l()R TGAGES + LOANS LESS: FHLB ADVANCES -------- lb 17 u PRIVATE FINANCIAL INTERMEDIATIOII OTHER SOURCES FOREIGN FUNDS TREASURY BALANCES INSURANtE + PENSION RES. OTHER, NET l9 ,o u 27 28 29 30 31 PRIVATE DOMESTIC NONFINANCIAL INVESTORS 48 49 -----------------------5 9.945 96.699 37 DEPOSITS + CURRENCY TIME + SAVINGS ACCOUNTS LARGE NEGOTIABLE CD'S OTHER AT COMMERCIAL BANKS AT SAVINGS INSTITUTIONS 39 40 ,.1 4;_ MONEY DEMAND DEPOSITS CURRENC Y TOTAL OF CREDIT MARKET INSTRUMENTS, DEPOSITS + CURRENC't 32 33 34 35 3b 3b 43 44 45 4b ------------·------------ 5.563 3.036 2.527 6.529 5.907 b22 10.139 4.929 5.210 10.515 2.770 7.745 14.971 1.287 13.b84 13.268 -529 13.797 9.182 -1.211 10.393 4.857 -540 5.397 11.Zlb 790 10.426 5. 79'> 9.090 -3.527 10.915 -4.386 13.024 -2.885 10.587 -72 17.837 -2.866 15.348 -2.080 13.298 -4.116 5.547 --690 8.313 .l.903 -991 DIRECT LENDING lN CR. MARKETS u.s. GOVERNMENT SECURITIES STATE + L OCAL OBLlGATlONS CORPORATE + FOREIGN bo.lDS OPEN-MKT PAPER, ETC. OTHER CORPORATE E QUITIES NOT INCLUDED ABOVE 4 .804 3. 7 22 1 .oaz 4 53.718 22.998 MONE Y AMOUNTS ARE IN MILLJOIIS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ACQ. BY FINANCIAL lNSllTUTIONS OTHER N�l PURCHASES 3 4 5 OECE"8Elt 1n6 HOUSEHOLDS 10 HOUSEHOLDS SECTOlt STATEMENTS OF SAVING ANO INVESTMENT YEAlt-TOTAL FLOIIS, 1946-55 YEAR-TOTAL FLOIIS, 19.W.-55 ----·-------------19"6 1947 1948 1949 1950 1951 1952 1953 1954 1955 l«!USEHOLOS, PERSONAL TRUSTS, AND NONPROFIT ORGANIZATIONS PEit SONAL INCOME - PEltSONAL TAXES + NONTAXES 177.317 111 .673 189.179 21.392 208 .471 21.026 205.635 18.506 226.102 20.591 253.677 28.921 270.301 Yt.033 286.197 35.469 288.117 32.50-'t 308.196 35.383 1 2 a ,. + + + 158.644 145.196 13.448 1.1105 70 5.809 lb8.387 163.451 4.936 1.763 30 7.270 187.445 176.850 10. 595 1.474 25 6.904 1117.129 180.389 6.740 1.660 20 6.709 205.511 194.673 10.838 1.767 56 9.254 U4.756 209.91>0 14.796 1.643 100 4.1187 236.268 220.360 15.908 2.028 80 3.020 250.728 233.700 17.028 1.9211 4.692 255.673 240.116 15.557 1.607 130 3.540 273.413 258.513 14.900 1.828 222 7.958 3 4 5 6 1 8 9 a NET SAVING 10 + CAP ITAL CONSUMPTI ON 11 ,. G ROSS SAVING 21.132 11 .989 33 .121 13.999 15. 749 29.7411 111.998 18 .952 37.950 15.129 21.562 36.691 21. 915 25.014 46.929 21.426 28.9110 50.406 21.036 30.532 51.568 23.712 32.489 56.201 20.834 33.259 54.093 24.908 36.079 60.987 9 10 11 14 12 GROSS INVESTMENT CAPITAL EXPEND.-NET OF SALES. 13 RESIDENTI AL CONSTRUCTION CONSUMER DURABLE GOODS 15 16 NONPltOFIT PLANT + EQUIP. 28 .448 14.926 -1.191 15.756 361 36.239 32.923 12.004 20.431 488 37.592 32.600 8.967 22.855 778 35.818 35.700 9.641 25.047 1.012 44.054 43.345 11.357 30.754 1.234 55.232 45.733 14.536 29.814 1.383 56.125 46.065 15.625 29.148 1.292 59.249 50.099 16.210 32.499 1.390 57.576 51.056 17.531 31.840 1.685 65.823 61.269 20.922 38.621 1.726 13 1... 15 lb 17 NET FINANCIAL INVESTMENT NET ACQ. OF FINANCIAL ASSETS 18 13 .522 17.946 3.316 11.441 4.992 13.231 118 8.676 109 13 • 763 9.499 18.435 10.060 22.866 Y.150 22.140 b.520 19.276 4.554 24.679 17 111 DEP. + CR. MKT. INSTR. I 11 DEMAND DEP. + CURRENCY 9.325 3.786 4.184 -1.382 1.918 -2. 733 2.1157 -1.870 4.709 2.407 9.537 4.154 13.010 2.050 12.839 1.123 12.011 1.n6 17.328 897 lY 20 6.303 3.595 2.708 3.433 1. 189 2.244 2.242 283 1.959 2.642 142 2.500 2.454 54 2.400 4.8211 l.765 3.063 7.780 2.787 4.993 8.213 2.518 5.695 Y.184 2.622 6.562 11.648 1.648 1.000 21 22 23 -764 -1.409 -896 1.507 0 0 2.133 1.139 442 -788 1.340 0 0 2.409 314 1.006 -63 1. 152 0 0 2.085 1.010 691 -389 713 0 0 -152 -003 548 -785 668 20 0 555 -893 338 236 894 -20 0 3.180 476 2.014 -7 696 l 0 3.503 657 1.829 -06 992 91 0 1.147 -1.552 2.523 -938 1.133 -19 0 7.783 2.370 3.451 656 1.261 45 0 25 26 27 28 2.9 30 282 1152 209 902 96 880 327 367 239 437 297 1.527 531 l .107 408 564 522 291 780 174 31 32 3 4 5 6 7 II 19 20 DISPOSABLE PERSONAL INCOME PERSONAL OUTLAYS i>ERSONAL SAVING, NU BASIS CREDI TS FROM GOVT• INSURANCE CAPITAL GAINS DIVIDENDS NET DURABLES IN CONSUMPTION 21 22 23 TIME • SAVINGS ACCOUNTS AT COMMERCIAL BANKS H SAVINGS INST• 24 25 26 27 28 2.9 30 CREDIT MKT • INSTRUMENTS U.S. GOVT. SECURITIES ST .+LDC. OBLIGATIONS CORPORATE + FGN. BONDS MORTGAGES OPEN-MARKET PAPER MONEY MARKET FUND SHRS 34 64 12 2't 31 32 INVESTMENT COMPANY SHARES OTHER CORPORATE EOUITI E'S 33 34 LIFE INSURANCE RESERVES PENSION FUND RESERVES 3.800 1.509 3.150 2.223 2.843 2.452 ?..751 2.e37 2.945 3.927 2.728 3.566 2.1188 4.768 2.982 4.881 2.102 5.122 2.905 5.628 33 3'1, 35 36 37 NET INV. IN NONCORP. IIUS. SECURITY CREDIT MISCELLANEOUS ASSETS 1.336 39 1103 308 -73 538 4.653 -6 395 -881 48 370 902 269 335 274 -78 584 14 -179 727 -134 -6 606 -2.087 312 337 -2.482 -121 467 35 36 37 38 39 40 41 42 43 44 45 NET INCREASE IN LIABILITIES CREDIT MARKET INSTRUMENTS Hfl'!E MORTGAGES OTHER MORTGAGES INSTALMENT CONS. CREDIT OTHER CONSUMER CREDIT BANt< LOANS N.E.C • OTHER LOANS 4.424 6.960 3.607 180 1.110 1.009 492 -38 8.125 8.321 4.659 254 2.523 691 98 96 8.239 8.390 4.596 400 2.303 548 359 184 8.558 8.176 4.422 484 2 .�92 323 111 244 13.054 12.151 6.714 535 3.113 991t '544 251 8.936 8.983 6.624 556 591 650 277 285 12.806 12.316 6.582 495 4.109 699 319 112 12.990 12.373 7.466 512 3.602 271 226 2',b 12.756 11.4132. 9.066 653 563 500 412 280 20.125 19.216 11.74', 629 5.338 1.028 224 248 38 39 40 41 42 43 41t lt5 -2 .606 6� 65 -364 87 81 -284 82 51 272 41 69 700 100 103 -126 0 19 176 238 76 463 62 92 1.099 88 87 68!> 83 141 46 47 4.673 -6.491 358 873 2.875 -4.826 -4.557 -3.048 -3.483 -4.836 49 -1.191 80 -1.211 1.778 3.607 -6 .576 12.001t 160 11.844 2.257 4.659 5.088 8 .967 192 8.775 2.622 4.596 1.749 9.641 97 9.544 2.835 4.422 2.384 ll.357 121 11.236 3.100 6. 714 1.543 14.536 134 14.402 3.552 6.624 4.360 15.625 215 15.410 3.864 6.582 5.179 16.210 217 15.993 4.108 7.466 4.636 17.531 227 17.304 4.3b3 9.066 4.102 20.922 356 20.566 4.774 ll.71t9 4.399 50 51 52 53 15.756 9.947 5 .809 20.431 13.161 7.270 22.855 15.951 6.904 25 .047 18.338 6.709 30.754 21.500 9.254 29.814 24.927 4.887 29.lite 26.128 3.020 32.499 27.807 4.692 31.840 28.300 3.540 38.621 30.6b3 7.958 5b 57 58 46 47 48 SECURITY CREDIT TRADE DEBT MISCELLANEOUS 49 DISCREPANCY 48 111 EXCLUDES CORPORATE EQUITIES. 50 51 52 53 54 55 MEMORANDA: NET PHYSICAL INVESTME.. T: UI RES IDENTIAL CONSTRUCTION 1:XPENDITURES MOBILE HOMES OTHER - CAPITAL CONSUMPTION - HOME MORTGAGES " EXCESS NET INVESTMENT IBI CONSUMER DURABLES 56 EXPENDITURES 57 - CAPITAL CONSUMl>TION "' NET INVESTMENT 5B !>It 55 59 60 - CONSUMER CREDIT • EXCESS NET INVESTMENT 2.719 3.090 3.214 4.056 2.851 4.053 2.915 3.794 4.107 5.147 1.241 3.646 4>.808 -1.788 3.873 819 1.011 2.469 6.366 1.592 59 1:0 61 62 63 64 ICI NONPROFIT PLANT + EOUIP. EXPENDITURES - CAPITAL CONSUMPTION - NONPROFIT MORTGAGES : EXCESS NET INVESTMENT 361 264 lRO -83 488 331 254 -07 778 379 400 -1 1.012 389 484 139 1.234 414 535 285 1.383 501 556 326 1.292 540 495 257 1. 390 574 512 304 1.685 590 053 436 1.726 642 629 455 61 62 b3 64 10.530 8 .476 11.212 2.931 10.09� 5.652 8.999 3.601 9.106 5.273 11.400 6.583 12.590 6.733 12. 393 6. 791 11.279 6.084 11.458 5.44', 65 66 PER CENT OF DISPOSABLE INCIJ'!E ADJ. I 21: 67 GROSS SAVING 20.t:33 17.lt80 20 .085 19.432 22.634 22.254 21.633 22.23B 21.014 22.139 67 68 o9 70 71 19.345 6.722 4.774 4.88<1 17.253 7.002 4.360 4.440 18.907 4.595 4.532 4.330 20.905 6.63B 6.296 'i.860 20.191 8.139 3.945 3.966 19.324 <1.592 5.372 5. l6t- 19. 823 8. 7o0 5.1,.0 � .895 19.&34 7.488 ,..955 4.460 22.242 8.959 7.305 6.975 69 70 160.51<1 170.180 18&.944 188 .eo9 ?07. 334 (NIA DISPOS.&!ILE INCOME + GOVT. INSURANCE CREDITS + CAPITAL GAINS OIVID.) 2?6.lt99 238.376 252.720 257 .410 275.463 72 PER CENT RATIOS: 65 EFFECTIVE TAX RAH 66 SAVING RATE, NU BASIS CAP ITAL EXPENDITURES ACQUISITION OF FINAN. ASSETS NET INCREASE IN LIABILITIES CRE on MARK ET BORROII ING 9 .298 11.179 2 .756 4.335 72 121 DISPOSABLE INCOME ADJ. HONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis t>8 71 Dt:CEMBER 1976 HOUSEHOLDS HOUUHOLOS 11 SECTOR STATEMENTS OF SAVING ANO INVl:STMENT ---------------- -------·--- YEAR-TOTAL FLOWS, 1956-65 1956 1957 YEAR-TOTAL FLOIIS, 195b-b5 1958 1959 1960 1961 1962 1963 1964 1965 HOUSEHOLDS, PERSOMAL TRUSTS, ANO NONPROFIT ORGANJZATlONS 330.903 39.651 349.294 42.379 359.267 42.136 382.097 45.980 399.723 50.354 414.966 52.066 440. 714 56.835 463.084 bO.320 495.t.50 58.618 537.030 64.874 PEkSOhAL INCOME - PERSONAL TAXES + NONlAXES 4 5 6 7 8 291.252 271.590 19.662 2.440 293 4.602 306.915 286. 352 20.563 2-197 284 3.329 317.131 295.444 21.687 2.760 316 397 336.ll7 317.307 18.810 2-919 427 3.959 349.369 332.304 17.065 3.160 416 3.289 362.900 342.730 20.110 3.390 .. 99 931 383.879 363.486 20. 393 3.474 502 4.534 402.764 383.971 18.793 3.852 472 6.942 437.032 410.901 26. 131 4.393 556 8.821 472.156 441.881 30.275 4.743 939 12.028 • + + + 9 10 11 26.997 39-163 66.lbO 26.373 42.266 68.639 25.160 43.190 68.350 26.115 45.164 71-879 23.930 47.545 71.475 24.990 48.726 73.716 28.903 so. 622 79. 525 30.059 53.3'98 83.407 39.901 56.861 96.762. 47.985 60.Sll 108.562 = NET SAVJ"'G + UPITAL CONSUMPT JON • GROSS SAVlhG 9 10 11 12 13 14 15 16 71.862 60.545 20.668 37.887 1.990 74.101 60.322 18.776 39.334 2.212 73.720 57.629 18.400 36.8-.6 2.383 79.138 66.630 21.757 42.436 2..437 78.328 66.688 20.932 43.109 2..647 79.732 64.014 19.613 41.573 2.828 86.369 69.862 19. 938 46.703 3. 221 93.530 76.013 2.1.300 51.432. 3.2.81 105.576 81.513 2.1.716 56.320 3.477 115.564 88.718 21.984 62.786 3.948 GROSS JNVES.TMENT CAPITAL EXPENO.-NEl OF SALES RESIDENTIAL COMSlRUCTION CONSUMER OURAIILE GOODS NONPROFll PLA,.l + l::QUJP. 12 13 14 15 lb 17 18 11.317 27.720 13.779 26.578 16.091 29.541.' 12.508 34.406 11.640 30.189 15.718 34.295 16. 507 38.479 17.517 46.578 2 ...063 53.599 26.846 58.2.42 NET FINANCIAL INVES TMENT 17 NET ACQ. OF FIMA,.CIAL ASSETS 18 19 20 17.567 1.636 16.141 -1. l 51 11.210 2.192 25.252 2.463 20.568 1.666 22.267 -1.021 27.793 -1.311 33.978 -332 37.299 4.739 40.286 7.439 OEP. + CR. MKT. INSTR. 111 19 DEMAND OEP. + CURR ENCY 20 21 22 23 9.452 2.300 7.152 11.965 5.213 6.752 13.878 5.315 8.563 11.143 2.840 8.303 12..124 2.653 9.471 18.315 7.292 11.023 26.152 13.215 12. 937 26.305 U.256 15.049 26.202 10.510 15.692 27.952 14.881 13.071 24 25 26 27 28 29 30 6.479 1.754 2.152 1.013 1.584 -24 0 5.327 636 J.690 920 1.938 143 0 1.140 -3.290 613 1.201 2.565 -155 0 U.646 5.939 3.184 449 2.097 -23 0 6.778 -298 3.615 683 2.767 11 0 4.979 677 1.206 -136 3.236 -4 0 2.959 2.268 -1.012 -437 2.104 36 0 8.005 5.412 990 110 1.484 9 0 t,.358 2.746 :t.641 -'t88 1.497 -38 0 4.895 2.169 1.785 504 439 -2 0 31 32 1.049 931 1.010 464 1.596 -55 1. 777 -1 .165 1.44'9 -1.982 2.110 -1.852 1. 721 -3.830 1.454 -3.932 2..046 -2.192 3.272 -5.375 INVESTMENT COMPANY SHARES OTHER CORPORATI: EQUITIES 31 32 33 3.470 6.041 2.738 6.750 3.073 7.305 3.421 8.448 3.228 8.320 3.447 8.636 3.767 8.905 ...237 9.649 4.416 11.707 4.825 12.095 LIFE INSURANCE RESERVES PENSION FUND RESERVES 33 34 35 36 37 -1.641 -17 -905 12 308 -119 262 276 -3.664 -167 504 -2.013 148 476 -957 55 529 -386 34 475 667 320 529 -4 -504 -53 880 1.002 864 1.273 NEl INV. IN MONCORP. BUS. SECURITY CREOll Ml SCELLANEOUS. ASSETS 35 36 37 38 39 40 41 42 43 12.799 12.910 8.995 784 2. 148 489 -12 506 13.457 12.020 9.795 618 -226 384 758 491 21.898 21.369 12.409 814 5.605 810 1.012 659 18.549 18.482 11.569 &67 3.721 876 556 893 18.577 16.958 12.611 900 923 918 855 751 21.972 21.789 13.946 951 4.829 1.010 271 782 29.061 26.753 16.431 977 6.766 1.1s2 710 717 29. 536 29.28 7 17.249 1.041 7.206 1.323 1.601 867 31.396 30.167 11.080 1.175 8.201 1.414 1.360 931 NEl INCREASE IN llABlLlllES CREOJl MARKET INSTRUMENTS HOME MORTGAGES OTHER MORTGAGES INSTALMENT COMS. CREDIT OTHER CONSUMER CREDIT BANK LOANS N.E.C. OTHER LOANS 38 39 40 41 42. 43 45 16.403 16.116 11.111 703 2.814 690 383 355 46 47 48 -43 143 187 -408 123 174 1.157 154 126 14 297 218 -138 13 192 l.338 148 133 -126 154 155 1.957 165 186 -205 268 186 736 229 264 49 -5.702 -5.462 -5.370 -7.259 -6.853 -6.016 -6.84't -10.123 -a.814 -1.002 34 " DISPOSABLE PERSOl,IAL INCOME PERSONAL OUTLAYS PERSONAL SAVlNG, NIA BASIS CREDITS FROM GOVT. I NSURANU CAPITAL GAINS DIVIDENDS NET DURABLES I N CONSUMPTION 1 2 3 4 5 0 7 8 TIME + SAV1"'6S ACCOUNTS AT COMMERCIAL BANKS AT SAVINGS JNST. 21 2.2 23 CREDIT MKT. INSTRUMENTS U.S. r.ovT. SECUR11 JES ST.+LOC. O&LIGAT JONS CORPORATE + FGN. BONDS MORTGAGES OPE:N-MARKET PAPER MONEY MARKET FUl'IO SHRS 2.4 2.5 26 27 2.8 29 30 SECURITY CREDIT TRADE DEBT Ml SCELLANEOUS DISCREPANCY " 4S 4o 47 ..a 49 111 EXCLUDES CORPORATE EQu1Tns. 50 51 52 S3 54 55 20.668 524 20.144 5.14S 11.111 4.352 18.776 545 18.231 5.4S5 8.995 4.326 18.400 500 17.900 5.906 9.795 2.699 21.757 S42 21.21s 6.403 12.409 2.945 20.932 Sl2 20.420 6.788 11.569 2.575 19.613 498 19.115 7.084 12.611 -82 19.938 548 19.390 7.383 13.946 -1.391 21.300 62.2 Z0.678 7.695 16.431 -2.826 21-716 831 20.885 e.112 17.249 -3.645 21.984 998 20.986 8.457 17.080 -3.553 MEMORANDA I NET PHYSICAL INVESTMENT: CAI RESIDENTIAL CONSTRUCTION EX PENO ITURES MOBJLE HOMES OTHER - CAPITAL CONSUMPTION - HOME IIORTGAGES ,. EXCESS NET INVESTMENT CBI COHSUMER DURABLES EXPENDITURES - CAPITAL CONSUIIPTION • NET INVESTMENT so 51 S:t 53 !!>4 ss Sb 57 58 S6 57 58 37.887 33.285 4.602 39.334 36.005 3.329 36.846 36.449 397 42.436 38.477 3.959 43.109 39.820 3.289 41.573 40.642 931 46.703 42.169 4.534 51.432 .....490 6.942 56.320 47.499 8.821 62.786 50.758 12.02a 59 60 3.504 1.098 2.637 692 158 239 6.415 -2.456 4.597 -1.308 1.841 -910 S.839 -1.305 7.918 -976 8.529 292 9.615 2.413 - CONSUMER CRE:011 = EXCESS ,.ET INVESTMENT 59 oO 61 62 63 64 1.990 733 703 554 2.212 806 784 622 2-383 835 818 730 2.437 884 814 739 2.647 937 867 843 2.828 1.000 900 928 3.221 1.010 951 1.200 3.281 l.163 977 1.141 3.477 1.2so 1.041 1.186 3.948 1.362 1.175 1.411 ICI NONPROfll PLANT + EQUIP. EXPENDITURES - CAPITAL CONSLIIPT 10"' - NONPROFll MORTGAGES • EXCESS MET INVESTMENT bl 62 63 b4 65 66 11.982 6.750 12.132 b.699 11.728 6.838 12.033 s.596 12.597 4.884 12.547 5.558 12.896 5.312 13.025 4.666 11.826 S.979 12.090 6.412 PER CENT RATIOS: EFFECTIVE TAX RATE SAVING RATE, NU &ASIS 65 66 67 22.504 22.184 21.345 21.174 20.251 20.097 20.503 Z0.488 21.892 68 70 71 20.594 9.429 5.579 S.481 19.496 8.590 4.136 4.172 17.997 9.227 4.2.02 3.753 19.628 10.135 60450 6.294 18.894 8.553 5.255 5.236 17.452 9.350 5.064 4.623 u.012 9.920 S.665 S.617 18.672 11."1 '1.138 6.571 18.442 12.126 6. c.B2 6.626 72 293.985 309.396 320.207 339-463 352.945 69 MONEY AMOUNTS ARE IN MILLIONS OF DOLL ARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis PER CENT OF OISPOSA&LE INCOME ADJ. 1211 GROSS SAVING 22.719 18.566 12.188 6.570 6.313 CAPITAL EXPENOJTURES ACQUISITION OF FINAN. ASSETS NET INCREASE IN LIABILITIES CREDIT IIARKET MIRROIIINC. 67 c,e 69 70 71 72 C2 I DISPOSABLE IMCOME ADJ. 366.789 387.855 407.088 441.981 477.838 INU DISPOSABLE INCOME + GOVT• INSURANCE CREOJTS + CAPITAL GAINS OIYIO.I " OECEMB ER 1976 HOUSEHOLDS 12 HOUSEHOLDS SECTOR STATEMENTS OF SAVING ANO INVESTMENT YEAR-TOTAL FLOWS, 1966-75 YE'AR-TOTAL FLOWS, 1966-75 --------------------1966 1967 1968 1969 1970 1971 1972 1974 1973 1H5 HOUSEHOLDS, PERSONAL T RUSTS, ANO NONPROFIT ORGANIZATIONS 584.873 74.477 626.624 82.078 685.218 97.082 745.825 115 .400 801.270 115.336 859.091 116.281 942.535 1052.438 11'53.292 1249.671 141.237 150.777 170.367 168.816 1 2 510.396 477.398 32.998 5 .�86 l .318 12.914 544.546 51l3.679 40.867 5.488 1.600 10.212 58!1.136 550.067 38 .069 6.142 2.458 14.368 630.425 595.318 35.107 7.073 2.536 13.657 685.934 635.361 50.573 8.880 923 7.917 742.810 685 .475 57.335 9.468 776 13.901 801.298 751.929 49.369 11.553 1.420 21. 507 901.661 831.339 70.322 11.683 944 25.408 982.925 1080.855 910.717 996.893 83.962 72.206 14.669 12.504 219 485 8.068 11.Clll 3 4 5 6 7 8 9 = NET SAVING 10 + CAPITAL CONSUMPTION 11 = GROSS SAVING 52.816 65.043 117.859 58.257 70.305 128.562 61.037 77.913 138.950 58.373 85.956 144. 329 68.293 92 .178 160.471 81.480 99.440 180.920 83.849 107.238 191.087 .108.357 118.502 22b.859 96.278 133.582 229.860 106.918 149.595 256.513 9 10 12 GROSS INVESTMENT CAPITAL E'XPENO.-NET OF SALE'S 13 RESIOENTUL CONSTRUCTION 14 CONSUMER DURABLE GOODS 15 NONPROFIT PLANT + E'OUIP. 16 127 .952 92.633 20 .809 67.663 4.161 134.528 94.885 21. 184 69.646 4.055 145.588 108.588 24.369 79.995 4.224 143 .929 116.033 25.860 85.478 4.695 167.001 114.957 25.201 84.931 4.825 191.064 134.805 32.584 97.087 5.134 209.155 157.408 40.626 111.241 5.541 239.812 173.•H3 it4.9�3 123.7lit 5.206 248.936 169.618 42.745 121.634 5.239 280.857 179.212 42.410 131.726 5.07b 12 13 14 15 16 17 NET F-INANCIAL INVESTMENT 18 NET ACO. OF FINANCIAL ASSETS 35 .319 59.l 94 39.643 66.376 37.000 72.859 27.896 59.207 52.044 76.524 56.259 101.730 51.747 122.152 65.899 13b.059 79.318 123.969 101.645 154.775 17 DEP. + CR. MKT. INSTR. Cl I DEMAND OEP. + CURRENCY 38 .604 2.370 48.407 9.750 54.176 10.883 42.830 2.428 51.541 8 • 785 76.0l 9 9.004 97.750 14.563 111.803 12.495 98.556 4.980 118.851 6.734 19 20 PER SONAL INCOHE - PERSONAL TAXES + NONTAXES 3 = DISPOSABLE PERSONAL INCOME' 4 - PE�SONAL OUTLAYS 5 = PERSONAL SAVING, NIA !IASIS 6 + CREDITS FROH GOVT. INSURANCE 7 + CAPITAL GAINS DIVIDENDS 8 + NET DURABLES IN CONSUMPTION 19 20 11 18 21 22 23 TIHE + SAVINGS ACCOUNTS AT COMMERCIAL BANKS A T SAVINGS INST. 19 .096 11.919 7.177 35.300 18.687 16.613 31.088 18.125 12.963 9.094 726 8.368 43.585 26.955 16.630 67.764 28.142 39.622 70.954 25.573 45.381 67.858 39.471 28.387 57.879 35.497 22.382 84.922 25.749 59.173 21 22 23 24 25 26 27 28 29 30 CREDIT HKT. INSTRUMENTS U.S. GOVT. SECURIT JES ST.+LOC. OBLIGATIONS CORPORATE + FGN. BONDS MORTGAGES OPEN-MARK ET PAPER HONEY HARKET FUND SHRS 17.138 7 .583 3 .423 1.356 2.040 2.736 0 3.357 1.647 -2.218 4.040 2.055 -2.167 0 12.205 6.280 -672 4.215 2.841 --459 0 31.308 10.777 9.136 5.364 2.222 3.809 0 -829 -8.151 -785 9.532 1.771 -3.1<;6 0 -749 -10.469 -264 8.316 1.325 343 0 12.233 -499 2.164 4.154 6.413 l 0 31.450 16.322 7.223 944 3.575 3.386 0 35.697 7.160 11.167 5.258 4.223 5.510 2.379 27.195 5.696 8.658 10.396 4.370 -3.191 1.266 24 25 26 27 28 29 30 31 32 INVESTMENT COMPANY SHARES OTHER CORPORATE EOUITIE'S 3.722 --4.408 3.036 -7.261 5.907 -12.390 4.929 -9.379 2.770 -3.539 1.287 -4.989 -529 -3.985 -1.211 -5.668 ➔40 -689 790 -2.554 31 3,Z 33 34 LIFE INSURANCE RE SERVES PENSION FUND RESERVES 4.694 14.478 5.063 13.970 4.621 15.590 lt.978 16. 274 5.242 19.185 6.172 21.121 6.560 22.613 7.277 25.570 6.425 29.570 7.618 36.088 33 34 35 36 NET INV. IN NONCORP. BUS. SECURITY CREDIT MISCELLANEOUS ASSETS 691 197 l .216 -517 2.213 1.465 1.062 2.096 1.797 -725 -1.818 2.118 -392 -867 1.584 -722 532 2.304 -3.061 136 2.668 -4.361 -156 2.805 -11.056 -975 2.678 -9.850 94 3.738 35 37 38 39 40 41 42 43 44 45 NET INCREASE IN LIABILITIES CREDIT HARKET INSTRUMENTS HOME MORTGAGES OTHER MORTGAGES INSTALMENT CONS. CREDIT OTHER CONSUMER CREDIT BANK LOANS N.E .C. OTHER LOANS 23.875 23.3 13 13.350 1.257 5.352 1.004 307 2.043 26.733 22.354 13.395 1.194 3.183 1.361 1.900 1.321 35.859 32.097 16.76b 1.135 8.317 1.670 2.492 1.111 31.311 33.838 18.197 1.276 9.360 1.016 1.005 2.984 24.480 25.330 14.705 1.258 4.793 1.058 915 2.601 45.471 42.142 27.142 l .310 9.297 2.346 674 1.373 70-.405 64.788 41.477 l .419 15.561 3.046 1.950 1.335 70.160 73.499 46.<;58 1.442 19.678 2.039 951 2.431 44.651 45.161 35.305 1.362 8.950 826 -4.492 3.210 53.130 49.676 39.359 1.091 6.853 1.683 -1.469 2.159 38 39 40 41 42 43 44 45 -73 279 356 3.684 407 288 2.918 489 355 -3.402 489 386 -1.780 500 430 2.666 345 318 4.469 608 540 -4.346 607 400 -1.802 5(\2 710 2.244 552 658 -10.093 -5.966 -6.638 400 -6.530 -10.144 -18.068 -12.953 -19.076 -24.344 49 50 51 52 53 54 55 MEMORANDA: NET PHYSICAL INVESTHE'NT: (Al RESIDENTIAL CONSTRUCTION EXPENDITURES MOBILE HOMES OTHER - CAPITAL CONSUMPTION - HOHE MORTGAGES "' EXCESS NET INVESTMENT 20 .809 1.056 19.753 8.790 13 .350 -1.331 21.184 1.180 20.004 9.206 13.395 -1.417 24.369 1.674 22.695 10.478 16.766 -2.875 25.860 2.308 23.552 12.056 18.197 -4.393 25.201 2.469 12. 732 12.833 14.705 -2.337 32.584 3.274 29.310 13.685 27.142 -8.243 40.626 4.049 36.577 14.717 41.477 -15.568 44.993 4.391 40.602 17.068 46.958 -19.033 42. 745 3.181 39.564 19.534 35.305 -12.094 42.410 2.415 39.995 22.001 39.359 -18.950 50 51 52 53 54 55 56 57 58 181 CONSUMER DURABLES EXPENDITURES - C4PITAL CONSUMPTION • NET INVESTMENT 67 .663 54.749 12 .914 69.646 59.434 10.212 79.995 65..627 14.368 85.478 71.821 13.657 84.931 77.014 7.917 97.087 83.186 13.901 111.241 89.734 21.507 123.714 98.306 25.408 121.634 110.553 11.081 131.726 123.658 8.068 56 57 58 46 47 48 SECURITY CREDIT TRADE DEBT MISCELLANEOUS 49 DISCREPANCY 3b 37 46 47 48 . 11 I EXCLUDES CORPORATE EQUITIES. 59 60 - CONSUMER CREDIT s EXCESS NET INVESTMENT 6.356 6.558 4.544 5.668 9.987 4.381 10.376 .3.281 5.851 2.066 11.643 2.258 18.607 2.900 21.111 3.691 9.776 1.305 8.536 -468 bO 61 62 63 64 ICI NONPROFIT PLANT + EQUIP. EXPENDITURES - CAPITAL CONSUHPTJON - NONPROFIT MORTGAGES • EXCESS NET INVESTMENT 4.161 1.504 1.257 1.400 4.055 1.665 1.194 1.196 4.224 1.808 1.135 l .281 4.695 2.079 l .276 1.340 4.825 2.331 1.258 1.236 5.134 2.569 l .310 1.255 5.541 2.787 1.419 1.335 5.206 3.128 1.442 636 5.239 3.495 l .362 382 50076 3.936 l .091 49 61 62 b3 61t 12.733 6.465 13.098 7.504 14.168 6.472 15.472 5.568 14.394 7.372 13.535 7.718 14.984 6.161 14.326 7.799 14.772 7.346 13.508 7.768 65 66 PER CENT OF DISPOSABLE INCOME ADJ. (2) I 67 GROSS SAVING 22.783 23.301 23.285 22.550 23.064 24.024 23.467 24.812 23.080 23.409 67 17.907 11.442 4.615 4.506 11.197 12.030 4.845 lt.051 18.196 12.209 6.009 5.378' 18.129 9.250 40892 5.286 16.523 10.998 3.518 3.640 17.901 13.508 6.038 5.596 19.331 15.001 8.646 7.956 19.021 14.881 7.673 8.038 17.031 12.447 lt.483 4.534 16.355 14.125 4.848 4.533 68 69 70 71 517.300 551.724 596.736 640.034 695.737 72 121 DISl'OSAIILE INCOME ADJ. 'NJA OJSPOSAIILE INCOME + GOVT• INSURANCE CREDITS + CAPITAL GUNS DIVJD. I 753.054 1114.271 914.21111 995.914 1095.743 72 PER CENT RATIOSI 65 EFFECTIVE TAX RATE 66 SAVING RATE, NU BASIS 68 69 70 71 CAPITAL EXPENDITURES ACOUUITION OF FINAN. ASSETS NET INCREASE IN LIABILITIES. CREDIT HARKET 80ttllOWING IOIIEY AMOUNTS ARE tN HILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 59 DECEMBER 1976 lOTAL + NONtoRP BUSINESS TOTAL + NONC.ORP BUSINESS 13 SECTOR STATE"ENTS OF SAVING ANO INVEST14ENT --------------- YEAR-TOTAL FLOWS, 1946-55 191t6 1947 YEAR-TOTAL FLOWS, 194b-55 1948 1949 1950 NONFINANCUL 1951 1952 1953 1954 1955 BUSINESS - TOTAL l 2 61.601 12.344 67.622 18.091 75.269 25.188 63.739 26.290 79.857 25.436 85.057 28.410 80.026 30.452 79.719 30.826 76. 521 33.485 88.l 76 39.l 95 JNC014E BEFORE TAXES GROSS SAVING 3 4 5 6 7 8 9 10 18.563 31.528 25.149 16.454 1.440 7.255 6.379 0 15.030 21.211 21.673 22.152 1.230 -1.709 -462 0 24.429 35. 757 31.049 25.047 l.425 4.577 4.708 0 27.480 24.2b7 27.342 22.914 683 3.745 -3.075 0 29.944 40.830 34.041 25.509 1.778 6.754 6.789 0 31.778 42.830 32.534 29.326 656 2.552 10.296 0 30.299 34.636 31.503 29.354 859 1.290 3.133 0 31.242 35.317 34.870 32.479 861 1.530 447 0 32.008 32.846 34.389 31.640 1.047 1.102 -1.543 0 36.336 44.982 39.029 35.844 1.s10 l.675 5.953 0 GROSS INVEST14ENT 3 CAP JTAL EX PENOllURES 4 5 FIXE:D JNVEST14ENT BUSINESS PLANT + EQUIPMENT b 7 HOl4E CONSTRUCTION 111 14UL1I-FA14ILY RESIDENTIAL 6 CHANGE IN INVENTORIES 9 MINERAL RIGHTS FR014 U. S.GOVT 10 11 12 13 14 15 16 17 18 19 -12.965 960 13.925 1.018 7.614 953 2.336 4.282 43 -6.181 10.435 16.616 1.093 8.875 2.813 2.165 3.684 213 -11.328 5.416 16.744 1.000 6.788 4.300 2.243 -162 407 3.213 3.868 655 l .212 2.725 2.903 l .530 -1.917 209 -10.886 17.163 28.049 1.288 9.793 1-624 2.844 4.677 648 -11.052 9.281 19.333 2.101 11.015 3.295 2.236 4.699 785 -4.337 4.821 9.158 2.320 8.584 ·4.684 1.909 1.206 785 -4.075 2.581 6.656 1.766 4.475 3.356 1.872 -1.069 316 -838 5.609 6.447 1. 583 6.007 3.479 2.415> -408 5>21 -8.646 11.2..a 25.894 1.719 12.102 2.836 3.720 5.053 493 NET FINANCIAL INVE:STMEMT NET ACO. OF FINANCIAL ASSETS NET INCREASE IN LIABILITIES CORPORA TE EOUJl 11:S C.REDIT HARKl:T 1NS1RUMEN1S BONDS MORTGAGE:S BANK LOANS N.E:.C. OTHER LOANS 20 21 5.982 -689 3.873 2.775> 3.415 5>.541 -77 -3.205 &.472 8.496 1.177 5.034 1. 361 -3.107 -208 623 4.103 -5.246 10.261 1.812 22 -6.219 3.061 759 -1.190 -4.508 -3.368 153 -416 1.477 2.859 lRAOE DEBT OTHER LIABILITHS OISCREPANC.Y 11 12 13 14 15 lb 17 l& 19 20 21 22 FARM BUSINESS NET INCOME NET SAVING CAP ITAL CONSUHPT JON CORPORATE NONCORPORAH CURRENT SURP. = GROSS SAVING 14.928 63 1.118 22 1.096 1.181 15.202 49 1.418 25 1.393 l.•67 17.505> 40 1.852 31 1.821 1.892 12.659 22 2.220 37 2.183 2.2.2 13.473 31 .2.511 43 2 ••68 2.542 15.78• -2 2.958 49 2.909 2.956 l•.896 -33 3.1.3 56 3.087 3.110 12.940 -57 3.261 69 3.192 �.20. 12.300 -25 3.377 81 3.296 3.352 11.259 -49 3.•82 91 3.391 3.433 7 8 9 10 11 1.181 2.200 1.652 519 29 1.467 1.581 2.644 697 -l.7b0 1-892 6.004 3.399 873 1.732 2.242 3.021 3.656 837 -866 2.542 5.248 3.674 785 789 2.956 5.793 3.738 816 1.239 3.110 5.190 3.436 767 987 3.204 3.799 3.655 765 -621 3.352 4.487 3.190 711 586 3.433 4.347 3.246 634 467 12 13 14 15 16 17 -1.019 1.857 1.eoo 57 97 -40 -114 1.18"' 1.100 108 -24 -4.112 90 0 90 91 -1 -1.385 -424 -500 76 74 2 -2. 706 33 0 33 31 2 -2.837 259 200 59 56 3 -2.080 -13 -100 87 83 -595 -;t3 -100 77 71 6 -1.135 -27 -100 73 68 5 -914 108 0 108 18 19 20 21 22· 23 2• 2.876 363 137 255 -29 -73 44 1.298 •68 167 301 0 -108 108 4.202 658 224 353 81 -40 121 961 392 291 103 -2 -15 13 2.739 1.os8 492 475 91 16 75 3.096 1.287 580 596 111 -45 156 2.067 790 585 173 32 14 18 572 -100 501 -581 -20 232 -252 1.108 772 509 150 113 63 50 1.022 1.442 776 572 9,,. 66 28 NET INC.REASE IN LIABILITIES CREDIT MARKET INSTRUMtNTS 140RTGAGES l:lANK LOANS N.E.C. OTHER LOANS U.S. GOVERNMENT FICB 18 19 20 21 22 23 24 25 26 57 2.456 230 600 339 3.205 19'9 375 283 1.398 436 1.373 145 1.132 -217 889 101 235 181 -601 TRADE OEBl PROPRIETOR NET INVES TMENl 25 2b l 2 3 ,,. 5 6 84 .. 91 11 l 2 3 4 5 6 GROSS INVESTMENT C.APITAL EXPENDITURES PLANT + EOUIPME:Nl RESIDENTIAL CONSTRUCTION C.HANGE IN lNVENTCJRlE:S 8 9 IO 11 NET FINANCIAL INVESTMENT NET ACO. OF FINANCIAL AS SI: TS DE:14AND DEPOSITS + CURRENCY HISCELLANEOUS ASSETS INSURANCE RECEIVABLES EO. IN SPONS. AGS. 121 12 13 14 15 lb 17 ------- NONFARM NONCORPORATE BUSINESS NET INCOME 24. 774 23.488 26.162 26.255 28.092 30.282 31.440 31.932 32.210 34.921 2 3 3.324 3.324 ... 010 4.010 4.523 ... 5>23 4.754 ••754 5.070 5.070 5.743 5.743 6. 163 o.179 6 ...91 6.480 6.686 6.683 6.958 6.959 CAP 11 AL CONSUHPTJON CURRENT SURP. = GROSS SAVI NG 2 3 4 5 6 7 3.324 3.336 2.953 2.938 461 -446 383 4.010 4.383 4.325 4.308 267 -250 58 •• 523 7.032 6.109 4.352 276 1••91 923 ••75.. 3.315 3.803 3.612 -77 268 5.7,,.3 5.146 ,,..641 4.704 -BO 17 505 6.179 s. 232 5.317 •• 428 46 8•3 -85 o.480 6.075 5.819 4.935 48 836 256 6.683 5.837 6.039 4.905 168 966 -202 o.959 7.796 7.237 5.917 438 882 559 GROSS INVcSTMENT CAPJlAL EXPENOilUkES FIXE:D CAPilAL PLANT + EQUIPMENT HOME CONSTRUc.T ION 111 MULTl-FAHlLV HSIDENTIAL CHANGE IN lNVEfloTORH:S 4 5 -488 5.070 5.650 ,,..,,.73 4.,,.80 •97 -so.. 1.111 10 -12 459 11 308 140 139 1 -373 894 3b4 3o8 162 l58 4 -2.509 3bl -152 380 133 130 3 1.439 TI6 366 310 100 99 1 -580 777 223 46• 90 89 l 597 635 239 245 151 1 ..9 2 9•7 258 -3 ..8 402 204 203 1 405 306 -52 168 190 189 l 846 772 530 47 195 19 .. 1 -B37 619 293 176 150 149 l NET FINANCIAL INVESTMENT NET ACO. OF FINANC.IAL ASSETS DEMAND OEPOSilS + C.URRtNCV CONSUMER CREDIT Ml SCELLANEOUS ASSE: 15 INSURANCE RECEIVABLES to. IN SPONS. AGS. LI.I 11 12 13 14 15 lb 11 22 23 .. 71 1••22 655 368 175 112 1-267 1.207 578 213 259 lOb 2.870 712 729 221 438 70 -663 521 5>4t2 -62 584 20 1.357 1.999 1.1.3 397 737 9 38 1.256 65>1 -b4 b71 44 -689 887 502 38 423 41 -99 619 42B 39 323 66 -7 .. 622 520 135 275 110 1.456 1.993 908 350 416 142 24 25 553 21• 357 272 -321 304 -230 209 428 428 24• 361 208 177 69 122 53 49 bll 474 26 27 169 -1.120 352 -292 710 l."'48 72 -1.256 -146 -496 -119 -1.099 -45& -1.118 305 -1.023 1.626 -2.322 1.344 -1.881 B 9 10 11 12 13 14 15 lb 17 18 19 20 ll NET INCREASE: IN LIABILITIES CREDIT HARK ET INSTRUMENTS 140R1GAGES HOME HOR TGAGtS 14UL TJ-FAMIL Y COMMERCIAL BANK LOANS N.E.C. OTHER LOANS TRADE DEBT, NET PROPRIETOR NET IN\IEST14ENT Ill HRM PLUS NONFARH CHANGE IN WORK IN PROCESS. I 21 SHARES IN FICB' S, BANKS FOR COOPS, ANO LANO BANKS. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis b 1 8 9 18 19 ,o 21 22 23 24 25 lb 27 DECE"8ER 1976 lOTAL • lilONCOltP BUSINESS TOTAL + NONCORP BUSINESS 14 SECTOR STATEMENTS OF SAVING AND INVESTMENT YEAR-TOTAL FLOWS, 19S6-65 YEU-T0TAL FLOWS, 1956-65 1956 1957 1958 1959 1960 NONFINANCUL 1961 1962 1963 1964 1965 BUSINESS - TOTAL 89 .342 39.755 89.135 41.995 85.564 41.590 94.830 47.396 91.265 47 -232 92.834 47.968 99;979 �.479 104.478 57.565 112.111 63.726 127.402 70.318 3 GROSS I NVESTHENT 4 CAPTTAL EXPENDTTURES FIXED INVESTMENT 5 BUSINESS PLANT • E0UI PHENT 6 HOME CONSTRUCTION 111 7 MUL Tl-FAMILY RESIDENT UL 8 q CHANGE IN INVENTORIES MINERAL RIGHTS FROM U.S.GOVT 10 36.708 47 .612 42.917 40.978 210 1. 729 4.695 0 39.047 47.337 46.002 43.599 246 2.157 1.335 0 38.964 40.267 41 • 758 38.370 611 2.777 -1.491 0 43.879 52.335 47.108 41.837 1.455 3.816 5.227 0 40.181 52.058 48.299 44.249 112 3.938 3.759 0 43.937 5·0.a66 48.674 43.240 476 4.958 2.192 0 50.482 61.047 54.542 47.045 862 6.635 6.S05 0 50.620 64.277 58.314 48.969 825 8.520 5.963 0 55.293 70.126 64.328 54.893 676 8.759 s.798 0 61.613 84.778 75.259 6S.999 712 8.548 9.Sl9 0 9 10 11 NET FINANCIAL INVESTMENT NET ACQ. OF FINANCIAL ASSETS 12 NET INCREASE IN LUBILITIES 13 CORPORATE EQUITIES 14 15 CREDIT MARKET INSTRUMENTS 16 PONDS MORTGAGES 17 18 BANK LOANS N.E.c. 19 OTHER LOANS -10.904 4.646 15.550 2 .250 12 .649 3.615 2.711 5.710 613 -8.290 5.380 13.670 2.441 11.730 6.317 2.319 1.757 1.337 -1.303 12.735 14.038 1.968 10 .952 5.683 4.330 257 682 -8.456 13 .160 21.616 2.078 15 .on 2.955 5.696 4.919 1.507 -11.877 2.328 14.205 1.365 13.438 3.456 4.351 2.816 2.815 -6.929 13.700 20.629 2.121 13.539 4.640 6.594 1.301 1.004 -10.S65 11.813 22.378 369 17.647 4.550 8.127 40026 944 -13.657 14.774 28.431 -341 19.101 3.913 9.101 4.986 1.101 -14.833 14.479 29.312 1.145 21.957 3.994 9.430 5.803 2.730 -23.165 21.325 44.490 -28 29.403 5.392 9.183 12.209 2.619 12 13 14 lS 16 17 18 19 4.043 -3.392 2.380 -2.881 3.732 -2.614 5.448 -987 3.476 -4.074 4.470 499 3.670 692 6.842 2.229 6.188 22 11.895 3.220 20 21 3.047 2.948 2.626 3.517 7.051 4.031 �-997 6.945 8.433 8.705 22 1 INCOME BEFORE TAXES ? GROSS SAVING 20 21 TRADE DEBT OTHER LIABILITIES 22 DISCREPANCY 3 4 s 6 7 8 11 FARM BUSINESS l NET INCOME 2 NET S.lVING 3 CAPITAL CONSUMPTION COR PORATE 4 NONCORPORATE 5 6 CUIRENT SURP. "' GROSS SAVING 7 GROSS INVESTMENT 9 CAPITAL EXPENDITURES 9 PLANT + E0UIPHENT RES IDENTI Al CONSTRUCTION 10 CHANGE IN INVENTORIES 11 12 °Nl:T FINANCIAL INVESTMENT NET ACQ. OF FINANCIAL ASSETS 13 DEMAND DEPOSITS • CURRENCY 14 15 MISCELLANEOUS A!SETS INSURANCE RECEIVABLES li'> e=Q. IN SPONS. AGS. 121 17 11.205 -60 3 .519 104 3 .415 3.459 11.043 -68 3.691 115 3.576 3.623 13.10? -57 3.790 130 3.660 3.733 10.661 -67 4.016 145 3.871 3.949 11.420 -66 4.091 154 3.937 4.025 ll.808 -64 4.134 166 3.968 4.070 U.872 -41 4.258 179 4.079 4.217 11.601 -160 4.403 194 4.209 4.2't3 10.279 -59 4.585 210 4.375 4.526 12.568 -9 4,.784 229 4.555 4,.775 l 2 3 4 5 6 3 .459 3.317 2.997 700 -380 3.623 4.358 3.143 681 534 3.733 5.196 3.698 650 £48 3.949 4.609 4.021 674 -86 4.025 4.298 3.426 584 288 4.070 4.467 3.490 703 274 4 • .!17 5.291 3.907 645 739 4.243 5.776 4.332 655 791 4.526 4.617 4.535 672 -590 4.775 6.592 4.963 608 1.021 7 8 9 10 11 142 -121 -200 79 -1.463 366 300 66 56 10 -660 -602 -700 98 82 16 -273 -336 -400 64 51 13 -397 85 0 85 69 16 -1.074 134 100 34 20 14 -1.53!! -40 -200 160 145 1� -91 392 200 192 169 .£3 -1.817 280 100 180 13 -735 -33 -100 67 56 11 lltO ltO 12 13 14 15 16 17 66 18 19 20 21 22 23 24 NET INCREASE IN LTA&ILITIES CREDIT MARKET INSTRUMENTS M0RT(;AGES BANK LOAJl<S N.E.C. OTHER LOANS U.S. GCIVERNHENT FICB -263 1158 813 -59 104 50 54 702 l .057 562 384 111 -74 185 1.819 1.364 712 413 239 15 224 58 1. 93?. 992 694 246 12 234 -i'>3 1.031 737 196 98 -13 111 482 1.593 1.079 2'-3 271 122 149 1.208 2.298 1.276 782 240 50 190 1.495 2.550 1.629 601 320 61 25Q '-83 2.603 2.120 271 212 6,. 148 2.097 3.302 2.245 708 349 80 269 111 19 20 21 22 23 24 25 26 TODE DEBT PROPRIETOR NET INVESTMENT -1 .187 66 235 -590 ,.,.0 25 423 -2.297 159 -1.253 106 -l • .?17 6 -1.096 862 -1.917 1116 -2.306 545 -1.750 25 26 NONFARH NONCORPORATE BUSINESS 36.369 38.323 38 .812 41 .150 40....50 41.896 43.501 4'-.621 47.866 50.596 2 CAPITAL CONSUMPTION CURRENT SURP. = GROSS SAVING 7 .635 7.635 7.975 7.972 8.258 8.259 8.416 8.418 8.512 8.512 8.620 8.620 8.681 8.678 8. 782 8.784 9.073 9.0H 9.450 9....50 2 3 GROSS INVESTMENT 5 CAP ITAL ':(PENOITURES FIXED CAPITAL 6 PLANT + EQUIPMENT 7 8 HOME CONSTRUCTION 111 MULTI-FAMILY RESIDENTIAL 9 CHANGE IN INVENTORIES 10 7 .635 7.254 7 .063 6.552 -245 756 191 7.972 7.977 7.758 6.871 -218 1.105 219 8.259 7.... 24 7.226 5.816 -19 1.429 198 8.,.18 10.043 9.028 6.550 391 2 .087 l .015 8.512 9.794 9.015 1.001 -236 2.250 779 8.620 9.522 9.544 6.722 -113 2. 935 -22 8.678 11.936 11.148 6.783 108 4.25"/ 7�8 8.784 13.725 12.984 7.150 85 5. 749 741 9.075 14.729 13.748 7.945 2 5.AOl 981 9.450 16.294 15.0b9 9.447 53 5.569 1.225 4 5 6 7 II 9 10 381 805 349 326 130 130 0 -5 l.194 807 214 173 168 5 �35 1.577 1.285 169 123 117 6 -1.625 -406 -934 341 187 179 'l -1 .282 8 -292 161 139 131 8 -902 422 100 156 166 157 9 -3.258 574 0 446 128 116 12 -4.9'-l 642 0 426 216 203 13 -5.654 694 0 440 25'2'-1 13 -6.844 831 0 547 284 271 13 11 12 13 14 15 16 17 424 1.171 265 -197 290 172 1.199 928 220 -174 228 166 74.? 1.267 961 -15 762 214 1.219 2.543 l .452 313 913 226 1.290 1. 795 953 -188 910 231 1.324 l.934 1.758 -91 1.540 309 3.832 3.270 2.210 87 1. 800 383 5.583 4.422 2. 718 67 2.240 '-ll 6.348 5.459 3.549 1 3.270 278 7.675 5.715 3.117 41 2.751 325 18 19 20 622 284 115 593 171 135 366 725 341 501 182 -6 383 617 657 1.047 473 1.437 959 l .639 25 -293 -4�4 586 -315 -381 -144 43 -1.367 255 -760 -870 260 -148 710 -1.423 2.584 -913 1 .802 -792 2.752 26 27 l "IET JNCOHE ,. 11 NET FINANCIAL l"IVESTHENT NET AC0. OF FINANCIAL ASSETS 12 DE'4AND DEPOSITS • CURRENCY 13 14 CONSUMER CREDIT '1ISCELLANEOUS ASSETS 15 16 INSURANCE RECEIVABLES 17 EQ. IN SPONS. AGS. 121 18 19 20 21 22 23 24 25 26 27 NET INCREASE IN LIABILITIES CREDIT MARKET INSTRUMENTS MORTGAGES HOME MORTGAGES MULTt-FAMIL Y COHMERCUL BANK LOANS N.E.C. OTHER LOANS TRADE DEBT, NET PRO PRIE TOR NET INVESTMENT f 11 FARM PLUS NONFARH CHANGE JN WORK IN PltlJCESS. f 21 SHARES IN FICB'S, B.aNKS FOR COOPS, ANO LAND BANKS. HONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 21 22 23 2't DECEMBER 1976 TOT AL + NDNCORP BUSINESS TOTAL + NOIICORP &USINESS 15 SECTOR STATEMENTS OF SAVING AND INVESTMENT YEAR-TOTAL FLOWS, 1966-75 YEAR-TOTAL FLOWS, 1966-75 1966 4 5 6 7 8 9 10 ------1967 1968 1969 1970 NONFINANCI AL 1971 1972 1973 1974 1975 BUSINESS - TOTAL 136.409 75.-.91 l 33.63,. 77.198 1-.1.985 79.683 139.582 80.880 125.555 79.6,.7 136.019 90.769 157.783 103. 785 190.017 110.379 193.566 108.397 190.881 138.717 INCOME BEFORE TAXES GROSS SAVING 67.16'> 97.979 83.659 75.728 271 73.333 93.994 83.895 76.432 735 6.728 10.099 0 71.575 101.871 92.836 82.774 1.264 8. 798 7.705 1.330 75.675 112.102 103.286 91.381 656 ll.L49 9.372 44 70.625 107.795 103.691 92.397 156 3.775 329 76.852 118.927 111.856 95.019 2.508 14.329 6.35'> 717 87.341 138.'>04 128.050 107.041 2.006 19.003 9.442 912 94.231 167 .938 146.863 125.984 -51 20.930 17.907 3.168 95.296 167.0'>D 149.876 137.890 185 11.801 10.674 6.-.90 124.218 127.6'>6 140.939 133.176 2.633 5.130 -14.616 1.323 GROSS INVES THENT 4 CAP ITAL EXPENDllURES 5 FIXED INVESTHE:NT BUSINESS PLAN.T + EQUIPMENT b 7 HOME COIISTRUCTION ll I 8 HUL TI-FAMILY RESIDENTIAL 9 CHANG!: IN INVENTORIES MINERAL RIGHTS FROM U.S.GOVT 10 -30.296 30.212 60.508 -159 40.157 12.893 11.535 11.259 ... 470 -37.027 29.968 66 .995 3.406 45.540 11.975 11.083 14.490 7.992 -31.170 11.222 54.392 5.694 43.740 19.756 13.283 5.777 4.924 -'>2.075 30.798 12.1173 11.435 49.740 18.893 22.058 5.829 2.9b0 -5 l.06l 38.939 90.002 10.922 66. 785 12. 735 3.t.301 16.120 5.629 -73.707 <,3.702 117.409 7.883 &6.952 10.955 32.787 33.813 9.397 -71.744 37.957 109. 701 4.097 93.653 21.318 25.195 30.665 16.475 -3.428 38.429 41.857 9.908 37.740 29.1.104 16.375 -12.997 4.558 NET FINANC UL INVESTMENT NE.T AC.Q. OF FINANCIAL ASSETS NET INCREASE IN LIA81LITIES CORPORATE EOUlllES CREDIT H,RKET INSTRUMENTS BONDS HORTGAGFS BANK LOANS N.E.C. OTHER LOANS 4.836 -10.627 1.bb0 14.320 0 11.ua ll 12 13 14 15 lb 17 16 19 -30.815 13.529 1.259 33.247 10.22 .. 9.091 10.5&3 3.369 -20.661 17.830 38.491 2.397 34.189 14.658 9.088 7. 720 2.723 20 21 8. 655 983 6.891 --4.986 lb.2b7 4.243 21.248 -3 .199 8.026 -3.0b8 10.b04 1.094 15.068 -2. 77S 21.957 617 19.252 -7.301 22 8.327 3.865 8.108 5.205 9.022 13.917 lb.44<, 16.148 13.101 -------14.499 DI SCRE:PANC Y '>4.344 FARM BUSINESS TRADE DEBT OTHER LUBILITIE:S 1 2 11 12 13 l<, 15 lb 17 18 19 20 21 22 l 2 3 4 5 6 13.596 21 5.058 249 ... 809 5.079 12.080 -28 5.439 274 5.165 5.411 12.003 -39 5.845 302 5.543 5.806 13.944 -24 6 .196 331 5.865 6.172 13.932 -101 6.390 368 6.022 6.289 14.289 -100 6.944 391 6.553 6.844 18.003 105 7.439 410 7.029 7.544 32.003 354 8.413 589 7.824 8.767 25.825 -104 9.997 750 9.247 9.893 24.8b4 -89 u.763 941 10.822 u.&74 NET INCOME: NET SAVING CAPITAL CONSUHPTIOII CORPORATE NONCORPORA 1E CURRENT SURP. = GROSS SAVING 1 2 3 4 5 b 7 9 10 ll 5.079 5.971 5.458 b73 -160 5.411 7.3bl 5.929 697 735 5.80b 6.203 5.471 628 104 6.172 b.bl9 5.737 745 137 b.289 6.922 6.248 565 109 b.844 8.321 b.388 652 1.281 7.544 7.903 b.b29 664 blO 8.7b7 12.847 8.998 601 3.Z<,8 9.893 9.681 10.184 1.013 -1.516 11.074 14.343 10.490 843 3.010 GROSS INVESTMENT CAPllAL EXPENDITURES PLANT + 1::0UIPHENT RESIDENTIAL CONSTRUCTION CHANGE IN INVENTORIES 7 8 12 13 14 15 16 17 -892 207 0 207 161 46 -1.950 363 100 2b3 214 49 -397 579 200 379 277 102 -447 53b 100 436 381 55 -633 604 115 489 438 51 -l.477 b91 123 568 498 70 -359 936 262 674 584 90 -4.080 843 200 643 483 160 212 904 150 754 548 206 -2.669 1.073 150 923 b87 236 NET FINANCIAL INVESTMENT NET ACQ. OF FJNANC.lAL ASSETS DEMAND DE:POSITS + CURRENCY MISCELLANEOUS ASSETS INSURANCE RECEIVABLES EO. IN SPONS. AGS. 121 18 19 20 21 22 23 24 1.099 3.193 1.865 933 395 -12 407 2.313 3.311 lo9b5 700 646 158 488 976 2.750 2.lbO '>DO 190 -53 243 983 3.052 1 .818 b28 b06 -15 621 1.237 2.305 831 827 647 -52 699 2.168 4.468 2.381 1.345 742 47 695 1.295 5.828 3.551 l.814 4b3 3b 427 4.923 9.716 5.495 3.013 l .208 106 1.102 692 7.885 5.067 910 1.908 258 l.b50 3.742 9.393 5.233 1.921 2.239 1.092 1.147 NET INCREASE IN LIABILITIES CREDIT MARKET INSTRUMENTS HORT GAGES BANK LOANS N.E.C. OTHE� LOANS U.S. GOVERNMENT FIC.B 18 19 20 25 26 407 -2.501 -208 -790 -975 -799 -377 -l.692 -3b8 -700 149 -2.449 56.. -5.097 118 -4.911 187 -7.380 140 -5.791 TRADE DEBT PROPRIETOR NET INVESTMENT 25 2b 8 .. . 10 11 12 13 14 15 lb 17 '1 22 23 2 .. NONFARH NONCORPORATE BUSINt:SS 53.472 56.266 58.201 57.330 56.478 58.548 6 ... 217 66.024 65.667 70.743 NET INCOME 2 3 9.917 9.914 10.534 10.521 11.538 11.533 13.044 13.039 14.501 14.505 15. 338 15.343 15.469 15.465 17.774 17.777 20.866 20. 914 23.674 23.088 CAPITAL CONSUMPTION CURRENT SURP • ., GROSS SAVING 4 5 6 7 8 9 10 9.914 16.002 14. 727 10.306 -201 4.622 1.275 10.521 14.075 13.511 9.622 19 3.870 5b4 11.533 18.054 17.318 l 1.391 317 5.blO 736 13.039 21.036 20.128 12.859 -45 7.314 908 14.505 20.246 19.97b 12.871 -204 7.309 270 15.343 24.385 22.930 11 .528 928 10...74 1.455 15.465 29.497 28. 226 13.36'671 14.191 1.271 17.777 30.&93 29.3,;} 14.789 -326 14.888 1.342 20.914 22.782 22.585 15.821 -'-1'1.178 197 23.b88 17.563 18.803 14.752 895 3.15b -1.240 GROSS INVESTMENT CAPITAL EXPENDITURES FIXED CAPITAL PLANT + EQUIPMENT HOME CONSTRUCT ION 11 I HULTI-FAMILY RESIDENT UL CHANGE IN INVENTOR JES 11 -6.088 715 0 356 359 350 9 -3.554 63" 0 232 402 391 11 -6.521 8'-3 0 361 482 471 11 -7.997 1.073 0 401 672 659 -5. 741 1.177 0 493 b84 669 15 -9.042 1.260 0 4b6 794 781 13 -14.032 l.497 0 503 994 982 12 -12.916 1.752 0 767 985 965 20 -1.868 1.768 0 748 1.020 98b 34 6.125 2.133 0 868 1.265 1.224 41 NET FINANCIAL INVESTMENT NET ACQ. Of flNANC.UL ASSETS DEMAND DEPOSITS + CURRENCY CONSUMER CREDIT HISCELLANEOUS ASSETS INSURANCE RECEIVABLES Eo. IN SPONS. AGS. 121 1.. 15 16 17 20 21 22 23 b.803 5. 731 2.680 -161 2.399 442 4.188 4.398 3.164 2.aoo 349 7.364 5.333 3.202 254 2.40 .. 5..,. 9.070 7.454 3.867 -35 3.461 441 6.918 5.660 5.283 -163 4.862 584 10.302 10.3..9 8.366 742 b.773 851 15.529 13.111 10.9b8 537 8.929 1.502 14.bb8 12.264 8.768 -262 7.285 1.745 3.636 6.735 5.939 -330 4.894 1.375 -3.992 1.196 1.047 716 -649 980 NH INCREASE IN LU8ILITIES CREDIT MARKET INSTRUHE:NTS MORTGAGES HOME MORTGAGES HUL TI-FAHi LY COMMERCIAL 18 19 io 21 22 23 24 25 1.333 1.718 589 645 1.111 1.020 2.111, 1.471 -61.. 991 695 1.288 1.138 1.005 1.065 2.431 -1.004 l.800 -2.035 2.184 26 27 -2.120 3.192 -483 273 170 1.861 649 967 950 308 -1.774 1.121 382 2.03b 1.854 550 577 -3.b76 -1.129 -4.059 12 13 14 15 16 17 18 19 15 l3 BANK LOANS N.E.C. OTHER LOANS TRADE DEBT, NET PROPRIETOR NET INVESTMENT Ill FARM PLUS NONFARH CHANGE IN MORK IN PROCESS. 121 SHARES IN FIC8 1 S, BANKS FOR COOPS, AND LAND BANKS. HONEY AMOUNTS ARE IN HILLIOIIS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 3 .. 5 b 7 8 9 10 ll 12 u 24 25 26 27 OFCFl'6ER lC:76 NONFJNANCUL CORPCRATE BUSINESS 16 NONFINANCIAL CORPORATE BUSINESS SECTOR SU lEMENTS OF SAVING ANO INVESTMENT --------- YEAR-TOTAL FLOWS, 1946-55 1946 1947 1948 1q49 1950 1951 1952 -------- YEAR-TOTAL FLOWS, 1946-55 1953 1954 1955 ------ NONFINANCUL CORPORATE BUSINESS 21.890 e.5n 5.0% 8.226 296 -5.263 -2 .661 7.241 7.839 18.932 10.176 5.833 12.323 468 -5.899 -3.315 9.037 12.614 31.602 11.701 6.423 13.478 582 -2.152 -3.849 10.714 U<.773 24.825 9.280 6.434 9.111 527 1.856 -3.771 11 .571 19.294 38.292 16.786 7.895 13.611 547 -4.965 -3.904 12.535 17.824 38.991 21.142 7.749 l C.100 769 -1.199 -4.517 14.558 19.711 33.690 17.751 7.791 8.148 797 981 -\.387 15.624 21.163 34.847 16.430 7_q59 8.458 7<12 -9c;7 -3.9',;7 16.886 21.142 32.011 15.603 8.215 8.193 93<; -318 -3.136 11.112 23.450 'tl .996 20.175 9.375 12.446 1.070 -1.736 -2.073 19.096 28.803 10 GROSS INVESTMENT 11 CAP ITAL EXPE NDITURES FIXED INVESTMENT 12 PLANT + EQUIPMENT 13 HOME CONSTRUCTION 14 MULTI-f'AMJLY RESIDENTIAL 15 CHANGE IN INVENTOR JES 16 MINERAL R JGHTS FROM U.S.GOVT 17 14.05e 2� .992 20 .025 11.864 461) 7.701 5.967 0 9.553 15.247 14.007 15.200 266 -1.459 1.240 0 1P.014 22.721 20.668 17.296 276 3.096 2.053 0 20.484 17.325 19.046 15.646 -77 3.477 -1.721 0 22.332 29.932 25 .109 17.355 4<;6 7.258 4.823 0 23.079 31.891 23.339 20.864 2.53� 8.552 0 21.010 24.214 21.'11!3 21.490 46 447 2.231 0 21.558 25.4'i3 2',.631 23.E!89 48 6C,4 812 0 21.973 22.522 24.449 23.545 l6ti 731> -1.927 0 25.944 32.839 27.912 .!.6.681 43b H3 4.927 0 18 NET FINANCIAL INVESTMENT NET ACO. C,F FINANCIAL ASSETS 19 -11 .934 -1.356 -5.694 8.357 -4.707 4.965 3.159 3.516 -7.600 16.353 -8.812 7.387 -3.204 4.576 -3.885 2.298 -549 4.864 -6.895 16.521 18 19 -5.164 543 0 -5.729 -26 48 0 1.572 1.932 0 -488 37 91 0 1 .211 427 0 562 102 126 0 3.053 1.042 0 1.844 33 134 0 4.593 1.319 0 3.173 167 -66 0 2.110 l .637 0 783 192 98 0 -116 782 0 -1.006 -31 139 0 l .991 1.s93 193 296 0 343 1.779 200 -1.717 -34 115 0 5.270 953 -100 4. 058 248 111 0 20 21 22 23 24 25 26 586 2.699 523 230 35 258 0 603 5.170 1.012 749 -17 280 0 529 2.303 916 721 -41 236 0 386 -774 851 660 0 191 0 806 10.251 703 621 47 35 0 556 3.449 672 508 34 130 0 762 2.976 954 852 -16 118 0 256 -843 89'i 735 39 12C 0 315 3.415 791 667 44 80 0 643 9.644 964 823 -29 168 2 27 28 29 30 31 32 33 10 .578 6 .847 1.018 5.829 14.051 8.293 1.093 1.200 9.672 6.418 1.000 5.418 357 3.024 l .212 1.812 2;,.953 8.024 1.2'88 6.736 16.199 10.579 2.107 8.472 7. 780 9.227 2.320 6.907 b.183 5.722 1.766 3.956 S.413 6.196 1.583 4.613 23.416 10.386 1.719 8.667 34 35 36 37 38 39 40 l 2 3 4 5 6 7 8 9 PROFITS BEFORE TAX - PROFITS TAX ACCRUALS - NET OJVJOFNOS PAID = UNDISTRIBUTED PIIOFJTS + FOREIGN BRANCH PROFITS + INV. VALUATION ADJUSTMENT + CAP. CONSUMPTION ADJUSTMENT + CAP ITAL CONSUMPTION ALLOW. = GROSS INTERNAL FUNDS 24 25 26 ?3 LJOUJO ASSETS DEMAND DEP. + CURRENCY TIME DEPOSITS U.S. GOVT. SECUPITIES ST.+LOC. OBLIGATIONS COMMERCIAL PAPER SECURITY R.P. 'S 27 28 29 30 31 32 33 CONSUMER CR EDIT TRADE CREDIT MISCELLANEOUS A SSE TS FOREIGN DIR. INVEST• Ill FOP.EJGN CURRENCIES INSURANCE RECEIVABLES EOUJTY IN SPONSORED AGS. 20 21 22 34 35 36 37 NEl INCREASE IN LIABILITIES NET FUNDS RAISED IN MKTS. NET NEW EQUITY ISSUES DEBT INSTRUMENTS -Pu -c,i C l 2 3 " 5 6 7 8 9 10 11 u 13 14 15 16 17 38 39 40 41 42 43 TAX-EXEMPT BONDS 121 CORPORATE BONDS I 11 MORTGAGES HOME MORTGAGES MUL TI-FAMJLY COMMERCIAL 0 953 1.544 368 173 1.003 0 2.813 1.420 213 258 949 0 4.300 1.290 221 437 632 0 2.903 697 -62 583 176 0 1.624 l .209 397 735 77 0 3.295 1.005 -64 670 399 0 4.684 822 38 416 368 0 3.356 943 39 317 587 0 3.47C, 1.386 135 269 982 0 2.836 2.036 350 409 1.211 42 43 44 45 46 47 48 BANK LOANS N.E.C. COMMERCIAL PAPER ACCEPUNCES FINANCE COMPANY LOANS U.S. GOVERNMENT LOANS 3 .474 42 28 -58 -154 3.026 35 -2 -124 32 -194 -6 0 42 -14 -1.790 -4 13 -134 127 3. 774 45 32 74 -22 3.859 62 19 214 18 825 62 11 482 21 -557 71 20 126 -3 -607 129 112 261 -147 3.870 -169 -134 250 -22 44 45 46 47 48 49 50 51 PROFIT TAXES PAYABLE TRADE DEBT MISCELLANEOUS LIABILITIES -2 .021 5.756 -4 2.457 3.291 10 1154 2.366 34 -2.3110 -343 56 7.514 8.335 80 4.670 860 90 -3.253 1.674 132 599 -296 158 -3.2113 2.376 124 4.097 8.736 197 49 50 51 52 DISCREPANCY -6 .219 3.061 759 -1.190 -4.508 -3.368 153 -416 1.477 2.859 52 MEM ORANOUM ITEMS: EXCESS OF CAPITAL EXPENDIT�ES 53 OVER GROSS INTERNAL FUNDS 18 .153 2.633 3.948 -1.969 12 • 108 12.180 3.051 4.301 -928 4.036 53 54 TRADE CREDIT NET OF TRADE DEBT 55 PROFITS TAX PAYMENTS -3.057 9.973 1.879 8.177 -63 10.969 -431 11.823 1.916 9.380 2.589 16.173 1 .302 21. 750 -547 18.377 1.039 18.366 908 16.913 S4 55 3.519 2.310 6.045 5.230 1.970 7.718 5.291 127 3.347 2.946 -1.134 -3.857 3.946 2.790 18.639 5.908 2.564 8.094 5. 798 1.109 -470 4.038 -82 221 4.488 125 -782 6.071 2.596 15.429 56 57 58 39.166 331 .572 22.426 37.245 120.873 47.222 37.026 121.030 23.845 37.381 89.794 10.458 43.836 167.930 22.504 54.222 161.792 2b.565 52.689 114.416 211.524 52.888 120.343 15.548 48.742 96.042 20.482 411.040 114.012 26.392 59 60 61 DEBT SUBTOTALS: 131 56 LONG-TERM DEBT 57 SHORT-TERM DEBT 58 TOT .tL S-T LUBILITI ES PER CENT RATIOS: 59 EFFECTIVE TAX RATE 60 CAPITAL OUTLAYS/INTERNAL Fl.f,IOS 61 CR. MKT. BORROWING/CAP. EXP. 41 CASH FLOW ANO CAPITAL EXPENDITURES ON BOOK BASIS 62 CAP• CONS• ALLOWANCE, N I A 63 PLUS: CAP• CONS. ADJUSTMENT 64 EOUALSI BOOK DEPRECIATION 7.241 -2.661 4.580 9.037 -3.315 5.722 10.714 -3.849 6.865 11.571 -3.771 7.800 12.535 -3.904 8.631 14.558 -4.517 10.041 15.624 -\.387 11.237 16.886 -3.997 12.889 17.772 -3.136 14.636 19.096 -2.073 11.023 62 63 64 65 INVENTORY CHANGE, N I A 6 6 LESS: INV. VAL. ADJUSTMENT 67 ECIUALSI INVENTORY CHG., 8UOK 5.967 -5 .263 11.230 1.240 -5.899 7.139 2.053 -2.152 4.205 -1.721 1.856 -3.577 4.823 -4.965 9.788 B.552 -1.199 9.751 2.231 981 1.250 812 -997 1.809 -1.927 -318 -1.609 4.927 -1.736 6.663 65 66 67 68 69 70 71 8.226 296 4.580 13.102 12-323 468 5.722 18.513 13.478 582 6.865 20.925 9.111 527 7.800 17.438 13.611 547 8.631 22.7119 10.100 769 10.041 20.910 8.148 797 11.237 20.1112 11.458 792 12.889 22.139 8.193 939 14.636 23.768 12.446 1.070 17.023 30.539 68 69 70 71 19.321 31 .255 20 .025 11.230 0 15.452 21.146 14.007 7.139 0 20.166 24.873 20.668 4._205 0 18.628 15.469 19.046 -3.577 0 27.297 ·34.897 25 • 109 9.788 0 24.278 33.090 23.339 9.751 0 20.029 23.233 21.983 1.250 0 22.555 26.440 24.631 1.809 0 22.291 22.8/tO 24.449 -1.609 0 27.680 34.575 27.912 6.663 0 72 73 74 75 76 UNOISTR IBUTEO PROFI TS + FOREIGN BRANCH PROFITS + BOOK DEPRECIATION : GROSS INTERNAL FUNDS,BOOK 72 GROSS INVESTMENT, llOOK 73 CAPITAL EXPENDITURES FIXEO INVESTMENT 74 75 INVENTORY CHG., BOOK 76 MINERAL RIGHTS 111 FOREIGN INVESTMENT IS NET OF BONO ISSUES ABROAD, ANO BONO ISSUES OUTSIDE THE U.S. ARE EXCLUOEO FROM SOURCES OF FUNDS ABOVE• 121 INDUSTRIAL POLLUTION CONTROL REVENUE BONDS. ISSUED B Y STATE AND LOCAL GOVERNIENTS TO FINANCE PRIVATE INVESTMENT ANO SECURED IN INTEREST ANO PRINCIPAL BY THE IN DUSTRIAL USER OF THE FUNDS. 13). MATURITY SPLIT°" DEBT IS APPROXIMATE: L-T IS BONDS, M-F + COMMERCIAL MORTGAGES, ANO 401 OF BANK L OANS. S-T DEBT IS OTHER CREDIT MARKET BORROWING. TOTAL S-T LI ABILITIES IS S-T BORROWING + TAX LIABILITIES+ TRADE DEBT. https://fraser.stlouisfed.org MONEY AMOUNTS MILLIONS Federal Reserve Bank ofARE St.INLouis OF DOLLAltS. OECfMBER 1976 NONFINANCUL CORPORATE: BUSINESS NONFINANCIAL CORl'ORAlE: BUSINESS 17 SECTOR STATEME:NTS OF SAVlNG ANO INVESTMENT --------- YEAR-TOT AL FLOWS, 1956-65 1956 1957 YEAR-101 AL FLOWS, 195b-b5 1958 1959 1960 1961 1962 19b3 1964 1965 "8.256 22.713 13.955 11.588 1.622 -153 1.917 29.5&4 44.538 54.566 23.88 7 15. 262 15.417 1.803 -543 2.022 30.82b 50.125 64.238 27.108 17.147 19.983 1.765 -1.865 3.592 32.618 56.093 PROFITS BEFORE lAX - PROFllS TAX ACCRUALS - NET OJVIDENOS PAID UNOISTRlBUlEO PROFITS + FORUGN BRANCH PROFlTS + INV. VALUATION ADJUSTMENT + CAP. CONSUMPTION AOJUS Hll:NT + CAPITAL CONSUMPTION ALLOW. GROSS INTERNAL FUNDS GROSS INVESTME:NT CAPilAL EXPENDITURES FIXED INVESTMENT PLANT + EQUlPME:Nl HOME CONSTRUCTION MULlI-FAMlLY Rt:SlDE:NTIAL CHANGE IN INVENTCJRIES MINERAL RIGHTS FROM U. S.GOVT NONFJNANCUL CORPORATE BUSINESS l 2 3 4 5 !t6:! 10.3b7 10.3"8 1.252 -1.53'1 -3.2111 23.620 30.400 33.650 16.128 10.166 7.356 1.032 -255 -3.350 24.815 29.598 43.019 20.692 10.812 11.515 978 -453 -2.889 25.878 35 .029 39.395 19.150 11.479 8.766 1.068 327 -2.299 26.833 34.695 39.130 19.391 11.668 7 8 9 41.768 20.006 10.101 11.655 1. 218 -2.693 -2.9H Zl.432 28.661 1.273 90 -1.809 27.653 35.278 43.606 20.578 12.661 10.367 1.500 138 1.061 28. 518 41. 584 10 11 12 13 14 15 16 17 25.614 37.041 32.157 31.429 -245 973 4.884 0 27.452 35.002 34.420 33.585 -217 1.052 582 0 26.972 27.647 30. 184 28.856 -20 1.348 -2.537 0 31.512 37.683 33 .385 31.266 390 1.729 4.2911 0 27.644 37.966 35.274 33.822 -236 1.688 2.692 0 31.247 36.877 34.937 33.028 -114 2.023 1.940 0 37.587 43.820 38.84L 36.355 109 2.378 4.978 0 37.593 44.774 '>0.343 37.487 85 2.771 4.431 0 41.692 50.780 45.373 42.413 2 2.958 5.'>07 0 47.388 61.892 54.&19 51.589 51 2.979 7.273 0 18 19 -11.427 3.962 -7.550 4.219 -675 10.792 -6.171 14.168 -10.322 2.656 -5.630 13.193 -6.233 11.105 -7.181 14.172 -9.088 13.393 -14.504 20.214 20 21 22 23 24 25 26 -4.477 -292 0 -4.463 123 155 0 -457 34 0 -729 138 100 0 2.487 1.059 900 303 479 -254 0 5.386 -887 -400 6.129 836 -292 0 -4.063 -'140 1.500 -5.953 -412 1.742 0 3.150 3.083 1.100 -1.524 13 478 0 3.72.. 3.570 900 -1.762 302 7l't 0 4.795 3.713 687 -1.546 1.090 851 0 1.165 -126 984 -1.555 -107 l.b60 309 2.612 311 2.322 -l.b95 920 470 284 LIQUID ASSE:TS DEMAND DEP. + CURRl:NCY TIME DEPOSITS u.s. GOVT. SEC.URlllES ST.+LO(.. OBLIGATIONS COMMERC.IAL PAP!:R SECURllY R.P. 'S 20 21 22 23 2 .. 25 26 27 28 29 30 31 32 33 345 5.764 2.330 1.951 9 359 11 90 1.560 3.026 2.442 -7 572 19 265 6.289 1.751 1.181 18 546 6 659 6.185 1.938 1.372 -17 570 13 279 4.151 2.289 1.674 3 591 21 110 7.776 2.157 1.599 88 lto2 8 903 4.389 2.089 1.654 -125 550 10 894 6.369 2.114 l.976 -209 347 0 1.0&8 8.410 2.750 2.327 103 319 1 1.026 13.189 3.387 3.277 -312 416 6 toNSUME:R CREDIT TRADE CREDll Ml SCELLANEOUS A�SE: TS FOREIGN DIR. INVEST. ( ll FOREIGN CURRENCIES INSURANCE RECEIVABLES E:QUllY IN SPONSORtD AGS. 27 28 29 30 31 32 33 34 35 15.389 12.870 2.250 10.620 11.769 12.186 2.441 9.745 11.467 10.28'1 1.968 8.321 20.339 12.680 2.078 10.602 12.978 11.977 1.365 10.612 18.823 12.133 2.121 10.012 17.338 12. 448 369 12.079 21.35'3 12.388 -31tl 12.729 22.481 15.040 1.145 13.895 34.718 20.358 -28 20.386 0 3.615 1.633 -197 28.. l.546 0 6.317 1.537 -174 223 1.488 0 5.683 2.657 -15 756 1.916 0 2.955 3.252 313 907 2.032 0 3.456 2.661 -188 771 2.078 0 lt.640 3.757 -91 1.074 2.774 0 4.550 4. 581 87 1.050 3.444 0 3.913 4.754 67 990 3.697 0 3.994 3.761 1 1.254 2.506 0 5.392 3.821 41 865 2.915 46 47 48 5.147 16 19 132 -2 l.258 44 65 465 59 -327 236 -18 79 11 3.859 -343 5 847 27 2.279 454 121 l.564 77 876 325 31 317 66 2.861 104 1 -231 213 3.728 -230 -116 632 ..a 5.059 157 ,.3 682 199 lt9 50 51 -1.983 4.270 232 -2.131 1 .559 155 -2.593 3.673 98 2.439 4.982 238 -2.202 · 3.062 141 1.383 5.234 73 946 3.812 132 1.567 7.'>03 -5 2.626 3.517 7.051 4.031 3.997 6.9 ..5 b 36 37 38 39 40 ltl 42 43 44 45 a.on 4 5 b 7 b 10 11 12 13 14 15 16 17 NET FINANCIAL INVE.STME:NT lb NET ACQ. OF FlNANC.IAL ASSETS 19 NEl INCREASE. IN LIAtHLITIES NET FUNDS RAISED IN MKlS. NET NEW EQUITY ISSUES DEBT INSTRUMEIClS 34 35 3b 37 TAX-EXEMPT BONDS 12) CORPORATE BONDS 11) MORTGAGES HOME: MORTGAGES MULTI-FAMILY COMMERCIAL ltl 42 ..3 10.542 -328 37 628 294 SANK LOANS N.E.C. COMMERCUL PAPER ACCEPTANCES FINANCE COMPANY LOANS U.S. GOVERNMENT LOANS 45 4b 47 -.8 531 6.915 -5 2.162 12.142 56 PROFIT TAXES PAYABLE TRADE DEBT MlSCEL LANEOUS LlABILITIES lt9 50 51 8.433 8 .705 38 ::,9 ..o " ------------ 2.948 53 8.380 4.602 -1.951 2.054 3.271 1.599 2.236 236 655 54 55 1.494 21.968 1 21.244 2.61& U.655 1.203 18.065 1.089 21.480 2.542 17.895 577 20.379 -l.031t 20.388 1.495 23.614 1.047 25.714 TRADE CRED 11 NET OF TRADE DEBl 54 55 PROFITS TAX PAYMENTS 56 57 58 7.504 3. 116 5.'>03 e. 531 1.214 642 8.223 98 l.178 7.438 3.164 10.585 7.216 3.396 4.2S6 8.839 1.173 7.790 10.188 1,891 6.649 10.091 2.638 11.608 9.778 4.117 u.563 13.388 6.998 21.302 DEBT SUBTOTALS: 131 LONG-TERM DEBT SHORT-TERM DEBT TOTAL S-1 LUBlLITltS 59 60 61 47.897 129.238 28.670 47.911 115.138 27.841 lt7.928 93.lt-08 30.097 48.099 107.576 28.134 48.610 109.427 27.951 49.555 lOlt.532 27 .llt9 47.190 105. 377 27. 565 47.067 100 .529 28.it29 43. 776 101. 306 27.363 42.199 110.338 32.938 b2 63 23.620 -3.281 20.339 2 ...815 -3.350 21.465 25.878 -2.889 22.989 26.833 -2.299 24.534 27.653 -1.809 25.84'- 28.518 1.061 29.579 29.564 1.917 31.481 30.826 2.62.2 33.448 32.618 3.592 36.210 CAP. CONS, ALLOWANCE, N I A PLUS: CAP. CONS. ADJUSTMENT EQUALS: BOOK 01:.PRECJATION 62 63 64 21.432 -2.951 18.481 65 66 67 4.884 -2.693 7.577 582 -1.539 2.121 -2.537 -255 -2.282 4.298 -453 4.751 2.692 327 2.365 1.9.,,0 90 1.850 4.978 138 4.840 4.431 -153 4.584 5.407 -543 5.950 7.273 -1.865 9.138 INVENTORY CHANGE, N I A LESS: INV. VAL. ADJUSTMENT EQUALS: INVENTORY CHG., BOOK o5 66 67 68 69 70 71 U.655 1.218 18.481 31.35,. 10.348 1.252 20.339 31.939 7.356 1.032 21.465 29.853 11.515 978 22.989 35.482 8.766 1.068 24.53,. 34.368 8.071 1.273 25.844 35.188 10.367 1.500 29.579 41.ltlt6 u.5ee l.622 31.481 44.691 15.417 1.803 33.448 50.668 19.983 1,765 36.210 57.958 UNDISTRIBUTED PROFITS + FOREIGN BRANCH PROFITS + BOOK DEPRECIATION • GROSS INTERNAL FUNDS,800K. 68 69 70 71 72 73 74 75 76 28.307 39. 734 32.157 7.577 0 28.991 36. 541 34.420 2.121 0 27.227 27.902 30.184 -2.282 0 31.965 38.136 33.385 4.751 0 27.317 37.639 35.274 2.365 0 31.157 36.787 34.937 1.850 0 37.41t9 43. 682 38.842 lt.8'--0 0 37.7',6 44.927 40.343 4.581t 0 42.235 51.323 45.373 5.950 0 49.253 63.757 54.619 9.138 0 GROSS INVESTMENT, BOOK CAPITAL EXPENDITURES FIXED JNVESTMEMT JMVEMTOR Y CHG., BOOK MIMERAL RIGHTS 72 73 74 75 76 52 3.0lt7 DJSCREPANC Y MEMORANDUM ITEMS: EXCESS OF CAPITAL EXl'ENDITURES 5.799 OVER GROSS INTERNAL FUNDS 52 53 5b 57 58 PER CENT RAllOS: 59 EFFECTIVE TAX RATt CAPITAL OUTLAYS/INTERNAL FUNDS 60 61 CR. MKT. BORROWING/CAP. tXP. CASH FLOW AND CAP IT AL EXPENDITURES ON BOOK BASIS https://fraser.stlouisfed.org IOIIYBank ANOUIITS AlliLouis IM MILLIONS Federal Reserve of St. Ill FOREIGM IMVESTMENT IS NET OF 80MD ISSUES ABROAD, ANO BOMO ISSUES OUTSIDE THE U.S. ARE EXCLUDED FROM SOURCES OF FUNDS ABOVE. 121 INDUSTRIAL POLLUTION COMTROL REVENUE BOMDS. ISSUED BY STATE AND LOCAL GOVERNMENTS 10 FINANCE PRIVATE INVESTMENT AMO SECURED IN INTEREST ANO PRINCIPAL BY THE INDUSTRIAL USER OF THE FUNDS. 13) MATURITY SPLIT ON DEBT JS APPROXIMATE: L-1 IS BOMOS, M-F + COMMERCIAL MORTGAGES, ANO 401 OF BAIIIK LOAMS. S-1 DE.BT IS OTHER CREDIT MARKET BORROWING. TOTAL S-T LIABILITIES JS S-T IIORROll:tilG + TAX LIABILITIES + TRADE DEBT. OF DOLLARS. bit DECEMBER 1976 NONFJNANCUL CORPORATE BUSINESS NONFINANCIAL CORPORATE BUSINESS 18 SECTOR STATEMENTS OF SAVING AND INVESTMENT YEAR-TOTAL FLOWS, 1966-75 YEAR-TOTAL FLOWS, 1966-75 1967 1966 1968 1969 1970 1971 1972 1973 1974 1975 ---------- NONFINANCUL CORPORATE BUSINESS 69 .341 29.417 18 .061 21.B63 1.446 -2.098 3.790 35 .497 60 .498 65.288 27.638 18.844 18.806 l .574 -1.744 3.621 39.009 61.266 71.781 33.542 20.688 17.551 1.821 -3.447 3.693 42.726 62.344 68.308 33.232 20.629 14.447 1.783 -5.526 3.544 47.421 61.669 55.145 27.229 19.848 8.068 1.564 -5.067 1.551 52.737 5B.B53 63.182 29.826 19.952 13.404 l.B54 -5.029 500 57.B53 68.582 75.563 33.360 21.626 20 .577 1.906 -6.597 2.695 62.195 B0.776 91.990 39.377 23.791 28.822 3.661 -18. 584 1.846 6B.090 83.B35 102.074 42.370 30.228 29.476 10.833 -39.782 -2.957 80.020 77.590 95.274 39.576 28.907 26.191 3.B61 -11.415 -11.554 'il5.672 103 .355 1 2 3 4 5 6 1 8 9 10 GROSS INVESTMENT 11 CAPITAL EXPENDITURES FIXED INVESTMENT 12 PLANT + EQUIPMENT 13 HOME CONSTRUCTION 14 MULTI-FAMILY RESIDENTIAL 15 16 CHANGE IN INVENTORIES 17 MINERAL RIGHTS FROM U.S.GOVT 52.171 76.006 62.B01 59.964 -201 3.03B 13.205 0 57.401 72.55B 63.75B 60.881 19 2.858 8.800 0 54.236 77.614 69.419 65.912 319 3. 188 6.B65 1.330 56.464 85.047 76.676 72.785 -44 3.935 B.327 44 49.B31 B0.627 76.902 73.278 -205 3.829 3.396 329 54.665 86.221 81.8B6 77.103 92B 3.855 3.61B 717 64.332 101.004 92.531 87.048 671 4.812 7.561 912 67.6B7 124.398 107.913 102. 197 -326 6.042 13. 317 3.168 64.489 134.577 116.094 111.885 -414 4.623 11.993 6.490 88.856 95.740 110.803 107.934 895 1.974 -16.3B6 1.323 10 11 12 13 14 15 16 17 18 NET FINANCIAL INVESTMENT 19 NET ACO. OF FINANCIAL ASSETS -23 .835 12.607 -15.157 16.833 -23 .37B 28.790 -2B.5B3 28.359 -30.796 15.441 -31.556 28.B47 -36.672 36.506 ➔6.711 41.107 -70.08B 35.2B5 -6.8B4 35.223 18 l'i 1 2 3 4 5 6 1 B 9 PROFITS BEFORE TAX - PROFITS TAX ACCRUUS - NET DIVIDENDS PAID = UNDISTRIBUTED PROFITS + FOREIGN BRANCH PROFITS + INV■ VALUATION ADJUSTMENT + CAP. CONSUMPTION ADJUSTMENT + C APITAL CONSUMPTION ALLOW. = GROSS INTERNAL FUNDS 20 21 22 23 24 25 26 LIOUIO ASSETS DEMAND OEP. + CURRENCY TIME DEPOSITS U.S. GOVT. SECURITIES ST.+LOC. OBLIGATIONS COl'MERCUL PAPER SECURITY R.P. 'S -3.661 -6B2 -3o0 -1.705 -961 -225 302 4.763 2.532 1.07'1 -2.462 -33'1 4.17B -225 7.960 2.714 -626 774 482 4.165 451 2.346 591 -5.404 1.929 -982 4.022 2.190 2.212 937 l .695 2.170 -625 1.112 -3.077 7.749 l. 56B 4.162 2.476 1.000 -2.300 843 9.017 1.418 5.981 -2.430 1.000 1.437 1.611 6.659 373 1.133 -3. 805 -137 6. 521 2.574 2.079 -2.560 3.841 3.513 616 -554 -2.777 17.713 2.746 l.B87 8.230 -173 2.777 2.246 20 21 22 23 24 25 26 27 28 29 30 31 32 33 CONSUMER CREDIT TRADE CREDIT "IISCELLANEOUS ASSETS FOREIGN DIR. INVEST• 111 FOREIGN CURRENCIES INSURANCE RECEIVABLES EQUITY IN SPONSORED AGS. 560 11.987 3 .7 21 3.029 104 565 23 377 8.237 3.456 2.690 84 668 14 233 1B.407 2.190 843 532 789 26 505 22.549 2.959 2.161 -414 1. 147 65 565 B.513 4.091 3.459 -375 B96 111 317 14.147 6.034 3.577 i .387 1.047 23 819 21.4B9 5.181 1.528 1.784 1.851 18 901 25.25 5 B.292 3.745 2. 56B 1.960 19 630 22.967 9.609 7.665 -200 2.127 17 436 7.943 9.131 6.081 B26 2.214 10 27 28 29 30 31 32 33 36.442 25 .582 1.259 24 .323 31.990 28.B77 2.397 26.480 52 .168 31.915 -159 32 .074 56.942 38.440 3.406 35.034 46.237 •H.469 5.694 3'5.775 60.403 46.358 11.435 34.923 73.178 58.168 10.922 47.846 97.818 72.855 7.BB3 1>4.972 105.373 B3.130 4.097 79.033 42 • 107 37.059 9.908 27.151 34 35 36 37 0 10.224 4.546 -161 725 3 .9B2 0 14.65B 3.959 15 803 3.141 0 12.B93 6.173 254 1.033 4.886 0 11.975 5.398 -35 1.46'1 3.964 0 19.756 7.169 -163 2.• 086 5.246 86 18.807 11.311 742 2.904 7.665 548 12. 187 17.782 537 3. 733 13.512 1.796 9. 159 1B.524 -262 3.086 15.700 1.648 19.670 14.189 -330 2.149 12.370 Z .600 27 .204 10.095 716 569 8.810 38 39 40 41 lt2 43 3.789 -886 265 1.325 226 13. 16B 721 25 3.174 21tl 29.735 1.",14 532 3.464 348 30.759 4.312 1.255 5.&71 1.529 -12.883 -2.519 174 2.214 20& 44 lt5 46 47 lt8 1.991 12.229 -175. -92 14. 122 380 l.323 19.985 2.655 1.010 18.4B8 2.745 -3.214 5.825 2.437 49 50 51 34 35 36 37 NET INCRF.ASE IN L UBILIT IES NET FUNDS RAISEO IN MKTS. NET NEW EQUITY ISSUES OEflT INSTRUMENTS 3B 39 40 41 42 43 TAX-EXEMPT BONDS 12) CORPORATE IIONDS 111 MORTGAGES HOME "IORTGAGES MULTI-FAMILY COMMERCIAL 44 45 46 47 48 BANK LOANS N.E.C. COMMERCIAL PAPER ACCEPT.INCES FINANCE COMPANY LOANS U.S. GOVE!I.NMElliT LOANS S .297 B25 130 -65 366 6.431 1■412 119 -290 191 9.748 1.215 134 1.747 164 11.746 1.101 353 4.338 117 5.564 1.111 403 813 293 lt9 50 51 PROFIT T.lXES PAYABLE TRADE DEBT MISCELLANEOUS LIABILITIES 205 10 .56B 87 -4.727 7.582 258 2.861 17.072 320 -3.306 20.976 832 -3.706 7.444 1.030 52 DISCREPANCY 8.327 3.865 .. 9.108 5.205 9.022 13.917 16.4,.,. lb.14B 13.101 14.499 52 MEMORANOOM ITEMS: EXCESS OF CAPITAL EHENDITURES 53 OVER GROSS INTERNAL FUNDS 15 .508 11.292 15.270 23.37B 21.774 17.639 20.228 40.563 56.987 -7 .615 53 54 TRADE CREDIT NET OF TRADE DEBT 55 PRO FITS TAX PAYMENTS 1.419 30.484 655 32.342 1.335 31.757 1.!173 36.101 1.069 30.156 2.518 27.594 7.367 33.341 5.270 37.535 4.479 41.245 2.118 lt2.B32 54 55 DEBT SUBTOTALS: 13) 56 LONG-TERM DEBT 57 SHORT-TERM DEBT 58 TOTAL S-T LIABILITIES 18 .251 6.072 16 .B45 21.174 5.306 8.161 22.711 9.363 29.296 22. 107 l? .927 30.597 29 .313 6.462 10.200 30.977 3.946 18.166 35.248 12.598 26. 628 41.635 23.337 45.645 48.141 30.892 50.390 34.030 -6.879 -4.268 56 57 58 42 .423 125 .633 32.001 42.332 118.431 36.494 46.728 124.493 41 .325 48.650 137.908 41.193 49.377 136.997 44.370 47.206 125.719 40.504 44■ 148 125.042 41.370 42.1105 148.384 52.229 41.509 173.446 58.726 41.539 92.632 2e.359 59 60 61 PER CENT RATIOS: 59 EFFECTIVE TAX RATE to CAPITAL OUTLAYS/INTERNAL Fl.NOS 61 CR. MKT. 80RROIHNG/CAP. EXP. CASH FLOW AND CAPITAL EXPENDITURES ON BOOK '3ASIS 62 CAP. CONS • .llLOWANCE, N I A 63 PLUS: CAP. CONS. ADJUSTMENT 64 EQUALS: BOOK DEPRECIATION 35 .497 3 .790 39.287 39.009 3.621 42.630 42.126 3.M� 46.419 47 .421 3.544 50.965 52. 737 1.551 54.288 57.B53 500 58.353 62.195 2.695 64.890 68.0',,0 l.B46 69.'136 80 .020 -2.957 77.063 95.672 -11.554 84.118 b2 63 64 65 INVENTORY CHANGE, N I A 66 LESS: INV. VAL. ADJUSTMENT 67 EQUALS: INVENTORY CHG., BO OK 13.205 -2.C98 15 .303 8.800 -1.744 10.544 6.B65 -3.447 10.312 8.327 -5.526 13 .853 3.396 -!'.067 8 .463 3.618 -5.029 8.647 7.561 -6.597 14.158 13.317 -18.5B4 31.CIOl 11.993 -39.7B2 51.775 -16.386 -11.415 -4.971 65 66 67 21.863 1.446 39 .2B7 62 .596 18.806 1.574 42.630 63.010 17.551 1.821 46.419 65.791 14.447 1.783 50.965 67.19' P.068 J .564 54.288 63.«;20 13.404 1.854 58.353 73.611 20 • 577 1.906 64.890 87.373 28. 822 3.661 6'i.936 102.419 29.476 10.833 77.063 117.372 26.191 ?.861 84.118 ll4.77C 68 6'i 10 71 54.269 78.104 62.801 15 .303 59.14� 74.302 63.758 10.544 57 .683 81.061 69.419 10.312 1.330 61.990 90.573 76.676 13.853 44 54.898 85.694 76.902 B.463 329 59.694 91.250 Bl.8&6 8.647 717 70.929 107.601 92.531 14.158 912 B6.271 142.982 107.913 31.901 3.168 104.271 174.359 116.094 51• 775 6.490 100.271 107.155 110.803 -4.971 1■323 72 73 74 75 76 6B 6«; 70 71 Ul«>ISTRillUTEO PROFITS + FOREIGN BRANCH PROFITS + BOOK DEPRECIATION = GROSS INTERNAL FUNDS,BGOI< 72 GROSS INVESTMENT, BOOK 73 CA" IH L EXPENDITURES 74 FIXED INVESTMENT 75 INVENTORY CHG., BOOK 76 M JNERAL RIGHTS 0 0 111 FClREIGN INVESTMENT IS NET OF BONO ISSUES ABROAD, ANO !IONO ISSUES OUTSIDE Tl-1E U.S. ARE EXCLUDED FROM SOURCES CF FUNDS ABOVE. 121 INDUSTRIAL POLLUTION CONTROL REVENUE BONDS. ISSUED BY ST ATE ANO LOCAL GOVERNMENTS TO FINANCE PR IVA TE INVESTMENT AND SECURED IN INTEREST ANO PRINCIPAL BY THE INDUS TRI Al USER OF THE FUNDS. (3) HA TUR TTY SPLIT ON DEBT IS APPROXIMATE: L-T IS BONDS, M-F + COMMERCIAL MORTGAGES, ANO 40� OF BANK LOANS. S-T D':BT IS OTHER CREOil MARKET BORROWING. TOTAL S-T LJA8JLITJES_IS S-T l!ORROWING + TAX LIABILITIES + TR&OE DEBT • https://fraser.stlouisfed.org .MOJII..E.LAMO.UNis.____ABJ: MILLIONS Federal Reserve Bank of St.INLouis OF DOLLARS. oECEM BER 1976 STATE+LOCAL GOVTS. ANO FOll.EIGN ------ STATt+LOCAL GOVlS. AND F-ORElC.N 19 VEAR-TOTAL FLOWS, 1940-55 -------------- VEAR-TOTAL FLOWS, 1940-55 1946 1947 -----------.....---------------- 1948 1949 1950 1951 1952 1954 1955 ----1953 ------------- -------- ----------------------- SlATE ANO LOCAL GOVERNMENTS - GENERAL FUNDS Ill l 2 3 13.005 11.302 595 1.108 15.438 13.005 695 1. 738 17-705 14. 878 841 1.986 19.463 16.291 944 2.2211 21.30.. 17.833 1.128 2.343 23.445 19.601 1.357 2.487 25.434 21.235 1.553 2.646 27-421 22.866 1.721 2.834 29.049 24.182 1.954 2.913 31.662 26.465 2.077 3.120 TOTAL RECEIPTS, NIA BASIS TAX RECEIPTS SOCIAL INSURANCE RECEIPTS GRANTS IN AID RECEIVED l 2 3 5 6 7 8 9 10 11.114 9.931 1.183 1.891 270 1.621 14.423 12.755 1.668 1.015 335 680 17.573 15.264 2.309 132 438 -306 lb.18B 17.982 2.206 -725 536 -1.2&1 22. 509 19.769 2.740 -1.205 674 -1.87<; 23.887 21.777 2.110 -442 760 -1.202 25.481 23-217 2.264 -47 1.021 -1.074 27-278 l4.994 2-284 143 1.324 -1.u,1 30.161 27.827 2.334 -1.112 1.488 -2.600 32.936 30.551 2.385 -1.274 1-304 -2.578 TOTAL EXPENDITURES, NIA BASIS PURCH. OF GOODS + SERVICES NET INTEREST + TRANSFERS NET SURPLUS, NIA BASIS - RETIREMENT CkEOil 10 HH = GROSS SAVING 5 6 9 10 228 421 867 179 112 1.694 733 159 -1.048 1.3..0 493 271 -1.815 782 236 152 -1.986 1.5u 451 101 -1.300 1.139 395 152 -2.179 1.927 303 85 -2.018 1.987 384 329 -3.898 1.999 366 462 -4.244 1.194 39 -63 NET FINANCIAL INVESTMENT NET ACQ. OF FINANCIAL ASSETS DEMAND DEP. + CUkRENCY TIME DEPOSllS 11 12 13 14 -632 -352 -353 l 660 674 673 1 509 435 434 l 460 66 65 l 796 460 459 l 479 381 380 l 1.596 1.443 1.306 137 1.291 1-026 803 223 1.201 943 807 136 1.023 952 1.001 -49 CREC,JT MARKET INSTRUMENTS u.s. GOVT. SECURJT JES DIRECT U.S. GOVT. AGENCY SEC. 15 16 17 18 19 20 21 -305 25 7 -39 25 142 20 54 67 313 81 -66 284 52 165 29 69 113 50 103 -57 182 83 -17 174 90 -36 12 59 195 ST.+LOC. OBLIGATIONS MORTGAGl:S lAXES RECEIVABLE 19 20 21 22 23 24 25 26 193 47 68 l 67 1.582 1.431 1.412 199 1.213 2.388 2.239 2.169 165 2.004 2.597 2-497 2.582 204 2.378 3.499 3.399 3.332 393 2.939 2.439 2.439 2.178 312 1.866 4.106 4.006 3.684 193 3.491 4.005 3.905 4.269 169 4.100 5.897 5.747 6.082 110 5.•n2 5.438 5.288 5.276 28 5.248 27 28 -21 146 19 151 70 149 -85 100 67 100 261 0 322 100 -364 100 -335 150 12 150 29 1.393 568 742 554 107 98 1.105 837 1.298 1.666 4 11 12 13 14 15 lb 17 18 ----------------------------------- 4 1 8 NET INCREASE IN LIABILITIES CREDIT MARKET BORROWING ST.+LOC. OBLIGATIONS SHORT-TERM OTHER £2 23 24 25 26 u.s. GOVERNMENT LOANS TRADE DEBT 27 :1.8 DISCRE PANC Y 29 I 11 EMPLOYEE RETIREMENT FUNDS ARE IN INSURANCt: SECTOR. -------- REST OF THE WORLD NET U.S. EXPORTS u.s. EXPORTS u.s. IMPORTS TRANSFER RECEIPTS fROM U.S. u. S. GOVT. INTEREST RECEIVED CURRENT ACCOUNT BALANCE IU. S. BALANCE:, SIGN REVERSEDI l 2 3 4 5 6 7.572 14.811 7-239 2.910 15 -4.647 11.610 19.837 9.221 2.606 16 -8.988 6.511 16.882 10.371 4.506 17 -l.988 6.219 15.859 9.640 5.612 25 -582 1.898 13.914 12.016 4.001 31 2.134 3.838 18.932 15.094 3.492 47 -299 2.394 18.204 15.810 2.492 64 162 591 17.145 16.554 2.444 86 1.939 1.990 18.001 16.011 2.244 59 313 2-218 20.045 17.827 2.453 94 329 1 8 9 10 11 -4.329 -1.851 -623 -397 4 -9.853 -712 -2.lb2 -562 -18 -3.108 -822 -1.531 481 2.1 -1-297 77 -164 -211 142 2.249 3.654 1.743 47 227 -656 528 -52 -335 -288 -323 1.293 -380 250 141 1.729 2-235 1.161 -452 601 261 1.008 298 210 492 -26 1.398 40 -176 -101 NET FINANCIAL INVESTMENT 7 NET ACQ. OF FINANCIAL ASSETS 8 9 GOLD + SOR 'S (1) U.S. DEMAND DEPOSITS 10 U.S. TIME DEPOSITS 11 12 13 l"15 16 -64 -981 -723 -274 16 -151 -633 -690 51 6 -144 439 438 -48 49 -21 394 268 95 31 3 1-243 1.195 -10 58 120 17 -80 6 91 l 1.120 1.068 36 16 55 592 485 15 92 135 432 243 6 183 127 969 1.060 54 -145 U.S. CORPORATE EQUITIES CREDIT MARKET lNSTRUMENTS u.s. GOVT. SECURITIES u.s. CORPORATE Bl»IDS I 21 OPEN-MA�KET PAPER 12 13 14 15 16 17 18 5 -4 -1 7 -6 -22 -34 3 -44 14 31 -3 24 -2 41 -6 -50 25 -38 -1 7 45 SECURITY CREDIT TRADE CREDIT 17 18 MISCELLANEOUS ASSETS u.s. BANK LIABILITIES TO FOREIGN AFFILIATES DIR. INVESTMENT IN U.S. OTHER 19 l 2 3 4 5 6 19 209 2-837 -32 -22 346 1.045 122 334 54 511 20 21 22 -148 -4 361 182 10 2-645 179 34 -245 363 56 -441 338 80 -72 135 132 -145 -69 158 245 140 124 -210 96 197 218 23 460 90 495 2.478 9.141 2.286 l.374 1.405 1-184 1.616 506 1.347 1.424 -248 1.185 356 169 -16 -20 36 -95 -182 -141 NET INCREASE IN LIABILITIES U.S. OFF. FGN. EXCHANGE + NET IMF POSITION 23 24 0 2-862 -9 2 232 16 2.706 -15 4.388 -21 260 38 4.111 1 ' 5 1.284 80 94 -2 1.112 -18 285 -9 -171 -14 479 24 211 251 -216 57 119 76 487 277 -1 153 60 575 27 150 -20 418 -51 51 -112 -106 40 229 256 178 -50 355 74 -201 173 177 -193 364 39 -33 FOREIGN EQUITY ISSUES CREDIT MARKET INSTRUMENTS CORP. AND FOREIGN BONDS BANK LOANS N.E.c. BANKERS ACCEPTANCES u.S.GOVT. LOANS 25 26 27 28 29 30 -4 -39 -5 82 -3 22 2 -5 6 -10 3 42 1 27 0 -19 30 69 54 SECURITY DEBT TRADE DEBT 31 32 -93 0 -121 230 -196 3.506 0 183 749 2.574 612 0 -137 721 28 941 0 173 660 108 1.190 0 171 621 398 596 0 -140 508 228 917 0 -6 852 71 620 0 21 735 -136 996 0 214 667 115 1.161 0 289 823 49 MISCELLANEOUS LIABILITIES USG EQUITY IN IBRO, ETC. FGN. CURR. HELO IN U.S. u.s. DIR. INV. A8ROADl2) OTHER 33 34 35 36 37 -318 865 1.120 715 -115 357 485 210 52 355 25 26 27 28 29 30 31 32 33 31. 35 36 37 38 58 0 DISCREPANCY (11 CONSISTS ONLY OF NET PURCHASES FROM U.S. EXCLUDES ACQUISITIONS FROM OTHER SOURCES. (2) �E V �MOUtn s ARE IN HILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis EXCLUDES U.S. SECURITY ISSUES IN FOREIGN MARKETS. 20 21 22 24 38 DECEMBFR 1 q76 STATE+ LnCAL GOVTS. ANO FOREIGN 20 STATE+LOCAL GOVTS. ANO FOREI�N -------------------------------------- YEAR-TOTAL FLOWS, 1956-6!> YEAR-TOTAL FLOWS, 1956-65 1956 1957 1958 1959 1960 1961 1962 1963 l96't 1965 STATE ANO LOCAL GOVERNMENTS - GENERAL FUNDS 111 1 2 3 34 .996 29 .350 2.315 3 .331 38.'t76 31.685 2.582 4.209 41.952 33.521 2.790 5.641 46.4-46 ::16.512 3.086 6.848 49.882 39.919 3.437 6.526 54.005 43.085 3.675 7.245 58.491 46.653 3.859 7.979 63.228 't9.870 4.217 9.141 69 .538 5't.415 4.690 10.433 75.133 59.000 5.012 ll.121 5 TOTAL EXPENDITURES, NIA BASIS PURC�. OF GOODS + SERVICFS 6 NET INTEREST + TRANSFERS 7 8 NET SURPLUS, NIA BASIS q - RETIREMENT CREDIT TQ HH 10 = GRnSS SAVING 35 .871 33.490 2.381 -875 1.274 -2 .149 39.83 5 37.12 2 2.713 -1.359 1.675 -3.034 44.306 41.136 3.170 -2.354 1.770 -4.124 46.889 43.696 3.193 -443 1.926 -2.369 49.822 46.548 3.274 60 2.158 -2.098 54.373 50.786 3.587 -368 2.�81 -2.749 58.028 54.296 3.732 463 2.356 -l .fs93 62.767 59.030 3.737 461 2.560 -2.0Y9 68.540 64.592 3.948 998 3.040 -2.042 75.137 71.082 4.055 -4 3.294 -3.298 9 10 11 NET FINANCIAL INVESTMENT NET ACQ. OF FINANCIAL ASSETS 12 DEMAND DEP. + CURRENCY 13 14 TIME DEPOSITS -3 .357 402 -544 44 -4.330 268 -657 383 -4.7f:4 -217 80f:, -3.621 2.94-4 1.694 -410 -3.199 2.365 160 1. 371! -4.067 1.456 412 908 -3.280 2.714 534 985 -2.009 4.1<,,2 1.513 1.643 -3 .01c, 3.!>25 1.632 1.719 -2.908 5.122 -382 2.374- 11 12 13 14 15 16 17 18 CREDIT MARKET INSTRUMENTS U.S. GOVT. SECURITIES DIRECT U.S. GOVT. AGENCY SEC. 876 74<, 805 -60 567 255 84 171 540 181 -12 193 1. 502 1.no 1.233 37 740 515 419 96 95 -188 -9 -179 983 922 1.057 -135 885 927 719 208 -17 -133 16 -151 2.997 2.8642.792 72 15 16 17 18 19 20 21 l TAXES RECEIVABLE 80 76 110 202 -25 147 212 -15 -23 255 158 33 192 87 16 267 41 -190 251 212 -239 197 151 -lll 227 191 -56 189 133 19 20 21 3.759 3.659 3.591 94 3.497 4.598 4.398 4.247 175 4.072 5.878 5.678 5.498 415 5.083 6.565 6.465 6.280 403 5.877 5.564 5.485 5.280 284 4.996 5.523 5.311 5.085 236 4.849 5.994 5.862 5.358 -11 5.369 6.2 01 5.956 5.723 446 5.277 6.535 6.262 6.001 761 5.2't0 e.030 7.658 7.345 618 6.727 22 23 2't 25 26 68 100 151 200 180 200 185 100 205 79 226 212 504 132 233 245 261 l73 313 372 27 28 1.208 1.296 640 1.252 1.101 1.318 1.387 -90 968 -390 29 1 TOTAL RECEIPTS, NIA BASIS TAX RECEIPTS 2 SOCIAL INSURANCE RECEIPTS 3 GRANTS IN AID RECEIVED 4 ST. + LOC. OBLIGATIONS MORTGAGES 22 23 24 25 26 NET INCREASE IN LIABILITIES CREDIT MARKET BORROWING ST.+LOC. OBLIGATIONS SHORT-TERM OTHER 28 U.S. GOVERNMENT LOANS TRADE DEBT n 29 DISCREPANCY l.ll't -------- .. 6 7 8 lllEMPLOYEE RETIREMENT FUNDS ARE IN INSURANCE SECTOR. 1 2 3 4 5 6 NET U.S. EXPORTS u.s. EXPORTS U.S. IMPORTS TRANSFER RECEIPTS Fl!OM U.S. U. S. GOVT. INTEREST RECEIVED CURRENT ACCOUNT BALANCE (U.S. BALANCE, SIGN REVERSED) REST OF THE WCRLD 4.270 13 .860 19.590 2.360 154 -1.756 6.072 26.724 20.652 2.268 201 -3.603 2.464 23.286 20.822 2.221 139 -104 559 23.725 23.166 2.285 281 2.007 4.372 27.595 23.223 2 .300 332 -1.740 5.806 28.882 23.076 2.514 278 -3.014 5.378 30.607 25.229 2.628 339 -2.411 6.295 32.709 26.414 2.742 401 -3.152 8.948 37.393 28.4-45 2.769 453 -5. 726 7.591 39.548 31.957 2.841 489 -4.261 l 2 3 4 5 6 8 9 10 11 NET ACQ. OF FINANCIAL ASSETS GOLD + SDR'S 111 U.S. DEMAND DEPOSITS U.S. TIME DEPOSITS -2 .112 2.152 -305 221 -142 -4.568 334 -799 349 -12 4 -356 3.534 2.275 -96 881 1.879 4.646 1.075 134 -839 -714 3.822 1.703 -18 284 -2.027 3.314 857 976 52 -1.278 2.589 890 135 498 -2.780 3.445 461 266 851 -4.814 3.443 125 959 1.255 -3.793 1.856 1.665 125 566 12 13 14 15 16 U.S. CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVT. SECURITIES U.S. CORPORATE BONDS 12) OPEN-MARKET PAPER 256 1.147 848 67 232 147 551 178 90 283 -54 37 94 54 -111 351 2.875 3.017 -56 ..-86 203 1.189 576 79 534 323 517 4-47 1 69 109 1.374 1.322 25 27 225 697 590 57 50 -292 866 475 208 183 -400 57 -158 -147 362 14 15 16 17 SECURITY CREDIT TRADE CREDIT 2 107 6 85 27 -66 -12 164 5 -85 37 189 -37 -87 -3 -33 7 65 42 136 11 11 19 MISCELLANEOUS ASSETS U.S. BANK LIABILITIES TO FOREIGN AFFILIATES DIR. INVESTMENT IN U.S. OTHER 866 119 530 898 541 363 -293 981 458 -335 19 363 232 271 -195 155 159 190 98 242 45 238 615 912 141 -512 267 73 23 -109 132 -316 372 -5 614 560 -5 -97 72 56 -463 20 21 3.890 2.767 4.536 5.341 3.867 5.649 23 1 NET FINANCIAL INVESTMENT 18 20 21 22 1 8 9 10 11 u 13 zz 4.264 6.225 8.257 24 NET INCREASE IN LIABILITIES U.S. OFF. FGN. EXCHANGE + NET IMF POSITION 4.902 564 367 -17 39 -442 251 -643 84 -46 443 24 25 26 27 28 29 30 FOREIGN EQUITY JSSUES CREDIT MARKET INSTRUMENTS CORP. ANO FOREIGN BONDS BANK LOANS N.E.C. BANKERS ACCEPTANCES U.S.GOVT. LOANS 111 863 310 355 167 31 35 1.333 435 353 211 334 332 2.000 918 526 -76 632 195 639 473 223 -54 -3 86 1.771 577 141 635 418 325 2.197 437 686 595 479 -25 2.099 994 424 -36 717 111 3.200 993 582 473 1.152 210 4-.188 467 1.703 407 1.611 298 2.422 460 501 -67 1.528 2, 31 32 SECURITY DEBT TRADE DEBT -6 142 0 88 17 - 22 10 83 -3 764 37 69 -36 509 23 -378 -17 765 28 -56 33 34 35 36 37 MISCELLANEOUS LIABILITIES USG EQUITY IN IBRD, ETC. FGN. CURR. HELD IN U.S. U.S. DIR. INV• ABROAD I 21 Olli ER 2.590 35 540 1.951 64 3.079 0 653 2-4-42 -16 1.580 0 373 1.181 26 1.801 0 -13 1.372 4-42 2.360 154 565 l.67<t -33 2.462 171 463 1.599 229 l.963 122 105 1.654 82 3.185 62 337 1.976 810 3.157 50 125 2.327 655 2.514 61 -351 3.277 -473 356 965 252 128 -1.026 -987 -1.133 -372 -912 -468 23 38 DISCREPANCY 111 CONSISTS ONLY OF NET PURCHASES FROM U.S. EXCLUDES ACQUISITIONS FIIOM OTHER SOURCES. (21 EXCLUDES U.S. SECURITY ISSUES IN'FOREIGN MARKETS. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis z• 2? 2J 2• 30 31 31 ,, ,, 3♦ 36 37 31 ot:CEMBER 1976 5TATE+LOCAL GOVTS. ANO FOREIGN �TATE+LOCAL GOVlS. ANO FORE lG N 21 -------- VEAR-TOTAL FLOWS, 1966-75 ---- - 1966 ------- -- 1967 - 84.820 64. 733 5.703 14.384 93.598 84.318 79.833 4.485 502 4.226 -3-724 YEAR-TOTAL FLOWS, l9bb-l5 - -- ---------STATE AND LOCAL 1968 1969 1970 1971 1972 1973 GOVERNMENTS - GENE:RAL FUNDS 1974 ( l) -------1915 107 • .240 81.412 7.241 18.587 119.678 91.403 7.929 20.346 134.941 101.510 S.984 24.447 152.607 113.t,5(> 9.940 29.011 177.430 129.062 10.840 31.528 193.484 140.825 12.085 40.514 210.21t0 152.697 13.bbb 43.877 234.335 164.498 15.400 54.437 TOTAL RECEIPTS, NIA BASIS TAX RECEIPlS SOCIAL INSURANCE RECEIPTS GRANTS IN AID RECEIVED 94.655 89.264 5.391 -1.057 4.093 -5. 150 lOb.909 100.708 0.201 331 4.820 117.551 110.410 7.135 2.121 5.488 -3.361 132.172 123-221 8.951 2.769 b.393 -3.624 148.924 137.514 11.410 3.683 t,.554 -2.871 163.683 150.919 12-704 13.747 8.491 5.250 180.481 l67.339 13.142 13.003 9.480 3-523 202.967 191.638 11.329 7-273 9.697 -2.424 227. 463 214.536 12.927 b.872 10.955 -4.083 TOTAL EXPENDITURES, NlA BASIS PURCH. OF GOODS ♦ SERVICES NET INTERESl + TRANSF-ERS NET SURPLUS, NIA BASIS - RElIREMENT CREDlT 10 HH = GROSS SAVING -2.483 4.282 848 l.276 -4.925 3.637 l.158 2.430 -4.951 5.485 -215 3-218 -10.083 l.103 1.413 -5.890 -4.blb 7.197 -2.854 10.005 -11-731 t,.710 1.020 7.159 l.bbb 17.572 1.565 b. 111 475 lb.367 -528 7.224 -3-289 lb.289 -591 5.702 -5.412 10.368 325 -1.974 NET FINANCIAL INVES TMENT NH ACQ. OF FINANCIAL ASSETS DEMAND DEP. + CURRl:NCY TIMI: DE:POSllS 11 1.905 1.772 2.505 -733 -175 -290 -806 516 1.806 l.568 -489 2.057 5-271 4.749 3.062 1.087 -179 -l.152 939 -2.091 -2.011 -2.838 -1.328 -1.510 9.455 7.090 4.361 2.72'1 8.932 b.861 -125 o.986 10.1 73 7.254 -1.783 9.037 12-139 9.072 b.332 2. 740 CREDJT MARIC.E.T INSTRUMENTS u.s. G(JVT. SECURITIES DIRECT u. s. GD\IT. AGENCY SEC.. 15 lb 17 18 19 20 21 -42 175 253 0 115 22't 46 192 blb b5 457 309 148 825 225 -252 1.079 536 -22 1.387 775 371 1.100 739 449 2.470 1.005 1.460 1.007 -122 ST.+LOC. DBLJGATJONS MORTGAGES TAXES RECEIVABLE 19 20 21 22 23 24 25 26 t,.765 t,.274 5.647 bbl 4.981> 8.562 l.944 7.769 l.823 5.946 10.'t3b 9-826 9.516 143 9.373 11.180 10.672 9.926 2.1bb 7.160 11.813 11.302 11.225 2.343 8.882 l8.'t4l 17.790 17-425 2.483 14.942 15.906 15.198 14.853 52 14.801 15.892 14.806 14.520 315 14.205 19. 578 18.649 17.973 2.545 15.428 15.780 14.870 14.681 -1.973 lb.654 27 28 627 491 l75 618 310 blO 746 514 77 511 365 651 345 708 286 1.086 blb 929 189 910 29 -l.241 -225 462 t,.722 992 8.800 3.590 3.0'ta 865 l.329 l 2 3 4 b 1 8 9 10 11 12 13 14 15 lb 17 18 n.o:n t,.t,55 15.912 ------------------ -4.�9 ------------- -------- 'i. 3 4 5 b 1 8 9 10 1.2. 13 14 NET INCREASE IN LIABJLlllES CREDJT MARKET BORROWING ST .+LOC. OBLJGAl JONS SHORT-TERM OTHER l2 23 24 25 u.s. GO\IERNl'1E:.Nl LOANS TRADE DEBT 27 2b DISCREPANCY ----------------------------- lb 29 lllEMPLOYEE RETIREMENT FUNDS ARE: IN INSURANCE SECTOR. REST OF THE WORLD l 2 3 4 5 o l 2 3 4 5 5.0t,0 42.773 37.113 2.917 549 -1.594 4.937 45.5bl 40.t,24 3.107 598 -l.232 2.280 49.933 47.653 2.933 702 1.355 1.753 54 .699 52.946 2.976 777 2.000 3. 946 62.468 58.522 3.248 1.024 326 l.562 t,5.595 t,4.033 3.642 1.844 3.924 -3.293 72.b5o 75.949 3.779 2.684 9.756 7.143 101.556 94.413 3.883 3.836 576 1.4bb 14't.391 136.925 4.238 4.262 1.034 20.471 148.070 127.599 3.984 4.542 -11.945 NET U.S. EXPORTS u.s. EXPORTS u.s. IMPORTS TRANSF-ER RECEIPTS FROM U.S. u. s. GOVT. JNlEREST RECEIVED CURRENT ACCOUNT BALANCE (U.S. BALANCE, SIGN RE:VERSEDI 7 -2.202 3.297 571 380 332 -1.l89 7.576 1.110 327 1.200 854 8.483 1.173 561 -270 3.394 10.291 -9bl 324 1-380 758 5.903 803 521 -l.bb4 13.577 22.628 1.334 -193 329 11.594 19.b81 554 1.580 2.809 2.704 17.434 9 2.892 2.956 -3.741 31 .992 -172 2.916 7.0l't -lb.215 15.086 -13 llb 707 7 NET FINANCIAL INVESlMENT NET ACQ. OF F-JNANCIAL ASSETS 8 9 GOLD + SDR'S 111 U.S. DEMAND DEPOSITS 10 U.S. TIMt DEPOSITS 11 12 13 14 15 -305 -1.565 -2.415 bZO 230 698 1.998 2.091 -128 35 2.097 295 -471 187 579 l.565 -283 -1.&13 536 994 697 10.210 9.112 671 487 836 26.435 26.302 292 -159 2.434 8.411 8.402 71 -bl 2.763 710 340 301 539 11.204 3.732 &50 t,.622 4.bb1 t,.098 8.104 562 -2.568 17 18 17 459 136 3bl 325 921 -202 776 -85 1.389 -38 84 55 771 -33 986 -40 1.055 19 3.408 1.014 3.381 7.698 -b.028 -b.159 3.067 7.151 20 21 22 2.942 81 379 703 258 653 2-318 320 743 7.93t, 832 -l .070 -b.939 1.030 -119 -4.069 -175 -1.915 933 380 1.754 1.063 2.055 3.433 23 5.499 8.765 7.629 b.897 5.145 9.051 8.087 24 3 2.053 287 -2.541 -1.731 -188 25 1.118 -253 1.829 735 -125 -51 1.21 0 50 3.966 1.210 -279 473 2.556 155 2.074 1.084 -464 -159 2.213 4b7 3.218 1.028 -234 315 2.109 68 2.074 874 -337 799 1.338 27 5.153 940 2.098 302 1.813 9 333 170 515 210 399 -230 821 1 963 3.578 0 370 3.029 179 2.946 83 -69 2.690 242 2-138 137 480 843 678 2.334 184 -462 2.101 451 608 -43 501 -1-394 6 8 9 10 11 lb 2o 27 28 29 30 31 32 33 34 35 36 37 31 U.S. CORPORATE E QUITIES CREDIT MARKET INSTRUMENTS u.s. GOVT. SECURITIES u.s. CORPORA TE BONDS (2) OPEN-MARKET PAPER 12 l3 14 15 lb 71 1.643 SECURITY CREDI1 TRADE CREDIT 17 18 8.876 1.797 4.597 2.745 1.534 -1.187 2.437 547 Ml SCELLANl:OUS ASSETS u.s. BANIC. LlABlLITIE:S TO FOREIGN AFFILIATES DIR. INVESTl'IENT IN U.S. OTHER 20 21 22. 14.730 35.733 31.301 -200 1.202 541 NET INCREASE IN LU8JLl11ES U.S. OFF. FGN. EXCHANGE + NET IMF POSITION 24 -412 4.403 1.030 2.952 -1-044 1.465 -199 b.423 958 2.841 930 1.094 -2't9 15.525 2.102 4.694 7.081 1.648 129 12.841 b.191 3.990 -105 2.765 FOREIGN EQUITY ISSUES CREDIT MARIC.ET INSTRUMENTS CORP. AND FOREIGN BONDS BANK LOANS N.E.c. BANKERS ACCEPlANtES u.s.GOVT. LOANS 29 30 33 526 84 4bl -181 1.877 - 38 3.086 126 2.051 SECURITY DE&T TRADE DEBT 31 32 3.980 235 503 3.459 -217 5.043 252 1.352 3.577 -138 3.733 270 3.579 1.528 -1.644 1.010 31t8 4.192 3-745 -1.275 16-147 646 l.761 7.t,t,5 t,.075 15.613 653 4.929 b.081 3.950 MISCELLANEOUS LIABILITIES USG EQUITY IN IIIRO, HC. FGN. CURR. HlLD IN U.S. u.s. DIR. INV. ABROAD( 2 I OTHER 33 34 35 36 37 -432 -9.653 -1-838 -2. 128 lt.115 4.270 69 (l) IIOttEY AMOUNT s A RE IN "ILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis DISCREPANCY tONSISTS ONLY OF NET PURtHASES FRO" U.S. EXCLUDES ACQUISITIONS FROM OTHER SOURCES. (2) EXCLUDES U.S. SECURITY ISSUES IN FOREIGN "AAAETS. 19 23 25 2b 27 28 38 DECEMBER 1976 U.S.GOVT. + CREDIT AGENCIES 22 u.s.GOVT. + CREDIT AGENCIES SECTOR STATEMENTS OF SAVING AND INVESTMENT ---------------------- -------------------------- YEAR-TOTAL FLOWS, 1946-55 1947 1946 194A 1949 1950 YEAR-TOTAL FLOWS, 1946-55 1951 1952 1953 1954 1955 U.S. GOVERNMENT 6 7 8 9 10 11 12 13 14 43.220 19.643 10.664 7.791 5.122 43.218 18.973 11.750 7.970 4.525 38.706 16.137 9.598 8.020 4.951 50.035 18.090 17.155 8.860 5.930 64.277 26.131 21.676 9.352 7.118 67.317 31.031 18.573 10,296 7.417 70.032 32.247 19.478 10.895 7.412 63.738 28.998 16.851 9,733 8.156 72.559 31.437 21.0B 10.t.74 9.375 3 4 5 35.582 17 .617 14 .o 53 3.912 3 .523 1.535 1.988 0 1.988 29.836 12.698 13.062 4.076 13.384 1.428 ll.956 0 ll.956 34.902 16.700 14.071 4.131 8.316 1.036 7.280 0 7.280 41.344 20.410 16.670 4.264 -2.638 1.124 -3.762 0 -3.762 40.827 18.724 17.752 4.351 9.208 1.093 8.115 0 8.115 57.769 38.322 15.000 4.447 6.508 883 5.625 0 5.625 71.052 52.365 14.230 4.457 -3.735 1.001 -4.736 0 -4.736 77.108 57.530 15.024 4.554 -7.076 604 -7.680 0 -7.680 69.772 47.933 17.195 4.644 -6.034 119 -6.153 0 -6.153 68.142 44.455 19.089 4,598 4.417 524 3.&93 0 3,893 6 7 ti 9 10 11 12 13 1't 881 -n.955 -69 -22.723 16 14.215 7.462 1.401 -552 -9 0.657 3.693 399 1.185 6 -3.494 -272 149 339 65 7.270 8.017 -284 -238 8 5,448 7.475 37 119 88 -4.919 1,216 -74 2.371 73 -7.810 -567 3.937 3.167 -134 -27C -13 lS 16 -9 -5.466 -3.357 -169 -339 28 2.280 0 -346 2.626 4.288 0 -93 4.381 1.:\76 0 46 1.330 1.290 0 471 819 733 0 315 418 1.298 5 614 679 1.512 -3 513 1.002 569 -2 390 181 -284 1 99 -384 719 19 197 503 20 2i 23 -1.389 -800 -250 2.348 -100 86 812 0 -85 -2.264 0 149 7.401 400 -3 5.086 900 -53 -3.603 951 -14 539 -37 -11 -2.996 231 172 2.693 -171 3lt3 24 25 26 TOTAL EXPENDITURES, NIA BASIS GOOOS + SERVICES TRANSFERS, ETC. NET INTEREST NFT SURPLUS, NU BASIS - INSURANCE CREDITS TO HH GROSS SAVING + MINERAL RIGHTS SALES = NONFINANCIAL SURPLUS 15 NET FINANCIAL INVESTMENT 16 NET ACO. OF FINANCIAL ASSETS 17 GOLD, SOR'S + OFF FGN EXCH DEMAND DEPOSITS + CURRENCY 18 TI�E DEPOSITS 19 20 21 22 23 CREDIT MARKET INSTRUMENTS SPONSORED AGENCY ISSUES MORTGAGES OTHER LOANS 24 25 26 TAXES RECEIVABLE TRADE CREDIT MISCELLANEOUS ' 39.105 17.166 8.642 7.791 5.506 1 TOTAL RECEIPTS, NIA BASIS PERSONAL TAXES 2 3 CORP. PROFITS TAX ACCRUALS INDIRECT TAXES 4 5 SOCIAL INSURANCE RECEIPTS -8b -1.532 1 17 18 l'I u 27 28 NET INCREASE IN LIABILllIES TREASURY CURR.+ SOR ClFS. -23.836 126 -6.753 -28 -4.964 -5 3.222 -19 747 -10 2.021 24 6.13!, 37 7.243 34 2,109 36 -770 2 27 ,8 29 30 31 32 CREDIT MARKET INSTRUME�TS SAVINGS BONDS DIRECT EXCL. SVGS. BONDS AGENCY ISSUES + MTGS. -23.449 1 .216 -24.462 -203 -7.231 2.085 -9.279 -37 -5.709 1.601 -8.157 847 2.577 1.463 1.025 89 -1.179 252 -809 -622 -438 -471 170 -137 5.365 92 4.892 381 1.020 198 5.195 1,627 2.398 595 1.718 85 -807 263 -343 -727 29 30 31 32 33 34 3� LIFE + RETIREMENT RESERVES TRADE DEBT MISCELLANEOUS 1.535 -2 .013 -35 1.428 -666 -256 1.036 0 -286 1.124 0 -460 1.093 1.100 -257 883 1.600 -42 1.001 n -343 604 -175 -240 119 -234 -210 524 -83 -lt06 31 34 35 1.101 -2.259 -1.377 -268 845 177 183 130 -6117 19.847 -4lt 18.380 36 37 10 9 31 18 18 20 104 2 185 -3 313 -13 -10 -6 lt54 20 414 -2 153 7 228 43 372 -27 963 20 2 3 79 5 5 0 0 195 -31 -31 0 0 357 128 128 0 0 -32 -3 -3 0 0 460 -77 -77 0 0 417 55 55 0 0 123 67 67 0 0 61 94 9lt 0 0 316 260 260 0 0 1.016 127 87 0 40 4 5 6 7 8 96 0 96 131 0 131 77 0 77 -82 0 -82 383 0 383 101 0 1 Cl -47 0 -47 88 0 88 -85 0 -85 636 86 550 LO 11 LOANS TO AGRICULTURE FARM MORTGAGES LOANS TO COOPS 18CI LOANS TO FARMERS I FIC81 MISCELLANEOUS ASSETS -22 -76 10 4lt 23 95 -72 59 108 -7 152 -15 46 121 -31 53 33 7 13 28 154 47 32 75 -26 261 58 47 156 -1 103 81 4 18 23 -121 89 42 -252 124 141 101 -10 50 83 253 216 9 28 -73 12 13 14 17 NET INCREASE IN LIABILITIES CREDIT MARKET INSTRUMENTS 18 SPONS. AGENCY ISSUES 19 U.S. GOVERNMENT LOANS 20 MISCELLANEOUS LIABILITIES 21 79 295 295 0 -216 157 ll 6 116 0 41 305 275 275 0 30 -23 -112 -112 0 89 428 381 381 0 47 393 227 227 0 166 122 47 47 0 75 211 -3 -3 0 214 358 -35 -35 0 393 945 1.007 941 66 -62 17 18 19 20 21 -25 -26 -2 -8 -16 -12 0 23 NET ACO. OF MORTGAGES HO�E MORTGAGES 24 25 MULTI FAMILY MORTGAGES �ARM MORTGAGES 26 0 0 0 0 0 0 0 0 4 0 0 4 3 0 0 3 25 0 0 25 11 0 0 11 10 0 0 10 7 0 0 7 18 0 0 18 38 0 0 38 27 NET INCR. IN POOL SECURITIES 0 25 11 10 7 18 38 133 67 -47 ll3 68 94 88 -ll4 33lt 260 -85 159 1.054 127 636 291 4 -17 979 36 DISCREPANCY 37 MEMO: CORP. TAX RECEIPTS, NET -------------- 18.939 16.590 22.176 10.031 9.754 8.316 11.862 10.938 ----------------------FEDERALLY SPONSORED CREDIT AGENCIES ANO MORTGAGE POOLS ------------------------------ SPONSORED CREDIT AGENCIES Cl.RR ENT SURPLUS 2 NET ACQ. OF FINANCIAL ASSETS 3 DEMAND DEPOSITS+ CURRENCY 4 5 6 7 8 9 10 11 12 13 14 15 16 CREDIT MARKET INSTRUMENTS LIQUID ASSETS U,S.GOVT. SECURITIES OPEN-MARKET PAPER FEDERAL FUNDS+ RP 1 S HOUSING CREDIT RESIDENTIAL MORTGAGES FHL8 LOANS TO S + L ASSOC. 22 DISCREPANCY ---------------------- 0 6 9 u 16 22 4 FEDERALLY SPONSORED MORTGAGE POOLS Ill 28 29 30 31 MEMO: TOTALS FOR AG ENC JES AND POOLSCREDIT MARKET INSTRUMENTS L IOUIO ASSETS HOUSING CREDIT LOANS TO AGRICULTURE 32 NET SECURITY ISSUES 7'9 5 96 -22 195 -31 131 95 361 128 77 1'56 -29 -3 -82 56 485 -77 383 179 428 55 101 272 295 116 279 -109 406 238 Ill GNMA, FHLMC, ANO FARMERS HOME ADM. POOLS. MONEYfor AMOUNTS ARE IN �ILLIONS OF OOLLjRS. Digitized FRASER https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 21 DECEMBER 1976 u.s.GOVT- + CREDIT AGENCIES U.S.GOVT. + LKl::Dll AGENCIES 23 SECTOR STATEMENTS OF SAVING ANO INVESTMENT YEAR-TOlAL FLOWS, 1956-65 ---------------------------------------------------------------- YEAR-TOTAL FLCMS, 1956-65 ----- 1956 1957 1958 ---------- 1959 ------------------ 1960 1961 1962 19&3 1964 u.s. GOVERNMENT 1965 ------- l 2 3 4 77.985 35-170 20.949 11.245 10.621 81.906 37.411 20.4� 11.791 12.298 78.662 �6-786 17.960 11.498 12.418 89.826 39.914 Z2.484 12.508 14.920 96.141 43.64-. 21.447 13.429 17.621 98.058 44.70-. 21.491 13.602 18.261 l06.li17 48.635 22.470 14.60b 20.476 ll4.4t5 51.483 24.578 1'>-258 23.096 114.913 48.626 26-141 16.173 23.973 124.337 53.947 28.899 16.479 25.012 TOTAL RECEIPTS, NIA bASlS PERSONAL TAXES CORP. PROFITS TAX ACCRUALS IN DIRECT TAXES SOCIAL INSURANCE RECEIPTS 6 7 71-918 45.902 20.945 5.011 6.067 lo 166 4.901 0 4.901 79.&24 49.964 24.122. 5.538 2.282 522 1.76.0 0 1.760 88.933 53.904 29.821 5.208 -10.211 990 -11-261 0 -11-261 90.964 53.890 30.909 6.165 -1.138 993 -2.131 0 -2.131 93.106 53.711 32.589 6.806 3.035 1.002 2.033 0 2.033 101.944 57.370 38.326 6.248 -3.886 1.009 -4.895 0 -4.895 110.434 63.738 39.938 6.758 -4.247 1.1111 -5.365 0 -5.365 114.159 64.631 42.·219 7.309 256 1.292 -1-036 0 -1.036 11(,-182 65.218 44.9111 7.983 -3.269 l.353 -4.622 0 -4.622 123.807 67.268 48 .159 8.380 530 1.449 -919 0 -919 TOTAL EXPENDITURES, IIIIA BA SIS GOODS + SERVICES TRANSFERS, ETC. NET INTEREST NET SURPLUS, NIA BASIS - INSURANCE CREulTS 10 HH GROSS SAVING + MINERAL RIGHTS SALES = NONFINANCIAL SURPLUS 18 19 3.910 -204 608 -288 -27 1.528 -3'>7 304 136 -29 -11.113 -871 -39 308 26 -2.938 ...638 69 658 -42 1.683 955 -1tl7 1.043 -23 -5.530 2.809 218 17 22 -4.998 3.30c, -702 9•5 -15 -1.037 3.886 20 -386 -9 -3.331t 3.729 -195 572 12 -589 3.305 103 -l.ltOO -22 20 21 22. 23 678 -11 22 667 621 It 281 336 l.492 -10 410 1.092 1.7&3 -l 1.210 514 1.031 �5 195 801 l.660 -2 449 1.213 1.949 -35 73 1.911 1.547 29 -405 1.923 2.831 -17 -47 2.895 2.881 33 2• 25 2.b -l.846 76 595 -l .982 -89 b92 -2-449 -538 329 2-158 -1 13 -1.440 68 693 480 -14 426 542 229 361 1.775 485 45'- 27 28 -lt.120 19 -l.875 36 10.242 38 1.51b 39 -728 47 8.339 54 8.307 20 29 30 31 32 -5.816 -94 -5.467 -255 -2.z5s -1.909 -765 419 9.300 -52:3 9.468 355 1.011 -J.796 9.207 -33• -2.061 -2.65 -1.940 144 1.201 803 S.869 529 33 34 35 l. l6b 325 186 522 161 -339 990 63 -149 993 7l -604 1.002. 242 42 36 37 985 22.795 232 22.386 -148 20.409 807 20.326 3SO 22.887 5 8 9 10 11 12 13 l• 15 16 17 NET FINANCIAL INVESTMENT NET ACO. OF FINANCIAL ASSETS GOLD, SOil.'S + OFF FGN EXC.H DEMAND OEPUSITS + CURRENCY TIME DEPOSITS l 2 3 4 5 6 7 8 9 lCJ 11 12 B 14 15 lo 17 UI l'I 20 21 2..865 CREDIT MARKET INSTRUMENTS SPONSORED AGENCY ISSUES MORTGAGES lJlHER LOANS 261 244 4 1.288 388 67 TAXES RECEIVABLE TRADE CRECJJl MISCELLANEOUS 24 25 26 4.923 46 7.063 24 3.891t 234 6.993 523 5.667 803 3.973 1.181 Z.901 -109 0.229 911 4.433 885 1.764 635 6b2 ltb1 CREDIT MARKET INSTRUMENTS SAVINGS BONDS DIRECT EXCL. SVGS. BONDS AGENCY ISSUES + '°'TGS. 1.009 235 -160 1.118 2111 -105 1.292 -99 -289 l.353 -203 -31t0 1.449 507 -60 LIFE + RETIREMENT RESERVES 33 34 TRADE DEBT MISCELLANEOUS 35 635 21.011 -367 21.928 1 22.803 -1.2.88 25.880 -330 -17 NE:l INCREASE IN LI ABILITJE:S 27 TREASURY CURR. + SOR C.TFS. 28 DISCREPANCY CORP. TAX REC.ElPTS, NU MEMO: 27.611 --------- FEDERALLY SPONSORED CREDIT AGENCIES ANO M01HGAGE POOLS ;a 23 29 30 31 32 36 :n SPONSORED CREDIT AGENCIES CURRENT SURPLUS 21 26 2.9 35 40 50 58 60 65 80 2. 3 975 0 l.380 -19 325 12 2.290 32 l.234 -5 1.118 55 l.6b7 20 l.452. -26 704 -1.. 2.285 -15 4 5 6 7 8 1.026 268 290 0 -22 l.299 -83 -83 0 0 319 91 109 0 -18 2-224 100 100 0 0 1.187 145 l'-2 0 3 1.033 -78 -75 0 -3 1.616 373 373 0 0 1.554 412 412 0 0 736 -415 -442 0 27 2.231 107 134 0 -27 9 10 11 374 563 -189 1.024 987 37 -222 -255 33 1.505 669 836 700 853 -153 650 -31 681 791 -26 817 521 -784 1.305 476 -65 541 1.195 523 672 12 13 lit 15 lb 384 244 86 54 -51 358 l 76 -3 185 100 170 56 22 .. -6 619 273 112 234 34 342 204 27 111 52 461 264 48 149 30 452 224 38 190 31 621 257 105 259 -1b 675 lt09 118 148 -18 929 563 97 269 69 LOANS TO AGRICULTURE: FARM MORTGAGES LOANS TO COOPS (BC) LOANS TO FARMERS IFIC&I MISCELLANEOUS ASSETS 12 13 14 15 16 l7 18 19 20 2l 962 738 443 295 22'- l.31t2 1.120 1.400 -280 222 77 -21 234 2.260 2.274 2.195 79 -14 1.203 638 740 -102 565 1.012 681 614 67 391 1.612 1...99 1.514 -lS 113 1.393 1.447 1.536 -89 -54 655 544 413 131 111 2.230 2.114 l.909 205 116 NET INCREASE IN LIABILITIES CREDIT MARKET INSTRUMENTS SPONS. AGENCY ISSUES U.S. GOVERNMENT LOANS MISCELLANEOUS LIABILITIES 17 18 19 20 -12 -6 5 9 4 3 16 25 DISCREPANCY 2.2 22 23 24 25 26 27 21 29 30 31 32 .. so 290 56 NET ACQ. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY CREDIT MARKET INSTRUMENTS LIQUID ASSETS U.S.GOVT. SECURITIES OPEN-MARKET PAPER FEDERAL FUNDS + RP 'S 24 0 0 24 l7 0 0 17 14 0 0 14 -2 0 0 -2 33 24 17 14 -2 0 84 123 4 0 119 112 7 l 104 99 26 1 72 88 123 112 99 88 4 1.059 268 374 'tl7 1.323 -83 1.024 312 336 91 -222 467 2.238 100 l.505 633 l.185 145 700 31t0 1.121 -78 654 51t5 1.739 373 795 571 10666 412 529 725 835 -415 503 747 476 1.42't 94 2.209 738 702 1.637 l.648 512 IO!Ey AMOUNTi ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .. 5 b 7 8 9 HOUSING CREDIT 10 RESIDENTIAL MORTGAGES FHLB LOANS 10 S + L ASSOC.. 11 FEDERALLY SPONSORED MORTGAGE POOLS 33 0 0 33 2 3 21 Ill 130 NET AC.O. OF MORTGAGES HOME MORTGAGES MULTIFAMILY MORTGAGES FARM MORTGAGES 25 26 245 NET !NCR. IN POOL SECURITIES 27 245 113 2 MEMOI TOTALS FOR AGENCIES ANO POOLSCREDIT MARKET INSTRUMENTS 2.476 LIQUID ASSETS 107 HOUSING CREDIT 1.310 LOANS TO AGRICULTURE l.059 2.154 NET SECURITY ISSUES 11) G NMA1 FHLMC, AND FARMERS HOME ADM. POOLS. 23 lit 28 29 30 31 32 DECEMB ER 1971, u.s.GovT. + CREDIT AGENC.IES u.s.GOVl. + CREDll AGENC.lES 24 YEAR-TOTAL FLOWS, ------- SECTOR SHTEMENTS OF SAVING AND INVESTMENT --·-----·- 1966-15 1966 l<l67 YEAR-TOTAL FLOW!,·, 1966-75 --------------------------------------------------------------1968 1969 1970 1971 1972 1973 1974 1975 u.s. GOVERNMENT 1 TOTAL RECEIPTS, NIA BASIS PERSONAL TAXES 2 CORP. PROFITS TAX ACCRUALS 3 4 INDIRECT TAXES SOCIAL INSURANCE RECEIPTS 5 141.843 61.696 31.428 15 .598 33.121 150.496 67.475 30.026 16.265 36.730 174.739 79.648 36.278 18.001 40.812 196.984 94.821 36. 212 18.985 46.966 192.058 92.219 30.813 19.29 8 49.728 198.648 89.883 33.510 20.351 54.904 227.471 108.188 36.560 19 .969 62.754 258.286 114.640 42.992 21.215 19.439 288.212 131.159 45.630 21.673 89.750 286.510 125.740 42.570 23.943 94.257 6 TOTAL EXPENDITURES, NIA BASIS 7 GOODS + SERVICES TRANSFERS, ETC. 8 NET INTEREST 9 10 NET SURPLUS, NIA BASIS 11 - INSURANCE CRFDITS TO HH 12 = GROSS SAVING 13 + MINERAL RIGHTS SALES 14 = N ONFINANCIAL SURPLUS 143 .632 78 .833 55 .639 9.160 -1.789 1 .360 -3.149 0 -3 .llt9 163.676 180.563 98.019 90.924 l:2.912 71.154 9.840 11.390 -13.180 -5.824 1.322 1.395 -7.146 -14.575 0 1.330 -14.575 -5.816 188.443 97.461 78.129 12.853 8.541 1.585 6.956 44 7.000 204.194 95 .642 94.296 14.256 -12.136 Z.487 -14.623 329 -14.294 220.607 96.220 110.413 13.974 -21.959 Z.914 -24.873 717 -24.156 244.734 102.126 128.056 14.552 -17.263 3.062 -20.325 912 -19.4B 264.997 10?..188 144.607 18.202 -6.711 2.203 -8.914 3.168 -5.746 299.727 111.626 167.188 20.913 -11.515 2.807 -14.322 6.lt90 -7.832 357.758 124.417 209.843 23.498 -71.248 3.714 -74.962 1.323 -73.639 15 NET FIN�NCIAL INVESTMENT NET ACO. OF FINANCIAL ASSETS 16 GOLD, SOR'S + OFF FGN EXCH 17 DEMAND DEPOSITS + CURRENCY 18 19 TIME DEPOSITS -1 .251 4.945 -232 -86 -30 -13.411 2.300 399 993 47 -8.704 7.324 2.036 -1.680 101 5.994 3.500 1.351 1.143 -157 -14.522 395 -1.985 2.452 252 -24.434 3.870 -2.224 3.310 57 -19.600 -881 -371 -977 86 -7.924 2.726 -19 -1. 847 -161 -7.174 8.385 l.351t -'t.538 38 -73.&92 16.977 274 2.896 9� 18 19 5.050 1.310 9 78 2.762 4.663 -88 993 3.758 5.249 134 1.437 3.678 3.142 -1.297 970 3.469 2.193 -97 302 2.588 2.819 18 -380 3.181 1.845 -683 2.545 2.818 -2 -599 3.419 9.817 2.502 l .422 5.893 15.060 4.504 3.224 7.332 20 21 l2 23 -1 .365 1.21t9 359 -5.121 l.lt68 -149 1.269 575 -226 -2.992 919 94 -2.591 -111 251 1.542 -1.704 70 -749 -819 104 1.31b 274 3 51 281 877 556 -3.281 1.234 699 25 26 20 21 22 C�EDIT MARKET INSTRUMENTS SPONSORED AGENCY ISSUES MORTGAGES OTHER LOANS 24 25 26 TAXES RECEIVABLE TRADE CREDIT MISCELLANEOUS 13 -17 l 2 .. 3 5 6 1 8 9 10 11 12 13 14 15 lb 17 Z't 27 28 NET INCREASE IN LIABILITIES TREASURY CURR. + SOR CTFS. 6.196 899 15.711 683 16.028 416 -2.494 272 14.917 622 28.304 490 18.719 533 10.650 lt22 16.159 445 90.869 937 27 28 29 30 31 32 CREDIT MJRKET INSTRUMENTS SAVINGS BONDS DIRECT EXCL. SVGS. 8CNDS AGENCY ISSUES + MTGS. 3.629 554 1.782 1.293 13.000 970 7.938 4.092 13.568 647 9.827 3.094 -3.664 -96 -1.183 -2.385 11-851 319 l 2. 565 -1.033 24-747 2.327 23.693 -1.273 15.214 3.251 11.011 952 8.272 2.l:87 5.220 365 11.997 2.984 9.043 -30 85.206 4.025 81.823 --642 29 30 31 32 33 34 35 LIFE + RETIREMENT RESERVES TRADE DEBT MISCELLANEOUS 1.360 669 -361 1.395 569 64 1.322 -1 723 1.585 -328 -359 2.487 -582 539 2.914 -675 828 3.062 -120 30 2.203 116 -363 2.807 -59 969 3.714 l.7tl -709 33 3,\ 35 -1.898 32 • 793 -1.164 35.147 2.888 35.009 l.006 39.204 228 33.404 278 31.968 187 37.309 2.178 ltl.676 -58 lt'5.349 253 45 .851 36 37 36 DISCREPANCY 37 MEMO: CORP. TAX RECEIPTS, NET FEDERALLY SPONSORED CREDIT AGENCIES AND MORTGAGE POOLS SPONSORED CREDIT AGENCIES 100 73 101 148 126 208 244 437 580 556 5.060 3 -108 3 3.238 3 9.172 49 10.343 -37 708 54 3.949 -48 18.725 98 18.029 -13 5.119 -3 5.117 984 935 0 49 -93 -25 24 0 -49 3.241 -108 -120 0 12 8.770 -407 -588 0 181 9.578 1.873 1.100 0 TI3 465 -1.160 -546 0 -614 4.369 -401 -1.215 414 400 17.781 2.069 -19 -193 2.281 19.812 330 423 876 -969 4.210 l.271 l.lt69 89 -287 2.814 1.876 938 -1.423 1.126 -2.549 2.518 1.645 873 7.813 3.783 4.030 6.235 4.909 1.326 217 2.896 -2.679 2.881 2.838 43 12.477 5.309 7.168 14.325 7.668 6.657 -1.169 2.790 -3.959 LOANS TO AGRICULTURE FARM MORTGAGES LOANS TO COOPS IBCI LOANS TO FARMERS IFICB I MISCELLANEOUS ASSETS l .319 677 235 407 1.355 651 216 488 -18 831 517 71 243 -6 1.364 588 155 621 353 1.470 473 298 699 802 1.408 730 -17 695 189 1.889 1.177 285 427 -372 3.235 1.854 279 1.102 846 5.157 2.509 998 1.650 -1.770 lt.108 2.557 404 1.147 912 17 NET INCREASE IN LIABILITIES 18 CREDIT MARKET INSTRUMENTS SPONS. AGENCY I SSUES 19 20 U.S. GOVERNMENT LOANS 21 MISCELLANEOUS LIABILITIES 5.014 4.825 5.058 -233 189 -150 -621 -554 -67 471 3.223 3.476 3.229 247 -253 9.137 8.783 9.066 -283 354 10.326 8.234 8.234 0 2.092 613 1.142 1.142 0 -529 3.803 3.521 3.521 0 282 18.464 16.295 16.295 0 2.169 17.561 17.297 16.602 695 264 4.848 3.206 2.342 861t lo61t2 11 19 20 21 54 31 86 113 109 113 98 176 112 285 2Z 23 NET ACQ. OF MORTGAGES 24 HOME MORTGAGES 25 M ULTIFAMILY MORTGAGES 26 FARM MORTGAGES 445 306 0 139 674 493 5 176 538 424 9 105 678 436 17 225 1.551 1.215 25 311 4.771 4.278 54 439 4.878 4.262 278 338 3.636 3.192 224 220 5.759 5.352 169 238 10.339 9.917 478 -56 2• 27 NET INCR. IN POOL SECURITIES 445 674 538 678 1.551 4.771 4.878 3.636 5.759 10.339 11 MEMO: TOTALS FOR AGENCIES ANO POOLSCREDIT MARKET INSTRUMENTS 5.562 LIQUID ASSETS 984 HOUSING CREDIT 3.120 L OANS TO AGRICULTURE 1.458 581 -25 -925 1.5·31 3.779 -108 2-951 936 "9olt48 8.266 1.589 11.129 1.873 7.475 1.781 5.236 -1.160 4.549 1.847 9.247 -401 7.421 2.227 21.417 2.069 15.893 3.455 25.571 330 19.146 5.395 14.549 1.271 9.226 It 3.767 9.744 9.785 5.913 8.399 19.931 22.361 12.681 CUR RENT SUR PLUS 2 NET ACQ. OF FINANCIAL ASSETS 3 DEMAND DEPOSITS + CURRENCY 4 5 6 7 8 CREDIT MARKET INSTRUMENTS LIQUID ASSETS u.s.GOVT. SECURITIES OPEN-MARKET PAPER FEDERAL FUNDS + RP1S HOUSING CREDIT RESIDENTIAL MORTGAGES FHL8 LOANS TO S + L ASSOC. 9 10 11 12 13 14 15 16 -60 22 DISCREPANCY FEDERALLY SPONSORED MOR'l'GAGE POOLS 111 28 29 30 31 32 NET SECURITY ISSUES Ill 5.503 GNMA, FHLMC, ANO FARMERS HOME A·DM. POOLS. MONEY ARE IN MILLIONS OF DOLLARS. Digitized forAMOUNTS FRASER https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 120 -401 4.052 2 3 " 5 6 1 a 9 10 11 12 u 14 15 16 l'1 ,, n 2• ,. ,, JI ,1 ot:CE HBER 1976 BANKING SYHEH BANKING SYSTEM VEAR-TOTAL FLOWS, 1946-55 ------·-------1946 1947 ----------82 6 2 3 4 5 6 7 8 9 10 11 12 13 lit 15 lb 17 18 19 20 21 25 SEClOR STATEMENTS OF SAIIING ANO INVESTMENT ---------1948 1949 1950 ---------------- YEAR-lOTAL FLOWS, 1946-55 1951 1952 1953 1954 1955 HONElARY AUTHORilY 52. 34 -15 30 lt4 41 37 32 2.464 1.488 6 -1 1.305 -1.475 38 834 59 1.440 490 103 -217 108 -36 27 -4.452 184 9 -7 -25 2.878 -5 -186 1.101 1.946 0 -45 18 -1.229 -311 91 -127 -3 628 -47 23 777 97 NET ACQ. OF FINANCIAL ASSETS GOLD + FOREIGN EXCHANGE TREASURY CURR. + SOR CTFS. F.R. FLOAT F.R. LOANS TO DOMESTIC BANKS -813 -912 -912 0 0 99 -19 -887 -791 -791 0 0 -96 69 913 774 774 0 0 139 31 -4.567 -4.448 -4.448 0 0 -119 -46 1-824 l.893 1.893 0 0 -69 25 3.025 3.023 3.023 0 0 2 17 926 897 897 0 0 29 .)0 1.200 1.211 1.217 0 0 -251 -147 -147 0 -2 -866 -983 -983 0 0 117 -13 CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SltuRITHS TREASURY SECURITIES AGENCY ISSUE:S ACCEPTANUS BANK LOANS N.E.c. MISCELLANEOUS ASSETS -411 2.24 177 1.095 1.100 170 2.-.12 2.580 -238 -4.486 -3.91<> 37 1.320 1.118 159 2.848 2.375 523 1.396 -106 56 -77 210 -241 -1.206 -1.284 -43 596 129 213 -737 -599 -3911 260 -75 -1.087 -459 -374 -254 252 63 242 227 -406 7 -828 -315 148 -661 22l -350 -172 -160 -18 393 385 -444 -113 942 -435 1.339 142 26 1.111 107 -93 -5,2 -130 589 47 87 252 6,. -229 -26 153 -198 -85 436 101 -329 464 223 2 73 -184 -48 BANKING ----COHHE:RCIAL ---- -1.170 82 -32 -114 -17 2.8 -132 29 CURRENT SURPLUS NET INCREASE IN LIABILITIES HEHSER BANK RESERVES VAULT CASH OF COML. BANKS DEMAND DEPOSITS + CURRENCY DUE TO U.S. GOVERNMENT DUE 10 REST OF THE •ORLD CURRENCY OUTSIDE BANKS MISCELLANEOUS LIABILI1IES 3 4 5 b 7 II c; 10 11 12 13 14 15 lb 17 16 19 20 21 11) CURRENT SURPLUS PLANT + EQUIPM£:NT 598 56 571 103 585 129 610 129 667 151 761 181 775 209 840 225 762 274 1.216 350 -9.542 -21 -10.022 -6.356 -15.778 -15.935 157 4.240 -2 2.119 3-223 -5.b59 -5.679 20 564 -9 -2.338 -2.596 -5. 721 -6.649 928 2-476 -8 6.242 5.862 4.491 4.413 78 8.381 -5 6.796 6.523 -5.135 -4.91t3 -192 9.472 37 6.403 6.651 ➔32 -470 -62 9.411 9.291 8.634 2.159 1.856 303 4.lll 3 4.203 3.700 1 .581 90 1.491 9.7ll -6 10.452 9.447 5.574 5.b24 -50 5.295 7 5.127 4.442 -8.101 -7.432 -669 l.871 429 -20 2.1+o2 3.060 892 -42 2.210 1.562 390 -278 1.450 1.a10 898 164 3.768 1.597 153 2.018 1.936 1.096 -229 1.069 2.014 1.009 -130 l.135 1.061 657 21 983 3.410 1.763 2.31b 196 -310 2.430 OTHER SECURITIES + HTGS. ST.+LOC. OBLIGATIONS CORPOkAH: BONDS HORH,AGES 10 11 12 6.551 l.155 5. 183 213 5.822 1.2!>3 lt.426 143 1.563 9b2 561 40 -439 983 -1.485 o3 7.890 1.601 6.041 248 5.247 81 4.736 430 4.4ol 1.913 2.322 226 458 1.529 -1.028 -43 463 -5 451 10.221 2.344 8.134 -251 OTHER CR. EXCL. SECuRilY CONSUMER CREOJl BANK LOANS N.E.C. OPlN-MARKEl PAPER 14 l !> 16 18 0 -3.666 1 -1.105 0 2511 l 379 272 l 2 -250 652 5 3 500 14 991 2 683 20 401 15 85 1.930 16 177 2..342 21 548 -3.879 41 80 1.211 32 281 2.89$ ..6 88 -50 -31 127 123 13 -1.327 40 552 -188 -10.110 -13.824 -21.521 7.697 3-817 2.229 -1.646 3.875 244 -57b 99!, -1.571 2.046 841 733 108 7.890 5.595 -265 5.860 9.070 6.819 553 6.266 8.975 5.159 1.582 �-577 3.854 123 -795 918 9.052 lt.513 26 4.lt87 4.696 2-140 -463 2-603 3.815 0 3.799 16 2 -186 15 1.371 0 1.391 b00 lt93 0 470 23 -7 -25 41 33<> 0 316 20 834 59 32 1.736 0 1.721 15 -184 -lt8 46 3.118 0 3.066 52 -217 108 it7 3.463 0 3.413 50 -32 -114 13 3.831 0 3.782 lt9 -127 -3 40 1.325 0 1.337 -12 777 97 55 -lo 0 0 0 -lb 11 11 72 139 -2 0 0 0 -2 114 0 0 0 0 0 228 0 0 0 5 144 0 0 0 0 0 0 0 0 3 -51 40 0 0 40 0 16 13 -148 161 -110 320 182 138 101 179 -78 643 363 280 117 840 338 502 162 395 460 -65 178 445 135 310 174 113 -69 182 -26 593 140 453 -376 737 96 641 -26 45 136 51 25 178 130 158 -171 267 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 lb 17 19 21 u 23 24 25 2o 27 2b 29 30 31 32 33 34 35 37 38 39 40 41 42 43 " -20 -lt5 18 16 7 0 0 0 7 0 607 -7 b -1 21 45 0 0 0 0 0 48 748 5 0 0 0 5 ,.,. 5 (1) '40NEY AMOUNlS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -4 41. -77 1.724 17 3 342 1 1 NET ACQ. OF FINANCIAL ASSElS DEMAND D£:POSITS + CURR£:NCY TOTAL BANK CREDIT CREDIT MARKET INSTRUMENTS u.s. GOIIT. SECURITIES DIRE.CT AGENCY ISSUES CORPORATE EQUITIES SECURITY CREDIT VAULT CASH + HEM. BANK RES. OTHER INTERBAhK CLAIMS MISCELLANEOUS ASSElS NET INCREASE IN LIA81Ll1IE:S DEMANO DEPOSITS, NET U.S. GOVERNMENT OTHE:R lIHE DEPOSITS LARGE NEGOTIABLE: CO'S OTHER AT COMMERCIAL BANKS AT FOREIGN BANKING AGS. F.R. FLOAT BORROWING AT F.R. BANKS OTHER INTERBANK CLAIMS CORPORATE EQUITY ISSUES CR�DIT MARKET DEbT CORPORATE BONDS OPEN-MARKET PAPER FEDERAL FUNDS ANO RP 1 S BANK LOANS N�C 10 FGN AGS. PROFIT TAXES PAYABLE MISCELLANEOUS LIABILllU:S LIAB. 10 FGN. AFFILIATES OTHER DISCREPANC Y CONSISlS OF CHARTERED COHHERCIAL BANKS, THEIR DOMESTIC AFFILIATES, EDGE ACT CORPORATIONS, AGENCIES OF FOREIGN BANKS, AND BANKS JN U.S. POSSESSIONS. EDGE ACl CORPORATIONS ANO AGENCIES OF FOREIGN BANKS APPEAR TOGETHER IN THESE TABLES AS •FOREIGN BANKING AGENCIES.• 2 3 4 5 b 1 b 9 13 17 18 19 l0 21 22 2� 24 25 26 27 2.8 2'1 30 31 32 33 3't 35 3b 37 38 39 40 41 't2 43 ...4 OEC!'MBER 1976 BANK ING SYSTEM 26 YEAR-TOTAL FLOWS, l9'i6-65 ------------------------- eANKING SYSTEM SECTOR STATF."F.NTS OF SAVING ANO INVESTMENT ---------------------------------------1956 CURRENT SURPLUS 2 NET ACQ. OF FINANCIAL ASSETS GOLD + FOREIGN EXCHANGE 3 TREASURY CURR. + SOR CTFS. 4 5 F.R. FLOU F.R. LOANS TO DOMESTIC BANKS 6 1 8 9 10 11 12 13 CREDIT "ARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES TREASURY SECURITIES AGENCY ISSUES ACCEPTANCES BANK LOANS N.F..C. MISCELLANEOUS ASSETS 14 NET INCREASE IN LIABILITIES MEMBER BANK RESERVES 15 VAULT CASH OF COML. BANKS 16 17 18 19 20 21 DEMAND DEPOSITS + CURRENCY DUE TO U.S. GOVERNMENT DUE TO REST OF THE WORLD CURRENCY OUTSIDE BANKS MISCELLANEOUS LIABILITIES 1957 195B ----------- 1959 1960 1961 YEAR-TOTAL FLOWS, 1956-t>!> 1962 53 69 59 -192 29 67 46 55 -467 2b 8 862 80 -241 25 -260 -2.253 88 -128 -4 110 -1 .105 77 294 407 -1.099 -1.728 87 278 -428 1.417 -824 187 453 90 1.723 -831 -18 603 -78 2.101 -3<n 11 -303 -6 3.371 24 -173 2.347 -l.325 170 -358 -bO 2 3 4 5 6 195 130 130 0 41 24 104 -701 -677 -677 0 -3 -21 2.105 2.109 2.109 0 738 736 736 0 -1 3 -46 l.481 l.497 1.497 0 -23 7 30 l.984 1.939 1.939 0 59 -14 63 l.856 2.773 2.773 0 52 31 -60 3.381 3.451 3.451 -68 -2 8 3.828 3.724 3.724 0 93 11 92 7 13 -63 '.'114 301 301 0 26 -13 123 563 54 579 -61 -2 5 74 -319 -530 -86 302 -330 -237 -1.128 -1.093 334 1.350 306 343 1.677 67 830 2.046 -405 -260 3.838 801 273 2.321 403 319 14 15 16 24 55 -84 53 -94 36 26 40 -30 -146 158 -201 -86 445 139 562 -146 74 634 307 -214 -127 -54 -155 800 25 68 707 -99 678 90 -2 590 102 2.800 264 -76 2.612 -B9 2.052 345 53 1.654 712 l.892 -158 -68 2.118 -293 17 111 19 20 21 -17 -17 -33 14 15 16 17 18 19 20 21 22 6 125 C, -------- 6 9 10 11 12 13 1.380 423 l.105 473 1.882 570 1.633 493 1.400 584 1.628 644 l.807 873 2.C74 792 2.210 866 � 6.133 21 4.770 5.421 -3 .455 -2.972 -483 5.737 28 5.108 5.055 -323 -334 11 15.228 l7 15.536 15.048 8.754 8.179 575 4.533 -29 5.063 4.816 -8.828 -7.707 -1.121 9.',136 21.479 12 20.023 19.060 1.251 -162 1.413 18.491 10 18.234 17.252 -2.934 -3.265 331 25.967 10 23.595 23.130 304 -219 523 29.855 -7 28.493 28.594 -2.790 -3.378 588 3 9.498 9.154 2.464 2.0�7 397 18.063 36 16.385 15.295 6.288 5.610 678 OTHER SECURITIES + MlGS. ST.+LOC. OBLIGATIONS CORPORATE BONDS MORTGAGES l .444 143 -414 1.715 l.763 1.014 13 l 618 4.741 - 2.590 -35 2.186 2.894 406 -134 2.622 l.084 607 -184 661 4.252 2.782 -166 1.636 9.740 5.691 15 4.034 8.550 3.945 -333 4.938 8.604 3.572. 470 4.562 10.705 5.147 -l'tl 5.699 OTHER CR. EXCL. SECURITY CONSUMER CREDIT BANK LOANS N.E.C. OPEN-MARKET PAPER 7.432 l.384 'i .929 119 3.615 l.160 2.135 320 1.553 156 829 56A 10.750 2.873 7.2!10 597 5.606 1.747 4.156 -297 4.755 865 3.372 518 8.069 ,.274 5.81t2 -47 11.636 3.533 7.929 174 14.222 3.816 9.694 712 20.679 lt.608 16.387 -316 5 -656 13 40 1 481 239 8 19 325 7 1.083 3 960 3 979 18 447 57 -158 633 58 651 49 1 545 -616 32 259 -567 -5 7l -759 1.103 77 649 168 825 897 -9 556 -665 32 880 1.074 191 l.097 722 62 585 5.5 92 l.815 24 l.791 5.145 -652 165 -817 14.389 5.568 352 5.216 3.996 l.351 800 55 l 8.833 2.032 895 l.137 17-043 5.084 l 5.083 20-242 4.536 1.212 3.324 18.298 2.163 -610 2.773 24.204 6.690 -38 6.72& 28.526 s.2e1 -985 b.272 2.110 0 2.054 56 80 -82 58 5.409 0 5.473 -64 -241 25 7 7.963 0 7.9 81 -18 -128 -4 32 1.011 0 l.045 26 294 407 -5 5.835 l.095 4.700 40 278 -428 77 9.417 2.128 7.246 43 453 90 168 15.575 2.977 12.593 14.409 3.679 10.668 62 -303 -6 32 llt.5b3 2.706 11.831 26 125 191 20.108 3.666 16.367 75 -358 -60 .62 267 -17 0 0 -22 5 273 13 0 0 0 13 54 -10 0 0 -18 8 132 0 0 0 -2 122 -26 0 0 3 -29 178 8 0 0 -3 96 -15 0 0 11 -15 51 262 233 0 0 29 45 925 5't0 0 336 4c; -62 l.064 817 0 257 -10 306 l .055 363 692 81 230 -195 425 -23 937 190 747 -460 1.208 45 l.163 999 -56 912 -968 -891 2.536 267 2.269 495 -961 -109 -852 -451 2.141 372 l.7b9 213 1.446 560 8&6 -132 2.617 72 2.545 514 365 -207 775 37 -204 -253 741 -481 75 3 NET ACQ. OF FINANCIAL ASSETS nEMAND DEPOSITS + CURRENCY 4 5 TOTAL BANK CREDIT 6 CREDIT MARKET INSTRUMENTS 7 U.S. GOVT. SECURITIES DIRECT 8 9 AGENCY ISSUES 11 1965 l .442 387 l CURRENT SURPLUS 2 PLANT + EQUIPMENT 12 13 1964 616 261 'i8 80 -87. COMMERCIAL BANKING 111 10 1963 MONETARY AUTHORITY CORPORATE EQUITIES SECURITY CREDIT VAULT CASH + MEM. BANK RES. OTHER INTERBANK CLAIMS MISCELLANEOUS ASSETS 23 NET INCREASE IN LIABILITIES DEMAND DEPOSITS, NET 24 U.S. GOVERNMENT 25 OTHER 26 27 28 29 30 31 32 33 TIME DEPOSITS LARGE NEGOTIABLE CD'S OTHER AT COMMERCIAL BANKS A� FOREIGN BANKING AGS. F.R. FLOAT BORROWING AT F.R. BANKS OTHER INTERBANK CLAIMS 34 35 36 37 38 39 CORPORATE EQUITY ISSUES CREDIT MARKET DEBT CORPORATE BONDS OPEN-MARKET PAPER FEDERAL FUNDS ANO RP'S BANK LOANS NEC TO FGN AGS. 40 41 42 4'.'I PROFIT TAXES PAYABLE MISCELLANEOUS LIABILITIES LIAB. TO FGN. AFFILIATES OTHER 44 DISCREPANCY -z ll I CONSISTS OF CHARTERED COMMERCIAL BANKS, THEIR DOMESTIC AFFILIATES, EDGE ACT CORPORATIONS, AGENCIES OF FOREIGN BANKS, ANO BANKS IN U.S. POSSESSIONS. EDGE ACT CORPORATIONS ANO AGENCIES OF FOREIGN BANKS APPEAR TOGETHER IN THESE TABLES AS "FOREIGN BANKING AGENCIES.• "!ONEY AMOUNTS ARE IN M ILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 17 603 -78 -9 C, 6 4 5 6 1 8 c; lC 11 12 13 14 l5 16 17 18 19 ,o 21 2l 23 24 25 26 2l 28 Z9 30 31 32 33 34 35 36 37 31 3t 40 41 "' .. 4J oECE MBER 1976 BANK ING SYSTtM bA.. KING !. YS 11:M ------------------- 27 SECTOR STATEMENTS OF SAVING ANO INVESTMENT YEAR-TOTAL FLOWS, 1966-75 VEAR-TOTAL FLOWS, l9b6-7!> ----- 1966 1967 ---------------- 1968 1969 1970 1971 1972 1973 l'i74 1975 MONETARY AUTHORITY 18 28 21 40 21 -60 101 132 130 236 2 3 4 5 6 4.457 -336 742 262 77 4.783 -451 467 -21 -32 3.973 -1.156 167 999 ..1 4.002 ➔7 53 -42 -5 5.386 -1.359 701 821 152 8.474 -841 478 82 -296 2.176 -371 686 -369 1.942 8.136 -190 403 6.541 dO 537 -1.098 -959 11.236 280 959 1.687 -10 NET �CQ. OF FINANCIAL ASSETS GOLD + FOREIGN EXCHANGE TREASURY CURR. + SOR CTFS. f .R. FLOAT F.R. LOANS TO OOMESTlC BANKS 7 8 9 10 11 12 13 3.513 3.548 3.514 34 6 -41 199 4.805 4.834 4.830 4 -29 0 21 3.681 3.787 3.825 -3& -106 0 235 4.2l3 4.217 4.217 0 6 0 -130 4.981 4.988 4.988 0 -1 0 90 8.866 8.662 8.076 586 204 0 185 271 426 -312 738 6.150 5.219 1.985 -15!> 0 11 9.227 9.265 8.610 6!>5 -38 0 294 3.;'34 931 0 1.831 8.537 8.410 7.433 977 127 0 -157 CREDIT MARKET lNSTRUMENlS U.S. GOVERNMENT StCURITIES TREASURY SECURITIES AGENCY ISSUES ACCEPTANCES BANK LOANS N.E.C. MISCELLANEOUS ASSETS lit lb 4.439 1.347 599 ....155 1.298 481 3.952 767 1.264 3.962 226 115 5.365 2.005 -273 8.534 15 3.638 494 2.075 -2.141 1.125 8.004 1 .413 2.040 c..411 -1.211 952 11.000 209 598 17 18 19 20 21 2.376 164 20.... 2.008 117 2.889 875 ➔ 2.023 87 1.543 -l.Oo9 3.279 511 -100 2.&08 342 3.008 -382 -31 3.481 505 4.408 897 119 3.392 -6 3.210 -1.106 -96 4.412 -119 3.374 -498 -69 3.941 1.177 6.956 439 223 6.294 -280 10-637 4.470 -39 c..206 -444 81 2.531 378 -ins -723 tuRRE:NT SURPLUS NET INCREASE IN LIABILITIES MEMBER BANK RESERVES VAULT CASH OF COML. BANKS DEMAND DEPOSl lS + CUkRENCY DUE TO U.S. GOVERNMENT DUE TO REST OF THE WORLD CURRENCY OUTSIDE BANKS MISCELLANEOUS LIABILITIES 3 4 5 6 .. 10 ti 11 1, B l<t 15 lo l7 18 19 20 21 COMMERCIAL BANKING 111 CURRENT SURPLUS PLANT + EQUIPIUNT 1 2 2.561 1.005 2.401 963 3.054 1.291 3.807 l.834 3.304 2.122 2..546 2.243 3.279 2.587 3.361 3.039 2.415 3.827 2.208 4.576 3 4 5 6 7 8 9 21-267 32 18.158 17.498 -3.113 -3.412 299 40.9_,.l 50 37.365 35.841 9.505 6.408 3.037 45.970 23 40.095 38.709 3.349 2.053 l.2'ib 21.164 35 17.588 18-648 -10.048 -9.708 -340 46.234 103 36.570 35.035 10.759 0.918 3.841 58.492 12.7 51.310 50.552 7.124 3.115 4.009 78.267 169 75.378 70.492 o.463 2.400 4.063 100.247 286 83.397 86.549 -1.273 -8.833 7.560 83.909 -182 62.236 64.581 1.010 -2.613 3.623 34.047 112 29.435 27.554 30.137 28.773 1.364 10 11 12 13 1.111 2.399 32 4.680 1.....436 9.121 776 4.539 15.405 8.551 272 6.582 5.4'90 643 -94 5.441 13.567 l0.b68 769 2-130 23.602 12.607 1.235 9.760 25.609 7.150 1.660 16.799 25.8b7 5.700 413 19.754 19.370 5.493 1.052 12.825 7.795 1.695 1.790 4.310 OTHER SECURITIES + MTGS. ST.+LOC. 08LIGATIONS CORPORATE &ONOS MORTGAGES 10 ll 12. 13 14 15 11.900 2.524 7.329 2.047 19.955 5.520 14.817 -382 22-106 4.o64 16.761 1.281 10.709 2.893 6.334 1-482 19 .826 7.401 12.139 286 38.420 10.839 27.785 -204 61.955 11.629 51.594 -1.268 44.201 3.597 38.384 2.220 -10.378 2.94b -14.422 1.098 OTHER CR. EXCL. SECURllY CONSUMER C.REOI T BANK LOANS N.E.C. OPEN-MARKET PAPER 14 15 17 13.500 2.614 9.750 1.136 18 19 63 597 1.460 c,4 66 1.320 49 -1.109 94 1.441 -17 775 129 4.757 244 -3.396 -2.429 84 0 l.881 20 21 22 1.946 9 1.122 1.779 952 795 2.031 700 3.121 341 1.619 1.581 1.792 1.692 6.077 4.132 1-664 1.259 -1.0lb 1.428 2.308 3.453 6.009 1.102 -2b5 1.101 15.013 807 -5.715 9.408 23 24 l5 26 20.050 l. 790 -533 2-323 39.219 12.105 242 U.863 4-4.132 13.285 -224 13.509 19.008 4.634 44 4.590 44.609 9.300 Z.884 6.422 56.840 13.126 2-231 10.895 76.342 20.112 706 20.066 97.332 13.269 -1.010 14.279 81.407 81 -5.058 5.139 32.138 5.-444 -1.693 7.137 27 28 29 30 31 32 33 13.289 -592 13.843 3& 262 11 9 23.91-4 -4.671 19.132 111 -27 -32 952 20.721 3.138 17.429 154 999 47 700 -9."65 -12-549 2.853 231 -42 -5 l.619 37.965 15.155 22.434 376 821 152 l.692 41.363 s.685 32.418 260 82 -296 1.664 42.343 9.760 33.045 -462 -369 1.942 1.428 S0.934 20.012 30.316 606 -875 -723 6.009 56.999 28.515 28.297 187 -1.098 -959 7.107 30.122 -10.148 39.740 530 1.687 -70 -5.715 34 35 36 37 38 39 -11 510 104 0 351 5; -37 -33 269 0 -27-4 - 28 -57 -31 6.868 -184 4.294 2-600 158 127 -3.965 98 -1.945 -2.198 80 624 3.075 855 -376 955 1.641 1.168 5.15S 1.137 66-4 2.510 844 1.21b 14.233 8 2.244 6.897 5.084 1.000 4.235 1.000 656 189 322 482 -337 40 -31 4.155 2.9-42 1.213 -81 2.458 703 1.755 -51 l.575 2.318 5.257 78 15.352 7.936 7.416 340 -1.829 -6.939 5.110 -27 -2-771 -.....069 l .298 -200 4.103 933 3.170 13.184 1.063 12 • 121 339 -284 -75 -183 -443 -l.349 -1.233 -2.593 lb 'tl 't3 44 913 258. 0 570 85 MONE Y AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 85 155 3.451 -2.243 2-812 4.597 9.320 -325 -661 -1.187 526 -3.914 -4.277 125 U.917 NET ACQ. OF FINANCIAL ASSeTS DEMAND OEPOSilS + CURRENCY TOTAL BANK CREDIT CREDIT MARKET INSTRUMENTS U.S. GOVT. SEC.URlllES DIRECT AGENCY ISSUES CORPORATE E QUITIES SECURITY CREOlT VAULT CASH + HEM. BANK RES. OTHER INTERBANK CLAIMS MISCELLANEOUS ASSETS NET INCREASE IN LIABILITIES DEMAND DEPOSITS, NET U.S. GOVERNMENT OTHER ... 5 b 7 8 r., lb 17 111 19 20 21 £2 23 21t ,5 2.b TIME DEPOSITS LARGE NEGOTIABLE CD'S OTHER AT COMMERCIAL BANKS AT FOREIGN BANKING AGS. F.R. FLOAT BORROWING Al F.R. BANKS OTHER INTERBANK CLAIMS 27 28 £9 30 31 32 33 CORPORATE EQUITY ISSUE� CREDIT MARKET DEBT CORPORATE 80MOS OPEN-MARKET PAPER FEDERAL FUNDS ANO RP 1 S BANK LOANS NEC TO FGN AGS. 34 35 36 37 38 39 PROFIT TAXES PAYABLE MISCELLANEOUS LIABILITIES LIAS. TO FGN. AFFILIATES OTHER 41 42 43 DISCREPANCY 111 CONSlSTS OF tHARTEREO COMMERCIAL BANKS, THEIR DOMESTit AFFILIATES, EDGE ACT CORP0RATIONS, AGENCIES OF FOREIGN BANKS, AND BANKS IN U.S. POSSESSIONS. EDGE ACT CORPORATIONS ANO AGENCIES OF FOREIGN BANKS APPEAR TOGETHER IN THESE TABLES AS •FOREIGN BANKING AGENCIES.• 44 OECEMHR 1976 COMMERCIAL BANKING SUB SECTORS 28 COMMERC UL BANKING SUBSECTORS SU8SECTOR STATEMENTS FOR COMPONENT GROUPS IN COMERCUL BANKING YEAR-TOTAL FLOWS, 1946-55 YEAR-TOTAL FLOWS, 1<;46-55 1948 1950 1951 1949 ---------COMMERCIAL BANKS --------------1946 1947 598 56 571 103 585 129 610 129 667 151 -9.589 -10 .025 -6 .359 -15.669 -15 .B26 157 4.203 2.166 3.271 -5.539 -5.!159 20 504 -2.4011 -2.666 -5.671 -6.599 928 2.159 6.02.9 5.700 4.461 4.383 78 l CUR RENT SURPLUS 2 PLANT + EQUIPMENT 3 NET ACQ. OF FINANCIAL ASSETS TOTAL BANK CREDIT 4 5 CREDIT MARKET INSTRUMENTS 6 u.s. GOVT. SECURITIES 7 OIR.ECT 8 AGENCY ISSUES 1952 1953 195't 1955 761 181 775 209 8't0 225 762 27't 1.216 350 l 2 8.054 6.597 6.375 -5.170 -4.97B -192 9.039 6.142 6.442 -565 -503 -62 9.062 9.065 8.463 2.097 l.794 303 4.189 4.136 3.736 1.599 108 1.491 9.32.7 10.219 9.328 5.505 5.555 -50 5.2.02. 5.003 4.420 -a.058 -7.389 -669 5 6 7 8 .. 9 10 11 12 OTHER SECURITIES + MTGS. ST.+LOC. OBLIGATIONS CORPORATE BONDS MORTGAGES 2.839 4 25 -35 2.449 3.045 884 -32 2.193 1.504 382 -2�8 1.410 1.778 887 152 739 3.725 1.569 159 1.997 1.894 1.016 -223 1.041 1.996 996 -130 1.130 1.628 632 17 979 3.412 1.765 -75 1.122 2.191 112 -313 2.392 9 10 11 12 13 ·1-4 15 16 17 OTHER CR. EXCL. SECURITY CONSUMER CREDIT BANK LOANS N.E.C. OPEN-MARKET PAPER. SECURITY CREDIT 6.471 1.155 5.103 213 -3.666 5.765 1.253 4.369 143 -1.105 1.501 962 499 40 258 -539 983 -1.58 5 f-3 329 7.820 1.601 5.971 2't8 222 5.113 81 4.602 430 -300 4.370 1.913 2.231 226 602 509 1.529 -977 -43 'tOO 411 -5 419 -3 891 10.287 2.344 8.274 -331 583 13 14 15 16 17 18 19 20 INTERBANK CLAIMS VAULT CASH + HEH. BK. RES. DEP • .lT FGN. IIANKING AGS. 400 401 -1 1.931 1.930 1 2.342 2.342 0 -3.876 -3.879 3 1.280 1.277 3 2.902 2.898 4 -47 -50 3 -31 -31 0 -1.323 -1.327 4 342 342 0 18 19 20 21 MISCELLANEOUS ASSETS 22 NET INCREASE IN LlA81LITIES DEMAND Dl'POSITS, NET 23 :?4 U.S. GOVERNMENT OTHER 25 36 106 570 6 177 -5 44 84 431 -143 21 -10 .157 -13.761 -:?l .521 7.760 3.780 2.243 -1.646 3.889 184 -549 995 -1. 544 1.729 788 733 55 7.563 5.526 -265 5. 791 8.637 6.744 553 6.191 8.626 5.107 1.582 3.525 3.732 102 -795 897 8.668 4.'t37 26 4.411 4.603 2.121 -',63 2.58., 22 23 25 3.799 0 3.799 1.391 0 1.391 607 0 607 470 0 470 316 0 316 1.121 0 1.121 3.066 0 3.066 3.413 0 3.413 3.782 0 3.782 1.337 0 1.337 26 27 28 55 0 0 16 11 0 0 -110 11 0 0 44 72 0 0 117 144 0 0 162 139 0 0 178 114 0 0 174 228 0 0 -26 -51 0 40 -376 Z9 0 48 -190 -184 -48 38 0 -133 -32 -114 12 0 0 l -94 -127 -3 31 0 0 5 881 97 33 34 35 4 -65 -217 106 39 0 0 5 0 0 3 37 38 39 -91 153 b2 341 -61 402 26 27 28 TIMF DEPOSITS LARGE NEGOTIABLE OTHER. 29 30 31 32 CORPORATE EQUITIES C ORPOR.ATE BONDS SECURITY R.P. 'S PROFIT TAXES PAYABLE 33 34 35 36 37 38 39 INTER.BANK LlAIIILITIES F .R.. FLOAT BORROWING AT F.R. BANKS OFM. DEP. OS: FGN. BK. AGS. TIME 01:P. OF FGN. BK. AGS. Ll'ANS FROM AFFILIATES LOANS FR.OM FGN. BK. Ar.S. -168 2 -186 11 0 0 5 -12 -45 18 16 0 0 -1 26 6 -1 22 0 0 -1 6 -7 -25 34 0 0 4 922 834 59 26 40 41 42 MISCELLANEOUS LH!!ILITIES LUB. TO FOREIGN eRANCHES CTHER -98 -216 118 257 55 202 12 1 -5 410 129 281 610 161 449 56 163 -107 201 -54 255 -26 45 136 51 ----------------- 178 130 co•s 43 DISCREPANCY "'0 C 0 3 25 C, DOMESTIC AFFILIATES OF COMMER.Cl AL BANKS 1 NET ACQ. OF FINANCIAL ASSETS BANK LOANS N.E.C. 2 3 LO.ANS T!' AFFILIATE BANKS 0 0 0 4 NET I NC REASE' IN LIABILITIES 5 COMMER.CUL PAPER. ISSUES 6 MISCELLANEOUS LIABILITIES 0 0 0 0. 0 0 C 0 0 0 0 o o 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 o 0 0 0 0 0 0 o 111 4 651 44 607 2" 30 31 32 3b ..o 41 ..2. .. 3 ---------------------------158 -171 267 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 4 5 b EDGE ACT CORPORATIONS ANO AGENCIES OF FORE H,N BANKS l NET ACQ. t>F FINANCIAL ASSETS CREDIT MAR.KET INSTRUMENTS 2 3 U.S. GOVERNMENT SECURITIES SHTF + LOC,'L OBLIGATIONS 5 CORPORATE BONDS BANK LOANS N.E.C. 6 7 OPEN-MARKET PAPER .. 8 9 10 11 12 13 CORPORATE EQUITIES SECURITY CREDIT OEM. DEPOSITS AT COML. BANKS TIME DEPOSITS AT COML. BANKS Ll'ANS TO BANKS MISCELLANEOUS ASSETS MTSC.ELLANEOUS LIABilllIES DUE TO FOREIGN AFFILIATES OTHER I 0 16 0 -1 18 0 63 -63 16 -1 -16 74 -14 -20 1 7 127 68 '59 100 127 -27 -------------- 1 NH ACQ. OF FIN.ANCIAL ASSETS DFMUIO DEPOSITS + CURRENCY 2 3 CREOil MARKET INSTRUMENTS 4 U.S. GOVFRNMENT SECURITIES '5 STATE + LOCAL OBLIGATIONS 6 CORPORATE BONDS 7 HOME MORTGAGES 8 COMMERCIAL MORTGAC.ES 9 MISCELLANEOUS ASSETS 10 NET INCREASE IN DEPOSIT LIAB. MONEY AMOUNTS ARE IN MILLl�S OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 0 0 11 0 5 5 6 0 80 14 NF.T INCREASE IN LIABILITIES DEMAND DEP. IN HONEY STOC.K 1� 16 TIME DEPOSITS 17 DEPOSITS OF BANKS 18 L DANS FROM BANKS 19 20 21 129 90 23 6 -1 62 0 334 185 o 14 40 -24 6 1 57 0 63 42 -44 11 0 100 0 280 140 62 8 0 70 0 409 225 75 15 l 134 0 318 145 43 11 0 91 120 -40 -10 21 0 -51 345 100 55 -8 1 32 20 55 -2 -25 83 0 -1..0 80 1 50 34 0 4 60 1 50 26 0 3 60 2 50 38 0 4 90 5 50 39 5 74 3 100 12 0 1 44 14 100 31 0 2 100 4 0 3 -52. 10 11 12 13 129 -27 -7 0 334 53 23 3 5 180 6<t 4011 75 15 4 1;£0 21 50 0 0 345 76 49 0 318 52 52 3 -2 .. 3 55 19 -12 0 0 14 15 16 17 18 163 167 250 234 16 183 117 6 315 297 18 213 189 24 49 22 27 213 201 12 48 52 -4 21 () 22 0 -1 18 0 -4 1 .. SANKS IN U.S. POSSESSIONS -6<; -9 -2C -73 2 11 26 14 -40 -17 44 -37 -2 -88 -96 2 -11 11 6 '53 -23 -44 0 12 15 -6 14 -16 -37 -69 -17 -16 -21 -39 -65 -2 15 8 5 20 3 5 -8 0 0 --------- -27 20 -6 22 -1 44 24 37 -16 -42 5 -7 25 3 3 31 -4 26 19 2 0 1 4 9 47 24 31 47 -5 & o 2 3 4 -8 4 4 2 2 -5 s 9� l 2 3 4 5 6 ., 8 9 h .:o 39 38 1 l'i 24 -18 1 3 24 14 3 4 5 38 10 -t, 14 t, -3 1 1 26 39 1 1 .! t, 7 8 'I DECEMBER 1976 COMMERCIAL BANKlhG SUBSECTORS COMMERCl AL BAhK JNG l,UBSECTORS 29 SIJIISECTOR STATEMENTS FOR COMPONENT GROUPS IN COMMERC UL BANKING VEAR-TOT.&L FL(J,jS, lY56-65 1<;56 1957 19511 1<;59 1960 1961 ---------- 1962 1963 l96't 1965 COMMERCIAL BANKS l 2 1.44, 387 1.380 423 1.105 473 l.88l 570 1.633 493 l.lo-00 564 l.628 644 1.807 873 2.01 .. 792 2.210 866 3 4 5.543 4.512 5.2.68 -3.523 -3.040 -483 5.517 5.049 5.109 -302 -313 4.371 4.9b0 4.753 -8 .825 -7.704 -1.121 9.244 9.226 8.977 2.463 2.066 3Y7 17.565 lb• 198 15.125 6.253 5.575 b18 21.211 19.988 18.878 1.269 -1 .. 4 1.413 18.097 ll. 14.831 15. 316 1...876 8.712 11.137 575 11 .288 -2.1163 -3.194 331 24.591 23.464 22 .980 27.. -249 !>23 29.91!4 28.416 28 .311 -2.856 -3.lt44 l.749 1.014 137 598 lt.690 2.590 -lt3 2.143 2.908 408 -128 2.628 1.083 611 -181 653 lt.225 2.776 -160 1.609 9.59b 5.615 15 3.9c,6 8.565 4.012 -343 4.896 8.5..2 12 l.lt83 203 -417 1.697 3.562 488 4...92 10.599 5.121 -148 5.62b 13 14 15 7.3011 1.384 5.885 10.t,70 2.873 1.200 440 207 597 14.164 :;.&16 9.636 712 -60 4.647 865 3.004 778 1.013 8.013 2.274 5.864 -756 5.431 1.747 4.041 -357 11.586 3.533 39 1.47.. 156 110 17 3.662 1.160 2.262 240 484 20.5b8 4.608 16.276 -316 105 18 638 50 --613 -616 3 -579 -567 -12 -773 -759 -1.. 700 6 ..9 937 1.021 1.074 -53 744 722 22 b 7 8 9 10 11 16 19 20 633 5 49 l --------------- YE.&R-TOl AL F-LOWS, 1956-65 548 249 51 17.888 7.849 -us 204 600 1.110 --694 --665 -29 897 40 588 CURRENT SURPLUS PL.&NT + EQUIPMENT NET ACQ. OF FINANClAL A!,SETS TOTAL BANK UEOIT CRE-01 T MARKEl lhSTRUMENTS u.s. GOVT. StCURITIES OIRlCT AGENCY lSSUES 4 5 7 8 OTHER SEtURJlJES + MlGS. 9 Sl .+LUC. 08LIGA1JONS 10 CORPORATE: BONDS 11 MORTGAGES 12 OTHER CR. EXCL. SECURllY CONSUMER CREDI l BANK LOANS N.t.C.. OPEN-MARKET PAPEk SECURITY CREOJl 13 1.. 15 lo 17 I NlERBANK CLAlMl, 18 VAULT CASH + MEM. BK. RES. 19 OE.P. A 1 FGN. BAhKING AGS. 20 21 393 418 128 -10 791 667 346 903 106 824 22 23 24 25 5.002 1.732 13.992 3.834 1. 708 4.92.5 -731 lb5 -896 352 5.236 800 141 8.141 1.912 895 1.011 16.545 5.003 l 5.002 ;20.03 .. 4. 571 1.212 3.359 17.904 :t..260 --610 2.810 22.828 5.955 -38 5.993 28.655 5.458 --985 6.443 26 21 28 2.051t 0 2.054 5.473 0 5.473 7.981 7.981 0 1.045 0 1.045 5.795 1.095 4.700 9.374 2.128 7.246 15.570 2.977 12.593 14.31t7 3.679 10.668 14.537 2.706 11.831 20.033 3.666 16.367 29 30 31 32 267 0 -22 306 273 0 0 54 -18 132 0 0 -460 122 0 3 999 178 0 -3 -891 96 0 0 495 51 233 0 -451 lt5 540 336 213 -62 817 257 -132 CORPORATE EQUlllES CORPORATE IIONOS SECURllV R.P. 1S PROFIT TAXES PAYABLE 29 30 31 32 33 ·34 -210 -21tl 25 2 0 0 -59 278 660 476 603 -78 -2,.8 -303 -6 38 39 51 80 -82 46 0 0 1 -378 -358 -60 106 0 0 -66 INH:RBANK LlABlllllt:S F.R. FLOAT BORROWING Al F.R. BAhKS OEM. OEP. OF FGh. BK. AGS. lJME: OEP. OF FGto. 81<.. AGS. LDAhS FROM AFFILIAlES LOANS FROM fGh. bK. AGS. 33 3't 35 �6 37 38 39 40 41 42 614 61 553 827 MISCHLANEOUS LIABILITIES LI Ab. TO FOREIGN BRANCHES OTHER 40 41 42 43 51'> 35 36 37 24 81 5.588 0 -23 .... -103 941 26 0 0 3 708 294 407 4 0 0 3 39 -283 322 513 -39 55Z L33 1.235 365 -207 775 .. -12.8 l.4b8 5 -5 l7 375 6 125 17 0 0 l21 -631 423 -1.054 2.224 85 2.139 -1.174 -182 -992 1.712 149 1.563 709 118 2.662 265 2.397 37 -20'> -25.3 1 ..1 --.91 75 -lt28 86 0 0 5 453 90 112 0 0 -44 0 0 44 0 0 MI SCE:LLANE:OUS ASSETS hEl INCREASE lh LIABILlllES DEMAND OE PCISIT!., NET U.S. GOVERNMENT OTHE:R 11141: OEPOSJlS LARGE hEGOllABLE OTHER cu• s OJSCRE PANCV l 2 3 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 NET ACQ. OF F)NAhCIAL ASSETS BAhK LOAhS h.E.C. LOANS TO AFFILIATE: BANKS 4 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 NET INCREASE IN LIABlLillES COMHtRCI AL PAPER HSUES MISCELLANEOUS LIABlllllES 1-229 111 43 10 0 -216 192 67 14 0 111 0 b 22 23 2't 25 2b 27 28 43 ---------- DOMESTIC AFFILIATES OF COMMERCJ4L 6ANKS 5 21 2 3 4 5 b EOGE ACT CORPORATIONS ANO AGEhCIES OF FOkEIGN 6AhKS 1 2 3 4 5 C, 507 110 53 -66 -1 44 1 80 8 5 100 46 0 1 239 9 10 11 12 13 14 15 16 17 507 83 56 5 5 19 358 302 56 18 20 21 82 278 191 -31 23 0 16 0 -1 20 0 -86 -8 222 -145 -107 -260 1 10 112 0 5 91 3 -150 -44 0 -5 178 3 379 49 19 76 86 0 5 279 278 -20 -18 3 615 120 40 -14 -29 371 81 85 -35 8 191 410 26 -12 -2 5 40 -15 305 229 76 -231 -188 --,.3 498 185 182. 3 90 73 17 -8 0 -127 80 59 13 100 2 D ltl 4 49 82 19 -64 l 13 53 88 -35 615 150 -19 -1 l 115 60 85 103 -30 11 0 -22. 78 94 1 26 0 3 107 95 ao 8 32 4 0 3 489 9 371 lltO 29 3 0 368 43 51 11 -88 0 80 -30 58 0 -37 17 57 -263 106 0 893 -242 222 -97 62 -29 29 1.229 735 26 -53 -216 -171 75 22 -10 257 223 34 472 -132 -193 61 147 10 39 87 -1 91 -1 44 0 17 -76 18 0 227 49 442 30 -bb hEl ACQ. OF FINANCIAL ASSETS CRE:OIT MARKE:1 lNSlRUMENlS U.S. GOVERNMENT HCURilIES STATE + LDC.AL OBLIGAlJONS CORPORATE IIONOS BAhK LOAhS N.E.C. OPE:N-MARKE:1 PAPER L 3 <> 7 CORPORATE EQUITIES 9 SECURITY CRE:DIT OEM. OEPOSlTS AT COML. BANKS 10 TIME DEPOSITS AT COML. BANKS 11 12 LOANS TO BANKS 13 MISCELLANEOUS ASSE:lS NET lhCREASE Ito LlABILllIES OEMAhO DEP. Ito HOhtY STOCK TIME DEPOSITS OEPOSJlS OF BAhKS LOANS FROM 8AhKS MISCELLANEOUS LlABILll IE:S DUE TO FORE:IGh AFFILIATES OTHER lit 15 lb 17 18 19 20 21 BANKS Jh U.S. POSSESSIONS l 2 3 83 138 43 15 6 21 28 5 6 1 8 9 11 1 19 32 10 8 -6 2 18 78 10 83 138 4 4 119 17 78 19 8 8 28 24 -29 -29 -32 -19 -2 -5 -1 1 32 119 -29 15 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 123 5 3 33 127 36 30 6 3 --6 18 9 bl 32 172 10 109 36 21 10 36 6 53 11 127 123 172 11 17 27 20 3 -4 u 79 12 -1 0 47 21 98 1 69 4 3 NET ACQ. OF FINAhCUL ASSE.TS DEMAND DEPOSITS + CURREhCV CREDIT MARKET INSTRUMEhTS u.S. GOVERNMEhT SECURll I ES STATE + LOCAL OBLIGATIONS CORPORATE 80...0S HOME MORTGAGES COMMERC UL MORTGAGES MISCELLAhEOUS ASSETS 147 87 hET lhCREASE lh DEPOSIT LI A8. -13 0 -18 46 24 12 l 2 3 .. 5 b 1 8 9 10 DECEMBER 1'176 C0'4MERCUL BANKING SUB SECTORS 30 COMMERCIAL 84NtONG SUBSECTORS SUB�ECTOR STATEMENTS FOR COMPnl\lE'lT GROUPS IN COMMERCIAL BANKING ----------- YEAR-T0HL FLOWS, 1966-75 1966 1967 1968 1969 1970 1971 1972 1973 3 NET ACQ. OF FINANCIAL ASSETS 4 TOTAL BANK CREDIT CRFDIT MARKET INSTRUMENTS 5 U.S. GOVT� SECURITIES 6 DIRECT 7 ·8 AGENCY ISSUES 1974 1975 --------- COMMFRCIAL BANKS l C� RENT SURPLUS 2 PL4NT + EQLtIPHF.NT -----·-- YEAR-TOTAL FLOlfS, 1966-75 ? .561 1.005 2.401 963 3.054 1.291 3.807 1.834 3.304 2.122 2.546 2.243 3.279 2. 587 3.361 3.039 2.415 3.827 2.io9 4.576 1 2 20.337 17.533 16 .998 -3 .085 -3 .384 299 39.839 36.778 35.318 9.347 6.310 3.037 43.519 39.543 38 .223 3.289 1.993 l.296 13.620 12.031 13.140 -10.097 -9.757 -340 37.961 34.661 33.220 10.874 7.033 3.841 56.570 51.014 50.239 7.197 3.188 4.009 77.271 73.443 68.773 5.954 2.098 3.856 88.611 77.884 80.844 -1.291 -8.751 7.460 71.520 55.800 58.195 1.183 -2.400 3.583 36.86b 31.271 29.208 30.317 28.743 1.574 3 4 5 6 7 8 9 10 11 12 OTHER SECURITIES + MTGS. ST.+LOC. OBLIGATIONS CORPORATE BONDS MORTGAGES 6.985 2.349 15 4.621 14.218 9.002 738 4.478 l5.3e6 8.567 260 6.559 5.786 610 -97 5.273 13.267 10 .454 781 2.032 23.645 12.783 1.234 9.628 25.263 7.114 l.359 16.790 25. 621 5.611 368 19.642 U.612 5.237 1.026 12.349 7.558 l.647 1.777 4.134 9 10 ll 13 14 15 16 17 OTHER CR. EXCL. SECURITY CONSUMER CR EDIT BANK LOANS N • E.C. OPEN-MARKET PAPER SECURITY CREDIT 13.098 2 .614 9.348 1.136 535 11.753 2.524 7.182 2.047 l.460 19.548 5 .'520 14.410 -382 1.320 17.451 4.664 ll.506 l.281 -1.109 9.079 2.893 4.704 1.482 1.441 19.397 7.401 11.110 286 775 37.556 10.839 26.921 -204 4.670 56.514 11.629 46.153 -1.268 -2.960 38.400 3.597 32.583 2.220 -2.395 -8.667 2.946 -12.111 1.09b 2.063 13 14 18 19 20 INTERBANK CLAIMS VAULT CASH + HEM. BK. RES. DEP. AT FGN. BANKING AGS. 1.976 1.946 30 1.768 1.779 -11 2.055 2.031 24 399 341 58 1.988 l.792 196 4.010 4.132 -122 1.527 -1.016 2.543 s.779 3.453 2.326 2.877 -265 ·3 .142 -2.069 807 -2.876 18 19 20 21 MISCELLANEOUS ASSETS u lS 16 17 828 l.29� 1.9?1 l.190 l.312 1.546 2.301 4.948 12.843 7.664 21 22 NET INC RE ASE IN LIABILITIES 23 DEMAND DEPOSITS, NET 24 U.S. GOVERNMENT OTHER 25 19.120 1.607 -!:3:1 2.140 38.117 11.975 742 11.133 41.681 12.154 -22. .r. 12.378 11.464 4.646 44 4.602 36.336 5.126 2.1184 2.242 54.918 12.973 2.231 10.7'>2 75. 346 24.112 706 23.406 85.696 12.905 -1.010 13.915 69.018 -1.118 -5.058 3.940 34.957 5.457 -1.693 7.150 22 23 24 25 26 27 28 TIME 0fPOSITS URGE NH,OTIABLE CD'S OTHER 13 .251 -592 13.843 23.803 '>.671 19.132 20.567 3.138 17.429 -9.696 -12.549 2.853 37.589 15.155 22.434 41.103 8.685 32.418 42.sos 9. 760 33.045 50.328 20.012 30.316 56.812 28.515 28.297 29.592 -10.1411 39.740 26 27 2d 29 30 31 32 CORPORATE EQUITIES CORPORATE BONDS SECURITY R.P.'S PROFIT THES PAYABLE -11 104 351 -31 -37 269 -274 -81 -57 258 57c, -51 -31 -184 2.600 78 127 98 -2.198 340 624 855 955 -27 1 .168 l.137 2.510 -2.00 1.216 8 6.897 85 1.000 155 -2.243 125 1.000 189 482 -325 29 30 31 32 33 34 35 36 37 38 39 INTERBrnK LIABILITIES F .R. FLOAT BORROWING AT F.R. BANKS DEM. DEP. OF FGN. BK. AGS. TIHf 0EP. OF FGN. BK. �GS. LOANS FROM AFFILIATES LOANS FROM FGN. BK • .AGS. 318 21,2 1.722 999 47 706 -81 904 -27 -32 860 0 0 103 -30 l. 514 -42 -5 832 0 585 144 2.469 821 152 1.247 55 97 97 1.572. 82 -296 1.2.88 47· 309 142 458 -369 1.942 -1.243 339 -392 181 2.085 -875 -723 2.570 137 -410 1.386 1.908 -1.098 -959 ....259 109 -185 -2.18 -1.222 1.687 -70 -2.673 -96 0 -70 33 34 35 36 37 38 39 40 41 42 MISCELLANEOUS LIABILITIES LUB. TO FOREIGN BRANChES OTHER 3 .531 2.653 878 1.558 205 l.353 6.518 1.798 4.720 12.537 6.783 5.754 -7.215 -7.167 -48 -3.137 -4.752 1.615 3.356 497 2.959 12.112 350 11.822 12.379 2.247 10.132 -216 83 -299 ..1 42. 339 -2.84 -75 -183 -443 -1.349 -1.233 -2. 593 -3.914 -4.277 43 77 60 0 0 43 DISCRf PANCY (l 0 -------------- 'oO DOMESTIC AFFILIATES OF COHMERCI AL BANKS l NET ACQ. OF FINANCJ�L ASSETS BANK LOANS N.E.C. 'l 3 LOANS TO AFFILIATE BANKS 0 0 0 0 0 0 0 0 0 4.531 3.946 585 -895 -992 91 195 -114 309 -634 -242 -392 1.292 1. 702 -410 731 916 -185 -526 -526 a l 2 3 4 NET INCREASE IN LIABILITIES COMMERCIAL PAPER ISSUES 5 6 MISCELLANEOUS LU BILITI ES 0 0 0 0 0 0 0 0 0 4.531 4.294 237 -895 -1.945 1.050 195 -376 571 -634 664 -1.298 1.292 2.244 -952 731 3.451 -2.120 -526 322 -84& 5 6 .. EDGE ACT CORPORATIONS AND AGENCIES OF FOREIGN BANKS l NET ACQ. OF FINANCIAL ASSETS CREDIT MARKET INSTRUMENTS 2 3 U.S. GOVERNMENT SECURITIES 4 STATE + LOCAL OBLIGATIONS 5 CORPORATE BONDS BANK LO.ANS N.E.C. OPEN-MARKET PAPER 8 9 10 11 12 13 CORPORATE E0UITIES S ECUR ITV CR EDIT 0FM. DEPOSITS AT COML. BANKS TIME DEPOSITS AT COML. BANKS LOANS TO BANKS MISCELLANEOUS ASSETS 14 NET INCREASE IN LIABILITIES 15 DEMAND 0EP. IN MONEY STOCK 16 TIME DEPOSITS 17 DEPOSITS OF BANKS 18 LOANS FROM BANKS 19 20 21 MISCELLANEOUS LIABILITIES DUE TO FOREIGN HFILUTES OTHER 654 368 -so 16 0 402 0 808 375 117 108 3 147 0 2.199 401 4 .. -51 l 407 0 1.898 l.332 21 2 0 1.309 0 8.674 2.672 -144 191 3 2.622 0 1.218 116 -234 -193 0 5"3 0 l .164 l.674 304 -33 297 1.106 0 9.871 3.894 91 29 35 3. 739 0 11.591 5.005 51 44 2.5 4.885 0 -3.353 -l.493 -2.51 -6't 7 -1.185 0 1 2 3 4 5 6 7 63 62 60 0 -81 182 64 0 860 0 103 -59'> 0 706 0 -30 1.056 E,t, 49 0 832 0 144 -459 94 0 1.247 55 97 4.509 -17 0 1.288 47 142 -358 129 87 -1.243 339 181 -3 244 -436 2.570 137 1.386 2..076 84 -34 4.259 109 -218 2.386 0 -182 -2.673 -96 -10 1.161 10 11 12 13 654 183 38 30 55 808 130 111 -11 -28 2.199 1.131 154 24 85 l.898 -12 231 58 158 8.674 4.180 376 196 80 1.218 153 260 -122 1.641 1.164 -3.340 -462 2.543 844 9.871 364 606 2.32.6 5.084 11.591 1.199 187 3.142 2.872 -3.353 -13 530 -2.876 -337 14 15 16 17 18 348 289 59 606 498 108 805 520 285 l.463 l.153 310 3.842 228 3.614 -714 683 -1. 397 l.579 436 1.143 l.491 713 778 4.191 2.350 1.841 -657 -1.210 613 19 20 67 -182 465 -224 l 2 3 5 6 1 8 9 10 8 9 21 BANKS IN U.S. POSSESS! 0NS l NET ACQ. OF FINANCIAL ASSETS 2 DEMAND ClEPOSITS + CURRENCY 3 CREDIT MARKET INSTRUMENTS 4 U.S. GOVERNMENT SECURITIES 5 STATE + LOCAL OBLIGATIONS CORPORATE BONDS 6 7 HOME MORTGAGES 8 COMMERCIAL MORTGAGES 9 MISCELLANEOUS ASSETS 10 NET INCREASE IN DEPOSIT LIAS. HONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 276 32 132 22 17 33 26 112 294 50 148 41 11 35 63 -2 96 276 294 34 252 23 85 It 35 11 35 494 103 135 29 23 -15 120 -22 256 509 127 311 161 17 l 107 25 71 466 169 287 205 69 4 22 -13 10 473 286 109 -73 60 10 14 98 78 212 144 1.115 35 230 28 31 3 32 136 850 l 54 422 -216 1.060 112 365 71 112 6 -6 182 583 252 1.115 494 509 466 473 67 1.060 -12 .. DECEMBER 1976 NONBANK FINANCE SUMMARY ---------·194b --------- ------- -------------------------------------------------·---- YEAR- TOTAL FLOWS, 1946-55 1947 1948 NONbANK FINANCE SUMMAkY 31 PRIVATE NONBANK FINANCIAL INSTITUTIONS YEAR-TOTAL FLOWS, 194b-55 1'149 1950 1951 1952 1953 1954 1955 1.538 207 t.580 379 1.449 397 18.584 299 19.496 332 23.347 1.733 15.786 t.641 20.292 -126 1.369 3.167 11.934 3.203 745 ---------------------------------- �RlVATt N�8ANK FINANCIAL INSTITUTIONS - TOTAL &66 -103 533 1.082 1.306 228 1.118 243 1.221 250 3 4 5 7.546 68b 33 8.045 328 30 9.737 10.514 257 -20 13.079 647 -47 10.898 558 6 7 338 7.105 1.744 -&4 2.212 2.&51 670 -108 414 7-123 -1.2&9 80 3. 763 361 9.293 -2.360 651 5.194 4.590 980 238 878 989 10.599 -1.679 736 2.897 7.014 1.236 395 725 8.946 -2.942 523 3.847 6.748 359 411 1.442 14.908 321 642 5.069 6.58� 1.731 565 t.295 lo.0&7 373 1.408 4.675 7.356 l.920 335 14 15 16 -658 117 -77 42 100 -31 74 -97 364 523 17 81 98 548 !'>8 806 351 -71 110 459 364 130 58 598 436 92 425 17 18 19 20 1.111 2.120 3.774 7.764 2.224 3.945 286 9.115 1.943 4o25'i 133 10.041 2.488 4.464 347 11.824 2.407 5.779 285 10.554 3.215 5.411 344 16.150 5.07-. 6.655 5o7 17.533 17.336 6.718 7.705 &28 22.406 7.130 8.009 883 NET INCREASE IN LIABILITIES TIME + SAVIN�S ACCOUNTS INSURANCE + PENSIOh RESERVtS CORPORATE EQUITY IS�UES Ill 17 lb 19 20 21 22 792 lol 100 806 192 80 1.132 425 42 880 l82 44 1.809 380 46 549 288 47 1.374 257 132 1.668 1.401 50 131 -11 239 4.206 924 123 25 26 27 292 l't3 281 122 179 ,;t,8 168 9&2 38 -237 -96 225 206 -152 2.361 248 28 9b 678 354 0 -47 CREDIT MARKET INSTRUMENTS CORPORATE BONDS MORTGAGE LOANS Ih PROCESS OTHER MORTGAGES 8AhK LOANS N.E.C. 88 -85 550 21 l2 L3 24 25 2b 27 26 29 30 31 -1.610 -2 1.102 296 32 334 8 9 10 11 12 13 2.3 ,::4 335 0 0 14o 3.-,,.e 990 -189 8 0 0 131 224 U4 3 0 409 8.834 -820 647 3.406 4.431 1.236 -66 71 0 0 1.335 347 171 0 Y5 0 350 0 406 5.1bb 7.259 496 0 0 183 -388 1.656 4.361 9.208 714 235 0 0 77 0 0 -82 0 363 -784 l 1.28& 48b 99 1.063 520 169 1.173 372 43 1.129 -279 68 1.246 375 161 1.944 389 295 1.660 1.005 -243 1.39.i:. 106 23& 60 5 -380 633 -220 280 -959 101 377 84 0 CURRENT SURPLUS PHYSICAL INVESTMENT .i:. NET ACQ. OF FINANCIAL ASSETS DEMANO DEPOSITS + CURRENCY TIME + SVGS. ACCOUNTS 3 4 5 CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES ST.+LOt. OBLIGATIONS CORPORATE + FOREIGh BONDS MORTGAGES CONSUMER CREDIT OTHER LOANS b 7 8 � 10 11 12 13 SECURITY CREDIT TRADE CREDIT MISCELLANEOUS ASSETS 14 15 16 OPEh-MARKET PAPER MONEY MARKET FUND SHARES FHLB LOANS 0 SECUklTY CREOil PROFIT TAXES PAYABLE MISCELLANEOU� LIABILITIES 2 1.880 DISCREPANCY 111 29 30 31 32 Ill INCLUDES INVESTMENT COMPANY SHARES. ------------------------------ SAVINGS INSTITUTIONS COMBINED 229 229 248 257 301 396 302 329 390 480 3.228 257 2.6-.2 23 30 2.212 59 3 2.739 91 -20 3.399 79 -47 3.652 225 171 5.560 66 113 6.378 113 95 7.490 309 183 8.538 194 84 14 2-929 671 -30 2.560 -61 0 2 354 46 2.971 -901 52 176 109 4.962 -160 195 309 95 5.795 -55 93 242 140 6.464 -354 180 125 84 8.118 186 24 3.271 -543 2 -18 11 2.003 1.828 2.135 1.890 4.331 3.792 77 110 185 5.153 4.684 238 231 60222 13 3.572 2.758 598 213 5.827 131 261 7.777 7.374 142 259 53 97 249 27 341 12 -5 5 63 114 19 8 -113 2.418 2.224 1.970 1.943 2.457 2.488 -53 -15 -66 22 5 6 -25 2 3 4 6 7 8 9 10 12 14 15 16 17 18 19 20 21 22 23 24 33 96 2 33 13 2.905 2.120 168 0 17 -94 -34 133 2 28 209 0 11 2.252 -703 6 402 2.510 -75 15 210 2.406 1-924 304 2.229 1.825 298 3.598 6 3 7 172 93 0 103 12 8 9 -6 158 0 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2.947 555 89 179 41 6 3 59 13 0 72 239 3.021 2.407 445 3.272 3.215 152 0 175 -71 0 -95 16 348 6 0 3 191 38 -330 2 368 280 250 25 16 394 14 58 5.229 5.074 79 5.984 5.766 131 6.984 6.718 167 -3 102 7.942 7.130 725 l 86 -29 -65 -116 -116 11 310 11 65 9 2 85 60 CURRENT SURPLUS NET ACQ. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY TIME DEPOSITS CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVT. SECURITIES STATE ANO LOCAL bOVT. SEC. CORPORATE BONDS MORTGAGES HOME MOkTGAGES MULTI-FAMILY COMMERCIAL FARM 2 3 4 5 6 l 8 9 10 11 12 13 14 CONSUMER INSTALMENT CREDIT 15 CONSUMER NONINSTAL. CREDIT 16 17 MOhEY MARKET INSTR. MISC ELLANEOUS ASSETS l& NET INCREASE IN LIABILITIES SAVINGS ACCOUNTS CR. MKT. INSTR. CSVGS+LNI PROFIT TAX LIABILITY MISCELLANEOUS LIABILITIES DISCREPANCY 19 20 21 22 23 DECEMPER 1976 NONBANK FINANCE SUMMARY 32 NONBANK F I�AN.CE SUMMARY PRIVATE NONBANK FINANCIAL INSTITUTIONS VEAR-TOTAL FLOWS, 1956-65 YEAR-TOTAL FLOWS, 1956-65 1956 1957 ------------------ 1959 1958 1960 1961 1962 1963 1964 l'i65 PRIVATE NONBANK FINANCIAL INSTITUTIONS - TOTAL 1.276 365 1.112 440 l.454 393 l.702 453 1.631 314 1.767 4Jt4 1.813 338 1.294 473 918 493 1.131 439 2 19 .141 111 101 20.861 230 103 23.410 623 371 28.525 33 35 28.622 366 37 31.469 1.011 355 35.429 925 157 39.137 57 108 ltO.lt62 209 273 41.591 405 3 3 4 5 16.434 -1.178 1.1 72 4.340 10.319 1.449 332 l .lt98 2.191 17.923 -188 1.295 6.3�6 7.937 1.173 1.350 2.604 18.051 708 1.469 5.•n1 10.379 -432 350 3.346 23.964 1.044 1.877 4.346 12.166 Z.542 1.989 3.412 23.72l' 55 1.437 4.834 12.215 2.410 2.777 4.402 23.H'7 561 1.068 5.528 14.762 710 538 4.302 28.904 2.092 567 5.901 16.950 2.216 1.178 3.813 32.363 -104 -63 6.380 21.301 3.065 1.784 3.9<;4 34.33'1 1.882 6 6.575 20.779 3.205 1.892 6.015 33.112 -382 -451 7.853 19.775 3.434 2.&83 6 7 6 9 10 12 13 34 135 8 28 -337 160 591 965 148 648 3 183 961 -124 152 1.051 1.074 59 1.321 -159 208 1.092 1.531 131 1.134 -485 152 1.980 376 165 l.515 15 16 18 .246 7.318 e .345 1.111 20.440 6.889 8.966 1.136 21.929 8.899 9.388 1.744 27.360 8.ltl6 10.876 1.912 27.150 9.465 10.546 1.523 29.477 11.335 11.074 2.426 33.2c;,4 13.102 11.554 1.865 38.597 15.17� 12.594 1.742 39.767 15.882 14.770 2.174 41.521 13.087 15.471 3.3ol 111 19 20 500 133 0 -189 1.206 745 -31 0 3 452 0 37 -302 202 305 0 -707 -135 0 33 3.898 1.177 132 0 1.055 698 0 1136 2.635 1.379 -107 0 675 841 0 -153 1.585 150 364 0 526 -136 0 681 3.558 -40 449 0 1.122 1.210 0 817 5.582 1.075 529 0 1.653 1.020 0 1.305 4.047 1.764 -289 0 536 1.495 0 541 5.555 1.400 -41 0 .t.338 1.180 0 672 21 22 23 24 25 21> -588 -114 1 .674 129 102 2.012 561 86 1.553 39 149 2.010 495 -22 2.508 874 -8 4 2.267 960 60 2.195 523 52 2.s2& 138 -34 2.790 360 159 3.526 2.. 30 31 16 251 -420 84 -155 -669 -060 281 -270 62' 3;,i 1 CU!RENT SURPLUS 2 PHYSICAL INVESTMENT 3 NET ACQ. OF FINANCIAL ASSETS DFMAND DEPOSITS + CURRENCY TIME + SVGS. ACCOUNTS 4 5 12 13 COPPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES ST.+LOC. OBLIGATIONS CORPORATE + FORFIGN BONDS MORTGAGES CONSUMER CREDIT OTHER LOANS 14 15 16 SECURITY CREDIT TRADE CREDIT MISCELLANEOUS ASSfTS 6 7 8 9 10 11 17 NET INCREASE IN LUBILITIF.S TIME + SAVINGS ACCOUNTS 18 19 INSURANCE + PENSION RESERVES 20 CORPORATE EQUITY ISSUES Ill 21 22 23 24 25 26 27 28 CREDIT MARKET INSTRUMENTS CORPORA TE BONDS MORTGAGE LOANS IN PROCESS OTHEfl MORTGAGES BANK LOANS N.E.C. OPEN-MARKET PAPER MONEY MARKET FUND SHARES FHLB LOANS 29 30 31 SECURITY CREDIT PROFIT TAXES PAYABLE MISCELLANEOUS LIAEILITIES 1.081 -25 0 -500 32 DISCREPANCY (1) INCLUDES INVESTMENT COMPANY SHARES. SAVINGS INSTITUTIONS COMBINED CUR RENT SURPLUS 2 NET ACO. OF FINANCIAL ASSETS D EM,ND DEPOSITS + CURRENCY 3 4 TIME DEPOSITS 5 6 7 8 9 10 11 12 13 14 15 16 17 18 CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVT. SECURITIES STATE AND LOCAL. GOVT. SEC. CORPORATE BONDS MORTGAGES HOME MORTGAGES MULTI-FAMILY COMMERCIAL FARM lit 17 n 28 ---------------------------- 566 575 663 1138 1!17 1.024 1.003 890 1.148 1.250 7.726 87 103 10.236 318 371 10.626 -197 35 10.288 187 37 13.727 481 355 15.57!613 157 18.442 127 108 17.474 65 273 15.309 95 3 50 7.305 89 62 7.216 387 10 587 95 9.·050 291 44 552 --49 10.393 459 -7 -128 16 9.518 -321 -49 154 65 11.946 566 5 -149 149 14.031 428 -150 -116 115 17.400 877 -87 -295 101 16.186 62', -49 -169 167 14.332 286 -71 -121· 5 fl l 8 6.665 6.240 97 327 1 5.736 5.414 52 272 -2 7.742 6.792 3q9 556 -4 9.295 8.287 381 625 2 8.904 7.592 642 671 -1 11.004 8.891 1.052 1.064 -3 13.159 9.817 1. 727 1.615 0 16.125 12.256 2.101 1.761 1 14.766 11.205 1.963 1.597 1 13.067 10.111 1.642 1.315 -1 10 398 5 281 479 16 1 258 328 46 47 402 692 78 4 390 102 28 880 568 42 100 625 715 124 -59 692 <;24 26 59 61t9 1.126 53 -2 712 i; 10 444 710 72 48 530 7.197 7 .318 -239 -1 119 7.032 6.889 0 0 143 9.454 8.899 369 -2 188 9.761 8.416 1.074 1 270 9.334 9.465 -295 0 161t 12.629 11.335 1.023 -1 272 14.456 13.102 1.224 1 129 17.484 15.176 1.924 83 301 16.455 15.882 293 8 272 14.144 13.087 805 3 249 1� -91 -119 -119 -27 -137 -74 -116 -68 12'1 91 2� 29 73 46 24 DISCREPANCY MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 11 7.854 117 101 CONSUMER INSTALMENT CREDIT CONSUMER NONINSTAL. CREDIT MONEY MARKET INSTR. MISCELLANEOUS ASSETS 19 NET INCREASE IN LIABILITIES SAVINGS ACCOUNTS 20 21 CR. MKT. INSTR. I SVGS+LN l PROFIT TAX LIABILITY 22 23 MISCELLANEOUS LIABILITIES l 2 3 4 ., 11 12 13 14 11 111 20 21 22 23 otCEM8ER 1976 N ONBANK FINANCE SUMMARY NON8ANK FINANC i:: SUMARY 33 PRIVATE. NONBANK FINANCIAL INSTITUTIONS ------- YEAR-TOTAL FLOWS, 1966-75 -------. l9b6 1967 1968 1969 1970 1971 1972 1973 1974 1975 YEAR-TOTAL FLOMS, 1966-75 PRIVATE NONBANK FINANCIAL INSTITUTIONS - TOTAL l 2 1.389 523 1.419 633 617 lo 101 1',-2 1.153 2.111 1.200 4.798 1 .798 4.975 20029 40777 l o991 4.36& 20621 30777 50313 3 4 5 36.641 -377 3 43.069 459 587 530047 739 u 48.494 --.34 -561 56.137 398 1.138 850127 669 2.418 105.620 1.062 1.743 900596 764 -246 750904 651t 40642 1100288 lo215 lto271 50732 29.203 1.279 828 9ol75 u.837 2.826 30258 9.026 27.534 -2.078 1.205 U.865 140448 1.411 683 100849 36.830 2ol00 lol09 90749 16.010 3.873 3o989 12.975 38o755 -lo765 1.064 8.023 16.572 4.806 10.055 100493 420000 2o982 lo819 12.334 170949 1.900 50016 17.854 59.141 3 4.420 13.670 32.342 3.459 50247 15.219 78o876 50479 5.109 12.465 43.962 5.415 130054 77.243 585 3ol5q 120205 44.665 80420 8.209 50463 61.585 3o652 1.e9o 16.710 230625 40801 100901 8.313 880477 22030:.3 50641 23.545 290849 40286 2.803 -36 2't9 1.867 3.214 278 lo97l 2.841 300 1.476 -3.529 422 866 -lo288 '>72 2o924 20576 291 2ol78 3o 721 10181 30818 -4.336 643 3.474 -lo566 535 40591 2.480 648 40884 l& 19 20 17 36.255 6.998 17.812 3.809 44.265 l6o795 17.638 3.153 53.423 12.802 180889 60590 50.038 70927 19.667 6.297 57.097 170046 21.940 4.626 820112 400526 21t.385 2.885 102.048 46.007 26. 111 1.5110 8lo5ill 27.824 30o64't 282 750593 22.111 33.188 9 ll3ol86 59.786 39.992 179 NET INCREASE IN LIABILlTlES TJMc +·SAVINGS ACC�TS INSURANCE. + PENSION RE.SE.RYES CORPORATE EQUITY ISSUES tl, 18 19 20 21 22 23 24 25 26 27 28 2.559 120 -928 0 -1. 091 3.520 0 1138 -1.108 410 987 0 -1.984 2.028 0 -20549 5. 771 188 192 200 1.445 2.873 0 873 12.644 1.010 6 230 1.342 6.026 0 4.030 5.181 2.578 623 116 -101 639 0 1.326 40531 2.911 1.951 134 lo897 317 0 -2.679 12.828 3.996 1.1110 480 50919 lo210 0 43 21.00:.1 3.506 -1.542 320 00905 2.694 0 7.168 14.678 1.943 -1.423 169 4.645 308 z.379 6.657 -541 2.709 l.9't3 366 -3.609 743 1.266 -3o959 CREDIT MARKET INSTRUMENTS CORPORA TE BONDS MORTGAGE LOANS lN PROCESS OTHER MORTGAGES BANK LOANS N.e.c. OPEN-MARKET PAPER MOhEY MARKE:T FUND SHARES FHLB LOANS 21 :t.2 B 24 25 26 27 28 29 30 31 839 -14 4.252 3.169 -112 4.730 3.lt54 211 5.706 -3.026 108 6.421 980 221 7.103 1.146 -127 e.766 4.116 207 11.189 -3.394 128 11.046 -3.170 36 8.735 2.156 178 11.436 SE.CURITY CREDIT PROFIT TAXES PAYABLE MISCELLANEOUS LIAblLITIES 29 30 31 32 480 1.982 -108 5:U lo937 -15 -62.6 -229 1.436 6 7 8 9 10 11 12 13 14 15 16 ------------------------------- 6.446 --------------- 1.307 1.606 1.517 1.898 2.192 2.791 2.5� 2.411 8.312 -516 -139 16.273 -209 304 15.648 -382 -140 13.977 -196 -579 20. 773 49 1.035 43.290 -154 2.780 51.637 182 1.789 37.919 202 -1.040 30.717 -316 357 60.281 769 5.099 1 8 9 41 7.940:, 'tl -69 287 219 14.969 lo489 -32 2.015 2!>1 15.413 556 50 1.312 238 14.645 -41tl 31 332 333 17.393 1.286 27 1.201 475 39.062 3.410 220 3.883 603 47.238 3.801 498 20136 375 35.999 -94 68 -1.092 196 26.998 1.527 324 916 161 50.989 l.20020 1.22s 3.546 10 11 12 13 14 6.508 4.717 788 1.002 l 10.467 7.869 1.233 1.301 64 11.729 8.470 1.402 1.857 0 12.167 9.299 1.527 lo344 -3 11.681 7.953 2.239 1.485 4 27.613 18.307 5.284 40090 -68 37.416 27.546 4.723 5.135 12 32.515 24.385 3.274 4.854 2 19.892 l't.640 1.858 3.396 -2 32.149 2'to389 2.603 5.160 -3 15 16 l7 18 1.026 42 110 981 901 39 30 990 1.501 79 186 506 20005 1.366 1 1.831 1.963 1.933 59 1.944 lol27 2.'t90 131 766 lo825 3.056 89 1.457 2.383 2.649 -25 1. 715 3.482 3.422 13 -lo386 3.263 19 20 21 22 23 7.395 60998 83 14.468 12.802 1.132 24 510 120642 7.927 4.104 -66 605 19.615 170046 1.845 lb 708 41.600 40.526 358 15.587 16.795 -1.702 -3 497 59 1.081 49.111 460007 1.960 26 loll8 35.126 27.824 6.025 36 10241 28.634 22.111 6.285 60 172 58.099 59.786 -2.103 119 297 24 236 327 127 271 359 208 -334 -2 421 229 -44 17 C> MONEY AMOUNTS ARE IN MILLIONS OF DOLLAR�. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 12 13 SECURITY CRE.DIT TRADE. CREDIT MISC�LLANEOUS ASSETS l<t 15 16 6 7 8 9 10 11 17 32 --------------- SAYINGS INSTITUTIONS COMBINED 534 -131 3 4 5 CORPORATE EQUITIES tRE.DIT MARKET INSTRUMENT S Uo So GOVERNMENT SHUIUTlES STo+LOCo OBLIGATIONS CORPORATE. + FOREIGN BONDS MORTGAGES CONSUMER CREDIT OTHER LOANS DISCREPANCY 1.362 1.013 0 NET ACQo OF FINANCIAL ASSETS DE.MANO DEPOSITS + CURRENCY TIME. + SVGSo ACCC.UNTS I l I INCLUDES INVESTMENT COMPANY SHARH. 1.153 2 3 4 CURRE.NT SURPLUS PHYSICAL INVESTMENT CURRE.NT SURPLUS NET ACQ. OF FINANCIAL ASSElS DEMAND DEPOSITS + CURRENCY TIME DEPOSITS CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVT. SE:CURITIES STATE AND LOCAL GOVT. SEC. CORPORATE BONDS MORTGAGES HOME MORTGAGES MULTI-FAMILY COMMERCIAL FARM £ � 4 5 6 -, 8 9 10 11 12 13 l't CONIUMER INSTALMENT CRE:011 15 CONSUMER NONINSTAL. CREDil 16 17 MONE.Y MARKET INSlR. 18 MISCELLANEOUS ASSETS 19 20 21 NET INCREASE IN LIABILITIES SAVINGS ACCOUNTS CR. MKT. INSTR. I SVGS+LN I PROFIT TAX LIABILITY MlSCl:LLANEOUS LIABILITIES 23 DISCREPANCY 24 DECEMBER 1976 SAVINGS INSTITUTIONS SAVINGS INSTITUTION� 34 SECTOR STATEMENTS OF SAVING AND INVESTMENT YEAR-TOTAL FLOWS, 1946-55 ------------------------------------------------- YEAR-TOTAL FLOWS, 1946 -55 1947 1952 1946. 1951 1953 1954 1955 1950 1949 1948 ------------LOAN ASSOCIATIONS SAVINGS ---------------------------------------------------------------------------AND z 89 91 98 110 138 157 166 155 203 272 1.455 1.765 34 l.485 1.715 30 l.?-41 l.449 30 1.594 1.311 27 2.271 2.041 59 2.329 1.907 26 3.438 2.832 69 4.073 3.566 54 4.900 4.146 50 6.023 5.301 83 CLR.RENT SURPLUS N�T ACQ. OF FINANCIAL ASSETS MORTGAGES 3 C ONSUMER CREDIT 4 2 3 4 6 7 OTHER ASSETS DEMAND 'DEPOSITS + CURRENCY TIME DEPOSITS -344 62 0 -260 -4 0 -138 6& 0 256 83 0 171 87 0 396 105 0 537 64 0 453 52 0 704248 0 639 196 0 5 6 8 9 10 11 12 13 U.S. TREASURY SECURITIES u.s.rc. AGENCY SEC. STATE+LOCAL GOVT SEC. OPEN-MARKET PAPER FEO. FUNDS + RP'S MISCELLANEOUS -411 0 0 0 0 5 -269 0 0 0 0 13 -285 7 0 0 0 0 166 25 0 0 0 0 59 116 0 0 0 0 175 184 17 0 0 0 272 133 9 0 0 0 259 101 1 0 0 0 354 360 46 0 0 0 37 10 1.348 1.177 168 100 -28 96 0 3 1.381 1.197 209 80 -2 131 0 -25 1.227 1.209 93 42 -26 2.097 l.520 445 46 16 383 0 132 2.1!'>6 2.115 152 47 4 101 0 -111 3.233 3.088 79 132 -6 -47 11 55 3.830 3.651 131 50 -7 88 2 46 4.614 0 -75 1.457 1.503 -53 44 -15 -82 0 7 4.406 167 239 13 -85 -3 44 5.653 4.890 725 123 52 550 l 37 -18 -13 -H, 19 20 21 -27 -36 -16 -39 -88 -83 -98 22 3.102 3.762 4.298 5.790 23 5 14 NET INCREASE IN LIABILITIES SAVINGS SHARES 15 CREDIT MARKET INSTRUMENT S 16 17 MORTGAGE LOANS IN PROCESS 18 BANK LO,NS N.E. C. FHLB ADVANCES 19 PROFIT TAXES PAYABLE 20 MISCELLANEOUS LIABILITIES 21 22 OIS CREPANCY 23 MEMO: ACQ. OF C REDIT MKT. INST 1.388 l.476 0 0 C C 79 77 -----------1.194 1.345 2.049 2.125 MUTUAL SAVINGS BANKS 1 8 9 11 12 13 1.. 15 16 11 18 --------- 130 124 130 121 127 199 87 104 97 98 2 NET ACQ. OF FINANCIAL ASSETS 3 DEMAND DEPOSITS + CURRENCY TIME DEPOSITS 4 1.700 188 21 1.062 16 50 758 -23 19 1. 021 3 943 -26 -54 l.058 72 19 1.797 2 32 l.898 42 24 2.151 16 27 1.996 -14 -46 2 3 4 5 14 l .487 1.078 4 -34 980 192 l 2 354 943 -496 68 6 402 11 0 1.034 -49 -40 15 210 24 986 -556 -20 2 46 857 -1.027 0 52 176 109 1.616 95 1.716 -252 49 93 242 140 l.928 -436 -28 180 125 84 l.951 -292 62 38 -330 5 10 233 3 13 0 -10 415 951 4 198 1.464 8 0 -192 -6 0 -8 l.557 15 6 0 13 l.654 5 0 50 0 0 64 11 31 1.563 12 9 0 21 2.064 7 16 0 40 2.450 9 14 0 21 13 14 15 1.480 14 946 10 641 9 817 15 731 43 875 l.710 10 1.771 39 1.963 58 1.831 49 16 -76 18 22 2 -35 32 10 23 -33 -18 18 110 C�RENT SURPLUS t, 7 8 q 10 11 12 13 14 15 CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. TREASURY SECURITIES u.s.G. AGENCY SEC. STATE + LOCAL OBLIGATIONS CORPORATE BONDS -30 186 HORTGAGES CONSUMER CREDIT COHHERCIAL PAPER SECURITY RP•S MISCELLANEOUS ASSETS 16 SAVINGS DEPOSITS 17 MISCELLANEOUS LIABILITIES 18 DISCREPANCY 11 -e 6 -18 2 lf, -314 17 195 309 4 0 6 7 a 9 11 12 17 CllEDil UNIONS CURRENT SURPLUS 2 NET ACQ. OF FINANCIAL ASSETS 3 DEHAND DEPOSITS + CURRENCY SAVINGS + LOAN SHARES 4 5 CREDI T MARKET INSTRUHENTS 6 U.S. GOVERNHENT SECURITIES 7 HOME MORTGAGES 8 CONSUMER CREDIT 9 CREDIT �ION SHARES MONEY AHOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 10 14 20 26 36 40 49 70 <JO 73 113 14 -16 115 10 6 99 124 5 -12 131 7 20 104 185 18 7 160 8 0 152 265 0 5 49 95 11 -20 104 15 5 84 152 65 10 11 44 325 0 81 244 6 35 203 407 19 71 317 6 24 287 439 45 156 238 63 81 93 98 149 225 276 337 7 12 54 48 519 2 4 12 21tl 8 130 377 15 26 336 3't9 409 9 12 3 5 6 7 8 otCEMBER 1976 SAVINGS INSTITUTIONS SAVINGS H1S1l TUTION5 SECTOR STATEMENTS OF SAVING ANO INVESTMENT ------------------------------- yfAR-TOTAL FLOWS, 1956-65 1956 1957 1958 35 -------------------------------- YEAR-lOHL F LOWS, 195b-b5 1959 1960 1961 ---------------1962 19o3 1964 1965 SAVINGS ANO LOAN ASSOCIATIONS 285 258 319 460 469 649 775 630 859 904 5.219 4.320 76 5.263 4.278 76 1.001 5.620 115 8.391 7.514 124 7.946 6.929 129 10.659 8.764 81 ll.470 9.936 11 13.954 12.114 124 ll.796 10.389 63 10.225 8.973 70 5 823 71 0 909 57 0 1.266 213 0 753 -172 0 888 148 0 l.dl4 393 0 1.523 578 0 1.656 115 0 1.344 -12 0 1.182 39 0 8 9 10 401 93 0 0 0 258 391 233 0 0 0 228 646 658 96 0 0 0 171 115 121 0 0 0 504 617 -36 0 0 0 840 337 20 0 0 0 588 901 98 0 0 0 542 523 60 0 0 0 173 438 96 0 0 0 609 4.850 4.764 0 -31 -6 37 0 86 6.519 6.064 369 305 31 33 -2 7.843 21 4.826 5.006 -239 -25 -25 -189 -1 60 7.356 7.559 -295 -107 -35 -153 0 92 9.934 8.743 1.023 364 -22 681 -1 169 10.658 9.351 1.224 449 -42 8ll l 82 13.205 11.072 1.924 529 90 1.305 83 186 11-106 10.579 293 -289 41 541 8 226 9.420 8.498 805 -41 174 672 3 114 22 -108 -155 -163 -88 -121 23 4.890 4.978 6.344 8.392 7.294 2 3 4 6 7 11 12 13 14 15 16 17 18 19 io ----------------------------- -37 0 0 0 384 88 6.607 1.074 132 106 836 1 161 -59 169 ---------------------------------- ll.035 -76 9.426 -37 10.304 13.297 MUTUAL SAVINGS BANKS CURRE:Nl SURPLUS NET ACQ. OF FlNANtlAL ASSE 1 S MORTGAGE:S CONSUME:R CRE:011 OlHE:R ASSElS DEMAND DEPOSllS + CURRENCY TIME DEPOSllS u.s. TREASURY SECURlTlES u.s.G. AGENCY SEC. STATE+LOCAL GOVl SEC. OPEN-M•RKET PAPER FED. FUNDS + RP'S MlSCELLANEOUS 99 ------9.577 2 3 4 5 6 7 ii 9 10 11 12 13 NET INCREASE IN LIABILITltS SAVINGS SHARES CREDIT MARKET INSTRUMENTS MORTGAGE LOANS IN PROC.l::SS BANK LOANS N.E.C. FHLB ADVANCES PROFIT TAXES PAYABLE MISC.ELLANEOUS LIABILITIES 14 15 lb 11 18 19 20 21 DISCREPANCY 22 MEMO: ACQ. OF CREDIT MKT. INST 23 CURRENT SURPLUS 149 1S5 166 196 172 223 107 187 207 257 2 2.035 19 -65 1.834 3 -34 2.569 -3 35 1.481 8 -78 1.626 2 43 2.258 20 43 3.292 27 -8 3.581 -25 -19 4.536 9 83 3.994 26 -13 5 b 7 8 9 50 2.008 -481 61 29 73 62 1.773 -399 147 10 587 95 2-424 -313 -20 44 552 -49 1-327 -399 94 -7 -128 16 1.539 --628 61 -49 154 65 2.090 -83 48 115 3-360 -244 101 4.267 77 -149 149 3.087 -53 lO't -150 -116 -87 -295 93 -49 -169 167 3.711 -306 31 -71 -127 CORPORATE EQUITIE:S CRE:DIT MARKET INST RUME:NTS U.S. TRE:ASURY SECURITIES u.s.G. AGENCY sec. STATE + LOCAL OBLIGATIONS CORPORATE BONDS 9 10 11 12 13 14 15 2.289 32 5 0 23 1.423 4 1 0 30 2.09't 20 47 0 18 1.729 34 4 0 273 1.9't3 10 48 0 2.210 31 28 0 3.175 2.7 100 0 'tO 37 3-904 C>4 -59 0 150 4.332 73 59 0 76 4.061 125 -2 0 103 MORTGAGES CONSUMER CREOll CDMME:RCIAL PAPER SECURITY RP'S MISCELLANEOUS ASS�TS 11 12 13 14 15 16 17 1.844 59 1.658 57 2.347 100 1.237 109 1.366 72 1.934 103 3.059 47 3.270 115 4.243 46 3.594 135 18 17 36 44 61 -16 2 -79 -9 -'tO -8 3 4 10 ---------2 3 .. 5 6 7 8 26 5 -72 2 3 4 5 6 7 I, SAVINGS DEPOSITS MISCELLANEOUS LIABILITIES 16 11 DISCREPANCY 18 CREDIT UNIONS 132 162 178 182 176 152 121 73 82 95 600 27 lbb 407 15 56 336 629 27 137 465 15 35 415 b66 48 336 282 15 28 239 754 -33 113 674 10 52 612 716 37 -6 685 10 32 643 810 68 312 430 20 30 380 813 cl 165 640 20 907 37 127 7't3 45 47 651 t.142 68 190 884 25 45 814 1.090 30 16 1.044 27 33 984 1.060 995 468 NET ACQ. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRE:NCY TJMi: DEPOSITS 467 488 572 MONEY AMOUNTS ARE IN HI LLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 540 658 48 572 692 834 CURRENT SURPLUS NET ACQ. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY SAVINGS + LOAN SHARES CRE:DIT MARKET INSTRUMENTS U.S. GOVE:RNMEMT SECURITIES HOME MORTGAGES COI\ISUMER CRE:DIT 2 3 4 5 6 7 CREDIT UNION SHARES 9 I, DECEMBER lq76 SAVINGS INSTITUTIONS SAVlhGS t�STITUTIONS 36 SECTOR STATEMENTS OF SAVING ANO INVESTMENT YEAR-TOTAL FLOWS, 1966-75 -------------------------------------------------------1966 1967 196!1 1972 1971 1970 1969 YEAR-TOTAL FLOWS, 1966-75 1973 1c;74 1975 SAVINGS AND LOAN ASSOCIATIONS 874 799 996 1.186 1.018 1.249 1.544 1.948 1.686 1.669 4.594 3 • 736 31 9.743 7.278 97 9.709 8.902 140 9.335 9.462 178 14.107 9.767 319 29.840 23.628 108 37.104 31.753 197 28.778 26.541 218 23.619 17.560 180 �2.871 29.650 27 2 3 4 6.104 -246 1.724 5.154 34 978 2.019 -162 -663 5.879 -569 '>12 l3.194 . 49l lo.430 6 -765 -�21 2.423 15 511 367 1.347 -2.448 2.308 20 -509 1.325 2.148 -155 27 981 508 830 1.213 315 -112 1.803 2.972 2.312 4.080 610 26.910 20.204 6.025 -1.542 399 7.168 36 22.240 15.991 6.285 -1.423 1.051 6.657 60 --96 Cl.RRENT SURPLUS 2 NET ACQ. OF FINANCIAL ASSETS M ORTGAGES 3 CONSUMER CREDIT 4 5 6 7 OTHER ASSETS DEMAND DEPOSITS + CURRENCY TIME DEPOSITS 827 -526 80 2.368 -315 667 -426 69 -305 -181 -37 4.021 -22£ 375 8 9 u.s. TREASURY SECURITIES u.s.G. AGENCY SEC. 5TATE+LOCAL GOVT sec. OPEN-MARKET PAPER FED. FUNDS + RP'S MISCELLANEOUS 324 1.523 0 0 0 861 0 0 0 913 372 87 75 125 -1.482 1.183 25 218 0 -31 -1.296 1.872 23 l.505 0 1.764 13.3'>4 10.866 1.845 623 -104 1.326 16 617 28.959 27.793 -66 1.951 662 -2.679 59 1.173 35.456 32 .567 1.960 1.1eo 737 43 26 903 10 11 12 13 88 14 NET INCRE ASE IN LJA81LITIES 15 16 17 18 19 20 21 HVINGS SHARES CREDIT MARKET INSTRUMENTS MORTGAGE LOANS IN PROCESS BANK LOANS N.E.C. FHLB ADVANCES PROFIT TAXES PAYABLE MISCELLANEOUS LIA BILITIE S 22 DISCREPANCY 23 MEMO: ACQ. OF CREDIT MKT. JNST fl8 159 C 365 3.045 -4c; 5 1 8 9 10 11 -1.378 2.698 12 13 41.530 14 -2.103 1.943 -87 -3.959 119 430 16 3.992 3.584 83 -928 73 938 -44 369 -1. 702 987 -140 -2.549 8.940 7.386 1.132 192 67 873 398 8.422 3.920 4.104 6 68 4.030 6 392 272 349 227 273 255 368 -104 80 307 32!' 22 4.179 9.057 9.701 9.584 12.190 27.532 34.745 27.455 20.804 35.252 23 9.293 10.648 -3 350 24 --------------------------------------- 645 4 3.084 15 l7 l& 19 20 21 MUTUAL SAVINGS BANKS 162 99 189 260 295 445 395 550 487 368 2.750 5.383 34 6 3.054 24 -101 4.716 107 244 10.374 -33 152 11.012 70 185 5.902 123 186 3.761 -40 4.608 51 -48 11.506 107 56 603 9.676 242 1.136 483 2-136 375 5.043 -516 57 196 2.841 -439 192 -1.092 916 2.202 -63 324 -300 510 2.329 170 140 -99 565 CURRENT SURPLUS 2 NET ACO. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 3 TIME DEPOSITS 4 -24 4 210 5 6 1 8 9 10 CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. TREASURY SEtURJTIES u.s.G. AGENCY SEC. STATE + LOCAL OBLIGATIONS CORPORATE BONOS 41 2.653 -721 221 -69 287 219 5.047 -445 170 -32 2.075 251 4.213 -485 41C. -25 1.312 238 2.993 -612 154 6 332 333 3.833 -71 438 1.20 l 475 9.483 117 797 193 3.883 11 MORTGAGES CONSUMER CREDIT COMMERCIAL PAPER SECURITY RP 1 S MISCELLANEOUS ASSETS 2.719 106 110 0 120 3.154 95 30 0 77 2.788 143 -46 1.845 90 220 106 199 3.938 100 237 218 297 5.510 281 107 14 l 2.681 116 81 229 -100 478 5.674 231 -76 717 235 2.563 -11 5.ll5 147 4.207 112 2.579 213 4.434 91 9.861 -92 10.172 215 4.734 596 3.120 268 11.112 -133 -36 -22 -100 -2 104 -160 -230 -82 114 -99 12 13 14 15 16 SAVINGS DEPOSITS 17 MISCELLANEOUS LIABILITIES 18 DISCREPANCY CUR RENT SURPLUS 2 NET ACQ. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 3 SAVINGS + LOAN SHARES 4 CREDIT MARKET INSTRUMENTS 5 U.S. GOVERNMENT SECURITIES 6 HOME MORTGAGES 7 8 CIJNSUMER CREDIT 9 CltEDIT UNION SHARES https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -244 132 48 9 CREDll UNIONS 117 115 122 160 204 204 253 293 331 374 1.147 100 182 1.331 -7 -161 1.588 -39 -441 2.068 316 3.076 125 904 2.047 216 1.784 3.521 78 626 2 .817 521 153 2.143 3.179 241 -563 3.501 505 300 2.696 3.337 1.728 1 .950 164 416 1.370 343 69 958 -265 3.353 716 130 2.507 5.904 171 613 5.120 1.112 170 3.238 1.428 1.746 2.872 3.268 2.886 3.C06 5.530 34 851 865 82 35 1.499 748 163 39 1.297 1.032 1.209 24 47 249 "3 s 6 7 8 9 10 11 12 l3 14 15 16 17 ------18 968 -179 1 .113 129 53 931 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. ------ 4 161 10 .617 2.185 1.731 615 3.546 2 ,.5 6 l I DECE MBER 1976 INSURANCE + PENSION FUNDS INSURANtE + PENS ION FUNDS 37 SECTOR STATEMENTS OF SAVING ANO INVESTMENT YEAR-TOTAL FLOWS, 1946-55 ------1946 -------- ----- 19#,7 YEAR-TOTAL FLOWS, 1946-55 1948 1949 1950 1951 1952 ----- 1953 1954 1955 LIFE INSURANCE COMPANIES 357 -103 194 146 359 224 403 228 377 243 428 250 607 347 634 207 746 37'J 748 397 3 3.531 -6 3.44<; 246 3-626 -105 3.1106 -1 4.lAtl 91 3.967 80 4. 778 61 5.007 69 5.250 25 5.363 25 5 6 267 3.194 1.046 -108 1.805 519 0 44 3.546 -3-228 263 4.233 2.158 0 120 141 2.26 3.495 -1.514 180 2.573 2.073 0 183 92 317 3.476 -1.812. 100 1.e21 3.196 0 173 249 55 3.642 -2 .452 -10 2.715 3.212 0 177 190 lo4 4.387 -782. 11 3.098 1.937 0 123 166 93 4.700 -423 145 2-706 2.011 0 201 145 270 4.759 -759 548 2.103 2.654 0 213 196 65 5.079 -494 192 1.749 3.469 0 163 194 3. 716 2.630 775 29 276 3.978 2.555 975 57 391 4.616 2-845 1.125 16 630 4 .645 2-908 1.125 82 530 4.791 3.001 1.1 75 -48 b63 5.078 3.070 1.325 39 644 ------------ 98 65 -92 66 4 76 150 - 2.983 -1.595 -5 3.020 1.520 0 43 70 14 15 16 17 18 3.331 2.635 400 -4 300 3.420 2.545 500 -20 395 3.496 2.630 600 0 266 3.725 '2.667 625 45 388 19 260 19 5 94 1 8 9 10 11 12 13 -68 -291 189 PRIVATE PENSION FUNDS 4 5 6 7 8 9 -·------ 469 20 0 565 30 0 591 30 0 636 43 0 1.694 60 0 l .121 65 0 1.658 -19 0 1.902 56 0 2.041 -9 0 2.310 58 0 60 537 250 265 22 -148 95 565 250 295 20 -125 95 591 250 321 20 -125 124 519 1.085 100 965 20 30 253 773 100 655 18 30 478 1.121 33 1.065 29 72 545 1.320 178 1 .099 43 -19 709 1-333 27 1.260 46 8 739 1.340 311 946 83 173 589 250 319 20 -120 C.URRENT SURPLUS PHYSICAL INVESTMENT l 2 NET ACQ. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 4 CORPORATE EQUITJES CREOlT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES STATE + LOCAL OBLlGAllONS CORPORATE BONDS MORTGAGES OPE:N-MARKEl PAPEk POLICY LOANS MISCELLANEOUS ASSETS 3 5 6 7 8 9 10 11 12 13 NET INCREASE JN LIABILITIES LIFE INSURANCE RESERVES PENSION FUND RESERVES PROFIT TAXES PAYABLE MISCELLANEOUS LIABILITIES 14 15 16 17 18 DISCREPANCY 19 NET ACQ. OF FINANCIAL ASSETS DEMAND DEPOSilS + CuRRENCY TIME DEPOSITS CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES CORPORATE BONDS MORTGAGES MISCELLANEOUS ASSETS 1 2. 3 4 5 6 7 8 9 STATE + LOCAL GOVERNMENT EMPLOYEE RETIREMENT FUNDS 3 4 5 6 7 8 9 10 270 8 335 8 438 6 536 10 674 18 760 19 l 261 152 152 0 86 20 . 3 2 325 189 189 0 102 30 4 3 429 213 213 0 129 77 10 7 519 184 184 0 183 135 17 9 647 241 241 0 200 183 23 12 729 420 420 0 163 116 30 1.021 20 1.324 31 1.488 5 1.304 -20 15 19 1.274 491 486 5 220 516 47 24 1.459 536 523 13 273 589 61 28 1.296 303 283 20 347 577 69 992 476 456 20 171 309 36 NET ACQ. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY CORPORATE EQUITIES 3 4 CRE-0 IT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES 5 DIRECT 6 7 AGENCY ISSUES B STATE + LOCAL OBLIGATIONS 9 CORPORA Tt BONDS 10 MORTGAGES OTHER INSURANCE COMPANIES 150 74 300 504 242 214 239 341 351 226 CURRENT SURPLUS 862 189 1.056 182 1.116 42 945 63 1.010 65 871 36 1.289 82 1.443 55 1.124 -52 981 25 NET ACQ. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 34 740 591 78 63 87 913 528 229 149 131 680 413 284 -34 100 74- 71 135 793 427 316 39 11 17 139 586 10 -43 599 594 -12 12 5 117 304 104 14 110 181 928 357 421 14S 5 98 190 1.140 251 748 125 16 58 163 955 112 785 54 4 58 163 701 -137 792 37 9 92 11 12 13 14 759 53 -10 716 911 11 10 824 771 20 100 651 510 46 -55 519 895 47 -34 882 1.130 36 90 1.004- 1.050 137 825 566 106 -109 569 746 103 -81 724 15 849 37 73 739 47 -11 33 330 -258 238 80 -52 -207 -9 4 5 6 7 8 9 8 1 17 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 164 88 2 3 CORPORATE EQUITIES 4 5 CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES 6 STATE + LOCAL OBLlGATIONS 7 CORPORATE BONDS 9 COMMERCIAL MORTGAGES 10 TRADE CREDIT NET INCREASE IN LIABILITIES CORPORATE EQUITY ISSUES PROFIT TAXES PAYABLE POLICY PAYABLES 11 12 13 14 DISCREPANCY 15 DECEMBER 1976 TNSURANCE + PENSION FUNDS INSUR�NCE + HNSlON FUND!> 38 SECTOR STATEMENTS OF SAVING ANO INVESTMENT --------- YEAR-TOTAL FLOWS, 1956-65 -----------------------1956 1957 1958 815 365 758 440 739 393 722 453 772 314 8?8 444 885 338 8tl5 413 914 493 972 5.471 16 5.151 11 5.436 74 5.473 -57 5.744 21 6.186 62 6.764 65 7.031 9 7.8&3 22 8.781 15 -2 5.139 -1.021 235 2 .152 3 .544 0 229 318 43 78 5.072 204 305 :i.'.401 1.826 17 319 212 192 4.968 -293 519 2.076 2.135 101 430 370 352 5.056 -412 388 1.717 2.574 433 5.990 31 138 2.467 2.699 154 501 276 246 6.42� -323 -174 2.825 3.642 33 421 352 546 6.973 -22c; -78 2.319 4.608 -132 485 342 . 708 7.588 -437 -244 2.825 4.861 6 7 8 9 10 613 315 465 5.311 -284 300 2.462 2.432 -101 502 348 538 470 13 5.208 3.017 1.500 607 5.614 3.312 1.975 86 241 5.374 3.152 1.275 -16 963 5.713 3.354 1.400 -34 993 6.061 3.642 1.375 54 990 6.517 4.106 1.675 -6 742 7·.190 4-.312 1.950 103 825 7.922 664 4.892 2.651 1.600 2 639 2.015 -20 1.176 25 59 118 410 88 -89 -156 -102 -272 -326 1<, 1 CIARENT SURPLUS 2 PHYSICAL INVEST"IENT 3 NET ACO. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 4 5 6 7 8 9 10 11 12 13 CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES STATE + LOCAL OBLIGATIONS CORPORATE BONDS MORTGAGES OPEN-MARKET PAPER POLICY LOANS M ISCELLANEOUS ASSETS 14 NET INCREASE IN LIABILITIES 15 16 17 18 LIFE INSURANCE RESERVES PENSION FUND RESERVES PROFIT TAXES PAYABLE MISCELLANEOUS LIABILITIES YEAR-TOTAL FLOwS, 1956-65 -----------------------------1962 1963 1959 1960 1961 1965 1964 ---------------------LIFE INSURANCE COMPANIES ------------------------ !;.046 3 .167 1.175 40 19 DISCREPANCY 4.84 6 -526 103 2.672 2.247 0 350 251 84 176 PRIVATE PENSION -----------------1 NET ACO. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 2 TI"IE DEPOSITS 3 4 5 6 7 8 9 CORPORATE EOUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES CORPORATE BONDS MORTGAGES MISCELLANEOUS ASSETS 439 45 4.691 3 4 !, 11 l,l 14 15 16 n la FUNDS 2.729 0 0 3.040 51 0 3.101 30 0 3.663 39 0 -3.961 11 0 3.939 114 0 4.181 47 0 4.253 66 0 5.468 5.411 1 0 0 3 941 1 .559 -191 1 .622 128 1.135 l.772 l.381 1.656 l.743 1.734 1.505 l59 34 1.243 2.258 l.474 32 l.183 259 93 2.198 l.71t5 210 1.219 316 191 2.110 1.927 124 1.459 344 90 2.21i 2.348 144 1.646 558 789 3.1z.. 1.905 -199 4 l.862 134 82 1.946 1.798 -128 l.614 312 206 1.497 229 -224 -8 ------- 244 247 147 -------- 119 49 607 333 l � b 1 8 'i ST 4 TE + LOCAL GOVERNMENT EMPLOYEE RETIREMENT FUNDS 1 NET ACQ. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 'l 3 4 5 6 7 8 9 10 CORPORATE EOUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES DIRECT AGENCY ISSUES STATE + LOCAL OBLIGATIONS CORPORATE BONDS MORTGAGES 1.274 1.675 47 1.770 7 1.926 -23 2 .158 22 2.381 34 2.356 30 2.�60 6 3.040 -2 3.294 6 34 51 1.577 144 114 30 1.705 -17 -37 20 58 75 l.874 470 86 2.050 299 152 2.195 197 2.129 209 2.3'45 362 410 352 2.936 145 1.102 196 273 2.769 554 52v 34 -404 2.161 lt58 16 1.?24 287 278 9 387 473 n 429 859 424 441 29 288 860 256 249 50 155 l.138 458 424 164 89 75 -143 l. 728 446 300 124 -459 1.818 346 -48 -500 2.113 370 ------------- OTHER INSURANCE COMPANIES CUI. RENT SUR PLUS 2· NET ACO. OF FINANCIAL ASSETS 3 DEMAND DEPOSITS + CURRENCY 4 5 6 7 8 9 10 CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES STATE + LOCAL 08Ll�ATIONS CORPORATE BONDS COMMERCIAL MORTGAGES TRADE CREDIT 11 NET INCREASE IN LIABILITIES CORPORATE EOUITY ISSUES 12 PROFIT TAXES PAYABLE B 14 ' POLICY PAYABLES 15 DISCREPANCY MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 234 123 111 -275 2.301 676 -201 61 301 342 339 337 -20 -153 -121 617 -68 933 1.138 73 1.666 1.306 -5 1.367 33 2.011 106 1.023 -39 1.005 -36 1.206 136 125 656 -177 653 180 0 160 134 783 -41 681 144 -1 267 1.224 187 990 61 264 248 183 156 775 122 707 -41 -13 131 103 786 89 358 340 -1 152 87 1.029 -17 379 148 260 1.015 6 973 30 6 414 -343 721 27 9 135 -8 -14 62 -147 749 1.166 66 83 1.011 1.069 65 856 1.258 135 -21 1.144 -43 3:i.' -8 -107 664 148 895 -40 845 87 3 152 59 1.455 280 848 348 -21 208 645 22 165 855 143 921 8 704 1.338 286 -22 1.074 1.341 123 -58 1.276 1.687 85 56 1.546 30 18 -825 295 183 360 79 -6 5 b 7 11 'i 10 -7!> l.046 256 -34 824 994 It ------------ -90 -8 3 4 s I> l 8 � 10 11 12 13 14 15 pi:C EMBER 1976 INSURANCE + PENSJON FUNDS - INSURANC.E + PE�lON FUNDS 39 sEeTOR STATEMENTS OF SAVING ANO INVESTMENT yEAR-TOTAL FLOWS, 1966-75 ---- 1966 ------ YE:AR-TOTAL FLOWS, 1966-75 1967 1968 1969 1970 1971 1972 1973 1974 LIFE INSURANCE: COMPANif:S 1975 ------- 2 l 1.093 523 1.123 633 1.133 746 1.032 806 1 .323 953 l.609 l.394 1.983 904 2.347 l.259 2.919 l.558 2.789 2.287 3 4 8.646 44 8.715 29 9.At2o 106 9.457 -48 9.909 124 12.717 5 14.429 218 lo.868 90 16.565 -72 20.625 -74 268 8.098 -129 -270 2.375 4.596 87 1.439 236 1.017 7.400 -24-4 -115 3.810 2.907 100 9'>2 269 1.357 7.3'-6 -163 1.247 617 2-519 862 1.984 6.980 60 85 1.471 2.3-.& 777 2.239 821 3.t.40 e.1� -119 57 5.466 1.121 628 1.001 918 3.500 9.704 107 3.708 2.459 1.705 6.938 -236 27 1.737 2.052 6.992 1.452 211 938 1.001 3.557 12.304 -234 45 S.853 't.421 23 2.196 917 2.298 12.c;;4t, 109 255 3.988 4.865 1.0e,6 2.663 1.393 1.910 17.126 1.ne 841 9.095 3.124 743 1.605 1.663 14 7.964 4.587 2.100 1. 217 9.180 ... 635 2.925 162 1.458 9.323 4.912 2.925 55 1.431 10.220 5.131, 3.275 112 1.697 12.636 6.101 4.475 18 8.507 4.983 2.000 -111 1.635 2.130 13.616 6.491 4.250 15 2.860 15.431 7.209 5.450 36 2.736 15.355 6.357 o.225 -12 2.785 20.426 7 .550 8.674 -90 4.2<;2 19 -112 282 141 92 681 134 266 -349 151 303 5 6 7 8 9 10 11 12 13 l5 lb 17 t,O 49 ..6 ------------------- 839 -10 4 6• 8S9 -183 142 6.5o2 136 283 6.509 121 152 6.342 9 18 7.136 82 103 7.255 199 -362 6.879 262 -46 8.505 -215 79'> 10.909 -15 2.665 12.813 115 -1.339 4 3.,.79 2.811 -243 2.528 526 650 4.562 86Cjo -427 1-124 172 .712 4.822 1.001 432 645 -16 J53 5.382 79& 36 613 149 135 4.566 2.245 237 2.053 -45 140 8.915 -1.463 -297 -653 -513 -34 7.285 -779 957 -806 -930 157 5.290 2.490 715 2.127 -352 146 2.305 5.820 1.129 4.695 5.772 8.022 5.231 2.780 8 9 --------- -4 134 STATE + LOCAL GOVERNMENT EMPLOYEE RETIREMENT FUNDS 243 4.093 91 4.82.0 143 5.488 -12& 6.393 122 6.554 95 8.491 7o c;..480 384 9.697 661 10.955 -117 3 488 3.687 122 -38 160 -144 2..939 770 670 3.332 -817 -950 133 -75 3.737 487 1.317 3.360 381 -244 625 -24 2.64-4 359 1.788 3.828 -328 -48'> 156 :-51 J.994 213 2.137 4.134 -408 -333 -75 -299 4.496 345 3.185 3.274 -1.155 -1.2.08 53 120 3.941 3.677 't.738 163 -398 561 -93 4.486 182 3.411 5.685 -227 -1.088 861 -7l2 5.963 671 2.569 6.467 190 -774 964 -726 6.442 561 2.387 8.685 1.246 589 657 1.889 5.002 548 8 9 10 ------------ .. 3 5 b 7 8 9 lC ll 12 l3 NET INCREASE IN LlAbILilH:S LlFE INSURANCE RESERVES PEt<ISJON FUND KESE:RVES PROFIT TAXlS PAYABLE: MISCELLANEOUS LIABILITIES 14 15 lb 17 18 DISCREPANCY 19 �68 NET ACQ. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY TIME DEPOSITS -------- 4.226 51 5 C.011.PORATE lcQUJl lES CREDJl MARKET JNSTRUMEt<ITS U.S. GOVERNME:NT Sl:CURil IES ST ATE + LOCAL OBLIGATIONS CORPORATE BONOS MORTGAGE:!> OPEN-MARKET PAPER POLICY LOANS MISCELLANEOUS ASSETS 11 1 2 4 NET ACQ. OF FINANC.IAL ASSETS DEMAND DEPOSITS + CURRENCY PRIVATE: PENSION FUNDS 1 2 3 5 6 7 CURRENT SURPLUS PHYSICAL INVESTME:NT CORPORAH EQUllIE: S CREDJl MARHT INSTRUMENTS U.S. GOVERNMENT SECURJllES (.OR PORA TE: BONOS MORTGAGt:S MISCELLANEOUS ASSETS l 2 3 4 5 b 7 Ii 9 IIIET ACQ. OF FihANCIAL ASSElS DEMAND DEPOSllS + CURREIIICY CORPORA Tl EQUllIES 3 4 CREDil MARKH INSTRUMENTS u.�. GOVERNMENT SE CUR ITI E:S 5 DIRE:C T b AGENCY JSSUH 7 6 STATE + LOCAL 08L1GATIONS 9 CORPORATE BONOS MORTGAGES 10 OTHEk INSURANCE COMPANIES 489 ·497 265 20 644 l.'>62 l.756 1.160 -264 -397 2 2.120 8 1.875 3.193 77 3.930 -41 4.532 111 5.665 77 7.130 31 6.356 -13 4.952 54 5.473 100 4 5 391 2.012 201 1.299 571 335 1.306 -80't l.386 705 19 278 755 2-061 -110 300 422 184 3.7o5 -37 l .452 2.305 45 472 1.010 4.227 1.171 1.779 1.110 -2.90 1-244 80', 1.757 ... lt.l lO<t 4.816 -722 -42 1.181 2.372 3.354 -'t2 3.550 -139 -15 643 -494 4.857 388 2.468 2.010 -9 535 -749 5.474 1.470 1.7b0 2.180 64 648 4.054 599 -115 3.570 5.395 't5b 120 5.787 873 20 4.89'. 7.125 948 5 6.172 NET INCREASE lN LlABlllllES CORPORATE EQUITY ISSUi:.S PROFIT TAXES PAYABLE: POLI CY PAYABLES 11 4.819 5.326 538 13 4.775 -149 21 130 571 1.255 DISCREPANCY 15 3 6 l -44 992 a 1 10 249 11 1.868 81 2 1.785 2.188 110 2.076 2.691 2•H -22 2.466 3.9't5 2 51 3.345 3.876 393 65 3.418 -363 810 -237 35 -12 12 13 lit 15 549 MONEY' AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ¾ 3.910 285 -22 291 CURRENT SURPLUS NET ACQ. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 2. 3 4 CORPORATE EQUJllES CREDJl MARKET INSTkUMENTS 5 U.S. GOVERNMENT SEC.URI lIES STATE + LOCAL OBLIGAJlONS CORPORATE BONOS COMMERCIAL MORTGAGES TRADE CREDIT 10 12. 13 14 DECEMBER 1976 FINANCE N.E.C. FINANCE N.E.c. 40 SECTOR STATEMENTS OF SAVJNG ANO INVESTMENT VEik-TOTAL FLOWS, 1946-55 YEAR-TOTAL FLOWS, 1946-55 --------------------------1946 1947 1948 1949 1950 1951 1952 1953 1954 1955 -70 36 175 142 198 U\9 187 23'1 93 -5 1 Cl.RRENT SURPLUS OF GROUP ------------------- FINANCE COMPANIES 1 NET ACQ. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 2 3 CREDIT MARKET INSTRUMENTS 4 MORTGAGES 5 CONSUMER CREDIT OTHF.R LOANS ITO BUSINP:SSI 6 ---------------------- 621 -9 6:'\0 99 584 -53 6?.7 -62 689 61 865 -237 1.121 175 946 -11 847 110 1.042 111 931 75 1.099 -243 1.560 168 l.392 166 1.010 216 541 118 423 -98 287 234 2.158 30 2.128 2'+2 1.455 431 1.744 26 1.718 26 1.567 125 639 -27 666 221 43c; 6 3.964 15& .3.806 527 2.775 504 702 624 161 320 143 9 69 697 597 192 283 121 18 82 1.190 1.039 42.5 435 179 27 124 1.066 933 382 383 168 21 112 1.588 1.364 380 946 38 65 159 512 397 288 -241 350 47 68 1.574 1.295 257 684 354 34 245 1.830 1.537 1...01 -&9 225 73 220 -62 -36 193 -152 -84 58 3.946 3.481 924 2.309 248 39 426 l PHYSICAL INVESTMENT MULTI-FAMILY STRUCTURES NONRESIDENTIAL STRUCTURES 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 4 NET ACQ. OF FINANCIAL ASSETS 5 HOME MORTGAGES 6 MULTI-FAMILY MORTGAGES 7 COMMERCIAL MORTGAGES 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 7 NET INCREASE IN LIABILITIES CREDIT MARKET INSTRUMENTS 8 9 CORPORATE BONDS BANK LOANS N.E.C. 10 OPEN-MARKET PAPER 11 PROFIT TAXES PAYABLE 12 13 MISCELLANEOUS LIABILITIES -----------------------------REAL ESTATE INVESTMENT TRUSTS --------------------------- 2 3 8 MISCELLANEOUS ASSFTS 9 NET INCREASE IN LIABILITIES CORPORATE EQUITY ISSUES 10 CREDIT MARKET INSTRUMENTS 11 MORTGAGES 12 MULTI-FAMILY RESIDENTIAL 13 COMMERCIAL 14 15 16 17 CORPORATE BONDS BANK LOANS N.E.C. OPEN-MARKET PAPER 0 0 0 0 0 0 ------------------------- 0 0 0 0 0 0 0 0 0 0 0 0 -77 0 0 0 C 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 OPEN-ENO INVESTMENT COMPANIES l CUR RENT �URPLUS 4 0 0 0 52 -52 -27 -32 -26 -24 -102 -20& 163 2 148 -2 275 14 212 15 265 45 505 -10 384 23 420 -1 572 -36 143 22 -5 27 0 157 4 12 -8 0 118 32 ·22 10 0 204 57 39 18 0 125 72 25 47 0 179 41 0 41 0 433 82 1 81 0 364 -3 -1 -2 0 297 124 25 99 0 409 199 101 34 64 282 209 96 327 239 297 '531 408 522 780 -------------- C REDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES OPEN-MARKET PAPER MISCELLANEOUS NET SHARE ISSUES 5 � II 10 11 le 13 4 5 I, 7 ', 10 11 12 13 14 1; lo ------------1 7 -46 1 NET ACQ. OF FINANCIAL ASSETS DE"ANO DEPOSITS + CURRENCY 2 TIME DEPOSITS 3 4 5 6 7 0 165 0 CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES CORPORA TE BONDS OPEN-MARKET PAPER 9 NET SHARE ISSUES 0 -111 2 NET ACQ. OF FINANCIAL ASSETS 3 DEMAND DEPOSITS + CURRENCY 5 6 7 8 0 0 l -------------------------------- 4 s l 7 _a MONEY MARKET FI.JiDS 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 402 -74 1.044 82 31� -27 -11 153 -247 -401 364 130 26 25 -130 131 806 390 389 401 -12 1 1.006 1.005 668 337 1 300 296 434 -138 4 SECURITY l!ROKERS ANO DEALERS l NET ACQ. OF FINANCIAL ASSETS 2 DEMAND DEPOSITS + CURRENCY 3 4 5 6 7 8 CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERN"ENT SECURITIES STATE + LOCAL OBLIGATIONS CORPORATE BONDS SECURITY CREDIT 9 NET INCREASE IN LIABILITIES 10 SECURITY CREDIT 11 FROM BANKS CUSTOMER CREDIT BALANCES 12 13 PROFIT TAXES PAYABLE -1 .600 229 -792 -101 -71 485 535 -68 389 145 -279 -30 389 -56 -104 -1.067 -964 0 -103 -658 10 -743 -655 -97 9 42 3 58 4 558 24 2 -31 186 53 -117 -15 185 364 -140 -139 -117 118 -140 523 41 -219 -273 14 40 -71 62 302 396 -156 62 81 -1.607 -1 .610 -1 .654 44 3 -791 -784 -694 -90 -7 485 48 6 514 -28 -1 523 520 469 51 3 376 372 89 283 4 -281 -279 -198 -81 -2 385 375 556 -181 10 MONEY AMOUNTS ARE IN MILLIONS OF DOLLtRS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 123 -68 202 -11 0 154 436 9 10 11 12 13 DECEMBER 1976 FINANCE N.E.C.. ----------- flNAhCE N .E.t. ---------- YEAR-TOTAL FLOWS, 1956-65 --- --- 1956 1957 195& 1959 - 15 -20 -9 -159 1960 -300 1961 1962 1963 -424 -412 ------------ -461 -991 �lb 4.208 4.2.35 390 2-255 1.590 4.954 192. 4.762 542 2.255 1.965 NET AC0. Of FINANCIAL ASSETS DEMAND DEPOSITS + C.URRENCY CREDIT MARKET INSTRUMl:NTS MORTGAGES CW.SUMER CREDIT OTHER LOANS ITlJ P.USlNESS I 5.394 4.750 1.400 2.164 1.186 87 557 NH INCREASE IN LIABILITIES CREDIT MARKET INSTRUMENTS CORPORA TE 80NOS BANK LOANS N.E.C. OPEN�ARKE.T PAPER PROFIT TAXES PAYABLE MISCELLANECJUS LIABILITIES 1964 b -272 28 -300 457 -806 3.652 211 3.441 2.47 1.772 1.422 3.5ee 88 3.500 -36 1.62.8 1.908 1.251 195 1.056 635 218 203 2..354 127 2..221 451 1.606 170 4.2.77 -197 4.474 833 2.226 1.415 1.429 1.206 745 9 452 10 213 -838 10 11 12 13 883 739 1.081 -475 133 2. 142 3.305 2.824 1.177 949 698 66 3.392 2.930 1.379 710 841 2. 460 710 562 150 2.H8 2.334 -40 1.164 1.210 32 372 4.437 3.658 1.075 1.563 1.020 -32 811 4-.083 3.754 1.764 4 5 'i88 ----------- 49 -671 202 -738 -135 -69 -98 41S 548 -136 -30 178 1965 ----------------- FINANCE COMPANIES 1.355 38 1.317 -325 678 96't 3 -------- YEAR-TOTAL FLOWS• 1956-65 3 985 -104 1.005 84 l 2 41 SECTOR STATEMENTS Of SAVING ANO INVESTMENT -2.7 495 1.495 -88 417 CURRl:NT SUkPLUS Of GROUP l 2 3 4 5 b 7 ., lG ll u 13 REAL ESTATE INVESTMENT TRUSTS 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 PHYSIC•L INVESTMENT MULTI-FAMILY STRUCTURES NONRESIDENTIAL STRUC.TURES 2 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 NET ACQ. Of FINANCIAL ASSETS HOM£ MORTGAGES MULTI-FAMILY MORT�AGES COMMl:RCIAL MORTGAGES MISCELLANEOUS ASSETS 5 6 10 11 12 13 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 l 2 2 0 0 0 0 5 14 0 0 0 0 0 0 0 0 4 4 0 0 0 9 NET INCREASE IN LlAblLlTIES CORPORAH E0Ul1Y 1 ssui::s 10 11 CREDIT MARKET INSTRUMENTS 1£ MORTGAGES MULTI-FAMILY RESIOENllAL 13 14 COMMERCIAL 15 0 0 0 0 17 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 l 2 3 4 5 6 1 8 9 lb 0 0 0 0 1 0 0 0 0 0 0 0 (j 5 0 0 ----------- 0 CORPORATE BONDS BANK LOANS N.E.C. OPl::N-MARKET PAPEk 1 3 4 1 0 15 lb 17 OPEN-END INVESTMENT COMPANUS -2.62 -235 -189 -351 -3C,5 -499 -471 2 787 19 835 -5 1.1oo1 69 1.42.0 39 1.049 18 1.671 88 1.250 -23 4 5 0 539 229 21 194 1.. 691 149 4 1 113 35 1.141 197 12.4 155 -82 1.038 343 155 156 32 780 251 63 156 32 1.268 315 69 340 941 332. 3 7 8 -----------------1. 0,.9 l 3 ,. 5 0 0 0 0 0 0 0 1.010 1.596 0 0 0 0 0 0 0 10 11 12 13 7b9 84-Z 290 39 361 -110 1.211 786 136 -9 171 -26 59 44 405 337 2.110 1.121 1.454 2-046 3.272 0 0 0 0 0 0 0 0 0 ------- 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 .0 0 0 0 0 0 0 146 594 99 29 528 24 947 932 -40 585 24 193 486 -200 -421 -20 -200 -201 390 207 100 84 -283 -112 155 80 -13 -178 &7 78 3 -32 660 -66 -125 98 -32 -124 -67 -b6 1.074 136 995 670 190 135 -159 148 -l.ll8 -1.257 -83 752 656 179 306 -226 -293 -240 307 316 493 889 87't 782 92 15 925 960 963 -3 -35 552 523 530 -7 29 9 CURRENT SURPLUS NET ACQ. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY CORPORATE EOUITll� CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES CORPORAH: BONDS OPEN-MARkET PAPER NET SHARE lSSUt:S £ 3 4 5 b ; b 9 NET AC.0. OF FINANCIAL ASSETS DEMAND DEPOSITS + C.URRENCY TIME OEPOSilS CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIE:S OPEN-MARKET PAPER Ml SCHLANEOUS NET SHARE ISSUES 3 5 b 7 8 SECURJlY BROKERS AND DEALERS -579 8 9 1.4"4 2.150 93 0 0 0 0 0 7 8 30 253 -94 -1.122 1.1c,1 MONEY MARkH FUNDS 0 -------------------------- 3 ------------ l .777 49 -855 966 61 -4&8· 2-. 15 34 -337 83 -282 965 -59b -588 -573 -15 -8 136 12.9 111 18 7 569 561 2l2 289 a 56 39 218 -179 17 MONEY AMOUNTS ARE IN MILLIONS Of DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 594 495 342 153 -2 64 8 � 148 l .531 9 -83 --485 139 138 184 -4o l 30 393 360 -546 906 33 NET AC0. OF FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES STATE + LOCAL 08LlGATIONS C.ORPORATE BONDS SECURITY CREDIT NET INCREASE IN LIABILITIES SECURITY CREDIT FROM BANKS CUSTOMER CREDIT BALANCES PROFIT TAXES PAYABLE l 2 5 b 7 8 9 10 11 12 13 DECEMRER 1976 FIN•NCE N.F.:.C. FINANCE N.E.C . 42 SECTO� STATEMENTS OF SAVING AND INVESTMENT ------------------------lff66 1967 1968 ------------- ------- YEAR-TOTAL FLOWS, 1966-75 -1.346 l CUI.RENT SURPLUS OF GROUP -1.214 -2.088 YEAR-TOTAL FLOWS, 1966-7!; 1969 197C 1971 1972 1973 1914 1915 -2.516 -1.307 -171 -956 -1.521 -791 -1.026 9.583 262 9.321 1.691 3.825 3.805 11.120 4.951 1.476 1.467 2.009 ll.474 1.865 5.275 4.334 5.215 230 -1.869 2.177 4.677 2.032 214 1.818 ..:.1.251 851 2.218 4.659 2.665 2.495 633 -463 9 1.985 8.632 6.219 3.622 3.847 -1.250 21 2.392 11.785 9.436 2.956 4.521 1.959 55 2.294 5.504 4.544 1.784 -813 3.573 76 884 1.441 657 2.709 -2.676 624 109 675 13 1.125 371 754 732 241 491 1.063 350 713 3.026 999 2.027 3 FINANCE COMPANIES 2.420 152 2.268 l NET ACO. OF FINANCIAL ASSETS DEMAND DEPOSITS+ CURRENCY 2 CREDIT MARKET INSTRUMENTS 3 4 MORTGAGES CONSUMER CREDIT 5 I:, OTHER LOANS (TO BUSINESS) -564 7 NET INCREASE IN LIABILITIES CREDIT MARKET INSTRUMENTS 8 CORPORATE BONDS 9 BANK LOANS N.E.C. 10 OPEN-MARKET PAPER 11 PROFIT TAXES PAYABLE 12 MISCELLANEOUS LIABILITIES 13 617 99 518 396 1.758 1.074 -349 3.334 2.476 120 -1.164 3.520 -34 892 1.060 594 410 -1.844 2.028 -56 522 471 5.244 77 5.167 641 2.293 2.233 5.144 3.873 188 812 2.873 -1 1.272 8.676 116 8.560 807 2.784 2.975 233 2.742 1.678 533 531 8.914 7.826 915 885 6.026 3.945 2.637 4.969 -------- 48 1.040 ?.073 -75 639 28 1.280 5.235 284 246 4.985 l 2 .. 3 5 6 1 8 9 10 11 u REAL ESTATE INVESTMENT TRUSTS 0 0 0 0 0 0 355 118 237 347 114 233 247 83 164 134 270 4 NET ACO. OF FINANCIAL ASSETS HOME MORTGAGES 5 M ULTI-FAMILY MORTGAGES 6 COMMERCIAL MORTGAGES 7 8 MISCELLANEOUS ASSETS 0 0 0 0 0 0 0 0 0 0 830 35 75 720 0 1.177 178 418 581 0 1.897 392 776 729 0 2.466 180 909 1.210 167 5.022 425 2.041 1.727 829 5.588 670 2.381 2.509 28 -231 -172 165 196 -420 -5.\13 -462 -2.583 -i.751 -317 9 NET INCRE ASE IN LIA8ILITIES CORPORATE EOUITY ISSUES 10 CREDIT MARKET INSTRUMENTS 11 MORTGAGES 12 MULTI-FAMILY RESIDENTIAL 13 COMMERCIAL 14 6 6 0 0 0 0 7 7 0 0 0 0 1.202 436 766 200 65 135 1.533 819 714 230 76 154 2.162 1.463 699 116 39 77 2.931 999 1.932 134 6.312 1.663 480 158 322 6.545 955 5.590 320 105 215 1.146 -324 )..470 169 113 -1.920 -1.559 -361 366 121 245 11 12 13 14 0 0 0 0 0 0 0 566 0 95 389 0 505 78 0 416 374 1.335 2.460 550 3.985 735 159 4-.407 -3.265 0 -846 119 lb 17 l PH'l'SICAL INVESTMENT 2 3 15 16 1T MULTI-FAMILY STRUCTURES NONRESIDENTIAL STRUCTURES CORPORATE BONDS BANK LOANS N.E.C. OPEN-MARKET PAPER --------------- <;UR RENT SURPLUS 2 NET ACO. OF FINANCIAL ASSETS DEMAND DEPOSITS+ CURRENCY 3 4 5 6 7 8 CORPORATE EOUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES CORPORATE BONDS OPE..-MARKET PAPER q NET SHARE ISSUES 404 4.649 45 89 602 780 56 -1.546 -2.3_1 0 -2.370 -1.087 -704 -1.262 -1.008 -417 -1.126 2.482 -6 1.490 151 3.597 122 2.559 -67 1.683 -10 583 139 -1.791 47 -2.219 297 -957 -164 -336 125 953 1 .535 626 361 1.851 -512 -516 2-527 1.180 513 175 1.194 -362 624 -334 -473 -320 -51 277 -1.821 -17 130 158 -305 -2.314 -202 471 -40 100 445 -1 -291 548 1.722 904 -468 178 135 -1.136 675 -43 974 -256 3.722 3.036 5.907 4.929 2.110 1.287 -529 -1.211 -540 790 948 222 449 -872 199 -404 MONEY MARKET Fl.tlDS l NET ACO. OF FINANCIAL ASSETS DEMAND DEPOSITS+ CURRENCY 2 TIME DEPOSITS 3 4 5 6 7 CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES OPEN-MARKET PAPER M ISCELLANEOUS 8 NET SHARE ISSUES 4 5 6 1 8 9 10 15 OPEN-END INVESTMENT COMPANIES -1.240 44 l 2 ---------- 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 2.379 0 1.620 1.266 29 511 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 7S7 112 645 2 694 815 -121 32 0 0 0 0 0 0 0 0 2.379 1.266 4.240 -16 -3.621 -227 -3.342 276 2.292 54 218 363 -938 -1.114 248 -425 -937 -1.566 -32 -210 -104 -74 -32 2.4-80 -3.278 -3.170 -2.155 -1.015 -108 2.191 2.156 1.991 165 35 SECURITY BROKERS AND DEALERS 1 NET ACQ. OF FINANCIAL ASSETS 2 DEMAND DEPOSITS + CURRENCY 936 3.444 206 3.780 475 -3.112 -79 3 112 787 -348 372 -180 361 135 -38 -187 360 -3.529 1.669 554 108 -1.288 -1.599 -3.078 -3.026 -1.006 -2.020 -52 980 980 1.932 -952 0 4 5 6 7 8 CORPORATE EOUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES STATE+ LOCAL OBLIGATIONS CORPORATE BONDS S FCUIUTY CREDIT 9 NET INCREASE IN LIABILITIES 10 SECURITY CREDIT FROM BANKS ll CUSTOMER CREDIT BALANCES 12: PROFIT TAXES PAYABLE 13 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 73 661 12 114 -36 -759 41 370 3.214 841 839 625 214 2 3.225 3.169 820 2.349 56 644 78 2 42 -180 2.841 3.502 3.454 1.033 2.421 48 839 -313 109 2.331 1.362 24 124 ll3 124 2.576 317 212 -116 221 3.721 218 365 -4.336 1.136 1.146 652 494 -10 4.141 4.116 3.925 191 25 -3.406 -3.394 -3.205 -189 -12 -1.362 579 -4 9 10 11 12 13 Ot:CE:MBER 197b MONETARY AND INSURANCE RESERVES MONETARY ANO JNSURANCE RESERVES 43 GOLD, OFFICIAL FOREIGN EXCHANGE:, TREASURY CURRE:NCY, AND INSURANCE RESERVES YEAR-TOTAL FLOWS, 194b-55 ------1947 1946 -------------------2 3 4 6 1 8 ---------------------------------------------------------------YEAR-TOTAL FLOW�, 1946-55 1948 1949 1950 1951 1952 1953 1954 1955 GOLD AND OFFICIAL FOREIGN EXCHANGE HOLDINbS Ill 375 3.347 1.887 333 -1.759 32 416 -l .256 -480 -181 623 159 464 2.162 -63 2.225 1.531 '>l 1.490 164 -19 183 -l.743 -22 -1.121 52 b3 -ll 380 -112. 492 -1.161 -4 -1.157 -zc;e 1c; -317 -40 -17 -23 -248 1-185 356 169 -16 -20 36 -95 -182 0 0 0 0 0- 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -20 -26 6 36 38 -95 -13 -182 -188 6 -141 -1 17 -2 4 34 82 -48 36 91 -55 -21 TOTAL U.S. GOVl. LlAblllTY MONETARY AUTHORJTY ASSE:1 UNALLOCATtD ASSETS - o 0 0 0 0 0 1.185 1.464 -279 356 358 -2. 169 168 -16 -262 246 0 0 0 TOTAL U.S. kESERVES U.S. GOLD STOCK ANO SOR' S U.S. GOVT.-E�. STAB. �UNO MONETARY AUTHORJTY 121 2 3 4 -141 U.S. FOREIGN E:XCHANGE PO�lTION 5 0 OFFICIAL FGN. CURRENCY HLDGS TREASURY MONETARY AUTHORITY 6 1 9 10 11 -248 -248 1 2 3 12.b 223 -97 1 z 3 3.800 1.165 2-635 3.150 605 2.5 45 2.843 213 2.630 2.751 84 2.667 2.945 309 2.636 2.128 173 2.555 2.888 43 2.845 2.982 74 2.908 2.102 -299 3.001 2.905 -165 3.070 LIFE INSURANCE RESERVES: NET CHANGE IN LIABILITIES U.S. GOVERNMENT LIFE: INSURANCE: COMPANIES 3.800 3.150 2.843 2.751 2.945 2.728 2.888 2.982 2.102 2.905 NET CHANGE IN ASSETS 10 1.509 370 1.139 ioOO 469 270 2.223 823 1.400 500 565 335 2-452 823 1.e.29 600 591 431i 2.837 1.040 1.797 625 636 536 3.927 784 3.143 775 1.694 674 3.566 710 2-856 975 1.121 760 4.768 958 3.810 1.125 1.658 1.021 4.881 530 4.351 1.125 1.902 1.324 5.122 4111 4.704 1.175 2.041 1.488 5.628 689 4.939 1-325 2.310 l.304 PENSION FUND RE:SERVES: NET CHANGE IN LIABILITIES U.S. GOV ERNHENT INSURANCE SECTOR LIFE INSURANCE COMPANIES PR IVA TE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS 10 11 1.509 2.223 2.452 2.837 3.927 3.566 4.768 4.881 5.122 5.628 NET CHANGE I N ASSE:TS 11 NET CHANGE IN LlA8ILITIES 5 6 7 8 9 0 1 -2 -82 ------------------------------------ NET IMF POSJTlON U.S. GOVERNMENT ASSET MONETARY AUTHORllY 9 10 ll TREASURY CURRENCY AND SOR CERTIFICATES -28 0 -28 -5 27 -32 -1'6 9 -28 -10 38 -48 24 73 -49 37 103 -66 2 23 l 2 3 INSURANCE AND PENSION FUND RESERVES tHHI IHHI l 2 3 4 6 1 & 9 INTERBANK UAIHS 232 l.919 2.368 -3.&70 2.202 2.112 -112 -164 -1.417 1.223 -3.916 37 1.ne 159 2.375 523 -106 5b 210 -241 -1.284 -43 129 213 HONE. AUTH.-ME:fll. BANK RES. --VAULT lASH 9 925 922 893 -186 -190 -232 -133 -146 4 38 0 -90 -94 -130 0 s 31 881 881 874 3 26 0 -62 -65 -109 0 5 39 0 0 3 4 0 COMMERCIAL BANKING-101AL 4 COMMERCIAL BANKS 5 10 MONETARY AUTHORITIES 6 LOAN� FROM AFFILIATES 1 8 LOANS FROM FGN. BK. AG. DEM. DEP. OF FGN. BK. AG 9 TlHE OEP. OF FGN. 8K. AG 10 0 4 0 2 224 177 1.160 170 2.580 -238 4 -169 -168 -184 0 -11 -12 -27 26 26 3 5 6 7 8 9 10 5 11 0 0 -1 16 0 ll -1 12 232 1.919 13 14 15 -184 2 -186 -27 -45 18 16 416 400 224 117 1. 94-6 l.931 1.760 170 l 17 18 19 20 -1 5 0 -1 22 0 0 6 -32 0 4 34 0 0 0 0 4 3 -133 0 1 12 0 2.112 -112 -164 -1.417 1.223 5 6 -32 -7 -25 893 834 59 -232 -184 -48 -109 -211 108 -146 -1 -32 -114 -130 -127 -3 814 111 97 MONETARY AUTHORITIES F.R. FLOAT LOANS TO MEMBER BANKS 13 14 15 2.363 2-342 2.580 -238 -3.838 -3.876 -3.916 31 1.309 1.280 1.118 159 2.944 2-902 2.375 523 -18 -31 210 -241 -1.287 -1.323 -1.284 -43 4 349 342 129 213 COMMERCIAL BANKING-TOTAL COMMERCIAL BANKS MEMBER BANK RE:SERVES VAULT CASH DEPOSITS AT FGtl. 8K. AG. BANK AFFILIATES--LOANS TO AFFILIATE BANKS 16 -106 FOREIGN BANKING AGENCIES DEMAND DEPOSITS AT BANKS TIME DEPOSITS AT BANKS LOANS TO BANKS 22 23 24 25 0 3 3 4 -3 �7 5b 3 0 0 0 0 0 0 0 0 0 0 0 0 16 ll 15 16 38 34 29 26 42 44 7 -1 4 3 l3 12 0 1 36 5 21 22 0 0 ll 12 2.202 22 0 NET CHANGE IN ASSETS -3.870 21 23 24 25 FOREIGN BANKING AGENCIESDEPOSITS OF BANKS 2 3 -1 0 0 38 0 4 39 0 5 31 0 5 4 0 3 Ill LINES 1 + 2 EXCLUDE INITIAL ALLOCATION OF SDR'S OF 1867 MILLION IN JANUARY 1970, $717 MILLION IN JANUARY 1971, AND tllO "ILLION IN JANUARY 1972. TRANSACTIONS IN SDR 1 S ARE IN LINE 2. ALSO EXCLUDED FROM THE TABLE ARE REVALUATIONS OF FOREIGN CURRENCY HOLDINGS, GOLD, SOR1S, ANO IMF POSITION. THESE ALLOCATIONS ANO REVALUATIONS ARE INCLUDED IN TABLES ON OUTSTANOINGS. 'Oley AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 121 TREASURY GOLD STOCK. 17 18 19 20 2.1 OECEMBER 1976 MONETARY ANO INSURANCE RESERVES 44 YE AR-TOTAL FLOWS, -------- MONETARY ANO INSURANCE RESERVES GOLD, OFFICIAL FOREIGN EXCHANGE, TREASURY CURRENCY , ANO INSURANCE RESERVES YEAR-TOTAL FLOWS, l'i56-65 1956-65 1956 ------- 1957 4 1960 1959 1961 1962 1963 1964 1965 869 1.166 -2.292 -l.036 - 2.145 -606 -1.533 -377 -171 -1.22, U.S. GOVT.--EX. STAB. FUND �ONETARY AUTHORITY 121 305 46 259 799 -33 832 -2.275 -28 -2.247 -1.075 3 -l.07e -1.703 -14 -1.689 -857 -878 21 -890 21 -911 -461 4 -465 -125 0 -125 -1.665 -10 -1.655 3 4 5 TOTAL U.S. RESERVES. 2 U.S. GOLD STOCK ANO SOR'S 3 1958 GOLD ANO OFFICIAL FOREIGN EXCHANGE 1-tOLDINGS 111 U.S. FOREIGN EXCHANGE POSITION 564 367 -17 39 -442 251 -643 84 -46 443 6 7 OFFICIAL FGN. CURRENCY HLDGS TREASURY MONETARY AUTHORITY 0 0 0 0 0 0 0 0 0 0 0 116 116 0 -17 -98 81 113 220 349 72 142 334 15 7 q NET IMF POSITION U.S. GOVERNMENT ASSET MONETARY AUTHCIRITY 367 337 30 -17 -11 -6 39 -442 135 -626 -625 -1 -29 -25 -266 -273 7 94 9 e 10 11 0 0 564 562 2 (1 0 66 -27 -403 -39 ----------- 81 54 41 -4 78 98 -4 6 II 10 11 lREISURY CURRENCY ANO SOR CERTJFICATES 1 TOTAL U.S. GOVT. LIABILITY 2 MONETARY AUTHORITY ASSET 3 UNALLOCATED ASSETS 19 58 -39 36 80 -44 38 81! -50 39 77 -38 -------- 47 87 -40 54 187 -133 20 -18 38 46 24 234 11 -173 197 170 64 35 l 2 3 INSURANCE ANO PENSION FUND RESERVES LIFE INSURANCE RESERVES: 1 NET CHANGE IN LIABILITIES U.S. GOVERNMENT 2 3 LIFE INSURANCE COMPANIES 3.470 303 3 .167 2.738 87 2.651 3.073 56 3.017 3.421 109 3.312 3.228 76 3. 152 3.447 4 NET CHANGE IN ASSETS (HHI 3 .470 2.738 3.073 3.421 3.228 6.041 863 5 .178 1 .1 7!'i 2.729 1.274 6.750 7.305 934 6.371 1.500 3.101 1.770 8.320 6.315 1.600 3.040 1.675 7.564 1.975 3.663 1.926 6.041 6.750 7.305 8.448 5 6 7 8 9 10 PENSION FUND RESERVES: NET CHANGE IN LIABILITIES U.S. GOVERNMENT INSURANCE SECTOR LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS 11 NET CHANGE IN ASSElS IHHI -------- l NET CHANGE IN LIABILITIES 2 3 MONE. AUTH.-MEM. BANK RES. -VAULT CASH 4 5 COMMERCIAL BANKING-TOTAL COMMERCIAL BANKS TO MONETARY AUTHORITIES LOANS FROM AF FILIATES LOANS FROM FGN. BK. AG. OEM. OEP. OF FGN. BK. AG TIME OEP. OF FGN. BK. AG 6 7 8 9 10 435 8.448 884 3.767 125 4.237 3.642 131 4.106 4.416 104 4.312 4.82S 1'34 4.691 3.447 3.767 4.237 4.416 4.825' 8.636 916 7.720 1.400 3.939 2.381 c;93 7.912 1.375 4.181 2.356 9.649 ll.707 7.394 1.275 3.961 2.158 8.488 1.675 4.253 2.560 10.458 1.950 12.095 1.315 10.780 2.075 3.040 3.294 8.320 8.636 8.905 9.649 11 • 707 12.095 926 93 3.354 8.905 1.161 1.249 5.468 INTERBANK CLAIMS 5.411 -160 -716 129 -832 1.360 1.413 -942 1.396 366 54 579 -25 74 -530 -86 -330 -237 -1.093 334 306 343 67 830 -405 -260 801 273 403 319 56 51 -209 -210 516 -277 322 0 -5 -309 0 17 131 0 -356 -37& 0 708 701 0 3 711 0 7 -100 -103 -132 0 3 0 0 0 0 46 0 -216 4 2 0 26 FOREIGN BANKING AGENCIES-DEPOSITS OF BANKS 5 696 4 -73 -59 -150 0 5 86 0 660 543 0 5 112 0 476 525 -44 -248 44 375 227 17 0 5 b 7 8 c; 10 11 ----- 689 -2 .. -41(, 2 3 .. 5 6 0 7 106 0 10 -66 8 9 -12 -14 51 40 -29 -53 22 11 12 NET CHANGE IN ASSETS 689 -160 -716 129 -832 1.360 l.'>13 -91t2 1.396 366 12 13 14 15 MONETARY AUTHORITIES F.R. FLOAT LOANS TO MEMBER BANKS -2 -216 -241 25 -132 -128 701 -150 278 543 453 525 -82 90 -78 -309 -303 -6 125 131 6 -418 -358 -60 13 14 15 16 -613 -530 -86 3 -'584 -57 2 -579 -330 -2.37 -12 -682 -773 -1.093 817 700 306 343 51 937 67 830 40 1.265 1.021 801 273 -53 784 744 403 319 22 I& 21 COMMERCIAL BANKING-TOTAL COMMERCIAL BANKS MEMBER BANK RESERVES VAULT CASH DEPOSITS AT FGN. BK. AG. BANK AFFILIATES--LOANS TO AFFILIATE BANKS 22 23 24 25 FOREIGN BANKING AGENCIES DEMAND DEPOSITS AT BANKS TIME DEPOSITS AT BANKS LOANS TO BANKS 11 17 18 19 20 80 691 638 54 579 5 56 50 -25 74 1 -4 121 TREASURY GOLD STOCK. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 407 -428 334 -14 603 888 -633 -694 -405 -260 -29 0 0 0 0 0 0 0 0 0 53 6 2 0 29 7 91 117 112 0 -49 61 244 0 -5 0 17 0 ·221 46 0 7 4 26 0 3 11 I LINES l + 2 EXCLUDE INITIAL ALLOCATION OF SDR1S OF S867 MILLION IN JANUARY 1970, S717 MILLION IN JANUARY 1971, ANO S710 MILLION IN JANUARY 1972. TRANSACTIONS IN SOR 1S ARE IN LINE 2. ALSO EXCLUDED FROM THE TABLE ARE REVALUATIONS OF FOREIGN CURRENCY H'.)LOINGS, GOLD, SOR1S, AND IMF POSITION. THESE ALLOCATIONS ANO �VALUATIONS ARE INCLUOED IN TABLES ON OUTSTANOINGS. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. 294 4 0 3 86 0 5 5 -44 44 17 lb 17 1� 20 21 ltG 21 0 24 2� 106 -66 23 OECl:MBH 1976 MO NETARY Al'tD lNSUkANCE RESERVES MONETARY Al'tD INSURANCE RESERVE!, 45 GOLD, OFFICIAL FOREIGN EXCHANGE, TREASURY CURRENCY, ANO JMSURANCE RESERVES YEAR-101AL FLOWS, 1966-75 1967 1966 YEAR-TOTAL FLOWS, 1966-75 1968 1969 1970 1971 197L 1973 1974 1975 --------- GOLD AMO OFFICIAL FOREiGN EXCHANGE HOLDINGS 111 -568 -52 (180 1.254 -3.344 -3.065 -742 -209 1.434 554 TOTAL U.S. RESERVES 2 3 -1.170 7 -1.1 n -1.173 -1.615 442 967 967 0 -803 -1.168 365 -1.334 -734 -600 -554 -10 -544 -9 -9 0 172 87 85 13 66 -53 U.S. GOLD STOCK AND SOR'S u.s. GOVT.-EX. STAB. FUMO MOl'tETARY AUTHORITY 121 2 3 4 -571 3 -574 5 3 1.118 2.053 261 -2-�41 -1.731 -188 -200 1-262 541 U.S. FOREIGN EXCHANGE POSITION 5 6 7 8 540 294 246 1.024 295 729 1.183 726 457 -141 -653 -94 -2.152 -442 -1.110 -381 -141 -240 -35 -210 175 -233 -45 -188 -l -3 -1 75 -199 274 OFFICIAL FGM. CURRENCY HLDGS TREASURY MONETARY AUTHOklTY 7 9 10 -537 -529 -8 94 97 -3 870 868 2 1.034 1.037 -3 -389 -375 -14 -1.350 -1.349 -1 -153 -151 -2 33 35 -2 1.265 1.268 -3 466 407 59 NET IMF PO!ITION u.s. GOVERNMENT ASSE:1 MONE:lARY AUTHORITY 422 403 19 445 537 -92 937 959 -22 TOTAL U.S. GOVT. LIABILITY MONETARY AUTHORITY ASSET UNALLOCATED ASSETS 2 3 1.211 LIFE: INSURANCE RE.HRVES: NET CHANGE ll't LIABlllTIES U.S. GOVERNMENT LIFE INSURANCE COMPANIES 3 11 ------l 2 3 899 742 157 - --------- ------------ 683 467 216 416 167 249 272 53 219 622 701 -19 490 476 12 533 686 -153 INSIJkANCE ANO PENSION FUl'tO RE:SERVES --------------------- l 2 3 4.694 107 4.587 5-063 80 4.983 4.621 -14 4.635 4.978 66 4.912 5.242 106 5.136 6.172 71 6.101 6.560 69 6.491 68 7.209 6.425 68 6.357 7.618 68 7.550 4 4.694 5.063 4.621 4.978 5.242 boll2 6.560 1.211 6.425 7.618 14.478 1.253 13.225 2.100 6.899 4.226 11 14.478 13.970 1. 315 12.655 2.000 6.562 4.093 15.590 1.336 14.254 2.925 6.509 4.820 lb.274 1.519 14.755 2-925 6.342 5.4-88 15.590 16.274 13.970 ---------------------------·2.294 b 9 10 11 TREUURY CURRENCY AMO SOR CERTIFICATES ------------------ 5 6 7 8 9 10 ,. 2.672 3.777 1.913 L Nfl CHANGE IN ASSETS IHHI 19.185 2.381 16.804 3-275 7.136 6.393 21-127 2.843 18.284 4.475 7.255 6.554 22.613 2.993 19.620 lt.250 6.8n 8.491 25.570 2.135 23.435 5.450 8.505 9.480 29.570 2.739 26.831 c..225 10.909 9.697 36.088 3.646 32.442 8.674 12.813 10.955 PENSION FUND RESERVES: NET CHANGE IN LJABILJlJES u.s. GOVERMMENT INSURANCE SECTOR LIFE INSURANCE:. C.OMPANJES PklVATE PEIIISION FUl'tOS ST.+LOC. GOVT, RTR. FUNDS 19.185 21.121 22-613 25.570 29.570 36.088 NET CHANGE lN ASSETS IH111 1.985 7.8b4 4.785 -3-291 NET CHANGE ]N LIAB]LJTIES b 7 9 10 11 IMTER8ANK CLAIMS 4.457 5.582 MONE. AUTH.-MEM. BANK RES. -VAULT CASl1 2 3 2 3 1.347 599 1.298 481 767 l.264 220 115 2.065 -213 30638 494 -2.1...1 l.125 1 .413 2.0..0 -1.211 952 209 598 4 5 6 7 8 9 10 348 311! 339 0 -81 60 0 893 904 -59 0 103 860 0 1.746 1.122 1.0lt6 -30 706 0 \) 1.572 1.514 -4 7 585 144 832 0 2.665 2.469 973 97 97 1.247 55 1.450 1.572 -214 309 142 1-288 47 3.001 458 1.573 -39l lc31 -1-243 339 4.411 2.085 -1.598 -410 1.386 2-570 137 5.050 1.908 -2-057 -185 -218 4.259 109 -4.098 -1.222 1.617 0 -10 -2.673 -96 4 COMMERCIAL BANKING-TOTAL 5 COMMERCIAL BANKS b TO MONETARY AUTHORITIES LOANS FROM AFFILIATcS 7 8 LOANS FROM FGN. BK. AG. OEM. O EP. Of FGN. BK. AC. c; TIME DEP. OF FGN. BK. AG 10 11 30 -11 24 58 196 -122 2.543 2.326 3.142 -2.876 FOREIGN BANKING AGENCIES11 DEPOSITS OF bANKS 12 2.294 2.672 3.111 1.913 4.457 5.582 1-985 7.8b4 4.785 -3.291 339 262 77 -59 -27 -32 1.046 999 4-1 -47 -42 -5 973 821 152 -214 82 -296 1.573 -369 1.942 -1 .598 -875 -723 -2.057 -1.098 -959 1.617 1.687 -70 1.955 1.976 1.347 599 30 2.131 1.768 l .298 481 -11 2.731 2.055 767 1.264 24 1.960 399 226 115 58 3.4-84 1.988 2.065 -273 196 5.796 4.010 3.638 494 -122 412 1.527 -2.141 1.125 2.543 9.462 5.779 1.413 2.040 2.326 6.842 2.877 -1.217 952 3-142 -4.908 -2.069 209 598 -2.876 13 14. 15 16 NET CHANGE IN ASSETS MONET ARY AUTHORITJE:S F.R. FLOAT LOANS TO MEMBER BANK� 21 0 0 0 585 97 309 -392 -410 -185 0 COMMERCIAL BAi.KINC.-TOlAL COMMERCIAL BANKS MEMBER BANK RESERVES VAULT CASH DEPOSITS AT FGN. BK. AG. BANK AFFILIAH.S-LOANS TO AFFILIATE BANKS 22 23 24 25 -21 60 0 -81 963 8b0 0 103 676 706 0 -30 976 832 0 144 1.399 1.24>7 55 1.477 1.288 47 142 -723 -1.243 339 181 4.093 2.570 137 1.386 lt.150 4.259 109 -218 -2-839 -2.673 -96 -70 FOREIGN BANKING AGENCIES DEMAND DEPOSJTS AT BANKS TIME 01:POSITS AT BANKS LOANS TO BANKS 17 18 19 20 91 111 LINES 1 + 2 EXCLUDE INITIAL AL LOCATION OF SDR 1 S OF '867 "'ILLIOIII IN JANUARY 1970, S717 MILLION IN JANUARY 1971, AND sno Ml LL JON IN JANUARY 1972. TRANSACTIONS IN SOR'S ARE IN LINE 2. ALSO EXCLUDED FROM THE TABLE ARE REVALUATIONS OF FOREIGN CURRENCY HOLDINGS, GOLD, SOR'S, ANO IMF POSITION. THESE ALLOCATIONS ANu REVALUATIONS AkE INCLUDED IN TABLES ON OUTSTANOINGS. "<lNEY AMOl,NT S ARE IN MILLIOl'tS OF DOLLARS• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 121 TREASURY GOLD STOCK. 12 13 14 15 lb 17 16 19 20 21 22 23 24 25 DECEMBER 1976 K!NEY AND DEPOSITS SUMMARY MONEY ANO OEPOSilS SUMMARY 46 MONEY STOCK ANO TIME AND SAVINGS ACCOUNTS --------- YEAR-TOTAL FLOWS, 1946-55 1946 1947 1949 1948 1950 ---------1951 1952 YEAR-TOTAL FLOW_l>, 1946-55 1953 1954 1955 DEMAND DEPOSJlS AND CURRENCY NET CHANGE IN ASSETS 2 3 4 5 6 7 8 9 10 tolo-lEY STOCK REST OF THE WORLD DOMESTIC SECTORS HOUSEHOLDS NONFINANCIAL BUSINESS ST.+LOC. GOVERNMENTS FINANCIAL SECTORS MAIL FLOAT U.S. GOVERNMENT 11 NET CHANGE IN 8KG. SYSTEM LIAB -14.561 1.142 -513 13 5.245 7.204 6.498 30 4.600 2.293 7.559 -397 7.956 3.786 2.354 867 669 280 3.247 -562 3.809 -1.382 3.396 733 323 739 -1.750 481 -2.2'11 -2.733 275 -405 -nl 2.050 334 303 177 1.660 1.377 -452 1. 829 l. l 23 -243 384 345 220 4.322 210 4.112 1.746 2.209 366 2.954 112 -378 7.095 -335 7.430 4.154 2.076 395 593 212 4.774 250 -1.870 908 236 243 289 5.682 47 5.635 2.407 1.542 451 662 573 -22.120 -2.105 1.23 7 418 -437 109 1.724 -1.347 278 -661 10 1.141 -1.087 -459 -374 -254 -513 63 242 227 -4C6 13 -828 -315 5.?.45 -350 -172 -160 -18 7.204 385 6.498 1.339 142 26 l.171 3C, -93 -552 -130 589 4.600 87 252 64 -229 2.293 153 -198 -85 436 11 12 15 2.229 -1.646 -188 4.063 -576 995 841 733 -359 467 5.595 6.819 553 -222 6.488 123 -795 -322 1.240 4.513 26 146 4.341 2.140 -463 -91 16 17 18 12 13 14 15 MONETARY AUTHORITIES U.S. GOVT. CASH + DEPO SITS FOREIGN DEPOSITS CURRENCY -14.561 -737 -599 -398 260 16 17 18 19 COMMERCIAL BANKING U.S. GOVERNMENT DEPOSITS FOR EIGN DEPOSITS PRiVATE DOMESTIC -13 .824 -21.521 1 7.696 493 NET CHANGE - TOTAL 3 4 5 6 7 8 9 10 11 12 l3 14 15 16 17 18 19 20 21 22 COMMERCIAL BANKING LIABILITY LARGE NEGOTIABLE co l s OTHER AT COMMERCIAL BA��S AT FOREIGN BANKING AGS. A CQUIRED BY: HOUSEHOLDS NONFIN. CORPORATE BUSINESS STATE + LOCAL GOVERNMENTS FOREIGN U.S. GOVERNMENT -1.825 -265 207 5.653 -113 942 5.159 1.582 ----------224 3.353 299 -508 -176 3.130 897 l._246 39 404 544 2.694 2 3 4 5 6 7 8 9 13 u l9 DEPOSITS ANO SAVINGS ACCOUNTS 3.595 2.543 2-981 2.743 4.951 8.192 9.229 10.549 8.�55 3.815 0 3.799 16 1.371 0 1.391 -20 600 0 607 -7 493 336 0 316 20 l.736 0 1.721 15 3.118 0 3.066 52 3.463 C 3.413 50 3.831 0 3.782 49 1.325 0 l.3'37 -12 3.595 0 l.189 0 2.518 0 329 601 2.622 200 462 1.648 16 0 101 227 8 1.765 0 152 -288 2.787 C -18 -9 142 0 152 142 65 54 4 283 0 271 21 21 0 21 0 0 50 0 50 0 0 19 0 19 0 0 -8 0 -8 0 0 -54 -54 0 19 0 0 0 32 0 32 0 0 24 0 0 0 19 24 27 0 27 0 0 -46 13 2.720 1.480 63 1.177 1 .165 12 2.224 946 81 1.197 1.217 -10 1.943 641 93 1.209 1.225 -16 2.488 887 2.407 738 1.520 1.513 7 5.074 1.110 276 3.088 3.007 81 5.766 1.778 337 3.651 3.580 71 6.718 l.963 349 4.406 4.250 156 7.130 1.831 ..09 4.890 4.760 130 16 l .503 1.515 -12 30215 875 225 2.115 1.963 152 6.303 3.433 2.242 2.642 2.454 4.828 7.780 8.213 9.184 8.648 22 179 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -661 -444 4.524 6.535 FINANCIAL INSTITUTIONS SVGS.+LN. ASSOC. MUTUAL SAVINGS BANKS PRIVATE PENSION FUNDS MONEY MARKET FUNDS AT SAVINGS INSTITUTIONS MUTUAL SAVINGS BANKS CREDIT UNIONS SAVINGS + LOAN ASSNS. HELD BY: HOUSEHOLDS . CREDIT UNIONS MEMO: TOTAL OF HOUSEHOLDS TIME + SAVINGS ACCOUNTS 148 --------------------254 TIME 2 -194 159 6 0 470 23 98 149 88 85 141 73 -9 0 0 492 28 -100 -63 -101 -13 -46 0 0 0 2 3 4 s 6 1 a 9 10 ll 12 14 lS 11 18 19 20 21 DECEMBER 1976 MONEY AND DEPOSITS SUMMARY MONEY AND DEPOSlTS SUMMARY 47 MONEY STOCK ANO TIME AND SAVINGS ACCOUNTS --------------------- YEAR-TOTAL FLOWS, 1956-65 ----------------------1956 1957 YEAR-TOTAL F LOwS, 1956-65 1958 1959 1960 l9bl 1962 19b3 l9bolt 1965 DEMAND DEPOSITS AND CURRENCY 1.839 -616 5.726 1.913 1.818 5.884 5-214 4.9&3 8.742 7.179 7 8 9 l.lbO 221 1.539 l.b3b -143 -544 132 458 -807 349 -1.15b -1.151 741 -657 239 -328 5.575 -9b 5.671 2-192. 2-644 -2.17 652 400 l.2.59 134 1. 125 2.4(,3 -2.521 l.694 36 -547 956 -18 974 1-6&6 -l.632. 160. 378 402 5.858 976 4.882 -1.027 3.183 412 1. 162 1.152 3.912 135 3.777 -1-318 3-670 534 957 -66 5.309 2b6 5.043 -332 3.513 1.513 41 308 8.435 959 7.4lt, 4.739 74 l.b32 205 82.6 8.322 125 8.197 7.439 411 -382 383 346 10 79 191 151 654 862 26 1.302 -34b 307 -1-143 11 12 13 14 15 1.839 24 55 -84 53 -616 3b 26 40 -30 5.726 158 -201 -436 445 1.913 562 -146 74 634 1.818 -214 -33 -127 -54 5.884 800 2.5 68 707 5.214 678 90 -2 590 4.963 2..800 264 -76 2.612 8.742 2.052 345 53 1.654 -.119 l.892 -158 -68 2.118 NET CHANGE JIii BKG. SYSTEM LUii MONETARY AUTHORITIES U.S. GOVT. CASH + DEPOSITS F OREIGN DEPOSJTS CURRENCY 11 12 13 14 15 16 11 18 19 1.815 2'> 305 1.48b -652 lb5 309 -1.126 5.5b8 352 -10 5.226 1.351 800 60 491 2.032 895 109 1.028 5.084 1 908 4.175 4.53b 1.212 137 3-187 2-163 -610 342 2..431 6.690 -38 906 5-822 5.287 -985 193 6.079 COMMERCIAL BANKING U.S. GOVERNMENT DEPOSITS FOREIGN DEPOSITS 18 2 3 4 5 b NET CHANGE JN ASSETS MONEY STOCK REST Of THE WORLD DOMESTIC SECTORS HOUSEHOLDS NDNFJNANCJAL BUSINESS ST.+LOC. GOVERNMENTS FINANCIAL SECTORS MAIL FLOAT U.S. GOVERNMENT PIU\IATE DOMESTIC l 2 3 4 5 6 7 8 9 10 le, ll 19 TIME DEPOSITS AND SAVINGS ACCOUNTS 9.428 12-298 lb.862 9.487 15.300 20.752 28.677 29.565 30.445 33.l95 2 3 4 5 2.110 5.409 0 5.473 -64 7.963 0 7.981 -18 1.011 0 1.045 2b 5.835 1.095 4.700 40 9.417 2.128 7.246 43 15.575 2.977 12-593 5 14.409 3.679 10.668 62 14.563 2.706 11.831 26 2.0.108 3.666 16.367 75 6 7 8 9 10 2.300 0 5.213 0 383 -124 -29 5.315 900 806 881 26 2-840 -\00 -410 -839 -42. 2.653 l.500 l .378 284 7.2.92 1.100 908 52 22 13.215 900 985 498 -15 11-256 687 1.643 851 -9 10.510 984 1.719 1.2.55 14.881 2.322 2-374 566 -22 11 12 13 14 15 -65 0 -65 0 0 -34 0 0 -78 0 -78 0 0 43 D 43 0 0 43 0 43 0 -8 -34 35 0 35 0 0 -8 0 -19 0 -19 0 83 0 83 0 -13 0 -13 0 0 , lb 6.889 1.658 467 4.764 4.62.7 137 8.899 2.347 488 6.0b4 5.728 336 8.416 l .237 572 6.607 6.494 113 9.465 l.366 540 7.559 7.565 -6 11.335 1.934 658 8.743 8.431 312 13-102 3.059 692 9.351 9.18b 165 15.176 3.270 834 11.072 10.945 127 15.88.2 .i..243 l.060 10.579 10-389 190 13.087 18 19 20 21 7.318 1.844 468 5.006 4.840 166 22 9.452 u.965 13.878 11.143 12..124 18.315 26.152 20.305 20.202 2.7.952 17 0 2.054 56 44 -142 -27 0 0 MONEY AMOUNTS ARE IN MILLIONS OF OOLLAkS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -2 3 0 0 0 12 0 3.594 995 8.498 8.482 16 NET CHANGE - TOTAL COMMERCIAL BANKING LIABILITY 2 LARGE NEGOTIABLE CD'S 3 4 OTHER AT COMMERCIAL BANKS AT FOREIGN BANKING AGS. 5 ACQUIRED BY: 6 HOUSEHOLDS NONFIN. CORPORATE BUSINESS 7 8 STATE + LOCAL GOVERNMENTS 9 FOREIGN 10 u. S. GOVE-RNMENl FINANCIAL INSTITUTIONS SYGS.+LN. ASSOC. MUTUAL SAYINGS BANKS PRIVATE PENSION FUNDS MONEY MARKET FUIIIDS Al SAVINGS INSTITUTIONS MUTUAL SAVINGS BANKS CREDIT UNIONS SAVINGS + LOAN ASSNS. HELO BY: HOUSEHOLD S CREDll UNIONS MEMO: TOTAL OF HOUSEHOLDS TIME + SAVINGS ACCOUNTS 11 12 13 14 15 lb l7 18 19 20 2.1 2.2 DECEMl'\ER 1976 MONEY AND DEPOSITS SUMMARY MONEY AND DEPOSITS SUMMA�Y 48 MONEY STOCK AND ltME ANO SAVINGS ACCOUNTS -------------------------------------- --------- YEAR-TOTAL FLOWS, 1966-75 1966 NET CHANGE IN ASSETS 2 3 4 5 6 7 8 q 10 MONEY STOCK REST OF THE WORLD DOMESTIC SECTORS HOUSEHOLDS NCNFINANCIAL BUSINESS ST.+LOC. GOVERNMENTS FINANCIAL SECTORS MAIL FLOAT 16 17 18 19 COMMERCIAL BANKING U.S. GOVERNMENT DEPOSITS FOREIGN DEPOSITS PRIVATE DOMESTIC 1968 1969 1970 1971 1972 1973 ------------------- 19H 1975 DEMAND DEPOSITS AND CURRENCY 4.16(, 14.994 14.828 7.913 12.374 17.53't 23.982 lt>.643 7.037 lbo081 4.535 380 4.155 2.370 -682 848 -342 1.961 13.877 327 13.550 9.750 2.632 1.158 512 -502 16.121 561 15.560 10.883 2.914 -215 765 1.213 7.298 32/t 6.974 2.428 691 1.413 -350 2.792 9.872 521 9.351 8.785 1.052 -2.854 46/t 1.904 14.406 -193 14.599 9.004 1.691 1.026 850 2.028 24.382 1.580 22.802 14.563 1.680 1.565 1.183 3.811 18.151 2.892 15.259 12.495 573 -528 1.148 1. 571 11.656 2.916 8.740 4.980 -2 .410 -591 lt59 6.302 13.304 116 13.188 6.734 2.896 325 1.324 1.909 U.S. GOVERNMF.NT 11 NET CHANGE IN BKG. SYSTEM LIAB MONETARY AUTHORITIES 12 U.S. GOVT. CASH + DEPOSITS 13 FOREIGN DEPOSITS 14 15 CURRENCY 1967 YEAR-TOTAL FLOWS, 1966-7; 2 3 4 5 6 7 8 CJ -36q 1.117 -1.293 615 2.502 3.128 -400 -1.508 -4.619 2.777 1() 4.166 2.376 164 204 2.008 14.994 2.889 875 -9 2.023 14.828 1.543 -1.069 81 ? .531 7.913 3.27q 571 -100 2.808 12.374 3.068 -382 -31 3.lt81 17.534 4.408 897 119 3.392 23.982 3.210 -1.106 -96 4.412 16.643 3.374 -498 -69 3.941 7.037 6.956 439 223 6.294 16.061 10.637 4.470 -39 b.206 11 1.790 -533 176 2.147 12.105 242 336 11.527 13.285 -n!4 480 13.029 4.634 9.306 2.884 552 5.870 13.126 2.231 -312 11.207 20.772 706 1.676 18. 390 13.269 -1.010 2.961 11.318 81 -5.05& 2..693 2.446 5.444 -1.693 155 6.982 16 " 424 4.166 lt 13 1415 17 18 19 TIME DEPOSITS AND SAVINGS ACCOUNTS NET CHANGE - TOTAL 6 7 8 9 10 COMMERCIAL BANKING LIABILITY LARGE NEGOTIABLE CD'S OTHfq. AT COMMERCIAL BANKS AT FOREIGN BANKING AGS. A CQUIRED BY: HOUSEHOLDS NONFIN. CORPORATE BUSINESS STATE + LOCAL GOVERNMENTS FOREIGN U.S. GOVERNMENT 11 12 13 14 15 FINANCIAL INSTITUTIONS SVGS.+LN. ASSOC. MUTUAL SAVINGS BANKS PRIVATE PENSION FUNDS MCNEY MARKET FUNDS 2 3 4 ' •T SAVINGS INSTITUTIONS MUTUAL SAVINGS BANKS CREDIT UNIONS SAVINGS + LOAN ASSNS. HELO BY: HOUSEHOLDS CREDIT UNIONS "4EMO: TOTAL OF HOUSEHOLDS 22 TIMF. + SAVINGS ACCOUNTS 16 17 18 19 20 21 20.287 40.709 33.523 -1.538 55.011 81.889 88.350 76.758 79.ll6 89.908 13 .289 -592 13.843 38 23.914 4.671 19.132 111 20.721 3.138 17.429 154 -9.465 -12.549 2.853 231 37.965 15.155 22.434 376 41.363 8.685 32.418 260 42.343 9.760 33.045 -462 �.934 20.012 30.316 606 56.999 28.515 28.297 187 30.122. -10.148 39.'740 530 2 3 11.919 -390 1.276 332 -30 18.687 1.079 2.430 1.266 47 18.125 -626 3.218 -270 101 726 -5.404 -5.890 1.380 -157 26.955 1.695 10.005 -1.664 252 28.142 4.162 7.159 329 57 25.573 5.981 6.777 2.809 86 39.471 1.133 7.224 2.956 -167 35.497 3.841 5.702 7.014 38 25.749 1.887 -1.974 707 95 6 7 182 80 -40 142 0 405 88 34 283 0 173 69 -48 152 0 -120 -37 -101 18 0 722 375 244 103 0 1.514 1.724 152 -362 0 1.117 978 185 -46 0 317 -663 186 794 0 lt.907 412 210 2.665 1.620 3.658 4.430 56 -1.339 511 6.998 2.563 851 3.584 3.763 -179 16.795 5.115 1.032 10. 648 10.466 182 12.802 4.207 1.209 7.386 7.547 -161 7.927 2.579 1.428 3.920 4.361 -441 17.046 4.434 1.746 10.866 10.450 416 40.526 9.861 2.872 27.793 26.889 904 46.007 10.112 3.268 32.567 31.941 626 27.1124 4.734 2.886 20.204 20.767 -563 22.111 3.120 3.006 15.991 16.256 -265 59.78b 11.112. 5.530 43.064 42.471 613 16 17 18 19 20 19.096 35.300 31.088 9.094 43.585 67.764 70.954 67.858 57.879 114.922 2.2 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 5 a 9 10 11 12 13 14 15 21 ot:C EM&ER 1976 u.s. GOVT. SECURITIES U.S. G0\11. SECURITIES YEAR-TOTAL FLOWS, 1946-55 1947 1946 ----------------- 1948 ---------------------1 2 3 4 5 6 2.95 116 0 1955 2..381 2-398 -1 7 172 -807 979 1.463 1.025 2.488 -557 252 -809 -301 -471 170 4.964 92. 4.892 5.393 198 5.195 2.313 595 1.118 -80 2.63 -343 1.126 0 -20 0 -216 0 -622 101 0 -137 438 0 381 1.631 0 1.627 68 85 0 252 570 -1.297 275 -112 381 25 227 lt7 -3 -35 18 91tl 38 2.381 1 260 260 0 0 112 19 87 87 0 0 -l'tl -147 0 FEDERAL RESERVE SYSTEM TREASURY ISSUES AGENCY ISSUES 234 FORE:lGN SHORT-TERM MARKETABLE: OTHER 12 101AL PRIVATE DOMESTIC TREASURY ISSUES AGENCY HSUlS 13 14 15 79 11 ---0 ------- 1954 1.02.0 1-601 -8.157 10 19�3 5.422 5.365 57 2.095 -9.279 0 -37 1952 -438 238 -23.2'>6 1.216 -24.'>62 9 1951 -2.00 -7.115 -7.231 116 8 1950 -------------------- YEAR-TOTH FLOWS, 1946-55 -773 -1-179 406 295 -7-194 1949 -------------------------- TOTAL Ncl ISSUES, BY SEClOR ANO TYPE -23.154 -2.3.449 92 0 -203 7 49 U.S. GOVERNMENT SECURITIES MARKET SUMMARY -5.430 -5.709 27', -6.556 847 4 2..468 Z.577 -109 89 3 11 10 7.024 4 1 TOTAL U.S.GOVERNMENT SECUR. U.S. GOYERNMENl SPON. AGENCIES + MTG.PC.ULS BY INSTRUMENT: TREASURY ISSUi:S HOUSEHOLD SAYINGS 80NOS TRE:AS. EXCL. SAYINGS BONDS OTHER BUDGET AGENCY ISSUES LOAN PARTICIPATIONS Ill SPONS. AGENCY ISSUES 121 MORTGAGE POOL SECUR. 121 1 2 3 "' 5 6 1 8 9 10 11 TOTAL NET PURCHASES, 8Y SECTOI\ ANO TYPE -23.154 0 5 5 0 0 -7.115 0 -31 -31 0 0 -5.430 0 128 -912 -912 0 -791 -791 0 774 11 .. 11 12 -723 -453 -270 -690 -752 62 -30 13 14 15 -21.524 -21.616 92 -5.603 -5.682 79 lb 17 18 19 20 -7.490 -7.421 1.216 -8.637 -69 21 22 23 24 25 26 TOTAL HOLDINGS, &Y SECTOR U.S. GOVT. IAGENC Y SEC. I SPONSORED CREDIT AGENCIES TREASURY MARKi:1A6LE: FHLB SPECIAL ISSUE AGE:NCY SECU� 1T 11:S 0 -77 -77 0 0 -200 5 55 55 0 0 5.lt22 -3 67 61 0 0 7.024 -2 94 1.893 1.893 0 3.023 3.023 0 897 -983 0 1.211 1.217 0 158 110 1.195 251 944 -80 601 -681 1.068 765 303 485 243 - 83 9 1.060 531 529 -6.770 -7.&96 1.126 6.651 6.671 -20 -3.784 -3.568 -216 -3.203 -3.2.99 96 3.393 2.952 441 5.230 3.597 1 .633 2.860 2..793 67 -847 -1.oeo 233 1. 325 1.267 2..085 -818 58 1.311 1.181 1.601 -420 130 2-980 3.038 1.463 1.575 -58 3.030 3.034 252 2.782 271 113 -471 82.'i 913 -2.326 -2.468 158 7.380 6.619 263 6.356 761 PRIVATi: DOMESTIC NONFll'tAN. TOTAL TRH�URY ISSUES SAVll'tGS 60hDS IHHI OTHER TREASURY ISSUES AGE:NCY JSSUl:S 16 -4 3.276 3-217 198 3-019 -1.409 -1.339 1.216 -2.555 -10 1.139 1.082 2.085 -1.003 57 314 185 1-601 -1-416 12.9 1.01 0 -603 -893 -1.552 -1.558 595 -53 657 821 19& 623 -164 2.370 1.860 263 1.597 510 HOUSEHOLDS TOTAL TREASURY JSSUES SAVINGS BOl'tDS OTHER TREASUR'1 ISSUES AGENCY ISSUES 21 22 23 24 25 28 27 -5.72.9 -5. 729 0 -488 0 562 0 1.844 .o NONFIN. CORPORATE 8US1NESS 26 27 TREASURY ISSUES 2i! AGENCY ISSUi:S 29 30 31 -353 l -352 674 673 435 434 1 66 65 l 32 33 34 -15.778 -15.935 157 -5.659 ➔-679 20 -5.721 -6.649 928 4.491 4.413 78 35 36 37 -15.669 _..,. -65 -5.539 -24 -96 -5.671 4.461 38 39 40 1.744 1. 740 -1.269 -1.210 -2.360 l 2 3 t, 7 8 9 10 4 128 0 0 0 438 468 -4418 562 l l 23 -73 -2.428 68 2.468 0 -3 -3 0 0 -4.448 -4.448 0 268 1.129 1.463 -334 -59 1.844 -773 584 897 92 737 8-1> 476 529 94 0 0 568 59 -983 0 595 -3.063 l't2 -850 -5 -1.050 -471 -579 157 3.173 3.173 0 783 0 -1.006 -1.006 0 1.593 1.593 0 -1.717 -1.111 4.058 3.758 300 460 381 380 1.443 1.306 137 1.026 803 223 9't3 807 136 952 1.001 -49 2-159 -598 152 459 l 783 l 92 437 -2.153 6 C, �-943 -192 -532 -470 -62 1.856 303 l .581 90 1.491 5.574 5.624 -8.101 -7.432. -669 74 -44 -5.170 62 -27 -565 75 -42 2.097 43 1.599 -10 5.505 55 14 -8.058 -25 -8ZO -780 -40 -1.679 -1 .659 -20 -2.942 -2.942 321 267 373 290 83 -388 -363 -126 -267 141 -5.135 0 19 54 -8 -50 -2'5> -18 s. + L. GCIVi:RNMENlS TREASURY lSSl.lES AGENCY ISSUES COMMERCIAL BANKlN� TREASURY ISSUES AGE:l'tCY lS!UES tOMMERCIAL BAl'tKS FOREIGN bANKING AGENCIES BAl'tKS IN U.S. POSSE:SSIOl'tS PRIVATE NONBAN� Fll'tANCE TREASURY 1ssu·1:s AGENCY ISSUES Ill WHERE NOT SHOWN SEPARATELY, LOAN PARTICIPATIONS ARE: INCLUDED WITH AGENCY ISSUES. 121 THESE ISSUES ARE OUTSIDE THE BUOGEl ANO OUTSIDE THE U.S. GOVERNMlNT SECTOR IN FLO. OF FUNDS ACCOUNTS. THEY ARE INCLUDED IN CREDIT MARKET DEBT OF FINANCIAL INSTITUTIONS. MONEY AMOUNTS ARt IN MILLIONS OF DOLL4RS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis i 3 4 5 6 1 8 9 10 11 17 18 1c; 20 29 30 31 32 33 34 3'5> 36 31 38 39 40 DECE-f'IBER 1976 U.S. GOVT. SECURITIES 50 u.s. U.S. GOVT. SECURITIES GOVERNMENT SECURITIES MARKET SUMMARY --------------------- YEAR-TOTAL FLOWS, 1956-65 1956 1957 ------------- l TOTAL U.S.GOVERNMENT SECUR. U.S. GOVERNMENT SPON. AGENCIES + MTG.POOLS BY INSTRUMENT: 4 TREASURY ISSUES HOUSEHOLD SAVINGS BONDS 5 TREAS. EXCL• SAYINGS BONDS 6 2 3 7 8 9 10 11 OTl-tEllt BUDGET AGENCY ISSUES LOAN PARTICIPATIONS 11 l SPONS. AGENCY ISSUES 12) MORTGAGE POOL SECUR. 12) 10 11 12 13 14 15 1964 U65 -927 -2.351 1.424 8.958 8.864 94 8.971 6.762 2.209 -1.728 -2.466 738 7.681 6.979 702 8.370 6.733 1.637 5.559 3.911 l.648 6.711 6.199 512 3.899 1.745 2.154 l 2 3 -5.561 -94 -5.467 -2.674 -1.909 -765 8.945 -523 9.468 7.411 -1.796 9.207 -2.205 -265 -1.940 6.672 803 5.869 6.190 523 5.667 4.082 1.181 2.901 5.344 911 4.433 1.297 635 662 5 221 0 -255 1.747 802 -479 13 -575 494 1.560 0 -649 477 -747 486 l.009 50 257 2.180 45 498 1.477 35 -206 1.367 10 845 2.602 50 398 7 443 33 1.400 24 77 17 2.195 14 740 -2 614 88 1.514 123 1.536 112 413 99 1.909 245 10 .. b 8 9 11 TOTAL NET PURCliASES, BY SECTOR ANO TYPE -1. 728 35 142 142 -115 0 7.681 -2 -75 -75 0 0 8.370 -35 373 373 l 0 5.559 29 412 367 274 45 6.711 -17 -442 -300 40 -482 3.899 33 134 121 268 13 F EDERAL RESERVE SYSTEM TREASURY ISSUES AGENCY ISSUES 130 130 0 -677 -677 0 2.109 2.109 0 301 301 736 736 0 1.497 1.497 0 1.939 1.939 0 2.773 2.773 0 3.451 3.451 0 3;724 3.724 0 8 9 F OREIGN SHORT.;.TERM MARKETABLE OTHER 848 942 178 220 -42 ,;4 1 93 3.017 2.103 914 576 222 354 447 -635 1.082 1.322 2.184 -862 590 -556 1.146 475 109 366 -158 -889 731 10 ll 12 -6.597 -6.829 232 -349 -2.092 1.743 6.656 6.633 23 5.554 3.993 1.561 -3.217 -3.659 442 5.814 4.803 1.011 4.771 Z.556 2.215 1.755 352 1.403 3.24't 1.900 1.344 166 -2.390 2.556 13 14 15 -l.9M -2 .392 522 162 -1.094 -1.909 815 1.256 -2.806 -2.238 -523 -1.715 -568 13.338 10.973 -1.796 12.769 2.365 -5.736 -5.294 -265 -5.029 -442 -1.035 -1.167 803 -1.970 132 1.428 1.103 523 580 325 4.793 3.897 1.181 2.716 896 1.058 588 911 -323 470 3.338 1.790 63!> 1.155 1.548 16 -94 1.154 1.212 -94 l .366 482 636 -49 -l.909 1.860 685 -3.290 -2.729 -523 -2.206 -561 5.939 4.211 -1.796 6.007 1.728 -298 156 -265 421 -454 677 498 803 -305 179 2.268 1.83 5 523 1.312 433 5.412 5.057 1.1u 3.876 355 2.746 1.517 911 606 1.229 2.169 931 635 296 1.238 21 22 23 -4.463 -4.563 100 -729 -1.129 400 -zoo 303 503 6.129 5.529 600 -5.953 -5.e69 ➔4 -1.524 -1.656 132 -1.762 -1.789 27 -1.54-6 -1.879 333 -1.555 -947 -608 -1.695 -1.933 238 26 27 28 745 805 -60 255 84 171 181 -12 193 1.270 1.233 37 515 419 96 -188 -9 -179 922 1.057 -135 927 719 208 -133 18 -151 2.864 2.792 72. 29 30 -3.455 -2 .972 -483 -323 -334 11 8.754 8.179 575 -8.828 -7.707 -1.121 2.464 2.067 �97 6.288 5.610 678 1.251 -162 1.413 -2.934 -3.U5 331 304 -219 523 -2.790 -3.378 588 32 33 3" -3.523 53 15 -302 -31 10 8.712 23 19 -8.825 16 -19 2.463 -19 20 6.253 29 6 1.269 -30 12 -2.863 -107 36 274 43 -13 -2.856 67 -1 35 36 37 -1.178 -1.371 193 -188 -664 476 708 692 16 1.044 727 317 55 -432 487 561 360 201 2.092 1.615 477 -104 -280 176 1.882 1.531 351 -382 -802 420 T OTAL PRIVATE DOMESTIC TREASURY ISSUES AGENCY ISSUES HOUSEHOLDS TOTAL TREASURY ISSUES SAVINGS BONDS OTHER TREASURY ISSUES AGENCY ISSUES 26 27 28 NONFIN. CORPORATE BUSINESS TREASURY ISSUES AGENCY ISSUES 38 39 40 1963 8.971 -1 100 100 0 0 23 24 25 35 36 37 1962 8.9'58 -10 109 109 115 0 21 32 33 34 1961 -927 4 -83 -83 50 0 PRIVATE DOMESTIC NONFINAN. TOTAL TREASURY ISSUES SAVINGS BONDS IHH) OTHER TREASURY ISSUES AGENCY ISSUES 29 30 31 1960 -5 .340 -11 290 290 0 0 16 17 18 19· 20 :n 1959 TOTAL NET ISSUES, BY SECTOR AND TYP'E -5 .340 -5.816 476 -------------- l TOTAL HOLDINGS, BY SECTOR 2 U.S. GOVT. !AGENCY SEC. l SPONSORED CREDIT AGENCIES 3 TREASURY MARKFTABLE 4 FHLB SPECIAL ISSUE 5 6 AGENCY SECURITIES 7 B 9 1958 --------- YEAR-TOTAL FLOWS, 1956-65 s. -94 -2 .486 + Lo GOVERNMENTS TREASURY ISSUES AGENCY ISSUES COMMERCIAL BANKING TREASURY ISSUES AGENCY ISSUES COMMERCIAL SANKS FOREIGN BANKING AGENCIES BANKS IN U.S. POSSESSIONS PRIVATE NONBANK FINANCE TREASURY ISSUES AGENCY ISSUES 0 11 l WHERE NOT SHOWN SEPARATELY, LOAN PART ICIPATIONS ARE INCLUDED WITH AGENCY ISSUES. 121 THESE ISSUES ARE OUTSIDE THE BUDGET ANO OUTSIDE THE U.S. GOVERNMENT SECTOR IN FLOW OF FUNDS ACCOUNTS. THEY ARE I NCLUDED IN CREDIT MARKET DEBT OF FINANCIAL INSTITUTIONS. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis l 2 3 4 5 6 l 17 18 19 20 24 25 31 38 39 40 ocCEMBE R 1976 u.s. GOVT• SECU RITIES u.s. U.S. GOVERNMENT SECURITIES MARKET SUMMARY ------ ----1966 1967 ---------�----- y[:AR-TOTAL FLOWS• 1966-75 GOVT. S ECURlTJE.S 51 ----------- YEAR-TOTAL FLCJWS, 1966-75 1968 1969 1970 1971 1972 TOTAL NEl ISSUES, BY SECTOR ANO TYPE ---------------------1973 1974 1975 l 2 3 9.194 3.691 5.503 13.183 13.063 12.0 17.�1 13-634 3.761 6.161 -3.583 9.744 21-711 11.926 9.785 30.732 24.819 5.913 23.699 15.300 8.399 28 .274 8.343 19 .931 34.465 12.104 22.361 97.975 85.294 12.6&1 4 5 6 2.336 554 1. 782 8.908 910 7.938 10.474 647 9.&27 -1.279 -96 -1.183 12-884 319 12..565 26.020 2.321 23.693 14-262 3.251 11.011 7.907 2.687 5.220 12.027 2-984 9.043 85 .848 4.025 81.823 7 8 9 6.858 105 1.250 4.275 117 4.03d 6.927 1.41)4 1.676 7.440 -374 -1 .930 8.827 319 -1.277 4.712 6� -1.841 9.437 1.982 -944 20.367 746 -310 22.438 143 -66 12-127 -270 -284 10 11 5.058 445 -554 674 3-229 538 9.066 678 8.231t 1.551 1.142 4.771 3.521 4.878 lo.295 3.636 16.602 5.759 2.342 10.339 ----------- TOTAL U.S. GOVERNMENT SE.CUR. u. s. GOVERNMENT SPOfil. AGENCIES + MTG.POOLS BY INSTRUMENT: TREASURY ISSUH HOUSEHOLD SAVINGS BONDS TREAS. EXCL. SAVINGS BONDS OTHER BUDGET AGi:NCY ISSUES LOAN PARTICIPATIONS (L) SPONS. AGENCY lSSUtS 121 MORTGAGE POOL S ECUR. 1£) 2. 3 4 5 0 7 8 9 LO 11 TOTAL NET PURCHASES, BY SECTOR ANO TYPt: TOTAL HOLDINGS, BY SH TOR u.s. GOVT. I AGENC.Y UC. I SPONSORED CREDIT AGtNCIES TREASURY MARKETABLE FHL8 SPECIAL ISSUE AGENCY SECURJl I ES 5 6 9.194 1-310 935 886 636 49 13.183 -88 24 6 -877 18 17.401 134 -120 -140 0 20 6.161 -1-297 -588 -586 279 -2 2.1.711 -97 1.100 1.095 -156 5 30.732 18 -546 -566 -63 20 23.699 -17 -1.215 -1.248 -88 33 28.214 -2 -19 -JOO -24 81 34.465 2..502 423 296 0 12.7 97.975 4.504 L .469 L.494 0 -25 1 8 9 3.548 3.514 34 4.834 4.830 4 3.787 3.825 -38 4.217 4.217 0 4.988 4.988 0 8.662 11.076 586 42.6 -312 738 9.265 8.610 655 5.219 1.985 3.2.34 8.410 7.433 977 FEDERAL RESERVE SYSTEM TREASURY ISSUES AGENCY ISSUES 10 11 12 -2.415 -871 -L.544 2.091 824 L.267 -471 -L.664 L.193 -1.813 -2.237 424 9.ll2 7.829 L.283 26.302 13.948 12.-354 8.402 1.250 7. 152 3� -5.713 6.053 3.732 7.644 -3.912 8.104 6.647 L .457 FOREIGN SHORT-TERM MARKETABLE OTHER 10 11 12. 13 14 15 5.816 351 5.465 6.322 1.981 4.341 14.071 7.260 6.811 5.642 -3.097 8.739 6.608 -2.311 8.919 -3.704 -7.792 4.088 16-103 7.420 8.683 18 .690 -943 19.633 22.589 6.014 16.575 75.488 68.817 6.671 TOTAL PR]VATE DOMESTIC TREASURY ISSUES AGENCY ISSUES 13 14 15 16 17 18 19 20 7.650 3.793 554 3.239 3.857 -1.105 -2.083 970 -3.053 978 8.622 4.742 647 4.095 3.880 17.455 10.517 -96 10.613 6.938 -7.133 -9.213 319 -9.532 2.080 -10.831 -6.764 2.327 -9.091 -4.067 4.161 4.819 3.251 1.5611 ...5 8 19.378 ll.553 2-687 8.866 7.825 17.927 9.527 2.984 6.543 8.400 22.998 25.772 4.025 21.747 -2.774 PRIVATE C,OMESlIC NONF INAN. TOTAL TREASURY lSSUES SAVINGS BONDS IHHI OTHER TREASURY ISSUES AGENCY ISSUES 16 17 18 LC, 20 21 22 23 24 25 7.583 2.782 554 2.22a 4.801 1.647 1.163 970 193 4&4 6.280 4.886 647 4.239 1.394 10.177 5.768 -96 5.864 5.009 -8.151 -12-789 319 -13.108 4.638 -10.469 -a.210 2.327 -10.537 -2.259 -499 3.013 3.251 -238 -3.512 16.322 lo.982 2.687 14.295 -660 7.160 9.206 2.984 6.222 -2.046 5.696 10.461 4.025 6.436 -4.765 HOUSEHOLDS TOTAL TREASURY ISSUtS SAVINGS bONDS OTHER TREASURY ISSUES AGENCY ISSUES 21 22 23 2.4 25 26 p 28 -L.705 -1.494 -211 -2.462 -2-440 -22 774 345 429 1.929 1.687 242 2.110 2.637 -467 2.476 2.774 -298 -2-430 -2.555 125 -3.805 -5.304 1.499 3-513 2.104 1.409 8.230 8.979 -749 NONFIN. CORPORAlE BUSINESS 2t, 27 TREASURY ISSUES AGENCY ISSUES 28 29 30 31 1-772 2.505 -733 -290 -806 516 1.568 -489 2.057 4.749 3.062 1.687 -1.152 939 -2.091 -2.838 -1.328 -1.510 7.090 4.361 2.729 o.861 -U5 6.986 7.254 -1.783 9.037 9.012 6.332 2.740 S. + L. GOVERNMENTS TREASURY ISSUES AGENCY ISSUES 32 33 34 -3.113 -3.412 299 9.505 6.468 3.037 3.349 2.053 1.29b -10.048 -9.708 -340 10.759 6.918 3.841 7.124 �-115 4.009 6.463 2.400 4.063 -1 .273 -8.833 7.560 1.010 -2.613 3.623 30.137 28.773 1.364 l5 36 -3.085 -50 22 9.347 117 41 3-289 44 16 -10.097 21 28 10.874 -144 29 7-197 -234 161 5.954 304 205 -1-291 91 -73 1.183 51 -224 30.317 -251 71 38 39 1.279 -30 1.309 -2.078 -2.404 326 2.100 465 1.635 -1.765 -3.906 2.141 2.982 -16 2.998 3 -4.143 4.146 5.479 201 5.278 585 -3.663 4.248 3.652 -900 4.552 22.353 14.272 8.081 1 2 3 4 37 "° COMMERCIAL BANKING Ttl.EASURY ISSUES AGENCY ISSUES COMMERCIAL BANKS FOREIGN BANKING AGENCIES BANKS IN U.S. POSSESSIONS PRIVATE NONBANK �INANCE TREASURY ISSUES AGENCY ISSUES Ill WHERE NOT SHO�N SEPARATELY, LOAN PARTICIPATIONS ARE INCLUDED WITH AGENCY ISSUES. 12) THESE ISSUES ARE: OUTSIDE THE BUDGET ANO OUTSIDE THE U.S. GOVERN"ENT SECTOR IN FLOW OF RJNOS ACCOUNTS. THEY ARE INCLUDED IN CREOll MARKET DEBT OF FINANCIAL INSTITUTIONS. �NEY AMOUNTS ARE. IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis l 2 3 4 5 0 7 8 9 29 30 31 32 33 34 35 36 31 38 39 40 DECEMBER 1976 U.S. GOVT. SECURITIES ICONTINUEDI 52 U.S. GOVT. SECURillES· ICONTINUEDI NET PURC'"1ASES OF U.S. GOVERNMENT SECURTTIES eY FIIO.NCIAL INST tTUTI ON S NONBANK YE•R-TOTAL FLOWS, 1946-55 l TOTAL, ALL PVT. NON BANK FIN. 2 4 5 7 8 9 10 TREASURY ISSUES AGENCY ISSUES YEAR-TOTAL FLOWS, 1946-!)!) 1947 1948 1949 1950 l .744 l .740 -1.269 -1.no l -2.360 -2.428 68 -820 -780 -40 -1.679 -l.659 -20 -2.942 4 -2.942 321 267 -411 -269 -285 -285 0 7 7 0 25 25 0 116 116 0 -89 SAVINGS + LOAN ASSOCIATIONS TREASURY ISSUES AGENCY ISSUES MUTUAL SAVINGS SANKS TREASURY ISSUES AGENCY ISSUES 1951 1952 1953 ------------------------- 1946 0 1954 1955 373 290 113 -38& -3b3 -25 -126 -267 141 3 201 184 17 142 133 102 101 l 406 360 46 b -203 -252 -�4 -436 -28 -230 -292 62 9 8 8 0 15 15 0 54 0 -269 0 1.082 1.078 4 193 192 l -496 �9 -40 -576 -556 -20 -1.027 -1.027 0 -367 68 -411 -4?8 -384 17 9 49 l 4 5 7 11 CREDIT UNIONS TREASURY ISSUES AGENCY ISSUES 0 0 0 15 15 0 10 10 0 7 7 0 8 8 0 10 10 0 6 6 0 6 12 13 14 15 LIFE INSURANCE TREASURY ISSUES AGENCY ISSUES l .046 1.046 0 -1. 595 -l.595 -3.22EI -3.228 0 -l.514 -l.514 -1.812 -l.812 0 -2.452 -2.452 0 -182 -782 0 -423 0 -423 0 -759 -759 0 -'t94 -494 0 16 PRIVATE 250 250 0 250 250 0 250 250 0 250 250 0 100 100 100 100 0 33 33 17& 158 20 27 38 -11 311 296 lb 13 l8 189 213 213 184 184 241 241 0 420 420 0 476 0 456 20 491 486 5 53b 5>23 13 303 283 20 l c; 20 21 l7 111 PENSION Flll'fDS TREASURY ISSUES AGENCY ISSUES 0 C 0 6 0 10 11 12 13 l'o l!> 17 19 20 21 S. + L. GOVT., RTR. FUNDS TREASURY ISSUES AGENCY' ISSUES 152 22 OTHER INSURANCE C OMPANIES TREASURY ISSUES AGENCY ISSUES 594 594 0 5•n 591 0 528 528 0 413 413 0 427 427 0 164 164 0 357 357 0 251 251 0 112 112 0 -137 .-137 0 23 25 26 I NVES TJl,lENT COS. ITREASlJRYl MONEY MlRKET FUNDS ITREASI SECURITY BROKERS + DEALERS !TREASURY) -5 0 12 0 22 0 39 0 25 0 0 0 1 0 -1 0 25 0 .lOl 25 --964 -655 558 -117 -117 -273 396 -68 25 -401 27 23 24 27 152 0 189 0 0 0 MONEY AMOUNTS ARE IN MILLIONS OF COLLARS. 1964 1965 2.092 1.615 477 -104 -280 176 1.882 1.531 351 -382 -802 420 581 617 -36 357 337 20 999 r,01 98 583 523 60 534 438 96 -567 -628 61 -35 -83 48 51 -53 104 -167 -244 77 21 -72 93 -275 -306 31 10 10 0 10 10 0 20 20 0 20 20 0 45 2!> l!> 27 8 19 10 154 -412 -441 29 -284 50 -293 -315 22 -293 9 31 36 -5 -323 -357 34 -229 -219 -10 -437 -475 38 13 14 1; -8 -11 3 168 76 244 -128 -214 11 210 175 35 124 78 144 86 32 21 -1<,9 -176 -23 17 144 114 -17 -37 20 441 299 164 89 75 300 124 362 410 -48 554 29 249 50 424 30 234 123 ,o -177 -177 0 -41 -41 0 187 187 0 �o -180 140 -88 280 81 199 122 158 -36 89 32 57 -17 -165 14 8 22 94 0 l 0 124 0 155 0 63 0 69 0 49 0 -9 0 39 0 't4 25 -20 207 155 -178 !:94 8 670 -1.257 656 -293 21 1957 1958 19!i9 1960 1961 -1 -178 -1.371 193 -188 -664 476 708 692 16 1.044 727 317 55 -432 487 561 360 201 494 401 93 t-24 391 233 609 646" -37 754 658 96 236 115 121 -420 -481 61 -252 -399 147 -333 -313 -20 -305 -399 94 CREDIT UNIONS TREASURY ISSUES AGENCY ISSUES 15 15 0 15 15 0 15 15 0 14 L IFE INSURANCE TREASURY ISSUES AGENCY ISSUES -1.0?.l -1.021 0 -526 -526 0 204 16 17 -191 -221 30 -224 18 P RIVATE PENSION FUNDS TREASURY ISSUES AGENCY ISSUES -290 66 19 20 21 S. + L. GOVT., RTR. FUNDS TREASURY ISSUES AGENCY ISSUES 278 22 23 24 OTHER INSURANCE COMPANIES TREASURY ISSUES AGENCY ISSUES -343 -343 0 25 26 JIIIVESTMENT COS. ITREASURY) MONEY MARKET FUNDS ITREASI SECURITY BROKERS + DEALERS ITREASURY I 4 5 6 7 8 9 10 11 12 13 15 27 TOTAL, ALL PVT. NON8ANK FIN. TREASURY ISSUES AGENCY ISSUES SAVINGS + LOAN ASSDCIATIC.NS TREASURY ISSUES AGENCY ISSUES M UTUAL SAVINGS e.ANKS TREASURY ISSUES AGENCY ISSUES 287 9 MONEY AMOUNTS ARE IN "ILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Zb 1962 1963 ----------- 1956 l 2',. YEAR-TOTAL FLOWS, 1956-t.5 YEAR-TOTAL FLOWS, 19'.16-65 2 3 it. a 470 6 40 5 46 lC 37 107 520 34 111 0 l 2 3 4 5 6 11 12 le 16 I9 21 23 24 2b DECEMBER 1976 GOVT. SECURITIES I CONTINUED) u. s. ---------- U.S. GOVT. SECURITIES ·(CONllNUEDI 53 NET PURCHAS ES OF U.S. GOVERNMENT SECURITIES 8Y NONBANK FINANCIAL INSTITUTIONS yEAR-TOTAL FLOWS., 1906-75 - ------------------ nAR-TOTAL FLOIIS, 1966-15 1966 1967 19b8 1969 1970 1971 1972 1973 1974 1975 1 2 3 1.21c; -30 1.30c; -2.078 -2.404 32b 2.100 465 l.&35 -l.765 -3.CJOb 2.11,.1 2.982 -lb 2.998 3 -4.143 4-146 5.479 201 5-278 585 -3.663 4.2i.s 3.652 -c;oo 4.552 22.353 14.272 8.081 4 412. 324 8& l.b82 1.523 1 59 459 372 87 -l • .\t!2 -299 1.183 576 -l.29b 1.872 2.280 -765 3.0..5 l.90l -521 2-423 -140 -2.448 2.308 1.058 -155 1.213 6.392 2.312 4.080 SAVINGS + LOAN ASSC.C.IATIONS TREASURY Is,uEs AGENCY ISSUES -500 -721 221 -275 -445 -b6 -485 419 -458 -612 154 3bl -71 438 914 117 797 1.378 242. 1.13b -459 -516 57 -241 -43') 192 3.916 2 .185 1.731 MUTUAL SAVINGS BANKS TREASURY ISSUU AGtNCY ISSUES 129 24 105 &2 4 78 163 26 137 316 170 146 343 31 312 21b 6 210 521 -46 567 505 164 341 716 330 38b 1.112 503 1.209 CREDIT UNIONS TIUASURY ISSUES AGENCY ISSUH 10 11 B 5 6 7 8 9 10 ll 12 llO TOTAL, ALL PVT. NONBANI( FI 1\1. TREASURY ISSUES AGENCY ISSUES l 2. 3 .. 5 b 7 8 9 12 13 14 15 -129 -198 b9 -244 -238 -6 -lb3 -227 b4 -236 -332 96 60 -82 142 -119 -214 <,5 107 -1 108 -23.. -363 149 109 -72 181 1.718 1.364 354 LIFE INSURANCE: TREASURY ISSUt:S AGl:NCY ISSUl::S 14 15 16 17 18 -243 -235 -8 -4;t7 -318 -1oc; 372 432 60 36 -175 211 237 -5'i 296 -297 26 -323 957 865 92 115 205 510 1.129 -122 1.251 5.231 4.791 440 PRIVATE �l:NSJON FUNDS TREASURY ISSUES AGENCY ISSUES 16 17 18 19 20 21 122 -38 lbO -950 -244 381 -328 025 156 -408 -333 -75 -1.155 -1-208 53 163 -398 561 -227 -1.oaa 861 190 -774 964 1.246 589 651 S. + L. GOVT., RTR. FUNDS TREASURY ISSUES AGENCY ISSUES 19 20 21 22 23 24 201 -413 614 -804 -705 -99 -110 -353 243 -,90 -485 195 -:31 -50 13 54 -215 269 109 -282 391 -42 -b4 22 388 23 3o5 1.470 1.860 -390 OlHER INSURANCE C OMPANll:S TREASURY ISSUES AGENCY ISSUES 23 24 25 2b 626 0 -516 0 222 0 -468 0 175 0 -291 0 130 0 411 0 -51 112 -43 815 2.7 661 -759 182 -38 1.669 -1.599 212 -4 248 -104 -en 133 -484 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis INVESTMENT COS. ITREASURY I MONEY MARKET �UNOS llREAS I SECURITY BROKERS + DEALERS ITRUSURY I :a. 25 2o 27 DECF.MR ER 1976 PRIVATE SECURITIES PRIVATE SECURITIE� 54 STATE + LOCAL GOVERNMENT, CORPORATE, AND FOREIGN SECURITIES ----------------------- YEAR-TOTAL FLOWS, 1946-55 YEAR-TOTAL FLOWS, 1946-55 ---------------------1946 1947 1948 ------·- 1949 1950 1951 1952 1953 ------------ 1954 1955 1 2 3 6 STATE AND LOCAL GOVERNMENT SECURITIES l NET CHANGE IN LIABILITIES STATE + LOCAL GOVERNMENTS 2 SHORT-TERM 3 OTHER 4 NONFIN. CORPORATE BUSINESS 5 (POLLUTION CONTROL) 11 COMMERCIAL BANKING SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS 13 14 15 16 LIFE INSURANCE COMPANIES ST.+LOC. GOVT, RTR. FUNDS OTHER INSURANCE COMPANIES BROKERS + DEALERS 10 2 .582 2.582 204 2.378 0 3a32 3.332 393 2.939 0 2.178 2.118 312 1.866 0 3.684 3.684 193 3.491 0 4.269 4.269 169 4.100 0 5.972 0 5.276 5.276 28 5.248 0 68 34 -26 -305 1.412 4't2 37 -39 2.169 1.006 102 20 2.582 691 33 313 3.332 548 167 284 2.178 338 192 29 3.684 2.014 -31 50 4.269 1.829 193 182 6.082 2.523 -34 174 !>.276 3.451 248 12 429 0 -30 892 0 2 390 0 6 898 0 15 1.597 0 2 1.096 0 52 1.009 0 195 657 0 93 l.763 0 180 196 0 38 11 12 -108 86 -11 0 -5 102 78 -97 263 129 229 24 180 183 284 -15 100 200 316 118 -10 163 304 14 11 171 421 -156 145 220 748 202 548 273 785 -130 192 347 792 0 13 14 15 16 3 •.567 2.836 -193 0 924 0 l 2 3 l 6 NET CHANGE IN ASSETS 1 HOUSEHOLDS 8 NONFIN. CORPORATE BUSINESS ST.+LOC. GOVT, GEN. FUNOS 9 12 2.169 2.169 165 2.004 0 6.082 6.082 67 0 1.412 1.412 199 1.213 0 68 68 uo 4 5 1 8 9 lo CORPORATE AND FOREIGN BONDS 1 NIT ISSUES NONFIN. CORPORATE BUSINESS 2 3 REST OF THE WORLD COMMERCIAL BANKS 4 FINANCE COMPANIES 5 6 REITS 1.022 953 -92 0 161 0 2.984 2.813 -21 0 191 0 4.805 4.300 80 0 425 0 3.276 2.903 -9 0 382 0 2.255 1.624 251 0 380 0 3.860 3.295 277 0 288 0 4.968 4.684 27 0 257 0 4.645 3.356 -112 0 1.401 0 3.352 3.479 -50 0 1 NET PURCHASES 10 11 HOUSEHOLDS REST OF THE WORLD COMMERCIAL BANKING MUTUAL SAVINGS BANKS 1.022 -896 -274 -20 186 2.984 -788 51 -42 354 4.805 -63 -48 -278 402 3.276 -389 95 164 210 2.255 -785 -10 153 -18 3.860 236 6 -229 176 4.968 -7 36 -130 309 4.645 -66 15 21 242 3.352 -938 6 12 13 14 15 16 INSURANCE LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS S T.+LOC. GOVT, RTR. FUNDS OTHER INSURANCE COMPANIES 2.102 1 .805 265 20 12 3.408 3.020 295 30 63 4.780 4.233 321 2.993 2.573 319 135 -34 3.008 1.821 965 183 39 3.590 2.715 655 116 104 4.617 3.098 1.065 309 145 4.446 2.106 1.0�9 516 125 17 18 OPEN-END INVESTMENT 9ROKERS + DEALERS 21 -8 9 18 185 47 -140 41 40 81 62 8 9 cos. 1 NET ISSUES OPEN-END INVESTMENT cos. 2 OTHER SECTORS 3 NONFJN. CORPORATE BUSINESS 4 5 REST OF THE WORLD 6 COMMERCIAL BANKS 1 OTHER INSURANCE COMPANIES RF.ITS 8 9 NET PURCHASES HOUSEHOLDS 10 REST OF THE WORLD 11 12 COMMERCIAL BANKING MUTUAL SAVINGS BANKS 13 14 15 16 17 18 19 20 -103 1.408 282 1.126 1.018 0 55 53 0 1.375 209 1.166 1.093 -15 11 1.408 1.134 INSURANCE LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS OTHER INSURANCE COMPANIES OPEN-ENO INVESTMENT COS. .BROKERS + DEALERS MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 77 149 10 2 --------- -77 0 125 3.567 656 54 -310 -330 11 4.006 2.103 1.260 589 54 3.309 1.749 946 577 37 12 13 14 15 16 -2 -11 99 131 34 154 17 2.124 780 l .c,44 1.719 173 -51 103 0 1 2 3 4 9 -11 1.552 327 1.225 1.212 -18 1.375 1.111 -151 1 -34 2.011 297 2.374 2.107 76 144 47 0 3.086 531 2.555 2-320 60 139 36 0 2.325 408 1.917 1.766 -51 20 0 1.669 239 1.430 1.288 24 72 46 0 88 0 2.695 522 2.173 1.583 256 228 106 0 1.193 976 -144 0 1.552 694 -21 1 0 1.669 676 3 1 24 2.671 1.824 120 2 46 3.086 1.638 1 5 109 2.325 972 55 3 95 .:.695 813 135 14 140 2.724 954 127 2 84 -43 281 150 95 2 34 229 44 95 3 87 488 226 124 7 131 980 317 519 9 135 459 55 253 12 139 838 164 478 15 181 847 93 545 19 190 1.166 270 709 24 163 995 65 739 28 163 143 -104 157 10 118 3 204 186 125 -140 179 41 433 62 364 297 130 409 153 -64 0 14 285 267 60 l 0 11 1 8 9 10 18 CORPORATE EQUITIES 1.193 96 1.097 1.000 15 45 37 0 11 4 5 6 11 114 -11 5 6 1 8 10 11 12 13 14 15 16 17 18 19 20 DECEMBER 1976 PRIVATE SECURITIES PRI\I AH: SECURITIES --------- YEAR-TOTAL FLCMS, 1956-65 -----------------1950 1957 1958 --------- -·--- 4.247 4.247 175 4.072 0 5.498 5.498 415 8 9 3. 591 2..152 123 1 JO 11 12 13 14 15 16 6 1 1959 1960 't.81t9 0 NET CHANGE IN LIA8l LlllES STATE + LOCAL GOVERNMENTS SHORT-TERM OTHER NONFIN. CORPORAlE: BUSINESS (POLLUTION CONTROL) 5.280 3.615 -412 33 5.085 1.206 13 16 5.358 -1.012. 302 -190 5.723 1.090 -239 0.001 2.641 -107 -111 7.345 J.785 920 -56 l'IET CHANGE IN ASSETS HOUSEHOLDS NONFIN. CORPORAl E BUSINESS ST.+LOC. GOVT, GEN. FUNDS 406 0 -7 607 0 -49 2.782 0 5 5.691 0 -150 3.91o-5 0 -87 3.572. 0 -49 5.147 0 -71 519 388 155 845 98 300 -143 973 -67 -459 848 190 138 -lllo-500 -244 -9 -78 -404> 358 179 5.lt98 813 479 147 0.280 3.184 836 -23 llo-3 0 29 l.014 0 10 2..590 0 235 387 721 -200 103 429 653 100 305 424 681 lS 288 990 87 b 7 b 9 13 14 15 lo 0 J.379 0 NET ISSUES NONFIN. CORPORATE BUSINESS REST OF THE WORLD COMMERC UL BANKS FINANCE COMPANIES REITS -134 -128 -56 5.412 683 79 -181t 154 5.227 -136 1 -166 -149 5.504 -437 25 lS -116 6.214 110 57 -333 -295 6.765 -488 208 470 -169 8.069 501t -147 -141 -127 NET PURCHASES HOUSEHOLDS REST OF THE WORLD COMMERCIAL BANKING MUTUAL SAVINGS BANKS 5.152 2.401 1.505 1.102 144 4.240 2.076 l.243 860 61 4.550 J.717 1.614 1.138 87 5.403 2.462 1.183 J.728 30 5.852 2.lo-67 l.219 1.818 348 6.35>6 2.825 1.459 2.113 -41 6.466 2.319 l.646 2.161 340 7.268 2.825 J.497 2.301 645 155 -282 156 156 -32 31o-O -66 30 135 171 148 361 -83 405 7 8 9 10 5.ooo 1.013 67 -414 o.803 1.207 54 -35 552 4.605 73 7.497 920 90 131 587 12 13 14 15 16 4.274 2.152 l .622 473 27 5.573 2.672 l.862 859 180 194 -201 113 83 ---------------- ltl3 449 18 577 CORPORATE EQUITIES 10 ll OPEN-END INVESTMENT BROKERS + DEALERS cos. NET ISSUES OPEM-END INYESlMENT cos. OTHER SECTORS NONFIN. CORPORATE BUSINESS REST OF THE WORLD COMMERCIAL BAI\IKS OTHER INSURANCE COMPANIES REJTS 3.096 l.lo-44 l.652 1.365 86 122 79 0 5.050 2.110 2.880 2.121 325 l78 256 0 2.305 1.121 584 3o9 -25 96 143 l 1.563 J .454 109 -341 lll 51 286 2 3.574 2.046 1.528 1.145 210 45 123 5 3.569 3.272 297 -28 298 -62 85 4 .... 098 l.51tl -54 7 95 4.317 612 351 -49 3.096 -538 203 19 16 5.050 318 323 7 65 2.305 -2.109 109 3 149 1.563 -2.478 225 3 115 3.571o-1♦6 -292 18 101 3.569 -2.103 -400 57 167 l.354 43 1.135 51 125 l.651 78 1.381 134 2.277 192 1.7♦3 75 267 2.648 352 1.9♦6 86 2t,4 3.135 465 2.258 152 200 3.076 433 2.198 197 248 2.781 246 2.110 209 156 3.134 5't6 2.212 273 103 lo-.271 708 3.124 352 87 INSURANCE LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS OTHER INSURANCE COMPANIES 691 84 1.141 -283 J .038 80 780 -32 J.268 -66 941 136 7o9 148 81t2 -83 1.211 306 OPEN-ENO INVESTMENT BROKERS + DEALERS 3.885 1.070 2.815 2.441 35 273 66 0 4.098 1.596 2.502 1.968 332 10 11 12 13 3.739 l.980 256 5 50 3-885 1.534 llo-7 13 1-. 15 16 17 18 1.109 -2 91o-l 34 136 19 20 539 -200 62 51o- 1♦8 Cl 58 8 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .,. 5 6 1 INSURANCE LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUI\IOS OTHER INSURANCE COMPANIES 307 ------- l 2 3 8 c; 10 11 4.317 1.777 2.540 2.078 195 132. 135 0 3.739 l.Olt9 2.690 2.250 111 2 b7 62 0 9 s LIFE INSURANCE COMPANIES ST.+LOC. GOVT, RTR. FUNDS OTHER INSURANCE COMPANIES BROKERS + DEALERS 8.069 5.392 460 817 1.400 0 6 5 � 4 12 6.765 3.994 467 540 1.764 0 0 1.177 0 4 101 -275 379 -240 1 2 COMMERCIAL BANKING SAVINGS + LOAN ASSNS. MUTUAL SAVINGS bANKS 6.2llo3.913 993 233 1.075 0 5.412 3.456 l 2 990 5.504 lt.550 994 0 -40 0 4.605 2.955 /3 236 5.227 ...640 lt37 0 150 0 6.803 5.683 918 0 202 0 17 18 5.085 5.085 CORPORATE AND FOREIGN BONOS 7.497 6.317 435 0 745 0 ll 1965 7.345 7.345 618 6.727 0 4.247 1.690 138 110 .,..,. 1964 0.001 6.001 7ol 5.240 0 0 5.083 ---------------- 1956-65 5.723 5.7.t3 446 s.2n 0 5.280 5.280 284 4.996 0 5.006 3.615 310 0 1.081 0 5 1963 YEAR-TOTAL FLOWS, -------------- 5.358 5.356 -11 5.3c.9 0 o.280 6.280 403 5.877 0 ----------l 2 3 4 1902 --·-1961 ---·----- STATE AND LOCAL GOVERNMENT SECURITIES 3.591 3.591 9't 3.497 0 3 4 5 55 STATE + LOCAL GOVERNMENT, CORPORATE, AND FOREIGN SECURITIES NET PURCHASES HOUSEHOLDS REST OF THE: WORLD COMMERCIAL BANKING MUTUAL SAVINGS BANKS 12 13 llo15 16 l7 18 l 2 .. 3 5 b 7 8 'I 10 ll ll 13 cos. lit 15 lb l7 18 19 20 DECl:MBER 1976 PRIVATE SECURITIES PRIVATE SECURITIES 56 STATE + LOCAL GOVERNMENT, CORPORATE, AND FOREIGN SECURITIES -------------- YEAR-TOlAL YEAR-TOTAL FLOWS, 1966-75 1966 ------- 1967 1968 1969 ------------------- 1972 1971 5.647 5.647 661 4.986 0 1. 76<, 7.769 1.823 5.946 0 9.516 9.516 143 9.373 0 9.926 2.766 7.160 0 6 NET CHANGE IN ASSETS HOUSEHOLDS 7 NONFIN. CORPORATE BUSINESS 8 9 ST. +LDC. GOVT, GEN. FUNDS 5.647 3 .423 -9tl -42 7.769 -2.218 -339 0 9.516 -672 9.926 9.136 12 11 COMMERCIAL BANKING SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS 2.399 0 -6 9 9.121 0 -32 8.5!'1 75 -25 13 14 15 16 LIFE INSURANCE COMPANIES ST.+LOC. GOVT, RTR. FUNDS O THER INSURANCE COMPANIES BROKERS + DEALERS -270 -144 l .299 12 -ll5 -75 l.386 41 49 -24 7 NET PURCHASES 8 H OUSEHOLDS REST OF THE WORLD 9 COMMERCIAL BANKING 10 MUTUAL SAVINGS BANKS 11 12 13 14 15 16 INSURANCE LIFE INSURANCE COMPANY ES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS OTHER INSURANCE COMPANIES 17 18 OPEN-END INVESTMENT BROKERS + DEALERS cos. 482 46 992 42 11.183 l O .224 7 35 104 120 0 16.553 14.658 l.216 269 410 0 ll .183 1.356 620 32 287 16.553 4.040 -128 776 2.075 14.423 B.413 2.375 2 .528 1.939 571 9.376 3.810 1.124 3.737 ' 705 8.168 3.708 44 449 -180 361 114 ------- l NET I SSUES OPEN-ENO INVESTMF.NT cos. 2 3 OTHF.R SECTORS NONFIN. CORPORATE BUSINESS 4 5 REST OF THE WORLD 6 COMMERCIAL BANKS OTHER INSURANCE COMPANIES 7 RE ITS 8 4.804 3.722 l.082 l .259 -153 -11 81 6 4.804 -686 -305 63 41 14 15 16 4.626 268 3.479 18 19 20 OPEN- END INVESTMENT COS. BROKERS + DEALERS 17 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1975 19.621 17.973 17.281 17.511 17.425 2.483 14.942 86 15.401 14.853 52 14.801 548 16.316 14.520 315 14.205 1.796 11.225 -785 -625 148 17.511 -264 1.000 -252 15.401 2.H,4 1.000 -22 16.316 7.223 -137 371 19.621 11.167 17.281 8.658 -173 l.460 643 25 6 10.668 23 7.150 15 483 5.700 20 5.493 1.695 610 615 10 4 12.607 27 193 27 -51 1.244 -187 85 -299 l.452 554 57 120 3.910 113 4 -93 841 13 -982 65 -------------------4.816 -116 370 14.423 12.893 1.084 258 188 0 4.215 187 272 1.312 645 2..644 l .171 48 45 -722 3.550 218 --------- 2.545 15.428 1.648 616 449 315 9 255 -726 2.468 -425 18.350 12.187 l.030 1.137 3.622 374 13.631 9.159 958 2.073 505 23.513 18.807 940 855 2.495 416 23.513 8.316 292 1.235 3.883 18.350 4.154 13.631 23.870 71 332 23.306 9.532 671 769 1.20 l 69 413 -l.092 850 1.052 916 7.153 1.737 613 10.325 l.471 2.053 9.039 5.466 -653 809 2.305 3.941 285 -722. 13.804 5.853 2..121 5.963 -139 17.135 3.988 4.496 9.950 6.992 -806 178 360 700 108 624 124 158 221 14.971 1.287 13.684 11.435 27 624 14.971 13.829 ll.975 l.028 -184 915 23.306 19.756 874 13.829 5.364 536 95 -94 3.994 98 8 2.956 550 944 23.870 19.670 2.102 l!:15 l.784 159 5.258 14.681 -1.973 16.654 2.600 1.889 1.1t,o -74 36.'293 27.204 6.191 189 2.709 0 36.293 10.396 562 l 2 3 ... 5 () 7 8 'I 11 12 lit 15 lb l 2 3 .. 5 b 7 8 9 l.790 3.546 10 12 13 2..010 19.057 9.095 2..780 5.002. 2.180 -872 36!:I -404 -937 974 -32. 13.268 -529 13. 797 10.922 -412 1.168 456 1.663 9.182 -1.211 10.393 7.883 -199 1.216 538 4.857 5.397 4.097 11.216 790 10.426 9.908 129 1.000 -3.702 836 -17 475 13.268 -4.514 2.434 129 603 9.182 -6.879 2.763 244 375 -1.229 539 l.660 2.136 4.486 4.695 6.442. 11 14 l!:1 16 l7 111 CORPORATE EQUITIES 9 NET PURCHASES 10 HOUSEHOLDS REST OF THE WORLD 11 COMMERCIAL BANKING 12 MUTUAL SAVINGS BANKS 13 INSURANCE LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS OTHER INSURANCE COMPANIES 1974 11.225 11.225 2.343 8.882 0 9.926 CORPORATE AND FOREIGN BONDS l NET ISSUES NONFIN. CORPORATE BUSINESS 2 REST OF THE WORLD 3 COMMERCIAL BANKS 4 FINANCE COMPANIES 5 REtTS 6 1973 STATE ANO LOCAL GOVERNMENT SECU�ITIES l NET CHANGE IN LIA BILITIES S TATE + LOCAL GOVERNMENTS 2 SHORT-TERM 3 4 OTHER NONFIN. CORPORATE BU�INESS 5 (POLLUTION CONTROLI 10 1970 FLOWS, 1966-75 5.563 3.036 2.527 2.397 50 -37 110 7 6.519 5.907 622 -159 155 -57 247 436 10.139 5.563 6.529 10.139 -4.225 698 64 119 -6.483 2.097 66 251 4.929 5.210 3.406 467 -31 549 819 127 393 1.463 599 999 955 -249 1.000 873 l 2 3 4 5 b -324 948 -1.559 7 4.857 11.216 -l.764 4.667 0 161 11 8 1.565 238 333 8.871 1.984 4.566 2.137 16.219 3.500 7.285 3.677 1.757 14.630 3.557 5.290 3.411 2.372 6.678 2.298 2.305 2.569 -494 9.320 1.910 5.772 2.387 -749 14 184 16.810 3.640 8.915 3.185 1.070 1.180 109 124 445 -1.821 218 -2.314 363 -473 -938 -1.136 -32 19 20 -4.450 49 4.822 391 1.317 755 10.654 1.705 5.382 1.788 1.779 953 112 1.851 372 2.527 -180 1.722 361 488 5.694 68 -540 10.515 -769 697 6.584 1.017 4.561 670 335 8.251 1.357 10.515 2.770 7.745 94 84 196 9 lC l2 13 u 16 17 18 oECE MBER 1976 MORTGA.GE S - I MORlGAGE;S - I 57 MORTGAGE MARKETS BY TYPE OF MORTGAGE YEAR-TOTAL FLOWS, 1946-55 ------ 1946 1947 YEAR-TOTAL FLOIIS, l'i46-55 1948 1949 1950 1951 1952 1953 1954 1955 TOTAL MORTGAGES 3 6.223 4.443 348 l.295 137 7.15B 5.165 517 1.309 167 7.281 5.0BO 875 1.102 224 6.480 4.342 1.167 680 291 10.139 7.554 1.472 621 492 9.463 6.543 1 .341 999 580 9.118 6.790 839 904 585 9.900 7.594 640 1-165 501 12.373 9.575 544 l.745 509 lb.221 12.572 825 2-048 776 6 7 0 100 0 0 80 0 0 42 0 0 44 0 46 0 0 47 0 0 132 0 50 0 0 0 239 0 0 123 0 9 10 6.123 3.b07 180 2.33b 137 655 1.544 7.078 4.659 254 2.165 167 578 1.420 7.239 4.596 400 2.243 224 729 l.290 6.436 4.422 8.986 6.582 495 l.909 585 502 822 9.850 7.466 512 1.872 501 428 9,.3 12.13 4 9.066 653 2.415 509 520 1.386 16.098 11.749 629 3.720 776 908 2.036 6.223 l.507 25 7.158 1.340 25 7.281 l.152 54 6.480 l 2 4 5 11 12 13 14 15 lb 17 18 19 20 21 -346 -1b 0 484 10.093 6.714 535 697 492 1.143 1.209 9o4lb 6.624 55b 2-236 580 651 1.005 713 81 10.139 668 52 9.463 894 69 9.118 696 103 9.900 992 83 12.373 1.133 90 16.221 1-261 59 390 89 7 99 101 18 197 302 38 8.339 983 5.153 3.566 1.563 2't l0.932 1-724 6.222 4.146 2.06-4 12 14.364 2.430 7.777 5.301 2.450 26 2.765 2.654 46 61 4 221 0 3.630 3.469 83 69 9 527 0 l.530 291 542 46 -15 4 471 33 3 315 47 25 bl4 58 513 0 ll 10 9.032 2.018 3.598 2.041 l.557 0 7.817 1.069 3.572 1.907 1.654 7.715 1.135 4.331 2.832 3.250 3.196 20 23 3.274 3 .212 18 30 14 2.007 1.937 29 -93 5.113 2.462 2.003 1.765 233 5.958 2.210 2.135 1.715 415 5 6.040 1.450 2-406 1.449 951 6 5.179 748 2-229 l .311 28 29 30 31 5-49 1.552 1.520 20 4 2.195 2-156 2.127 2.073 61 0 10 7 -11 0 17 75 0 131 77 -82 l2 33 34 519 22 3 5 9c; 0 96 8 zo -------------- 35 l 2 : 3 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 2.844 -n 22 23 24 25 26 27 5 0 896 20 zo 17 11 166 0 383 11 0 242 0 101 -47 88 6.790 6.582 7.466 4.342 4.422 -62 -62 44 7.554 6.71 .. 397 397 46 6.543 6-62-4 4.443 5.165 549 25 5.080 '4.342 187 75 7.554 199 -41 0 0 85 0 0 1.093 466 292 0 0 1.525 1.e28 1.684 139 1.890 l.635 250 5 1-924 l.3b6 552 1.825 1.276 529 20 2.947 249 239 962 952 1.lt-60 1.44b 9 1.121 lt-2 477 50 6 0 0 560 2 2 5 1.167 1.150 8 9 81 0 53 0 -9 0 62 0 8 36 5 8 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 46 ll 12. l3 14 15 lb l7 18 PRIVATE FINAN •. JNSTJTUlJONS COMMERCIAL BANKING SAVINGS JNSTJTUTJONS S+L ASSOCIAllONS 111 MUTUAL SAVINGS BANKS CREDIT UNIONS 22 23 INSURANCE L1 FE COMPANIES PRIVATE PENSION FUNDS ST.+LOt. GOVT, RTR. FUND OTHER INSURANCE COS. FJNANCt COMPANIES REJTS 2l 24 25 2b 27 28 29 '.)0 31 32 33 34 l 2 -------- 239 NET BORROWING HOUSEHOLDS NONFARM NONCORP. BUSlNESS NONFIN. CORPORATE BUSINESS SAVINGS + LOAN ASSOCIATIONS 7.594 31S 9.575 199 65 12-572 90 38 NET CriANGE IN ASSETS HOUSEHOLDS STATE + LOCAL GOVERNMENTS 2-47 159 6.543 260 62 6.790 101 595 460 0 60 9 10 19 20 12.572 11.7-49 350 350 123 132 77 1 u.s. GOVERNMENT SPONSORED CREDil AG. 111 MORTGAGE POOLS 9.066 135 135 9.575 39 39 50 38 .38 FUNDS ADVANCED 8Y: HOUSEHOLDS ST.+LOC. GOVT, GEN. FUIIIDS 6 8 35 7.594 -64 -64 47 PRIVATE NONFINANClAL SEClORS HOUSEHOLDS IIIONPROFIT lNST lTUl IONS NONFJNANCJAL BUSINESS FARMS NONFARM NOIIICORPORAlE CORPORATE 2 3 4 5 550 111 MEMO: FHLB LOAIIIS TO S+L ASSOCIATIONS IINCLUDEO IN •OTHER LOANS• CATEGORYI. -85 HOME MORTGAGES 5.080 4.596 221 221 5 35 -98 5.165 4.659 213 213 80 -228 0 0 1.701 l.46-4 2.111 2.071 43 't7 16 26 0 4.443 3.607 368 368 100 181 2!> 81 NET CHANGE IN MORlbAGES HOME MORTGAGES MULTI-FAMILY RESJD. COMMERCIAL FARM BORROWED BY: U.S. GOVERNMENT SAVINGS + LOAN ASSOCIATIONS REITS 3 4 5 b 1 6 9 10 79-4 0 975 0 0 775 0 0 0 1.275 0 1.775 U.S. GOVERNMENT SPONS. CREDIT AGENCIES MORTGAGE POOLS COMMERCIAL BANKING 12 2.758 1.128 1.019 11 3.792 2.801 956 35 4.684 3.351t 1.306 2.4 5.827 4.005 1-810 12 7.374 4.997 2-351 26 SAVINGS lNSTITUTJONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS CREDIT UNIONS 13 14 15 16 2.401 2.385 10 1. uo 1.147 14 19 1.484 1.438 20 2.6 2.0l-4 1.958 2.588 12 2.155 Z.132 8 15 22 3-4 2.508 41 39 INSURANCE LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS 18 19 20 138 0 -81 0 205 0 26 0 195 0 462 0 Fl NANCE COMPANIES REITS 21 22 J.999 948 0 0 0 86 11 17 DECEMBER 1976 MORTGAGE'S - I 58 MORTGAGES - I MORTGAGE MARKETS BY TYPE OF MORTGAGE -------------------------------------- YEAR-TOTAL FLOWS, 1956-65 1956 1957 1958 1959 ----------------------------l NET CHANGE IN MORTGAGES !-IOME MORTGAGES 2 MULTI-FAMILY RESID. 4 COMMERCIAL 5 FARM BORROWED SY: U.S. GOVERNMENT 6 SAVINGS + LOAN ASSOCIATIONS 7 8 REJTS 9 10 11 12 13 14 15 PRIVATE NONFJNANCIAL SECTORS HOUSEHOLDS NONPROFIT INSTITUTIONS NONFINANCIAL BUSINESS FARMS NONFARM NONCORPORATE CORPORATE 16 FINDS ADVANCED BY: HOUSEHOLDS 17 S T.+LOC. GOVT, GEN. FUNDS 18 19 20 21 U.S. GOVERNMENT SPONSORED CREDIT AG. 11) MORTGAGE POOLS 22 23 24 25 26 27 PRIVATE FINAN. INSTITUTIONS COMMERCIAL BANKING SAVINGS INSTITUTIONS S+L ASSOCIATIONS Ill MUTUAL SAVINGS BANKS CREDIT UNIONS 28 29 30 31 32 33 34 INSURANCE LIFE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUND OTHER INSURANCE COS. FINANCE COMPANIES RE ITS 14.560 10.7 52 12.163 8.616 15.684 10.070 2.421 813 2.438 562 0 -25 0 1960 1961 ---- YEAR-TOTAL FLOWS, 1956-65 1962 1963 1964 1965 27.100 17.094 3.292 5.085 1.629 27.461 16.962 27.416 17.121 3.635 TOTAL MORTGAGES 17.085 11.086 2.086 3.176 737 20.691 12.793 2.836 3.983 1.079 23.733 712 19.366 13.167 2.135 3.072 992 96 -31 0 436 305 0 315 132 0 405 -107 0 222 364 0 260 449 0 62 529 0 30 -289 0 19 -41 0 6 7 14.585 11.1 71 703 2.711 813 265 1.633 12.098 8.995 784 2.319 562 220 1.537 14.943 9.795 818 4.330 712 961 2.657 18.919 12.409 814 5.696 992 1.452 3.252 16.787 ll.569 867 4.351 737 953 2.661 20.105 12.611 900 6.594 1.079 1.758 3.757 23.024 13.946 951 8.127 1.276 2.270 4.581 26.509 16.431 977 9.101 l.629 2.718 4.754 27.720 17.249 1.041 9.430 2.120 3.549 3.761 27.438 17.080 1.175 9.183 2.245 3.ll7 3.821 9 10 14.560 1.584 80 12.163 1.938 202 15.684 2.565 212 19.366 2.097 255 17.085 2.767 192 20.691 3.236 267 23.733 2.104 251 21.100 1.484 197 27.461 1.497 227 27.416 439 189 22 807 33 281 1.163 24 410 -85 17 1.210 942 14 195 1.057 -2 233 449 73 198 123 -405 88 -47 344 99 -17 1.080 12.034 l .715 6.665 4.320 2.289 56 8.555 618 5.736 4.278 1.423 35 12.565 2.186 7.742 5.620 2.094 28 14.788 2.622 9.295 7.514 1.729 52 12.876 661 8.904 6.929 1.943 32 16.418 1.636 11.004 8.764 2.210 30 20.984 4.034 13. 159 9.936 3.175 48 26.239 4.938 16.125 12.174 3.904 47 25.341 25.474 5.699 13.067 8.973 -4.061 33 3.758 3.544 128 2.526 2.247 134 145 0 -325 0 2.180 1.826 159 196 -1 457 0 2.624 2.135 247 256 -14 247 0 3.347 2.574 312 3.340 2.699 316 346 -21 4.343 3.642 3 -36 0 3.143 2.432 259 446 6 635 0 6.166 4.861 607 676 22 0 370 -13 833 0 5.623 4.608 558 458 -l 390 0 542 30 31 32 33 836 -153 681 817 1.305 541 672 35 14.569 13.946 87 87 17.094 16.431 67 67 529 16.962 17.249 1 1 -289 17.121 17.080 41 41 -41 1 6 574 77 9 -104 0 547 1.954 2.948 37 -189 35 ( 11 MEMO: FHLB LOANS TO S+L ASSOCIATIONS I INCLUDED IN "OTHER LOANS" CATEGORY l. 33 458 14.569 3.110 4.778 1.276 451 -527 112 344 4.554 3.825 2.120 4.562 14.766 10.389 4.332 45 HOME MORTGAGES l NET BORROWING 2 HOUSEHOLDS NONFARM NONCORP. BUSINESS 3 4 NONFIN. CORPORATE BUSINESS 5 SAVINGS + LOAN ASSOCIATIONS 10.7 52 11.171 -197 -197 -25 8.616 8.995 6 NET CHANGE IN ASSETS 7 HOUSEHOLDS 8 STATE + LOCAL GOVERNMENTS 10 • 752 262 71 GOVERNMENT SPONS. CREDIT AGENCIES MORTGAGE POOLS COMMERCIAL BANKING -44 4.415 l 3 2.245 245 0 8 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 34 ------------ 10.070 9.795 -15 -15 305 13.167 12.409 313 313 132 ll.086 11.569 -188 -188 12.793 12.611 -91 -91 8.616 539 195 10.070 356 194 13.167 -202 239 11.086 754 166 12.793 952 176 14.569 l.258 17.094 1.170 25 16.962 1.586 u 11.121 1.174 9 563 0 1.170 166 987 0 140 230 -255 0 1.243 925 669 0 1.572 29 851 0 49 42 213 -31 4 796 -36 4 2.091 -373 -784 7 2.781 -101 -64 26 2.310 -123 524 113 3.181 6.240 4.003 2 .181 5.414 3.992 1.387 35 6.792 15 16 SAVINGS INSTITUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAYINGS BANKS CREDIT UNIONS 1.870 28 8.287 6.645 l.590 52 7.592 5.851 1.709 32 8.891 7.009 1.852 30 9.817 7.366 2.403 48 12.256 9.297 2.912 47 ll.205 8.114 3.046 10.111 7.053 3.025 33 17 18 19 20 INSURANCE LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS 2.572 60 l.lll 933 73 105 1-462 1.209 115 138 1.685 1.296 143 246 1.245 897 ll5 2 33 911 598 138 175 1.297 957 151 189 l.668 1.194 43 1.454 1.311 63 80 230 1.675 1.064 266 345 19 20 21 22 FINANCE COMPANIES REITS -82 0 -279 0 399 0 215 0 -33 0 547 0 383 0 715 0 317 0 457 0 21 22 Q 10 11 12 13 14 u.s. 56 2.469 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -174 -174 -31 4.894 -107 364 449 92 45 244 2 "35 7 8 9 10 11 12 13 14 15 lb 17 18 DECE MBER 1976 MOR TGAGES - I -----YEAR- MORTGAGES - I --- TOTAL FLOWS, ----- 1966 MORTGAGE MARKETS 59 BY TYPE OF MORTGAGE YEAR-TOTAL fLO�S, 1966-75 1967 1968 1969 --------------- 1970 1971 TOT AL MORTGAGES 1972 1973 1974 ---------- 1966-75 1975 ---------NET CHANG� IN MORTGAGES HOME MORTGAGES MULTI-FAMILY RESIO. COMMERCIAL FARM BORROWED SY: U.S. GOVERNMENT SAVINGS + LOAN ASSOCIATIONS RUTS 2 3 4 5 22. 708 12.100 3.062 5.681 1.865 24-601 14-412 3.540 4.684 1.965 29.762 17.ltt,6 3.43b 6. 700 2-160 30. 711 18-133 4.925 5.835 1.818 29.910 15.002 6.912 7.165 831 52.523 30.577 9.650 9.915 2.381 76.771 43.731 u.734 16. 755 3.551 79.894 44.892 10.405 19.102 5.495 60.501 33.222 6.992 15.220 5.067 59.0"'6 42.734 -47 11.126 5.233 6 7 8 -62 -928 0 -63 987 0 -66 192 200 -81 6 230 -75 623 116 l .951 -72 134 -86 1.180 480 -71 -1.542 320 -107 -1.423 169 -88 1.943 366 9 10 23.698 13.350 1.257 9.091 1.865 2.680 4.546 23.677 13.395 1.194 9.088 1.965 3.164 3.959 29.436 16.766 1.135 11.535 2.160 3.202 6.173 30.556 18.197 1-276 11.083 1.818 3.867 5.398 29.246 14.705 1.258 13.283 831 5.283 7.169 50.510 27.142 1-310 22-058 2.381 8.366 11.311 75.197 41.477 1.419 3.l.301 3.551 10.968 17.782 81.187 lt0.958 1-442 32.787 5.495 8.768 18.524 61.862 35.305 1-362 25.195 5.067 5.939 14.189 56.825 39.359 1.091 16.375 5.233 1.047 10.095 17 22. 708 2-040 175 24.601 2.055 115 29.762 2.841 192 30.711 2.222 457 29.910 1.771 825 52.523 l .325 1.079 76.771 6.413 1.387 79.894 3.575 1.700 60.501 4.223 2.470 59.046 4.370 1.607 }9 20 978 2.553 445 993 1. 777 674 1.437 2-162 538 970 4.371 678 302 5.382 1.551 -380 3-626 4.771 -683 4.015 4.878 -599 7.163 3.636 1.422 10.177 5.759 3.224 5.347 10.339 U.S. GOVERNMENT SPONSORED CREDIT AG. MORTGAGE POOLS 22 23 H,-517 4.b80 6.508 3.736 2.719 53 18.987 4.539 10.467 3,154> 35 22.592 6.582 11.729 8,902 2,788 39 22.013 5.441 12.167 9.462 2.681 2 4> 20.079 2.130 11 ob81 9.767 1.845 69 42.102 9.760 27.613 23.628 3.938 47 60.761 16.799 37,410 31.753 5.510 153 64.419 19.754 32.515 26.541 5,67'> 300 36.450 12.825 19.892 17.560 2,202 130 34.159 4.310 32.149 29.650 2.329 170 PRIVATE FINAN. INSTITUTIONS COMMERCIAL BANKING SAVINGS INSTITUTIONS S+L ASSOCIATIONS Ill MUTUAL SAVINGS BANKS CREDIT UNIONS 29 30 31 32 33 3.585 2,907 172 487 19 396 0 2.810 2-459 -16 35'# 8 041 830 2.421 2.052 149 213 954 1.121 -513 368 -22 1,476 2.299 662 1-452 -930 182 -42 1.691 4.193 5.413 4.865 807 1,177 2,693 2,348 -4>5 345 45 1.678 l.897 4.725 4-421 -352 34 5.893 4,596 526 770 1 -564 0 -15 1.865 5.560 3.747 3.124 11 548 64 -1.251 -4.796 35 938 -2.549 873 4.030 1.326 -2.679 43 7.168 l ll 12 13 14 15 16 18 21 z,. 25 26 27 28 1.218 1 bll _,. 561 -9 -1,869 189 2 3 4 5 6 7 8 PRIVATE NONFINANCIAL SECTORS 9 HOUSEHOLDS 10 NOIIIPROFIT INSTITUTIONS 11 NONFINANCIAL BUSINESS 1.,. FARMS NONFARM NONCORPORATE CORPORATE FUNDS ADVANCED BY: HOUSEHOLDS ST.+LDC. GOVT, GEN. FUNDS 13 14 15 16 17 18 19 (1) .:O 21 22 .:3 24 2.5 26 27 INSURANCE 28 LIFE COMPANIES 29 PRIVATE PENSION FUNDS 30 ST.+LOC. GOVT, RTR, FUND 31 OTHER INSURANCE COS. 32 33 FINANCE COMPANIES REITS 34 (11 MEMO: FHLB LOANS TO S+L -3.959 6.657 ASSOCIATIONS (INCLUDED IN •OTHER LOANS• CATEGORY). 35 HOME MORTGAGES 2 3 4 15 l 12,100 13.350 -161 -161 -928 14.412 13.395 15 15 987 17.466 16.766 254 254 192 18.133 18.197 -35 -35 b 15.002 14.705 -163 -163 623 30.577 27,142 742 742 1-951 43.731 41.477 537 537 1.180 44.892 46.958 -262 -262 -1.542 33,222 35. 305 -330 -330 -1. 423 42.734 39.359 716 716 1.943 NET BORROWING HOUSEHOLDS NONFARM NONCORP. BUSINESS NONFIN, CORPORATE BUSINESS SAVINGS + LOAN ASSOCIATIONS l 2 3 4 5 b 7 8 12.100 1.380 44 14.412 1.589 -8 17,466 2.542 10 18.133 1.967 58 15.002 -89 75 30.577 3.0Sl 94 43,731 3,315 114 44.892 3.166 550 33.222 2.313 743 42,734 3,181 769 NET CHANGE IN ASSETS HOUSEHOLDS STATE + LOCAL GOVERNMENTS b 7 9 637 1.876 306 2-402 716 1,127 493 2,472 902 1.638 424 3.490 206 3.768 436 2.854 -127 4.619 1.215 865 -619 2.077 4,278 5.691 -624 1,849 4-.262 8,984 -780 3.475 3-192 10.994 805 5,462 5,352 6,023 1.910 2,549 9.917 2,458 4-717 2.833 l.831 53 7,869 5.788 2-046 35 8.470 6.785 1.646 39 9.299 7.666 1,609 24 7.953 6,802 1.082 69 18-307 17.052 1-208 47 27,546 24,652 2.741 153 24.385 21,503 2-582 300 14-640 13.803 707 130 18 19 20 1-231 644 214 373 -470 63 233 -174 -588 -733 -19 164 -1-300 -1.381 55 26 -823 -887 -48 112 -2.322 -2-117 -293 88 -2,693 -2,330 -412 49 -1-952 -1. 889 -230 167 21 22. -493 0 328 0 543 35 667 178 922 392 -160 180 553 425 1.192 670 10 11 12 B 14 15 lb 17 MONEY AMOUNTS ARE IN MILLIONS Of DOLLARS, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 U.S. GOVERNMENT SPONS, CREDIT AGENCIES MORTGAGE POOLS COMMERCIAL BANKING 9 10 24,389 23-407 812 170 SAVINGS INSTITUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS CREDIT UNIONS 13 14 15 16 -1.356 -1.400 -27 71 -1-526 -1.424 -140 38 INSURANCE LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST,+LOC. GOVT, RTR, FUNDS 18 19 20 -1-188 -172 -451 -462 FINANCE COMPANIES REITS 21 22 11 u 17 OECEM8ER 1976 MORTGAGES - ti MORTGAGES - II 60 MORTGAGE MARKETS - CONTINUED YEt.R-TOTAL FLOWS, 1946-55 YEAR-TOTAL FLOWS, 1946-55 1946 1947 1948. 1950 1949 1951 1952 1953 1954 275 269 0 0 1955 MULTI-FAMILY RESIDENTIAL MORTGAGES 348 175 173 0 0 517 259 2'58 348 112 0 U.S. GOVERNMENT SPONS. CREDIT AGENCIES MORTGAGE POOLS -2 0 0 12 COMMERCIAL BANKS 50 60 13 14 15 S AVINGS INSTITUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS 96 34 133 34 16 17 18 LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS 19 20 F !NANCE COMPANIES REITS l NET SORROWING 3 4 ,; NO�FARM NONCORP. BUSINESS NONFIN. CORPORATE BUSINESS RF.ITS U.S. GOVERNMENT 6 NET CHANGE IN ASSETS 7 HOIJSEHOLDS e· STATE + LOCAL GOVERNMENTS 9 10 11 875 438 437 0 0 1.167 583 0 0 1.472 737 735 0 0 1.341 671 670 0 0 839 423 416 0 0 640 323 317 0 0 517 207 0 875 ?.49 0 1.167 326 0 1.472 318 0 1.341 260 0 839 226 0 640 228 0 54-4 285 825 367 0 0 0 0 6 7 8 2 0 0 20 0 0 12 0 0 20 0 0 14 0 0 110 0 0 84 115 0 0 9 10 11 40 50 230 45 -57 -38 -48 -39 298 16 282 555 18 537 598 76 522 34e 16 332 12 238 93 131 99 304 35 269 145 67 64 142 136 13 14 15 70 7 273 6 3 450 6 6 319 6 416 6 10 257 l 103 6 2 12 8 75 12 16 41 12 19 148 21 20 16 17 14 0 6 0 -2 0 11 24 -14 0 31 0 -1 0 20 0 51 0 19 20 904 495 41 368 0 1.165 512 66 587 0 1.745 653 110 982 0 2�048 629 142 1.277 0 904 180 0 0 163 1.165 291 0 11 222 1.745 554 0 -11 420 2.048 573 0 21 556 259 168 91 11 12 13 62 0 0 584 8 0 0 544 0 0 0 825 416 409 0 0 6 2 3 4 5 lo COMMERCIAL MORTGAGES 1 NET BORROWING HOUSEHOLDS 2 3 NONFARM NONCORP. BUSINESS NONFIN. CORPORATE BUSINESS 4 REYTS 5 6 NET CHANGE IN ASSETS 7 HOUSEHOLDS STATE + LOCAL GOVERNMENTS 8 U.S. GOVERNMENT 9 COMMERCIAL BANKING 10 12 13 SAVINGS INSTITUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS 14 15 16 17 LIFE INSURANCE COMPANIES P RIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS OTHER INSURANCE COMPANIES 18 19 FINANCE COMPANIES REITS ll 680 1.295 180 112 1.003 0 1.309 254 106 949 0 1.102 400 70 632 0 20 176 0 1.295 485 0 -6 531 1.309 517 0 -2 303 1.102 305 0 0 267 680 124 0 -2 103 621 0 0 204 110 0 0 194 77 llO 172 48 124 103 19 84 89 24 65 213 103 110 185 15 170 231 119 112 261 64 191 7 1 5 365 6 0 8 344 5 2 7 325 6 2 17 303 464 3 14 355 7 3 5 377 2 ll 11 493 12 6 4 588 21 7 9 14 15 H l7 4 0 2 0 0 0 2 0 �4 0 -3 0 6 0 1 0 6 0 14 0 18 l� NET BORROWING 2 NET CHANGE IN ASSETS HOUSEHOLDS 3 4 STATE + LOCAL GOVERNMENTS 47 30 46 ------ 621 535 9 77 0 484 4 4 999 556 44 399 0 999 4 5 16 137 167 224 291 492 580 585 501 509 776 137 123 0 167 67 0 224 121 291 76 6 492 151 6 580 264 501 155 23 509 95 25 776 231 21 26 101 -98 216 38 77 138 2 225 7 5 6 7 U.S. GOVERNMENT SPONSORED CREDIT AGENCIES MORTGAGE POOLS -110 -76 0 -50 -72 0 -41 -15 4 -13 33 3 7 47 25 -1 58 11 39 81 10 22 89 7 8 COMMERCIAL BANKS MUTUAL SAVINGS BANKS LIFE INSURANCE COMPANIES ST.+LOC. GOVT, RTR. FUNDS 180 2 19 -1 120 2 100 50 6 95 35 3 148 59 7 189 1 36 3 200 54 6 178 0 181 9 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 0 4 0 3 5 b 7 8 9 10 FARM MORTGAGES 585 189 26 10 11 77 184 l 4 0 2 2 24 0 18 3 162 2 3 'I 10 11 DECEMBER 1976 M()RT GAGl:S - 11 MORlGAGES - II 61 MORTGAGE MARKETS - CONTINUED YEA ----- R-TOTAL FLOWS, 1956-65 - 1956 1957 YEAR-lOTAL FLOWS, 1956-65 1958 1959 1960 19bl l9b2 1963 l9b4 l9b5 MULll-FAMILY RcSIDENlIAL l40RTGAGES 574 290 284 0 0 547 228 223 1 2.135 913 907 0 315 2.08b 910 771 96 1.954 71>2 750 0 436 8 574 388 0 547 472 0 1.954 1.069 6 9 10 11 43 0 0 43 0 0 134 0 0 12 - 54 3 2i>l 157 0 67 166 213 147 273 COMMERCIAL BANKS 12 97 143 -46 52 132 -80 398 343 55 381 ..20 -39 642 531 111 1-052 869 183 1.727 1.290 437 2.107 1.482 625 1.963 1.240 723 1.642 1.058 584 SAVINGS lNSllTUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS 13 14 15 119 LIFf INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS 17 111 FINANCE COMPANIES REITS 19 20 4 5 6 13 14 15 0 17 18 63 -64 23 45 19 -20 0 -38 0 lb 20 31t 34 --.4.. 405 2.83b 1.540 1.074 0 222 3.110 1.800 1.050 0 260 3.292 2.240 990 0 62 4.554 3.270 1.254 0 3.635 2.751 8b5 0 19 NtT 80RRDWING NONFARM NONCORP. BUSJNESS NDNFJN. CORPORATE BUSINl:SS RE ITS U.S. GOVERNMENl 5 2.135 1.001 2.086 8B2 14 2.836 898 65 .3.llO 307 118 3.292 -3o lt)5 4.554 -35 211 3.635 -501 180 NET CHANGE IN ASSElS HOUSEHOLDS STATE + LOCAL GOVERNMENTS 6 301 0 0 120 2 0 83 0 0 31 10 0 -83 0 l -13 -2 1 2 U.S. GOVERNMENl SPONS. CRl:OIT AGENCIES MORTGAGE POOLS 9 10 11 6 0 30 -1 -1 ..3 66 80 199 85 145 385 62 145 74 498 89 113 595 98 122 1.893 167 159 1.575 175 225 4-. 24 0 -3 0 67 0 51 0 90 0 62 0 67 0 4.778 951 5.085 �77 411 3.697 0 3.825 1.041 2.506 0 218 4.415 1.1 75 325 2.915 0 NET BORROWING HOUSEHOLDS NONFARH NONCORP. BUSINESS NONFIN. CORPORATE BUSINESS REITS 4.415 -888 0 26 1.972 NET CHANGE IN ASSETS HOUSEHOLDS STATE + LOCAL GOVERNMENTS U.S. GOVERNMENT COMMERCIAL BANKING 9 10 0 lb COMMERCIAL MORTGAGES l 2 3 4 5 2.421 703 172 1.546 0 2.438 784 166 1.488 0 2.948 818 214 1.910 0 3.072 814 226 2.032 0 3.17b 8b7 231 2.078 0 3.983 900 309 2.771t 0 3.444 0 6 1 8 9 10 2-421 673 0 1 560 2.438 760 0 19 444 2.94B 863 0 -2 3.072 941 0 -7 77b 3.17b 882 0 -2 559 3.983 1.119 0 11 674 4. 778 149 0 6 1.502 1.639 3.825 -809 0 26 1.794 11 12 13 327 174 153 272 154 118 556 383 173 625 449 176 671 547 124 1.064 886 178 1.615 1.280 335 1.761 1.395 3o6 1.597 1.035 562 1.315 862 453 SAVINGS INSTITUTJONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS 11 12 13 14 15 804 34 9 9 897 37 17 0 814 42 24 -1 647 66 30 -14 924 84 55 3 962 70 56 6 1.373 89 48 -21 1.698 95 -u 1.009 141 51 -1 1.703 166 81 22 LIF� INSURANCE COMPANIES PRIVATE PENSJON FUNDS ST.+LOC. GOVT, RTR. FUNDS OTHER INSURANCE COMPANIES 14 50 -2 -8 0 0 21 0 17 0 28 0 11 0 18 0 FINANCE COMPANIES REITS 18 19 lb 11 16 19 0 0 --------------- 638 ----------14 0 8 0 383 5.085 -186 0 u 813 5o2 712 992 737 1.079 1.276 1.629 2.120 2.245 NET BORROWING 813 261 9 5b2 167 7 712 277 12 992 357 10 737 249 12 1.079 2&7 26 1.276 390 41 1.629 536 -13 2.120 755 1 2.245 654 0 NET CHANGE IN ASSETS HOUSEHOLDS STATE + LOCAL GOVERNMENTS 5 16 244 33 l'Jb 53 48 170 17 51 273 14 204 -2 48 142 264 84 -13 224 119 38 257 104 41 409 72 82 563 130 U.S. GOVERNMENT SPONSORED CREOll AGENCIES MORTGAGE POOLS 39 1 208 2 31 -2 103 3 104 117 2 160 60 -1 155 12 99 -3 188 12 275 0 230 10 305 l 392 9 311 1 512 18 273 COMMERCIAL BANKS MUTUAL SAVINGS BANKS LIFE INSURANCE COMPANIES 8 10 11 24 b 7 8 15 lo 11 FARM MORTGAGES 2 3 4 l J. 3 4 5 � 83 5 8 MONEY AMOUNTS ARE IN MILLIONS O F DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -1 519 25 ST.+LOC. GOVT, RTR. FUNDS 2 3 4 7 9 10 11 DE-CE"3E-R 1976 MORTGA GES - JI MORTGAGES - I I 62 MORTGAGE MARKETS - CONTINUED 1966 1967 1969 1968 -------------------· ,-.,ULTI-FA"'ILY ------------------1 NET BORROWING NONFARM NONCORP. BUSINESS 2 3 "I CNFIN. CORPORATE BUSINESS 4 RE ITS 5 u.s. GOVERNMENT 6 NET CHANGE IN ASSETS HOUSEHOLDS 7 STATE + LOCAL GOVERNMENTS 8 9 10 11 u.s. 12 COMMERCIAL BANKS SAVINGS INSTITUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS 16 18 17 LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS 19 20 FINANCE COMPANIES RE-ITS 1970 1971 1972 1966-15 1973 1974 1975 RESIDENTIAL MORTGAGES -t,2 3.540 2.soo 803 0 -63 3.436 2.404 1.033 65 -66 4.925 3.461 l .469 76 -81 6.912 4.862 ?..086 39 -75 ',.650 6.773 2.904 45 -72 12.734 8.929 3.733 158 -86 10.405 7.285 3.086 105 -71 6.992 lt.894 2.149 56 -107 -47 -649 569 121 -88 3.062 -70 124 3.540 -43 132 3.436 -86 161 4.925 -409 386 6.912 40 572 9.650 -1.084 716 12.734 578 978 10.405 -1.03a 917 6.992 -90 1.352 -47 -472 748 7 11 302 0 0 215 -1 5 343 681 15 17 506 2c,o 25 3q9 819 54 282 989 296 1.834 221t 705 2.206 169 1.134 241 478 10 11 3.062 2.399 725 0 GOVERNMENT SPIJNS. CREDIT AGENCIES '4NTGAGE POOLS 13 14 15 YEAR-TOTAL FLOWS, ----- ----------- YEAR-TClTAL FLOWS, 1966-75 1 9 2713 l 2 3 " 6 9 87 294 301 533 94 673 1.794 1.154 580 -1.703 12 788 473 315 1.233 880 353 1.402 1.106 296 1.527 1.202 325 2.239 2.031 208 5.284 3.498 1.786 4.723 3.408 1.315 3.274 1.841 1.433 1.858 1.159 699 2.603 1.734 869 13 14 15 1.478 154 2!16 1.428 55 168 1.037 -4 118 1.481 54 111 1.764 -1 82 748 -313 286 000 -345 -51 1.104 -97 -72 1.174 30 87 83 16 152 18 ---------------------------------------------------------------------------------57 0 !14 0 73 75 111 418 525 776 1.159 909 49 17 867 2.041 426 2.381 -1.250 165 -777 -2 .583 19 20 l 2 3 COMMERCIAL MORTGAGES 1 NET BORROWING H OUSEHOLDS 2 NONFARM NONCORP. BUSINESS 3 NONFIN. CORPORATE BUSINESS 4 REITS 5 0 NE'T CHANGE IN ASSETS HOUSEHOLDS 7 STATE + LOCAL GOVERNMENTS 8 9 u.s. GOVERNMENT COMMERCIAL BANKING 10 5 .681 1.257 442 3 .982 0 4.684 1.194 349 3.141 6.700 1.135 544 4.886 135 5.835 1.276 441 3.964 154 7.165 1.258 584 5.246 7'1 9.915 1.310 851 7.665 89 16.755 1.419 1. 502 13.512 322 1c,.102 1.442 1. 745 15.700 215 15.220 1.362 1.375 12.370 113 11.126 1.091 980 8.810 245 5 .681 363 0 l3 1.989 4.684 -11 0 56 1.565 6.700 -559 0 87 2.574 5.835 5 0 82 1.761 7.165 1.521 95 74 1.171 9.915 -1.832 226 100 3.022 16.755 1.109 251 -219 5.445 19.102 -866 193 -102 6.945 15.220 572 341 -62 4.995 ll.126 -61 44 34 3.225 10 12 13 0 "5 6 7 8 9 11 SAVINGS INSTITUTIONS SAVINGS + LOAN ASSNS. '4UTUAL SAVINGS BANKS 1.002 430 572 1.301 610 691 1.857 1.011 846 1.344 594 750 1.485 934 551 4.090 3.078 1.012 5.135 3.6<,3 1.442 4.854 3.197 1.057 3.396 2.598 798 5.160 4.509 051 14 15 16 2.057 158 112 1 1.620 54 66 19 1.921 7 17 LIFE.INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS OTHER INSURANCE COMPANIES 60 8 1.c,92 40 4 7 1.595 4 215 45 2.538 93 13 -22 3.105 -173 146 -42 4.888 -25 474 -15 4.760 -7 469 -9 4.032 102 300 04 14 15 lb 18 19 FINANCE COMPANIES REllS -14 0 14 0 25 720 29 5&1 231 729 477 1.210 271 1.727 247 2.509 569 196 -23 -l.751 18 12 13 --------- 11 17 19 FARM MORTGAGES l NET BORROWING 1 .805 l.9b5 2.160 1.818 831 2 .381 3.551 5.495 5.001 5.233 2 NET CHANGE IN ASSETS 3 HOUSEHOLDS 4 STATE + LOCAL GOVERNMENTS 1.865 367 7 1.965 520 -9 2.160 944 21 1.818 659 13 831 299 83 Z.381 1.190 43 3.551 1.411 44 5.495 2.313 40 5.067 l.At28 34 5.2:33 1.722 46 4 26 677 139 651 176 6 105 517 105 1 588 225 -151 473 311 -260 730 439 -122 l .177 338 -15 1.854 2:20 -26 2.509 238 146 2.557 -5 6 7 202 1 417 29 208 64 329 20 217 0 234 17 293 -3 -30 0 4 -124 -64 374 -68 -48 -19 576 12 77 38 661 2 3J8 102 621 -2 331 -66 330 -3 433 58 5 6 7 u.s. GOVERNMENT SPONSORED CREDIT AGENCIES MORTGAGE POOLS 8 9 10 11 COMMERCIAL BANKS �UlUAL SAVINGS BANKS LIFE INSURANCE COMPANIES ST .+LOC. GOVT, RTP.. FUNDS MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 72 2 3 5 b 8 9 10 11 DECEMBER 1976 CONS UMER CREDIT ANO BANK LOAi-S N.E:.C. CONSUMER CREDIT ANO BANK LOANS N.E.('.. 63 CONSUMER CREDIT AND BANK LOANS NOT ELSEWHERE CLASSIFIED VtAR-lOTAL FLOWS, 1946-55 -----------------1946 1947 YEAR-TOlAL FLOWS, 1946-5!:> 194a 1949 -- ---- 1950 1951 -------------------- 1952 1953 1954 1955 CONSUMER CREDIT l l. 3 2. 719 1.710 1.009 3.214 2..523 691 2..851 2-303 54& 2.915 2.592 323 4.107 3.113 994 1.241 591 650 4.808 4.109 699 3.873 3.602. 271 1.071 563 508 6.366 5.338 1.02s Nl:T CHANGE IN LIAIH LI TIES IHHI INSTALMENT CRE:OIT NONINSTALHENT CREDIT 4 2.719 1.110 78 173 822 2 2 49 584 3-214 2.523 182 321 1.058 5 8 84 865 2.as1 2.303 212. 220 904 l3 2 99 847 2.915 2.592 201 l54 910 22 2 104 1.099 4.107 3.113 217 348 1.359 9 152 1.010 l.l41 591 33 239 -27 13 2 44 287 4.808 ... 109 25<t 398 1.753 43 3 203 1.455 3.873 3-602 95 125 1.474 45 9 287 l.5o7 1.071 563 -'>3 129 -202 26 6.366 5.338 26 364 1.805 28 4 336 2. 775 4 NEf tHANGE IN ASSETS 5 INSTALMENT tREDIT t, NONFARM NONCORP . BUSINESS NONFIN. CORPORATE 8U�lNESS 7 8 COMMERCIAL bANKING SAVINGS + LOAN ASSNS. 9 MUTUt.L SAVlhGS BANKS 10 CREDIT UNIONS 11 FINANCE tOMPANIH 12 1.009 230 413 333 32. 691 186 282 195 25 3 548 166 303 58 17 2 323 109 132 73 5 994 247 458 2.4-2 41 6 650 212 317 108 13 0 699 14-8 364160 26 1 271 73 131 55 9 3 508 100 186 197 24 5 6 ·7 ti 4 10 11 12. 13 1 .. 15 16 17 18 1 4 18 -----------------------------------------------6.853 3.169 2.4-49 1.155 -3.666 181 32 5.103 2.193 1.253 -1. I 05 54 4.369 1.410 962 258 -12 52 499 0 0 57 4.426 99 19 5.2&2 5.(106 492 255 553 3.47<t 232 301 357 3.026 260 lO 21 22 23 24 276 -28 �20 0 -16 -2 283 0 7 2 3 4 5 6 7 8 9 10 11 l,l 13 14 1; 16 17 18 80 5.183 5.282 1 1.028 150 279 539 55 5 --------- BANI<. LOANS NOT ELSEWHERE CLASSIFIED 5.254 6 218 439 NONINSTALMENT CREDIT NONFARM NONCORP. BUSINl::SS NONFIN. CORPORATt BUSINESS COMMERCIAL 8ANKING SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS l 2. 3 13 14 15 le, 17 lb TOTAL LOANS AT COHHE:RCIAL BANKS, F/F BASIS 529 10.039 5.854 0.102 1.ass 3-024 13.262 7 39 1.041 -300 339 91 4.602 1.130 1.913 602 251 -25 2..2.H 979 1.529 400 -111 08 -977 1.122 -5 45 -1.585 1.997 1.601 222. 187 61 5.971 -38 35 Atl9 2.392 2-344 583 -349 18 8.274 0 o2 561 0 100 -1-485 0 70 6.041 0 134 4.73b 0 91 2.322 0 -51 -1.()2& 0 32 451 0 -140 8.134 -96 4.330 139 700 -l.b04 -119 -69 5.972 2 4.738 29 2.351 -1 .045 -1 7 117 568 -132 8.002 - LOANS ELSEWHERE CLASSIFIED: MORlGA GES 2 C.ONSUMER C.REOI T 3 4 SECURITY CREIJJT 5 OPEN-MARKET PAPEK HYPOTHE:CATEIJ DEPOSITS 6 BANK LOANS NEC AT C�ML. 8KS. 7 + BANK LOANS Nl::C AT OTHER BANKING SU8SECTORS: 8 DOMESTIC A�FILIATES 9 FORtIGN BANKING AGENClES 10 BAhKlNG SECTOR TOlAL BANK LOANS NEC 11 + LOANS BY F.R. BANKS 12 TOTAL SANK LOANS NEC 4-330 4.0At2 700 291 35'1 353 -3H -194 -l.604 -1.977 111 103 -230 -1. 790 -171 5.9n 5.005 544 475 428 3.774 -216 ...738 4.975 277 596 244 3-1159 -1 2.351 1.675 319 lH 2013 825 150 -1.045 220 -581 69 -557 -100 56& 359 41:t 150 -607 355 8.002 5.641 224 572 611 3.870 364 NET CHANGE IN LIABILITIES NCJNF I NANC IAL StC.lURS HOUSEHOLDS FARM BUSINESS NONFARM NONCORP. BUSINESS CORPORAlE: BUSINESS REST OF THE �ORLO �73 -15 967 16 946 0 5 -237 4 -241 0 0 670 -6 6840 -2 -96 -7 -89 0 0 209 13 193 0 3 2.361 52 2-309 0 0 89 98 288 9.. 409 -26 ,.35 0 0 983 329 18 383 0 5 MONEY AMOUNTS ARE IN 141LllONS OF OOLLAkS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 81 -9<t9 891 49 FJNANC.UL SAVINGS FI NANCE REITS FOREIGN SECTOk� + LOAN ASSNS. COMPANIES BANKING AGE�C.IES 13 14 1� lb 17 18 19 20 21 22 23 24- DECEi4\ER 1976 CONSl>IER CREDIT AND BANK LOANS N.E.C. 64 CONSUMER CREDIT ANO BANK LOANS N.E.C. CONSUMER CREDIT ANO BANK LOANS NOT ELSEWHERE CLASSIFIED ------------------------------------------- YEAl{-TIJTAL FLOWS, 1956-65 1956 1957 -------------- 1958 1959 1960 1961 YEAR-TOTAL FLOWS, 195b-65 1962 1963 196't 1965 ------------------- CONSUMER CREDIT 1 Nl'T CHANGE IN LIABILITIES (HHI INSTALMENT CREDIT 2 NONINSTALMENT CREDIT 3 3.504 2.814 690 2.637 2.148 489 158 -226 384 6.415 5.605 810 4.597 3.721 876 1.841 923 918 5.839 4.829 1.010 7.918 6.766 1.152 8.529 7.206 1.323 9.bl5 8.201 1.414 4 NET CHANGE IN ASSETS l�SlALMENT CREDIT NONFARM NONCORP. BUSINESS NONFIN. CORPORATE BUSINESS COMMERCIAL BANKING SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS CREDIT UNIONS FINANCE COMPANIES 3.504 2.814 110 125 1.176 43 19 336 1.005 2.637 2.148 13 -88 1.066 60 4 415 678 158 -226 34 281 -63 72 17 239 -806 6.415 5.605 137 557 2.447 58 22 612 1.772 4.597 3.721 -92 30 1.445 64 3 643 l.628 1.841 923 -61 40 336 -5 15 380 218 5.839 4.829 125 533 1.997 -25 21 572 l.6G6 7.918 6.766 161 646 3.018 11 53 651 2.226 8.529 7.206 185 771 3.071 47 63 814 2.255 90615 8.201 210 742 3_.86& 34 108 984 2.255 NONTNSTALMENT CREDIT NONFARM NONCORP. BUSINESS NONFINo CORPO�ATE 8USINESS COMMERCIAL BANKING SAVINGS + LOAN ASSNS. MUTUAL SAVINGS SANKS 690 2.16 220 208 33 13 489 201 178 94 16 0 384 135 -16 219 43 3 810 204 102 426 66 12 876 253 249 302 65 7 918 217 70 529 86 16 1.010 321 370 1.152 265 248 515 113 11 1.323 255 297 745 lb 10 1.414 337 284 740 36 17 6 ' 7 8 q 10 11 12 13 14 15 16 17 18 277 36 6 --------------- 2 3 5 6 7 II 9 10 11 12 13 l'o 15 16 17 l& BANK LOANS NOT ELSEWHERE CLASSIFIED TOTAL LOANS AT COMMERCIAL BANKS, F/F AASIS l 3 4 5 6 7 8 9 10 11 12 - LOANS ELSEWHERE CLASSIFIED: MORTGAGES CONSUMER CREDIT SECURITY CREDIT OPEN-MARKET PAPER HYPOTHECATED DEPOSITS BANK LOANS NEC AT COML. BKS. + BANK LOANS NEC AT OTHER BANKING SUBSECTOR�: DOMESTIC AFFILIATES FOREIGN BANKING AGENCiES BANKINf SECTOR TOTAL BANK LOANS NEC ♦ LCANS ev F.R. BANKS = TOTAL BANK LOAN� NEC 13 NET C�ANGE IN LIABILITIES NONFINANCIAL SECTO�S 14 HOUSEHOLDS 15 16 FARM BUSINESS 17 18 19 20 21 22 23 24 NONFARM NONCORP . BUSINESS CClflPORATf BUSINESS REST OF lHE WORLD FINANCIAL SAVINGS FINANCE REJTS FOREIGN 8 .249 4.zoo 4.057 13.505 6.333 7.329 13.089 17.082 19.140 26.299 1.697 1.384 -756 -2q 68 � .885 598 1.160 -60 197 43 '2.262 2.143 156 440 523 25 770 2.628 2.873 207 550 47 7.200 653 1.747 249 -431 74 4.041 1.609 865 1.073 752 26 3.004 3.966 2.274 1.110 -140 15 5.864 4.896 3.533 600 150 54 7.849 4.492 3.816 484 593 119 9.636 5.626 4.608 105 -4-38 122 16.2.76 0 44 S.929 0 - 127 2.135 0 59 829 0 80 7.280 0 115 4.156 0 368 3.372 0 -22 5.842 0 80 7.929 0 58 9.694 0 111 16.387 24 5 .953 -21 2.114 13 842 -13 7.267 3 4.159 7 3.379 -14 5.828 31 7.960 -2 9.692 16.398 S _q53 6.4,48 383 -59 622 5.147 355 2.114 2.098 -12 384 115 1.258 353 842 1.541 758 4 13 171 -327 526 7.267 �-214 1.072 694 366 3.859 223 4.159 3.513 556 196 341 2.279 141 3.379 2.842 855 243 182 876 686 5.828 4.721 271 782 383 2.861 424 7.960 6.278 710 601 65? 3.728 5&2 9.692 9.107 1.601 271 473 5.059 1.703 16.398 14.070 1.3b0 7013 959 10.542 501 -495 -25 -475 0 5 16 -6 9 0 13 -699 31 -738 0 8 1.0�3 106 949 646 -35 710 0 -29 537 -22 548 0 11 1.101 -42 1.164 0 -15 1.682 90 1.563 0 29 585 41 495 0 't9 2.328 17.lt 2.lo4 0 -10 SECTORS + LOAN ASSNS. COMPANIE� BANKING AGENCIES MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C -2 11 2 3 4 5 � 1 8 � 10 11 12 13 14 1, lb 17 lb 19 20 21 .:2 23 l4 oECEMBE!L, 1976 e,uNSUMER CRfDlT ANO BANK LOANS i-.t:.c. CONSUMER CREDIT AMO BANII. LOANS N.t:.C.. 65 C.DhSUMER CREDIT ANO BA"'K LOANS MOT ELSEWHERE CLASSIFIED ----------------- -------------- YEAR-10TAL FLOWS, 1966-75 YEAR-lOTAL FLOWS, l9b6-75 ------------------196b l 2 3 4 5 6 7 8 9 10 11 u 13 14 15 lb 17 18 1967 1968 1969 1910 1971 1972 1973 1974 1975 C.uNSUMER CREDIT b.356 5.352 l.004 4.544 3.183 l.3bl 9.98} 9.311 1.670 10.370 9.ll>O l.Olb 5.851 4. 793 1.058 11.643 9.297 2-340 18.607 15.561 3.04b 21.111 19.678 2.039 9.77b 8.950 826 8.536 6.85:. l.683 NET CHANGE IN LIASILlllES (Hhl INSlALMENT CREOil NONINSlALMtNl CREOll bo35b 5.352 4.544 3.183 -154 9.987 8.317 -92 ...624 93 111 1-297 2.293 107 1.728 2-784 5.851 4.793 -38 -45 2.977 322 86 958 533 11.6'43 9.297 -145 -166 6.208 67 82 1.784 18. 607 15.561 -209 1 91 9.2b4 124 223 2-143 3-625 21.717 19 .678 -51 397 11.001 177 183 2.69b 5.275 9.776 8.950 1.992 66 87 7'48 411 10.376 9.360 -121 207 4.'>8� 157 3.975 1c,,z -50 2.so·, 2.177 8.536 6.853 -79 -198 2.857 48 136 3.238 851 4 NET CHANGE IN ASSETS !:> INSTALMENT CREDIT NOMFARM NONCORP. BUSHU,SS NONFIN. C.ORPOkATE BUSINESS 7 COMMERCIAL BANKING 8 9 SAVINGS + LOUt ASSNS. MUTUAL SAVJIIIGS 8AN"-S 10 CREDll UNIONS ll FINANCE C.OMPANJES l.! 1-361 386 404 532 31 8 1.670 453 242 896 l.OH, 522 298 179 8 9 1.058 531 610 -84 -3 4 2.34o 611 483 1.193 41 18 3.046 712 628 l.575 2 .039 818 504 628 41 48 826 756 473 -378 -12 -13 1.683 947 634 89 -21 34 -33 243 2.358 12 83 931 1.758 1.004 389 317 256 19 23 - 27 -9 47 32 170 l.467 -------- 73 58 6ANK LOANS NOT ELSEWHERE CLASSIFIED -6 -------------------- NONJNSTALMENT C.REDll NONFARM NONCOitP. BUSINESS N01,iFIN. C.ORPORAlt BUSINESS COMMERCIAL BANKING SAVINGS + LOAN ASSNS. '4UTU.AL S.AVlNGS iUkKS l .: 3 13 14 15 16 17 18 TOTAL LOANS AT C.Ol'll'IERCIAL BANKS, F/F 8Al>IS 18.254 17.691 27.427 21.615 12.552 29.800 59.0lb 73-196 48.35>4 -2.470 2 3 4 5 6 7 4.621 2.61'4 535 1.06'4 9.348 4.418 2-524 1. 4b0 2.047 0 7.182 6.S59 5.520 1-320 -382 0 lit.410 5.273 4.66'4 -1.109 1.2e1 0 11.506 2.032 2.893 1.441 1.482 0 .... 704 9-628 7.'401 775 286 0 11.110 16.190 10.839 4.670 -20'4 0 26.921 19.642 11.629 -2.960 -1 .268 0 4b.153 12.349 3.597 -2.395 2.220 0 32.583 4.134 2.946 2.063 1.098 0 -12. 711 ., 10 0 402 9.750 0 147 7.329 llt.817 0 407 3.9'46 l.309 16.761 -992 2-622 6.334 -114 543 12.139 -2'42 1.106 27.785 1.102 3.739 51.594 C,,lb 4.885 3&. 384 -526 -1.185 -14.'422 11 12 -41 9.709 0 7.329 0 14.817 16. 761 0 0 6.334 0 12.139 27. 785 0 0 51.594 0 38.384 0 -14.422 - LOANS ELSEWHERE C.LASSJFIEO: MORlGAGB 2 3 CONSUMER C.REOll SEC UR 1 TY CREDIT 5 OPEN-MARIi.ET PAPER HYPOTHECATED DEPOSITS b BANK LOANS NEC. Al CO"'L• bKS. 7 + BANK LOANS NEC. AT OTHER BANKING SUBSECTURS: DOMESTIC. AHJLJATES FOREIGN BANKING AC,ENClES 10 BANKING SECTOR TOTAL BANII. LOANS NEC. 11 + LOANS BY F.R. BANII.S TOTAL BAN� LOANS N�C 12 13 14 15 16 17 18 19 9.709 10.7'45 307 933 1.333 8.2'17 -125 7.329 9.341 1.900 700 589 6.431 -27'1 14.817 13.287 2.492 400 1.111 9.7'48 -464 16.761 15.261 1.005 628 2.116 11.146 -234 6.334 6.355 915 827 -614 5.564 -337 12.139 8.601 674 1.3'45 695 3.789 2.098 27.785 21.022 1.950 1. e1-. l.138 13.168 2.952 51.594 37 .605 951 3.013 1.065 29.735 2.841 38.384 30.867 -4.492 910 -l.00'4 30.759 4.694 -14.'422 -10.47b -1.469 1.921 -2.035 -12.883 3.990 NET CHANGE IN LIABILITlES NONFINANC.IAL SEC.lOKS HOUSEHOLDS FARM BUSINESS NONFARl'I NONCORP. BUSINESS CORPORATE BUSINESS HST OF THE WORLD 1.530 6-7 812 1.500 68 885 389 15a -21 -104 -75 78 80 3.538 662 633 602 1.641 6.763 737 3.8'47 1.335 844 13.989 399 4.521 3.9o5 5.084 7.517 1.051 -813 4.'407 2-872 -3.946 -87 -2.676 8 20 21 22 23 24 72 -1.036 73 -1.16'4 0 55 -2.012 -140 -1.844 0 -28 5bb 85 HONl::Y AMOUNTS A RE IN MILLIOhS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -846 -337 .. .. FINANCIAL SAVINGS FINANU �HTS FOkEIGN 13 1.. 1, lb 17 111 1'1 SEC.lORS + LOAN ASSNS. COMPANIES 20 21 22 BANKING AC.ENC.I tS l4 ,n DECF.MRER 1976 OTHER LOANS OTHER LOANS 66 PRIVATE MONEY MARKET INSTRUMENTS ANO OTHER LOANS ---------------- YEAR-TOTAL FLOWS, 1946-55 YEAR-TOTAL FLOWS, 1946-55 1946 1947 1948 258 191 258. 191 185 143 0 143 0 157 35 122 0 122 0 73 57 34 -4 1952 ------------ 1953 TOTAL NET ISSUES, ALL TYPES 2 OPEN-MARKET PAPER 3 4 5 6 7 8 9 10 11 12 13 COMMERCIAL PAPER NONFINANCJAL CORPORATIONS FINANCIAL BUSINESS COMMERCIAL BANKING FINANCE COMPANIES RF.ITS 42 BANKERS ACCEPTANCES NONFINANCIAL BUSINESS Nf)NCORPORA Tl' CORPORATE REST OF THE WORLD 1950 171 177 �05 508 418 377 277 -112 171 177 205 508 418 377 277 -152 l 173 164 168 0 168 412 62 350 0 350 0 416 62 296 71 225 0 -23 129 -152 79 -169 3 179 0 179 0 83 45 38 0 38 -2 0 13 27 14 13 122 -14 33 32 57 96 38 19 19 58 -20 418 l 1951 18 19 20 21 22 SPONSORED CREDIT AGENCIES MONETARY AUTHORITY COMMERCIAL BANKING SAVINGS + LOAN ASSOCIATIONS MUTUAL SAVINGS RANKS 23 24 25 LIFE INSURANCE COMPANIES INVESTMENT COMPANIES MONEY MARKET FUNDS -6 -4 0 0 65 354 0 354 0 2 22 11 1954 2.48 4 5 6 C -152 0 248 0 300 226 74 -231 -27 0 -136 -134 39 12 13 377 91 296 277 -1c; 115 183 -152 45 111 -145 lit l.5 lb 17 225 0 81 -H 21 20 40 0 1 b 9 10 29 28 -2 -2 38 258 0 191 0 91 6 171 0 126 177 0 134 31 205 20 -66 58 508 -20 98 91 139 16 181 0 13 0 0 89 0 5 0 0 -12 0 8 0 0 18 0 -6 0 0 187 0 6 0 0 339 0 0 0 0 251 0 0 0 -111 0 0 0 -18 0 16 0 28 -269 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 64 0 23 2.4 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 40 0 4C 0 0 26 27 2.8 2.9 30 0 0 0 0 0 0 0 0 0 31 216 234 214 482 125 -1 12.6 6 -255 261 504 25 4 1 74 431 -51 250 3 662 988 162. -406 473 -45 14 4 5 2 04 6b 347 16 14 NET PURCHASES, BY SECTOR HOUSEHOLDS l '5 16 NONFIN. CORPORATE �USINESS 17 REST OF THE WORLD 1955 1949 OPEN-MARKET PAPER, FEDERAL Fl.NUS + RP1S, ANO MONEY MARKET FUND SHARES 48 16 0 0 0 0 -2 49 11 11 92 9 114 112 14 11 1£1 19 20 21 22 2.5 FEDERAL FUNDS AND SECURITY RP'S 26 TUTAL NONBANK CREDIT TO BANKS NONFINANCIAL CORPORATIONS 27 SPONSORED CREDIT AGENCIES 2'3 SAVINGS + LOAN ASSOCIATIONS 29 30 MUTUAL SAVINGS BANKS 0 0 0 0 0 31 NET ISSUES = HOUSEHOLD NET PURCHASES 0 MCNEY MARKET MUTUAL FUND SHARES -------- C ---------------------- 1 FINANCE CO. LOANS TO BUSINESS LIAB.-NONCORPORATE BUSINESS 2 NONFIN. CORP. BUSINESS 3 -237 -113 llO -21 2.706 0 4.382. 0 -108 328 32 19 4.111 0 12 SPO NSORED CREDIT AGENCY LOANS LI ABILJTY OFFARM BUSINESS (FICB) 13 14 NONFARM NONCORP. BUS. IBC I S+L ASSOCIATIONS IFHLBI 15 l '50 16 POL ICY LOANS (HH LIABILITY) 17 ASSET-U.S. GOVERNMENT 18 LIFE INSURANCE.COS. 4 U.S. GOVERNMENT LOANS LIAB.-HOUSEHOLDS 5 FARM BUSINESS 6 7 8 9 10 11 NONFARM NONCORP. BUS. NONFIN. CORP. BUSINESS ST.+LOC. GOVERNMENTS REST OF THE WORLD SPONS. CREDIT AGENCIES -53 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -------- OTHER LOANS 142 1.318 0 803 0 401 0 190 70 1.u2 0 297 127 -85 479 0 22.1 -22 67 119 0 275 18 261 153 0 2.13 21 322 0 2.32 60 -3 -364 229 0 298 244 -62 490 304 -25 44 10 96 108 59 131 121 4f 77 13 7 -82 75 32 383 156 47 101 4 -47 -70 42 199 16 183 190 45 2 .628 0 -73 170 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. C -243 -109 5 -58 HYPOTHECATEO OEP. (HH LIAB. I ASSET-COMMERCIAL BANKS 19 C -154 -124 68 42 -40 -14 -2 -68 -1 43 132 12 120 32 54 52 -134 -15 16 2.0 0 0 8 10 63 37 2 6 1 -147 -335 -201 -22 12 -122 -45 587 12 18 -252 42 88 50 -10 -85 28 9 550 13 14 15 173 17 194 17 177 137 14 123 220 19 201 235 22 213 193 30 163 16 17 61 91 -25 68 35 18 1� 418 0 -33 66 8 9 10 11 18 l)t::CEM� 1976 OTHER LOANS ----------------- ------ OTHER LOA!',S 67 P RIVATE MONEY MARKET INSTR U MENTS AND OTHER LOANS 11:AR-TOTAL FLOWS, 1956-65 YEAR-TOTAL FLOWS, 1956-65 1957 1956 1958 1959 ------------------------ l9o0 1961 1962 l9o3 1964 1965 ------------------------------------------ ------------OPEN-MARKET PAPER, FEDERAL FUNDS + RP'S, ANO MONEY MARKET FUND SHARES 836 -30 312 2.174 842 474 836 -12 312 2.111 845 4 5 b 7 8 149 16 133 0 133 0 496 44 452 0 452 0 101 236 -135 0 -135 0 355 -343 698 0 698 0 l .295 454 841 0 841 0 189 325 -136 0 -136 0 9 10 11 12 13 325 158 79 79 167 340 129 64 65 211 -113 -37 -19 -18 -76 -43 ll 6 -54 876 241 120 121 635 656 61 30 31 595 14 1s 16 17 474 -24 155 232 836 143 100 283 -12 -155 -254 -111 312 -23 -292 -86 2.111 11 1.742 534 -4 478 69 18 19 20 21 22 0 41 51 0 5 0 -3 277 0 l 0 -17 543 0 47 0 550 0 4 23 2'> 25 0 14 0 0 35 0 17 -82 0 26 27 28 29 30 -22 0 -22 0 0 0 0 0 0 0 -18 1.281 l.030 2.483 1.122 l.030 2.147 865 l.314 104 1.210 0 1.210 0 790 -230 1.020 0 1.020 0 1.652 157 1.495 0 1-495 0 858 -328 1.186 0 1.186 0 COMMERCIAL PAPER NONFINANCIAL CORPORATIONS FINANCIAL 6US1NE:SS COMMERCIAL BANKING FINANCE COMPANicS REJTS -33 3 2 l -3 o 240 -233 -117 -116 473 4'15 88 45 ,.3 407 7 74 37 37 -67 BANKERS ACCEPTANCES NONFINANCIAL BUSINESS NONCORPORATI: CORPORATE: REST OF THE WURLD 9 10 11 l, 13 845 1.281 3o 714 27 1.030 9 1151 50 ;t.147 -38 1.660 183 865 -2 470 362 NET PURCHASES, BY SE:CTOR HOUSE:HOLDS NONFIN. CuRPORATE: BUSINESS REST OF THE WORLD 14 15 16 17 0 -1 -371 0 48 0 -23 492 0 28 0 59 -62 0 100 0 52 120 0 -59 0 -08 593 0 59 0 93 -438 0 -2 101 32 0 176 32 0 -101 -94 0 154 253 0 33 -lb 0 -132 -110 0 45 337 0 0 0 0 0 0 3 0 3 0 0 -3 0 -3 0 0 0 0 0 0 0 0 0 0 0 0 ,36 309 27 0 0 257 284 -27 0 0 5 26 0 -18 0 0 TOTAL NET ISSUES, ALL TYPES OPEN-MARKET PAPE:R SPONSORED CREDIT AGENCIES MONETARY AUTHORITY COMMtRCIAL BANKING SAVINGS + LOAN ASSOCIATIONS MUTUAL SAVINGS SANKS .: 3 '> 5 6 7 8 18 19 20 21 22 LIFE INSURANCE COMPANIES INVESTMENT COMPANIE� MONEY MARKET FUNDS FEDERAL FUNDS AND SECURITY RP'S ------------------ TOT AL NONBANK CKEDll 10 BANK� NONFINANCIAL CORPORAllONS SPONSORED CREDIT AGtNClES SAVINGS + LOAN ASSOCIATIONS MUTUAL SAVINGS BANKS lb 27 2b 29 30 MONEY MARKET MUTUAL FUND SHARES -----------------------31 0 0 0 ------------------------------------0 0 0 0 0 0 NET ISSUES = HOUSEHOLD NET Pu�CHASES 31 OTHER LOANS l 2 3 84 -48 132 964 499 465 49 -30 19 1.422 575 847 l.908 344 1.564 2.03 -114 317 170 401 -231 1.415 71S3 632 1.590 908 682 1.965 1.337 62.8 FINANCE CO. LOANS TO BUSINESS LIAB.-NONCORPORATE BUSINESS NONFJN. CORP. BUSINESS 4 5 6 7 s 9 10 11 642 33 50 lbl -2 68 31 295 301 78 -74 33 59 151 334 -280 1.052 lOl 15 128 11 180 632 -21 474 142 12 32 27 185 -3 79 761 166 -13 10 77 205 418 -102 1.156 166 122 30 66 226 479 67 1.868 223 50 17b 213 504 717 -15 1.884 203 61 276 233 1.152 -89 48 2.856 22'> 64 366 199 261 l.611 131 2.823 235 80 168 294 313 l .528 205 U.S. G OVERNMENT LOANS 4 5 LIAB.-HOUSEHOLDS 6 FARM BUSINESS l NONFARM NONCORP. BUS. NONFJN. CORP. BUSINESS o ST.+LOC. GOVERNHE:NTS 9 REST OF THE WORLD 10 SPONS. CREDIT AGENCIES 11 12 -49 219 313 1.182 -15 878 1.045 l.669 807 13 14 15 54 86 -189 185 -3 37 2.24 56 33 234 112 836 111 27 -153 149 48 259 681 190 38 817 105 1.305 148 118 541 269 97 672 lo 17 18 254 25 229 385 35 350 359 40 319 410 40 430 653 40 613 559 57 502 544 43 501 460 39 421 524 39 485 580 42 19 68 43 25 47 74 2.6 15 54 119 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 538 122 1 2 3 SPONSORED CREDIT AGENCY LOANS LIABILITY OFFARM BUSINESS IFICBI NONFARM NONCORP. BUS. (BC) S+L ASSOCIATIONS (FHLBI 13 14 15 12 POLICY LOANS IHH LIABILITY) ASSET-u.s. GOVERNMENT LIF E INSURANCE COS. 16 17 18 HYPOTHECATE O DEP. (HH LIAB.I ASSET-COMMERCIAL BANKS 19 DECF.MBER 197lOTHER LOANS 68 OTHER LOA"4S PR IV ATE MONEY MARKET INSTRUMENTS AND OTHER LOANS ------------------------- --------- ----------- YEAR-TOTAL FLOWS, 19l:6-7'5 1966 1967 1968 1969 ---------------------------------- 1970 1971 1972 YEAR-TOTAL FLOWS, 1966-7!> 1"73 1974 1975 OPEN-IURK!:T PAPER, FEDERAL FUNDS + RP1S, AND MONEY MARKET FUND SHARES l TOTAL NF.l ISSUFS, ALL TYPES 4.qo7 3.880 4.76q 15.050 -120 841 4.114 15.243 17.79<, 537 2 OPEN-MARKET PAPER 4 .556 4.154 4.1�9 12.450 2.078 -114 1.604 8.346 17.663 -1.211 4.345 825 3.520 0 3 .520 0 3.440 1.412 2.028 0 2.028 0 4.088 1.215 2.873 0 2.873 0 11.427 1.101 10.320 4.294 6.026 0 471 1.777 -1.306 -1.945 639 0 -945 -886 -59 -376 -463 780 2.595 721 1.874 664 -1.250 2.460 6.352 1. 414 4.938 2.244 1.959 735 8.071 ...312 3.759 3.451 3.573 -3.:.!65 -1.454 -2.519 1.065 322 624 119 3 4 5 6 7 211 262 132 130 -51 714 241 122 119 473 111 270 136 134 -159 1.023 708 355 353 �15 1.607 808 405 403 799 831 529 264 265 302 -991 53 28 25 -1.044 1.q94 1.064 532 532 930 9.592 2.511 1.256 1.255 7.081 243 348 174 174 -105 <, 10 14 NET PURCHASES, BY SEtTOR 15 H OUSEHOLDS 16 NONFIN. CORPORATE BUSINESS 17 REST OF THE WORLD 4.556 2.736 -225 230 4.154 -2.167 4.178 35 4.199 -459 4.165 579 12-450 3.809 4.022 994 2.078 -3.196 l .172 487 -114 343 -2.300 -159 1.604 1 1.437 -62 8.346 3.386 6.521 301 17.663 5.510 -!>546.622 -1.211 -3.191 18 19 20 21 22 SPONSORED CREDIT AGENCIES MONETARY AUTHORITY 0 6 1.064 0 -106 -382 125 -46 0 6 1.281 218 87 0 -7 1.482 1.505 220 0 204 286 981 237 414 -155 -204 511 -244 -193 -38 -1.268 -509 -76 &76 931 2.220 -Ill 324 89 127 1.098 -49 140 18 19 20 110 0 -29 2.047 0 30 23 'Z4 25 LIFE INSURANCE COMPANIES 87 548 0 100 -40 0 46 277 0 839 1.194 0 777 -362 0 628 -334 0 211 -305 0 23 199 0 1.066 135 6't5 743 -256 -121 23 24- 351 3 02 49 0 0 -274 -225 -49 0 0 570 451 12 0 107 2.600 2.190 181 0 229 -2.198 -3.077 773 0 106 955 843 -614 508 218 2.510 1.611 400 367 132 6.897 2.574 2.281 1.325 717 -2.243 -2.777 -969 1.803 -300 4-82 2.246 -287 -1.378 -99 26 27 211 2� 30 -------------------------------------- 0 0 0 2.379 1.266 31 l 2 3 3 4 5 6 7 8 9 10 11 12 13 COMMERCIAL PAFER NONFINANCIAL CORPORAllONS FINANCIAL BUSINESS COMMERCIAL BANKJNG FINANCE COMPANIES REJTS BANKERS ACCEPTANCES NONFINANCIAL BUSJNESS NONCORPORATE CORPORATE REST OF THE WORLD COMMERCIAL BANKING SAVINr.S + LOAN ASSOCIATIONS MUTUAL SAVINGS BANKS 0 I NVESTMENT COMPANIES MONEY MARKET FUNDS ------------- 2.111 -2.568 8 11 12 13 14 15 16 17 21 22 25 FEDERAL FUNDS AND SHURITY RP 1 S 2t. TOTAL NONBANK CREDIT TO PANKS NONFINANCIAL CORPORATIONS 'l7 SPONSOR c D CREDIT AGFNCIES 28 SAVING� + LOAN ASSOCIATIONS 29 30 MUTUAL SAVINGS BANKS MCNEY MARl<ET MUTUAL FUND SHAllf:S 31 NET ISSUES = HOUSEHOLD NfT PURCHASES 0 0 0 0 0 OTHER LOANS ----------------------------------------------------- l FINANCE CO. LOANS TO BUSINESS LIAB.-NONCORPORATE BUSINESS 2 NONFIN. CORP. BUSINESS 3 1.074 1.139 -65 -349 -59 -290 2.233 486 1.747 4.969 631 4.338 531 -282 813 2.008 683 1.325 3.805 631 3.174 4.334 870 3.464 4.677 -994 5.671 2.218 -56 2.274 4 U.S. GOVERNMENT LOANS LIAB.-HOUSEHOLDS 5 FAR"' BUSINESS 6 7 NONFARM NONCORP. BUS. 8 Nl'.'NFIN. CORP. BUSINESS ST.+LOC. GOVERNMENTS 9 10 RE'ST OF THE WORLD 11 SPONS. CREDIT AGENCIES 2.112 482 -12 212 366 627 1.210 -'Z33 3.708 329 158 366 191 175 2.556 -67 3.635 427 -!:'3 3'l7 164 310 2.213 247 3.384 3ll0 -15 330 117 746 2.109 -283 2.519 293 -52 570 293 1.338 0 3.169 360 47 358 226 365 1.813 0 2.533 385 36 61 241 345 1.465 0 3.394 210 106 750 348 286 1.694 0 5.857 511 258 540 1.529 676 1.648 695 7.320 542 1,092 l .662 206 189 2.765 864 12 SPONSORED CREOil AGENCY LOANS LIABILITY OF13 FARM BUSINESS (FICB) NONFARM NONCORP. BUS. (BCI 14 15 S+l ASSOCIATIONS IFHL8) 1.580 -1.845 1.187 4.806 2.323 -2.001 755 8.549 9.305 -2.408 12 407 235 9311 488 216 -2.549 'Z43 71 873 621 155 4.030 699 298 1.326 695 -17 -2.679 4 27 285 43 1.102 279 7.168 1.650 998 6.657 1.147 404 -3.959 13 16 Pf1. ICY LOANS (HH LIABILITY) 17 ASSET-U.S. GOVERNMENT 18 LIFE INSURANCE COS. 1.489 50 1.439 992 50 942 1.290 43 1.247 2.604 85 2.519 2.308 69 2.239 1.013 12 1.001 950 12 938 2.221 25 2.196 2.699 3b 2.663 1.617 12 1.005 16 72 0 0 0 0 0 0 0 0 0 19 19 HYPOTHECATED DEP. (HH LIAS.I A SSET-COMMERCIAL BANKS MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 77 4 s 6 7 6 9 IC 11 14 15 17 18 01:CEMBER 1976 SECURITY CREDIT, TRADE CREDIT, ANO TAXtS SECURITY CREDIT, TRADE CREDIT, ANO TAXES 69 SECURITY CREDIT, TRADE CREDIT, ANO TAXES PAYABLE YEAR-TOTAL FLOWS, 194o-55 YEAR-TOTAL fLIMS, 1946-55 1946 1947 1948 1949 1950 1951 1952 1953 1954 1955 SECuRITY CREDIT -1.153 -364 -5 199 -284 -3 794 272 2 1.078 700 -402 -126 3 552 170 852 403 2.134 1.099 3c, 981 685 0 -1.610 -1.654 0 -784 520 514 375 50 51 50 -81 50 -181 296 334 7 389 301 100 -12 1.005 0 -,8 ..19 312 39 50 283 -279 -248 44 -694 0 48b a 9 10 -4.280 39 -3.6b6 -1.i;3 -73 -1.105 1'19 794 48 379 1.078 269 -402 -18 552 -179 852 -6 ,.134 312 991 -121 683 981 NET CHANGE IN ASSETS HOUSEHOLDS COMMl:RCIAL BANKING 8 9 10 -658 42 -17 -31 364 523 14 -71 -3 81 -2 36 .. -6 80b 436 BROKERS + DEALERS FOREIGN 11 12 -4.280 -2.666 -4 4 5 6 11 12 5 -90 -6 258 -22 3 6 272 -250 l 506 652 0 500 568 100 337 25 100 -138 -17 NET CHANGE IN LIAB lLlllES HGUSEHOLOS FOR.EIGN B ROKERS + DEALERS FROM COMMHCUL BAMS FROM FOREIGN BANKING AGS. CUSTOMl:R CREDIT BALANCES TRACE CREDIT ---------------------------------------------------------NET 3.527 10.465 3.068 9.762 59 2.819 1.801 -240 4.1.. l 1 2 05 57 109 87 230 352 82 339 194 100 283 -140 5.756 140 -39 -2.013 3.291 151 82 2.366 1..9 22 -3.. 3 100 -5 0 8.335 100 -10 l .100 10 11 12 5.U.4 5.110 -b -100 2-343 2.303 -34 -747 n 2.012 2.699 -4 -800 117 100 1-. 0 -44 0 71 10.699 10.251 31 400 14 2-129 -l.037 1-325 806 -937 3 4 5 6 7 9 -6C>0 710 0 41 72 -774 17 0 238 436 -119 145 -458 860 1.674 100 0 62 -217 305 -296 100 27 75 -19 -175 4.483 3.449 24 900 110 4.066 2.976 41 -872 - l.604 42 1.600 4.17b 88 101 J.626 2.376 150 c,9 83 181 1.344 8. 736 150 54 -234 -83 -843 3-660 3.415 9.610 951 9a -37 58 231 58 -2.265 632 510 -50 -38 9.644 45 -171 92 855 1 2. 3 4 5 6 7 CHANGE IN L(A61LlTIE� HOUSEl10LOS fARM BUSINESS NONFARM NOhCORP. B USINESS (PAYABLES LESS RECEIVABLESI 3 4 NONflN. CORPORATE BUSINESS STATE + LOCAL GOVERNMENTS FOREIGN U.S. GOVERNMENT 5 b 7 8 NET CHANGE IN ASSETS NONFIN. CORPORATt BUSINESS FOREIGN U.S. GOVERNMENT OTHER INSURANCE COMPANltS 9 10 l2 13 DISCREPANCY 14 2. ll ----------------------------------------------------------------PROFIT TAXES PAYABLE 1 2 3 4 5 6 7 8 9 10 11 12 -2.001 -2.021 16 0 -4 -10 9 3 -1.382 7 '"-1.389 2.348 2.457 -110 0 1.001 854 48 -2.167 73 100 0 0 -�o 10 18 -2.380 44 0 45 0 29 -55 21 3 65 4 -2.330 --66 7.566 165 7.401 163 108 -7 27 -1 2.490 142 2.348 819 67 812 -2.264 -142 122 ·------------------ 7.674 7.514 117 4.900 ...670 162 0 57 -34 47 -2 -2. 914 -3.253 178 1.068 599 90 .H 10 137 73 11 lo 174 2 82 1 -3.5'52 -3.283 -26 -3 -48 -1oc; -84 3.723 4.097 -376 l 39 -81 39 1 4 5.199 -3.660 -57 -3.603 522 -17 539 -3.032 5.086 -36 -2.996 2.888 195 i.693 -299 746 546 -520 835 113 NET CHANGE JN TAXES PAYAbLE NONFJN. CORPORATE SUSJNESS COMMERCJAL BANKS SAVINGS + LOAN ASSOCIAlIONS LJFE JNSURANCE COMPANIES OTHER INSURANCE COMPANil:S FINANCE COMPANIES B ROKERS + DEALERS L 3 4 5 o 7 8 NET CHANGE IN TAXtS RECEIVABLE 9 10 STATE + LOCAL GOVERNMENTS U.S. GOVERNMENT ll DISCREPANCY 12 PROPRIETORS• EQUITY IN NONCORPORATE B USINESS ------------ ----------------------------------1.336 2...56 -1.120 308 -881 -292 -1.256 600 375 MONEY AMOUNTS ARE JN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 902 1.398 -496 274 1.373 -1.099 14 1.132 -1.118 -134 889 -1.023 -2.087 235 -2.322 -2.482 -601 -1-881 TOTAL HOUSEHOLD lNvE�lMENT FARM BUSINESS NONFARM NONCORP. BUSlNESS £ 3 DECE"3ER 1976 SECURITY CKEDIT, TRADE CREDIT, AND TAXES 70 SECURITY CREDIT, TRAD� CREDIT, A�O TAXES PAYARLE -------- SECURITY CREDIT, TRADE CREDIT, AND TAXES YEAR-TOTAL YEAR-TOTAL FLOWS, 1956-65 1956 19'>7 -----------------1 NET CHANGE HI LI ABI LITI=S HOUSFHOLDS 2 FOREIGN 3 4 5 6 7 BROKERS + DEALERS FROM COMMERC UL BANKS FROM FOREIGN BANKING AGS. CUSTOMER CREDIT BALANCES -637 -43 -6 -588 -673 100 -15 -637 1958 10 -205 561 231 41 39 186 32 -179 266 76 153 495 874 772 10 960 1.113 -150 -3 523 151 379 -7 221 -37 -46 360 -283 -263 906 2.249 798 34 2.503 -84 1.124 960 979 447 -158 10 -159 -37 1.531 -3 -485 376 42 12 129 289 63 -167 239 34 2 -337 965 27 3 -12 NET CHANGE IN LIABILITIF.S HOUSEHOLDS 2 3 FARM BUSINESS 4 NONFARM NONCORP. BUSINESS I PAYABLES LESS RECEIVABLES) 4.753 143 66 -293 2.952 123 235 586 4.127 154 440 -381 5.999 5 6 7 8 4.270 100 142 325 1.559 200 3.673 20(l -22 63 4.982 6.082 5.764 107 76 135 1.716 1.560 85 -1.329 BROKERS + DEALERS FOREIGN l NONFIN. CORPORATE BUSINESS STATE + LOCAL GOVERNMENTS FOREIGN U.S. GOVERNMENT 9 NET CHANGE IN ASSETS 10 11 12 13 NONFIN. CORPORATE BUSINESS FOREIGN u.s. GOVERNMENT OTHER INSURANCE COMPANIES 14 DISCREPANCY l 2 3 4 5 6 7 8 NET CHANGE IN TAXES PAY.ABLE NONFIN. CORPORATE BUSINESS COMMERCIAL BANKS SAVINGS + LOAN ASSOCIATIONS LIFE INSURANCE COMPANIES OTHER INSURANCE COMPANIES FINANCE COMPANI ES BROKERS + DEALERS 9 NET Cl-fANGE IN TAXES RECEIVABLE STATE + LOCAL GOVERNMENTS 10 11 U.S. GOVERN"ENT 12 DISCREPANCY l TOHL HOUSEHOLD INVFSTMENT 2 3 FARM BUSINESS NONFARM NONCORP. BUSINESS -------- -1.791 -1.983 306 -1 40 -147 2 -8 55 1.083 -124 1.074 37 5 TRADE CREDIT -4 ---------- 138 -53 7 1.124 736 28 864 � 3 4 5 6 7 8 9 11 4.746 154 6 -148 6.775 165 862 -1.423 7.291 268 186 -913 12.947 229 -792 4 100 83 5.234 212 3.812 132 509 281 7.403 6.915 273 765 -203 12-142 372 -5f. 507 5 71 3.062 79 764 242 6.531 6.185 164 -1 183 4.286 4.151 -85 68 152 8.010 7.776 189 -14 4.389 4.739 6.952 160 5.833 6.289 -66 -538 148 1.236 -1.706 -532 288 -2.876 88 161 -89 -1.948 -2.131 81 0 2 83 10 7 -2.530 -2.593 -23 -2 -2.001 235 59 -378 -99 a.an b 1 8 152 13.878 l3.18Y 136 388 165 12 13 -177 -1.580 -931 14 710 531 213 32 -35 l.lt8 1.567 -451 83 -6 -22 -32 29 2.189 2.162 -132 3 -20 56 87 33 8.410 2CB 6.369 -33 485 131 7 1.501 -87 229 65 244 9 10 11 -1.225 -2.202 -69 8 0 -16 -6 2 -2 408 1.383 -891 -1 -34 -34 -30 15 2.316 158 Z.158 -1.353 87 -1.440 521 41 480 754 212 542 1.926 151 1.775 452 191 261 1.288 11 -188 128 -113 747 -758 258 768 12 667 -1.917 2.584 -2.306 1.802 -504 1.002 -1.750 2.752 84 65 -25 -21 59 -66 -905 -590 -315 69 245 545 2 .128 2.439 -460 l 86 -21 66 17 -1.982 ---------------- 297 423 43 PROFIT TAXES PAYAB LE -2.464 -15 -2.449 -454 325 148 -17 5.134 148 106 -870 -1.770 76 -1 .846 -1.641 -1.187 354 92 -84 4.574 13 159 255 -------------- MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 798 1965 -------- 2.5C3 l .957 23 481 12 1964 -126 -36 1.735 262 11 1963 1.338 37 -279 12 40 -656 1962 2.249 63 14 -17 8 NET CHANGE IN ASSETS HOUSEHOLDS 9 COMMERCIAL BANKING 10 1961 1956-65 354 -138 -3 1.735 1.157 17 11 -------------------------- 1960 SECURITY CREDIT -279 -408 0 100 18 1959 FLOWS, 999 946 495 l 54 8 8 103 -58 -88 l 1.421 133 -----·----- PROPRIETORS' EQUITY IN NONCORPORATE BUSINESS -119 25 -144 -3.664 -2-297 -1.367 -2.013 -1.253 -760 -957 -1.211 260 -386 -1.096 710 1 z 3 4 5 6 1 8 9 lC ot:CE:Ml!ER 197b SE:CUIUlY CRE D IT , TRADE CREDtl, ANO TAX£S SECURITY CPEOIT, TRADE CREDll, ANO TAXES PAYABLE YEAR-TOTAL FLOWS, l9bb-75 1967 ------------------ YEAR-TOTAL FLOIIS, l9bb-75 ---------------------------l9bb SE:CURI TY CREDIT, TRADE CRE 011, AND TAXES 71 1968 ------------ - -- ------ 1969 1970 1971 1972 1913 1974 1975 ------- SECURITY CREDIT -73 9 1.023 3.684 170 b.582 2.918 210 -...658 -3.402 -230 -799 -1.780 1 3.845 2-666 33 8.669 4.469 84 -7.921 -4.346 -181 -5.010 -1.802 -38 4.526 2.244 126 4 5 6 839 563 62 214 3.169 820 0 2.349 3.454 1.033 0 2.AtZl -3.026 -1.000 0 -2.020 980 1.932 0 -952 1.146 b52 0 494 4. llb 3.838 87 191 -3.394 -2.7&9 -436 -189 -3.170 -34 -1-015 2.156 2.173 -182 165 8 9 10 775 197 597 7.023 2.213 1.460 &.582 2.09b 1.320 -6.&58 -1.818 -1.109 -799 -8b7 1.441 3.8'>5 532 775 8.6b9 13& 4.757 -7-921 -156 -3.396 -5.010 -975 -2.429 4.526 94 l.881 NE:T CHANGE IN ASSETS HOUSEHOLDS COMME:RCIAL BANKING 9 10 11 12 -36 17 3.21'> 13b 2.841 325 -3.529 -202 -1-288 -85 2-576 -38 3.721 55 -4.336 -33 -1-566 -40 2.480 BROKERS + DEALERS FOREIGN 12 l 2 3 7 775 -------------- TRADE CREDJT -2.121 71 NET CtiANGE IN LIABILllIES H OUSEHOLDS FORE:IGN BROKERS + DEALERS FROM COMME:RCIAL BANKS FROM FOREIGN BANKING AGS. CUSlOME:R CREOll BALANCES 2 3 4 5 6 7 ti 11 ----------------- l 2 3 4 10.627 279 407 -2.120 9.000 407 -208 -483 17-764 489 -975 170 22.7"'4 489 -377 649 9.418 500 -368 950 11.451 345 149 -1.774 16.731 608 564 382 25-64>3 607 118 I .854 23.790 582 187 577 10.010 552 140 -1.129 NET CHANGE IN LIABILITIES HOUSEHOLDS FARM BUSINESS NONFARM NONCORP. bUSl11HS (PAYABLES LESS RECE:IVABLESI 5 6 7 8 l0.5b8 491 333 669 7.582 618 5 15 569 17.012 olO 399 -1 20.976 514 &21 -32& 7.444 511 963 -582 12.229 651 526 -675 14>.122 708 467 -120 19.985 l.OB6 1.877 116 18."88 929 3-086 -59 5.825 910 2.051 1.121 NONFIN. CORPORATE BUSINESS STATE + LOCAL GOVERNMENTS FOREIGN u.s. GOVERNMENT 9 10 11 12 13 13.944 11.987 459 1.249 249 10.350 8.237 367 1.468 278 2 0.203 1 8.407 921 575 300 24.666 22-549 776 919 '>22 9.597 8.513 1.389 -777 472 13.418 14.747 84 -1.704 291 22.622 21.489 771 -819 1.181 27 .158 25-255 986 274 643 2b.034 22.967 l.655 877 535 11-468 7.943 l.b43 1-234 b48 NET CHANGE IN ASSETS NONFIN. CORPORATE: BUSINESS FOREIGN u.s. GOVERNMENT OTHER INSURANCE COMPANIES 12 13 14 -3.317 -1.350 -2.439 -1.922 -179 -1.9&7 -5.1391 -1.515 -2-244 -1.398 DISCREPANCY 14 1.111 1.010 125 NH CHANGE IN TAXH PAYABLE NONFIN. CORPORATE: BUSINESS COMMERCIAL BANKS SAVINGS + LOAN ASSOCIATIONS LIFE lNSURANCE COMPANlE:S OTHER IN�URANCE COMPANIES FINANCE COMPANIES BROKERS + DEALERS NET CHANGE IN TAXES RECEIVABLE 9 lO STATE + LOCAL GOVERNMENTS u.s. GOVERNMENT 11 -------------- 55 51 48 -52 -3.145 -3.70b 340 16 112 b5 28 0 1.837 1.991 -27 59 -70 -ll5 9 -10 -85 -92 -200 2b 15 l,O 21 25 2.536 2.323 85 36 13 55 -12 -108 -3.361 -3.214 -325 119 -90 5 109 35 1.269 b7b -2.683 30'1 -2.992 -2.3b6 22!> -2.591 2.078 536 l.542 2b 775 -749 2.055 739 l.316 l-286 1.005 281 -3.403 -122 -3.281 1.07b -437 -779 -241 -lll 481 -115 42 -11.056 -7-380 -3.67b -9.850 -5.791 -4.059 -4.920 -4.727 -81 -3 -111 2 -56 5b 3.021 2.861 -51 24 lb2 -22 -1 48 -3.120 -3.306 78 9 10 -1.112 253 -1.365 -4.897 224 -5.121 1-945 u. 12 1.212 -23 4 5 6 7 8 5 b 7 8 9 10 11 PROFIT TAXES PAYABLE lbO 205 -31 -44 60 2 -34 2 l 2 3 l 2 3 4 b 3b b0 -12 20 7b DISCREPANCY 1 2 3 4 5 b 7 8 12 PROPRIETORS' EQUITY IN NONCORPORATE BUSINE:SS 1 2 3 691 -2.501 3.192 -517 -790 273 1.062 -799 1.801 -725 -l.b92 967 MONEY AMOUNTS ARE IN MILL IONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -392 -700 308 -722 -2.449 1.727 -3.061 -5.097 2.03b -4.361 -4.911 550 TOTAL HOUSEHOLD INVESTMENT FARM BUSINESS NONFARM NONCORP. BUSINESS l 2 3 DECEMBER 1976 MISCELLANEOUS 72 MISCELLANEOUS I MISCELLANEOUS FINANCIAL CLAIMS ---------------------1946 1947 -------- --------- YEAR-T OTAL FLOWS, 1946-55 1 NET CHANGE IN LIABILITIES HOUSEHOLDS 2 NONFIN. CORPORATE BUSINESS 3 --------- YEAR-lOTAL FLOWS, 1946-55 1948 1949 1950 1951 1952 1953 1954 1955 757 65 -4 5.240 81 10 1.612 51 34 2.732 69 56 3.525 103 80 2.095 79 90 3.353 76 132 2.664 92 158 3.349 87 124 3.749 141 197 -35 -93 3.506 -256 612 -286 941 -460 1.190 -257 596 -42 917 -343 620 -240 996 -210 1.161 -406 824 -216 -75 13 1.899 41 252 320 1.201 30 7 101 2.126 89 221 643 2.409 47 393 840 1.372 166 -435 395 2.571 75 107 445 2.034 214 47 113 2.352 393 -26 593 2.656 -62 101 737 7 37 10 11 l 2 3 4 REST OF THE WORLD U.S •. GOVERNMENT 6 7 9 TOTAL FINANCE SPONSORED CREDIT AGENCIES MCNETARY AUTHORITIES COMMERCIAL BANKING 10 11 12 13 14 15 SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS LIFE INSURANCE COMPANIES NONLJFE INSUR. COMPA�IES FINANCE COMPANIES REITS 3 14 300 716 69 0 -25 10 395 824 82 0 -75 9 266 739 124 0 7 15 388 651 112 0 132 43 276 519 159 0 -111 16 391 882 68 0 55 10 630 1.004 245 0 46 39 530 825 220 0 44 58 663 S69 58 0 &44 724 426 0 16 NET CHANGE IN ASSElS HOUSEHOLOS 17 18 F ARM BUSINESS 19 NONFARM NONCORP. BUSINESS NONFJN. CORPORATE BUSINESS 20 1.494 803 57 140 523 4.966 538 84 162 1.012 1.868 395 90 133 916 1.716 370 76 100 851 2.135 335 33 90 703 3.021 584 59 151 672 2.808 727 87 204 954 2.741 606 77 190 894 2.842 337 73 195 791 2. 736 467 108 150 964 16 209 -250 2.837 £'6 -32 -85 -22 149 346 -3 1.045 -53 122 -14 334 -11 54 172 511 343 21 22 12 23 -19 85 247 -7 69 177 451 -31 31 548 192 28 -46 80 631 -26 25 281 563 -1 17 88 728 23 30 127 651 124 -2 123 1.220 83 -13 552 193 -73 29 -188 l3 2'i 25 26 5 -10 76 92 -120 0 0 59 13 249 30 0 0 175 64 190 30 0 0 272 38 166 72 0 0 259 21 145 -19 0 0 3� 40 196 8 0 0 37 21 194 173 0 0 27 0 0 79 -192 141 -125 0 0 166 -148 13 50 70 -125 0 0 -737 274 -256 1.01,, 1.390 -926 545 -77 507 1.013 33 -148 -216 68 182 55 127 179 12 167 363 129 234 338 161 177 460 163 2•n 135 -54 189 -69 -91 22 140 -61 201 96 44 52 34 35 36 230 749 721 660 621 508 852 735 667 823 37 -4 10 34 56 80 90 132 158 124 197 311 0 0 0 0 0 0 0 0 0 0 ·311 -127 35 -190 29 -1 183 -17 113 86 1 -137 -41 -88 -7 -1 173 0 173 -1 1 171 47 37 85 2 -140 34 3 -180 3 -6 -16 -14 23 1 21 39 -11 -10 3 214 44 108 60 2 2&9 -29 343 -24 40 41 4L -.3 44 365 144 -Bl -140 -267 -222 -157 -191 -226 -255 45 24 28 35 134 -43 37 159 138 244 -104 lt6 10 9 5 10 14 12 16 12 23 15 it1 -87 -60 -30 -27 21 3 -5 -24 7 -40 43 -56 49 0 60 0 140 64 92 0 49 -40 -24 4 0 -1 3 0 16 2 1 0 16 2 1 0 44 3 2 0 94 4 6 1 0 53 5 1 0 7C 11 21 22 REST OF THE WORLD U.S. GOVERNMENT 23 24 25 26 TOTAL FINANCE SPONSORED CREDil AGENCIES MONETARY AUTHORITY COMMERCIAL �ANKING 27 28 29 30 31 32 SAVI�GS + LOAN ASSNS. MUTUAL SAVINGS B ANKS LIFE INSURANCE COMPA�IES PRIVATE PENSION FUNDS REITS MONEY MARl(ET FUNDS 33 UNALLOCATED, NET -e 49 5 6 8 9 12 13 14 15 11 l8 19 20 28 29 30 31 32 IAl FOREIGN CLAIMS C04MERCIAL RA�I( LIABILITY TO FOREIGN AFFILIATES ASSET-REST OF THE WORLD 34 35 LIAB.-COMMERCIAL BANKS 36 FOREIGN bANKING AGS. 37 DIRECT FOREIG� INVESTMENT BY U.S. CORPORATIONS LIAB.-REST OF THE WORLD DIRECT FOREIGN INVESTMENT IN U.S. 38 LIAB.-NONFIN. CORP. BUSINESS U.S. GOVT. EQ. IN IBRD, ETC. LIAB.-REST OF THE WORLD 39 40 41 42 43 44 F�EIGN CURR. EXCEPT OFFICIAL L IAB.-REST OF THE W�LD ASSET-NONFIN. CORP. BUSINESS U.S. GOVERNMENT COMMERCIAL BANKS FOREIGN BANKING AGS. -l CBI U. S. GOVERNMENT CLAIMS 45 POSTAL SAVINGS DEPOSITS ASSET-HOUSEHOLDS LIA 8.-U.S. GOVT. 46 DEPOSITS AT FHLB LIAB.-SPONSORED CREDIT AGS. ASSET-S+L ASSOCIATIONS 47 F EDERAL RESERVE BANK STOCK ASSET OF COMMERCIAL BANKS 48 EQ. IN U.S. GOVT. CREDIT AGS. U.S. GOVERNMENT 49 PRIVATE' 50 FARM BUSINESS IFJCe + FLBI 51 NONFARM NONCORPORATE IBC) 52 NONFIN. CORP. BUS. (FNMA) S+L ASSOCIATIONS (FHLBI 53 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 0 12 17 l 0 44 l 2 78 48 so 51 5.: 53 oe:EHBER 1976 loll SCELLANEOUS HHCEL LANE.OUS I 73 MISCELLANEOUS FINANCIAL CLAIMS ------ YEAR-TOTAL FLOWS, YEAR-TOTAL -------- 1950-65 FLOWS, 1956-65 1956 19!H 1958 1959 1960 1961 1962 1963 1964 19o5 1 2 3 6.054 187 232 5.387 174 155 4.518 12b 98 5.22 .. 218 238 5.597 192 141 7.603 133 73 3.59-lt 155 132 tJ.003 186 -5 8.057 186 8.742 264 5b 4 5 2.590 186 3.079 -339 1.5110 -149 1.80 1 -o0 4 2..360 42 2.462 -160 1.963 -105 3.185 -289 3.157 -340 2.514 REST OF THI: WORLD u. S. GOVERNMENT 4 5 6 7 2.318 222 -146 230 2.863 23'> 139 937 3.571 -14 307 1.208 2.862 565 -155 -5b 5.095 391 -99 2.536 1.44c; 113 102 -961 4.926 -54 2.141 5.059 111 712 1.446 5.968 116 -293 2.bl7 TOTAL FINANCE SPONSORED CREDIT AGENCIES MONETARY AUTHOR lllES COMMERCIAL BANKING 6 7 8 9 2-859 224 -94 1.055 10 b0 86 57 b 39 1.017 213 0 811 100 607 85b -98 0 161 109 241 1.144 415 0 92 72 963 921 4b0 0 lb9 103 993 824 178 0 82 47 990 704 372 0 186 115 742 1.074 811 0 226 46 825 1.276 417 0 114 135 l .176 1.546 557 0 SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS LIFE INSURANCE COMPANIES "40NLJ Fl: INSUR• COMPAIHES FIIUNCt: COMPAIUES RE l TS 5.852 320 79 130 2.330 5.604 308 173 3.026 3.903 276 66 123 1.751 4.827 504 98 1117 1.938 6.362 47b 64 U9 2.289 5.932 529 85 lb6 2.157 tt.536 475 31t 12 8 2.08-t 6.332 529 160 216 2.114 7-605 880 192 25'2.750 1.111 b1 1.273 180 284 3.387 NET CHANGE IN ASSEH HOUSEHOLDS FARM BUSINESS NONFARM NONCO�P. BUSINESS NONFlh. CORPORATE bUSINESS 21 22 866 595 119 6',2. 530 329 89& 13 5'ol 693 363 426 -293 361 981 454 lt58 4 -335 67 23 24 25 26 1.532 -51 104 651 1.219 100 -17 545 833 -6 -68 259 1.189 34 123 71 2.lbO 52 l.74l :n 1.103 2.206 30 30 825 1.878 -16 -60 880 3.061 -18 8 1.091 2.261 69 92 585 27 28 29 30 31 32 258 23 318 229 0 0 228 30 251 82 0 0 384 2.12 3'o 0 0 171 273 370 147 840 40 348 93 0 0 588 37 0 504 2b 315 20b 0 0 191 0 0 542 150 352 90 0 0 173 76 342 789 0 0 b09 103 470 333 0 0 33 202 -217 610 397 -7o5 1.671 -942 l.b71 4!>2 1.025 11 lt 13 14 1, 16 17 JS 19 20 59 664 749 142 0 111 0 -46 63 556 27b -BY -5 -60 NET CHANGE IN LlABILITJES HOUSl:HOLDS NONFIN. COR�ORATE bUSINESS I 2 3 .. 8 10 11 14! 13 14 15 16 17 18 19 20 REST OF THE WORLD U.S. GOVERNMENT 2.1 22 T OTAL FINANCE SPONSORED CREDIT AGENCIES MONETARY AUTHORITY COMMERCIAL BANKING 23 2.4 25 2.6 SAVINGS + LOAN ASSNS. MUTUAL SAVINGS bANKS LIF� INSURANCE COMPANIES PRIVATE PENSION fUNDS REilS HONEY MARKET FUNDS UNALLOCATED, NET 27 26 2.<,, 30 31 34! 33 IAI FOREIGN C.LAIHS 34 35 36 37 38 39 40 41 42 43 44 363 61 302 1.951 232 35 540 9 563 -38 6 -195 -283 88 2.442 190 -39 229 1.181 98 155 0 0 653 -7 624 15 21 373 18 339 41 -25 45 "-33 -188 1.372 238 0 -13 -17 12 -6 -2 912 423 4d9 1.674 141 154 565 3 528 30 4 267 85 182 1.599 73 171 463 88 261 110 4 -109 -182 73 l.b54 132 122 105 -12, 245 -12 -3 372 149 223 1.976 -5 62 337 -209 447 98 l 560 118 44� 2.327 -5 50 125 103 19 1 2 72 265 -193 3.277 56 61 -351 -312 16 -59 4 COMMERCIAL BANK LIABILITY TO FOREIGN AFFILIATES ASSET-REST OF THE NORLD LIAB.-COHMERCJAL BANKS FOREIGN BANKING AGS. DIRECT FOREIGN INVESTMENT BY U.S. CORPORATION� LIAB.-REST OF T HE WORLD DIRECT FOREIGN INVESlHENl IN U.S. LlAB.-NONF]N. CORP. BUS]NESS U.S. GOVT. EQ. JN IBRD, ETC. LIA8.-REST OF T HE WORLD 34 35 36 31 3& 39 FOREIGN CURR. EXCEPT OFFICIAL LIAS.-REST OF THE WORLD 40 ASSET-NONF}N. CORP. bUSl�ESS ... 1 U.S. GOVERNMENT 'o2 COMMERCIAL BANKS 43 44 FOREIGN BANKING AGS. IB) u. S. GOVERNMENT CLAIM S 45 -244 -327 -193 -189 -1&7 -124 -119 -93 -7 2 -84 46 -lS -30 16b -230 3'o9 242 J3 -02 48 -154 47 23 19 18 24 22 36 22 30 27 27 48 49 112 -, 181 96 -10 135 1 176 11 145 -6 lt-9 -6 18 -55 28 - 65 99 -10 50 51 13 0 11 10 6 13 16 9 8 118 H 12 10 19 15 13 0 'o5 23 40 13 l 5b 52 53 11 91 be 5 19 78 0 84 16 8 13 97 IIONEY AMOUN TS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis a 21 123 13 6 50 POSTAL SAVINGS DEPOSITS ASSET-HOUSEHOLDS LUs.-u.s. GOVT. 45 DEPOSITS AT FHLB LIAB.-SPONSOREO CREDIT AGS. ASSET-S+L ASSOCIATIONS loo FEDERAL RESERVE BANK STOCK ASSET OF COMMERCIAL BANKS 'ol EQ. IN U.S. GOVT. CREDJT AGS. U.S. GOVERNMENT PRIVATE FARM BUSINESS IFIC& + FLB) NONFARM NONCORPORATE IBCI NONFIN. CORP. BUS. (FNMA) S+L ASSOCIATIONS IFHLB) 48 'o9 50 51 52 53 DECEMBER 1976 MISCELLANEOUS I Ml SCEL LANEOUS 74 MI SCEL LANE OUS FINANCIAL CLAIMS 'YEAR-TOTAL FLOWS, 1966-75 VEAR-TOTAL FLOWS, 1966-75 1966 l .NET CHANGE IN LIABILITIES HOUSEHOLDS 2 NONFIN. CORPORATE BUSYNESS 3 1967 1968 196<1 1970 1911 -------- 1972 1973 1975 1914 12.373 356 87 11.302 288 258 16.942 35!'320 25.662 386 832 13.850 430 'l.030 11.474 318 -175 20.138 540 380 37.278 400 2.655 43.207 710 / 2.745 29.972 65& 2.437 3 15 .613 -709 4 5 11.973 1.642 6 -661 9 10 11 12 13 l 2 4 REST OF THE WORLD U.S. GOVERNMENT 3.578 -361 2.946 64 2.ne 723 2.334 -359 3.980 539 5.043 828 3.133 30 1.010 -363 16.147 6 TOTAL FINANCE SPONSORED CREDIT AGENCIES MONETARY AUTHORITIES COMMERCIAL BANKING 8.713 189 7.746 471 81 2.458 13.406 -253 378 7.575 22.469 7.871 2.092 505 -l.829 5.460 15.455 342 l-5.352 282 -119 4.103 21.576 2.lb9 1.177 13.184 22.636 264 -280 13.917 39!1 112 1.458 2.4t;.6 1.212 0 392 213 l.431 3.345 1.040 0 617 91 l.697 3.418 1.280 0 1.173 903 215 2.860 4.819 2.392 0 6't5 596 2. 736 4.775 2-294 0 -9b 4.894 884 0 430 -133 4.292 6.172 675 0 18.459 2.668 674 43.158 2.678 754 1.020 9.609 3.t.600 3.738 ,923 1.265 9.131 16 11 5.181 31.943 2.805 643 985 8.292 5 7 8 9 117 4.155 369 354 -529 -6 -2. 771 SAVINGS + LOAN ASSNS. MUlUAL SAVINGS BANKS LIFE INSURANCE COMPANIES NONLIFE INSUR. COMP•NJES FINANCE COMPANIES REITS 1.211 1.785 892 0 350 141 l.635 2.076 522 0 16 NET CHANGE IN ASSETS 17 HOUSEHOLDS FARM BUSINESS 18 NONFA'RM NONCORP. BUSINESS 19 NONFJN. CORPORATE BUSINESS 20 12 .398 1.216 207 359 3.721 9.820 1.465 263 402 3.456 12.82<? 1.797 379 482 2.190 16.641 2.118 436 672 2.959 ll.96't 4.091 7.422 2.304 568 794 6.034 10 11 12 13 14 15 -11 ':?.584 489 684 -92. 2.130 3.570 1.985 0 9c;4 969 2.68 2.785 ' -444 1 8 l't 15 lb 19 ,o 21 22 REST OF THE WORLD U .S. GOVERNMENT 3.408 359 1.614 -149 3.381 -226 7.698 94 -6.028 251 -6.159 70 3.067 104 7.151 3 51 8.876 556 1.791 699 ,1 23 TOTAL FINANCE SPONSORED CREDIT AGENCIES MONETARY AUTHORITY COMMERCIAL BANKING 3.128 -60 199 l .122 2.769 -18 21 795 4.826 -6 235 3.121 :?.670 353 -130 l.581 9.893 802 90 6.077 3.811 189 185 1.259 5.771 -372 17 19.665 -1.770 1.831 15.013 15.047 912 -157 9.408 23 2.308 11.716 846 294 1.102 861 120 236 650 0 0 913 77 269 712 0 0 365 141 617 353 0 0 -31 -100 862 135 0 0 l.764 199 821 140 0 0 830 297 918 -34 167 0 1.347 478 1.001 157 829 0 2.148 235 917 146 28 0 2.97l 510 1.393 134 -420 2 2.698 '>65 1.663 243 -317 32 30 31 32 -25 1.482 4.113 9.015 l.886 4.052 1.679 5.335 49 -2.628 33 4.597 24 25 26 SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS REITS MONEY MARKET FUNDS 27 28 29 30 31 32 33 UNALLOCATED, NET .a 24 25 2b 21 ,8 29 IA) FOREIGN CLAIMS 34 35 36 CCJIIIMERCIAL BANK LIABILITY TO FOREIGN AFFILIATES ASSET-REST OF Tl-IE WORLD LIAB.-COMMERCIAL BANKS FOREIGN �ANKING AGS. 2.942 2.653 289 703 205 498 2.318 1.798 520 7.936 6.783 1.153 -6.939 -7.167 228 -4.069 -4.752 683 '133 497 436 1.063 350 713 2.350 2.247 .-1.187 83 -1.210 35 36 37 DIRECT FOREIGN INVESTMENT BY U.S. CORPORATIONS LIAB.-REST OF THE WORLD 3.029 2.690 843 2.161 3.459 3.577 1.528 3.745 7.665 6.081 37 87 258 320 832 1.030 -175 380 2.655 2.745 2.437 38 0 83 137 184 235 252 270 348 646 653 39 370 104 265 -3 -69 480 -462 -414 -166 229 1. 732 4.192 2.568 3 175 l.446 1.761 -90 26 16 1.352 1.387 -182 175 -28 3.579 2 503 -375 16 87 775 4.929 826 46 3.947 110 DIRECT FOREIGN INVESTMENT IN U.S. 38 L IAB.-NONFIN. CORP. BUSINESS U.S • GOVT. EQ. IN IBRD, ETC. LIAB.-REST OF THE WORLD 39 40 41 42 43 44 FOREIGN CURR. EXCEPT OFFICIAL LIAB.-REST OF THE WORLD ASSET-NONFIN. CORP. BUSINESS U.S. GOVERNMENT COMMERCIAL �ANKS FOREIGN BANKING AGS. 18) u. DEPOSITS AT FHLB LJAB.-SPONSOREO CREDIT AGS. A SSET-S+L ASSOCIATIONS 47 FEDERAL RESERVE BANK STOCK ASSET OF COMMERCIAL BANKS 48 EQ. IN U.S. GOVT. CREDIT AGS. U.S. GOVERNMENT 49 50 51 52 53 532 -63 9 1.784 -zoo -90 722 1.329 40 41 4 -210 49 8 -217 -110 0 0 0 0 0 0 0 -8 395 -49 -342 1.289 -541 -241 197 648 269 4b 19 28 32 39 33 40 51 51 53 32 -.7 264 78 -22 -153 -300 20B 0 306 0 117 0 258 0 5(:5 759 0 368 0 49 46 9 49 13 55 70 13 23 160 20 206 26 51 15 111 90 92 102 11 26 23b 'tl 10 81 '+2 43 44 S. GOVERNMENT CLAIMS POSTAL SAVINGS DEPOSITS ASSET�OUSEHOLOS 45 LIAB.-u.s. GOVT. 46 84 34 PRIVATE FARM BUSINESS IFICB + FLB) NONFARM NONCORPORATE I BC) NONFJN. CORP. BUS. (FNMA) S+L ASSOCIATIONS CFHLB) MONEY A"OUNTS ARE IN MnLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 94 23 11 14 8 65 75 129 11 12 18 138 0 19 366 34 17 502 45 48 50 51 52 53 01:CEM BER 1976 ,u see LLANEOUS JJ ,ustHLAN1:0US 11 75 MISCEL LANEOUS FINANCIAL CLAIMS (CONTINUED I yfAR-10TAL FLOWS, 1946-55 -------------1946 1947 YcAR-101AL FLOWS, 194t,-55 1946 1949 1950 1951 1952 1�53 1955 ----------- 1951t IC I LIFE lNSURANCc CLAIMS 2 3 4 65 81 51 t,9 103 79 76 92 87 141 DEFERRED ANO UNPAJO PREMIUMS LIA8.-HOU SEHOLDS ASSET-LIF1: INSURANCE 216 20 196 116 25 91 194 223 48 175 238 37 201 259 71 188 284 62 222 352 71 281 330 44 .l.92 412 61 351 LIFE COMPANY RESERVES LIAB.-LIFE INSURANCE C OS. ACC IDENl AND HEALTH POLICY DIVIOEND AC.CUM. ASSET-HOUSEHOLDS 716 222 97 139 258 824 278 108 158 280 651 287 74 99 191 519 36't 31 89 35 882 547 56 149 130 1.004 600 83 203 118 cl25 445 71 189 120 569 227 68 194 80 724 310 97 149 168 46 148 2 3 ,. (DI NONLIFE INSURANCE C L AI"S b 7 s 9 739 282 91 130 236 LIAB.-OTHER IN�URANCE ASSET-HO USEHOLDS FARM bUSINESS NONFARM NONCORP. BUS. NONFIN. CORP. BU SINES!. :; b 7 8 ., IE I UNALLOCATED ASSETS + LIAS. 10 -737 274 -256 l .016 1.390 -926 545 -77 507 1 .013 NH TOTAL I LU&. LHS ASSETS I 10 11 12 13 14 15 lo -503 -196 -400 0 -153 -85 2.944 2.574 -400 0 43 2i.3 -149 28 -205 0 -26 2 538 108 -320 0 -40 211 1.744 398 10 0 809 -186 0 -U3 91 5Jl -136 -49 0 16 35 1.031 ll5 16 0 379 87 228 180 0 86 -447 -49 1.319 49 -4 -147 -50 86 NET CHANGE IN L IABILIT IES REST OF THE WORLD u. S. GOVERl-lMEN T U.S. GUVT.-WITHOUT L EVEL!. SPONSORED CREDIT AGENCIE!. MONETARY AUTHORITIES 11 12 13 1i. 15 lo 17 18 19 20 21 391 348 0 59 -16 75 139 0 -27 39 112 0 -4 -69 157 158 0 16 371 318 0 6 47 245 203 0 18 24 242 187 0 24 31 94 575 52't 0 12 39 569 535 0 -4 38 COMMERCIAL BANKING COMM ERCIAL BANKS BANK AFFlLIAlES FOREIGN hANKlNG AGENCIES bANKS IN u. S. POSS. 19 20 21 22 23 24 25 -230 -234 123 55 0 -117 -76 -13 28 131 27 16 -310 -300 68 78 68 55 17 4 49 15 -24 -122 -39 -60 23 l2 4 63 66 -106 -103 155 -225 -142 FLOATS IN C.OML. dANK S TMNl Oh INTERBANK DEPOSITS ON INTERBANK LOANS LESS: ON MEMBER BK. KES. 22 23 2't 25 26 27 28 29 3 14 84 69 -25 10 279 82 -75 ., 7 15 165 112 132 43 38 l!,9 -lll 16 132 68 55 10 346 245 39 178 220 44 58 327 511 37 49 232 426 SAVJNGS + LOAN ASSNS. MUTUAL SAVINGS BANKS LIFE INSURANCE COMPANIES FINANCE COMPANIES 2o t.7 28 29 30 31 32 33 234 361 23 -19 2.670 2.045 -7 69 107 -245 -:31 354 -72 -26 25 1.013 495 -1 17 264 -145 23 30 608 245 12'-2 524 -210 83 -13 300 218 -73 29 NET CHANGE IN ASSElS REST OF THE WORLD SPONSORED CREDll AbENCIES MONETARY AUTHORITY 30 31 31 -478 -441 21! -46 11 572 19 -40 -3 59 14 78 58 163 87 3 5 73 9 82 44 3't8 93 -134 -51 7 COMMERCIAL IIANKS FOREIGN BANKING AGENCIES BANKS IN U.S. POSSESSIONS 34 35 58 13 146 30 44 64 111 30 69 38 90 72 68 21 53 -19 ,.o -125 28 -192 90 -125 lb -8 23 -120 40 109 63 21 53 173 SAVINGS + LOAN ASSNS. MUTUAL SAVINGS IIANi<.S LIFE INSURANCE COMPANIES PRIVATE PENSION fUNDS 37 38 39 0 0 0 0 0 0 0 0 0 0 0 0 0 0 REITS MONEY MARKET FUNUS 41 42 34 35 36 :n 38 39 40 41 42 -3 t, 44 -31 -10 11 -148 0 0 -37 17 53 -32 50 -11 72 124 -17 8 -60 0 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 83 -88 71 0 65 0 27 l 88 'ti, 41 -5 9 lb 6 0 0 17 lt> 3.: 33 3b 40 DECEMBER 1976 MJSCEL LANEOlJS II 76 ----------- YEAR-TOTAL FLOWS, 1956-65 MISCELLANEOUS II MISCELLANEOUS FINANCIAL CLAIMS ICONTINUED I ---------------- YEAR-TOTAL FLOWS, --------------- 1956-bS 1956 1957 1958 1959 1960 1961 1962 1963 l9b4 1965 187 174 1 26 218 192 133 155 186 16b 264 37 333 :no 414 8E328 332 380 84 296 515 71 517 5fl 459 576 82 494 243 136 107 405 444 135 270 638 15b 482 749 194 66 1'10 359 1.011 221 56 168 572 8�6 137 1.144 313 82 179 570 921 14b 51 131 591 824 136 69 157 462 704 18 20 116 550 1.074 379 145 203 347 1.27b 547 169 241 319 1-546 71c; 140 271 416 10 NET TOT AL ILIAB. LESS ASSETS) 202 -217 610 397 -765 1.671 -942 1.671 452 1.625 10 NET CHANGE IN LIAISILITlES RFST OF THE WORLD U.S. GOVERNMENT U.S. GOVT.-WITHCUT LfVFLS SPONSORED CREDIT AGENCIES MONETARY AUTHORITIES 1.751 64 25 405 127 -117 884 -16 33 -45 71 -165 1.215 26 21 23 -28 121 2.100 442 0 -4111 81 283 163 -33 0 229 40 -177 3.257 229 0 -36 -135 270 82 -103 117 31 80 3.865 810 -35 -161 -10 -119 3.102 655 -59 -209 3!> b85 3.291 -473 127 -103 171 -320 12 13 h l!> le ICI LIFE INSURANCf CLAIMS DEFERRED ANO UNPAID PREMIUMS LIAB.-HOUSEHOLOS ASSET-LIFE INSURANCE 2 3 4 LIFE COMPANY RfSERVES LIAB.-LIFE INSURANCE COS. ACCICENT •ND HEALTH POLICY OIVIDENO ACCUM. ASSET-HOUSEHOLDS u 320 <( 3 4 IOI NONLIFE INSURANCE CLAIMS 5 i, 7 8 9 LIAP.-OTHER INSURANCE A SSEl-HOUSEHOLDS FA.R'4 BUSINESS NONFARM NCINCOP.P. BUS. NONFIN. CORP. BUSINESS 5E- 117 54i, t 7 8 ., "(El UNALLOCATED ASSETS + LIAe. 11 12 13 14 15 16 4 11 17 18 19 20 21 COMMERCIAL BANKING COMMERCIAL BANKS 0ANI<. AFFILIATES FOREIGN BANKING AGENCIES BANKS IN U.S. POSS. 613 474 0 56 83 876 773 0 -35 138 586 3 1H 0 76 119 274 346 0 -43 -29 -800 -886 0 9 77 1.358 1.228 0 3 127 -259 -399 0 17 123 1.90b 1.100 0 34 172 1.359 1.182 0 30 147 1.400 1.252 0 61 87 17 18 h l:O 21 22 23 24 25 FLOATS IN COML. BANK STMNT ON INTERBANK DEPOSITS O N INTERBANK LOANS LESS: ON MEMBER BK. RES. 7q -2 12 - 69 -451 -44 -116 291 161 75 71 -15 889 58 665 -166 -168 -78 -208 -118 911 535 268 -108 -593 -562 64 95 -137 34 -66 105 -473 -602 129 0 1.145 191 962 8 22 23 24 26 27 28 29 SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS LIFE INSURANCE COMPANIES FINANCE COMPANIES 60 59 294 142 86 '57 ?.25 213 88 100 275 -98 161 109 -139 "15 92 169 103 476 178 82 47 414 372 186 115 499 811 226 46 420 417 114 135 538 557 2b 52 -46 1.586 23 30 30 1.212 -316 31 63 2.194 614 -76 -60 2.650 -97 -18 8 1.666 -463 b9 92 3C ::,1 ::.2 33 72 448 460 4!5 .� 27 Lb 30 31 32 33 NET CHANGE IN ASSETS REST OF THE WORLD SPONSORED CREDIT AGENCIES MONETARY AUTHORITY 1.54'1 271 -51 104 1.101 159 100 -17 665 242 -6 -68 1.703 615 34 123 34 35 36 COMMFRCTAL BANKS Fe.REIGN BANKING AGENCIES BANKS IN U.S. POSSFSSIClNS 408 233 19 384 28 78 69 132 24 -28 51 32 739 275 33 521 93 61 336 181 32 775 -77 53 78 891 98 856 -24b 3 34 37 38 39 40 SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS 182 23 131 229 180 30 77 82 134 18 86 34 304 273 152 147 32 26 123 206 480 40 215 93 536 37 121 191 559 150 166 90 669 76 156 789 713 103 206 333 37 41 42 REITS MONEY MARKET FUNDS 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 928 -512 0 35 3o 38 39 40 "' 41 DECEM BER 1976 p1JSCHLANEOUS II "lSll::LLAfltEOUS MISCELLAN EOUS FINANCIAL C.LAIMS CC.ONlINUEOI YEAR-TOTAL FLOWS, 1900 -75 -------------------1967 77 -------------------- YEAR-T01AL FLOWS, 1966-75 1966 11 1968 ------- l'i69 1970 1971 1972 1973 l'i74 1975 ICI LIFE INSURANCE CLAIMS 2 3 4 -3 56 288 ao 12 .. 772 308 l. 785 709 161 3SO 5o5 2.076 803 214 391 668 504 464 355 31tb 't30 318 5-+0 400 710 b58 8bS 960 405 l.lo9 595 574 1.000 418 642 1.206 455 811 l.438 5o3 l.4•5 875 697 748 1.691 68b 1.005 3.345 1.158 381 3.418 1.415 438 669 3.570 1.244 4.81',1 1.402 584 982 l.851 4.775 1.367 483 965 1.900 4.894 1.233 548 986 2.127 6.172 2.047 687 1.224 2-214 330 538 SS5 DEFERRED AND UNPAID PRE�lUMS LIAB.-HOUSEHOLDS ASSET-LIFE INSURANCE LIFE COMPANY RESERVES LIA�.-LI FE INSUkANCE COS. ACC JOE NT ANO HEALTH POLICY OJVIDENO AC.CUM. ASSET-HOUSEHOLDS (0) 5 6 1 8 9 l.46o 929 277 471 789 659 1.147 896 498 781 1.047 ' 3 4 NONLIFE INSURANCE c.LAIMS LIAB.-OTHER INSURANCE ASSET-HOUSEHOLDS FARM IIUSINESS NONFARM NONCORP. eus. NONFIN. CORP. bUSINESS 5 6 7 Ii c; IE) UN ALLOCATED ASSETS + LlAB. 10 -25 1.4112 4.ll3 9.015 1.886 4.052 1.679 ;.335 4'J -2.628 NET TOTAL I LJAB. LESS ASSHSI 10 11 12 3.022 179 409 -553 -67 98 4.110 242 363 9.32, 678 196 527 -51 34b 10.415 451 -298 --61 8.917 17.284 7.869 3.950 -598 -111 1.005 -47b NET CHANGE IN LIABILITIES REST OF TH E WORLD u.s. GOVERNMEl'll U.S. GOVT .-WJ.THOUl LEVEU SPONSORED CREDIT AGENCIES MONETARY AUTHORlllES 11 -105 -46 6.755 -1.644 l 29 265 -170 17.849 303 -217 -613 1.152 497 47:t 5.973 -138 1 l� 20 .21 893 558 0 59 276 1.792 1.390 0 108 4.681 lt.144 0 252 7.016 1.858 1.050 3.614 494 1.1n 2.099 571 -1.397 509 6.420 0.109 -1.298 1.143 466 4.259 3.960 -952 778 473 10.190 11.002 -2.120 29.. 5.354 3.692 237 310 1.115 67 752 -73 -84b 613 1.060 22 23 24 25 320 531 -481 -270 -37 -416 267 - 92 576 492 272 2.062 -433 2.,38 -7 -1.906 -65 -2.036 -l<J5 -473 -1.063 1.111 521 -3.250 -1.697 -820 733 70862 1.489 6.706 333 -870 669 -1.029 510 -22b -l.951 l. 183 -542 26 21 28 369 -11 493 892 350 1'>7 81:>3 522 398 112 590 1.212 392 213 471 1.040 617 91 528 1.280 1.173 -92 1.010 1.985 903 215 1.59.;. 2.3c;2 645 596 1.298 2.294 268 1. 340 8&4 -96 430 -133 2.001 675 30 31 3.047 379 -60 1�9 20628 653 -18 21 s.212 743 -b 2.35 l.400 -1.010 353 -130 7.031 -119 802 90 1.921 -1.915 189 1&5 5.07b 1.754 -37.i! 17 12.514 3.433 8"6 294 17.235 1.534 -1.770 1.831 34 35 3C> 812 ne 1.2lb -602 96 l.880 1.054 144 loll.5 -475 850 1.192 3.734 256 1.331 -330 7l 2.021 -1.735 10 4.722 630 78 37 36 3'1 ..0 171 120 -120 650 492 77 -19 712 40b 141 26£ 353 2.36 -100 476 135 346 199 391 140 1.360 297 600 -34 1.450 478 -.07 157 41 42 0 0 0 0 0 0 0 0 0 0 167 0 829 0 13 14 15 16 17 18 29 32 B 112 -189 -2 59 285 188 488 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 821 -1.275 0 -3b3 1.407 1.120 6.075 1.723 -75.. -1.143 -333 1.841 12. l3 14 1, lb COMMERCIAL BANKING l7 C.OMMER�IAL BANKS lti BANK AFFlLIAH:S 19 FOREIGN BANKINb AG�CIES 20 bANKS JN U.S. POSS. 21 FLOATS IN COML. BANK SlMNT ON INTEkBANK DEPOSITS ON INTERBANK LOANS USS: OM MEMBEk Bil. RES • 22 23 24 SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS LI f-E J NSURANCE COMPANIES FINANCE COMPANIE.S 26 27 2& 29 10.497 547 912 -157 N El CHAN!.E lN ASSETS REST OF THE. WORLD SPONSORED CREDIT AGE.NC.JES MONETARY AUTHORITY 30 31 3l. 12.0011 l.057 -216 3.685 1-051 583 COMMERCIAL BANKS FOREIGN BANKING AGENCIES BANKS IN u.s. POSSE.SSI ONS 34 3, 3b 1.585 235 517 146 1.&22 510 134 2-348 565 1.005 243 SAVINGS + LOAN AS SNS. MUTUAL SAVINGS BANKS LIFE I hSURANCE COMPANIES PRIVATE PENSION FuNOS 37 38 3<,, ltO 211 0 -..20 i. -317 32 REllS MONEY MARKEl flJNIJS 41 4L 083 .1.5 33 DECEMBER 1976 TOTAL CLAIMS 78 TOTAL CLAlHS TOTH flNANCIAL ASSETS ANO LIABILITIES YEAR-TOTAL FLOWS, 1946-55 YEAl<-TOTAL FLOWS, 1946-55 1946 1947 1948 1949 1950 ---------- 19�1 1952 1953 1954 1955 TOTAL FUNDS RAISED ANO ADVANCED IN CREOTT MARKETS 111 1 TOTAL FUNDS RAISED IN CREDIT MARKETS BY: NONFINANCIAL SF.CTORS 2 3 U.S • GOVERNMENT 4 FOREIGN 5 PRIVATE DOMESTIC 6 HOUSEHOLDS FARM BUSINESS 7 8 NONFARH NONCORP. BUS. 9 CMPORATE BUSINESS Sl. +LOC. GOVERNMENTS 10 11 12 13 14 15 16 17 18 19 20 21 22 FINANCIAL SECTORS SPONSMEO CREDIT AGENCIFS MORTGAGE POOLS COMMERCIAL BANKS BANK AFFILIATES FOREIGN BANKING AGENCIES S.tVINGS + LOAN ASSNS. OTHER INSURANCE COMPANIES FINANCE COMPANIES REITS OPEN-END INVESTMENT COS. HONEY MARKET FUNDS 23 TOT AL FUNDS ADVANCED IN CREDIT MARKETS BY: PRIVATE DOH. NONF I h. SECTORS 24 25 HOUSEHOLDS 26 NONFARM NONCORP. BUSINESS CORPORATE BUSINESS 27 STATE + LOCAL GOVERNMENTS 28 29 REST OF THE WORLD 30 u.s. 31 32 33 34 F !NANCIAL INSTITUTIONS SPONSORED CREDIT AGENCIES HC'RTGAGE POOLS FEDERAL RESERVE SYSTEH GOVERN HENT 35 36 37 38 39 COMMERCIAL BANKING COMMERCIAL BANKS BANK AFFILIATES FOREIGN BANKING AGENCIES BANKS IN U.S. POSS. 40 41 42 43 44 PRIVATE NONBANK FINANCE SAVINGS INSTITUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS CREDIT UNIONS -3.487 18.088 15.596 18.588 28.264 ·25.944 35.361 31.821 28.624 43.99 l -4.948 -23 .449 2 .862 15 .639 6.960 363 1.422 6.847 47 lt-.862 -7.231 4.373 19.720 8.321 468 1.7.07 l!.293 l.431 14.007 -5.709 1.299 18.417 8.390 658 712 6.41!1 2.230 17.454 ?.577 267 14.610 8.176 392 521 3.024 2.497 25.687 -1.179 235 26.631 12.151 l .058 1.999 8.024 3.399 24.669 -438 563 24.544 8.983 1.287 1.256 10.579 2.439 33.226 5.3t-5 635 27.226 12.316 790 887 9.227 4.006 29.539 1.020 0 22.519 12.373 -100 619 5. 722 3.905 27.651 2.398 434 24.819 11.1t82 772 622 6.196 5.747 37.868 -807 350 38.325 19.216 1.442 1.993 10.386 5.286 1.461 295 0 55 0 -16 168 53 624 0 282 0 1.226 116 0 11 0 7 209 77 597 0 209 0 l .5ec; 275 4 45 0 0 93 37 1.039 0 96 0 1.134 -112 3 11 0 5 -53 20 933 0 327 0 2.577 381 25 72 0 5 445 46 1.364 0 239 0 1.275 227 11 144 0 0 152 47 397 0 297 0 2.135 47 10 139 0 -2 79 36 1.295 0 531 0 2.282 -3 7 114 0 0 131 88 1.537 0 408 0 973 -35 18 228 0 3 167 106 -36 0 522 0 6.123 1.001 38 -11 0 0 725 103 3.481 0 780 -3.487 18.088 15 .596 18.588 28.264 25.944 35.361 31.821 28.624 43.991 l3 -5.075 370 308 -5 .121 ➔32 4.515 3.244 368 243 660 5.593 3.385 380 1.319 509 5.946 2.779 310 2.397 460 5.864 524 464 4.080 796 4.732 2.379 245 1.629 479 6.680 4.818 402 -136 1.596 B.;n2 4.475 168 2.338 1.291 1.893 1.960 47 -1.321 l .207 14.996 8.737 176 5.060 1.023 24 25 26 27 28 0 2 3 4 !, b 7 8 9 10 11 12 13 u 15 16 17 18 19 20 21 22 -1.045 -784 295 373 1.246 137 1.121 647 567 1.096 Z9 2.280 4.288 1.376 1.290 733 1.298 1.512 569 -284 719 30 353 79 0 10.069 195 0 -887 8.332 357 4 913 10.979 -32 3 -4.567 20 .421 460 25 1.824 19.777 417 11 3.025 26.048 123 10 926 22.333 61 1 1.200 26.448 316 18 -Bbb 27.180 1.016 38 -251 31 32 33 34 -b .356 -6.359 0 42 -39 3.224 3.271 0 41 -88 -2.596 -2 .666 0 90 -20 5.863 5.700 0 186 -23 6.524 6.375 0 141 8 '6.653 6.442 0 227 -16 8.639 8.463 0 150 26 3.703 3.736 0 -37 4 9.461 9.328 0 114 19 4.444 4.'+20 0 0 2'+ 35 36 37 38 39 7.443 2.943 1.388 l .501 9.654 2-263 1.194 954 115 9.712 2.510 1.345 1.034 131 11.sa8 3.295 2.125 1.010 160 9.671 3.017 2.049 903 65 16.350 5.071 3. 102 1• 725 244 17.362 5.890 3.762 1.811 317 17.519 &.604 4.298 2.068 238 21.933 8.202 5.790 2.035 377 41 42 43 44 -813 40 S4 7.537 2.526 1.476 946 104 45 46 47 48 49 INSURANCE SECTOR LIFE INSURANCE COMPANIES PRIVATE PENSION Fl,J,IDS ST.+ LOC. GOVT, RTR. FUND OTHER INSURANCE COS• 4.876 3.461 597 262 556 4.894 3.133 660 327 774 5.708 3.590 686 432 1.000 5.771 3.721 713 526 811 6.983 3.795 1.604 656 928 6.189 3.697 1.026 741 725 8.272 4.551 1.605 1.001 1.109 9.281 4.793 1.865 1.293 1.330 9.672 5.029 2.042 1.483 1.118 9.411 5.144 2.079 1.324 864 45 46 '+7 48 't9 50 51 52 53 54 55 FINANCE N.E.C. FINANCE COMPANIES REI TS OPEN-END INVESTMENT cos. HONEY MARKET FUNDS SECURITY BKRS. + DEALERS -376 630 0 165 0 -1 .1 71 117 689 0 161 0 -733 1.683 946 0 150 0 587 1.431 931 0 261 0 239 1.310 1.392 0 197 0 -279 465 423 0 220 0 -178 3.007 2.12a 0 515 0 364 2.191 1.718 0 3&1 0 112 1.243 666 0 421 0 156 4.320 3.806 0 608 0 -94 50 51 52 53 54 55 TOTAL CLA IHS AND THEIR RELATION TO TOTAL FINANCIAL ASSETS l TOTAL FUNDS RAISED IFROH PRECEDING TABLE) OTHER LIABILITIES: OFFICIAL FOREIGN EXCHANGE TREASURY CURR. + SOR CTFS. 4 5 6 7 DEPOSITS AT FINANCIAL INSTS. DEMAND DEP • + CURRENCY TIME DEPOSITS AT BANKS DEP. AT SAVINGS INSTIT• 8 9 LJFE INSURANCE RESERVES PENSION FUND RESERVES 14 SECURITY CREDIT TRADE DEBT PROFIT TAXES PAYABLE NONCORP. P�OPRIETORS 1 EQUITY H ISCELLANEOUS 15 INTERBANK CLAIMS 10 11 12 13 \6 TOTAL LIABILITIES ABOVE - FLOATS NOT INCL• IN ASSETS DEMAND DEPOSITs-u.s. GOVT. 17 OTHER 18 TRADE CREDIT 19 - LIABILITIES NOT ALLOCATED' AS ASSETS 20 TREASURY CURRENCY PROFIT ,TAXES PAYABLE 21 MISCELLANEOUS 22 23 TOTALS ALLOCATfO TO SECTORS AS AS�ETS -3.487 18.088 15 .596 18.588 28.264 25.944 35.361 31.821 28.624 43.991 -248 126 1.185 -28 356 -5 169 -19 -16 -10 -20 24 36 37 -95 34 -182 36 -141 2 2 3 -8.026 -14 .561 3.815 2.720 4.737 1.142 1.371 2.224 2.030 -513 600 1.943 2.994 13 493 2.488 7.988 5.245 336 2.407 12.155 7.204 1.736 3.215 14.690 6.498 3.118 5.074 9.259 30 3.463 5. 766 15.149 4.600 3.831 6.718 10 • 748 2.293 l .325 7.130 4 5 6 1 3.800 l .509 3.150 2.223 2.843 2.452 2.751 2.837 2.945 3.927 2.728 3.566 2.888 4.768 2.982 4.881 2.702 5.122 2.905 5.628 8 9 -4.280 4.141 -2.007 1.336 757 -1.153 3.527 2.348 308 5.240 199 3.668 l .001 4.653 1.612 794 59 -2.167 -881 2.732 1.078 9.762 7.674 902 3.525 -402 2.819 4.900 274 2.095 552 1.801 -2.914 14 3.353 852 -240 1.068 -134 2.664 2.134 4.176 -3.552 -2.087 3.349 981 10.465 3.723 -2.482 3.749 12. 13 14 232 1.919 2.368 -3.870 2.202 2.112 -112 -164 -1.417 1.223 15 -b.147 41.544 36.773 23.987 68.241 56.795 60.474 52.928 54.054 80.792 16 603 280 2.129 -1.553 739 -1.637 52 -378 1.325 79 289 806 -199 573 -937 -10 212 -1.664 -647 1.660 -2.265 185 220 632 617 -508 510 -391 544 855 17 18 19 -97 -625 -737 -28 -142 274 -32 122 -256 -28 163 1.ou -48 108 1.390 -49 -299 -926 -66 746 545 -48 546 -77 -55 -520 507 -21 835 1.013 20 21 22 -7.700 43.891 35.940 21.662 67.354 59.531 60.501 51 .470 53.503 77.957 23 111 I NCL:UOES COllPOUTE EQUITIES. NONEY A"IIUNTS ARE IN "ILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 10 11 Oi:c.EHBE:R 1976 TOTAL CLAIMS TOTAL CLHMS 79 TOTAL FINANCIAL 4SSETS AMO LUBJLJTHS ----------------------- YE:4�-TOTAL FLOWS, 1956-65 1956 1957 YEAR-TOTAL FLOwS, l't56-b5 19513 1959 1900 1961 1902 1964 1963 1965 TOTAL FUIIIOS R41SEO ANO AOVAltCED llt CREDIT MARKlTS 111 32.404 34.364 lt3.809 bl• 128 lt3.lt5b 52.618 61.860 68.51t9 11.112 83.961 2 3 4 5 6 7 8 9 10 29. 832 -5.816 971t 34.674 16.116 1358 1.111 12.870 3.659 30.592 -2.255 1.368 31.479 12.910 1.057 9211 12. l 86 4.398 42.250 9.300 2.332 30.618 12.020 1.364 1.267 10. 289 s.01e 52-900 1.011 831t 44.989 21. 369 1.932 2.si.3 12-680 6.465 38.506 -2.061 1-857 38.770 18 .482 1.031 l.795 11.977 5.-.85 47.&52 1.201 2.522 37.929 16,958 1.593 t.93't 12.133 5.311 5.... 734 o.993 2.01 ... 45.667 21.7139 2.29b 3.270 12.448 5.862 59.353 3.913 3.311 52-069 26.753 2.550 4.422 12.388 5.956 69.,78 ;,.229 4.398 58,651 2'1,287 z.c.D3 5.,.59 15.040 6.262 7l.b8'1-764 2. 720 67.200 30.167 3.302 5.715 20.358 7.b58 11 12 2.632 738 1.559 5o l'> 15 lo 17 18 19 20 21 22 245 0 5 -239 02 739 0 1.049 0 3.712 1.120 2.. 273 0 0 4.890 6311 -2 125 0 -29 -295 79 2.930 0 l.44't 0 4.906 681 88 175 0 11 1.023 256 562 0 2.170 0 7.126 1.499 123 96 0 -15 1.221t 143 2.33<t l 1.721 0 9.196 l .447 112 2e.. 0 1.206 0 1.010 0 3b 0 8 369 l'-8 -b7l 0 1.5<;6 0 e.2211 2.214 14 132 0 -2 1.074 13� 2.824 0 1.924 286 3.658 2 1.454 0 7.83't 544 99 921 0 49 293 123 3.751t 5 2.040 0 12.211 2.11 ... 2't5 1.012 0 -10 805 85 4.750 4 3.272 0 23 32...64 34.3o4 lt3.809 61.128 lt3.45b 52.618 bl.860 68.5...9 n.112 83.961 24 25 26 27 28 5.771 8.459 326 -3.81t0 826 7,241 6.861 214 -401 5b7 lt.183 2.681 169 793 540 21 .433 12.,H11 341 7.332 1.502 2.797 6.240 161 -4.344 740 lt.625 5.297 150 -923 95 2.430 850 44b 157 983 8.127 5.527 '-26 1-289 b8S 5.010 6-212 440 1.375 -17 7. 341 2.792 547 1.oos 2.997 29 1.403 698 -17 3.226 1.392 840 1.483 922 574 -343 30 678 621 1-492 1. 783 1.031 1.660 1.949 1.547 2.831 2.881 24.bl2 1.026 33 195 25.804 1.299 24 -701 38-151 319 17 2.105 34.086 2.224 lit 314 38.236 l .187 738 ltS.493 1.033 88 1.481 55.99.l. 1.616 123 l.98'> 57.953 1.554 112 2.856 65.697 73b 99 3.3111 74.082 2.231 245 3-828 5.42b 5.268 0 115 lt3 5.068 5.109 0 -73 32 15.055 14.876 0 101 78 4.8,... ...753 0 103 -32 9.173 8.977 0 169 27 15.302 15.125 0 147 30 19.063 18.878 0 lOb 79 17.255 17-288 0 -1"2 109 23.1411 22.980 0 129 39 28.651 28.311 0 249 91 COMMERCIAL 8ANKIMG COMMERCIAL BANKS BANK AFFILIATES FOREIGN BANK ING AGlNC HS BANKS IN U.S. POSS. 40 41 ...2 43 17.932 7.355 4.890 2.osa 407 20.111t 7.278 4.978 l ,835 4b5 20.055 9.145 bol'-lt 2.519 282 27.310 10 .3"4 e.392 1.278 67.. 21.1-.0 9.53't 7.291t 1.555 085 27.589 12.011 9....26 2.155 430 33.206 14-180 10.304 3.23<> 640 36.170 17.515 13.297 3.475 71t3 38.333 lb,287 11 .035 4.368 PRIVATE NUNBANK FINANCE SAVINGS INSTITUTJONS SAVlhGS + L04N 4SSNS. MUTUAL SAYINGS BANKS CKEOIT UIHONS 45 47 48 lt9 9.445 5.137 2.500 1. 258 550 10.205 4.88'1 2.907 1.628 781 10.807 5.150 3.037 1. lb3 917 12.011 5. lbO 3.'t77 1.949 1.491 12.447 5.408 3. 744 2.136 l.159 u.no 5.776 3.732. 2.3'>7 1.275 14.395 6.42.S 3.943 2..32.o 1. 703 1....2.s2 6.670 4.097 2.554 931 ..,. 39.127 llt.499 9.577 3.878 l.04-<t lb.010 7-519 lt.SbO 3.042 889 17.729 8,29b 5.029 3.288 1. 116 50 51 52 53 Sit 55 1.132 985 0 768 0 -621 2.631 1.317 0 840 0 474 6'-3 -300 0 l.338 0 -395 4.88ft 3.441 0 l .381 0 bl 5.159 3.500 0 1.031 0 62.8 �-448 1.056 0 1.583 0 -191 .... 031 2,227 0 1.273 0 1.131 4.409 4.474 0 905 0 -970 &.036 ...235 0 1.132 0 669 6.899 4.702 0 2.057 13 .u 32 33 34 35 36 37 38 39 44 4o 33 17 B 0 bb 1.111 -l l9 0 80 TOTAL FUNDS RAISED 1111 CREDIT MARKETS BY: NONFlNANCIAL SECTOkS u.s. GlJVERltMENT FOREIGN PRIVATE OOMESllC HOUSt:HDLOS FARM BUSINESS ltONFARH NONCORP. BUS. CORPORAlE: 13USJltESS ST .+LOC, GOVcRI\IMENTS FJNANCUL SECTORS SPONSOREll Ck EDIT AGENC IE S MORTGAGE POOLS COMMERC UL BANKS tlANK A FFILIATES FORElGlt BANKING AGENCIES SAYINGS + LOAN ASSNS. OTHER lNSURANc.E C.OHPANIE!, FINANCE: COMPANIES REITS OPEN-ENO INVES TMENT cos. MONEY MARKtT FUNlJS 101 Al FUNDS ADVANCED JN CREDIT MARKETS BY: PRIVATE DUM. NONFIN. SECTORS HOUSEHOLDS NOI\IFARM NOIIIC.ORP. BUSINESS CORPORATE: BUSINESS STATE + LOCAL GUYERNMENTS REST OF THE WORLD 2 3 ... 5 <> l 8 9 10 11 12 13 1 .. 15 lb 11 18 19 20 21 22 2-S 24 25 lb 27 l8 29 U.S. GOVERNMl:Nl 30 FINAIIICUL IMHITUTIONS SPONS ORE:D CREDIT AGENCIES MORTG4GE POOLS FEDERAL RESERVE: SYSTEM 31 32 H 3,. 35 3b 37 38 39 'tO ..1 '-" 't3 ..... 45 INSURANU SEC.TOk LIFE INSURANU. COMPANIES· ,.b 'tl PRIV4TE Pl:NSIOI\I f\JNDS ST.+LOC.. GOVT, RTR. FUI\ID 411 '>9 OTHER INSURANU COS. FINANCE N.E.C.. FINANCE COMPANIES REITS OPEN-cNO INYE!.TMENT cos. MONtY MARKt:l FUNUS SECURITY 8KRS. + OULERS 50 Sl 52 5?. 54 55 TOTAL CUIMS ANO THEIR RELATION TO TOTAL FJltAltCUL ASSETS TOTAL FUND!. RAISED (FROM PRECEDING TABLE I OTHE:R LIABILITIES: OFFIC.UL FOREIGN EXC.HANGE TREASURY CURR. + SOR CTF-S. 32.lt61t 3".36" lt3.809 61.128 lt3.45b 52.618 61.8«>0 68.5...9 77.112 83.961 2 3 561t 19 367 36 -11 38 39 39 -442 47 251 54 -643 20 84 '>6 -46 Zit 443 234 4 5 6 7 11,2.bl 1.839 2.110 7.318 11.682 -6lb 5.409 b.889 22.588 5.720 7.963 11.899 U.400 1.913 1.011 8.41b 17.118 1.818 5.835 9.465 26.636 5.884 9.417 11.335 33.891 5.214 15.575 13,102 34.546 4.9b3 14.409 15.176 39.187 8.11t2 l't.563 15.882 40.374 7.179 20 .1oe 13.087 OEPOSITS U FINANC.IAL lNSTS. Dl:MAltD DEP. + CUkRENCY TIME DEPOSITS Al IUNKS OEP. AT SAY lNGS INST JT. 8 9 3.470 b.041 2.738 b.750 3.073 7.305 3-421 8.448 3.228 8.320 3.447 8.636 3.767 8.905 4.237 9.649 4.41«> 11.101 4.825 12..095 UFE INSURANCI: RESERVl:S Pt:NSION FUND kESERVlS 10 -637 4. 753 -1.791 -l.b41 6.054 -279 2.952 -1.9411 -90S 5.387 1.735 4.127 -2..530 -119 lt.518 03 5.999 2-128 -3.bblt 5.224 354 4.574 -1.225 -2.013 5.597 2.21t9 5.134 408 -957 7.603 7911 4.7 ...b 1. 501 -386 3.594 2.503 6.775 1.166 667 8.003 -84 7.291 710 -SOit 9.051 1.12.4 12.947 2-189 1.002 8.742 10 SECURITY CRt:DIT TRADE DEBT 11 l.t. PROFIT TAXES PAYABLE NONCORP. PROPR IET ORS' EQUITY 13 14 Ml SCELLANEOUS 11 12 13 14 15 b89 -lbO -716 129 -832 1.360 1.413 -942 1.396 36b 16 bl.:.C52 b0.981t 83.811 94.35,. 78.182 107.439 119....66 135.2117 149.206 168.302 17 18 19 367 lt58 -1.32.9 55 -328 1.236 -1S7 400 -1.706 -4 -547 -532 -181 402 288 9 1.152 -2..876 357 -06 7 40 308 -177 -2b5 82.6 -1.580 257 346 -931 20 21 22 -39 -21 202 -41t 59 -217 -50 -bb 610 -38 -188 397 -40 128 -765 -133 -113 1.671 ::S8 7,.7 -9 ...2 35 -758 1.011 197 258 452 64 768 1.025 23 6l.bl4 60.223 84. 780 95.266 78.350 107.729 119.325 134.lc,8 149.378 166.173 INTER84NK CLAIMS TOTAL LIABILITIES ABOVE - FLOATS NOT INCL. IN ASSETS DEMAND DEPDSllS--U,S. GOVT. OTHER TRADE CREDIT - LIABILJlJES hOT ALLDc.AlEO AS ASSETS TREASURY CUKRENC Y PROFIT TUES PAYABLE HISCELLAltEQUS TOTALS ALLOCAlEO TO SECTORS AS ASSETS ( 11 INCLUDES CORPORA TE EQUIT JES• MONEY AMOUIIITS ARI: IN MILLJOMS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 ,; 6 1 15 lb 17 18 19 20 H 22 23 DECEMBER 1976 TOTAL CLAIMS TOTAL CLAIMS 80 TOr.L FINANCIAL ASSETS AND LJABlLITIES --------- YEAR-TOTAL FLOWS, 1"'61>-75 1966 1967 YEAR-TOTAL FLOWS, 1966-75 1968 1969 1970 1971 1972 1973 1974 1975 TOTAL FUNDS RAISED AND ADVANCED IN CREDIT MARKETS. 111 1 TOTAL FUNDS RAISED IN CREDIT MARKETS BY: NONFINANCIAL SECTORS U.S. GOVERNMENT FOREIGN 5 PRIVATE DOMESTIC HOUSEHOLDS 6 7 FARM BUSINESS NCNFARM NONCORP. BUS. 8 CORPORATE BUSINESS 9 ST.+LOC. GOVERNMENTS 10 81 .435 85.928 115.549 128.716 116.413 168.062 206.038 254.349 231.811 225.209 69.298 3.629 1.576 64.093 23 .313 3.193 5.731 25-�82 6.274 83.900 13.000 4.016 66.884 22.354 3.311 4.398 28.877 7.944 98.318 13 .568 2.829 81.921 32 .097 2.750 5.333 31.915 9.826 93.477 -3.664 3.685 93.456 33.838 3.052 7.454 38.440 10.672 100.659 11.851 2.742 86.066 25.330 2.305 5.660 41.469 11.302 151.034 24.747 5.180 121.107 42.142 4.468 10.349 46.358 17.790 176.898 3.991 157.693 64.788 5.828 13.111 58.768 15.198 197.636 8.272 6.224 183.140 73.499 9.716 12.264 72.855 1...806 188.833 11.997 15.276 161.560 45.161 7.885 6.735 83.130 18.649 210.370 85.206 12.970 112.194 49.676 9.393 1.196 37.059 14.870 11 12 .137 4.825 445 444 0 55 83 81 2.476 6 3.722 0 2.028 -621 674 -42 0 -28 -1. 702 110 594 7 3.036 0 17.231 3.476 538 771 0 85 1.132 247 3.873 1.202 5.907 (j 35-239 8.783 678 2.385 4.294 158 4.104 549 7.826 l .533 4.929 0 15.754 8.234 1.551 -1.973 -1'-945 80 1.845 393 2.637 2-162 2.110 0 l 7.028 l .142 4.771 2.434 -376 1.641 -66 599 2.665 2.931 l .287 0 29.1..0 3.521 4.878 4.815 664 844 1.960 456 6.219 6.312 -529 0 56. 713 16.29� 3.636 8. 121 2.244 5.084 6.025 538 9.436 6.545 -1.211 0 42.978 17.297 5.759 -1.088 3.451 2.872 6.285 873 4.544 l. 1-.6 -540 2.379 14.839 3.206 10.339 1.671 322 -337 -2.103 948 057 -1.920 790 1.206 81.435 85.928 115.549 128.716 116.413 168.062 206.038 254.349 231.811 225.209 '3 16.684 16.452 356 -2 .029 1.905 718 -868 232 1.529 -17� 13.994 5.722 361 6.105 1.806 40.194 26.858 401 7.664 5.271 -1.079 -1.598 493 205 -179 -3.660 -4.451 466 2.336 -2.011 19.114 7.719 503 2.437 8.455 40.324 24.571 767 6.0!>4 8.932 46.817 34.468 748 1.428 10 .173 51.954 25.431 8611 13.516 12.139 .14 25 26 27 28 -1 .870 2.696 2.392 l .282 10 .967 27.271 10.845 3.473 11.743 10.765 29 5.050 4.663 5.249 3.142 2.793 2.819 1.845 2.818 9.817 15.060 30 61 .571 5 .111 445 3.513 77.851 -93 674 4.805 93.914 3.241 538 3.681 84.098 8.110 678 4.223 103. 732 9.578 1.551 4.981 141.632 465 4.771 8.866 174-234 4.369 4.878 271 207.734 17.781 3.636 9.227 163.434 19.812 5.7!>9 6.150 147.430 4-210 10.339 8.537 31 32 33 34 2 3 4 12 13 14 15 16 17 18 19 20 21 22 FINANCIAL SECTORS SPONSORED CREDIT AGENCIES MORTGAGE POOLS COMMERCIAL BANKS BANK AFFILIATES FOREIGN BANKING AGENCIES SAVINGS + LOAN ASSNS. OTHER INSURANCE COMPANIES FINANCE COMPANIES REITS OPEN-END INVESTMENT COS. MONEY MARKET FUNDS 23 TOT AL FUNDS ADVANCED IN CREDIT MARKETS BY: PRIVATE DOM. NONFYN. SECTORS HOUSEHOLDS NON FARM NONCORP. BUSINESS CORPORATE' BUSINESS STATE + LOCAL GOVERNMENTS 24 25 26 27 28 29 REST OF THE WORLD 30 U.S. GOVERNMENT 31 32 33 34 FINANCIAL INSTITUTIONS SPONSORED CREDIT AGENCIES MORTGAGE POOLS FEDERAL RESERVE SYSTEM 15.21 .. 2 3 4 5 6 7 I! q 10 11 12 13 14 15 16 17 18 19 ,o 21 2ii! 35 36 37 38 39 COMMERCIAL BAttKING COMMERCIAL BANKS BANK AFFILIATES FOREIGN BANKING AGENCIES BANKS IN U.S. POSS. 17.561 16.998 0 431 132 35.905 35.318 0 439 148 38.775 38.223 0 467 85 18.697 13.140 3.946 1.381 230 35.129 33.220 -992 2. 766 135 50.535 50.239 -114 99 311 70.621 6&.773 -242 1.803 287 86.793 80.844 1.102 4.138 109 64.605 58.195 916 5.089 465 27.554 29.208 -526 -1.493 365 35 36 37 3& 39 40 41 42 43 44 PRIVATE NONBANK FINANCE SAVINGS INSTITUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS CREDIT UNIONS 34.935 7.986 4.179 2-694 1.113 36.560 l 5.188 9.057 5.266 865 47.679 15.664 9.701 4.464 1.499 51-730 14.883 9.584 3.231 2.068 52.493 17.726 12. 190 4.166 1.370 76.995 39.537 27.532 9.958 2.047 94.095 47.841 34.745 10.279 2.817 90.297 36.374 27.455 5.418 3.501 67.048 27.194 20.804 3.037 3.353 96.790 51.150 35.252 10.778 5.120 40 41 42 ..3 ..,. 45 46 47 48 49 INSURANCE SECTOR LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUND OTHER INSURANCE COS. 21 .294 8.366 6.290 4.175 2.463 19.491 8.417 5.431 4.002 1.641 22.079 8.703 5.883 4.677 2.816 23.988 8.643 6.18D 5.616 3.549 25.995 8.964 6.811 6.271 3.949 31.002 11.794 7.452 6.459 5.297 34.043 13.204 6.506 8.415 5.918 38.463 15.861 7.780 9.096 5.726 36.768 15.244 8.125 9.036 4.363 48.627 19.036 13.794 11.012 4.725 45 46 47 48 ..9 50 51 52 53 54 55 FINANCE N.E.c. FINANCE COMPANIES REITS OPEN-END INVESTMENT cos. MCNEY MARKET FUNDS SECURITY BKRS • + Of ALERS 5 .655 2.268 0 2.488 0 899 1.881 518 0 1.339 0 24 9.936 5.167 830 3.475 0 464 12.859 8.560 1.177 2.626 0 496 8.772 2.742 1.897 1.693 0 2.440 6.456 4.951 2.299 444 0 -1.238 12.211 9.321 4.193 -1 .838 0 535 15.460 11.474 5.560 -2.516 0 942 3.086 4.985 189 -793 757 -2.052 -2.987 l .818 -4.796 -461 694 -242 50 !>l 52 53 54 5� TOTAL CLAIMS AND .THEIR RELATION TO TOTAL FINANCIAL ASSETS ---------------TOTAL FUNDS RAISED IFROM PRECEDING TABLE I OTHER LIABILITIES: OFFICIAL FOREIGN EXCHANGE 2 TREASURY CURR. + SOR CTFS. 3 1 81.435 85.928 115.549 128.716 116.413 168.062 206.038 254.349 231.811 225.209 3 899 1.118 683 2.053 416 287 272 -2.541 622 -1.731 490 -188 533 -200 422 1.262 445 541 937 4 5 6 7 DEPOSITS AT FINANCIAL INSTS. DEIUNO DEP. + CURRENCY TIME DEPOSITS AT BANKS DEP • AT SAVINGS INSTJT. 24.453 4.166 13 •.289 6.9q8 55.703 14.994 23.914 16.795 48.351 14.828 20. 721 12.802 6.375 7.913 -9.465 7.927 67.385 12.374 37.965 17.046 99.423 17.534 41.363 4D.526 112.332 23.982 42.343 46.007 95.401 16.643 50.934 2.7.824 86.153 7.037 56.999 22.111 105.989 16.081 30.122 59.786 4 5 6 7 8 9 LIFE INSURANCE RE SERVES PENSION FUND RESERIIES 4.694 14.478 5.063 13.970 4.621 15.590 4.978 16.274 5.242 19.185 6.172 21.127 6.560 22.613 7.277 25. 570 6.425 29.570 7.ol8 36.088 8 9 10 11 12 13 14 SECURITY CREDIT TRADE DEBT PROFIT TAXES PAYABLE NONCORP. PROPRIETORS' EQUITY MISCELLANEOUS 775 10 .627 160 691 12.373 7.023 9.000 -4.920 -517 11.302 6.582 17.764 3.021 1.062 16.942 -6.658 22.744 -3.120 -725 25.662 -799 9.418 -3.145 -392 13.850 3.845 11.451 1.837 -722 11.474 8.669 16.731 -85 -3.061 20.138 -7.921 25.643 2.536 -4.361 37.278 -5.010 23.790 1.111 -11.056 43.207 4.526 10.010 -3.361 -9.850 29.972 10 11 12 13 14 15 INTERBANK CLAIMS 15 16 TOTAL LIABILITIES ABOVE - FLOATS NOT INCL. IN ASSETS 17 DEMAND DEPOSITS-U.S• GOVT• 18 OTHER 19 TRADE CREDIT - LIABILITIES NOT ALLOCATED AS ASSETS TREASURY CURRENCY 20 PROFIT TAXES PAYABLE 21 MISCELLANEOUS 22 23 TOTALS ALLOCATED TO SECTORS AS ASSETS 2.294 2.672 3.777 1.913 4.457 5.582 1.985 7.864 4.785 -3.291 152.882 187.025 235.728 196.718 229.695 327.010 392-265 443.858 412.553 404.448 16 -283 1.961 -3 .3 17 124 -502 -1.350 387 1.213 -2.439 -528 2.792 -1.922 50 1.904 -179 -182 2.028 -1.967 577 3.811 -S.891 339 1.571 -1.515 -81 6.302 -2-244 -119 1.909 -1.398 17 18 19 157 1.272 -25 216 -23 1.482 249 1.076 4.113 219 -437 9.015 -79 -779 1.886 12 -241 4.052 -153 -111 1.679 19 481 5.335 -92 -115 49 -22 42 -2.628 20 21 22 153.117 187.078 231.129 187.579 226.892 323.308 392.353 437.628 408.734 406.664 23 Ill INCLUDES CORPORATE EQUITIES. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Di:CEMbER 1976 SAVlNG BY JNulVJOUALS SAVING BY JM OJ VJ UUALS 81 ,MOUl'tT ANO COMPOSITION OF INOIVIOUALS 1 SAVING 111 YE AR-TOTAL ------ �LOWS, 1940-55 YEAR-TUT AL FLOWS, 1946-55 1946 1947 194& 1949 1950 1951 1952 1953 1954 1955 l 18.926 5.597 6.303 13.211 82 3.<t33 r,,.029 -2.a8, 2.:t:42 9.909 -2.004 i.o42 13.671 2.630 2.45't 19.055 4.593 4.828 23.097 1.602 7.780 22.557 971 i;.2i3 22.108 2.176 9.lb4 27.888 1.190 6.643 4 & -1.137 1.210 -2.555 -70 34 l.904 2.085 -1.003 5'l 442 2.233 l.601 -1.416 129 1.006 2-066 1 • .r,.c,3 -33<t -59 691 -144 252 -850 -5 5<t8 1.485 -471 -579 157 338 4.122 9l. ,.37 -53 ,.Ol't 3.483 198 623 -164 l.8:t9 827 595 -2.153 6 2.523 7.476 263 1.597 510 3.451 9 10 11 12 -896 0 282 852 -788 0 209 902 -63 0 96 880 -389 0 32·, 367 -785 20 239 437 236 -20 297 1.527 sn -1 -66 91 40b 5b4 -938 -19 522 291 656 45 lllO 174 13 14 15 2.635 400 469 1.805 2.&54 2.545 500 565 1.763 2.419 2.c:.30 600 591 :t:.667 625 636 1.660 1.617 2.636 775 1.694 1.767 1.859 2.555 'i75 1.121 1.643 1.855 2.&45 1.u, 1.058 l.028 1.937 2.908 1.125 1.902 1.928 2.027 3.001 1.175 2.041 lob07 2.097 3.070 1.325 2.310 1.828 2.041 20.462 -1.191 5.485 15.75 6 'tl2 38.887 12.004 8. 154 20.431 -1.102 ..5.636 8.967 11.15<, 22.855 2.655 lt2.e.42 9.641 9.308 25.0't7 -1-354 11.3in 10.lob 30.754 l.966 5't.2'>3 56.672 l't.536 10.578 29.814 1.744 56.487 15.625 10.812 29.148 902 59.973 16.210 11.629 32.499 -365 61.380 17.531 11.625 31-840 38 .. 73.412 20.922 1C:.8't3 38.621 1.026 GROSS INV. IN UNGl&LE ASSl:TS 24 25 lb 16.431 1. 778 4.706 9.947 21-177 2.257 5.759 13-161 25.327 2.022 6.754t 15.951 28-536 2-835 7.363 18.338 32.595 3.100 7.995 21.500 37.681 3.552 9.202 24.927 39.838 3.864 9.846 lt2.241 4.108 10.32b 27.807 43.322 't.363 10.659 28.300 46.519 4.774 11.082 30.663 CAPJTAL CONSUMPTION ALLOWANCES NOl'tFARM HOMES NONCORP. BUS. f'LANT + EQUIP. CONSUMER DURABLES 23 24t 25 26 27 211 29 30 31 4.031 -2.9o9 779 5.809 412 17.710 9. 747 2-395 7.270 -1.702 20.309 6.345 4.405 6.904 2.655 14-106 6-806 1.945 6.lO'i -1.354 21-648 8.257 2.111 'l.254 1.966 18.991 10.98.lt 1.376 4.887 1.744 16.6-49 11.761 966 3.020 902 17.732 12.102 1.303 4.b92 -365 18.058 13.168 966 3.540 384 26.893 16.148 1.761 7.958 1.026 NET JNV. IN TANGIBLE ASSETS NONFARl'I HOMES NONCORP. BUS. PLANT + EQUIP. CONSUMER DURABLES JMVENTOR IES 28 2<, 30 31 32 33 34 35 36 37 31i 6.435 3.607 972 2.719 -2.666 -10 1.873 10. 38:t 4.659 999 3.214 -364t lt2 1.1132 10.658 4.596 1.353 2-851 -28'> 132 2.010 9.737 1.317 2.915 272 199 bl2 16.248 6.714 2.170 4.107 700 190 2.367 11.796 6.624 1.241 -126 194 2.076 llt.170 o.582 1.582 4.808 176 137 885 13.597 7.466 1-441 3.873 463 220 134 15.877 9.066 1.682 1.071 1.099 235 2.724 25.085 11.749 2.313 6.366 685 193 3.779 NET INCREASE IN DEBT M TG. DEBT ON l'tONFARM HOMES NONCORP bUS. MORTGAGE DEIIT CONSUMf:K CRl:Dll SECURITY CREDIT POLICY LOANS OTHER DEBT 39 40 41 16-522 1.805 5.809 20.539 1.763 18.680 1.474 6.904 14.278 1.660 6.709 19.071 1.767 9.25.lt 26.250 l.b't3 4.887 25.57t, 2.028 3.ozo 26.692 1.928 lt.692 2<t.289 l.607 3.540 29.696 1.828 7.958 42 43 70 67 8.771 51 U.425 30 25 43 10.234 20 26 5.863 56 7.957 37 100 1 19.619 80 -29 20.477 64t -45 20.053 130 -3 19.015 222 -32 19.720 INDIVIDUALS' SAVING 11+2 7-321 - GOVT. INSURANCE + PEN. IU.S. - NET INVESTMENT IM COl'tS. DUk. - CAPITAL GAINS DIVIDENDS FROM INVESTMENT COMP ANIES - NET SAVING BY FARM CORPS. PERSONAL SAVING, F/F BASIS 45 13.448 4.936 10.595 6.71t0 10.838 14.796 15.908 11.028 15.557 14.900 4b -4.677 6.489 -3ol -877 -2.881 4.823 4.569 3.025 3.458 4.820 2 3 5 b 7 lb 17 -----------111 19 20 21 2.2 23 ,.... 1.210 l.474 2.144 lt.4l2 1.1111 l 1.101 20. 128 INCREASE J N FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY SAVINGS ACCOUNTS Sf:CUtUTIES u.s. SAVINGS BONDS OThER U.S. TRE:ASURY SEC. U.S. GOVT. AGENCY SEC. STATE + LOCAL OBLJGATIONS CORPORATI: + FOREJGM BONDS COMMER CIAL PAPER INVESTMENT COMPANY SHARES OTHER CORPORAH: l:QUITH.S PRIVATE LIFE: INSURANCE RES. PRlVATE INSURED PENSION kE S. PRIVATE NON INSURED PEN• kES. GOVT. INSURANCE + Pl:N. RES. MISCELLANEOUS FINAN. ASSETS https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 4 !; b 1 & 9 10 11 ll 13 1 .. 15 lb 17 18 19 NONCORP. B US. PLANl + EQUIP. 20 CONSUMER DURABLES 21 HtVENTOtUES 22. NONFARM HOMES 27 32 33 34 35 36 37 38 39 40 41 'o.l. ..... 't3 PERSONAL SAVING, NIA BASIS 45 DIFFERENCE 'tb Cl I COMBINED STATEMENT FOR HOUSl:HOLDS, FARM, AND NONFARM NDNCORPORAlE BUSJNESS. "lONEY AMOUNTS ARE IN MI LLIONS OF DOLLARS. 2 DECEMBER 1976 SAVING By INDIVIDUALS 82 SAVING BY INDIVIDUALS AMOll'IT AND COMPOSITION OF INDIVIDUALS' SAVING 11) YEAR-TOTAL FLOWS, 1956-65 YEAR-TOTAL FLOWS, 1950-c,5 1956 ------- 1 INCREASE IN FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 2 3 SAVINGS ACCOUNTS 1957 1958 1959 1960 1961 1962 1963 1964 30 .045 1.785 9.452 28.644 -444 11.965 31.610 3.777 13.878 37.062 829 ll.l't3 31.874 974 12 .121t 35.759 -927 18.315 39.573 -1.218 26.152 46.513 -532 26.305 55.189 4.939 2.6.2.02 4 5 6 7 8 SECURITIES U.S. SAVINGS BONDS OTHER U.S. TREASURY SEC. U.S. GOVT. AGENCY SEC. STATE + LOCAL OBLIGATIONS 6.875 -94 1.366 482 2.152 4.923 -1.909 1.860 685 1.690 116 -523 -2.206 -561 813 10.161 -1.796 6.007 l.728 3.184 3.473 -265 421 -454 3.615 2.061 803 -305 179 1.206 -1.254 523 1.312 433 -1.012 4.043 1.181 3.876 3!>5 99G 9 10 11 12 CORPORATE + FOREIGN BONDS COMMERCIAL PAPER INVESTMENT COMPANY SHARES OTHER CORPORATE EQUITIES 1.013 -24 1.049 931 920 143 1.010 464 1.201 -155 1.596 683 -136 1.444 -1.982 2.110 -1.852 -437 36 1.121 -3.830 110 -55 449 -23 1.777 -1.165 3 .167 1 .175 2 • 729 2.440 2.422 2.651 1.600 3.040 2.197 2.112 3.017 1.500 3.101 2.760 3.461 3.312 l.975 3.663 2.919 3.060 3.152 1.275 3.961 3.160 3.755 3.354 1.400 3.939 3.390 4.227 18 GROSS INV. IN TANGIBLE ASSETS N ONFARM HOMES 19 NONCORP. BUS. PLANT + EQUIP. 20 CONSUMER DURABLES 21 22 INVENTORIES 71.116 20.668 12.750 37 .887 -189 72.657 18.776 13.794 39.334 753 70.24C. 18.400 13.957 36.846 1.046 81.282 21.757 16.160 42.436 929 80.780 20.932 15.672 43.109 l.067 23· CAPITAL CONSUMPTION ALLOWANCES N ONFARM HOMES 24 25 N ONCORP. BUS. PLANT + EQUIP. 26 CONSUMER DURABLES 50.317 5.145 11.887 33.285 53.932 5.4'55 12.472 36.005 55.238 5.906 12.883 36.449 58.196 6.403 13.316 38.477 27 NET INV. IN TANGIBLE ASSETS 28 NONFARM HOMES NONCORP. 8US. PLANT + EQUIP. 29 CONSUMER DURABLES 30 31 INVENTORIES 20.799 15.523 863 4.602 -189 18.725 13.321 1.322 3.329 753 15.011 12.494 1.074 397 1.046 32 NET INCREASE IN DEBT 33 MTG. DEBT ON NONFARM HOMES 34 N ONCORP BUS. MORTGAGE DEBT CONSUMER CREDIT 35 S ECUR ITV CRED IT 3(> 37 POLICY LOANS OTHER DEBT 38 18 .205 11 .171 1.781 3.504 -43 254 1.538 15.605 e.995 1.566 2.637 -408 385 2.430 39 IJll>IVIOUALS 1 SAVING 11+27-32) 40 - GOVT. INSURANCE + PEN. RES. 41 - NET INVESTMENT IN CONS. OUR. - CAPITAL GAINS DIVIDENDS FROM INVESTMENT COMPANIES 42 43 - NET SAVING BY FARM CORPS. 44 = PERSONAL SAVING, F/F BASIS 32 .639 2.440 4.602 45 PERSONAL SAVING, NIA BASIS 13 14 15 16 17 PRIVATE LIFE INSURANCE RES. PRIVATE INSURED PENSION RES. PRIVATE NONINSURED PEN. RES. GOVT. INSURANCE + PEN. RES. MISCELLANEOUS FINAN. ASSETS 46 DIFFERENCE 4.715 911 606 . 1.229 2.041 1965 58.351 7.539 '27.952 2.353 635 296 1.238 1.785 2 3 5 6 1 8 1.454 -3.932 -488 -38 2.046 -2.192 504 -2 3.272 -5.375 10 3.642 1.375 4.181 3.474 3.221 4.106 1.675 4.253 3.852 2.811 4.312 1.950 5.468 ...393 3.210 4.691 2.075 5.411 4.743 3.587 13 14 15 16 78.003 19.613 16.565 41.573 252 87.089 19.938 18.921 46.703 1.527 95.516 21.300 21.252 51.432 1.532 100.859 21.7lb 22.432 5b.320 391 lll.60't 21.984 24.588 62.78b 2.24b 18 lCJ 20 21 22 60.148 6.788 13.540 39.820 61.480 7.084 13. 754 40.642 03.561 7.383 14.009 42.169 66.533 7.695 14.348 44.490 70.519 8.112 14.908 47.499 74.811 8.457 15.596 50.758 23 24 25 2b 23.086 15.354 2.844 3.959 929 20.632 14.144 2.132 3.289 1.067 16.523 12.529 2.811 931 252 23.528 12.555 4.912 4.534 1.527 28.983 13.605 6.904 6.942 1.532 30.340 13.604 7.52.At 8.821 391 36.793 13.527 8.992 12.02.e 2.246 27 28 29 30 31 16.147 9.795 2.491 158 1.157 359 2.187 26.839 12.409 3.258 6.415 14 470 4.273 21.789 11.569 2.557 4.597 -138 653 2.551 21.340 12.611 3.737 1.841 1.338 559 1.254 27.398 13.946 4.497 5.839 -126 544 2.698 35.472 16.431 5.324 7.918 1.957 460 3.382 36.871 17.249 6.710 8.529 -205 524 4.064 40.166 17.080 6.537 9.615 736 580 5.618 32. 33 34 35 36 37 38 31.764 2.197 3.329 30.474 2.760 397 33.309 2.919 3.959 30.717 3.160 3.289 30.942 3.390 931 35.703 3.474 4.534 40.024 3.852 6.942 48.658 4.393 8.821 54.978 4.743 12.028 39 40 41 293 -29 25 .333 284 -33 25.987 316 -25 2 7.026 427 -26 26.030 416 -34 23.886 499 -35 26.157 502 -18 27.211 472 -148 28.906 556 -39 34.927 939 14 37.254 42 ..3 44 19 .662 20.563 2 1.687 18.810 17.065 20.110 20.393 18.793 26.131 30.275 lt5 5 .671 5.424 5.339 1.220 6.821 5.987 6.818 10.113 e.796 6.979 46 ------------------------ Ill COMBINED STATEMENT FOR HOUSEHOLDS, FARM, ANO NONFARM NONCORPORATE BUSINESS. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis I 11 -4 9 --------------------------- \ 9 11 12 l7 DECEMBER 1976 SAVING BY INDIVIDUALS SAVING BY INDIVIDUALS 83 AMOUNT AND COMPOSITION OF INDIVIDUALS' SAVING 111 ----------- ------ yEAR-TOT AL FLOWS, 1966-75 ------- YEr-TOlAL FLOWS, 1966-75' 1966 1967 196a 1969 1970 1971 1972 1973 1974 1q75 59.425 2.370 19.096 67.a90 9.850 35.300 73.219 11.083 31.088 6l .S41 2.528 9.094 78.697 8.900 43.585 104.403 9.127 67.764 12.l.64o 14.825 70.954 143.015 12.695 67.858· 137. 697 5.130 57.879 167 .831 6.884 84.922 14.412 554 2-228 4.801 3.423 -2.92l 970 193 484 -2.218 2.aa1 6..7 4.239 1.394 -672 24.636 -96 5.864 -5.776 2.327 - 10.537 -2.259 -264 1.300 3.251 5.009 9.13 6 -3.369 319 -13.108 4.638 -785 -238 -3. 512 2.164 20.996 2.687 14.295 -660 7-223 30.245 2.984 60222 -2.046 llo 167 21.061 4.025 6.436 -4.765 8.658 SECURITIES U.S. SAVINGS BONDS OTHER U.S. TREASUR 'f SEC. U.S. GOVT. AGENCY SEC. STATE + LOCAL OBLIGATIONS 6 7 1.356 2.73«> 3.7.2.2 -4.408 4.040 -2. 167 3.036 -7.2 61 4.215 -459 9.532 -3.1"16 2.110 -3.539 8.316 343 l.287 -<t.989 ... 154 l -52Y -3.985 944 3.386 -1.211 -5.068 5.258 5.907 -12. 390 5.364 3.809 4.929 -9.379 7.889 -540 -6�9 10.396 -1.925 790 -2.554 CORPORATE + FOREIGN BONDS COMMERCIAL PAPER INVESTMENT COMPANY SHARES OlHER CORPORATE EQUITIES 10 ll 12 13 14 15 4.587 2.100 b.699 16 11 5.586 4.375 4.983 2.000 6.562 5.488 "6.630 4.635 2-925 6.509 6. 142 7.956 4.912 2.92 5 6.342 1.073 4.031 5.l3o 3.275 7.136 8.880 5.154 6.101 4.475 7.255 9.468 5.989 o.491 4.250 6.879 11.553 11.388 7.209 5.450 a.sos 11.683 8.619 6.,3 57 6.225 10.909 12.504 8.448 7.550 8.674 12-813 14.669 11.258 PRIii.ATE LIFE INSURANCE RES. P RIVATE INSURED PENSION RES. PRIVATE NONINSUREO PEN. RES. GOVT. INSURANCE. + PEN. Rl:S. MISCELLANEOUS FINAN. ASSETS 13 14 15 l«> l1 18 l'i 20 21 2l 114.606 20.1109 25.019 67.663 1.11s 116.321 21.lS't :.14.192 69-646 1.299 132.845 24.369 27.641 79.995 d40 143.688 25.860 31.305 85.478 1.045 142.125 25.20 l 31.614 84.931 379 167.511 32.584 35.104 97.087 2.736 194.808 40.626 41.060 111.241 1. 881 217-453 44.993 44.156 123.714 4.590 202.081 42.745 39. 021 121-634 -1-319 211.u8 42.410 35.212 131.726 1.110 GROSS INV. IN TANGIBLE ASSETS NONFARM HOMES NONCORP. BUS. PLANT + E:QUIP. CONSUMER DURABLES INVENTORIES 18 1r, 20 21 23 l 2 3 4 5 b 7 8 9 10 11 12 INC REASE IN FINANCIAL ASSl:lS DEMAND DEPOSITS + CURRENCY SAVINGS ACCOUNTS 2. 3 4 5 8 9 a 23 24 25 21> 80.018 8.790 16.479 54.749 86.278 9.206 17.638 59.434 95.296 10.<t78 19.191 65.627 105.196 12.0Sb d.319 71.821 113.069 12.833 23.222 11.014 121.722 13.685 24.851 83.186 130.146 14.717 25.695 89.734 l44.o89 17.068 29.315 9c3.306 164.445 19.534 34.358 uo.553 185.032 22.001 39.373 123.658 CAPITAL CONSUMPTION ALLOWANCES N01'4FARM HOME:S NONCORP. BUS. PLANl + E�UIP. CONSUMER DURABLES 27 28 34.588 12.019 8.s.. o 12.914 1.us 30.043 11.978 6.554 10.212 1.299 37.549 13.891 8.450 14.368 840 38.492 13.804 9.980 13.657 1.045 29.056 12.368 8.392 7.917 379 45.789 18.899 10.253 13.901 2.736 64.662 25.909 15.305 21.507 1.881 72.lo,._ 27.925 14.841 25.408 4.590 37.636 23 • .Ul 4.663 11.081 -1-319 26.086 20.409 -4.161 8.068 1.110 NET INV. IN TANGI8L� ASSl:TS NONFARM HOMES NONCORP. BUS. PLANl + !:QUIP. CONSUMER OUR ABLES INVENTORIES 27 21! 29 30 31 31.086 13.350 5.802 6.356 -73 1.489 4.162 33.751 13.395 6.323 4.544 3.684 992 4.813 43.137 16.760 6.497 9.987 2.918 1.290 5.679 42.089 18.197 6.961 10.S76 -3-402 2.604 7.353 33.027 14.705 7.372 5.851 -1-780 2.308 4.571 58.663 27.142 12.057 ll .643 2.666 1.ou 4.142 90.290 41.471 15.93& 18.607 4.469 950 8.84CJ 94.ll2 15.705 21-717 -4.346 2.221 11.857 60.035 35.305 12.308 9.11b -1.802 2.699 1-689 62. 730 39.359 7.371 8.536 2.244 1.617 3.603 NET INCREASE IN DEBT MTG. DEBT ON NONFA�M HOMfS NONCORP BUS. MORTGAGE OE&T CONSUMER CRE on SECURITY CREDIT POLICY LOANS OTHER DEBT 32 33 34 35 36 37 38 39 40 62-927 5.586 12-91,. 64.182 5.488 10.212 67.631 bol42 14.368 57.944 7.073 13.657 74.726 8.880 7.917 91.529 9.468 13.901 102.018 11.553 21.507 121.667 11.683 25-408 115-298 12.504 11.081 131.187 14.669 8.068 42 43 1.318 34 43.075 1.690 -29 46.8.H 2.458 8 44.655 2-536 -13 34.691 923 -93 57.099 716 -64 67.448 l.4l0 114 67.42't 944 360 83.272 485 44 -81 91.309 219 -57 108.288 45 32.998 40.867 38.069 35.107 50.573 57.335 49.369 70 .322 72.208 83.962 PERSONAL SAVING, NIA BASIS 46 10.077 5.954 6. 586 -416 6.526 10.113 18.055 12.950 19.10l 24.326 DIFFERENCE 29 30 31 32 H 34 35 36 37 38 ----------- 41 46.958 INOIVIDUAL S 1 SAVING 11+27-321 - GOVT. INSURANCE + PEN. RES. - NET INVESTMENT IN CONS. OUR. - CAPITAL GAINS DIVIOl:NDS FROM INVESTMENT COMPANIES - NET SAVING BY FARM CORPS. = PERSONAL SAVING, f/f 8AS1S Ill COMBINED STATEMENT FOR HOUSEHOLDS, FARM, AND NONFARM NONCORPORATE BUSINESS. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 24 25 l.6 39 40 41 'tl 43 44 .., 46 DECEMBER 1976 [IISCRE PANC IE S DISCRE PANC lES 84 DISCREPANCIES - SUMM•RY FOR SECTORS •ND TRANSACTIONS YEAR-TOTAL FLOWS, 1946-55 YEAR-TOTt FLOWS, 1946-55 1946 1947 1948 1949 1950 1951 1952 1953 1954 SECTOR DISCREPANCIES 1 TOTAL, ALL SECTORS HOUSEHOLDS NONFIN. CORPORATE BUSINESS STATE+ LOCAL GOVERNMENTS U. So GOVEIINMENT 6 FOREIGN 3 4 7 8 10 11 12 13 14 15 16 -4.131 -6.491 3.061 568 -2.259 865 1.972 35& 759 742 -1.377 1.120 1.332 873 -1.190 554 -268 715 -1.167 2.875 -4.508 107 845 -115 -6.763 -4.826 -3.368 98 177 357 -2.727 -4.557 153 1.105 183 485 -1.848 -3.048 -416 837 130 210 -2.469 -3.483 1.477 1.298 -687 52 283 -25 0 -26 125 -26 0 45 370 -2 0 136 648 -371 -16 0 25 799 -12 0 178 -96 0 0 130 439 1 0 158 -1.126 4 0 -171 0 267 334 -18 -76 260 47 121 106 -13 18 19 -71 153 236 -16 22 5 33 192 605 -27 2 -380 -36 -35 -291 -258 240 633 -16 32 189 238 190 -226 -39 10 98 80 -375 280 -88 23 65 -52 332 -959 -83 -33 -92 -207 -544 111 -98 -18 66 -9 170 ------------------ -55 380 -21 289 79 -199 573 -10 212 -647 1.660 185 220 617 -506 -391 544 -926 -4.027 -2.265 746 545 -2.700 632 -256 -937 1011 1.390 -2.054 -1.664 -77 -3.306 510 -520 507 -3.020 855 83"> 1.013 -2 .455 5 6 1.139 806 163 1.016 -993 1.769 15 0 0 0 -1.174 35 0 0 0 1.039 -46 0 0 0 2.030 24 0 0 0 3.997 30 0 0 0 2.768 -54 2 0 16 3.296 0 -1 4 -7 3.017 0 0 3 0 2.456 0 0 0 1 9 10 -634 -1.784 1.139 -993 -2.054 -4.027 -2.700 -3.306 -3.020 -2.455 14 1.926 2 03 0 -1.684 47 0 0 464 861 0 0 908 -102 0 0 -859 -78 0 0 -2.018 354 0 0 -2.193 -54 -18 0 626 -3 9 0 512 -2 0 0 854 2 -1 0 15 18 2.129 -1.637 1.325 806 -937 -1.664 -2.265 632 510 855 19 2.1 29 -737 -634 -1.637 -142 274 -1.784 1.325 122 NONFINANCIAL COMPONENTS: 9 NIA DISCREPANCY (NEG.) 10 PVT. WAGE ACCR. LESS DISS. 11 FARM DISCREPANCY (NEG.) 1 2 NONFARM NONCORP DISCREP. (NEG) 13 TRADE DEBT (POSITIVE) 664 -30 0 0 0 14 TOTAL NONFINANCIAL DISCREPANCY 15 16 18 19 c TOTAL TRADE CREDIT, FINAL -625 0 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 16 -2.469 -378 17 le lit 15 -1.848 -48 -1.553 7"'9 TRADE CREDIT ANALYSED, FIRST ESTIMATE + BANK LOAN DISCREPANCY + BALANCE ADJUSTMENT + SEASONAL 11 13 -2.727 -66 603 2 80 6 9 10 -lt9 3 4 8 330 206 1 -6.763 1.972 -32 7 94 2 6 -1 .167 -48 -4.131 -28 TREASURY CURRENCY DEMAND DEPOSIT MAIL FLOATS: U.S. GOVERN"ENT OTHER TRADE CREDIT PROFIT TAXES PAYABLE MISCELLANEOUS NONFINANCIAL 0 51 380 1.332 -28 919 -97 5 -1.' 380 -lt.836 2.859 1.666 -44 355 TRANSACTION DI SCREPANC JES l TOTAL, ALL TYPES 2 ' 919 4.673 -6.219 1.393 1.101 -318 FINANCIAL SECTORS SPONSORED AGENCIES MONETARY AUT HORITIES COMMERCIAL BANKS PR I VATE NONBANK FINANCE SAVINGS+ LOAN ASSNS. MUTUAL SAVINGS BANKS LIFE INSUR•NCE OTHER INSURANCE FINANCE N.E.C • 1955 52 -299 546 4 7 8 11 12 13 lt> 17 oE:CEMBER 1976 oJSCREPANCJES DISCREPAl'<ICIES 85 DISCREPANCIES - SUMMARY FDR SECTORS ANO TRANSACT JONS yfAR-TOTAL FLOWS, 195b-65 - ----------1956 1957 YEAR-TOTAL FLOWS, 1956-65 1958 1959 1960 1961 SECTOR DISC.REPANc.IES --------------------------- 1962 1963 1964 1965 1 2 3 4 5 6 lt32 -5. 702 3.047 1.208 985 356 583 -5.462 2.948 1.296 232 965 -2.633 -5.370 2.626 640 -148 252 -691 -7.259 3.517 1.252 807 128 51.ft -6.853 7.051 1.101 350 -1.026 -1.888 -6.016 4.031 1.318 635 -987 -3.870 -6.84.ft 3.997 1.387 -367 -1.133 -2.616 -10.123 6.945 -90 1 -372 -2.348 -8.814 8.433 968 -1.288 -912 1.237 -7.002 8.7o5 -390 -330 -468 7 538 8 0 514 604 -12 0 365 -633 -6 0 -207 864 -109 9 0 37 -869 4 0 -204 -910 3 0 -253 1.023 l 0 741 -735 16 0 -481 722 25 0 75 16 -108 251 -155 36 59 32 279 -42.0 -163 -155 -121 -16 88 30 -136 --669 -76 2 -89 18 -524 -660 -37 -79 -156 - 825 437 281 -59 -9 -102 295 156 -270 169 -40 -272 183 -310 622 99 -326 360 497 8 9 10 11 12 13 14 15 16 17 2.5 -43 125 ----------- 44 118 -8 -411 5 0 775 84 -ea 61 410 -107 -192 -a 432 -39 -44 583 -2.633 -50 -691 -38 514 -40 -1.888 -133 -3.870 38 -2.616 35 -2.348 197 1.237 64 3 367 458 55 -328 -157 400 -4 -547 -181 402 9 1.152 357 -66 40 308 -2b5 826 257 346 6 7 -1.329 -21 202 794 1.236 59 -217 -178 -1.706 -66 bl0 -1-664 -532 -188 397 221 288 128 -765 682. -2.876 -113 1.671 -1.598 7 747 -942 -4.011 -177 -758 1.671 -3.735 -1.580 258 452 -2-236 -931 768 1.625 -892 8 u. s. GOVERNMENT FOREIGN FINANCIAL SEC.TORS SPONSORED AGENC.JES MONETARY AUTHORITIES COMMERCIAL BAl'<IKS PRIVATE NONBANK FINAN(.£: SAVINGS + LOAN ASSNS. MUTUAL SAVJl'<IGS BANK� LIFE INSURANCE OTHER INSURANCE: FINANCE N.E.c. 1 2 3 4 5 6 7 8 9 lu ll 12 13 14 15 lb TRANSACTION DISCREPANCIES 1 2 4 TOTAL, ALL SEC.TORS HOUSEHOLDS NONFlN. CORPORATE bUSINESS STATE + LDC.AL GOVERl'<IMEl'<ITS ------- TOTAL, ALL TYPES TREASURY CURRENCY DEMAND DEPOSIT MAIL FLOATS: U.S. GOVERNMENT OTHER TRAD£: CREOJT PROFIT TAXES PAYABLE Ml SCELLANEOUS NONF I NANC IAL 1 2 3 4 5 b 7 8 10 11 12 13 9 -793 0 -1 0 0 176 0 -1 2 -1 lo665 0 0 0 1 -220 0 1 -2 0 -682 0 0 1 l 1.598 0 0 0 0 4.007 0 1 3 0 3.738 0 -1 -2 0 2.238 0 0 -2 0 892 0 0 0 0 NONFINANCIAL COMPONENTS: 9 NIA DJ SCREPANCY INE:G. I 10 PVT. WAGE AC.CR. LES S DJSB. 11 FARM DISCREPANCY IN£:G.I NONFARM NONCORP DISC.REP. INEGI 12 13 TRADE OEST IPOSllJVEI 11i, 794 -178 -1.664 221 682 -1.598 -4.011 -3.735 -2.236 -892 TOTAL NONFINANCIAL DISCREPANCY 14 15 lb 1.239 -3 0 0 -1. 704 -2 0 0 -348 -184 244 0 0 -2.852 -23 -1 0 -709 717 -1 0 190 -367 0 0 -1.210 -371 1 0 -927 0 0 44 18 -1. 327 -3 1 0 19 -1. 329 1.236 -1.706 -532 288 -2.876 7 -177 -1.580 -931 17 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -4 0 0 TRADE CREDIT ANALYSED, FIRST EST IMATE + BANK LOAN DISCREPANCY + BALANCE ADJUSTMENT + SEASONAL TOTAL TRADE CREDIT, FINAL 15 lb 17 18 19 DECEMBER 1976 DISCREPANCIES 86 DISCREPANC IES DISCREPANCIES - SUMMARY FOR SECTORS ANO TRANSACTIONS ---------------- --------------- YEAR-TOTAL FLOWS, l9b6-75 1966 1967 1968 1969 1970 YEAR-TOTAL\ FLOWS, 1966-7!) 1971 ------- 1972 1973 1974 191!> SECTOR DISCREPANCIES 1 TOTAL, ALL SECTORS HOUSEHOLDS 2 NONFJN. CORPORATE BUSINESS 3 STATE + LOCAL GOVERNMENTS 4 u. S. GOVERNMENT 5 FOREIGN 6 7 8 9 10 11 12 13 14 15 lt -3 .424 -10 .093 8 .327 -1.241 -1.898 608 -1.804 -5.966 3.865 -225 -1.164 -43 5.224 -6.63f. B.108 462 2.888 501 12.402 400 5.205 6.722 1.006 -1.394 4.883 -6.530 9.022 992 228 -432 2.001 -10.144 13.917 8.860 278 -9.653 -1.446 -18.068 16.444 3.590 187 -1.838 3.647 -12.953 16.148 3.048 2.178 -2.128 -2.759 -19.076 13.101 Sb5 -58 4.775 -6.623 -24.344 14.499 1.329 253 4.270 54 0 339 l.729 31 0 -284 -97 86 0 -75 463 113 0 -183 1.603 109 0 -443 -1.251 113 0 -1.349 -1.761 98 0 -1.233 -2.t.46 176 0 -2.593 -2.366 112 0 -3.911> -2.630 285 0 -4.277 480 272 -36 -112 -363 719 1.982 349 -22 282 810 563 -108 227 -100 141 -237 -139 533 273 -2 92 35 135 1.937 255 104 681 -12 909 -15 368 -160 134 -149 -20s -626 -104 -230 266 21 -579 -229 80 -82 -349 130 -8 1.436 307 114 151 571 293 1.362 328 -99 303 1.255 -425 an F !NAN CI AL SECTORS SPONSORE� AGENCIES MONETARY AUTHORITIES COMMERCIAL BANKS PRI VI.TE NON BANK FINANCE SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS LIFE INSURANCE OTHER INSURANCE FINANCE N.E.C. TRANSACTION DISCREPANCIES 6 1 8 s 10 11 12 13 14 15 16 ------------- TOTAL, ALL TYPES TREASURY CURRENCY DEMAND DEPOSIT MAIL FLOATS: U.S. GOVERNMENT 3 4 OTHFR -3 .424 157 -1.804 216 5.224 249 12.402 219 4.883 -79 2.001 12 -1.446 -153 3.647 19 -2.759 -92 -6.623 -22 -283 1.961 124 -502 387 1.213 -528 2.792 50 1.904 -182 2.02a 577 3.811 339 1.571 -81 6.302 -119 1.909 5 6 7 -3 .317 1.272 -25 -3.189 -1.350 -23 1.482 -1.751 -2.439 1.076 4.113 625 -1.922 -437 9.015 3.263 -179 -779 1.886 2.080 -1.967 -241 4.052 -1.695 -5.891 -111 1.679 -1.358 -1.515 481 5.335 -2.583 -2.244 -115 49 -b.578 -1.398 42 -2.628 -4.407 NONFINANCIAL COMPONENTS: NIA DISCREPANCY (NEG.I PVT. WAGE ACCR. LESS DISS. FARM DISCREPANCY (NEG.I NONFARM NONCDRP DISCREP. (NEG) TRA OE DEBT (POSITIVE I 3 .185 0 1 3 0 1.738 0 0 15 2 -630 0 0 10 5 -3.267 0 -1 11 6 -2.075 0 -1 -2 2 1.328 373 -1 2.631 -44 -1 -3 0 6.625 0 l 6 1.682 -329 1 5 1 -75 -27 4.421 0 0 -17 -3 14 TOTAL NONFINANCIAL DISCREPANCY -3 .189 -1.751 62!! 3.263 2.080 -1.695 -1.358 -2.583 -6.578 -4.407 14 TRADE CREDIT ANALYSED, FIRST ESTIMATE p; 16 + BANK LOAN DISCREPANCY 17 + BALANCE ADJUSTMEN1 18 + SEASONAL -3 .394 76 -1 2 -1.423 76 -4 1 -2.293 -143 -3 0 -2.128 205 1 0 -120 -62 3 0 -2.010 48 -5 0 -5.817 -74 0 0 -1.670 157 1 -3 -2.281 35 2 0 -1.435 34 3 0 15 16 19 = TOTAL TRADE CREDIT, FINAL -3.317 -1.350 -2.439 -1.922 -179 -1.967 -5.891 -1.515 -2.241t -l.398 19 !I 9 10 11 12 13 T RADE CREDIT PROFIT TAXES PAYABLE MISCELLANEOUS NONFINANCIAL MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis l 3 4 5 6 7 8 9 10 11 12 13 17 l& oeUMBER 1976 MONEY STOCK RELATIONSHIP MONEY STOCK RELATIONSHIP 87 RELATION OF F/F MONEY STOCK OATA TO DAILY AVERAGE SERIES YtAR-TOTAL FLOWS, 1946-55 1946 YEAR-TOTAL FLOWS, 1946-55 1947 ------------------------------- 1948 1949 1950 1951 1952 1953 1954 1955 1. TOTAL MONEY STOCK 2 NA NA NA NA NA NA NA t-.A NA NA NA NA NA NA NA NA NA NA 19.14& 18.632 516 5.472 6.180 -708 17.268 15.668 1.600 11.756 11.460 296 NET CHANGES, S.A. QTRLY RATE: F/F DEMAND DEP. + CURRENCY DAILY AVERAGE (DAMS) TOTAL DlfFERE�CE 4 5 6 1 NA NA NA NA NA NA NA NA NA NA NA NA NA NA NA NA NA NA NA NA NA NA NA NA 129 43 44 42 -177 21 -193 -5 400 61 348 -9 74 23 32 19 TOTAL DIFF. AT QUARTERLY RATE ARISING FROM--DATA OJFF. 1 JMING DlFF. SE:ASONALS l 3 ------------------------NA NA NA NA NA NA IIIA NA NA NA tu NA NA NA NA 3.613 3.526 87 784 1.204 -420 4.552 4.239 313 2.519 2.416 103 4 5 6 NA NA -398 NA NA NA NA NA MA NA NA NA NA NA NA NA NA NA 77 43 34 -416 21 -437 312 61 251 102 23 79 7 8 9 NA NA NA NA NA NA 0 MA NA NA NA ltA NA NA NA NA NA NA NA 0 10 0 -4 10 0 -4 l 0 0 l l 0 0 l 1.174 1.132 42 584 341 243 -235 -322 87 420 449 -29 0 5 6 7 II. DEMAND DEPOSITS NA NA NA 0 3 4 --------------------------------- ---------------- 10 l 2 0 0 0 0 NET CHANGE, S.A. QTRLY RATE: F/F DAMS DIFFERENCE l 2 3 DIFFERENCE IN UNADJUSTED DATA DIFFERENCE TIMING DIFFERENCE 4 DIFFERENCE IN SEASONALS FLOWS VS •. LEVELS ONE-OAY VS. DAJLY AVERAbE SEASONAL BALANCE ADJUSTMENT 7 8 --------------------------------------------------------------- 5 6 9 10 111. CURRENCY -l54 NA NA l 2 3 260 NA NA 4 NA NA 5 6 7 NA NA NA NA NA NA 8 0 0 -661 NA NA -18 NA NA NA NA NA NA 10 244 97 -47 NA NA NA NA NA NA NA NA NA NA NA NA 0 32 2Y -1 -10 -4 18 34 0 0 0 ----------------------- 942 NA NA 4 0 -5 0 3 0 -6 NET CHANGE, S.A. QTRLY RATE: F/f DAMS DIFFERENCE 0 -16 TIMING DIFFERENCE 4 DIFFERENCE IN SEASONAL! FLOWS VS. LEVELS ONE-DAY VS. DAILY AVG. SEASONAL bALANCt AOJ. 6 7 8 5 ----------------------------- -------------------------- Iv. DERIVATION Of f/F BANK DEPOSITS 126.153 10.015 12.519 3.359 1.184 0 99.076 308 99.384 131.175 10.153 12.513 ... 941 967 0 102.601 360 102.961 131.538 10.152 12.807 4.140 935 135.789 10.021 12.873 4.172 808 87.094 lb4 87.258 118.300 9.635 11.606 2..8C6 1.368 0 92.885 233 93.118 103.498 381 103.879 107.909 457 108.366 141.954 13.282 12-885 3.709 1.585 0 110.493 476 110.969 -1.571 NA NA 108 NA NA 5.860 NA NA 6.266 NA NA 3.577 10 3.587 918 -4 914 4.487 l 4.408 2.603 l 2.604 -374 227 148 -160 -113 NA NA NA NA NA 104.860 6.137 10.460 2.989 580 108.503 7.244 10. 798 1.343 535 lOo.651 6.789 9.944 2.338 5..1 1011.525 7.308 10.518 �.011 534 8 9 84.694 152 84.8-.6 88.583 138 e8. 121 87.039 111 n.1,0 10 11 12 7.697 NA fllA 3.875 NA NA 13 -398 14 NA l 2 3 4 5 6 7 0 0 0 0 0 0 26 -130 64 -85 3.613 78't 4.552 2.519 H.8 OR CALL DATA: GROSS DtMANO DEPOSITS - CASH ITEMS - DUE TO U.S. COMMERCIAL BANKS - TREASURY DEPOSITS - F.R. FLOAT + TRANSFERS FROM MISC. LIAB. COMMERCIAL-BANK L IABILITY + DEPOSITS Al FGN. BANKING AG. TOTAL BANKING SECTOR LIAB. NET CHANGE + SEASONAL NET CHANGE SEAS. AOJUSlMENT + FOREIGN DEPOSITS Al F.R. TOTAL DEMAND DEPOSIT LlAB., S.A. QUARTERLY RAlE IAS IN PART JI JBOVE, LINE 11 l 2. 3 4 5 6 7 8 9 10 11 1, 13 14 2. TIME DEPOSITS 15 16 17 l& 19 34.206 52 34.l5't 77 3llt.231 35.599 54 35.545 57 35.602 36.192 40 36.152 50 36.202 36.649 27 36.622 73 36.695 36.965 27 36.938 93 37.031 38.687 28 38.659 108 38.767 41.756 31 41.725 160 41.8&5 45.164 26 45.138 210 45.348 48.968 't8 48.920 25', 49.179 50.300 43 50.257 247 50.50.. 20 3.815 NA NA 1.371 NA NA 600 NA NA o\-93 NA NA 336 NA NA 1.736 NA NA 3. 118 2 3.120 3.463 -2 3.461 3.831 3.831 1.325 l 1.326 21 22 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 0 TOTAL JN H.8 OR CALL - DUE U.S. COMMERCIAL BANKS TOTAL DUE NONBANKS + TIME DEP. AT FGN. BANKIN G AG = TOTAL BANKING SECTOR LIAB. 15 lo 17 18 19 hET CHANGE + SEASONAL = TIME DEPOSITS, SAUR 20 ll 22 DECEMBER 1976 MONEY STOCK RELATIONSHIP 88 ----------------- MONEY STOCK RELATIONS�Jp RELATION OF F/F MONEY STOCK DATA TO DAILY AVERAGE SERIES ----------------- YEAR-TOTAL FLOWS, 195f-b5 ----------------------1956 1957 ------------- 1 2 3 NET CHANGES, S.A. QTRLY RATE: F /F DEMAND DEP. ♦ CURRENCY DULY AVERAGE IDAMSI TOTAL DIFFERENCE 1 2 3 ARISING FROM--OATA OIFF. TIMING DIFF. SEASONALS NET CHANGE, S.A. QTRLY RATE: F/F DAMS DIFFERENCE 1959 1960 1961 -- ------... 1962 1963 19b4 1965 I. TOTAL MONEY STOCK ----- 6.988 -3.268 -4.708 1.440 22.268 19.076 3 • 19? 9.452 -4.428 5.024 3.836 3.500 336 23.412 19.512 3.900 15.604 8.880 6.72.4 21.228 23.140 -1.912 33.720 30.424 3.296 33.,68 31.392 1.896 170 103 360 103 279 -22 798 -617 1.255 160 -1.101 110 -1.270 53 84 975 -160 1.118 37 1.681 353 1.332 -4 -478 -565 53 824 474 34 557 26 426 37 6.308 680 4 TOTAL DIFF. AT QUARTERLY RATE 5 6 7 1958 YEAR-TOTAL FL�S, 1956-65 45 22 ----------------------- ------- 2-U 1.010 803 207 !.151 4.2'?1 860 3.322 1.198 2.124 2.698 3.901 -1.203 b.780 5.815 6.2.0 5 5.768 437 549 103 466 103 363 626 -617 1.243 -1.495 110 -1.605 207 -35 242 860 -180 1.040 2.124 353 1.771 -1.204 -565 -639 96b 241 430 11 425 0 0 0 0 0 -1 0 0 -1 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 1 -1 0 0 -1 l 0 0 2.111 2.080 37 446 C 0 0 --------------- 9b5 725 0 0 1 III. CURRENCY l 66 -106 173 243 388 -51 72 -123 702 587 115 579 1 .022 -443 2.609 -3� 1.884 725 1.650 1.791 -141 4 TI�ING DIFFERENCE -401 -84 12 335 -130 78 -439 692 -168 5 6 7 DIFFF.RENCE IN SEASDNlLS FLOWS VS. LEVELS O�E-DAY VS. DAILY AVG. SEASONAL BALANCE ADJ• 22 3s; 0 -13 -22 -12 0 -10 161 168 0 53 56 0 -3 7 37 -4 0 3 0 -5 33 36 0 -3 27 31 0 -4 36 37 0 -1 179.631 22.925 15.425 6.510 2.606 601 135.022 1.832 136.854 184. 731 22.465 15.766 5.525 2.248 -119 141.465 1.661 143.12b 6.728 -1 6.727 6.273 8 40 419 438 26'5 -1 631 4 42 7 0 -11 IV. DERIVATION OF F/F BANK DEPOSITS 6 9 10 --------- NET CHANGE, S .A• QTRLY RATE: 1 F/F DAMS 2 3 DIFFERENCE -40 1 II. DEMAND DEPOSITS 625 2.120 -1.495 -111 3 11 5.129 4.'504 625 549 7 DIF FERENCE IN SEASONALS 8 FLOWS VS. LEVELS ONE-CAY VS. D�ILY AVERAGE SEASONAL BALANCE ADJUSTMENT 10 1 -1.?43 466 1.707 1.158 4 DIF FERENCE IN UNADJUSTED DATA DIFFERENCE 5 6 TIMING DIFFERENCE -35 112 2 4 ------·-- 1. DEMAND DEPOSITS H.8 OR CALL DATA: 1 GROSS DEMAND DEPOSITS 2 - CASH ITEMS 3 - DUE TO U.S. COMMERCIAL BANKS 4 - TREASURY DEPOSITS 5 - F .R. FLOAT 6 + TRANSFERS FROM HI SC. LIAB. 7 = COMMERCIAL-BANK LIABILITY 8 + DEPOSITS AT FGN. BANKING AG. 9 = TOTAL BANKING SECTOR LIAB. 143.501 13.701 13 • 1 73 0 111.305 638 111.943 150.152 14.586 13.479 4.?50 1.296 0 116.541 618 117.159 152.293 16.173 13.311 5.050 1. 590 591 116.760 1.028 117.788 -817 0 -817 5.216 -1 5.215 551 169.873 20.701 16.250 7.158 2.903 156.403 18.260 14.741 165.179 21.401 15.732 1.868 1.597 117.777 1.148 118.925 2.300 212 122.900 1.229 124.029 126.159 1.194 127.353 1.137 0 1.137 5.083 0 5.083 3.324 0 3.324 171.680 21.050 14.709 145.147 13 .8 77 13 .671 3.733 1.665 0 112 .201 559 112.760 10 NET CHANGE 11 + SEASONAL 12 = NET CHANGE SEAS. ADJUSTMENT 1.791 0 1 • 791 13 + FOREIGN DEPOSITS AT F.R. TOTAL DEMAND DEPOSIT LIAB., 14 S.A. QUARTERLY RATE IAS IN PART II ABOVE, LINE 11 -84 40 -80 74 -127 68 -2 -76 1.707 -111 5.129 625 1.010 5.151 3.32_2 2.698 52 .368 57 52.311 303 52.614 57.825 41 57.784 239 58.023 65.865 100 65.765 221 65.986 67.610 69 67.541 247 67.788 73.440 104 73.336 287 73.623 82.909 199 82.710 330 83.040 98.520 240 98.280 335 98.615 112.895 268 112.627 397 113.024 2 .110 0 2.110 5.409 0 5.409 7.963 0 7.963 1.071 0 1.071 5.835 -1 9.417 15.575 9.418 15.576 14.409 0 14.409 3.898 1.424 0 551 5.945 5.946 898 6.548 2.600 -1.042 129.029 1.097 130.126 2. 773 l 2.774 6.272 10 l 11 53 -66 13 6.780 6.205 14 127.539 375 127.164 423 127.587 147.70!:> 508 147.197 498 147 .b95 15 14.563 0 14.563 20.108 0 20.108 20 21 12 2. TIME DEPOSITS 15 TOTAL IN H.8 OR CALL 16 - DUE U.S. COMMERCIAL BANKS 17 = TOTAL DUE �IONBANKS 18 + TIME DEP. AT FGN. BANKING AG 19 = TOTAL RANKING SECTOR LIAB. 20 NET CHANGE 21 + SEASONAL 22 "' TIME DEPOSITS, SAOR MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5.834 l l lb 17 18 l9 22 uECt:MBl:R 1976 MONEY STOCK RELATIONS HIP RELATION OF F/F MONEY STOC� DATA TO DAILY AVERAGE SERIES HONEY STOCK RELATIONSHIP 89 --------------------------------------------------------------------------------------------------------------------------------------YEAR-TOTAL FL_()WS, 1966-75 1966 1967 YE AR-TOl.A L HOWS, l 96o-7S 191>8 1969 1970 1. 1971 1972 1973 1974 1975 TOTAL HONEY STOCK l 2 3 18.168 17.872 296 55.486 47.712 1. 776 64.440 60.508 3.932 29.036 26.512 2.524 38.648 43.864 -5.216 56.884 58.456 -1.572. 97. 532 88.792 8.740 72.600 62-152 10.448 46.552 51.756 -5.204 53.200 48.484 4.716 NET CHANGES, S.A. QTRLY RATE: F/F DEMAND DEP. + CURRENCY DAILY AVERAGE I DAM�I TOTAL DIFFERENCE 2. 3 4 5 6 7 74 16 17 41 1.944 63 1.854 27 983 178 773 32 631 -605 1.2.36 0 -1.304 262 -1.382 -184 -393 -359 92 -126 2.185 787 1. 317 81 2.612 53 2.474 85 -1.301 lH -1.425 -18 1.179 -518 1.683 14 TOT.AL DIFF. AT QUARHRLY RAH ARISING FROM--DATA CIFF. TIHlt.G Olff. SEASONALS 4 5 6 7 -------------------------- DEMAND DEPOSITS --------------------------------------------------------11. 1 2.527 2.475 52 11.856 9.831 2.025 13.591 12.104 1.487 4.493 4.021 472 6-214 7.963 -1.749 10.87 1 11.119 -248 19.971 17.878 2.093 14.209 10.869 3.340 5.344 6.571 -1.227 7.094 6.143 951 NET CHANGE, S.A. QTRLY RATE: F /F DAMS DIFHRENCE 1 2 3 4 5 6 52 16 3o 2.023 63 1.960 1.486 178 1.308 469 -605 1.074 -1.572 262 -1.834 -105 -359 2.'>4 2.092 1.305 181 3.341 53 3.288 -1-209 142 -1.351 955 --518 1.473 DIFFERENCE IN UNADJUSTED DATA DIFFERENCE: TIMING DIFFERENCE 4 5 6 10 0 0 0 0 2 0 0 2 1 0 0 1 3 0 0 3 -177 0 0 -177 -143 0 0 -143 1 0 0 l -1 0 0 -1 -18 0 0 -18 -4 0 0 -4 DIFFERENCE IN SEASONALS FLOWS VS. LEVELS ONE-DAY VS. DAILY AVERAGE SEASONAL BALANCE ADJUSTMENT 7 II 9 10 III • CURRENCY l 2. 3 2..015 1.993 22 2.016 2.097 -81 ,t.519 3.023 -504 2.766 2..607 159 3.448 3.003 445 3.350 3.495 -145 4.412 4.320 92 3.941 4.669 -728 6.294 6.368 -74 6.206 5.978 228 4 -19 -106 -535 162 452 -162 12 -814 -74 210 6 7 8 41 34 0 1 25 32 0 31 43 0 -12 -3 39 0 -42 -1 26 0 -33 17 59 0 -42 80 80 0 0 86 86 0 0 0 0 0 0 18 18 0 0 -7 NET CHANGE, S.A. QTRLY RATE: F/F DAMS DIFFERENCE --------------------------------------------------------------- l 2 3 TIMING DIFFERENCE 4 DIFFERENCE IN SEASONALS FLOWS VS. LEVELS ONE-DAY VS. DAILY AVG. SEASONAL BALANCE ADJ. 5 o 7 8 Iv. DERIVATION OF F/F BANK DEPOSITS 1. OEMANO DEPOSITS H.8 OR CALL DATA: GROSS DEMAND DEPuSITS - CASH ITEMS - DUE TO U.S. COMMERCIAL B ANKS - TREASURY DEPOSITS - F.R. FLOAT + TRANSFERS FROM HIS(. LIAS. = COMMERCIAL-BANK LIABILITY + DEPOSITS AT FGN. BANKING AG. = TOTAL BANKING SECTOR LlAB. 1 2 3 4 5 6 1 8 9 1 l 3 4 5 6 7 8 192.514 28.450 H,-922 4.992 2-510 1.221 143.605 1.844 145.449 211.182 33.905 18.745 5.234 2-483 558 155. 338 1.974 157.312 229.65a 36.081 21.367 5.010 3.482 -525 167.716 3.105 170.821 241.097 40.539 23.383 5.054 3.440 -361 172.318 3.093 175.411 247.881 39.691 26.255 7.938 4.261 1.187 174.560 7.273 181.833 262.749 38.640 28.027 10.169 4.343 -1.092 185.302 7.426 192.72.8 296.952 45.352 28.438 10.875 3.974 -3.337 208.708 4.080 212.794 310.071 44.641 29.843 9.865 3.099 -395 222.623 4.450 227.073 315.796 47.278 35.147 4.807 2.001 0 226.563 5.o49 232.212 323.617 47.251 35.851 3.114 3.688 0 233.713 5.636 239.349 10 11 12 2.32.3 0 2.323 11.863 2 U.865 13.509 l 13.510 4.590 3 4.593 6.422 -177 6.245 10.895 -143 10.752 20.066 1 20.067 14.279 -1 14.278 5.139 -18 5.121 7.137 -4 7-133 NEl CHANGE + SEASONAL NET CHANGE SEAS. ADJUSTMtNT 10 11 12 13 204 -9 81 -100 -31 119 -96 -69 223 -39 6.214 10.871 19.971 14.209 + FOREIGN DEPOSITS AT F.R. TOTAL DEMAND DEPOSIT LIAB., S.A. QUARTERLY RATE I.AS IN PART II ABOVE, LINE 11 14 233.060 l.378 231.682 1.408 233.090 275.197 2.412 272.785 1.668 274�453 319.085 3.495 315.590 1.206 316. 796 371.776 5.858 3 65.918 1.812 367.730 432.107 8-611 423 .•06 1.999 425.495 462.638 9.550 453.088 2-529 455.617 37.965 -11 37.954 41.363 -13 41.350 42.343 0 42.343 50.934 2 S0,- 936 56.999 -3 56.996 30.122 -1 30.121 14 2.527 n.856 13.591 4.493 15 16 l7 18 19 159.773 475 159.298 536 159.834 183.82.6 725 183.101 647 183.748 204.365 697 203.668 801 204.4b9 194.479 380 194.093 1.032 195.125 20 u 22 13.289 1 13.290 23.914 0 23.914 ao.121 0 20.721 7.094 13 2. 1 IME DEPOSITS MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL IN H.8 OR CALL - DUE U.S. COMMERCIAL BANKS TOTAL 0UE N0NBANKS + TIME DEP. Al FGN. BANKING AG = TOTAL BANKING SECTOR LIA8. 15 16 17 18 19 NET CHANGE + SEASONAL = TIME DEPOSITS, SAQR 20 21 22 FINANCIAL ASSETS AND LIABILITIES, December 31, 1975 (Amounts outstanding in billions of dollars) (A) All sectors Private domestic nonfinancial sectors Sector Transaction category Households A 1 2 Total financial assets ...... Z498.t Total liabilities ........... 3 4 5 6 7 Gold 2 ••••••••••••.••••• S.D.R.'s 2.••.••••••••••• I.M.F. position .......... Official foreign exchange ... Treasury currency ........ L ·,;a.a Business A L Financial sectors State and local governments A llzt.l ...... 139.Z 1109.3 · · · · · · Total L A ...... 3!115 .• Zff.3 L Zl3Z.4 .L A !4'1. 7 38.1 .9 Demand dep. and currency. 165.6 Private domestic ....... 165.6 9 U.S. Government ...... 10 Foreign ............... 11 67.4 67.4 14.3 1-1.3 2-17.3 2-17.3 1-t.O Time and savings accounts . 776.2 At commercial banks ... 350.7 At savings institutions ... 425.6 14 22.4 22.4 48.1 -18.1 8-16.7 t21.1 -125.6 20.9 20.9 Life insurance reserves..... 16-t.6 Pension fund reserves ..... 368.6 Interbank claims ......... 18 Corporate equities 3 ••••••• 630.5 15 28 29 Security credit ........... 20 21 22 23 24 25 26 27 Trade credit s .......... ... 31 Taxes payable ............ 32 Miscellaneous ............ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2.2 4.0 40.5 8.7 1817.5 11.2 4.0 13. 7 .4 10.7 283.3 253.4 6.6 13.4 211.1 34.5 11.6 ·22:i:s 13.7 7 .9 283.3 23-1.8 13.-1 7.7 170.5 26.7 6.6 9-1.2 254.3 2.6 795.0 . . . . 197.3.. 21-1. 7 17.8 8.4 107.9 25.6 ·23Cl.5 21.8 II.I 35.7 49.5 160.0 .I 'iif'l 173.11 5.2 IZll.5 A L .3 156.9 . 326.7 58.6 . .9 2-12.5 197.-t 42.2 .9 225.8 :3.1 38.3 54.7 .9 95.3 87.9 6.2 . . . . I.I . . . 15.0 7-15.4 85.4 3-1.5 102.8 8.6 1:35_5 90.:l 27i.0 10.:1 1-1.6 10.5 3.2 3.8 57. I I, 2.2 .I 8.7 A 37.3 -1.9 3-1.7 35.0 -.3 HU 429.0 88-1.6 88-1 .6 -155.6 -155.6 13.0 3.-t -!29.0 -!29.0 -129.0 156.9 164.6 16-1.6 326.7 368.6 368.6 58.6 58.6 20.3. 196.5 -12.2 85-1.7 42.2 33.9 992.-1 120.3 2fi26.7 2626.i -137.3 -r\7.:i 35.3 120.8 120.8 38.0 -1-1.6 2:10.5 230.5 4.5 240.2 32.8 317.2 317.2 480.:l 7.2 80:!.3 803.3 197.:i 197.3 76.1 . 10.5 . 29.9 2i7.0 277.0 18.9 14.4 32.5 80.3 80.3 63.5 17.8 163.0 163.0 10.1 15.0 29.0 29.0 308.9 272.8 .6 . 2.1 12.0 16.0 73.6 -12.0 123.5 370.3 -106.9 7.7 1.2 Floats and discreppancies 290.3 325.0 265.2 300.1 11.2 10.9 1-t.O 14.0 13.5 . 7.7 2. 7 . 1.2 103.6 211.3 16.7 16.i 455.6 455.6 3.9 A 49.7 11.2 2.2 .I 10.6 82.5 i-1.3 7.8 .5 . .3 All sectors 1 lZll.11 ...... IMZ.1 lZlS.11.. . , . 5Zt5.II 10.6 58.6 24.6 6.4 5.3 6.1 lH.7 L A .I 10.6 88.2 446.3 1958.6 268.7 125.7 ll-l.5 437.3 211.6 2.9 7.9 79.2 112.9 .-1 112.9 7.0 1-17.4 248.7 '37.3 :· I.I 70-1.2 7.2 87.5 jj.5 166.-t ... 277.0 40.5 .. 28.7 51.4 3.0 1.6 95.3 19.-1 31.8 .. 67: 1 .3 .. 14.2 m.11. L A Private non bank finance Commercial banking 16.-1 88-1.6 13.0 -155.6 3.4 429.0 .6 .6 77.5 66.5 L A Monetary authority 11.6 17.8 325.0 17.8 300.1 10.9 .. 14.0. 11.2 26.7 70.1 229.6 502.-1 159.2 30.6 34.6 22.3 83.1 -1.4 6.7 25-t.3 . 65.9 85.6 286.8 12.8 30.9 198.2 . 43.1 17.8 . 70.6. 5.8 83-1.4 L A 11.6 "2.3 7. i . 41.9 630.5 3-16.8 753.5 85.5 114.3 J.1.3 3.2 9.1 4.5 74.2 65.9 72.7 508.2 197.3 30.9 16.5 ... 32.6 10.5 31.5 .. 30 For notes see facing page. 2.2 ponsored agencies and mortgage pools Total lZ'l.l lZZ.4 · · · · · · HO'l.l 510.1. ntl.7 .. 164.6 368.6 16 17 Credit market instruments. U.S.Treasury secs. 4 •••• Federal agency secs. & State and local govt.secs. Corp.and fgn.bonds .... Mortgages ............. Consumer credit ....... Bank loans n.e.c........ Pvt.short-term paper .... Other loans ............ Z'll.O 1-1.0 12 13 L A .I 8 19 U.S. Government Rest of the world -36.2 -I.I 36.6 FINANCIAL ASSETS AND LIABILITIES, December 31, 1975-Continued (Amounts outstanding in billions of dollars) (B) Private nonbank financial institutions Transaction category 1 2 Savings and loan assns. Total Sector L A A L Mutual savings banks A lZl.l Total assets ............................... 1281.6 . . . . . . 338.4 ais:s .. Total liabilities ............................ 1215.6 Demand deposits and currency .............. 4 Time and savings accounts .................. 5 At commercial banks ..................... 6 At savings institutions .................... 3 112.6. A L 9 Corporate equities 3 ••••••••••••••••••••••.. 196.5 Security credit ........................ 10.l 7.7 A 148.9 2&fo .. 3.-l 33.0 4.-l 42.2 32.0 1.5 3.5 1.6 25.4 L iu:e A 106.0 L H8.9 . . A I. 7 A L Real estate Open-end investment investment trusts companies A 3.9 .4 6.0 3.2 88.6 25.8 14.3 234.8 4.7 I. 4 4.5 105.5 89.4 51.0 7.9 2.9 78.5 2.2 4.6 2.5 60.9 8.3 5:u 4.7 2.3 34.3 12.2 .2 9.3 46.1 39.0 1 Excess of total assets (line I) over total liabilities (line 2) consists of gold, special drawing rights, and corporate equities not included in liabilities minus total floats and discrepancies on line I in adjacent column. 2 Rest of world total holdings of gold and special drawing rights appear as assets and are included in totals, because in flow tables transactions in these categories are treated as purchases and sales of existing assets without associated liabilities. 3 Assets are shown at market value; nonbank finance liability is redemption value of shares of open-end investment companies. No specific liability is attributed to issuers of stocks other than .7 . . 15.0 37 .5 5.5 L Security brokers and dealers L A 3.6 3.6 A 17.Z L · is: i 1.2 2.1 2.1 33.7 42.2 9-1.5 75.0 13.2 15.5 4.8 2-t.5 2.8 .. A 1.2 30.7 . . 13.2 16.2 28.0 .. 15.0 2.I 42.0 123.5 19.8 L Money market funds 106.0. 28.1 37.8 2.4 L Finance companies 98.4 11.6 4Z.Z 77.4 106.0 .. 58.8 . . . . . 94.3. i5:5 ijj I. 7 1.5 2.-l 2.4 156.9 71.9 . . 992.4 120.3 310.5 26.2 111.2 10 Credit market instruments ............... 4.7 5.4 35.3 11 U.S. Treasury securities 4 •••••••••••• 17.2 6.1 Federal agency securities s ................ 38.0 12 I. l 1.5 13 State and local government securities ....... H.6 17.5 14 Corporate and foreign bonds .............. 240.2 32.8. 7.2 278.7 5.2 i7.2 15 Mortgages .............................. 480.3 1.8 2.8 76.1 16 Consumer credit................... 3.2 29.9 17 Bank loans n.e.c......................... 2.2 18 Private short-term paper .................. 14.4 32.5 5.3 17.8 . 63.5 17.8 . 19 Other loans ........ · · · · · · · · · · · · · · · · · · · • · 21 Trade credit s ............ · · · · · · · · · • · 22 Taxes payable. ............ 23 Miscellaneous . · · · · · · · · · · · · · · · · · · · · · · · L State and local i,;ovt. Other retirement insurance funds companies Private pension funds 1.9 I.7 3.-l 33.0 . 156.9 . . 326.7 . . Life insurance reserves ...................... Pension fund reserves ...................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis A 3'1.0 . . . . . Z79.9 33.0 .. 1.2 .7 16.7 16.4 429.0 7.4 286.0 I. I 109.9 1.1 7.4 13.0 109.9 3.4 429.0 . 286.0 . 7 8 20 L Life insurance companies Credit unions 7.7 .3 58.5 .5 . . 18.7 -1.5 7.3 I.I I.7 1.5 .9 3.6 4.2 2.2 .6 1.4 2.1 4.8 2.0 .. 10.5 . .8 1.5 .5 . 3.6 . . IO. I 15.0 .1 open-end investment companies for amounts outstanding. 4 Includes savings bonds and other nonmarketable debt held by the public. Postal savings system deposits are included in line 32 of Part A, All Sectors. 5 Issues by agencies in the budget (CCC, Export-Import Bank, GNMA, TVA, FHA) and by spon sored credit agencies in Financial sectors. Includes loan participation certificates. 6 Business asset is corporate only. Noncorporate trade credit is deducted in liability total to con form to quarterly flow tables. Dc:C.EMBER 197b CREDIT MARKi:1 DEBT CIUvll MARKET DHT 92 SUMMARY OF CREDIT MAKKl:T DEIIT OIJTSTANJING YEAR-END OIJTSTANOINGS, 1946-55 YtAR-ENO OUTSTANOJNGS, 1946-55 ----------------- ---------------------.----------------- -------------------- -. _______________________________"'"_______ ------------------------------------------------------------1946 1947 194B 1949 1950 195 I 1952 1953 1954 1955 -------------------------------------------------------------------------------------------CREDIT MARKl:T uEBT OWED BY NONFINANCIAL SECTORS l TOTAL CREDIT MARKET DEhT OWED BY NONFINANCIAL SECTORS 350.431 366.263 379.8..0 396. 313 418.841 <o42 .613 473.291 502.512 528.524 56 ....n ... 1,0VERNMENT PUBLIC DEBT SECURITIES AGi:NCY ISSUES + MORTGAGES 228.033 227.928 105 no.802 220.734 68 215.093 214.178 915 217.670 216.666 l.004 2H,-49l 216. 109 382 .216.053 215.808 245 221.418 220.792 62b 228.438 226.185 2.253 B0.836 228.498 2.338 230.029 22b.4l� 1.011 2 3 4 PRIVAH DUMESlIC NONFINA NCIAL SECTORS OE BT CA PIT Al I NS TRUMENT S STATE + LOCAL OBLIGATIONS CORPORATE BONDS MORTGAGES HOME MORTGAGES MULTI-FAMILY RESIO. COMMERC.IAL FARM 114.488 81.150 14.886 24.417 41.&47 22.925 5.270 a.755 4.897 133.092 92.430 16.298 lb4.533 117.859 21.049 34.210 62.600 37.3"6 7-629 11.846 5.579 189.772 132.808 24.381 35.734 72.693 44.854 9.301 12.467 6.071 212.109 147. 597 20.559 38.929 82.109 51.350 10 .642 13.466 6.651 237.015 164.952 30.243 43.614 91 .095 58.008 11.48 1 14.:no 7-236 258.0bd 182.427 34.512 46.970 lG0.945 65.552 12.1a 15.535 7.737 281.304 20 ...122 40.594 50.44'i 113�079 74.888 12. 665 17.280 i,.246 317. 811 2211.333 4 5.870 53 • .:bb 12 c;.177 87.337 13.490 19. 32tl 9.022 5 48.925 28.010 5.787 10.064 5.064 151.238 106.038 18.467 31.407 56.164 33.0't8 6.662 11.lbb 5.288 33.338 lo.580 8.384 328 8.046 40.662 20.362 ll.598 359 8.343 45.200 21.385 14.449 356 9.010 4b.b74 19.579 1 7.364 37b 9.355 56.964 24.800 21.471 482 10.211 64.512 29.77b 22.112 582 11.442 72.0b3 31.300 27.520 666 12 .577 75.b41 30.45b 31.393 77& 13.014 77.182 30.460 32.464 1.133 13.125 89.478 35.737 38.830 b94 14.217 14 15 lb 2. u.s. 3 4 5 6 7 8 9 10 11 12 13 14 15 lb l7 18 OTHER DEBT INSTRUMENTS BANK LOANS N.e.c. CONSUMER CREDIT OPEN-MARKET PAPER OTHER 21.201 b 7 8 9 1(1 11 12 13 l7 Ill 19 20 21 BY BORROWING Si:CTOR: STATE + LOCAL GOVERNMt:.NTS HOUSEHOLDS 114.488 15.370 34.424 133.092 lo.801 42.745 151.238 19.040 51.135 164.533 21. 537 59. 311 189.772 24.936 71.462 212.109 27.375 80.445 237.015 31.381 92.761 258.0b8 35.286 105.134 281.304 41.033 lib.bib 317. 1111 4c,. 321 l35.83L 19 20 21 L2 23 24 25 NONFJNANClAL B U�lN ESS FARM NONFARM NONCORPORATE CORPORATE 64.694 b.956 8.394 49.344 73.546 7.424 9.599 56.523 81.063 8.082 10.394 b2.587 83.685 8.474 10.913 64.298 93.374 9.532 12.910 70.932 104.289 10.819 14.167 7r,. 303 112.873 11.609 15.054 86.210 ll7.b48 11.509 15.672 90.467 123.655 12.2111 16.292 95.082 135.656 13. 723 lti. 28 7 103.648 22 23 2'> 25 26 27 28 29 30 FOREIGN C.RFOIT MARKET DEBT OWED TO U.S. BONDS BANK LOANS N .E.C. OPEN-MARKET PAP EK U.S. GOVERNMENT LOANS 7.910 2.891 b67 36 4.316 12-369 2.945 927 74 8.423 13.509 2.888 1.021 69 9.531 14.110 3-158 850 58 10.044 12.578 1.692 634 119 10.133 14 • 451 3.355 633 177 10.286 14.858 3.216 783 157 10.702 16.006 3.102 677 197 12.030 lb. 384 3.258 l.032 271 11.823 16.533 3.04.2 lo 39b 310 11.785 ,7 28 29 30 ---------------- lb --------------- CREDIT MARKfl DEBT OWED BY FINANCIAL SECTORS TOTAL CREDIT MARKET DEBT OWED BY FINANCIAL SECTORS 2.804 3.733 5.160 5.936 8.156 8.943 10.373 12.046 12.lb3 l 7.'t54 U.S. GOVT.- RELATED SPONSORED CR. AG. SEC. MORTGAGE POOL SECURIT IES LOANS FROM U.S. GOVERNMENT l.168 l. lb8 0 0 1.284 l.281t 0 0 1.563 1 .559 4 0 1.454 1.447 l 0 1.860 1.828 32 0 2.098 2.055 43 0 2.155 2.102 53 0 2.159 2-099 60 0 2.142 2.064 78 0 3.187 3.005 116 6b 2 3 PRIVATE FINANCIAL SECTORS CORPORATE BONDS MORTGAGES BANK LOANS N.E.C. OPEN-MARKET PAPER + RP1S LOANS FROM FHLB1S 1.C>36 356 109 663 207 301 2.449 548 189 951 329 432 3.597 973 231 1.376 508 509 4.482 1.355 275 1. 749 67b 427 6.296 1.735 3 21 2.716 714 810 6.845 2.023 368 2.479 1.064 911 8.218 2.280 500 3.156 1.418 864 9.887 3.681 550 3.061 1.643 952 10.021 3.b04 789 3.270 1.491 867 14-267 4. 528 912 5.631 1. 779 l.417 b 12 TOTAL, bY SECT OR 13 SPONSORED CREDIT AGENtIES 14 IORTGAGE POOLS 2.804 1-.168 0 3.733 1.284 0 5.160 1.559 4 5.936 1.447 8.156 1.828 32 8.943 2.055 43 10.373 2.102 53 12.046 2-099 60 12.163 2.061t 17.451t 3.071 116 15 16 l.b3b 0 0 2 528 1.106 0 0 2.449 0 0 9 737 1.703 0 0 3.597 0 0 9 830 2.758 0 0 4.482 0 0 lit 777 3.691 0 0 6.296 0 0 19 1.222 5.055 0 0 6.845 0 0 19 1.374 5.452 0 0 8.21B 0 0 17 1.453 6.748 0 0 9.887 0 0 10.021 0 0 20 1.751 8.250 0 0 14.267 40 0 20 2.476 11.731 0 0 2 3 4 5 6 7 8 9 10 11 17 18 19 20 21 22 PRIVATE FINANCIAL SECT!JltS COMMERCI AL BANKS BANK AFF IL JATES FOREIGN BANKING AGENCIES SAVINGS + LOAN ASSNS. FINANCE COMPANIES REJTS MONEY MKT. FUNDS --------------------- 1 17 1.584 8.286 0 0 l8 4 5 7 6 9 10 11 u 13 14 15 lb 17 16 19 20 d 22 TOTAL C.REDIT MARIi.ET DEBT OUTSTANDING, ALL SECTORS, BY TYPE l TOTAL CREDIT MARKET DEBT U.S. GOVERNMENT SECURITIES 2 3 STATE + LOC.AL OBLIGATIONS 4 CORPORATE + FOREIGN BONDS 5 "llRTGAGES 353. 235 229.201 14.886 27.661t 41.956 369.996 222.086 16.298 30.700 49.114 385.000 216.t,56 18.467 35.268 56.395 402.21t9 219.124 21.049 38.723 t,2.875 426.997 218.351 24.381 39.161 73.014 451.556 218.151 26.559 44.307 82.477 483.664 223.573 30.243 lt9.110 91 .595 514.558 230.597 3'".512 53.753 101.495 540.687 232.978 lt0.594 57.311 ll3.8b8 581.827 233.150 lt 5.870 60.856 130.089 8.381t 17.910 571 12.663 11.598 22.21to 762 17.198 llt.ltlt9 23.782 933 19.050 l l.36"- 22.178 1.110 19.826 21.471 28.150 1.315 21.lS't 22.712 32.888 1.823 22.639 27.520 35.239 2-241 24.143 31.393 34.194 2.618 25.996 32.464 31t.7t,2 2.895 25.815 38.830 42.76't 2.783 27.485 SELECTED C.LAIMS NOT INCLUDED ABOVE: SECURITY CREDIT4.593 TRADE CREDIT 21.258 INVESTMENT C°'4PANY SHARES 12 1.297 OTHER CORPORATE EQUITIES 13 109. 703 3.440 24.785 1.412 107.-588 3.639 27.629 1.515 106.485 .,..433 27.689 3.070 116.930 5.511 37.450 3.344 1"-2-656 5.109 lt0.269 3.481 166.519 5.661 "-2-087 3.931 182.069 6.513 "-l-839 4.146 174.859 8.647 41,.021 6.109 251.892 9.628 5b."-l9 l.838 309.174 6 7 8 9 CONSUMER CREDIT BANK LOANS N.E.c. OPEN-MARKET PAPER + RP1S OTHER LOA�S 10 11 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 5 10 11 12 13 DECEMBER 1976 CREDIT MARKET DEBT CREDIT MARKET OE8T 93 SUMMARY OF CREDIT M ARKET DEBT OUTSTANDING -----------------------------------------------------------------------------------------------------------YEAR-€ ND OUT ST ANDING S, 1956-65 1956 1957 YEAR-END OllTSlANCiINGS, 1956-65 1958 1960 1961 1962 1963 1964 1<;65 -------------------------------------------------------------------CREDIT MARKET DEBT OWED BY NONFINANCIAL SECTORS 591.736 619.891 659.722 110.112 747.454 792.766 847.615 907.098 975.564 1047.439 TOTAL CREDIT MA�KEl DEBT OWED BY NONFINANCIAL SECTORS 2 3 4 224.213 222.857 1.356 221.958 220.18 3 1.775 231.258 229. 128 2.130 238.335 236.539 1.796 23c.274 234.334 1.940 243.475 241.006 2.4 6 9 250.468 247.196 3.272 254.441 251.278 3.163 260.670 256.622 4.048 262.434 257.919 4. 515 U.S. GOVEKNMENT PUBLIC D EBT SECURITIES AGENCY ISSUES + MORlGAGES 5 b 7 8 9 10 11 12 13 350.236 250.124 14.064 21.749 9.835 379.273 272.785 53.708 63.217 155.860 106.761 14.515 24.187 10. 397 407.924 298.910 59.206 68.901 170.803 116.526 16.033 27.135 11.109 450.702 327.064 65.486 71.856 189.722 129.561 17.853 30.201 12.101 488.106 352.587 70.766 n,.312 206.509 140.754 19.534 33.383 12 .838 523.9 0 4 382.417 75.851 79.952 226.614 153.183 22.l 't8 37.366 13.917 569.202 415.348 81.209 84.501 24 9. 638 167.303 24.998 42.144 15.193 621,583 451.493 86.932 88.414 276.147 183,868 28,228 47 .229 16.822 678.853 489.208 92.933 '12.408 303.867 201.119 32.752 51.054 18.942 746.133 52',,.3tj3 100.278 97. 600 331.305 218.281 36.368 55.'469 2 l. 187 PRIVATE DOMESTIC NONFJNANCIAL SECTORS DEBT CAPITAL INSTRUMENTS STATE + LOCAL OBLIGATIONS CORPORA 1E BONDS MORTGAGES HOME MORTGAGl::S MULTI-FAMILY RESID. COMMERCIAL FARM 14 15 lb 17 18 100.112 41.831 42.334 BbB 15.079 106.48 8 43.576 44.971 1.041 16.900 109.014 44.591 45. 129 1.240 18.054 123.638 50.449 51.544 908 20.737 135.519 141.487 55.96b 53.820 56.141 57.98 2 1.98 9 1.603 23.955 · 25.550 153.854 60.264 63.821 2.096 27.673 170.090 65.931 71.73<; l .t>33 30.787 l69.b45 73.088 80.268 1.889 34.400 216.150 86. t:56 89.883 1.688 38. 523 19 20 21 350.236 49.980 151.948 379.273 54.378 164.858 407.924 60 .056 176. 878 450.702 66.521 198.247 ..SB .106 72.006 216.729 523,904 77,317 233.677 5t:9.202 83.179 255.466 621.583 89,135 282,21b 678.853 '15.397 311.433 740.133 103.055 341.615 BY SORROWING SECTOR: STATE + LOCAL GOVERNMENTS HOUSEHOLDS 19 20 21 22 23 24 25 148.308 14.581 19 .459 114.268 160.037 15.638 20.386 124.013 170.<;90 11.002 21. 651 132.337 185.934 18 .93't 24.164 142.836 199.371 19.965 25.960 153.446 212,910 21.5 5 8 27.895 163,457 230.5�7 23.856 31.162 175.539 250.232 26.406 35.585 188.241 272,023 29.009 41.048 201.966 301, 463 32.311 46.168 222.364 NONFINANCIAL BUSINESS FARM NONFARM NONCORPORAlE CORPORAlE 22 23 24 25 26 27 ,B 29 30 17 .287 3.260 l.751 477 11.799 18.660 3.715 2.104 68 8 12.153 20.540 4.526 2.630 612 12.772 21.075 4.854 2.853 558 12.810 23.074 5.624 2.994 1.193 13.263 25.3 87 6.15 5 3.690 1.78 8 13.754 27.945 7.154 4.114 1.752 14.925 31.074 8.154 4.725 2.225 15.970 36.041 9.196 6.676 2.621 17.548 38.872 10.165 7.178 2. 5Gl 19.026 FOREIGN CREDIT MARKET DEBT OWED 10 U.S. BONDS BANK LOANS N,E.C. OPEN-MARKET PAPER U.S. G�VERNMENT LOANS 26 27 28 ,9 30 49.461 56.901 143.762 98.114 ------------------------------------------------------- OTHER DEBT INSTRUMENTS BANK LOANS N .E.C. CONSUMER CREDll UPEN-MAkKET PAPER OTHER 2 3 4 6 7 8 ., 10 11 1£ 13 14 15 lt> 17 16. CREDIT MARKET DEBT OWED BY FIN ANCIAL SECTORS 18.707 21.010 20. 831 26.995 30.241 32.603 37.767 45.170 50.78.. 59.762 TOTAL CkEDil MARKET DEBT OWED BY FINANCIAL SECTORS 2 3 4 5 3.958 3.448 149 361 5.102 4.848 173 Bl 5.175 4.925 190 60 7.463 7.120 204 139 8.099 7.860 202 37 B.868 8,474 290 104 10.490 9.988 413 89 12.049 11.524 525 0 12.692 11.937 624 131 15.051 13.846 869 336 U.S. GOVl.-RELATED SPONSORED CR. AG. SEC. MORTGAGE POOL SECURITIES LOANS F ROM U.S. GOVERNMENT 2 3 4 S 6 7 8 9 10 11 14.749 5.609 887 5.135 1.890 1.220 15.968 6.354 856 5.151 2.342 1.265 15.b56 6.556 1.161 4.452 2 .189 l • 298 19.532 7.733 1.293 5.485 2.887 2.134 2 2 .142 9.112 1.186 6.132 3.731 1.981 23.735 9,262 l.55 0 6.6 6 9 3.592 2.662 27.277 9.222 1.999 7.775 4.802 3.479 33.121 10.530 2.528 9.457 5.822 4.784 38.092 12.834 2.239 10.041 7.653 5.325 44. 711 15.051 2.198 12.369 9.096 5.997 PRIVATE FINANCIAL SECTORS CORPORATE BDNOS MORTGAGES BANK LOANS N.E.C, OPEN-+IARKEl PAPER + RP'S LOANS FROM FHLB1S 6 7 6 c;, 10 11 12 13 14 18.707 3 .809 149 21.070 4.929 173 20. 831 4.985 190 26.995 7.259 204 30.241 7.897 202 32.603 8.578 290 37.767 10.077 413 45.170 11.524 525 50.784 12.068 624 59.762 14.182 869 15 16 17 18 19 20 21 14.749 18 0 25 2.237 12.469 0 0 15 .968 18 0 38 2.237 13.675 0 0 15 .656 0 0 46 2.b06 13.004 0 0 19.532 0 0 44 3.680 15.808 0 0 22.142 3 0 15 3.385 18.739 0 0 23.735 0 0 26 4.408 19.3 01 0 0 27.277 0 0 11 5.632 21.63/t 0 0 33.121 233 0 40 7.556 25.292 0 0 38.092 1.109 0 44.711 2.183 0 79 6.654 33. 795 0 0 PRIVATE FINANCIAL SECTORS COMMERCIAL BANKS SANK AFFILIATES FOREIGN BANKING AGENCIES SAVINGS + LOAN ASSNS. FINANCE COMPANIES REITS MONEY MKl. FUNDS 15 16 17 lb 19 �O 21 22 952.268 1026.31t8 1107.201 264.694 271.405 275.304 86.932 92.933 100.278 107.098 lllt.438 123.016 2 80.471 307.932 335.346 TOTAL CREDIT MARKET DEBT U.S. GOVERNMENT SECURITIES STATE + LOCAL OBLIGATIONS CORPORATE + FOREIGN BONDS MORTGAGES 2 3 89.883 106.203 13.285 63.884 CONSUMER CREDil BANK LOANS N.E.C. OPEN-MARKET PAPER + RP'S OTHER LOANS 6 7 8 <; SELECTED 17.c;Slt 114.25S 35.220 713.746 CLAIMS NOT INCLUDED ABOVE: 22 89 7.849 29.045 0 0 TOTAL, 6Y SECTOR SPONSORED CREDll AGENCIE S MORTGAGE POOLS ----------------------------------------------- U. 13 14 TOTAL CREDIT MARKET DEBT OUTSTANDING, All SECTORS, BY TYPE l 2 3 4 5 610.443 227.810 49.461 65.770 144.649 640.961 226.883 53.708 73.286 156.812 680. 553 235. 841 59.206 79.983 172.496 737.107 244.812 65.486 84.443 191.8 62 777.695 243.084 70.766 90.048 208.947 825.369 250.765 75.851 95.3 6 9 229.638 885.382 259.135 81.209 100.877 253.371 6 7 8 9 42.334 48.717 3.235 28.467 44.971 50.831 4.071 30.399 45.129 51.673 4.041 32.184 51.544 58.787 4.353 35.820 56.141 62.946 6.527 39.236 57.982 66.32 5 7.369 42.07 0 63.821 72.153 8.650 46.166 71.739 80.113 9.680 51.541 80.268 89.805 12.163 57.404 10 11 12 13 8 .991 61.231 9.046 328.948 8.712 64.184 B.714 290.289 10.447 68.312 13.241 404.736 10.510 74.612 15.818 438.170 10.864 79.204 17.026 433.972 13.113 82.437 22.875 551.121 13.911 87.243 21.211 484.414 16.414 94.021 25.214 571.807 16.830 101.277 29.llb 632.970 ----------------------- 11DNEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SECURITY CREDll TRADE CREDIT INVESTMENT COMPANY SHARES OTHER CORPORATE EOUJTIES .. 5 10 11 12 13 Dt:CEMBE.R 197b lREDIT MARKET DEB T 94 CRiDIT MARKET D�&T SU MMARY OF CREDIT MAR�tT DEBT OUTSTANDING YEAR-END OUTSTANDINGS. l9bb-75 _ YlAR-tND_Ou1STANOlN'.::l:_19o b-75 _ _ _ ________ ______ _______ _____________________ ________________ __ _ _____ l9bb 1906 1967 l9b9 1970 1971 1972 1973 1974 19_75 CRtOIT MARKET DEBT OWED BY NONFINANCIAL SECTORS l TOTAL CREDIT MARKET DEBT OWED BY NONFINANClAL ScCluRS 2 U.S. GOVERNMENT 3 PUBLlC llEBT �ECU RJTIES 4 AG ENCY ISSUES+ MO,HGAC.ES 5 6 7 8 9 10 11 12 13 14 1; lb 17 lo PRIVATE DOMESTIC NO\IFINANCJAL SECTORS DEBT CAPITAL INSTKUMENTS STATt + LOCAL OBLIGATIONS CORPORATt BONDS MORTGAGES hOME MORTGAGES MULTI-FAMILY RESJO. COMMERCIAL FARM OTHER DEBT INSTRUM�NTS BANK LOANS N.E.C. CONSUME!( CREOIT OPEN-MARK�T PAP�R OTHER 1114.039 1194.330 1292.036 13BO.oa8 1477.176 1616.632 1783.552 1973.470 215t.020 2357.994 340. 779 331.524 9.255 349.051 33 9.431 9.620 't4b. 254 <,37. 306 b�94!1 266.063 200.255 5.806 279.063 2o9.lt>3 9.<;00 292.631 £79.637 12.994 808.076 509.302 105.925 1011.024 ;)55.353 231.649 39.492 61.lbO 23.052 872.424 bl5.2&1 113.703 ll2.b82 378.896 244.9 ..8 4;).095 05.836 25.011 954.09b 1044 • .221 1124.417 lc!.33.98 7 1380.5ub 1555.975 1713.5H 1817.525 bb7.018 719.475 779.702 8bb.515 969.300 1075.962 1176.815 J.27',.8b& 123.219 133.145 144.370 lbl.881 177.282 193.598 213.219 .:.30.500 135.575 147.550 lb7.30b 18b.ll3 198.300 207.459 227.129 254.333 408.224 'o38. 780 'tt>8.02b 518.521 593.718 674.905 73b.4b7 795.035 lb2.ll4 280.241 294.020 323.231 365.782 412.216 44b.b93 4t!7.41 l 98.bt!8 91.U:O 80.749 b8.088 98.145 58.410 5l.4ol 4b. 531 85.170 ',14.995 111.429 130.31b 145.323 157.380 78.01;3 72.402 !>l.550 35.758 32.20 7 4l.l53 l9. 826 28.995 27.177 4b.3Clb 238. 11.. 97.525 9o.239 2.685 <,2.325 257.143 107.131 100.7&3 4.338 44.8'H 287.078 120.882 110.770 5.823 49.o03 537.657 ,\_4.720 197.270 11.110 107.091 14 l!, lb 17 lb 19 2lt 288.967 278.358 10.609 32 ... 7..b 130.452 121.14b 1.038 5c,. 510 300.818 291.242 9.576 �44.775 143.036 ll6 .9<;7 10.223 b4. 51Q 3.25.565 317.262 8.303 307.472 150.073 l38.b40 9.6bb b8.893 411.20b 167.8H 157.247 10.b40 75.428 .. ac..013 202 .655 178.964 B.118 85.21b 3ol.O'o8 351.458 9.5',IC 530.12 .. 229.229 188.7'o0 19.94i 98.814 e 9 10 11 12 13 19 20 2l BY B ORROWING StCTOR: STATE + LOCAL C.OVERNMlNTS HOUSEHOLDS 808.076 109.329 .!64.126 872.424 117.282 386.341 954.090 1044.221 1124.477 123;).987 1380.506 1555.975 1713.539 1817.525 127.212 l37.Bb4 149.186 166.97b 182.174 196.084 214.733 229.003 ,.18.6b6 452.397 477.727 520.387 585.280 658.914 703.907 753.510 22 23 2.. 25 NONFlNANCIAL BUSINESS F-ARM NONFARM NONCORPORATl CORPORAT� 334.621 35.50<, 52.475 24b.b42 308.001 3&.815 5o.8b9 273.117 408.218 4l.5b5 bt. • ..:00 304.453 453.940 44. 617 b9.b16 339.641 'o97.5o4 46.922 75.323 375.31"1 546.624 51 .39(; 85.b7b 409. 558 013.052 57.218 98.783 457.05 l 700.977 67.208 111.801 521. 968 "N4 .&99 75.079 118.554 001.200 834-41'. 84.483 119.864 b30.065 22 23 2<, 25 i.o 27 28 29 30 �OREIGN CREDIT MARKET DEBT OWED TO U.S. BONDS BANK LOANS N.E.C. OPEN-MARKET PAPER U.S. GOVERNMENT LOANS 39.900 10.5'o3 7.053 2.540 19.7b4 42.849 10.779 b.787 3.013 22.210 45.309 11.702 o.323 2.854 2'o.430 47. 500 11.718 o.08b 3.lb9 2b.52 7 51.881 14.3<;7 5.749 3.968 27.767 57.08(1 15.904 7.314 4.270 29.59<. b2.2b7 17.095 10.201 3.220 31.685 bb.444 11.7bb 13.102 4.156 33.420 81.433 19.552 17.796 11.n1 32.8 ..8 <;4.215 25.577 2 1.786 11.u2 35.720 lb ,7 2& 29 30 CRtDIT MARKET DEBT OWtD bY FINANCIAL SECTORS ,d ------------------ TOTAL CREDIT MARKET DEBT ilWED BY FINANCIAL SECTOR� 68.102 b7.0l5 77.713 107.145 118.141> 13l.bb4 158.303 213.518 255.059 2011.719 U.S. GOVT.-RELATED SPONSORED CR. AG. SEC. MORTGAGE POOL SECURITIE� LOANS F ROM U.S. GOVERNMENT 20.321 18.904 1.314 103 20.37't 18.350 1.988 3b 24.388 21.579 2-526 283 :H.849 30.o.,5 .3.204 0 43.634 38.879 4.755 49.547 40.021 9.52b C, 57.946 43.542 14.404 77.A77 59.837 18.0..0 100.933 7t>.439 23-799 695 114.4"18 78. 711 l 34.138 1.559 PRIVATE FINANCIAL SECTOkS C ORPORATE BONDS MORTGAGES BANK LOANS N.E.C. OPEN-MARKET PAPER+ RP'S LOANS FROM FHLB'S 47.781 15.275 1.210 11.334 12.967 o.935 46.641 15.954 2.257 9.323 14.7 21 4.38b 53.325 lo.400 2.049 10.853 18.lb4 5.259 73.296 11.220 2.885 12.814! 31.084 9.289 74.512 19. 902 3.624 12.791 21. 580 10.t,15 .;2.111 23.668 5.709 lb.32 8 28.476 7.93b 100.357 28 .80 1 7-369 23.348 32.860 7.979 135.641 32-315 6.147 37.337 44.695 15-147 154.126 3 ...413 4.893 44.42b 4&.590 21.804 154.2:.1 37.311 1.202 ..0.480 51.403 l 1.9,.5 10 JI 12 TOTAL, BY SECTOR SPONSORED CREDIT AGENCIES 13 14 MORTGAGE POOLS 08.102 19.007 1.314 67.015 18.38b 1.988 77.713 21.862 2.526 107.145 30.645 3.204 118.14b 38. 879 4.755 Ul.bb4 40. 021 9.521> 158.303 43.542 14.404 213-518 59.637 18.040 255.059 77 o 134 23.799 2o8.7l 9 80.3<,0 34.136 IZ u 14 15 lb 17 lb 19 20 21 22 47.781 2.038 4b.b4l 2.033 134 8.737 36.272 lOo 7.035 3b.8b7 0 53.325 3.461 0 191 8.167 40.740 7bb 0 73-296 5.877 4.294 349 12.211 49.025 1.480 74.512 3.777 2.349 429 14. llb 51.bb2 2.l79 82.117 5.587 1.973 2.010 14.050 54.326 4.111 100.357 9.234 2.037 2.914 lb.010 b0.802 8.760 135.641 lo. 139 4.881 7.998 22.035 70.238 14.350 154.126 14.051 &.::>32 10.870 28.320 74.354 15.820 2.379 154.241 . 14.722 8.b54 10. 53:'l 26-217 75.011 15.45', 3.b45 I� 16 17 lb 1'1 iO .:1 2t: l b 7 8 9 10 11 PRIVATE FINANCIAL SECTORS COMMERCIAL BANKS BANK AFFILIATES FOREIGN BANKING AGENCIES �AVIN4.S + LOAN ASSNS. F INANCE COMPANIES REITS MONEY MKT. FUNDS 0 0 0 0 0 2. .. 3 5 6 7 8 <; ------------------------------------------------------------------------------------------------------------------------0 0 0 0 0 0 0 0 TOTAL CREDIT MARKET OEBT OUTSTANDING, ALL SECTORS, BY TYPE l TOTAL CREDIT MARKET DEBT u.·s. GOVERNMENT SECURITIES 2 3 STATE + LOCAL OBLIGATIONS 4 CORPORATE + FOREIGN BONDS 5 MORTGAGES b 7 e 9 10 11 12 13 1182.141 l2bl.351 1369.749 1487.833 1595.322 1748.29b 1941.855 2186.988 2411.079 2626.713 284.498 297.681 315.082 321-243 342.954 373.686 397.385 425.659 460.124 558.099 105.925 113.703 123.219 133.145 144.370 lbl.881 177.282 193.598 213.219 230.500 133.842 149.415 lo3.o77 176.494 201.005 225.685 244.196 257.540 281.094 317.221 358.40b 382.873 412.527 443.238 473.148 525.656 602.427 682.321 742.522 803.311 138.640 173.715 42.bl2 l0b.'t2l 96.239 115.912 18.192 69.127 100.783 123.241 22.072 71.583 110.770 138.058 26.841 79.575 121.146 155.350 41.891 95.326 126.997 lbl.576 41.771 102.901 157-247 201.500 4b.72b 115.092 178.964 253.0<,4 bl.9b9 133.843 188.740 291.451 79.708 1!>4.lbl 197.27b 276.986 80.305 163.015 SELECTED CLAIMS NOT INCLUDED ABOVE: SEC.URITY CRE on 18. U.9 124.893 TR ADE CR EDIT INV�STMENT COMPANY SHARES 34.829 647.824 OTHER CORPORATE E.QUJTI ES 25.752 133.925 44.701 823.938 32.334 151.693 52.677 981.352 25.b1b 175.132 48.289 8bb.353 37.391 28.722 24.877 184.655 196.131 213.504 47.618 5b.b94 59.831 859.373 100�-741 1142.237 29.470 239.146 46.519 864.526 24.460 2b2.b4b 34.0bl 608.911 28.98b 272. 757 42.178 812-482 CONSUMER C RE on BANK LOANS N.E.c. uPEN-MARKET PAPER+ RP•S OTHER LOANS ---------------- MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 10 11 1, 13 DE CEMBER 1976 CREDIT P.URKE:T SUPPLY OF FUNDS CREOJl MARKEl SUPPLY OF FUNDS 95 DlRE(.T AND INDIRECT SOURCES OF FUNDS TO CREDJT MARKETS YEA R-END OUTSTANOJNGS, 1946-55 ---------·------------------------1947 1<146 1948 1950 1951 1949 -------· -----· ---------------- -----·-YEAR-END -- ---------1952 1953 1954 1�55 DOTSTANDlNGS, 1946-55 TOlAL CREDIT MARKET DEBT CLAIMS AGAINST NONFINANCIAL SECTORS 350.431 366.263 379.840 396.313 41 &.84l 442.613 473.291 502.512 528.524 564.373 2 3 4 5 6 36.056 25.557 672 301 9.52b 38.928 24.045 631 432 13.820 42.006 25.385 718 509 15.394 39.072 21.202 1.204 427 H,.239 43.341 24.213 I.508 810 16.81<:. 48.111 27.216 2.123 911 17.861 51.834 29.245 2. 597 19.128 55.690 31.039 2.954 952 20.745 55.237 30.560 3.038 867 20. 772 57.616 31.579 3.398 1.417 21.222 TOTAL HE:LD U.S. GOVERNMENT SECURITIES RESIDENTIAL MORTGAGES FHLB ADVANCES TO S+L 1 S CTHER LOANS + SECURITIES 7 8 9 10 8.293 2.127 23.498 2.138 12.577 2.322 22.bll 1.418 13.949 2.683 23.524 1.850 15.273 2.654 18.957 2.188 15.97t 3.139 2 c.781 3.445 17. 274 3.56 7 23. 806 3.464 18.816 3.700 24. 732 4.586 20. 785 3.768 25.932 5.205 20.495 4.102 25.066 5.574 21.109 5.156 24.815 6.536 11 l .lb8 1.284 1.563 l .454 1.860 2.0 98 l.155 l.159 2.142 3.18 7 BY AGENCY: U.S. GOVERNMENT GOVT-RELATED AG. + POOLS MCNETARY AUTHORITIES FOREIGN AGENCY DEBT ANO MORTGAGE POOL SECURITIES NOT IN LlNE l ------ BY PUBLIC AGENCIES + FOREIGN 864 -·--------- ;t 3 4 5 6 7 8 9 10 ll PRIVATE OOMESTIC HOLDINGS 12 13 14 15 lb 17 18 315.543 203.t-44 14.886 27.079 27.523 42.860 301 328.619 198.041 H,.298 29.959 33.166 51.63� 432 339.397 1•n.211 18 .467 34.157 38.992 57.210 509 358.695 197.922 21.049 37.191 43.971 59.061 427 377.360 l94.U8 24.381 37.245 52.b47 b 9.762 810 396.600 190.935 26.559 42.095 59. 869 78.058 911 423.bl2 194.328 30.243 46.603 66.692 86.444 864 448.981 199.558 34.51? 49.803 74.719 91.�58 952 475.429 202.418 40.594 53.495 84.515 95.408 867 509.944 201.571 45.870 56.069 97.429 110.424 1.417 TOTAL PRIVATE HOLDINGS U.S. GOVERNMENT SECURITIES STATE + LOCAL OBLIGATIONS CORPORATE + FOREIGN BONDS RESIDENTIAL MORTGAGES OTHER MORTGAGES ♦ LOANS LESS: FHLB ADVANCES 12 13 14 15 lo 17 lb PRIVATE FINANCIAL INTERMEDIATION 19 20 21 22 23 198.383 lll.62"i 26.925 53.728 6.105 208.729 114.848 29.485 58.341 6.055 216.268 113.094 31.737 63.820 7.617 230.964 118.956 34.247 69.103 8.658 248.086 125.479 37.518 75.106" 9.983 263. 683 132.130 40.489 80.836. 10.228 287.221 140. 764 45.443 88.274 12.740 30b.986 144.464 51.238 96.707 14.577 332.220 153.911 57.702 105.213 15.394 356.�52 158.353 65.820 113.b28 19.151 CREDIT MARKET CLAIMS HELD BY PRIVATE FINAN. INSTITUTIONS C�MERCIAL BANKING SAVINGS INSTITUTIONS INSURANCE + PENSION FUNDS OTHER FINANCE 24 25 26 198.383 136.737 1.636 208.729 144.069 2.449 216.268 144.645 3.597 230.964 147.663 4.482 248.086 155.209 b.296 263ob83 lb6.084 6.845 287.221 177.125 8.218 306.986 186.562 9.887 332.220 200.450 10.021 356.952 211.225 14.267 SOURCES OF FUNDS PRIVATE DOMESTIC DEPOSITS CREDIT MARKET OEBl 27 29 30 31 60.010 4.226 2.989 46.615 6.180 62.211 3.828 1.343 50.322 6.718 68.026 4.509 2.338 54.445 6.734 78.819 4.803 3.071 58.488 12.457 86.581 5.415 2.806 63.354 15.006 90.754 5.252 3.359 68.382 13. 761 101.878 5. 778 4.941 74.319 16. 840 110.537 5.858 4.146 80.886 19.647 121.749 6.700 4.172 87.163 23� 714 131.460 6.519 3.709 94.039 27.193 32 33 34 35 36 37 118.796 84.216 8.271 8.487 55 17.767 122.339 85.541 8. 711 7.838 146 20.103 126.726 86.852 9.839 7.545 272 22.218 132.213 89.832 10.876 7.391 406 23.708 135.570 92.862 11.875 4.775 360 25.698 139.762 93.133 12.43 4 6.295 438 27.462 144.609 94.054 14.467 6.117 578 29.393 151.882 97.332 16.671 6.022 965 30.892 153.230 95.005 19.334 5.353 1.061 32.477 167.259 102.387 23.045 5.994 1.211 34.616 CREDIT MARKET CLAIMS U.S. GOVERNMENT SECURITIES STATE + LOCAL OBLIGATIONS CORPORATE + FOREIGN BONDS OPEN-MKT. PAPER 0 ETC. OTHER 32 33 34 35 3b 37 38 39 40 41 42 163.643 58.026 0 32.368 25.658 170.721 61.618 0 33.716 27.902 170.891 64.131 0 34.270 29.861 173.248 66.925 0 34.564 32.361 l&0.776 69.480 0 34.719 34.761 192.593 74.460 0 3b.636 37.824 204.805 82.325 0 39.508 42.817 214.831 90.867 0 42.355 48.512 228.490 100.713 0 45.639 55.074 239.701 109.198 0 47.124 62.074 DEPOSITS + CURRENCY TIME + S AVINGS ACCOUNTS LARGE NEGOTIABLE CD'S OTHER AT COMMERCIAL BANKS AT SAVINGS INSTITUTIONS 38 39 40 41 42 43 44 45 105.617 78.711 26.906 109.103 82.451 26.652 106.760 80.514 26.246 106.323 80.738 25.585 111.29b 85. 729 25.567 118.13 3 91.624 26.509 122.480 94.800 27.680 123.964 95.695 28.269 127.777 99.737 28.040 130.503 102.021 28.476 46 282.439 293.060 297.617 305.461 316.346 332.35 5 349.414 36b.713 381.720 406.960 9.858 64.390 6.991 10.347 65.742 8.860 10.869 66.485 8.716 10.951 67.802 10.364 11.082 68.373 11.063 10.451 69.877 12.274 10.208 69.998 13.055 28 47 48 49 10.289 62.870 6.364 10.628 63.517 5.Z46 11.058 63.721 b.359 OTHER SOURCES FOREIGN FUNDS TREASURY BALANCES INSURANCE + PENSION RES. OTHERo NET PRIVATE DOMESTIC NONFINANCIAL INVESTORS --------- MONEY DEMA� DEPOSITS CURRENCY TOTAL OF CREDIT MARKET INSTRUMENTS, DEPOSITS + CURRENCY 19 ,o :a 2:i. �3 24 25 Lb 27 28 29 30 31 43 44 45 46 47 PUBLIC SUPPORT RATE (l) PVT. FINAN. IN TERMEDIATl O N Ill 48 49 TOTAL FOREIGN FUNDS CORPORATE E QUITIES NOT INCLUDED ABOVE 1 2 3 111.000 1.297 109.703 1oq.ooo '1.412 107.58,8 108.000 1.515 106.485 120.000 3.070 116.930 146.000 3.344 142.656 no.ooo 3.481 166.519 186.000 3.931 182.069 179.005 4.146 174.859 258.001 6.109 251.892 317.012 7.838 309.174 TOTAL MARKET VALUE INVESTMENT COMPANY SHARES OTHER EQUITIES £ 3 ·4 5 4.925 106.075 5.274 103.726 5 •.562 102.438 8.069 111.931 9.417 136.583 10.264 159. 736 11.877 174.123 12.954 166.051 17.753 240.248 24.170 292.842 ACQ. BY FINANCIAL INSTITUTIONS OTHER HOLDINGS 4 5 "ONEY AMOUNTS ARE IN Mlllla-lS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis DECEMBER 1976 CREDIT MARKET SUPPLY OF FUNDS CRED IT MARKE 1 SUPPLY OF FUNDS 96 DIRECT AND INDIRECT SOURCES OF FUNDS TO CREDIT MARKETS YEAR-END OUTS TAND INGS, 1956-6 5 ENO OUTSTANDIN GS� 1956-65 ------------------------ ---YEAR----------- ------19C>4 1 963 1962 1961 1957 1956 1960 1958 1959 --- --------------------------------- -----------------1965 TOTAL CREDIT MARKET DE BT CLAIMS AGAINST NONFINANCIAL SECTORS 907.098 975.5b4 10't7 .'t39 591. 736 619. 891 659.7 22 710 .112 747.454 792. 766 847.615 60.661 32.836 3 .960 1.228 22 .637 62.493 3 2. 25 8 5.156 1.265 23. 814 66.434 34 .560 5 .265 1.298 25 .311 73.820 37.977 7.160 2.134 26.549 78 .033 39 .466 8.162 1.981 28 .424 B2.813 41.333 8.431 2.662 30.387 90.307 44.932 8.489 3. 't 79 33.407 96. 954 104 .846 4 8. 73 6 52 .203 7.25 7 7.105 5 .325 4. 781t 3 6.177 40 .213 21.110 6 .215 25 .010 7.666 22.411 7.538 2 4.309 8. 23 5 23.890 7.874 26.414 8.25 6 2 5. 714 10.112 26.728 11.266 26.780 11 .297 27.466 12 .490 28.452 12.418 28.947 12.996 30.855 14 ol 57 30 .931 14.36't 32.295 15. 82 3 33.78 7 1 5.049 3 .958 5.10 2 5 .1 75 7.463 8.099 8.868 10.490 535.033 194.974 lt9.46l 59.852 108 .218 123. 782 1 .228 562.500 194.625 53. 708 66.515 116.216 13 2. 706 1.265 598 .463 2 01.281 59 .206 72 .972 127 .826 138.494 1.298 643. 755 2.06. 835 65.486 76.176 141.101 15 6.296 2.134 677.520 203 .618 70.766 80.288 153.378 l 71 .lt59 1.981 718. 821 2.09.lt32 75.851 85.469 168.374 182. 372 2.662 378.804 1 63 .7 74 73.125 121.962 19.943 401.781 168.829 so. 341 130.813 21. 79 8 't 34 .880 183.877 89 .391 140 .029 21.583 463.625 188. 700 99.740 149.829 25.356 496.506 197.854 109.258 159.628 29.766 378.804 222 .075 14.749 401.781 233.058 15.968 434 .880 253.216 15.656 463.625 264.689 19. 53 2 141.980 6.961 3 .733 101 .537 29.7'R 152.755 166.008 7.966 6. 991 3. 898 4 .250 109.429 116.660 32.437 37.132 BY PUBLIC AG ENCIES+ FOREIGN 2 TOTAL HELO 3 U.S. GCNER NMENT SECURITIES RESIDENTIAL MORTGAGES 4 FHLB ADVANCES TO S+L 1S 5 6 OTHER L OANS + SECURITIES 7 8 9 10 11 BY AGENCY: U.S • GOiERNMENT GOVT-RELATED AG. + POOLS MONETARY AUTHORITIES FOREIGN AGENC Y DEBT ANO MORTGAGE POOL SEC�ITIES NOT IN LINE 1 113.949 55.936 7.618 5 .99 7 44.398 2 3 4 5 35 .093 16.658 37.168 15 .927 37.926 19.134 40.996 15 .893 7 8 10 12.049 12 .692 15.051 11 7 67. 798 2 14.203 81 • 209 90 .998 185 .5.lit, 199.322 3.479 822..193 215.958 86.932 95.866 206.63 5 221. 61 8 4. 78't 8&3 .410 219.2<:2 92.933 100 .682 228. 592 21t7.356 5 .325 948 .541 21 9.368 100.278 107.281 2't8.87 6 2.78.776 s.991 12. 13 14 15 16 n 18 53 5.203 213.149 121.143 169.623 31.288 583.168 232.209 135 .1 74 180.942 3't.843 632. 782 249.461 152.574 192.'tl 3 38. 334 690 .251 272 .591 168.760 205 .289 43 .611 751,958 301.18 5 183.092 218. 747 48.934 19 20 21 22 496.506 280 .341 22.142 535.203 303.698 23. 735 583.168 333.965 21.2n 632. 782 364.990 33. 12 1 690 .251 399 .512 38. 092 751 .95 8 437.856 44. 711 2, 25 26 17 9.404 7.306 5.050 12 5.266 41.782 194.023 8.484 5.945 133.360 46.234 20 7. 770 9. 779 5.94 6 140. 747 51. 298 221.926 10.303 7.158 149.862 54.603 23 4. 671 11.792 6.54 8 159.244 57.08 7 252.647 14 .5 66 6 .510 170.726 60.845 269.391 15 .329 5.52 5 18 1. 533 67.004 b 9 PRIVATE DOMESTIC HOLDINGS 12 TOTAL PRIVATE HOLDINGS 13 U.S. GOVERNMENT SECU RI TI'ES 14 STATE+ LOCAL OBLIGATION S CORPORATE + FOREIG N BONO S 15 RESIDENTIAL MORTGAGES 16 OTHER MORTGAGES + LOANS 17 18 LESS: FHL8 ADVANCES -------- PRIVATE FINANCIAL IN TERMED IA TIIN 19 20 21 22 23 CREDIT MARKET CLAIMS HELD BY PIUVATE FINAN• INSTITUTIONS COMMERCIAL BANKING SAVINGS INSTITUTIONS IN S�ANCE + PENS ION FUNDS OTHER FINANCE 24 SOJRC ES OF FUNDS PRIVATE DOMESTIC DEPOSITS 25 CREDIT MARKET DEBT 26 27 28 29 30 31 OTHER SOURCES FOREIGN Fl.NOS TREASURY BALANCES INSURANCE+ PENSION RES. OTHER, NET 23 :l.1 2.8 29 30 31 PRIVATE DOMESTIC NONFINANCIAL INVESTORS 32 CREDIT MARKET CLAIMS U.S. GOVERNMENT SECU RITIES 33 STATE + 'LOCAL 08LIGATIONS 34 C OR PORATE + FOREIG N BOND S 35 OPEN-MKT• PAPER, ETC. 36 OTHER 37 170.978 100 .42.6 25.321 6.932 1.348 36 .9 51 176.68 7 100.589 27.25 9 7.85 3 1.59 1 39.395 179.239 97.783 28 .698 8 .970 1.182 42.606 199. 662 111.057 32.695 9. 133 819 45.958 203 .156 1 05.322 35.93 l 9.974 2.572 49.357 207.35 3 104. 072 37. 166 9.943 3.046 53. 126 211.907 105 .499 36.266 9.516 3.796 56.8 30 222. 532 231.251 110.29 3 111.351 38.107 40 .530 9.645 9 .720 4.656 6.587 63.06.3 59.831 241.294 114.688 43.179 10.824 7.339 65 .264 33 3't 3!> 31, 37 38 DEPOSITS+ C�RENCY TIME+ SAVINGS ACCOUNTS 39 LARGE NEGOTIABLE co• s 40 OTHER AT COMMERCIAL BANKS 41 AT SAVINGS INSTITUTl�S 42 250.604 118.694 0 49.468 69.226 261.55 7 131.042 0 55.064 7 5. 978 2 82.160 146 .626 0 62 .085 84.541 294.267 157.399 0 64.846 92.553 309.865 172.401 1.095 69.282 102 .024 333. 929 192.724 3.123 76.554 113.047 3b't.7 86 220.7 61 5 .80'4 88.973 125.984 398.42 3 249.396 9.210 99.153 141. 033 434.5 99 278.301 11.443 110.133 156. 7 25 '475.061 310.949 15.011 126. 142 169.796 38 39 'tO .. 1 42 131 . 910 103.381 28 .529 130 .515 102.016 28.499 l 35 .5 34 106.590 28.944 136.868 107.290 29.578 137. 464 107.940 29.524 141.205 110.974 30.231 144.025 113.204 30.821 149.021 115.594 33.433 156 .298 121.211 35 .087 J6 "· 112 126.907 37.205 45 TOTAL OF CREDIT MARKET INST RUMENTS, DEPOSITS+ CURRENCY 4 21 .582 438.244 461.399 493.929 513.021 541.282 576.693 620.955 665.850 716.355 4b 47 PUBLIC SUPPORT RATE II) 48 PVT . FINAN. INTERMEOIA TION Cl) 49 TOTAL FOREIGN FUNDS 10.2 51 10 .800 14.627 1 0.C081 7 1.427 15.226 10 .069 72.666 16.222 10.395 72.018 18. 572 10 .439 73.282 20 .974 10. 446 74.455 22. 775 10.6 54 15 .953 �-667 l 00688 76.962 26.841 10.747 78.134 30.493 10 .878 79.275, 31.222 .. a 43 44 45 46 MINEY DEMAND DEPOSITS C�RENCY • CORPORATE EQUITIES NOT INCWDED ABOVE 337 .994 9.046 328.948 299.003 417 .977 8.714 13.241 290.289 404.736 453.988 15.818 438.170 450 .998 17.026 433.972 573.996 22.875 551.121 505 .685 21.211 484.414 !/17. (21 25.214 571.807 662.086 29 .116 632.970 74 8. 968 35.220 n 3.748 4 ACQ. BY FINANCIAL IN ST ITUT IONS 5 OTHER HOLD INGS 25 .977 312.017 25.5 71 273.43 2 36.408 381.569 42.688 411.300 46.307 404.691 61.459 512. 537 58 .068 4'47 .617 70.723 526. 298 83.6"'3 578 .443 98.916 650.052 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 't3 44 't7 't9 ------ 1 TOT AL MARKET VALUE INVESTMENT COMPANY SHARES 2 3 OTHER EQUITIES MONEY A MOUNTS ARE IN MILLIONS OF DOLLARS. 32 ,. 5 DECEMBER 1976 CREDIT MARKET SUPPLY OF FUNDS CREDIT MARKEl SUPPLY O F FUNDS ------ YE AR-ENO OUTSTANDINGS, 1966-75 1966 1967 97 DIRECT ANO ll>()IRECT SOURCES OF FUNDS TO CREDIT MARKETS YEAR-ENO uUT ST ANOIIIGS, l9bb-7!> 1968 ------------1969 1970 1 'i7 l 1972 1973 1974 1975 1114.039 1194.336 1292.036 1380.688 1477.176 1610.632 1783.552 1973.470 2156.020 2357.S94 TOTAL CREDIT M ARKET DEBT CLAIMS AGAINST NONFINANCIAL SECTORS -----------------------t:IY PUBLIC AGENCIE S + FOREIGN 2 3 4 5 6 125.928 59.314 10.739 6.935 48.940 137.124 66.175 13.294 4.386 53.869 150 • 114 69.505 16.617 5.259 58.733 lb5. 653 70.024 21.740 9.289 b4.600 195.305 85.127 2 8.268 10.615 71.295 238.308 119.563 35.276 7.936 75.533 259.116 127.159 42.312 7.979 81.666 293.552 13b. 743 50.555 15.147 91 .107 341.320 148.508 65.254 21.804 105.754 380.621 170.995 81.483 17.845 llb.2'il8 7 8 9 10 42.442 24.696 44.509 14.281 47.055 25.277 49.314 16.078 51.951 29.056 52.995 16.112 55.081 38.504 57.218 14.850 57.708 4 9.b33 62.199 25.105 59.918 54.869 71.065 52.45 6 62.391 64.116 71.33b bl.273 65.462 85.533 80.563 bl .99 4 73.059 111.104 86.713 70.444 88.226 125.653 95.250 77.492 11 20.321 20.374 24.388 33.849 43.&34 49.54 7 57.946 77.877 100.933 114.478 TOTAL HELO U.S. GOVERNMENT SE CUR 11 IES RESIDENTIAL MORTGAGES FHLB ADVANCES TO S+L 1 S OTHER LOANS + SECURITIES BY AGENC.Y: U.S. GOVERNMENT GOVT-RELATED AG. + POOLS M�ETARY AUTHORITIES FOREIGN AGENCY OEST AND MORTGAGE POOL SECURITI ES NOT IN LINE l -------------------- 2 3 4 :, b 7 8 't 10 11 PRIVATE DOMESTIC HOLDINGS 12 13 14 15 lb 17 18 1008.432 1076.986 1166. 310 1248.884 1325.505 1427.871 1582.382 1757.795 1915.b33 2085.8!>1 225.184 231.506 245.577 251.219 257.827 254.123 270.226 288.916 311.616 387.104 105.'il25 113. 703 123.21q 133.145 144.370 161.881 177.282 193.598 213.219 230.500 117.310 132.533 146.423 158.857 180.036 199. 742 212 • 643 222 .393 245.642 277 .359 262.185 276.469 293.682 311.535 326.2b0 357.469 405.559 454.050 480.746 50!>.690 304.763 327.161 362.668 403.417 427.627 462.592 524.651 613.985 686.214 703.043 4.386 5.259 9.289 17.845 6.935 21.804 10.615 7.979 15 .147 7.936 TOTAL PRIVATE HOLDINGS U.S. GOVERNMENT SECURITIES STATE + LOCAL OBLIGATIONS CORPORATE • FOREIGN BONDS RESIDENTIAL MORTGAGES OTHER MORTGAGES + LOANS LESS: FHLB ADVANCES --------------------- 12 13 14 15 lb l7 18 PRIVATE FINANCIAL INTERMEDIATION 19 20 21 22 23 797.868 317 .533 191.397 235.415 53 .523 861.343 353.374 206.366 248.422 53.181 937.077 3n.083 221.973 262.250 60.771 994.164 1071.165 1181.042 1330.479 1494.271 u.20.110 1737.720 410.422 445.457 496.009 5M>.501 653.050 717.816 745.370 236.bll 253.969 293.215 340.521 376.520 403.006 453.745 275.584 292.708 306.90 0 324.724 348.557 378.647 417.954 71.547 79.031 84.918 98.733 116.144 120.641 120.651 CREDIT MARKET CLAIMS HELD BY PRIVATE FINAN. INSTITUTIONS COMMERCIAL BANKING SAVINGS INSTITUTIONS INSURANCE • PENSION FUND� OTHER FINANCE 24 25 26 797.868 459.177 47.781 861.343 !>08.876 46.641 937.077 554.743 53.325 994.164 1071.l� 1181.042 1330.479 1494 • .271 1620.110 1737.720 557.180 617.931 707.465 808. 384 894.769 964.178 1054.671 73.296 74.512 82.117 100.357 135.b41 154.126 154.241 SOURCES OF FUNDS PRIVATE DOMESTIC DEPOSITS CREDIT MARKET DEBT 27 28 29 290.910 18.983 4.992 195.672 71.263 30!>.826 21.279 5.234 206.454 72.859 329.009 23.888 5.010 216.8!>1 83.260 363.688 33.528 5.05,4 228.871 96.235 30 31 378.722 25.446 l.938 242.395 102.943 391.460 21.513 10.169 250.193 109.58 5 421.738 26.835 10.875 260.804 123.224 463.861 33.746 9.865 281.973 138 .277 SOl.806 48.273 4.807 312.786 135.940 449.649 170.829 73.122 56.648 40.020 109.030 528.808 47.909 3.114 341.178 136.607 OTHER SOURCES FOREIGN FUNDS TREASURY BALANCES INSURANCE + PENSION RES. OTHER, NET ------------ l.9 20 21 22 23 24 2.:> ,to 27 28 29 30 31 PRIVATE DOMESTIC NONFINANCIAL INVESTORS 502.372 193.827 83.067 65.92 8 43.118 l lb.432 32 33 34 35 36 37 258.345 122.339 4!>.599 11.870 10.1!>2 68.385 262.284 121.234 42.987 15.118 11.938 71.007 282.5!>8 129.8!>5 42.843 19.418 16.095 74.347 328.016 147.310 51.069 25.189 26.147 78.301 328.852 140.176 49.807 35.941 21.046 81.882 328.946 129. 253 50.291 44.508 19.932 84.962 352.260 133.413 53.433 48.417 22.981 94.016 399.165 152 • 791 60.890 49.063 35.462 100.9!>9 38 39 40 41 42 498.390 329.781 14.560 138.248 176.973 550.112 368.455 180494 156.!>10 193.451 598.510 402.053 21.789 173.932 206.332 603.745 399.974 8.136 177.138 214.700 667.977 455.319 22.676 201.253 231.390 760.903 534.!>10 29.084 234.41 4 211.01 2 8b6.234 618.222 36.827 265.002 316.393 956.!>60 1032.263 1128.962 694.437 761.859 846.694 60.705 74.002 55.104 294.!>53 321.461 360.420 344.780 366.396 42!>.569 44 43 45 168.609 129.396 39.213 181.657 140.421 41.236 196.457 152 .690 43.767 203. 771 157.206 46.565 212.658 162.612 50.046 226.393 172.955 53.438 248.012 190.162 57.850 262.123 200.332 61.791 46 7!>6.735 812.396 881.068 931.761 996.829 1089.849 1218.494 13!>5.725 1481.912 1631.334 47 48 49 11.303 79.119 33.264 11.!>31 79.977 37.357 11.618 80.345 4-0.000 11.997 79.604 48.378 13.221 80.811 51.151 14.741 82.713 73.96q 14.528 84.080 88.108 270.404 202.319 68.085 282.268 207.977 74.291 CREDIT MARKET CLAIMS U.S. GOVERNMENT SECURITIES STATE + LOCAL OBLIGATIONS CORPORATE + FOREIGN BONDS OPEN-f'IKT. PAPER, ETC. OTHER 32 33 34 3!> 3t> 37 DEPOSITS + CURRENCY TIME + SAVINGS ACCOUNTS LARGE NEGOTIABLE CD'S OTHER AT COMMERCIAL BANKS AT SAVINGS INSTITUTIONS 38 39 40 41 42 MCJ-4EY DEMAND DEPOSllS CURRENCY TOTAL OF CREDIT MARKET INSTRUMENTS, DEPOSITS + CURRENCY 43 44 45 40 14.874 85.008 95.740 15.831 84.573 ll8.717 16.396 83.309 125.401 47 PUBLIC SUPPORT RATE cu PVT. FINAN. INTERMEOIA TION Ill 48 49 TOTAL FOREIGN FUNDS CORPORATE E QUITIES NOT INCLUDED ABOVE 1 2 3 682 .653 34.829 647.824 868.639 1034.029 52.677 44.701 823.938 981.352 914.642 48.289 866.353 906.991 1060.435 1202.068 56.694 59.831 47.618 859.373 1003.741 1142.237 911.045 46.519 864.526 b42.972 34.061 608.911 85.,..660 42.178 812.482 TOTAL MARKET VALUE INVESTMENT COMPANY SHARES OTHER EQU !TIES 3 4 5 94.592 588.061 122.542 746.097 145.438 888 .591 141.369 773.273 U0.'175 756.216 195.970 864.465 202 .ao8 708.237 148.143 494.jl29 197.443 657.217 ACQ . BY FINANCIAL INSTITUTIONS OTHER HOLDINGS 4 !> IIONEY AMOUNTS ARE IN MILLICJ-4S OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 245.249 9!>6.819 1 2 DECEMBER 1976 HOUSEHOLDS 98 HOU SEHOLDl. SECTOR STATEMENTS OF FINANC UL ASSETS ANO LIABILIT IES YEAR-END OUTSTAN0INGS, 1946-55 --------------- ·-----------------------------------------------------------------------------YEAR-END OUTS TAND IIIIG{, 19"6-55 19"6 1947 1948 1949 HOUSEHOLDS, 2 3 DEP. + CR. MKT. INSTR. I 1J DEMAND DEPOS ITS + CU RR ENCY 1951 1952 1953 1954 1955 386.483 392 .H2 411. 148 . 445.719 485.968 521 ol26 534. 38 7 627.851 707. 582 2 11 .114 59 .723 215. 437 58. 341 217.125 55 .608 220.211 53.738 223 .095 56.145 233.916 60. 299 2"6.731 62 .349 259. 543 63.4-72 271 .888 65 .2 18 289.203 66.115 3 5 6 378 .4 61 TOT'AL F INANCIAL ASSETS 1950 PE RSOOL TRUSTS, ANO NONPROFIT ORG ANIZATIONS .: 5 6 4 TIME + SAVIN GS ACCOlNTS AT C OMMERCU L BA NKS AT SAVINGS INSTITUTICNS 56 .418 30.7 t£I 25.658 59.851 31.949 27.902 62 .093 32 .232 2 9.861 64. 735 32. 374 3 2.361 67.189 32.428 34. 761 12.011 34.193 37 .82 4 79. 797 36.9 80 42.817 88. 01 0 3 9.49 8 48.512 97 .1 9't 42 .120 55.074 105.1142 43.768 62.074 7 8 9 10 11 12 C REDIT MAR KET I NSTRUMENTS U.S. GOVT. SECI.RITIE S TREASURY SAVINGS BONDS OTHER TREASURY AGENC Y ISSUES 91t.973 66 .324 66.292 44 .151 22 .141 32 97 .245 67.463 67.374 46.236 21. 138 89 99 .424 67.777 67 .5 59 47.837 19.722 218 10 lo 744 68.847 68.688 49.300 19.388 15 9 99.761 68.244 68.090 49.552 18.538 154 101.600 67.351 67.040 4 9. 081 17.959 311 104.585 67.835 67.577 49.173 18.404 2 58 10 8.061 68.494 68.400 49.371 19.029 94 109 .476 66.9♦1 66.841 49 .966 16.875 l 00 117 o2't6 69.313 68. 703 50.l29 18.474 610 13 14 1.5 16 6.504 8.487 13 .658 0 0 6.946 7.83 8 14. 998 0 0 7 .952 7.5 45 16 .150 0 0 B.643 7. 391 16. 863 0 0 9.191 4.775 17. 531 20 0 9.529 6. 295 18.425 0 0 11.543 60117 19.089 l 0 13.373 60022. 20. 081 91 0 1S.89S 5 .35 3 ll .214 73 0 19.347 5 .99 4 22.475 117 0 13 lit l!) 17 ST. + LDC. O B LIGATIO NS C OR PORATE + FGlllo BONDS MORTGAGES OPEN-M ARKET PAPER MCJ>.IEY MARKET Fl.NO S H RS. 18 19 20 C OR PORATE EQUITIES INVESTMENT COMPANY S HA RES OTHER COR PORATE EQUITI 103 .3 85 1.297 1 02 .088 101.246 lo 412 9 9. 83 4 100 .1 33 1.515 98.618 109. 441 3.070 106.371 133.658 3.344 130.314 156.286 3.481 152. 80 5 170.418 3.931 166 .487 162.401 4. 146 158. 255 234.994 6.109 228.885 286.267 7.838 278 .429 l& 19 20 21 22 LIFE INSUR ANCE R ESER VES PENSICN FUND RESERVES 43 .360 12 .815 46.510 15. 03 8 49.353 17 .490 52. 104 20. 327 55.049 24.254 57. 777 27.820 60 0665 32.595 63.647 37.479 66.3't9 42 .654 69.25't 50 .546 21 22 23 24 SECURITY CREDIT MI SCELLANEOIJS ASSETS 733 7.054 660 7. 592 654 7. 987 702 8.35 7 971 8.692 893 9.276 714 10 .003 708 10. 609 1.020 10.946 89 9 11.-413 23 24 es 25 TOT AL LIABILITIES 26 27 28 29 30 31 32 C REDIT MARKET INSTRUMENTS HOME MORTGAGES OTHER MORTGAGES INSTALMENT C!J,lS. C REDIT OTHER CONSUMER C REDIT BANK LOA NS OTHER LOANS 33 34 SECURITY CREDIT TRADE CREDIT 0EFERREO ANO UNPAID LIFE INSUUNCE PREMIUMS 35 N.e.c. 7 Ii 9 10 11 12 lo 17 37 .891 46. 016 54.255 62. 813 75 .867 84.803 97.609 110. 599 123 .3 55 143.480 .:5 34.4� 21.607 6� 4.172 4.212 1 .659 2.0 .. 4 2. 745 26.266 934 6.695 4. 903 1. 75 7 2.190 51 .135 30 .862 1.334 8.998 5 .451 2.116 2.3 74 5 9. 311 35.284 1. 818 11.590 5.774 2.221 2.618 71.462 41.998 2.353 14.703 6.768 2.111 2 .869 80.445 48.622 2.909 15.29.lt 7.418 3.048 3.154 92.7 61 55 .204 3 .404 19.403 8.117 3.367 3.266 105.134 62.670 3.916 23.005 8.388 3.593 3.562 116.616 71.736 4.569 23.568 8 .896 4.005 3 .842 135.832 83.48 5 5. 198 28.906 9.92.lt 4.229 4.090 26 27 28 2.195 5 69 1.831 656 1.547 738 1. 819 779 2.519 879 2.393 879 2.5 69 1.111 3.032 1.179 4.131 1.267 4.816 1.350 33 34 1C8 784 835 90 4 1.001 1. 086 1.162 1.254 1 .341 1 ."82 35 C ll EXCLUDES CO RPORATE EQUI n ES• MONEY AMOUNTS ARE I N MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 "" 30 31 32 DECEMBER 1976 HOUSEHOL DS HOUSEHOLDS 99 SECTOR STATEMENTS OF FINANCIAL ASSETS ANO LIABILITIES YE AR-END ------ YEAR-END OUTSTANDINGS, 1956-05 OUTSTANDINGS, 1956-65 1956 1957 ------- 1958 1959 1960 1961 1962 1963 1964 1965 HOUSEHOLDS, PERSONAL TRUSTS, AN D NONPROFIT ORGANIZATIONS TOTAL FINANCIAL ASSETS 753.683 741.257 877.949 945.613 972.065 1116.10 4 1091.052 1220.049 1330.469 1465.325 2 3 306.698 67.751 322.841 66.600 339.961 68.792 365.500 71.500 386.240 73.179 408.071 71.826 436.552 71.187 470.700 71.005 508.825 76.007 549.706 83.442 4 5 115.294 46.068 69.226 127.259 51.281 75.978 141.137 56.596 84.541 152.720 60.167 92.553 164.844 62.820 102.024 183.159 70. 112 113.047 209.311 83. 327 125.984 235.616 94.583 141.033 261.818 105.093 156.725 289.770 119.974 169.796 TIME + SAVINGS ACCOUNTS AT COMMERCIAL BANKS Al S AVINGS INSTITUTIONS 4 5 6 7 8 9 10 123.653 71.070 69.978 50.135 19.843 1.092 128.982 69.930 48.226 21.704 1. 777 130.032 68.417 67.200 47.703 19.497 1.211 141.280 74.292 71.348 45.907 25.441 2.944 148.217 73.995 71.504 45.642 2 5.862 2.491 153.086 74.457 71.726 46.445 25.281 2.731 156.054 lb. 724 73.560 46.968 26.592 3.164 164.079 82.13 7 78 .618 48.149 30.469 3.519 171.000 84.883 80.135 49.060 31.075 4.748 176.494 87.051 81.0b6 49.695 31.371 5.985 CREDIT MARKET INSTRUMENTS u.s. GOVT. SECURITIES TREASURY SAVINGS BONDS OTHER TREASUR Y AGENCY ISSUES .. 10 11 12 23.190 7.853 25.997 235 0 24.003 8.970 28.562 80 0 27.187 9.133 30.659 9 0 30.802 9.974 33.426 20 0 32.008 9.943 36.662 16 0 30.996 9.516 38. 766 52 0 31.986 9.645 40.250 61 0 34.b27 9.720 41.747 23 0 36.412 10.824 42.186 17 21.499 6.932 24.059 93 0 0 ST. + LOC. OBLIGATIONS CORPORATE + FGN. BONDS MORTGAGES OPEN-MARKET PAPER MONEY MARKET FUND SHRS. 13 14 15 16 17 18 19 20 305.056 9.046 296.010 267.341 8. 714 258.627 373.264 13.241 360.023 401.937 15.818 386.119 395.389 17.026 378.363 500.72 9 22.875 477.854 437.281 21.211 4lt..Ol0 513.813 25.214 488 .599 !>64.608 ·29.116 535.492 635.453 35.220 600.233 CORPORATE EQUITIES INVESTMENT COMPANY SHARES OTHER CORPORATE EQUITIES 18 19 ... o 21 22 72.724 56.590 75.462 62.678 78.535 72.716 81.956 82.410 85.1&4 90.8111 88.b3l 103.655 92.398 109.294 96.635 122.849 101.051 138.606 105.876 154.774 LIFE INSURANCE RESERVES PENSION FUND RESERVES 21 22 23 14 882 11.733 894 12.041 l.156 12.317 989 12.821 1.137 13.297 1.192 13.826 1.226 14.301 1.222 14.830 1.669 15.710 2.533 16.983 SECURITY CREDIT MIS CELLANEOUS ASSETS 23 �4 25 159.ll83 172.682 186.139 208.037 220.586 245.153 267.125 296.1&3 325.049 357.060 26 27 28 29 30 31 32 151.948 94.656 5.901 31.720 10.614 4.612 4.445 164.858 103.651 6.685 33.868 11.103 4.600 4.951 176.878 113.446 7.503 33 .642 11.487 5.358 5.442 198.247 125.855 8.317 39.247 12.297 6.430 6.101 216. 729 137.424 9.184 42.968 t.98t 6.994 233.677 150.03 5 10.084 43.691 14.091 7.831 7. 745 255.466 lb3.981 11.035 48. 720 15.101 8.102 8.527 282.21b 180.412 12.012 55.486 16.253 8.809 9.244 311.433 197.661 13.053 62.692 17.576 10.340 10.111 341.615 214.741 14.228 70.893 18.990 11.115 11.048 33 34 4.773 1.493 4.365 1.616 5 .522 1.770 5.536 2.067 5.398 2.oeo 6. 736 2.228 6.610 2.382 8.567 2.547 8.362 2.815 9.098 3.044 35 1.669 1.843 1.969 2.187 2.379 2.512 2.667 2.853 3.039 3.303 b 11 12 13 14 15 lb 11.101 13.lB 21 DEP. + CR. MKT. INSTR. Ill DEMAIIO DEPOSITS + CURRENCY TOTAL LIABILITIES CREDIT MARKET INSTRUMENTS HOME MORTGAGES OTHER MORTGAGES INSTALME"l CONS. CREDIT OTHER CONSUMER CREDIT BANK LOANS N.E.C. OTHER LOANS SECURITY CREDIT 1 RADE CRE on DEFERRED ANO �PAID llFE INSURANCE PREMIUMS Cl I EXCLUDES CORPORATE EwUITIES. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 3 7 8 2:> 4'b "� 27 29 30 31 32 33 34 3� DECEMBER 1976 HOUSEHOLDS 100 HOUSEHO LDS SECTOR ST ATEMENTS OF FINANCIAL ASSETS AND LIABILITIES ---------------------------------· ------- -------------------------- YEAR-END OUTSTAl«>INGS, 1966-15' YEAR-ENO OUTST ANDINGS, 1966-15 1966 1 96 7 1968 1969 1970 1972 1 971 1973 19 74 -------------- -----------------·---- HOUSEHOLDS, PERSON AL TRUSTS, Al«> NONPROFIT ORGANIZATIONS TOTAL FJNANC UL ASSETS 2 3 DEP. + CR. MKT. INSTR. ( 11 DE MANO OEPOS ITS + CURR ENCY 1458 .057 1691.414 1913.981 1859.843 1922.796 2150. 066 2389.5c.l -------19 75 2 254. l'-3 2149 .852 2 "9b .852 586.841 85• 812 634.210 95.663 688 .1 06 106.551 732.025 109 . 10 2 784.680 117.887 860.84 3 l2b. 877 958.279 1069.78 4 1170.778 l.:!18.634 153.935 158.915 165 .b 49 1..1.440 3 5 6 4 5 6 T IME + SAVINGS ACCOUNTS AT C OMMERCIAL BANKS AT SAVINGS INSTITUTIONS 307 .716 130.743 176.973 342.881 14 9.430 19 3.45 1 373.887 167 .555 206.332 383.102 168.402 214.700 426.747 195.357 231.390 494.617 22 3.605 271.012 5b5 .571 249. l78 316.393 633.429 288. 649 344. 780 691.308 3 24 .912 366 .396 776.230 350 .66 1 "'2 5.569 7 8 9 10 11 12 CREDIT MARKET I NSTRUMENTS GOVT• SEC UR ITIE S TREASUtY SAVINGS BONDS OTHER TREASURY AGENCY ISSUES 193 .313 94.6 35 83 ;.850 50.249 33.6 01 10 .785 195.666 96. 28 2 85.011 51.219 33. 792 11.271 207.668 102.561 89.896 51.866 38.030 12.665 239.821 113.338 95.664 51.770 43. 894 17.674 240.046 105 .186 82.873 52.089 30 .784 22.313 239.349 94.625 74. 571 54.416 20.155 20.054 251 .268 94.125 77 .5 83 57.667 19. 9 16 16.542 282 .420 no. 447 94.565 60.354 34.211 15.882 320• 555 117• 718 103 .882 63.338 40.544 13.836 346. 7 55 123.414 114.345 67.363 46.98.Z. 9.069 13 14 15 16 17 ST. + LOC. O BLIGATIONS CORPORATE + FGN. BCNDS MORTGAGES OPEN-MAR KET PAPER MONEY MARKET FUND SHRS. 39 .8 35 ll.870 44.216 2.757 0 37.562 15. 118 4 6. 114 590 0 36.890 19.418 48.668 131 0 46. 033 25.189 51.290 3.971 0 45.248 35 .941 52.896 77 5 0 44.984 44.508 54.114 1.118 0 47.148 1,8.417 60.459 1.119 0 54.37 1 49. 063 64.03 .. 4.505 0 65.538 56.648 68 .257 10 .o 15 2 .379 74.196 45 .928 72.748 6 .82 4 3.645 18 19 20 CORPORATE EQUITI E S INVESTMENT COMPANY SHARES OTHER CORPORATE EQUITI ES 575 .418 34.829 540 .589 730.586 44. 701 685.885 869.040 52.677 8 16 .363 755.132 4 8.289 706.843 737 .5 27 47.618 689.909 843.03b 56.694 786.342 928.992 '9.831 869.161 683.389 46.51 9 b3b.870 477. 118 34 .Ool 443 .057 630.509 42.l 7 8 588.331 19 21 22 LIF E INSUtANCE RESERVES PENSION FUND RESERVES 110.570 164.299 115.424 186.403 1 20 .045· 208.106 125 .023 218. 679 130 .265 239.623 l3b. 437 276.213 142.997 322.952 150.274 311.806 156.699 304.564 lb4 .591 368.593 21 23 24 SECURITY CREDIT MISCELLANEOUS ASSETS 2.730 18 .199 4. g,.3 19.848 7.039 21 .645 5 .221 23. 763 4.354 26.347 4.886 2 8.651 5. 022 31 .319 4.86b 34. 124 3 .891 36.802 3 .985 40·.540 ,:, 24 25 TOTAL LIABILITIES 3i.>.133 406.126 442 .813 474.017 498.497 544.484 bl4.987 b85.275 729 .758 782.8H 25 26 27 28 29 30 31 32 CREDIT MARKET INSTRUMENTS HOME MORTGAGES O THER MORTGAGES INSTALMENT CONS• CREDIT OTHER CONSUMER CREDIT BANK LOANS N.E.c. OTHER LOANS 364.126 228 .431 15 .485 76.245 19.994 12.030 11 .941 386.341 241. 700 16.679 7 9.428 21.355 1 3.917 13.262 418.666 258.358 17.814 87.745 23 .025 16 .409 15.315 452.397 276.555 19.090 97.105 24.041 17. 307 18.299 477. 727 29l.2b0 20.348 101.898 25.099 18.222 20.900 520.387 318.387 21.658 111.195 2 7.445 1 9.429 22.273 585.280 359.864 23.077 126.7 56 30.491 21.484 23.608 658.914 406.822 24.519 146.434 32.530 22.435 26. 17 4 703.907 441.959 25.881 155 .384 33 .35b 17.943 29.384 753.510 481.245 26.972 lbZ.237 35.039 16.lo7', 3l.51o3 33 34 SECURITY CREDIT TRADE CREDIT DEFERRED AND UNPAID LIFE INSURANCE PREMIUMS 9 .025 3 .323 12. 709 3.729 15.627 4.218 l 2. 225 4.707 10 .445 5.207 1 3.109 5.552 17.571 6.160 1 3. 218 6.767 11.416 7.349 13 .660 7.90 l 33 3't 3.659 3.947 4 .302 4.688 5.118 5.436 5.976 6.376 7.086 7.744 35 35 u.s. 111 EXCLUDES CORPORATE E QUITIES. MONEY AMOUNTS A RE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 1 8 9 10 11 ll. 13 14 15 lb 17 18 20 ,t2 £0 £7 28 29 30 31 32 DECEMBER 1976 6USINE SS ---------------------- BUSINE!:>S 101 S EC TOR STATEM ENTS OF FINANCIAL ASSETS ANO LIABILITIES ------------- ---------------- ------------------------------------------ YEAR-END OlJTSlANDINGS, 1946-55 YE AR-E ND OUTSTANDINGS, 1946- 55 1946 1947 1948 195 l 1950 1952 l94Cl 1953 1954 1955 . -----------------------------------------------------------------------------------NON FINA"ICI AL BUSINESS - TOTAL -----------------------------------------------------------------------97.69 8 103.653 107 .937 125.566 134.5 30 140.240 143.619 149.937 168.126 86.873 TOHL l 2 3 17,642 28.609 11.312 39.310 900 19 • 541 30.913 12.989 40.218 900 22.248 30.140 14.431 41.760 900 2 6.792 40.390 15.724 43.836 900 28.666 43,839 17.289 44.170 900 28.932 46.814 19.424 43.927 '100 31 .438 45.972 21.382 46.136 1.100 30.164 49.365 23.152 47. 382 1. 000 35 ...00 59.029 25.315 12 13 94.925 t:4.694 0 24.417 19 .560 14.92 l 5.796 110.201 73.546 0 21.201 21.12 5 18.605 6.009 121.353 81.063 0 31.407 23.968 19. 269 b.419 121.673 83.685 0 34.210 25.498 17.352 6.625 147.7'17 93.374 0 35.734 28.342 2 2 .029 7.269 164.826 104.289 0 38.929 30.578 26.728 8.054 171.825 112.873 0 43.614 32 .487 27.933 8.839 177 .289 117 .648 0 46.970 34.359 26 .863 9 .456 le4.504 123.655 0 50.449 36.774 26.455 9.977 211. 301 135. b58 0 53. 286 40.494 31. 508 10.370 14 15 18.921 11.310 22.794 13.867 25 .385 14.905 25.309 12.679 33.7e0 20.643 34.957 25.580 36.335 22.617 36.119 23. 522 40.228 2 0.621 so. 48, 25 • 1 bl l 7.185 6 ...oo 7B5 645 140 8.369 7.500 869 753 116 8.45<, 7.500 959 844 115 8.035 1.000 1.035 918 117 8.068 7.000 1.068 949 119 8.327 1.200 1.121 1.005 122 8.314 1.100 1.214 1.088 126 8.291 1.000 1 .291 1.159 132 8.26't 6.900 1.364 1.221 137 8. 372 6. 900 1 • .;.72 1.324 148 12 7.599 6.956 4.897 1.292 767 391 376 8.297 7.424 5.064 1.593 767 283 484 9.294 8.082 5.288 1.946 8't8 243 605 9.880 8.474 5.579 2.049 846 228 618 11.221 9.53 2 6.071 2.524 937 244 693 12.944 10.819 6.651 3.120 1.048 199 849 13.879 11.609 7.236 3.293 1.080 213 867 13.562 11.509 7.737 2 .112 1.060 445 615 14.435 12.281 8.246 2.862 l .173 508 665 16.058 13. 723 9.022 3. 434 l. 267 574 693 13 643 873 ----------------------------------------2.053 2.154 2.335 4 5 6 8 C/ 10 11 35.639 C/00 17,231 23.439 9.664 39.035 cioo FINANCIAL A!:>SElS DEMAND DE POS l lS + CURREN CV lIME UEPOSllS CREDIT MARKET INSTRUMENTS lRADE CR E Dll MISCELLANEOUS ASSETS lOlAL LlABlLilIES CREDil MARK El INSTRUMENTS TAX-EXEMPl BONDS CORPORATE BONDS MOR TGAGES bANK LOANS N.E.C. OTHER LOANS ----------------------------------------------------------------------------------FARM flUSI NESS ---------------------------------------------------------------2 3 4 5 t: 7 8 9 10 11 -------------- 1.212 1.406 1.689 2.125 2.210 TRADE DE Bl OTHER LIABILITIES TOTAL FINANCIAL ASSETS DEMAND DEPOSllS + CURRENCY MISCELLANEOUS ASSETS INSURANCE RECEIVABLES E QUITY IN SPONS. AGS. (11 TOTAL Ll ABlllllES CREDI l MARKEl INSTRUMENTS MORTGAGES BANK LOANS N.E.C. OTHER LOANS u.s. GOVERNMENl F ICB TRADE DEBT 5 I;, 7 ti 9 10 11 i2 13 1 .. 15 .. 2 3 5 0 7 ti 9 10 11 12 13 NONF.ARM NONCORPORATE BUSINESS l 2 3 4 5 6 12 .268 9.737 1.623 908 902 6 13.162 10 • 10 l 1.991 1.010 1.060 10 13. 524 9.949 2.372 l .203 l .190 13 llt.301 10.315 2.683 1.303 1.289 14 15.077 10.538 3.146 1.393 1.378 15 15.712 10.777 3.391 l.5't4 1.527 17 15.969 10.429 3.792 1.748 l. 730 18 16.276 10 .377 3.961 1.938 l .919 19 17.046 10.907 4.006 2.133 2.113 20 17.665 11.200 4.182 2.283 2.262 21 TOTAL FINANCIAL ASSETS DEMAND DEPOSI1S + CURRENCY CONSUMER CRE DIT MISCEL LANEOUS ASSETS INSURANCE RECEIVABLES EQUITY IN SPONS. AGS. 111 7 8 10 11 12 6.611 8.394 4.483 659 3.016 808 8.168 9.599 5.060 872 3.275 913 9.594 10. 394 5. 789 1.093 3. 713 983 10.185 10.913 6.331 1.031 4.297 1.003 12.033 12.910 7.473 1.428 5.03't 1.011 13.111 14.167 8.125 1.364 5.705 1.056 13.617 15.054 80627 1.402 6.128 1.097 14.532 15.672 9.054 l.4'tl 6 .451 1.162 16.786 16.292 9.573 1.576 6.726 1.211 20.116 18.287 10.481 1.926 7.142 1.413 TOTAL LI A8lLI TIES CREDil MARKET INSTRUMENTS MORTGAGES HOME MORTGAGES MULTI-FAMILY COl't4ERCIAL 13 14 887 3 .024 1.243 3.296 l .004 3.601 774 3.808 1.203 4.23't 1.447 4.595 1.655 4.772 1. 725 4.893 1.774 4.945 2. 386 5.420 15 16 17 -1.783 5.747 7.530 -1.431 6.679 0.110 -800 7.692 8.492 -728 7.944 8.672 -877 9.386 10.263 --996 9.474 10.470 -1.437 10.309 11.746 -1. l'tO 11 • 128 12 .268 lt94 12.898 12.'t04 1. 829 14.258 12.429 9 l 2 3 4 BANK LOANS N.E.C. OT HER LOANS TRADE DE Bl, NET lRADE DEBT TRADE C RE O IT Ill SHARES I N FICB 1 S, BANKS FOR COOPS, ANO LANO BANKS. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis £ 3 4 5 6 1 8 9 10 11 12 13 14 15 16 17 OE Cl MEIER 1976 EUSJNESS 102 tlU�lNLSS SECTOR S TAHMENH OF FIN ANCIAL ASSt:lS ANO LI ABILI llt:S YEAK-ENO OlJTSlANOJNGS, l9;6-b5 Yt:Ai<-ENO OUlSlANL,lN�, l'J �6-65 -------------------------------------------------------------------------------------------------------------------195b 1957 1958 1960 195<; l <;6 l 1962 1%3 l9o4 l'>o5 ------------------------------------------- ------------- - --------------------·-- --------------NONFJNANClAL BUSINESS - lOTAL -------------------------------------------------------------------------------------------l TOTAL FINANCIAL ASSi:TS 173.931 l 79.759 l93.32<J 207. 536 2 3 5 6 . DEM AND 01:POSITS CURtH: N CY TIME DEPOS 1TS CREDIT MARi<ET JNSTkUMENH TRADE CREDIT MlSCi:LLANEOUS ASSETS 7 TOTAL LlABIL lllH 8 CREDlT MARll.l:T JNSTRUMENH 9 TAX-EXEMPT BONDS CORPORAT t: BONDS 10 11 MORTGAGE S 12 BANK LOANS N.E.C. OTHER LO ANS 13 14 15 TRADE DillT OTHER LI ABILlllES . 1 TOTAL FINANC J AL ASSt:TS OE MANO D EPOSJTS CURRl:NCY 2 Ml SCELLANEOUS ASSETS 3 4 INSURANCE RECElV'-BlES 5 1:0UITY IN SPONS. AC,�• I 11 b TOTAL LI AULllIE S CREOJT MARIi.fl JNSTRUMENTS 7 8 MORT<.AGt: S 9 8ANK LOANS N.E.C, OTHt:R LOANS 10 11 u.s. GOVE:RNMENT 12 F !CB 13 TRADE: DEBT TOTAL FINANCIAL ASSETS DEMAND DEPOSlTS + CUKRi::N(Y CONSUMER CREDIT 4 MlSCELLANEOUS AS Sl:TS 5 INS URANCE: REC E lVASllS 6 EQUITY IN SPONS. AGS. Ill I 2 3 7 TOTAL LIABILITIES b CREDIT MARKEl INSTRUMf NT!' 9 MORTGAGES 10 HOME MORTGAGES MlJLTI-FAIHLY 11 12 COMMl::RCIAL 13 1', 15 l.6 17 BANK LOANS N.E:.C. OTHER LOANS TRADE OEST, NET TRlOE OEST lRADE CREDIT 47.,B<, 1 .ooo 31.886 b4.7�3 29.013 47.980 1.000 31.699 66.354 3£.726 50.624 l .9 00 32.661 72.644 3'>.500 46.103 l.:>00 40. 334 7'3.830 JI,.76'1 210.229 46.458 ::.. 000 36.151 82 • 982 41,038 £23. 57<, 44.98(1 4.100 35.38 4 88. 808 45 .299 230.297 52.9-;9 5.000 .H.987 93 .197 49 .134 252.550 5o. 342 5.o87 37.702 9S.567 53.i!-B 266.450 '>6. 153 o,671 39.5>11' 107.975 56.134 291. 30.: '.'>o.5ob B. <JS3 4l.Oo9 lil.165 03.507 :£26.393 14 8 .308 0 56.',0l 43.205 37,..19 10. 983 238.623 lo0.037 0 63.217 45.524 36.Y7b 12.320 251.121 170.990 0 od.901 4'1.6'>4 39.£33 13.00.t 27... 742 185.',,34 0 11.1150 55.550 4-.,019 14.509 289.707 199.371 0 75,312 59.901 46.834 )7.324 .307.555 212,'110 35b.359 2�0.232 0 68...14 l,,;.723 '>7.122 20.973 31,-,.3.. 0 27.::.023 431.4£0 301,46.) 79.952 oo.495 41,.135 18.328 330.34£ .l 30 .55 7 0 ll4.50 l 74.622 52.lb2 19 • .t72 9.t... oa r,,; .153 02. 7.,5 23. 714 S7.b00 102.330 74..... 1 2 o. 36b lu ll l.t 13 54.524 23.561 56.905 2l.6bl 60.638 1,;.493 66.387 24'.4.d 69.811 20.525 ·,2 .25e U.3e7 76,232 23.553 B.t. b1:, 25.452 88.',47 20.:.nc, 100.997 28.906 1-. 15 8 • .l51 o. 700 1.551 1. 3'10 161 8,218 6.600 1,618 1.446 172 6.564 6.900 1.684 1 .50L 162 7.91:2 0.200 1.7b2 1. 564 l'HI 7.t:.46 5,600 1,846 l.635 2.11 7.731 5.800 1.931 1. 704 22 7 7.665 5.900 1,965 1.724 241 1. 825 5.700 2.125 1. 669 .! 5b 8.217 5,'iOO 2 • .317 2 .031! 279 b o 4',7 6.000 ;.. 497 .:. 11<> 31 '1 5 lo.<;8.i. 14.5111 2.0.076 17.00<! 11.109 4.ln 1.121 565 1.156 a ...33 18.934 12.101 4.llb6 1.r,t,7 577 1.,;90 23.o.i.3 19.965 12.8.;8 5.06.t 2. 065 564 l. 501 2:..322 ll .558 13.917 5.305 2.330 686 1.650 27.626 23.656 15.193 o.087 2.,576 736 1,840 :H.038 ,b.40b lo.1>22 0.088 2.696 7S7 2.099 33.1127 29.00', 18.94£ o.95<,, 3.101! bbl :..247 :;1.01 .. 32.311 2l.lll7 747 U,.274 15.636 10.3';7 ::.75'1 1.41, 2 550 932 3.451 <,., l �-510 lC 11 1.: 2.401 2.636 3,076 J..... 9 3.658 3.764 3.770 4.1,:;2 4.818 5. 3t.:i 1:, 18.470 11.549 4.508 2.413 2.392 2.1 19.665 12.35b 4.723 2.586 2.500 26 21.243 l�.641 4.893 2.709 2.677 32 20,838 12,707 5 • .235 2.d9o 2-8'>6 40 20,847 12,415 5.397 3.035 2.987 4b 21.209 l .l. 51 5 ;.553 3.,Wl 3, 144 57 21.e43 12.515 5.999 3.329 3.260 o9 22.486 12. · 515 o.426 3.545 3.4o3 82 23.l 76 12.515 b.1'6<, 3.7<,9 3.704 95 2.4. 010 1 ,. 515 7.41.2 4,C,1,3 3.975 lCb 20,994 19.459 10. 746 1. 729 1...32 1.585 22.508 20.366 10.96'> 1.555 7.660 1.750 <!3.393 21.651 11.925 1.540 d.422 1.963 25.980 2 ....164 u.377 1.1153 9.;i35 2.189 27.978 25.900 14.330 l.665 10.245 2.420 28.517 2 7 • 69 5 lo.087 1.574 I 1.785 2. 728 31.942 31.162 16.357 L.bol 13.5&5 3.111 34.542 35.585 21. 07 5 1. 728 15.825 3.522 39.184 ,.l.04b .:4.624 1,729 19.095 3.8(,0 44. 29i, 46.7tib £ ?. 74U 1.110 21, 1>40 4. ll" 3.009 5.704 3,123 6.298 3.293 6.433 3.629 7.158 3.971 1.059 4.154 7.654 4,535 8.270 5.192 9.318 5.o65 10.759 b.62;, 12.425 L, l, 535 15.287 13.7�2 2.122 15.323 13.201 1.742 15.b49 14.l 07 l.616 15.544 13.726 2.018 15,524 13,506 622 14,461 13.839 780 14.371 13,591 -1.043 12.346 13.389 -l.664 ll,b07 13.671 - ..... .,,c, 11 • .:2.: 13.71, 15 lo 11 0 t. C -· ----------------------------------------------------------· -----------------------------------�A�M BUSINESS -------------------------------------------------------------------------------------- 9.03� 3.375 1.371 624 ,1, bb1 --------------------------------------------------------------NONfARM NONtORPORAU 8USINl'SS -------------------------------------------------------------------------------------- 111 SHARES IN FJCB1S, BANK!> FlJR C.OOPS, ANO LANO BANKS. MON EY AMOUNT!'> A RE IN MILLIONS OF OOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 0 4 ..5 � 10 11 12 14 OEC!:"'BER lq76 BUSINESS BUSINESS 103 SECTOR STATEMENTS OF FINANCIAL ASSETS AND LIABILITIES ------------------------------------------------- ------------------------------------- ---------------------------------------------------------------------------- YEAR-fND OUTSTANOINGS, 1966-75 1966 1967 1968 1970 NONFJNANCIAL 303.526 55.886 8.603 39 .396 133.152 60.489 197 1 1972 1973 1974 1975 582. 552 64.490 20.464 71.094 275.315 151.189 629.023 6 7. 386 22. 351 85.478 283.259 170.549 BUSINESS - TOTAL 323.010 59.432 9.682 41.157 141.388 72.351 355 .623 61. 346 9.056 47.623 159. 796 77.802 388.615 61.904 3.652 55.657 182.344 85.058 408.811 62.956 5.347 56.355 190.857 93.296 442 .448 64.647 9.5 0 9 59.157 205.604 103.53 1 485.290 66.327 15.490 62.097 227.093 114. 283 537.232 66.900 16 .623 68.918 252.348 132.443 7 8 q 10 11 12 13 473.903 -511.111 334.621 368.801 0 0 108 .024 122.682 111.437 120.517 85.495 93.2l<t 32.388 29.665 570.552 406.218 0 135.575 132.052 104.<t73 36.118 635.450 453.940 0 1'17.550 143.135 119.145 44.110 684.927 497.564 747,133 546.624 86 186.113 178.476 1 30.644 51,305 830.133 613.052 634 198.300 210.777 1.. 6.407 56.934 945.753 1063.784 1109.279 700.977 794.699 834.412 2 .430 4.078 6.678 207.459 227.129 25't. 333 243.564 268.627 286.818 1eo.220 211.286 198.246 67.304 83. 779 88. 337 14 15 109.854 29.<t28 116.740 25. 570 133.011 29. 323 154.490 27 .020 173.250 27,259 188.960 28. 121 210.916 33.860 4 5 6 YEAR-END OUTSlANDINGS, 1966-75 0 167 .306 156.418 124.814 49 .026 229.878 39.007 TOTAL F INANCIAL ASSETS DEMAND DEPOSJlS + CURRENCY TIME DEPOSITS CREDIT MARKET INSlRUMENTS TRADE CREDil MISCELLANEOUS ASSETS TOTAL LIABILITIES C REOIT MARKET JNSTRUMENlS TAX-EXEMPT BONDS CORPORATE BONOS MORTGAGES BANK LOANS N.E.C. OlHER L OANS TRADE DEBl OTHER LIABILITIES 234.755 40.112 3 .., 6 1 b <; 10 11 12 13 14 15 FARM BUSINESS ------ ------------------------------------------------1 2 3 4 5 B.704 6.000 2.104 2.339 365 9.067 6.100 2.967 2.553 414 9.646 6.300 3.346 2.830 516 10.182 6.400 3.782 3.211 571 10.786 6.515 4.271 3.649 622 11.477 6.638 4,839 4,147 692 12.413 6.900 5.513 ... 731 782 13.256 7.100 6.156 5.214 942 14.160 7.250 6.910 5.762 1.148 15. 233 6 7 8 9 10 11 12 41.274 35.504 23.052 8.600 3.852 92Q 2.923 44.377 38.81!> 25.017 9.300 4.498 1. 08 7 3.411 46.152 41.565 27.177 9. 700 4.688 1.034 3.654 48.827 4<t.617 28.995 10.328 5.294 1.019 4.275 50 .764 46.922 29.826 11.155 5 .941 967 4.974 55.3 81 51.3<10 32,207 12,500 6,683 1.014 5,669 61.773 57.218 35.758 14.314 7.146 1.050 6,096 71.881 67.208 41,253 17.327 B.628 l .430 7 .196 79.939 75.079 46.306 18.237 10.536 l.688 8.&'t8 89.483 64.483 51. 550 20.158 12. 775 2. 780 9.995 4.673 4.860 5.000 ------------------------------------------------- 13 5.770 5. 562 4.587 3.842 3.Q91 4.555 1 ... 00 7. 833 6.449 1. 384 TOlAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY MISCELLANEOUS ASSETS INSURANCE RECEIVABLES EQUllY IN SPONS. AGS. ( 11 TOTAL LIABILillE!io CREDIT MARKET INSTRUMENlS MORTGAGES BANK LOANS N.E.C. OTHER LOANS U.S. GOVERNMENT F IC.8 TkADE DEBT l 2 3 4 5 6 7 b 9 10 11 12 13 NONFARM NONCDRPORATE BUSINESS 1 2 3 4 5 6 24.725 12.515 7.768 4.442 4.325 117 25.358 12.515 7.999 4.844 4. 716 128 26.202 12.515 8.361 5.326 5.187 139 27.243 12.515 8.730 5.998 5.846 152 28.420 l�.515 9.223 6.682 6.515 16 7 29.680 12.515 9.689 7,476 7,2 9 6 180 31.177 12.515 lG.192 8.470 8.278 192 32.929 12.515 10.959 9.455 9.243 212 34.697 12.515 11.707 10.475 10.229 246 36.231 12. 515 12. 576 11.1..0 ll.453 287 B 9 10 11 12 47.816 52.475 30.422 1.609 24.245 4.568 51. 72 5 56.869 33. 58 5 1.624 27.045 4.916 57. 231 62.200 36. 786 1.878 29.449 5.459 65.752 69.676 40.652 1.843 32.910 5.899 72.358 75.323 45.934 1.680 37.772 6.482 80.960 B"i.676 54.30 1 2.42 2 44.545 7.33 4 95.093 98.783 65.268 2.959 53.474 8.635 109 .965 111 .801 74.036 2.697 60.759 10 .580 117.264 118.554 7<>.964 2.367 65.653 11.944 117.447 119.864 81.128 3.083 65 .004 13.041 13 14 7.956 14.097 B.544 14.740 9.655 15.759 11.795 17.229 11.110 18.219 11.867 19.508 13.004 20.511 14.069 23 .696 13.094 25.496 11.056 27.680 15 16 17 -4.659 9.603 14.262 -5.144 9.812 14.956 -4.969 9.018 13.987 -3.92't 10.695 14.619 -2.965 10.633 13.598 -4,716 9,337 l't,053 -3.690 11.606 15.296 -1.836 14.790 16.626 -1.290 16. 503 17.793 15.511 17.928 -2.417 TOTAL FINANCIAL ASSET� DEMAND DEPOSITS + CURRENCY CONSUMER CREDIT MISCELLANEOUS ASSETS INSURANCE RECEIVABLES EQUITY IN SPONS. AGS. 111 TOTAL LIABILITIES CkEOJT MARKET INSTRUMENTS MORTGAGES HOME MORl&AGES MULTI-FAMILY COMMERCIAL BANK LOANS N.E.C. OTHER LOANS TRADE DEbl, NEl TRADE DEBT TRACIE CREDIT Ill SHARES IN FICB'S, BANKS FOR COOPS, AND LANu BANKS. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis l 2 3 ... :, t. 7 8 9 10 11 12. 13 14 15 16 l1 DE:Cl::MBER 1976 NONFlNANCJAL CORPORATE BUSINiSS 104 NONFINAN(IAL COkPOkATt BUSINtSS NONFINANCIAL CORPOkATf euSINtSS Yl::4R-END OUTSTANDINGS, 1946-55 YE:AR-END OUTSTANulN�, l�4b-�5 194b 1947 1948 1949 1950 1c;51 1953 1 c;55 ------------------------------------------------------------------------------------'---------NONflNAhCIAL CORPOkATE BU�INESS 67. 420 �3.5't9 19.502 900 12.779 313 55 0 76.167 35.121 21.434 900 12.291 350 146 81.o70 36.338 21.8ol 900 12.b53 452 272 85.601 39.391 22.9(1� 900 1 ... 697 4&5 406 0 102.421 43.984 2<t.222 900 17.870 b52 340 0 110 .491 4 6.b94 25.859 900 18.65 3 1144 438 115.957 46.578 20.641 900 17.647 &13 ':>77 119.05, 48.569 26.550 ',00 19.240 1.005 874 124.027 4b.912 l8 .329 1.100 17.5l3 97.: 9&8 0 1.....0&9 , ...102 2c;.2s2 1.000 ,1.5cl 1.219 1. H>0 0 2.4ol 23 ...39 7.971 1.221 68 b1b 3.064 28.609 9.373 8.366 51 956 3.592 30.913 10.&27 9.625 10 1.192 3.977 30.140 12.oc;3 10.100 10 1.3&3 0 4.784 40.390 13.2b3 11.788 57 1.418 5.340 43.b3<; 14.618 12.979 91 1.548 b.103 46.814 16.46 2 14.721 75 1.66b 6.358 45.972 16.153 lb.253 114 1.786 0 6.675 ..9.3o� 19.655 17.b31 158 1.866 - 1. :,:i.s 59.(129 21.5t>O lC,. 395 1.:9 2. o:; .. 16 TOTAL LIABILITIES i7 CREDIT MARKEl INSTRUMl::NTS 80.715 49.344 93.742 56.523 102.465 62.587 101.608 6 ...2c;5 124.543 10.932 138.711 79.303 144.329 86.210 149.195 90.467 153.l83 c;5.0b2 175.127 103.648 lo l7 18 19 20 21 22 23 TAX-EXEMPT BONDS (21 CORPORATE BONDS Ill MORTGAGES HOME MORTGAGES MULTI- FA MILY C.OMMERCIAL 24.417 10.180 b5'i 2.25.. 7.267 21.201 11.601 872 2-512 8.217 31 ... 01 12.891 1.093 2.949 8.849 34. 210 13.5&8 1.031 3.532 9.025 35.73 .. 14.798 1.4.:il ... 207 9.103 0 0 3b.929 15.1!02 1.364 4.937 9.50 l 43.614 16.t,24 1.402 5.353 9.8o9 46.970 17.51>8 1...41 !,.670 l0.'957 50..... 9 18.955 1.576 5.939 Jl.440 0 0 53.286 20.9'il 1.9,lb 6.340 12.717 18 Jr; 20 21 22 2:, 24 25 2b 27 28 BANK LOANS N.E.C. COMMERCIAL PAPER ACCEPlANCES FINANCE COMPANY LOANS U.S. GOVERNMENT LOANS 12.1 ..2 137 9; 1.280 ..93 l5.7o9 172 ·93 1.150 525 16.319 166 95 1.198 511 14.!>29 162 107 1.064 6.>8 18.302 207 137 l.138 6lo 22.161 lb9 156 J.352 634 22.985 3:;1 167 1.834 655 .. 2.1t26 402 188 1.91>0 953 21.819 531 301 2 .221 806 .25.688 :;02 lb6 t.471 684 24 25 21> 27 28 29 30 31 PROFIT l AXES PAYABLE TRADE DEBT MISlELLANl::OUS LIABILITIES 8.807 20.061 2.503 11.204 23.352 2.603 12.118 24.973 l..787 9.738 24.631 2.9'91 17.252 32.968 3.391 21.922 33.828 3.658 l8.o72 35.502 3.9'95 19.271 35.206 4.251 15.988 37.580 4.633 20.085 46.318 5.07b 21, 3.3711 5.257 5.940 5.509 10.011 11.312 10.1bb 11.805 IL.711 32 39.035 10.309 39.177 44.244 12.279 46.895 49.733 12.854 49.945 52.579 11.719 4t..08B '56.425 14.507 64.727 b2. 231 17.072 72.822 68.030 18.180 12 .354 72.067 18.400 72.811 7b.55o U.526 72.094 82.626 21.oa 87.425 :n 79.107 20.892 85.634 78.276 21.723 74.892 79.462 20.537 72.756 81.173 18. 226 85.469 79.5'tli 20.451 b7o953 78.472 21.527 64.120 78.911 21.088 64.375 79.bbl 20.338 66.645 80.515 19.41t4 67.84'> 79.71"/ 20.282 bl.975 1 TOTAL FINANCIAL ASSETS LIQUID ASSETS 2 DEMAND DEPOSITS + lURRENCY 3 4 TIME DEPOSITS 5 U.S. GOVERNMENT SECURITIES 6 STATE + LOCAL OBLlGAlIONS 7 COMMERCIAL PAPER B SECURllY k.P.•S 9 10 11 12 13 14 15 CONSUMER CREDIT TRADE CRED11 MISCELLANEOUS ASSETS FOREIGN DIRECT INVEST. Ill FOREIGN CURRENCIES INSURANCE RECEIVABLES fQUJTY IN SPONS. AGS. 32 MEMO: NET TRADE CREOil DEBT SUBTOlALS: (31 33 LONG-TERM DEBl 34 SHORT-TERM OEBl 35 TOTAL S-T LIABILITIES 3o 37 38 PERCENT RATIOS: L-T OfBT/CREDIT MARKET OEST S-T DEBT/CREDIT MARKET DEBT LIQUID ASSETS/S-T LIABIL. 0 0 0 0 0 0 0 0 Ill FOREIGN INVESTMENT IS NtT OF BONO ISSUES ABROAD, ANO BONO ISSUES OUTSIDE THE U.S. ARE EXCLUDED FROM LIABILITIES ABOVE 121 INDUSTRIAL POLLUTION CONTROL REVENUE BONDS. ISSUED BY STATE ANO LOCAL GOVERNMENTS TO flNANCE PRIVATE INVEST MENT ANO SECURED IN INTEREST ANO PRINCIPAL BY THE INDUSTRIAL USER OF THE FUNDS. 131 MATURITY SPLIT ON DEBT IS APPROXIMATE: L-T IS BONDS, M-F + COMMERCIAL MORTGAGES, ANO 40S OF BANK LOANS. S-T DEBT IS OTHER CREDIT MARKET BORROWING. TOTAL S-T LIABILITIES IS S-T BORROWING + TAX LIABILITIES + TRADE DEBT. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 0 0 0 0 0 0 0 0 0 0 .. 5 b 7 ., 10 11 lt u 1.. l!, jQ .:11 DECEMBER 197b NONFINANCIAL CORPORATE BUSINESS NONFINANCIAL CORPORATE BUSINESS 105 NONFJNANCIAL CORPORATE BUSINESS YEAR-END OUTSTANDINGS, l95b-b5 YEAR-'cND OUTSTANDINGS, l<t5b-b5 1956 1957 1958 1959 1960 1961 1962 19b3 1964 1965 ----------------------------------------------------------------------------NONFINANCIAL CORPORATE BUSINESS 147.210 49.705 28.990 1.000 17.118 1.342 l.255 0 151.876 49.248 29.024 1-.000 H,.38'l 1.479 l.356 163.502 51.735 30.083 1.900 16.692 1.958 1.102 178.716 57.121 29. l96 1.500 22.821 2.794 810 0 l&l.73b 53.045 28.243 3.000 16.868 2.382 2.552 0 194.579 56.542 31.673 4.100 15.3 44 2.395 3.030 0 206.589 59.587 34.564 5.000 13.582 2.697 3.744 0 222.245 64.232 38 .127 5.687 12.036 3.787 4.595 0 237.055 65.134 37.738 6.671 10.481 3.660 6,255 309 258. 795 6 7. 750 38.053 8.9'13 8. 78b 4.600 6. 725 593 9 10 11 12 7.6b3 64.793 25.049 22.505 138 2-.393 13 1.1r;2 6b.354 28. 522 25.394 131 2�965 32 8.0lt, 72.644 31.107 27.409 149 3.511 38 8.674 78.830 34.091 29.827 132 4.081 51 8 .952 82.'l82 36.757 31.86 5 llt8 It.67 2 72 9.0 6 2 88.808 40 .16 7 34,717 236 5,134 80 9.965 93.197 43.840 37.276 790 5.684 90 10.858 99.�67 47.588 40.736 731 6,031 90 ll.928 107.975 52.018 44.480 1.097 6.350 91 12 .953 121.165 56.927 49. 263 781 6. 766 97 lb 17 188.417 114.268 197.e41 124.013 207.650 132.337 226.329 142 .836 23e.I06 153.lt46 253.716 163.45 7 270.774 175. 539 292.77'1 188.241 314.329 201.',66 349.454 222.364 18 19 20 21 22 23 56.901 22.624 1.729 6.632 14.263 0 0 63.£17 24.162 1.555 6.855 15.752 68.901 26.820 l.540 7.611 17.669 71.856 30.072 1.853 8.518 19.701 75.312 32.733 l.6b5 9.289 21.779 0 0 79.952 36.491 1.574 10,363 24.5 5 4 84.501 41.072 1. 661 11.413 27.998 88.414 45.826 l.728 12.403 31.695 0 0 92.408 49.587 1. 729 13.657 34.201 24 25 26 7.7 28 30.835 378 245 2.603 662 32.094 422 309 3.068 741 31. 768 658 291 3.147 752 35 .5:?4 315 296 3.994 779 37.80 l 769 417 5.558 856 38.67 6 1.094 447 5.875 922 41.540 1.198 449 5.644 1.135 45.242 968 332 6.276 1.183 2Q 30 31 18.102 50.586 5.459 15.971 52.147 5.710 13.378 55.820 6.115 15.817 61.072 6.604 13.615 64.135 6.910 14.99 5 67.872 7,392 15.941 71.682 7.612 32 14.205 14.207 16.824 17.758 18 .847 20,936 21.515 4 5 6 7 8 ,., 0 0 0 0 0 TOTAL FI�NCIAL ASSETS LIQUID ASSEH DEMAND DEPOSITS + CURRENCY llME DE POSITS U.S. GOVE�NMENT SECURITIES SlATE + LOCAL OBLIGATIONS COMMERCIAL PAPER SECURITY R.P. 1 S ... !, 6 7 6 CONSUMER CREDIT 9 10 TRADE CREDll 11 MISCELLANEOUS ASSETS FOREIGN DIRECT INVEST. 111 1 2 13 FOREIGN CURRENClES INSURANCE RECEIVABLES 14 EQUITY IN SPONS. AGS. 15 16 17 0 97.800 53.409 1.770 14. 522 37.117 TAX-EXEMPl bONDS 121 CORPORA TE BONDS I 11 MORlGAGE:S HOME MORTGAGES UI 19 20 Ll 2l 23 50.124 1.125 382 6.958 1.382 60.651 797 445 7. 586 1. 676 BANK LOANS N.E.C. COMMERCIAL PAPER ACCEPTANCES FINANCE COMPANY LOANS U.S. GOVERNMENT LOANS lit 25 26 J.7 J.8 17.508 79.086 7.944 18 .007 85.993 8.363 20 .169 98.12'> 8. 7,-,7 PROFIT TAXES PAYABLE TRADE DEBT MISCELLANEOUS LIABILITIES 29 30 31 20 .481 21.982 23.041 90.130 24-138 92.828 98.662 25.351 93.469 106.888 25.449 94.�7 114.285 28.551 105.440 121.500 31.946 109 .696 130.3 39 33.l 18 115.98 5 140.528 35.011 122.634 150 .609 37.632 134.226 160.316 4l.b50 145.650 173.b99 't8.665 166. 958 36 37 38 78.8 75 21.124 53.545 79.557 20.442 52.689 80. 769 19.230 54.660 80.011 19.988 54.173 7 9.180 �.819 4-8.356 79.739 20.26 0 48.749 80.055 19.944 48.589 80.008 19.991 47.853 79.377 20.622 44.719 78.114 21.885 40.579 MULTI-FAMILY COMMERCIAL MEMO: NET TRADE CREDIT OEBT SUBTOTALS: 131 LONG-TERM DEBT SHORT-TERM DEBT TOTAL S-T LIABILllIES PE RCENT RATIOS: L-T DEBT/CREDIT MARKET DEBT S-T DEBT/CREDIT MARKET OEST LIQUID ASSETS/S-T LIABIL. Ill FOREIGN INVESTMENT IS NET OF BONO ISSUES ABROAD, AND BONO ISSUES OUTSIDE THE U.S, ARE EXCLUDED FROM LIABILITIES ABOVE 121 INDUSTRIAL POLLUTION CONTROL REVENUE BONDS. ISSUED BY STATE AND LOCAL GOVERNME NTS TO FINANCE PRIVATE INVEST MENT AND SECURED IN INTEREST ANO PRINCIPAL BY THE INDUSTRIAL USER OF THE FUNDS. 131 MATURITY SPLIT ON DEST IS APPROXIMATE: L-T IS BONDS, M-F ♦ COMMERCIAL MORTGAGES, AND 401 OF BANK LOANS. S-T DEBT IS OTHER CREDIT MARKET BORROWING. TOTAL S-T LIABILITIES IS S-T BORROWING + TAX LIABILITIES + TRADE DEBT. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 TOTAL LIABILITIES CREDIT MARKET INSTRUMENTS 33 34 35 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. l 2 32 33 3 .. 35 36 37 38 DECEMBER 1976 NONFIIIIANCIAL CORPORATE BUSINESS NuNFINANCJAL CO�PQRATE BUSINESS 106 NONFINANCIAL CORPORATE buSINESS YEAR-END OUTSTANDINGS, 1960-75 YEAR-END OUTSTANOINGS, l9ob-l5 1966 1967 1968 19o9 1970 1'171 1972 1973 197 .. 197� NONFINANtJAL CORPORATE BUSINESS 1 TOTAL FINANCIAL ASSETS LIQUID ASSETS 2 DEMAND DEPOSITS + CURRENLY 3 4 TIME DEPOS ITS U.S. GOVERNMENT SECURITIES 5 6 STATE + LOCAL OBLIGATIONS 7 COMMERCIAL PAPER 8 SECURITY R■P■ 1 S .... --- 270.097 b ...089 37.371 b.603 7.081 3.639 o.500 1195 2tl8.585 68.706 39.817 C,.682 4.619 3.300 10.678 670 319.775 76.726 ..2.,:n 9.050 5.393 3.782 14.843 1.121 351.190 78.939 42■9l>9 3.o52 7.322 2.bOO lf..865 3.311 369.605 &1.211 43.926 5.347 9.492 2■115 20.037 .:34 401.,91 88.960 45.494 <,.509 11.96& j.175 17.737 l.077 441.700 97.977 46.912 15.490 9.538 "•l75 19.174 2 ■t>88 4'11.047 104.636 47.285 l6.o23 5. 733 4.038 25.695 5 • .:.62 533.695 lC,b. 715 .....725 20.4b't 9.2 .. o 4.654 25.141 2 ...85 576.959 12.,■42b 47.471 .:.2.'.:151 l7.47t, "•"8l <.7.918 4.731 13.513 133.152 59.343 51.007 885 7■331 120 13.691 141.388 64.540 55.352 1.055 7.999 134 14.123 159.796 69.130 58.595 1.587 8 .788 lt.O l4■o29 182■344 7:>.27& o3.8ll l.306 9.935 225 15. 194 190.&57 82■343 70.245 931 10.831 33b 15.511 l.05 .604 91.'16 76.661 2.318 ll.1378 359 lo.330 227.093 100.300 82.092 4.102 13.729 377 17.231 l5l.348 116.832 94.077 6.670 1 5.6&9 396 17 ■Bbl 275.:H5 133.804 109.105 b.410 17 ■816 413 lo.296 ,c,3.259 l�0.976 123.227 7.2'fo 20.0�0 423 1.. 15 lb TOTAL LIAblLITIES 17 CREDIT MARKET INSTRUMENTS 38.,■813 246.642 415.009 273.117 407.169 304.453 520■1171 339■6.,l 561.805 375.319 bl0.792 409.5,8 673.267 457.051 763.907 521.968 866.581 601.266 902.349 030.065 lo 17 18 19 20 21 22 23 TAX-EX EMPT BONDS 12) CORPORAT E BONDS Ill MORTGAGES HOME MORTGAGES MULTl-FA MILY COMMERCIAL 0 108.024 57.963 1.009 15.247 41.107 0 122.682 61.915 1■624 16.050 44.241 0 135.575 68 .089 l .8 78 17.082 49.129 0 147.550 73.488 1.843 16.551 53.094 0 167■306 60.658 1.680 20■638 5&.340 86 180.113 91.968 2.422 23.543 66.003 634 198.300 109.751 2.959 27.275 79.517 2.430 207.459 128.275 2.697 30.361 <,5.217 4.078 227.129 142.351 2■367 32.492 107.49tl 6.618 254.333 154.140 3■ 083 33.ob., 11 l. 373 18 l<, 20 ll '2 23 24 25 26 27 28 BANK LOANS N.E.C. 6tl■939 1.022 531 7. 5.:.1 2.042 75.370 3.034 652 7.231 2.233 115.118 ...249 787 8.978 l .657 97.022 5.35b 1.141 13.316 1.77 4 102.489 7.133 1■545 14.129 2.059 106.277 6.247 1.809 15.454 1.604 119.0bQ 6.968 1.836 18 ■628 1.845 148.&24 l!.382 2■368 22.092 2.138 179.955 12.694 3■623 27.763 3.b6l 167■ 032 10.175 3.7<;1 30.037 3. 873 24 25 2t, d 20.374 108.743 9.054 15.647 116.322 9.923 l&.508 133.393 10.815 15.202 154■204 11■818 ll.472 lbl.744 13.2 70 13.345 173.975 13.914 13.253 188 .095 14.868 15.576 208.079 l&.284 lb .58b 226.300 22 .421 13.372 £32.172 26.740 32 MEMO: NET TRADE CREDIT 2 ... 409 25.066 26.403 211.1..0 29.113 31.c,29 38.998 44.269 49.007 DEBT SUBTOTALS: 1 3) 33 LONG-TERM DEBT 34 SHORT-TERM DEBT 35 TOTAL S-T LIABILITIES 191.954 54.688 183.805 213.121 59.996 191.965 235.833 68.620 220.521 250.004 IH■643 251.049 287.280 88.039 261.2 55 31&.l.56 91.302 278.622 353.3C>2 103.689 305.037 394.997 126.971 350.626 443.179 158.087 400.981 47b.881 151.18 .. 396. 728 33 34 .:I'.) 77■8.:.6 22.1n 34.867 78.032 21■967 H.822 77.461 22.538 34. 793 75.96.l. l.4.037 31.443 76.542 23.457 31■084 11.101 22.292 31.928 77.313 22.C>86 32.119 75.674 24.325 29.842 73.707 26.292 26.613 lo.005 .t3. 9<,4 31.363 36 37 38 9 IO 11 12 13 1 .. 15 29 30 31 36 37 38 CONSUMER CREDIT TR ADE CREDIT MISCELLANcOUS ASSETS FOREIGN DIRECT INVEST. Ill FOREIGN CURRENCIES INSURANCE RECEIVABLES EQUITY IN SPONS. AGS■ COMMERCIAL PAPER ACUPTANCES FINANCE COMPANY LOANS U.S. GOVERNl4ENT LOANS PROFJT TAXES PAYABLE TRAOE OE:BT MISCELLANEOUS LIABILITIES PERCENT RATIOS: L-T DEBT/CREDIT MARKET DEBT S-T DEBT/CREDIT MARKt:T DEBT LIQUID ASSETS/S-T LIABIL. Ill FOREIGN INVESTMENT IS NET OF BONO ISSUES ABROAD, AND BOND ISSUES OUTSIDE THE U.S. ARE EXCLUDfD FROM LIABILITIES ABOVE 121 INDUSTRIAL POLLUTION CONTROL REVENUE BONOS. ISSUED BY STATE AND LOCAL GOVERNMENTS TO FINANCE PRIVATE INVEST MENT ANO SECURED IN INTEREST AND P�JNCIPAL BY THE INDUSTRIAL USER OF THE FUNDS. 131 MATURITY SPLIT ON DEBT IS APPROXIMATE: L-T IS BONDS, M-f + CO"MERCIAL l40RTGAGES, ANO 401 OF B ANK LOANS. S-T DEBT IS OTHER CREDIT "ARKET BORROWING. TOTAL S-T LIABILITIES IS S-T BORROWING + TAX LIABILITIES + TRADE DEBT. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 9 IO 11 12 u DECEMBER 1976 STATE+LOCAL GOVT AND FORflGN STiTE+LOCAL GOVT AND FOREIGN 107 YEAR-END OUTSTANDINGS, l94b-5 5 ---------------------------------------------------------------------------------------------------------- VEAR-END OUTSTANDINGS, 1946-55 ----------------------------------------------------------------------------------------------------------------------------------------1946 1947 1948 1949 1950 19 5 1 1952 1<;53 1954 1955 STATE AND LOCAL GOVERNMENTS - GENERAL FUNDS 12.389 4.582 708 14 .08 3 · 5. 315 867 15.423 5.808 1. 138 16.205 6.044 1.290 17.718 6 .495 1.391 18.8 5 7 6.890 1.543 20.784 7.193 1.628 22 .771 7.577 1.957 24.770 7.943 2.419 25. 964 7.962 2. 356 4 5 6 7 6.592 5.113 4.921 i cn 7.252 5.787 5. 594 193 7.761 6.222 6.028 194 8.221 6.28ft 6.093 195 9.017 6.748 6 .552 l 96 9.496 7.129 6.93 2 197 11.092 8. 572 8.238 334 12.383 9.598 9.041 557 13.590 10.541 9.848 693 14.613 ll.493 1 o. 84<; 9 10 8 1.454 25 507 1.415 50 649 1.435 104 716 l. 748 185 650 2.032 237 815 2.0 6 1 306 928 2.111 409 871 2.293 492 854 2.467 582 818 11 12 13 14 15 16.148, 15.370 14.886 313 14.573 17.730 16. 801 16.298 512 15.786 20.118 19.040 18.'-6 7 677 17. 790 22.715 21. 537 21.049 20.168 26.214 24.936 24.381 l .214 23.107 28.65 3 27.375 26.55 9 1.586 24.97 3 32.759 31. 381 30.243 1.779 28.464 36.764 35.286 34.512 1.948 32.564 1.178 488 555 1.278 816 1.27 8 1.378 1.138 881 T OTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENC Y llME DEPOSIH 4 5 2.479 641 1.013 STATE + LOCAL OBLIGATI ONS MORTGAGES TAXES RECEIVABLE & 9 10 42.661 41.033 40.594 2.058 38.536 4&. 099 't6. 321 45. 870 2.086 43. 784 TOTAL LIABILITIES CREDIT MARKET INSTRUMENTS STATE + LOCAL OBLIGATIONS SHORT-TERM OTHER 11 774 1.478 439 1.628 't51 1. 778 644 16 17 484 778 503 q29 573 l.078 1 2 3 4 28.186 12.944 2.280 1.582 25.086 ll.282 1. 718 1.564 24.56<; 10. 161 2. 199 1.585 25.230 10.452 l .9ft8 1.121 30.170 1 2 • 53 5 2.035 1.954 31.43 9 12.70 3 1.700 1.666 33.380 12.563 1.950 1.807 36.080 1....199 1.498 2.408 40.186 15.147 1.708 2.900 43.698 15.&67 l. 532 2. 79<, 6 7 8 9 2.690 2.138 1.851 229 56 2.480 1.418 1.161 193 64 2.305 1.850 1. 599 113 2.4qo 2.188 1.867 177 14'> 2.925 3.445 3 .062 161 202 3.450 3.464 2.982 189 293 3. 70!" 4.586 lt.050 227 309 3.650 5.205 4.535 269 401 5.25't 5.574 ...778 212 584 6. 575 6. 536 5.838 259 439 10 11 109 405 92 399 70 365 73 321 87 352 84 376 82 417 76 367 10 l 337 84 374 12 13 6.038 2.503 6.13 3 2.603 6.034 2.787 6.837 3.391 7.996 3.65 8 3.945 8.210 8.677 4.251 9.165 4.633 c;. 931 5. 076 14 15 364 3 .171 546 2.984 1.088 1.962 1.426 2.020 1.886 2.452 2.021 2.304 1.952 2.474 2.092 2.'t40 2. l8b 2.667 16 17 .471 24.218 28.695 30.397 32.166 3..,_444 36.815 38.847 41. 000 ---------------------------------------------------------------------------------REST OF THE WORLD ------------------------------------------------------------------- 138 27. 067 17 -248 937 1.293 1.462 1.446 1.426 1.462 1.367 l. 18 5 1.044 18 l'l 12. 369 2.945 927 8.lt97 13. 509 2.888 1.021 9.600 14.110 3 .158 850 10.102 12.578 1.692 634 10.252 14.451 3.35 5 633 10.46 3 14.858 3.216 783 10.859 16 .oot: 3.102 677 12.227 16.384 3.258 16. 533 3.042 21 7.910 2.891 667 4.352 12.09 4 12.095 22 23 324 32 27 406 24 428 26 423 32 413 35 455 36 482 36 463 66 532 66 586 9.453 635 353 10.539 635 535 8.366 l.003 11. 813 635 389 9.625 1.164 12.674 635 449 10.700 890 15.928 635 618 11.788 2.887 15.79 9 635 489 12.9 79 1.696 17.606 635 498 14.721 1.752 18 .943 635 498 16.253 1.557 20.680 635 711 17.631 1.703 22. 771 635 968 19.395 1. 773 20 24 25 26 27 28 1.221 1.238 1.032 1.396 U.S. GOVERNMENT LOANS TRADE DEBT TOTAL FINANCIAL ASSETS GOLD + SDR'S U.S. DEMAND DEPOSITS U.S. TIME DEPOSITS U.S. CORPOkATE E�UITIES CREDIT MARKET INSTRUMENTS U.S. GOVT. SECUkllIES U.S. C ORPORATf BONDS Ill ACCEPTANC ES SECURITY CREDIT TRADE CREDil 12 13 14 15 lb 17 £ 3 4 5 6 7 8 9 10 11 12 TOTAL LIABILITlES U.S. OFFICIAL FGN. EXCHANGE + NET IMF POSITION lt> CREDIT MARKET INSTRUMENTS CORP. + FOREIGN BONDS BANK LOANS N.E.C. OTHER LOANS 18 l� 2C Ll SECURITY DEBT TRADE DEBT a i3 MISCELLANEOUS LIAblLITIES USG EQUilY IN IBRD, ETC. FOREIGN CURR. HELD IN U.S. U.S. DIR. INV. ABROAD Ill OTHER �4 25 FINANCE U.S. INVESTMENT ABROAD. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis t> 7 MISC ELLANEOUS ASS ETS DIRECT INVESTMENT IN U.S. U.S. BANK LIABILITIES TU FOREIGN AFFILIATES OTHER Ill NET OF U.S. SECURITY ISSUES IN FOREIGN MARKETS TO MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. 3 CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES TREASURY U.S. GOVT. AGENCY 13 14 15 17 26 27 2b Dl:Cl:MBER 1976 �lATE+LUCAL GOVT AfllD FORUGfll HATc+LOCAL GOVl ANI.J f-ului;,.. 108 YEAK-E:NO OUT!,TANDINGS, 1950-65 YEAR-i:ND uUTSTANOINGS, 1956-t,5 ----------------------------------------------------------------------------------------------------------------------19<:>5 1957 l9o2 195b 1958 l9b0 1'161 1963 l',lo't l',159 -----------------------------------------, ----------------------------------------SlAT E: AhD LOCAL <.OVERNMENlS - GENERAL FU,-.D!, --------------------------------------------------------------------------------------------l TOlAL f-IlllAfllCIAL ASSi:lS CJl:MAND OtPOS 11 S + C.UKRE:-.CY TIME DEPOSITS 6 7 C.REDIT MARKET IN!>lRUMENTS u.s. GOVERNMENT SECU1Ul1ES H�E:A!,URY u.s. GOVT. AGENCY 26d66 7.438 2.400 .:6.63', 6.781 2.78 3 27.7',8 t-.56', 3.S89 3'1.b9l e .2 58 3.179 33 .057 8.418 4.557 3".513 8.830 5 .465 37.227 9.364 6.450 .. 1.419 10.877 8.093 4',.<,44 12.509 9.812 50.C66 1.:. 12 7 12.186 15.439 l.l.231! 11.654 5b4 lt..006 I2.4S3 ll.738 755 H,.546 12.6 ,., 11.120 94b 18.048 13.944 12.959 985 16.788 14.459 13.378 l.081 16. 88 3 14.271 13.369 902 19.&66 15.193 14.426 767 20.751 16.120 15.l',S 975 20.734 Ei.987 15.163 il2'+ 23.731 lll.8Sl 17.';55 81jo6 2.480 3 "5 8 9 10 STAlE ♦ LDC.AL OBLlbAllON!> MORlGAGES lAXES RECEIVABLE 1.089 721 2.590 9d 1.06', :t..131 1.135 1.049 2.714 1.3�0 l.l07 2.747 l. 58l 1.294 l.763 1.849 1.335 2.573 2.100 1.547 2.334 2.297 l.t:98 l-223 ,.52 .. 1.81;<, 2.101 2.1u 2. Cl22 ll lOlAL LlAbllITlE5 CREOl l MARKET INSTRUMf.NlS STATE ♦ LOCAL OBLlbATIONS SHOf<l-H:KM OlHE:R 51.85li .. 9.980 4....4bl 2.180 .,7.28 l 56...56 54.378 53.708 2.355 51.353 62-334 60.05<:> 59.206 2.110 !'-6.436 6&.899 66.521 05.486 3.173 62.313 74.463 72.006 70.766 3.457 07.309 79.986 11 •.H 1 75.85 l 3.693 72.156 85.980 83.179 81.209 3.082 77.S27 9.-..un 89.135 86.932 4.128 Bl.804 9c1. 716 \15.397 92.933 ...889 68.0'+4 10<:>.7',6 lld.055 100.278 5. 507 <,4. 771 14 15 519 1. 878 670 2.078 850 2 .2n 1.035 2. 378 1. 240 2.457 l.466 2.669 l.970 2.eo1 .:.203 3.046 2.46.. 3.319 2. 777 3.6<;1 le, l7 ..6.56(> 16.017 1.753 .:.057 ..6.641 15.908 '-· 102 2.533 53.287 18.863 2.006 3.414 59.800 .l0.688 2.140 ,£.575 63.938 22.736 2.122 2.859 70.145 24.173 3.098 2. 91 l 7l .098 25.418 3.233 3.409 711.359 26-709 3.49',1 4.260 84.4.17 27.5',4 4.458 5.515 8 ,.992 29.424 4. 5b3 o.Obl o.901 7.666 o.686 30<; 671 6.091 8.235 0.864 417 954 8.305 & • .l56 t,.958 455 843 <,,"363 ll.266 9.975 534 757 9.302 12.490 10.5 51 648 1.291 11.eoa 12.990 10.998 6218 1.360 10.336 14.364 12.320 657 1.387 l.t..'t85 lS.049 12. 910 702 1.437 l3.b35 15.9.:7 13.385 922 I.620 )4.599 15. 893 n... 21 0b4 1.9b2 6 7 B 86 481 92 5<:>6 119 500 107 bb4 lll 596 149 833 112 80 5 109 774 llo 607 158 957 lu MISCELLANEOUS AS SE TS DIRECT INVE:SlMHIT IN u.s. u.s. BANK LJABILlllES 10 FORUGN AFFILIATES OTHcR 10.939 5.45"1 11.114 5.710 ll.824 6.115 12.c;.-,,7 t..604 13.721 6.910 14.177 7.392 14.02.1 7.t-12 15.47', 7.944 lo.225 8.:.t,3 lb.2',7 8.-,.;1 l,: 2.551 2.92'J 2-356 3.048 2.546 3.163 l.591 3.802 3.503 3.308 3.770 3.015 3.661 2.748 4.033 3.497 4. 593 3 .lt,9 4'.bb:> l.835 14 1� 16 TOTAL LIABILil IES u.s. OFFICIAL FGN. EXCHANGE ♦ NET IMF POSI Tl ON 17 4o.70b 51.76 7 55.622 59. 121 64.Ob4 70.286 75. 764 82.065 9l.987 101.531 le l.ti08 l.975 1.958 1.997 1.555 1.806 1.163 1-247 1.201 l. b'+'+ 17 17.287 3.260 1. 751 12.276 18.660 3.715 2.10 .. 12.841 l0.540 4.526 2.630 13.38'+ 21.075 ...854 2.853 l::l.3bd l$.074 5.62', 2.9',14 14.456 25.387 6.155 3.690 15.542 27.945 7. l,54 4.114 16.677 31.01.. 8.1S4 4.725 18.l<,5 36.041 9.196 6.676 20-169 �a.en 10. lb5 7.178 21.5.?<, 60 728 60 816 11 794 87 877 84 1.711 121 l.902 85 2 .lo7 108 2.191 91 2.B37 119 ,.657 l7.023 670 1.488 22.505 2.360 30.256 670 2.09b 25.394 2.096 32.253 670 2.42', 27... 09 l.750 35.085 670 2.042 ,t,9.bl7 37.640 8.l', 3.20£ 31.865 1.749 ... 1.010 995 3.548 34.717 l.810 .. 4.404 1.111 4.1<:>4 37-276 l.847 47.445 1.179 4.483 40.736 l.047 53.&17 l -�29 4.781 44 • .,80 3.327 58.23<,, 1. ;/',IQ ° 4.2 50 ',9.21'3 l.4lb 12 13 14 15 16 17 u .s. GUVERNMENl LOANS lRAOE: DEBT l lOHL FINANC JAL ASSElS GOLD ♦ SOR' S u. s. DEMAND 01:POSITS u. s • lIM E Ut::POSI lS ... 8 9 10 11 12 13 14 15 u.s. CORPORAlE EWillES lREDIT MARKET INSTRUMENTS u.s. GOVT. SECUi\JlJES u.s. CUR PORA lE bONDS (1) ACUPlANc.ES Sl:.C.URITY C Rl:.OIT TRADE CRi:D 11 18 19 20 21 CREDll MARklil lNSlRU,,.ENT S CORP. ♦ FOREIGN bONDS BANK LOANS N.e.c. OTHtR LOANS 23 22 SECURilY DE.Bl TRADE DEBT 24 25 26 27 28 MISCtLLANEUUS LIABJlllHS USG E:QUilY IN lllRD, Ht. FOREIGN CURR. HELD IN u.S. u.s. DIR. INV. ABROAD C ll OTHH 111 NEl OF u. s. SECURllY ISSUES IN FOREIGN MARKETS TO FINANC.E u.s. INVEST,,.ENl ABROAD. MONEY AMOUNTS ARE: IN MILLIONS UF DOLLAkS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 11 ll u -------------------------------------------------------------------------. ------------------�E:Sl OF THE: WORLD ----------------------------------------------------------------------------------------- 3 6 1 <, 10 1.9.,o " 11 l:; lb l'- Lu d "'· 2.:l i4 ;,; 2t:> i.1 2b DECEMBER 1976 STATE+LOCAL GOVT AND FOREIGN STATE+LOC.AL GOVT AND FORt:IGh 109 ----------------------------------------------------------------------------------------YEAR-END OUTSTANOINGS, l9b6-7 5 yEAR-END OUTSTANDINGS, 1966-:75 1967 1968 1970 1969 1966 197 1 1912 1973 1914 l 975 ------------------------------------------------------------------------------------STAlE ANO LOCAL GOVERNMF.NlS - G ENERAL FUNDS --------------------------------------------------------------------------------54.348 12.975 13 .462 57.980 14.126 15.892 63.465 13.913 19.llO 64.568 15.326 13.220 71.857 12.472 23.225 78.5 6 7 13.498 30.384 <;6. 139 15.063 37.161 112.506 14.535 44.385 128.795 13.944 50.087 139. 163 14.269 46.113 4 5 t, 25.636 20.623 20.460 163 25.461 20.333 19.654 6 19 :n.261 21.901 19.165 2.136 32.538 26.650 22.227 4.423 32.451 25.498 23.166 2.332 30.44 0 22.660 21.l'38 822 38.895 29. 750 2t,.199 3.551 41.e21 36.611 26.074 10.537 58.000 43.865 24.291 19.574 70.139 52. c;37 30.623 22.314 C.REOll MARKET INSTRUMENTS U.S. GOVERNMENT SE:CUKI llES TREASUKY U.5. GOVT• AGENCY 8 9 10 2 .125 2.888 2.275 2.125 3.003 2.499 2.171 3.1c;5 3.115 .:.236 3.652 3.484 2.384 4.569 3.709 ?..l 32 5 .64 8 4.?.45 2.110 7.035 5.020 2.481 B.735 5 .759 2.9 30 11.205 6.764 4.390 l:.!.612 6. 6't2 SlAlE + LOCAL O&LIGATION� MORTGAGES TAXES RECEIVABLE: 11 12 13 14 15 113.511 lOQ.329 105.925 6.168 99.757 122.102 117.282 113.703 105.703 s.ooo 132.642 127.212 123. 219 l!.143 115.076 l43.B2e 137.884 133.145 10.909 122.236 1">5.641 149.186 144.370 13.252 131.118 174.08 2 166.97 6 161.7 95 15.735 14t,.060 l89.9Be 182.174 176.648 15.787 160.861 204.Q84 196.0l-4 191.168 16.102 175.066 224.562 214.733 209.141 18.647 190.494 240. 31t2 229. 603 .:23. 822 lb. 674 207. 148 TOTAL LIAB I LI lIES CREDIT M ARKET INSTRUMENTS !, TA lE: + LOCAL 06LlGAllGN::. SHOKT-HRM OTHER 16 17 3.404 4.182 3. 579 4.820 3.9q3 5.430 4.739 5.944 4.816 6.455 5.18 l 7.106 5.526 7.814 4.916 B.900 5.592 9.829 5. 781 10. 739 l 2 3 1 TOTAL FINANC.Ul ASSETS DE MANIJ DE POSITS + CURRENCY TIME: OE:POSllS -------------------------------------------------------- U.S. GOVERNMENT LOANS TRADE DEBT 2 3 4 5 b <; 10 11 1.2 13 l't 1, lt 17 REST OF THE WORLD ------------------------------------------------------------------------------------- TOTAL FINANCIAL ASSE lS GOLD + SOR' S u.s. DEMAND DEPOSllS u.s. TIME: DEPOSITS 1 2 3 4 89.594 29.950 4.963 6.413 98.024 29.!>35 5.290 7.619 107.901 30.013 5. 851 7.409 115.'589 29.156 6.175 8.789 125.215 32 • 7 b6 6.696 7.125 153.7 18 36.16 3 6.503 7.454 le4.950 43.425 8.083 10.263 200.962 47.270 10 .975 13 .219 224.702 47.002 13.891 20.233 247. b50 47. 044 14.007 20.940 5 1 8 9 12.b43 14.281 10.012 1.257 2.212 15.511 16.078 12.903 928 2.247 19. 551 16. ll2 12-432 854 2. 826 18.141 14.B50 10.619 411 3.820 1 8.689 25.705 19.731 l.667 4.307 21.429 52.456 46.033 2.27 5 4.148 27.827 61.273 54.435 2.752 4.086 24.848 61.994 54.775 2.832 4.387 11.111 70.444 58.396 1.039 11.009 26. 108 77.492 66.500 2. :,�l 8.441 C.OkPORA TE EQUllJE:S CREOll MARK!:1 INSTRUMi:NTS U.S. GOVT. SE:C.URillES U.S. CORPORATE BONO!, I 11 ACCEPTANCES 10 11 175 1.418 311 1.814 636 2.735 434 4.390 349 5.779 311 5.883 366 7.296 333 B.282 293 9.937 364 11.580 SECUklTY CRE:ull TRADE CREOl l 10 11 12 13 19.751 9.054 21.806 9.923 25.594 10.815 33.654 11.818 2b .106 13.270 22.919 13.914 26.417 14.868 34.041 18.284 45.191 :a.-.21 49.515 26. 740 ll 13 14 15 7.607 3.090 8.310 3.573 10. 62 8 4.151 18.564 3.272 11.625 3.211 7.55 6 1.449 B.489 3.060 9.552 6.205 14.149 8.621 12.962 c;. &13 MISCELLANEOUS ASSETS OlKECT INVESTMENT IN u.s. u.s. BANK LIA61LITIES 10 FOREIGN At°FILIATES OTHEk 16 107.276 116.503 126.576 135 .135 142.013 154.459 168.594 191.956 232.261 270.912 6 u.s. .. b 7 t:, ', 14 15 lt. 17 1.647 2. 765 4.818 5.105 2.564 861 706 560 1.857 2. 292 TOTAL L1AB ILI llES U.S. OFFICIAL FGN. EXCHANGE: + NET IMF POSITION 18 19 20 21 39.900 10.5 43 1.053 22.304 42.849 10.779 6.787 25.28 3 45. 309 ll.702 6. 323 27.284 47.500 11.718 6.086 29.696 51.881 14.397 5.749 31.135 51.080 15.904 7.314 33.862 62.267 17.095 10.261 34.911 68.444 17.766 13 .102 37 .576 81.433 19.552 17.796 44.085 94. 215 25. 577 21. 786 46. &52 CREOll MARKET INSlRUMENTS CORP. + FOREIGN BONDS BANK LOANS N.E.c. OTHER LOANS Ll 22 23 128 2.999 298 3.532 508 3.931 278 5.216 279 6.179 3 14 6.70 5 405 1.112 231 9.049 193 12.135 319 14.186 SE CUk ITV DEBT TRADE: DEBT 22 .:3 24 25 ?.6 62 .604 1.290 4 .012 51.007 6.295 67.059 1.373 4.084 55.352 6.250 72.010 1. 510 4.567 58.595 7.338 77.036 1.694 4 .235 63.812 7.295 81.110 1.929 4.661 70.245 4.275 89.499 2.181 6.136 76.66 1 4.521 98.044 2.451 c;.485 82.092 4.016 113.672 2.799 14.297 94.077 2.499 136.643 3.445 15.590 109.105 8.503 159.960 4.098 20.404 123. 227 12.231 21 28 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis lo 1c; 20 MISCELLANEOUS LlABILITIE:!, 2't USG EQUilY IN IBRD, ETC.. 2, FOREH,N CURR. HELO IN u.s. Lb U.S. DIR. INV. ABROAD ( 11 21 �b OTHER 111 NET OF u.s. SECURITY ISSUES IN FOREIGN MAkKETS TO FINANCE U.S. INVESTMENT ABROAD• MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. 17 DECEMBER 1976 U.S.GOVT. + AGENCIES llO U.S .GOVT. + AefENCI ES SEC TOR STA TEM EN TS OF FI NA l'fCIA L AS SE TS Al'fD LIABIll TI ES YEAR-END OUTSTAl'f DIN GS , Y EAR-END OUTSTANDIN GS, 1946-5 5 1947 1946 1948 1949 1950 1951 1953 1952 1954 1946-55 1955 ------------------------�-------- U.S. GOVERl'fMENT 1 TOTAL FINA NCIAL ASSETS 2 GOLD, SDR1S,+OFF. FGl'f. EXCH. D EMAND DEPOSITS + CURRENCY 3 TIME DEPOSITS 4 22 .104 - 71 ,..214 1 20 29.561 1. 330 3. 662 111 33.2'-l 1.729 4.847 117 32.890 1.878 5 .186 182 40.875 1.594 4.948 190 48.361 1.631 5.067 278 49.622 1.557 7.438 3 51 50.43't 1.47 1 5. 906 31t, 'o7.070 1.302 5 .5 67 370 5 0.100 l .1 08 . 5 .29 7 357 1 2 3 .. 5 6 7 8 9 10 CREDIT MARKET INSTRUMEl'fT S SPONSORED AGENCY ISSUES MORTGAGES OTliER LOANS TO REST OF THE WORLD TO OTHERS 8.293 0 l .o 38 7.255 ,..316 2 .939 12.577 0 9'-5 11.632 a. "23 3.20 9 13.9 "9 0 991 12.958 9.531 3.,.27 15.273 0 1.462 13.811 1 o. 044 3.767 15.976 0 1.777 14.199 10 .133 4.066 17.274 5 2.391 14.878 10.286 lt.592 18.816 2 2.936 15.878 10 • 702 5.176 20.785 0 3.326 17.459 12. 03 0 5.'o29 20.495 1 3.425 17.069 11.823 5.246 2 1.109 20 3.022 17.467 11.785 5.682 5, 0 7 8 9 10 11 12 13 TAXES RECE JVABLE TRADE CREDIT MISCELLANEOUS 8 .2 18 100 1.230 10. 566 0 1.315 11 .3 78 0 1 .221 9.114 0 1.25 7 16.515 400 1 .252 21.601 1.300 1.210 17.9<;8 2 .251 1.211 18. 537 2.214 1.17 9 15 .541 2.445 l .350 l 8.23't 2.274 1 .061 ll 12 13 243.741 2 .,.36 228 .o 33 44.151 NA NA 0 105 0 23 6.988 2.408 220.802 46. 236 NA NA 0 68 0 232 .0 24 2 .403 215. 093 47.837 NA NA 0 915 0 235.246 2.384 217. 670 49.300 NA NA 0 1. COit 0 235.993 2.374 216.lt 91 49 .552 NA NA 0 3 82 0 238. 020 2.398 21 6.053 49.081 51.773 11 lt.954 0 245 0 244.1 55 2.435 221.ltl8 "9.173 ct..3 69 107 .2 50 0 626 0 251.398 2.469 228. 438 49.371 80.231 96. 583 0 2.253 0 253.507 2 .505 230.836 lt9.966 o5 .508 113.024 0 2.338 0 252 .ea " 2.507 23 0.02 9 50.229 69.429 108.760 570 1.041 0 14 15 16 17 18 666 4.758 3.273 4 .575 0 5.363 4.096 4. 319 0 5 .576 4.9 19 4.033 0 5.660 5.959 3.573 1.100 5.969 6.743 3.316 2.100 6.142 7.lt53 3.274 2.775 6.185 8.411 2 .9 31 2.600 6.25 9 8.941 2.69 1 2.366 5 .960 9 .359 2.481 2.283 5.7'95 10.048 2.222 23 24 25 20 14 TOTAL LIABILITIES TREASURY CURR. + SOR CTF S. 15 CREDIT MARKET 1"'STRUMENT S 16 SAVINGS BONDS 17 SHORT-TERM MARKETABLE 18 OTHER DIRECT 19 BUDGET AGENCY ISSUES 20 LOAN PARTICIPATIONS 21 RESIDENT! AL MORTGAGES 22 23 2'25 26 TRADE DEBT LIFE 1"'SlJtANCE RESERVES RETIREMENT F IJ'4D RESERVES MISCELLANEOUS 1<, 20 21 ,2 FEDERALLY SPONSORED CREDIT AGEl'fCIES ANO MORTGAGE POO LS SP()',jSORED CREDIT AGENCIES2 .210 93 2.455 90 2 .768 77 2. 75 8 71 3.212 91 3.626 89 3. 779 96 4.00 7 139 4.379 112 5.3't2 132 2 .121 356 356 0 0 2.322 325 325 0 0 2.679 453 453 0 0 2.647 450 450 0 0 3.107 373 373 0 0 3.524 428 428 0 0 3.647 495 495 0 0 3. 708 589 589 0 0 4.0,4 81t9 8"9 0 0 5, .04 0 976 936 0 'tO t, 7 301 0 301 432 0 432 509 0 509 't27 0 427 810 0 810 911 0 911 864 0 864 952 0 952 867 0 867 1.503 86 l.'tl7 10 1.470 9 59 135 376 50 1.565 887 19 4 484 43 1 .717 872 240 605 12 1.770 <,05 247 2.185 1 .010 326 849 13 2.288 1.0 91 330 867 36 2.101 1.18 0 372 615 160 2 .308 1.281 362 665 2't3 2 .5o l l.'t97 371 693 170 11 12 618 'tO 1.924 952 279 693 14 2.054 1.168 1.168 0 2.211 1.284 1. 284 0 2.516 1 .559 1 .559 0 2.493 1.447 1.447 0 2 .921 1 .828 1.828 0 3.314 2.055 2. 055 0 3.436 2.102 2. 102 0 3.b47 2.099 2.099 0 4.005 2.064 2 .064 0 4.950 3.071 3.005 66 lo 17 18 19 886 70 6 13 203 927 98 583 246 957 133 604 220 1.046 267 599 180 1.093 224 606 263 1.259 261 649 349 1.33" lt20 6 98 216 1.548 556 758 232 1.941 8 02 898 241 1.879 098 990 19 l 21 u 24 TOTAL MORTGAGE HOLDII\GS HOME MORTGAGES 25 MULTIFAMILY MO RTGAGES 26 FARM MOR TG AGES 27 0 0 0 0 0 0 0 0 4 0 0 4 32 0 0 32 43 0 0 43 53 0 0 53 60 0 0 60 78 0 0 78 116 0 0 116 24 28 TOTAL POOL SECURITIES 0 0 " 7 0 0 7 7 32 43 53 60 78 116 28 MEMO: TOTALS FOR AGENCIES ANO POOLS-29 CREDIT MARKET INST RUMENTS 2 .127 356 LIQUID ASSETS 30 3 01 H OUSING CREDIT 31 32 LOANS TO AGRICULTURE 1.470 2.322 325 43 2 1. 565 2.683 453 509 1.121 2. 654 450 3.567 1. 777 3.139 373 810 1.956 911 2.228 3.700 495 864 2.341 3. 76 8 589 952 2.221 4.102 849 867 2.386 5.156 976 1.503 2.677 29 30 31 32 33 DEBT SECURITIES OOTSTANDIN G 1.284 1.563 1. 454 1.860 2.098 2 .155 2.159 2 .142 3.121 33 1 TOTAL FINANCIAL ASSETS 2 DEMAND DEP OSITS+ CURRENCY 3 4 5 6 7 8 9 10 11 12 13 14 15 C REOIT MARKET INSTRUHEl'fT S LIQUID ASSETS U.S.GOVT. SECURITI ES OPEN-MARKET PAPER FEDERAL FUNDS + RP'S HOUSING CREDIT RESIDENTIAL MORTGAGES FHLB LOANS TO S + L ASSOC. LOANS TO AGRICULTURE FARM MORTGAGES LOANS TO COOPS (BC ) LOANS TO FARMERS (FICB) MIS CELLANEOOS ASSETS 16 TOTAL LIABILITIES 17 C REOIT MARKET INSTRUMENT S SP()',jS. AGENCY ISSUES ( 11 18 19 U.S. GOVERNMENT LOANS 20 21 22 23 MISCELLANEOUS LIABILITIES D EPOSI TS AT FHLB'S CAPITAL SUBSCRIPTIONS OTHER .. 3 :, " B 13 14 1:, .:.0 23 F EDERALLY SPONSORED MORTGAGE POOLS 11) (1) G""'4A, FHLMC, 1.168 AND FARMERS H04E ADM. POOLS. MONEY AMDIJ'4TS ARE IN MILLIONS OF OOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 427 428 2:> ._t, 27 DECEMBER 1976 u.s.GOVT. + AGENCIES u.s.GOYT. + AGENCH:S 111 SECTOR S TATEMENTS OF FINANCIAL ASSETS ANO LIABILITIES YEAR-ENO OUTSTANDINGS, 1<;56-b5 YE AR-END OUTSTANO INGS, 1956-65 1956 1957 1958 1959 1960 1961 1962 1963 1964 1965 u.s. GOVERNMENT 1 2 3 4 49.859 1.776 5.009 330 49.487 2.080 5.145 301 48.558 2.041 5.453 327 53.468 2.110 6.111 285 54.440 1.693 7.154 262 57.144 1.911 1.111 28 4 60.739 1.209 8.116 269 64.350 1.229 7.730 260 67.956 1.034 8.302 272 71.037 1.137 6.902 250 5 6 22.411 13 3.925 18.473 12.153 6.320 23.890 3 4.335 19.552 12.772 6.7 8 0 25.714 2 5.605 20.101 12.810 7 .297 2«>.780 37 5.800 20.943 13.263 7.680 28.452 35 6.249 22.16 8 13. 754 8.414 30.855 0 6.322 24.533 14.925 9.608 32.295 29 5.917 26.349 15.970 10.379 35.093 12 5.870 29.211 17.548 11.663 37.926 10 21.770 9 3.644 1.8 -117 11.799 6.318 5.853 32.028 19.02 8 13.000 CREDIT MARKET INSTRUMENTS SPONSORED AGENCY ISSUES MORTGAGES OTHER LOANS 1·0 REST OF THE WORLD TO OTHERS 9 10 11 12 13 16.388 2.350 2.236 14.406 2.261 2.883 11.957 1.123 3.167 14.115 1.122 3.411 12.675 l.790 4.08t 13.155 1.776 4.395 13.697 2.005 4.588 15.472 2.490 4.874 15.733 2.734 4.788 11 .021 3.122 4.679 TAXES RECEIVABLE TRADE CREDIT MI SCH L4N EOUS 11 12 13 14 15 16 17 18 19 20 21 22 248.359 2.526 224.213 50.135 75.746 96.976 570 786 0 246.529 2.562 221.958 48.226 82.619 89.288 1.372 307 96 256.748 2.600 231.258 47.703 79.764 101.496 797 801 532 264.739 2.639 238.335 45.907 85. 103 105.364 797 151 847 263.782 2.680 236.274 45.642 88.550 100.092 50 638 1.252 272.157 2.740 243.475 46.445 99.254 95.257 100 89 5 l.474 280.347 2.760 250.468 46.968 100.130 100. 04 7 145 1.393 1.734 285.431 2.806 254.441 48.149 101.377 101.427 180 l .187 1.796 292.703 2.830 260.670 49.060 106.057 101.480 190 2.032 1.826 296.700 3.064 262.434 49.o95 109.055 98.876 240 2.430 1.845 23 24 25 26 2.608 6.098 10.911 2.003 2.769 6.185 11.346 l.709 2.832 6.241 12.2 8 0 1.537 2.903 6.350 13.164 1. 348 3.145 6.426 14.0<;0 1.161 3.380 6.519 15.006 l.037 3.t-61 6.644 15.999 815 3.562 6.775 17.160 687 3.359 6.879 18.409 556 3.866 7.013 19.724 599 1 8 9 TOTAL FINANCIAL ASSETS GOLD, SOR 1 S,+OFF. FGN. EXCH. DEMAND DEPOSITS + CURRENCY TIME DEPOSITS 45 l 2 3 4 5 6 1 8 TOTAL LIABILITIES TREASURY CUR R . + SOR CTFS. CREDIT MARKET INSTRUMENTS SAVINGS BONDS SHORT-TERM MARKETABLE OTHER OIREC..1 BUDGET AGENCY l SSUES 14 15 lo 11 18 19 TRADE OEbT LIFE INSURANCE RESER VES RETIREMENT FUND RESERVES MISCELLANEOUS 23 24 2:> 2b LOAN PARTICIPATIONS RESIDENTIAL MORTGAGES ------------------------------------------------------------------------------ 2Ci 21 22 FEDERALLY SPONSORED CREDIT AGENCIES AND MORTGAGE POOLS SPONSORED CREDIT AGENCIES-TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 6.317 132 7.697 113 8.022 125 10.312 157 11.546 152 12.664 207 14.331 227 15.78 3 201 16.487 1 87 18.ll:t 172 6 7 6.06t> 1.244 1.226 0 18 7.365 1.161 1.143 18 7.684 1.252 1.252 0 0 9.908 1.352 1.352 0 0 11.095 1.497 1.494 0 3 12.126 1.419 1.41 9 0 0 13. 744 1.792 1.792 0 0 15.298 2.204 2.204 0 0 16.034 1.789 1.762 0 27 18.265 1.896 1.696 0 0 8 9 10 1.877 649 1.228 2.901 1.636 1.265 2.679 1.381 1.298 4.184 2.050 2.134 4.8 8 4 2.903 1.981 5.534 2.872 2.662 6.325 2.846 3.479 6. 846 2.ot.2 4.784 7.322 1.997 5.325 8.517 2.520 5.997 ll 12 13 14 15 2.945 1.741 457 747 119 3.303 1.917 454 932 219 3.753 2.087 510 1.156 213 4.372 2.360 622 1.390 247 4.7 14 2.5t.4 64', J.50 l 299 5.175 2.82 e 697 1.650 329 5.627 3.052 735 1.840 360 6.248 3.309 840 2.099 284 6.923 3.718 958 2.247 266 l.852 4.281 1.055 2.516 335 16 5.912 3.809 3.448 361 7.254 4.929 4.848 81 7.544 4.985 4.925 60 9.804 7.259 7. 120 139 11.001 7.897 7.860 37 12.079 8.57 8 8.474 104 13.691 10.077 9.98 8 15.084 11.524 11.524 0 l!>.739 12.068 11.937 131 17.969 14.182 13.846 336 20 21 22 23 2.103 6 83 1.102 318 2.325 653 1.283 389 2.559 819 1.379 361 2.545 589 1 .514 442 3.11 C', 938 l.6'i0 lt82 3.501 1.180 1.835 48 6 3.614 1.213 1.884 517 3.560 1.151 1.902 507 3.671 1.199 1.930 542 3.787 l.C,45 2.029 713 24 25 26 27 149 0 0 149 173 0 0 173 190 0 0 190 204 0 0 204 202 0 0 202 290 4 0 286 413 8 0 405 525 15 1 509 624 41 2 581 869 154 4 711 TOTAL MORTGAGE HOLDINGS HOME MORTGAGES MULTIFAMILY MORlGAGES FARM MOR 1 GAGES t.4 25 26 ,7 28 149 173 190 204 202 29 0 413 525 624 869 TOTAL POOL SE:C.URil lES .£11 l 2 4 5 17 18 19 0 89 CREDIT MARKET INSTRUMENTS LIQUID ASSE:TS U,S.GOVT. SECURITIES OPEN-MARKET PAPER FE:DERAL FuNDS + RP•� HOUSING C.REOIT RESIDENTIAL MORTGAGES FHL8 LOANS TO S+L ASSOC. LOANS TO AGRICULTURE FARM M ORTGAGES LOANS 10 COOPS IBC) LOANS TO FARMERS IFICBI M ISCELLANEOUS ASSETS lOTAL LIABILITIES CREDll MARKET INSTRUMENTS SPONS. AGENCY ISSUES Ill U.S. GOVERNMENT LOANS MISC.ELLANEOUS LIABILITIE� DEPOSITS AT FHLB1S C.APllAL SUBSCR IPTIONS OTHE:R ----------------- 2 3 4 !> C, 7 b <; 10 11 12 l3 14 l5 lo 11 111 l<; 20 21 22 23 FEDERALLY SPONSORED MORTGAGE POOLS 111 29 30 31 32 6.215 1.244 1.877 3.094 7.538 1.161 2.901 3.476 7.874 1.n2 2.b79 3.943 10 .112 1.352 4.184 4.576 11.2c,7 1.497 4.884 4.916 12.418 1.41 9 5.538 5.461 14.157 1.792 6.333 6.032 15.823 2.204 6.862 6.757 16.658 1.789 7.365 7.504 MEMO: lOTALS FOR AGENCIES AND POOLSCREDll MARKET INSTR UMENTS 19.134 LIQUID ASSETS 1.896 HOUSING CREDIT 8.675 LOANS TO AGRICULTURE 8.563 33 3.597 5.021 5.115 7.324 8.062 e.764 10.401 12.049 12.561 14. 715 DEBT SEC.URITIES OUTSTANDING 11> GNMA, FHLMC, ANO FARMERS HOME ADM. P OOLS. MONEY AMOUNTS ARE IN MILLIONS OF DOLLAR S. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis l', 30 31 3, 33 DECEMBER 1976 U.S.GOVT. + AGENCIES U .S .GCNT • + AG.t'.NCIES 112 SECTOR STATEMENTS OF FI NANCIAL ASSETS AND LIABILI TIES ------------------------- ------------- ----- --------- ---- ----- -------------------------------------- --------------------- -------------------- --------------------- YEAR-ENO OUTSTANOINGS, 1966-H YEAR-END OUTSTANOINGS, 1966-75 196 7 1966 1968 1969 1970 1971 19 72 19 7 3 197'> 197!'> U • S. GOVERNMENT I 1 TOTAL FINANCIAL ASSETS GOLD, SDR'S,+OFF. FG N. EXCH. 2 DEMAND DEPOSITS + CU RREN C Y 3 TIME DEPOSITS 4 74.840 905 6 .8 16 220 7 7.602 1.304 8.266 267 84 .5 76 3.340 6.586 368 88.061 40691 7.729 211 89.140 3.573 10.1 81 463 93.2.09 2.094 13.491 520 94.452 2.627 13.336 606 99.487 2.887 12 .646 439 105 .404 4 .312 8.2 57 477 122.358 'o.571 11.153 572 2 3 4 6 7 8 9 10 5 6 7 8 9 10 CREDIT MARKET INSTRUMENTS S POI &ORE D AGEN CY ISSUE S MORTGAGES OTHER LOANS TO REST OF THE WORLD TO OTHERS 42 0442 1.3!>5 6 .831 34.256 19. 764 14 .492 4 7. 05 5 1.267 7. 824 37.964 22.210 lS.694 51 .951 I.401 9 .261 41.289 24.430 16 .859 55.081 104 10.231 44.746 26.527 18.219 57 .768 7 10. 533 47 .228 27.767 19.461 59.918 25 1 o. 153 49.740 29.592 2 0.148 o2.391 8 9.470 52 .9 13 31.685 21.228 6!>.462 6 8. 871 56. 58 5 33.420 23.165 73 .059 2 .508 10 .29 3 60.258 32.848 27 .410 88.226 1.012 13.5 17 67.697 35.720 31.9 77 11 12 13 T AX ES RECEI VABLE TRADE CREDIT MISCELLANEOUS 15 .6 56 4 .3 71 4."30 1 0.53 5 5.839 4.336 11.804 6.414 4.113 8. 81 2 7. 333 4.204 6 .221 6.556 4.378 7. 763 4.852 4. 571 1.0 14 4.033 4o4"5 s. 33 0 "-307 5.416 8.611 5.184 5 .504 5.330 6.418 6.088 11 303.449 3 .963 266 .063 50 .249 110 .485 98.592 3"5 3 .680 1.783 319.349 "-646 279.063 5 1. 219 119.121 98. 771 462 7. 718 1. 720 3 34 .850 5 .062 292.631 51.866 119 •795 107 .924 1.946 9 .394 1.654 332•"l7 5. 33" 288.96 7 51. 770 128.800 9 7. 457 lo 572 7.464 1.573 346.182 5.956 300 .818 52 .089 134.207 104.771 1.891 6.187 l."98 373.665 604"6 325.!>65 54.416 130. 765 131.969 2. 531 4.346 1.426 392.355 6.979 340.779 !>7.667 143.943 1 29.890 "-513 3.402 1.340 i,03.368 7.'901 349.05 1 60.35 4 153.447 125.630 !>.259 3.092 1. 269 419 .856 7.733 361 .048 63.338 163.347 12"o773 5 .402 3.026 1 .162 510.83 6 8.670 446.254 67.363 219.018 150.925 !>.132 2.742 1.074 1'9 l!> 16 "-535 7 .120 20 .9 77 7 91 5.10" 1.20 0 22.292 lo 044 5 .103 7 .186 23.628 1 .240 4. 775 7.252 25.147 942 "-193 7 .358 27 .528 329 3. 518 7.429 30.371 336 3.3 98 7.498 33 .364 337 3.51" 7.566 35.499 337 3 .455 7.634 38.238 l .748 5 .176 7. 702 ,41.884 1 .150 24 2!> 14 TOTAL LIABILITIES 15 TREASURY CURR. + SM CTF S. CREDIT MARKET INST RUMENTS 16 17 S AVINGS BONDS SHORT-TERM MARKETABLE 18 OTHER DIRECT 19 BUDGET AGENCY ISSUES 20 LOAN PARTICIPATI ONS 21 RESIDENTIAL MORTGAGES 22 23 24 25 26 TRADE OEST LIFE INSURANCE RESERVES RETIREMENT F�D RESERVES MISCELLANEOUS ------------------------------------ - !, 12 13 17 18 19 .LO 21 22 23 lb FEDERALLY SPONSORED CREDIT AGENCIES AND MORTGAGE POOLS SPONSORED CREDIT AGENCIES23 .832 175 2 3. 724 17 8 26 .962 181 36.13" 230 46.477 193 "1.105 247 51ol 34 199 69.859 297 87 .888 284 93.007 281 1 2 23 .382 2.880 2 .8 31 0 1,11 2 3.289 2. 855 2.855 0 0 26.530 2.747 2.735 0 12 35.300 2.340 2.147 0 193 44.878 4.213 3.247 0 966 45.343 3.053 2.70 1 0 352 49.712 2.652 l .486 414 752 67.�3 4. 72 1 1. 467 221 3.033 87.30!> 5.051 1.890 l .097 2.064 9 1.515 6.322 3.35 9 l .186 1.777 3 4 5 6 7 11.331 4.396 6 .935 9.908 5. 522 4.386 12 .426 7 .1 67 5.259 20.239 10 .950 9.289 26.474 15 .859 10.615 26.691 18. 755 7.936 29.572 21.593 7.979 42.049 26.902 15.1"7 56.374 34.570 21.804 55.205 37 .360 l 7.8'o5 10 9.171 4 .958 1 .290 2 .923 275 10.526 5.609 1.506 3. 411 257 11.357 6.126 1.577 3.654 251 12. 721 6. 714 1.732 4.275 604 14. 191 7.187 2.030 4.974 1.406 15. 599 7.917 2.013 5.669 1.59 5 17.488 9.09't 2.298 6.096 1.223 20.723 10.948 2 .577 7. 198 2.069 25.880 13.457 3.575 8.848 299 29 .988 16.014 3.979 9.995 1 .21 l 11 12 13 lit 15 22 .983 19.007 18 .904 103 22. 833 18. 38 6 18.350 36 26 .056 21 .862 21.579 283 35.193 30.645 3 0.645 0 45.519 38.879 38.879 0 46.132 40.021 40.021 0 lt9.935 43 .542 43 .542 0 68.399 59.837 59.837 0 85 .960 77.134 76.439 695 90.808 80.340 78.781 1.559 16 17 18 19 3.9 76 l .037 2.293 646 4.447 1.432 2.371 644 4.194 1 .383 2.218 593 4.548 1.041 2.426 1.081 60640 2.330 2.732 1.578 6.111 1.789 2.849 1.473 6.393 l .548 3.107 1.738 8.562 1.745 3.672 3.145 8.826 2.393 4.431 2.002 10.468 2.662 4.799 3.00 7 20 2.1 22 l3 24 TOTAL MCRTGAGE H OLDINGS H OME MORTGAGES 25 MULTIFAMILY MORTGAGES 26 FARM MORTGAGES 27 1 .314 460 4 850 l.988 953 9 1.026 2 .526 1.377 18 1.131 3.204 lo 813 35 lo 356 4.755 3 .028 60 1.667 9.526 7.306 114 2.106 14.404 11.5 68 392 2.444 l 8.040 14. 760 616 2.664 23 .799 20.112 785 2.902 34.138 30.029 1.2.63 2.8'>6 2't 28 TOTAL POOL SECURITIES l .314 l.988 2 .526 3.204 4.755 9. 526 14 .404 18.040 23.799 34.138 28 MEMO: TOTALS FM AGENCIES ANO POOLSCREDIT MARKET INSTRUMENTS :aft.696 2.seo LIQUID ASSETS H OUSING CREDIT u.795 10 .021 LOANS TO AGRICULTURE 25.277 2.855 10.870 11.552 29 .056 2 .7 47 13.821 12.488 38. 504 2.340 22.08 7 14.077 49.633 4.213 29.562 15. 858 54. 869 3.053 34. 111 17.705 blt.116 2.652 41.532 19.932 85.533 4.72 l 57.425 2 3.387 111.104 5.051 11.211 28.782 12 5.653 6.322 8b.497 32.834 29 112.919 33 1 TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 2 3 4 5 6 7 8 9 10 11 12 13 14 15 CREDIT MARKET INSTRUME NTS LIQUID ASSETS U. S.GOVT• SECURITIES OPEN-MARKET PA PER F EDERAL FUNOS + RP 1S HOUSING CREDIT RESIDENTIAL �TGAGES FHLB LOANS TO S+L ASSOC. LOANS TO AGRICULTURE FARM MORTGAGES LOANS TO COOPS CBC) LOANS TO FARME RS C FICB) MI SCELLANEOUS ASSETS 16 TOTAL LIABILITIES CREDIT MARKET INSTRUMENTS 17 SPONS. AGENCY ISSUES 11) 18 19 U.S. GOVERNMENT LOANS 20 21 22 23 MIS CELLA NEOUS LIABILITIES DEPOSITS AT FHLB 1S CAPITAL SUBSCRIPTIONS OTHER 8 9 FEDERALLY SPONSORED MORTGAGE POOLS Cl) 29 30 31 32 33 DEBT SECURITIES OUTSTAl'«lING 20.218 20.338 CU GNMA, FHLMC, ANO F ARME RS HOME ADMo POOLS• MONEY AMOUNTS ARE IN MILLICJ,IS OF OOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 24 .105 33.849 43.634 49.5 4 7 5 7.946 7 7 .877 100.238 25 26 27 30 31 32 DECEMBER 1976 BANKlfltG SYSTEM BANK ING SYSTEM 113 SECTOR STATEMENTS OF FINANCIAL ASSETS ANO LlABILlllES ---------------------------------------------------------------------------------------------------------------------------YEAR-ENO OUTSTANOINGS, 1946-55 1947 1948 1949 1950 1951 1952 1953 1954 1955 YEAR-END OUTSTANDINGS, 194o-,5 MONElARY AUTHORITIES l 2 3 4 5 49-110 20.529 4.406 580 16 50. 211 22.475 4.406 535 34 52 .675 23.%3 4.433 541 48.223 24.147 4.442 534 49.528 22.672 4.4110 1.368 67 52.406 22.bf>7 4.553 1.184 19 53.846 23 .157 4.656 967 127 53.810 21.987 4.738 935 13 52.581 21.076 4.829 808 10 53.209 21.629 4.852 1.585 107 6 7 23.498 23.350 23.524 23.333 10 11 12 0 0 22.611 22.559 NA NA 18.957 18.885 NA NA 20.761 20.718 NA NA 23.806 23. 60 l 13.564 10.237 24.732 24.M8 14.555 10.143 25.932 25.915 16.518 9.397 25.066 24.932 19.865 5.067 0 52 0 191 0 72 3 0 5 34 17 0 0 134 24.Bl, 24. 785 21 .208 3.511 0 28 2 8 9 NA NA 148 0 33 NA 'iA 0 8 0 0 0 0 0 0 0 0 13 81 150 181 135 160 177 207 205 192 221 14 15 16 49.110 16.139 2.046 50.211 17.899 2.216 52.675 20.479 1.978 48.223 16.563 2.015 49.528 ll.6111 2.174 52.406 20.056 2.697 53.846 19 .950 2.753 53.810 20.160 2.512 52.581 18.876 2.469 53.209 19.00!"> 2.682 17 16 19 20 21 30.377 2.665 806 26.906 548 29.290 2.206 432 26.652 806 29.353 2.448 659 26.246 865 28.525 2.133 807 25.585 1.120 28.175 1.961 647 2 5.567 1.498 28.560 1.517 534 26.50 9 1.093 29.899 1 .659 560 27.680 1.244 29.806 1.101 430 28.269 1.332 29.893 1.359 494 28.040 1.343 30.046 1.161 409 28.476 1.476 22 0 0 0 0 0 0 0 0 169.212 170 144.140 140.764 66.144 24.482 39.552 2.110 173.523 173 148.343 144.464 67.725 32.880 31.244 3.601 183.234 167 158.795 153.911 73.299 18.035 51.713 3.551 188.529 174 163.922 158.353 65.198 12.994 49.322 2.882 TOTAL FlNANCIAL ASSETS GOLD + FOREIGN EXCHANGE TREASURY CURR. + SOR. CTFS, F.R. FLOAT F.R. L°"NS TO DOMESTlC BANKS l 2 3 4 5 CREDIT MARKET INSTRUMENTS o U.S. GOVERNMENT SElURITIES l SH�T-TERM TREASURY 8 9 OTHER TREASURY AGENCY ISSUES 10 ACUPTAfltC.ES U 12 BANK LOANS N.E.C. MISCELLANEOUS ASSETS TOTAL LIABILITIES ME:MBER BANK RESERVES VAULT CASH OF COML. BANKS DEMAND DEPOSITS + CURRENCY DUE m U.S. GOVERNMENT DUE T O REST O F T H E WORLD CURRENCY OUTSIDE BANKS MISCELLANEOUS LIABILITIES NET WORTH -------------------------------------------------- 13 14 15 16 ll 18 19 20 £1 22 COMMERCIAL BANKING (1) 1 TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY TOTAL BANK CREDIT CREDIT MARKET INSTRUMENTS U.S. GOVT. SECURITIES SHORT-TERM DIRECT OTHE:R DIRECT AGENCY ISSUES 134.201 161 114.785 111.625 76.541 NA NA 1.035 138.482 159 116.904 114. 848 70.882 NA NA 1.055 139.472 150 115.408 113.094 65.lbl NA NA 1.983 141.948 142 121.650 118.956 69.652 NA NA 2.061 150.329 137 128.446 125.47'; 64.517 NA 1.869 159.801 174 134.849 132. 130 63.985 17.343 44.835 1.80 7 9 14.257 4.426 2.594 7.237 17.317 5.318 2.552 9.447 18.879 5.708 2.274 10.897 20.689 6.606 2.438 U.645 24.457 8.203 2.591 13.6t,3 26.393 9.299 2.362 14.732 28.407 10.308 2.232 15.867 10.965 2.253 16.850 30.0b& 33.478 12.728 2.176 18.574 35.794 12.924 1.866 21.004 OltER SECURITIES + MTGS. 9 ST. + LOC. OBLIGATIONS 10 CORPORATE BONDS 11 1, MORTGAGES 13 14 15 16 20.827 2.575 17.762 404 86 2bo649 3.828 22.188 493 140 29.054 4.790 23.591 481 192 28.615 5.773 22.106 499 237 36.505 7.314 28.141 68b 298 41.752 7.455 32.883 J.025 389 46.213 9.368 35.205 1.276 364 46.671 10.897 34.177 1.165 432 41.134 10.892 34.628 1.147 467 57.361 13.236 42.762 878 485 OTHER CR. EXCL. SECURITY CONSUMER CREDIT BANK LOANS N.E.C. OPEN-MARKET PAPER HYPOTHECATED DEPOSITS 18 19 3 3.157 4 2.052 4 2.310 5 2.689 6 2.9ol 8 2.711 13 3.363 16 3.863 30 4.854 32 5.537 20 21 2.046 16.139 1.978 20.419 81 1.376 2.015 16.563 122 1.456 2.174 17.681 154 1.731 2.697 20.056 200 1.825 2.153 19.950 247 1.952 2.512 20.160 260 2.075 2.469 18.876 300 2.627 2.682 19.005 307 2.439 148.786 102.743 3.359 99.384 157.622 107.902 4.941 102.961 161.362 108.025 4.146 103.879 170.186 112.538 4.112 108.366 174.933 114.678 3.709 110.969 49.179 300 50.504 0 50.251 247 1.585 107 301 20 0 60 0 2 3 4 5 6 1 8 10 11 12 l7 NA 23 1.026 2.216 17.899 60 1. 244 24 25 26 27 1 25.591 87.835 2.989 84.846 129.391 90.064 1.343 88.721 130.007 89.488 2.338 81.150 132.042 90 .329 3.071 87.258 139.860 95.924 2.806 93.118 28 29 30 31 35.602 0 35.545 57 535 34 60 36.202 0 36.152 50 541 33 81 36.695 0 36.622 13 534 8 122 37.031 38.161 34 34.231 0 34.154 77 580 16 44 36.938 93 1.368 67 154 38.659 108 1.184 19 200 41.885 0 41.125 160 967 127 247 45.348 0 45.138 210 935 13 260 35 36 37 38 39 2 0 0 0 2 9 0 0 9 14 19 0 17 0 0 9 0 0 9 19 0 0 14 0 19 0 19 0 0 17 17 0 0 0 17 0 20 40 20 40 41 42 43 354 2.529 364 2.165 244 2.849 546 2.303 292 3.361 725 2.636 336 453 4.844 1.426 3.418 615 5.239 1.886 3.353 193 5.684 2.021 3.663 967 5.197 1.952 3.845 941 6.390 2.092 4.298 565 1.127 2.188 4.939 22 32 33 44 0 0 0 4.004 1.08a 2.916 0 0 0 0 0 48.920 259 808 10 0 0 13 14 15 lb ll 18 19 VAULT CASH MEMBER BANK RESERVES OTHER INTERBANK CLAIMS MISCELLANEWS ASSETS 2.0 21 22 23 lOTAL LIABILITIES DEMAND DEPOSITS, NET U.S. GOVERNMENT OTHER 24 25 26 21 TIME DEPOSITS LARGE NEGOTIABLE CD'S OTHER AT COMMERCIAL BANKS AT FOREIGN BANKING AGS. F.R. FLOAT BORROWING AT F.R. BANKS OTHER INTERBANK CLAIMS 28 29 30 31 32 33 34 CREDIT MARKET DEBT CORPCRATE BONDS OPE�ARKET PAPER FEDERAL FUNDS AND RP'S BK. LOANS NEC TO FGN. AGS. 35 37 38 39 PROFIT TAXES PAYABLE MISCELLANEOUS LIABILITIES LIAS. TO FGN. AFFILIATES OTHER 40 41 42 43 EDGE ACT CORPORATIONS, AGENCIES OF FOREIGN BANKS, AND BANKS IN U.S. POSSESSIONS. EDGE ACT CORPORATIONS AND AGENCIES OF FOREIGN BANKS APPEAR TOGETHER IN THESE TABLES AS •FOREIGN BAl«ING AGENCIES.• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 5 6 1 a CORPORATE EQUITIES SECURITY CREDIT 11) CONSISTS OF CHARTERED COMMERCIAL SANKS, THEIR DOMESTIC AFFILIATES, MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. l 2 3 3b DECEMB ER 1976 BANKING SYSTEM 114 BANKINa' SYSTl::M SECTOR STAT EMENTS OF FINANCIA L ASSETS AND LIABILITIES YEAR-END OUTSTANDINGS, 1956-65 --- YEAR-END OUTSTANDINGS, 1956-65 . . ---------------------------------MONETARY AUTHORITIES ----------------------------------1956 195 7 19 58 1959 1960 l 961 1962 196 3 1964 196 5 l TOTAL FINANCIAL ASSETS GOLD + FOREIGN EXCHANGE 2 TREASURY CURR. + SDR. CTFS. 3 4 F.R. FLOAT F • R. LOANS TO DOME ST IC BANKS 5 53.825 21 .890 4 .910 1 .665 25 53. 833 22. 75 2 4.990 1.42 't 50 53 .5 73 20 .499 5.0 78 l .296 46 5 3.683 19. 394 5. 155 1. 590 't53 52.584 17.666 5.242 1.868 25 53.9B l l 6. 84 2 5.429 2.300 115 55.704 16.011 5 .411 2 .903 37 57. 805 15.614 5.422 2.600 31 bl .l 76 15 .6 38 5.2't9 2.606 l 56 63.523 14.313 5.419 2.24 8 96 25 .o 10 24 .9 15 22 .2 05 2 .110 0 69 26 24.309 2 4.238 2 1. 81 0 2.428 0 66 26.414 26.347 20.99'5 5.3 52 0 12 CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES SHORT-TERM TREASI..RY OTHER TREASURY AGENCY ISSUES ACCEPTANCES SANK LOANS N.E.C. 26. 728 26. 648 20 .192 6.456 0 75 5 27.466 27.384 19 .242 8.142 0 74 8 28.947 28 •88 l 18•30 1 10.580 0 51 15 30.931 3J.820 20.739 10 .081 0 110 1 33.787 33. 59 3 2 5. 57 8 8.o 15 0 162 32 37.U,8 37. O'tlt 28.202 8 .8"2 0 94 30 40.996 40.768 31 .888 8.880 0 187 41 ll 13 MISCELLANEOUS ASSETS 6 7 8 9 10 11 5 l,R 18 3 5 6 7 10 11 3 25 30 8 240 363 317 34A 411 351 359 451 13 14 TOTAL LIABILITIES 15 MEMBER BANK RESERVES VAULT CASf-1 OF CO ML. BANKS 16 53 .825 19.059 3 .261 5 3. 833 l 9.034 3. 335 53.573 18 .504 3.249 53.683 18.174 3.012 52.584 17.081 3.31t6 53.981 17•387 3.689 55•704 17.454 4.519 5 7.80 5 l7.0lt9 4.259 61•l 76 17 .8!;0 4.532 63.523 l 8.lt47 't.851 1.. 15 16 17 18 19 20 21 30 .010 l .Z 16 325 28.529 1.435 30. 10 6 1. 242 365 2 8.499 1.358 30.264 l. 041 279 28 .944 1.556 3 o. 826 895 353 29. 578 l.671 30.612 862 226 29.524 1.545 31.412 887 294 30.231 l .'t93 32 .090 9 77 2 92 30.821 1.641 3't.890 1. 2 't l 216 33.433 1.60 7 36.942 l.586 269 35 .087 1.8 52 38.834 1 .428 20 l 37 .20 5 l.391 0 0 DEMAND DEPOSITS + CURREN CY DUE TO U.S. GOVERNMENT DUE TO REST OF THE WOR LO CURRENCY OUTSIDE !l ANKS MISCELLANEOUS LIABILITIES 22 NET WORTH 0 0 0 0 0 0 0 -----------------------------COMMER CIAL 8ANKI I'«. -------------·----------------------(l, 9 10 12 13 14 15 16 17 20 21 0 a ------- 194 .662 195 168 .692 163.774 61.743 16.6 04 42.7.r,() 2.399 200. 399 223 173. 800 16 8.82 9 61.420 1 9. 824 39.186 2.410 215.627 21t0 1 89 .336 183.877 70 .174 19 .995 47.194 2.985 220.110 66 191t.lt06 18 8. 700 61.408 15 .961 43. 583 1.86-'t 230.046 83 203.90/t 1 97 .8S4 63.872 22.91t3 38.668 2.261 248.10 9 119 220.289 21 3.14 9 70.160 33. 545 33.676 2.939 269 .588 131 21t0.312 2 3Z .2 09 71.411 27.797 39 .262 4.352 28 7.59't 141 25 8.51t6 249. 461 68.'t77 24. 174 39.620 4.683 313.561 151 282 .141 272 .591 68.781 .tB.270 35.305 5.206 343 .610 144 310 .63 .. 301.l 85 6 5.99 1 26 .21t5 33.952 5.794 4 OTHER SECURITIES + MTGS. ST. + LOC. OBLIGAT IONS CORPORATE BONDS MORTGAGES 37.2 38 13 .067 1.452 22.719 3 9.001 14.081 1.583 23.337 43.742 16 .671 l .5 48 25 .5 23 46.686 l 7.078 l.463 28.145 47.770 17.68 5 1.279 28.806 52.022 2 0 .467 1.113 30. 442 61.762 26 .158 1.128 34.476 70.312 30.103 7 95 39.414 78.916 33 .675 l .265 't3.976 89 .62 l 38.S22 l.12't 49.675 10 11 OTHER CR. EXCL. SECURITY CONSUMER CREDIT BANK LOANS N.E.C. OPEN-MARKET PAPER HYPOTHECATEO DEPOS ITS 64 •793 14 .620 48 .691 929 5 53 68. 't08 15.780 50.826 1.206 596 69.961 15 .9 36 51.655 1.749 621 8 0.606 18.809 58.782 2.347 668 86. 212 20.556 62.938 l .976 742 90 .96 7 21.421 66.310 2.468 768 99 .036 23.695 72.152 2.406 783 110.672 27. 228 80.081 2.526 837 124.894 31 .044 89 .775 3.119 956 145.573 35 .652 106 .16 2 2.681 1.078 17 18 19 l TOTAL FINANCIAL ASSETS D EMAND DEPOSITS + CURRENCY 2 3 TOTAL BANK CREDIT C REDIT MARKET INSTRll4ENTS 4 5 U.S. GOVT. SECURITIES 6 SHIJH-TERM DIRECT 7 OTHER DIRECT 8 AGENCY ISSUES 11 17 18 19 3 b 1 8 9 12 13 14 l!> 16 18 19 C ORPCJU TE EQUITIES SECURITY CREDIT 37 4 .8 81 50 4.921 57 5.402 65 5.641 Bit 5.966 91 7.049 9ft 8.009 97 8.988 115 9.435 172 9.217 20 21 22 23 VA ULT CASH MEMBER BANK RESERVES O THER IN TERBANK CLAIMS MISCELLANEOUS ASSETS 3 .261 19 .o 59 3 65 3.090 3.335 19. 034 37 2 3.63 5 3.249 18.504 40't 3.89ft 3. 012 l 8.l 74 399 4. 053 3.346 17 .0 81 476 5 .156 3.689 17.387 644 5.98 1 4.519 17.454 635 6 .537 4.259 17.049 667 6.932 4.532 17.850 858 8.029 4.85 l 1 8 ·" 7 920 8.614 180 .258 116 .493 3.733 112 .7 60 185.130 115. 841 3. 898 111.94 3 199.465 121 .4 09 4.250 117.159 203.187 122.838 5.050 117.788 211.898 124.8 70 5.9't5 118 .925 228.763 129.975 5.946 124.029 248 .909 134.511 7.158 l Z1 .353 267.156 136. 67 4 6. 5't8 130.126 291.315 143 .3 6't 6.510 136.854 320.097 14 8 .651 5.525 143.126 52 .614 0 52 .311 303 1.665 25 365 5B.aZ3 0 57. 781t 239 l.1t24 50 372 65 .986 0 6 5.765 221 1 .2 96 46 404 67.788 0 67. 541 247 1.590 't53 399 73 .623 1.095 7 2.241 287 1.868 25 476 8 3.040 3.223 79.487 330 2.300 11 5 644 98 .6 15 6.200 92 .oeo 335 2.903 37 635 113. 024 9.879 102. 748 397 2.600 31 667 127.587 12 .585 114.579 423 2.606 156 858 147.095 lb.251 l30.9't6 4 98 2.248 96 920 43 0 0 18 25 56 0 0 18 38 46 0 0 0 46 44 0 0 0 44 18 0 0 3 15 26 0 0 0 26 11 0 0 0 11 273 233 0 0 40 l.198 773 0 336 89 2.262 1.5 90 0 593 79 38 39 871 8.182 2.551 5 .631 952 8.412 2.356 6.056 929 9.349 2.546 6.803 469 9. 606 2.591 7. 015 1.468 9 .550 3.503 6.047 577 1 2.086 3.770 8.316 1.072 11.125 3.661 7.464 621 13.266 4.033 9.233 834 14.712 4.593 10.119 702 17.523 4.665 12.858 41 4i. 43 2't TOTAL LIABILITIES 25 DEMAND D E POSITS, NET 26 U.S. GOVERNMENT OTHER 27 28 29 30 31 32 33 34 TIME DEPOSITS LARGE NEGOTIABLE CD'S OTHER AT COMMERCIAL SAl'l<S A T FOREIGN BANKING AGS • F.R. FLOAT BORROWING AT F .R. BANKS OTHER INTERBANK CLAIMS 35 36 37 38 39 CREDIT MARKET DEBT CORPORATE BONDS OPEN-MARKET PAPER F EDERAL FUNDS AND RP1S BK. LO ANS NEC TO FGi. AGS. 40 41 42 43 PROFIT TAXES PAYABLE MISCELLANEOUS LIABILITIE S LIAB. TO F GN. AFFILIATES OTHER Ill CDNSISTS OF CHARTERED C OMPERCIAL BANKS, T HEIR DOMESTIC AFFILIATES, EDGE ACT CORPORATIONS, AGENCIES OF FOREIG N BANKS, ANO BANKS IN U. s. POSSESS IONS. ECGE ACT CDRPORATIONS ANO A GENCIES OF FOREIGN BANKS APPEAR TOGETHER IN THESE TABLES AS •FOREIGN BANKING AGENC JES.• MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 20 .d 22 ,3 24 l5 2b 27 28 2� 30 31 3� :n 3't 35 3b 37 ..0 DECEMBER 1976 BANKING SYSTEM BANKING SYSH:M SEC.TOR STATEMENTS OF FINANCIAL ASSETS AND LIABILITIES -------------------- YEAR-END DUTSTANDINGS, 1966-75 196b 1967 ----------------- 1968 1969 115 ---------1975 ------- YEAR-END OlJTST ANOINGS, 1%6-75 1970 1971 1972 1973 1974 MONETARY AUTHORITIES l 2 3 4 5 67.980 13 .977 6.161 2.510 173 72.763 13.526 6.628 2.483 141 76.736 12.370 6.795 3.482 188 BO.738 12.273 6.848 3.440 183 86.124 10.914 7.549 4.26 1 335 94.598 10.073 8.027 4.343 39 97.596 IC• 524 8. 713 3.974 1.981 106.889 11.491 9.116 3.099 1.258 113.430 ll.571 9.o53 2.001 299 124.066 11.655 10.012 3.6&& 229 6 44.509 44.316 3o.481 7.801 34 193 0 49.314 49.150 39.193 9.919 38 lb4 0 52.995 52.937 32.552 20.385 0 58 0 57.218 57. l54 37.610 19.544 0 64 0 62.142 38.488 23.654 0 57 0 62.1'19 71.06!> 70.804 39.523 30.69 5 586 261 0 71. 336 71.230 41. 174 28.732 1.324 106 0 80.563 80.495 50.646 27.870 1.979 68 0 86.713 8!>. 714 50.484 30.017 5.213 999 0 95.250 94.124 52.415 35.519 6.190 1. 126 0 7 8 9 10 11 12 13 650 671 906 776 866 1.051 lo068 1.362 3.193 3.232 14 15 16 67 .980 19.794 5.450 72.763 21.092 5.931 7b.736 21.859 7.195 80.738 22.085 7.320 86.124 24.150 7.047 94.59 8 27. 788 7.541 97.5% 25 • 647 8.666 106.889 27.060 10.706 113.430 25.843 11.658 124.666 26.052 12.250 17 18 19 20 21 41.210 1.592 405 39.213 1.526 44.099 2.467 396 41.236 1.641 45.642 1.398 477 43.767 2.040 48.911 1.969 377 46.565 2.422 51.979 1.587 346 50.04b 2.948 56.387 2.48 4 465 53.43 8 2.88 2 60.419 2.200 369 57.850 2.864 64.950 2.859 300 61.791 4.173 71.906 3.298 523 68.085 4.023 82.543 484 74.291 3.815 22 0 0 0 0 0 0 0 0 0 0 7.768 TOTAL FINANCIAL ASSE1S GOLD + FOREIGN EXCHANGE TRE:ASURY CURR. + SOR. C TFS. F.R. FLOAT F.R. LOANS 10 DOMESllC BANKS 2 3 4 5 CREOll MARKET INSTRUMENTS b U.S. GOVERNMENT SECURITIES 7 SHORT-TERM TREASURY b OlHER lREASURY 9 AGENCY ISSUES 10 AC(.E PTANCES 11 BANK LOANS N.E.,. 12 MISCELLANEOUS ASSETS TOTAL LIABILITIES MEMBER BANK RESERVES VAULT CASH OF COML. BANKS DEMAND DEPOSITS + CURRENCY DUE TO U.S. GOVERNMENT DUE TO REST OF THE WORLD CURRENCY OUTSIDE BANKS MISCELLANEOUS LIABILITIES NET WORTH 13 14 15 lo 17 18 19 .!O 21 22 C0"'4ERCIAL BANKING II I 6 7 8 363.726 176 327.642 317.533 62.878 21.525 35.260 6.C93 404.667 226 365.007 353.374 72.383 27.001 36.252 9.130 450.637 249 405.102 392.083 75.732 28.638 36.668 10.426 471.986 284 422.381 410.422 65.684 24.293 31.305 10.086 518.2 20 387 458.951 445.457 76.443 30.123 32.393 13.927 576. 712 514 510.261 496.009 83.567 25.208 40.423 17.936 654.979 683 585.639 566.501 90.030 30.688 37.343 21.999 755.226 969 669.036 653.050 88.757 28.157 31 .041 29.559 839.586 787 731.457 717.816 89.767 26.802 29.783 33.182 873.633 899 760.892 745.370 119.904 48.543 36.815 34. 546 9 10 11 12 96.732 41.221 l .156 54.355 111.168 !i0.342 1.932 58.894 126.573 58.893 2.204 65.476 131. 723 59.536 1.670 70.517 145.398 70.204 2.43c; 72.755 169.000 82.81 l 3.674 82.515 194.609 89.961 5.334 99.314 220.476 95.661 5.747 119 .068 240.056 101.154 o.799 132 .105 247.896 102.849 8.589 136.458 OTHER SECURITIES + MlGS. <J ST. + LOC. OBLIGATIONS 10 CORPORATE BONDS 11 l'ORTGAGES 12 13 14 15 16 17 157.923 38.266 115.912 3.745 0 169.823 40.790 123.241 5.792 0 189.778 46.310 138.058 5.410 0 213.015 50.974 155.3!i0 6.691 0 223.616 53.867 161.576 8.173 0 243.442 61.26 8 173. 715 8.459 0 281.862 72.107 201.500 a.255 0 343.817 83.736 253.094 6.987 0 387.991 87.333 291.451 9.207 0 377.570 90.279 276.986 10.305 0 OTHER CR. EXCLo SECURITY CONSUMER CREDIT BANK LOANS N.E.C. OPEN-f'IARKET PAPER HYPDTHECATED DEPOSITS 18 19 235 9.874 299 11.334 365 12.654 414 11.545 508 12.986 491 13.761 620 18.518 864 15.122 948 12.693 948 14.574 CORP�A TE EQUITIES SEC URITY CREDIT 18 19 20 21 22 23 5.450 19.794 929 9.735 5.931 21.092 1.881 10.530 7.195 21.859 2.581 13.651 7.320 22.085 4.200 15.716 7.047 24.150 5.892 21.793 7.541 27.788 7.556 23.052 8.666 25.647 8.984 25.360 10.706 27.060 14 .993 32.462 11.658 25.843 22.100 47.741 12.256 26.052 16.385 57.149 VAULT CASH MEMBER BANK RESERVES OTHER INTERBANK CLAIMS MISCELLANEOUS ASSETS 20 21 22 23 24 25 26 339.007 150.441 4.992 145.449 378.263 162.546 5.234 157.312 422.452 175.831 5.010 170.821 442.477 180.465 5.054 175.411 486.959 189.771 7.938 181.833 543.175 202.897 10.169 192.728 618.349 223.669 10.875 212.794 714 .465 236 .938 9.865 227.073 795.323 237.019 4.807 232.212 826.461 242.463 3.114 239.349 28 29 30 31 32 33 34 159.834 15.659 143.639 536 2-510 173 929 183. 748 20.330 162. 771 647 2.483 141 1.881 204.469 23.468 180.200 601 3.482 188 2.581 195.125 10.919 183.174 1.032 3.440 183 4.200 233.090 26.074 20!i.608 1.408 4.261 335 5.892 274.453 34.759 238.026 1.668 4.343 39 7.556 316.796 44.519 271.071 1.206 3.974 1.981 8.984 367.730 64 .531 301.387 1.812 3.099 1.258 14.993 425.495 93.046 330.450 1.999 2.001 299 22.100 455.bl7 82.898 370.190 2.529 3.688 229 16.385 35 36 37 38 39 2.772 1.694 0 944 134 2.739 1.963 0 670 106 3.652 2.221 0 1.240 191 10.!i20 2.037 4.294 3.840 349 6.555 2.135 2.349 1.642 429 9.63 0 2.990 1.973 2.597 2.070 14.785 4.127 2.637 5.107 2.914 29.018 4.135 4.881 12.004 7.998 33.253 4.290 8.332 9.761 10.870 40 41 42 43 671 21.677 7.607 14.070 590 24.135 8.310 15.825 539 31.710 10.628 21.082 617 47.927 18.564 29.363 957 46.098 ll.625 34.473 930 43.327 7.556 35.771 730 47.430 8.489 38.941 815 60.614 9.552 51.062 940 74.216 14.149 60.067 l 2 3 4 5 27 (1) HONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY TOTAL BANK CREDIT CREDIT MARKET INSTRUMENTS U.S. GOVT. SECURITIES SHORT-TERM DIRECT OTHER DIRECT AGENCY ISSUES TOTAL LIABILnIES DEMAND DEPOSITS, NET U.S. GOVERNMENT · OTHER l 2 3 4 5 b 7 8 13 14 15 16 17 24 25 26 27 TIME DEPOSITS LARGE NEGOTIABLE c:o•s OTHER AT COMMERCIAL BANKS Al FIJtEIGN BANKING AGS. F.R. FLOAT BORROWING AT F.R. BANKS OTHER INTERBANK CLAIMS 28 29 30 31 32 33 3'o- 33.909 4.479 8.654 10.243 10.533 CREDIT MARKET DEBT CORPIJtATE BONDS OPEN-MARKET PAPER FEDERAL FUNDS ANO RP•S BK. LOANS NEC TO FGN. AGS. 35 3b 37 38 39 615 73.555 12.962 60.593 PROFIT TAXES PAYABLE MISCELLANEOUS LIABILITIES LIAS. TD FGN. AFFILIATES OTHER 40 41 42 <1>3 CONSISTS OF CHARTERED COMMERCIAL BANKS, THEIR DOMESTIC AFFILIATES, EDGE ACT C ORPORATIONS, AGENCIES OF FOREIGN BANKS, ANO BANKS-IN U.S. POSSESSIONS. EDGE ACT ClltPDRATIDNS AND AGENCIES OF FOREIGN BANKS APPEAR TOGETHER IN THESE TABLES AS •FOREIGN BAN<ING AGENCIES.• OECE:MBER 197b COM ME RCJAL BAM< 1NG SUBSEC10Rl> lOMM�RCIAL ilANKlNG SuBSEC1GRS 116 ASl>ElS ANO LJABlLilIEl> OF COMPONHfl GROUPS OF toMMbl.ClAL BANKlNG YEAl<-E:P-10 OUT!>lANOJNGS, l94b-:>5 Yi:AR-tND OUl S1 ANL>lNGS, 1940-55 194b 1947 1948 1950 19..9 1'151 1952 l9S3 1954 -----------------------------------------------------------------------------COMKERC IAL BAlliK � 132.819 113.8011 Jl0.b51 75. 1115 1 ... 780 J.035 137.0b3 115.974 113.922 70.27b b9.221 1.055 137 .993 114.408 112 .098 b4.b05 b.l .b22 1 .9�3 1 ..0.1;2 ll0.437 117.7',8 b9.0ob b7.005 2.0bl 148.20b 127.034 124. 173 63.896 62.027 1. b69 157.245 133.176 130.blS 63.331 bl.524 1.807 lbb.307 142 .241 139.018 65.428 b3.318 2.110 l lC..49b 140.377 142.814 b7.027 b3. 4.lb J.601 )7',,.823 l�b.59o 15.t.142 1,.5:;,. 66 .<;81 3.55) 185.C,� 5 lol. c,99 156. 5oZ t,4.474 6l.S9, ;,.eez OTHER SE.CUR 11I H + MTGS. ST. + LDC. OBLH,ATJONS CORPORATI: bONOS MORTGAGt:S 14.184 4.395 2.579 1.210 17.229 5.279 2.547 9.403 18.733 5.bbl 2.25s 10.<ll3 20.511 "· 548 2.411 11.552 24.236 0. 117 2. 570 13.549 20.130 9.193 2.34 7 14. 590 :.:1:1.120 JO .189 2.211 )5.120 29.75.. 10.6<1 ;..23'. Jb.o99 :03. loo 12.58b 2.159 18.4,l 35.357 l,.b98 l.b4o lC,.81:0 9 lC u 14 15 OlHER Ck. EXtL. SlCURJlY CONSUMER CR�OJT BANK LOANS N. E .C. OPEN-MARKET PAPER SECURITY CREDJT 20.b52 2. 575 17.587 490 3.157 2b.4l 7 3.828 21.95b 633 2.052 28.760 4.7�0 23 •• 7 b73 2.310 28.221 5.773 21.112 736 2.b39 3b.041 7.314 27.683 984 2.8bl ..1.154 l.455 32.28 5 J.414 .:.Sb) 45 .·52 4 9.368 34.51b 1.640 3.Jb3 .,b.033 10.&97 33.539 J.5CJ7 3. 5b3 4t.444 10. 8'1.£ 33.95c, 1 .59 .. 4 ... ,4 56.731 U • .:36 4.t.232 1.20; 5.Ci37 11 12 13 1 .. 15 lb 17 18 JNHRBANK CLAIMS VAULT CASl1 + MEM. BK. K��. OEP. A T FGN. BANKING AGS. 18.190 ld.185 5 20.121 20.115 6 2.l.4b3 22.457 18.587 18.578 19.867 19.855 lt. 22.769 22.153 Jt. 22.122 22.103 19 :a.b91 n.012 l<,, ll.3b8 21. 345 ,:; 21.110 21.68 7 t.3 lo 17 lb l',, MISClLLANEOUS ASSf:H &21 9b8 1.1n 1. l.l8 J.305 1 .300 1.344 1.85'1 1.110 19 20 101AL LIABlLlT JES DEMAND DEPOl>IlS, NET 21 22 U.S. GOVERNMEN1 23 OTHER 124.209 87.b83 .;.989 84.694 l.i.7.978 89.9<.b 1.343 8t-.583 128 .528 89d77 ;/. .338 87.039 130. 2'to 90. Jo5 3.071 &7.094 137.737 95.691 2.80b 92.885 l4o.230 102.435 3.359 99.076 154.717 107.542 4.941 102.601 158.335 101.t,44 4.14b l 03.498 lbo.775 ll.l.081 4.1 TL. 101 .909 171...29 11... 20, 3.70<,, 110.•93 20 21 22 2:, 34.154 0 34.154 35.5,.5 0 35.5 ..5 3b .J 52 0 3b.152 36.b22 0 36.b22 36.938 0 3b.938 38. 659 0 38. 659 41.125 0 41.125 45. 138 0 45.138 48.9:i.O 0 48.920 50. 251 0 so.25i 24 <5 2b l TOlAL FINANCIAL ASSETS TOHL BANK C REDll 2 CREOil MARKET lNSlRUMtNlS 3 4 U.S. GOVT. SH.ORITJES OJRECT 5 AGENCY lSSUH b 9 10 11 12 24 25 2b TIME Ot:POSJTS LARGE NEGOlJABLE co• s OTHER 27 28 29 CORPORATE BONOS SECURllY R.P.'S PROFIT TAXES PAYABLE 0 0 354 0 C, t.44 0 C, 292 Ci 0 336 453 0 0 bl5 0 0 793 0 0 9b1 0 941 40 565 ,. i 2b 29· 30 31 32 33 34 35 36 INTERBANK LIABILJTIB F.R. HOAl BORROWING AT F.R. IIANKS DEM. DEP. OF FGN. BK. AGS. llME DEP. OF FGN. BK. AGS. LOANS FROM AFFILIATES LOANS FROM F-GN. BK. AGS. b35 580 lb 31 0 0 b23 535 34 47 0 0 7 b49 541 33 bll 0 0 b b55 534 8 103 0 0 10 1.577 l.3o<l b1 129 0 0 13 1.387 1.184 19 lb7 0 0 11 1.322 9b1 121 20b 0 0 �2 1.189 935 13 218 0 0 23 J.095 80& 10 24CJ 0 0 26 1.97b 1.5&5 107 253 0 0 31 3(, Jl 32 33 34 J5 3o 37 38 39 MISULLANEOUS LIA81LlTHS LIAI!. TO FORt! GN BRANCHES OlHER l.3b3 195 1.188 l.b40 2 50 1.390 .; .058 262 1.79b z • .,b6 391 2.011 3.071! 552 2.526 3.134 715 2-419 3.335 bbl 2 .b74 3.397 570 2.827 3.738 509 3.229 "· :;a9 553 3.83b 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 5 b 4 5 b l ------------------------------------------------------------------------------------------------------------------------------OOMESTIC AFFJLJAHS OF- COMMERCIAL BANKS TOUL FINANC UL ASSETS BANK LGANS N.E.C. LOANS TO AFFJLUTE B..NKS 4 TOUL LIA&lLITIES 5 COMMERCIAL PAPER JSSUlS 6 MlSC.ELLANEOUS LIABILITIES 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 ------------------------------------ 2. 3 .. 1:0GE A CT COKPORATJONS ANO AGENCIES OF FORUGN BANKS 1 TOTAL FINANCIAL ASSETS CRlDll MARKl:1 INSTRUMENTS 2 U.S. G OVERNMENT SECUklTUS 3 4 STATE + LOCAL 08LlGAlJONS CORPORATE BONDS 5 6 BANK LOANS N.t:.C. OPEN-f!ARKET PAPER 7 484 361 192 14 0 175 0 558 421 168 20 1 232 0 b87 511 191 2b 0 294 0 1.021 b9b 2b5 37 0 394 0 1.301 83b 327 45 0 4b4 0 1.110 I.Obi 't02 bO 1 598 0 2 .028 1.206 445 71 1 b89 0 2.148 1.166 435 9.: 1 b38 0 2.493 1 • .lbb 490 64 2 070 2C. 2. 548 1. 2o4 4b5 lbl 2 BO 100 CORPORAT E EQUilJES SECURITY CREDIT OEM. OEPOSJTS AT COML. bANKS TIME Dt:POSllS AT COML. BANKS LOANS TO BANKS MJSCE:LLANEOUS ASSETS 3 0 31 0 8 bl 4 0 47 0 7 79 4 0 b9 0 6 97 5 50 103 0 10 157 b 100 129 0 13 217 8 150 lbl 0 17 307 13 200 206 0 22 381 lb 300 218 0 23 425 30 400 24<, 0 28 520 3l: 500 253 0 31 468 b 9 10 11 14 TOTAL llAIIILITIES 15 OEMANO DEP. IN M!J'jEY STOCK TIME D EPOSITS lb ll DEPOSITS OF BANKS 18 LOANS FROM BANKS 484 152 77 5 2 558 138 57 6 9 687 111 50 6 1.0.21 lo't 73 9 14 1. 301 233 93 12 19 1.110 308 108 lb 19 2.028 3b0 lbO 19 17 2.148 381 210 19 17 2.493 451 259 23 20 <!.548 47b 247 23 20 14 15 lb 17 lb 19 20 21 248 169 79 348 29b 52 511 4b3 48 7bl b91 b4 944 874 70 1.259 1. 171 88 1.472 1.360 112 1.521 1.382 139 1.734 1.563 151 1.184' 1.0:;5 147 l'i 20 21 <J5b 174 527 259 J 2 3 9 10 11 12 13 MISCELLANEOUS LIABILITit:S DUE TO FOREIGN AFF lLIATES OTHER u 13 ---------------------------------------------------------------------------------IIANKS IN U.S. POSSESSIONS 1 TOlAL FlNANC UL ASSETS DEMAND DEPOSITS + CURRENCY 2 CREDIT MARKET INSTRUMENTS 3 4 U.S. GOVERNMENT SECURITIES STAH ♦ LOCAL 08LlGATJONS 5 6 CORPORATE BONDS HOME MORTGAGES 7 8 COMMER CIAl MORTGAGES MISCELLANEOUS ASSETS 9 10 TOlAL DEPOSll LlABILITlES MONEY AMOUNTS ARE IN MJLLJONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 898 ,161 593 534 17 15 17 10 144 861 159 505 438 19 4 28 lb 197 792 150 485 365 21 15 54 30 157 775 l't2 4b2 321 21 27 69 24 171 822 137 470 294 41 21 91 23 215 84b 174 454 252 46 14 116 26 a8 877 110 480 271 48 14 117 30 227 879 173 484 263 52 18 119 32 222 918 161 503 277 58 15 120 33 248 l& 144 't7 255 5 6 7 8 9 898 Bbl 792 775 822 846 877 879 918 95b 10 ,., .. DECEMBER 1Q76 COMH�CUL BANl<.ING SUBSECTOt:\S •ssETS AND LUBILITIES OF COMPONENT GROUPS OF COMMERCIAL BANKING ----------------------------- YEAR-END OUTSTANDINGS, 1956-65 1956 195 7 1 <;58 COH"ER CIAL BANKING SUBSECTORS 117 YEAR-END OUlSlANDlfllGS, 19:,6-65 1960 1961 1962 1963 1964 l 9b5 COMMERCIAL BANKS 190.5b8 lb6.lll 161.830 6Q.Q51 58.552 2.399 196.085 171.lbO 166.93<; 60.649 58 .23 9 2.410 210.«;lb 18b.47b 181. 815 69.361 b6.376 2. 'i85 215 .893 191.870 187 .002 60 .801 58 .937 1.864 225.137 201.096 195.979 63.264 t:1,003 2.261 242.702 217.294 211,104 t,9.51 7 66.57 8 2.939 263.973 237.282 229. 982 70. 786 b6.434 4. 352 281 .585 255.170 247.270 67.923 63 .240 4.683 306.llo H8.634 270.250 68.197 62.991 5.206 336. 354 307. 050 298. 561 65.341 59.547 5. 794 8 9 10 3b.840 12.901 1.429 22.510 38. 58 9 13.915 l .56b 23• 10 8 43. 279 16. 505 1. 523 25. 251 46.461 16.958 1.444 28 .059 47.544 17.569 1.263 28.712 51.769 20.3 45 l .103 30.3 21 t.l.365 25.960 1.118 34.287 b9.930 29 .972 775 39.183 78.4 72 33.534 1.263 43.t,75 89.071 38, b55 1. 115 49.301 11 12 13 14 15 64.039 14.620 48.117 1.302 4.281 b7. 701 15. 780 50.37<; 1. 542 . 4.221 69. 175 15.93b 51.149 2.090 4.661 79.740 18 .809 58. 196 2. 73� 4.868 65.171 20.556 62.23 7 2.378 5.117 89.8 l 8 21,421 65.241 3.156 6.190 97.831 23. b95 71.105 3.031 7.300 109 .417 27.228 78 .<;54 3 .235 7.900 123.581 31,044 88.590 3.c;47 8,384 144.149 35. t>!>2 104. 866 3.631 8.489 16 17 18 22.348 22,320 28 22.398 22.369 29 21. 785 21. 753 32 21.20b 21 .186 20 20.433 20.427 6 21.133 21.076 57 21.973 97 n.010 21.376 21.308 68 2 2 .397 22.38 2 15 23.335 23. 298 37 TOTAL FINANCIAL ASSETS lOTAL BANK CREDJl CREDIT MARKET INSTRUMENTS U.S. GOVT. �ECURITIES IJIRECT AGENCY I SSIJES 1 2 3 ,,5 t, OTHER SECURil lES + HTGS. 7 ST. + LOC. OBLIGATIONS b 9 <.OR PORATE BONDS 10 IORTGAGE S OTHER CR. EXCL. SECURITY CONSUHEt:\ CREDIT BANI<. LOANS N.E.C. OPEN-"ARKET PAPER SECURITY CREDIT 11 12 13 14 15 INTERBANK CLAI"S 16 VAULT CASH + HEH. BK, RES. 17 DEP. AT FGN. BANKING AGS. 18 19 2.109 2.527 2 .655 2.817 3.608 4.275 4.621 5 .039 5.145 5.969 MlSC EL LANEOUS ASSETS 19 20 21 22 23 17b.164 115.934 3.733 112.201 180.816 115.203 3.898 111.305 194. 754 120.791 4 .250 116. 541 198 .970 121.810 5 .050 116.760 206.989 123.722 5.945 117.777 223.356 128.74b 5.946 122.eoo 243.294 133. 317 7.158 120.159 261.147 135.577 6.548 129 .029 283.930 141.532 6.510 135.022 312.841 146. 990 5. 525 141,'t65 T OTAL LIABILITIES DEMAND DEPOSITS, NET LJ.S. GDVERN"ENT OTHER 20 21 2.2. 23 24 25 26 52.311 0 52.311 57.784 0 57. 784 65.765 0 65. 765 67.541 0 67.541 73.336 1.095 72.24 1 82.710 3.223 79.487 98.280 6.200 92.080 112.627 9.879 102.748 l 27.lb4 12.585 114.579 147.197 16.251 130.',46 27 28 29 0 18 871 0 18 952 0 0 929 0 0 469 0 3 1.468 0 0 577 0 0 1.072 233 0 b21 773 336 834 30 31 32 33 34 35 36 2.021 1.665 25 299 0 0 38 1.81 7 1.424 50 301 0 0 42 1. 714 1 .296 46 327 0 0 45 2.422 1.590 453 331 0 0 48 2.363 1.868 25 417 0 0 53 3.002 2.300 115 529 0 0 58 3.478 2.903 37 485 0 0 53 3.230 2.bOO 31 529 0 0 70 37 38 39 5.003 614 4.389 5.042 331 4. 711 5. 555 292 5. 263 6. 728 525 6.203 b.097 948 5.149 8.321 1.033 7.288 7.147 851 6.296 TIME OEPOSITS LARGE NEGOTIABLE CD'S OTHER .-.4 25 26 1. 590 5';3 702 CORPORATE BONDS SECURITY R.P.'S PROF IT HXE S PAYABLE l.1 28 2',1 3.605 2.601, 15b 546 0 0 297 3. 227 2.248 INTERBANK LIABILITIES F.R. FLOAT BORROWING A T F.R. BANKS DE"• DEP. OF FGN. BK. AGS. TIME DEP. OF FGN. BK. ACS. LOANS FROM AFFILIATES LOANS FROM FGN. BK. ACS. 30 31 32 33 34 3!> 36 8.859 1.000 7.859 9.686 1.118 b.568 12. 542 1. 383 11.159 MISCELLANEOUS llAbllITIES LIAB. TO FOREIGN BRANCHES OTHER 37 36 39 0 0 0 0 0 0 TOTAL FINANCIAL ASSETS BANK LOANS N.E.C, LOANS 10 AFFILIATE BANKS 0 0 0 TOTAL L IABILITIES COMMERCIAL PAPER ISSUES MISCELLANEOUS LIABILITIES --------------------------------- 9b 652 0 0 231 DO"ESTIC AFFILIATES OF COMMERCIAL BANKS 4 5 6 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 EDGE ACT CORPORATIONS AND AGENCIES OF FOREIGN BANKS ------------------------------- 1 2 3 4 5 6 7 3.055 1.374 518 101 l 574 180 3.137 1.288 487 93 l 447 260 3.415 1. 382 510 85 l 506 280 3.606 1.477 526 85 0 586 280 4.221 1.627 507 78 l 701 340 4.592 1.767 536 81 1 1.0 6 9 80 4.677 1.870 506 158 1 1.047 158 4.899 1.725 399 70 1 l .127 128 6.128 1,836 442 80 1 1.18!, 128 5.912 2.02a 509 94 1 1. 296 128 8 9 10 11 12 13 37 600 299 0 38 707 50 700 301 0 42 756 57 741 327 0 45 863 65 773 331 0 48 912 84 849 417 0 53 1.191 91 859 529 0 58 1.288 94 709 485 0 53 1.466 97 1.088 529 0 70 1.390 115 l.051 546 0 297 2.283 172 788 652 0 231 2,041 14 15 16 17 18 3.055 559 303 28 25 3.137 63 8 239 29 38 3 -..415 618 221 32 46 3.606 1.028 247 20 44 4.221 1.148 287 6 15 4.5 92 1.229 330 57 26 4.677 1.194 335 97 11 4.899 1.097 397 68 40 6.128 1.832 423 15 89 5.912 1.661 498 37 79 19 20 21 2,140 1,937 203 2.193 2.025 168 2.498 2.254 244 2.267 2.066 201 2,765 2.555 210 2.950 2.737 213 3.040 2.e10 230 3,297 3,033 264 3.769 3.475 294 3.637 3. 282 35!> TOTAL FINANCIAL ASSETS CREDIT MARKET INSTRUMENTS U.S. G OVERNMENT SECURITIES STATE + LOCAL OBLIGATIONS CORPORATE BONDS BANK LOANS N.E.C. OPEN--fURKEl PAPER l 2 3 4 5 6 7 ll CORPORATE EQUilIES SECURITY CREDil 9 DEM. DEPOSilS AT COML. BANKS 10 TIHE DEPOSITS AT C°"L• BANKS ll LOANS TO BANKS 12 MISCELLANEOUS ASSETS 13 TOTAL LIABILITIES DEMAND DEP. IN MONEY STOCK TIME DEPOSITS DEPOSITS OF BANKS LOANS FROM BANKS MISCELLANEOUS LIABILITIES DUE TO FOREIGN AFFILIATES OTHER 14 15 16 17 16 19 20 21 -------------·-------- BANKS IN U.S. POSSESSIONS l�� 72 352 1.296 240 680 303 81 24 185 87 376 611 66 221 Bl 35 19 65 21 324 688 83 248 101 38 15 70 24 357 815 119 278 107 41 9 88 33 418 938 131 357 119 40 9 135 54 450 1.110 141 466 155 61 19 171 60 503 l .257 151 505 142 61 1 217 84 601 1.344 144 !,96 l'tl 73 8 286 BB 604 TOTAL FINANCIAL ASSETS DE"AND DEPOSilS + CURRENCY CREDIT MARKET INSTRUMENTS U.S. GOVERN"ENT SECURillES STATE + LOCAL OBLIGATIONS CORPORATE BONDS H°"E "ORTGAGES COM"ERCUL MORTGAGES "ISCELLANEOUS ASSETS 1.177 l.'296 611 688 815 938 1.110 1.257 1.344 TOTAL DEPOSil LIABILITIES l 2 3 4 5 6 7 8 9 1.039 195 570 274 65 22 155 54 274 1.177 223 602 284 73 10 1.039 NONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis l 2 3 4 5 t, 7 B 9 10 DtCEMBER l97b CDMMERCJ.lL BANK ING SUBSECTOR� C.JMMl:.KC!AL BANK l NG S U6 5EC1Ol<S 118 ASSETS AND LUBJLITJES OF COMPONENT GROUPS OF COMMiRCJ AL BANKING ---------------·---- YHR-END IJUTSlANDJNGS, l9bb-75 ------------------·--------------------------------------·---------------------------- Yl:AR-END OUlSlANDJNGS, l9bb-75 l9bb l9b1 1974 1972 1975 19btl l',71 lC,H l9b9 1970 --------------------------------------------------------------------------CUM�ERCJAL BANIIS ----------------------------------------·-----------------------------------·----------355.540 323 ...33 314.409 b2.25b 5b. lb3 b.093 395.379 3b0.2ll 349.727 71.603 t-2.473 9.UO 438.898 399.754 387.950 74.89.1 b1t ...bb 10.42b 452- 703 411. 47b 400. 781 b4.795 54.101, 10.08b 490.bb4 44b.l37 434. 001 75 .bb9 bl. 74;_ 13.927 ,,.7.234 497.151 484. 240 8l.8bb b4.930 17.936 b24.505 570.594 553.013 68 .820 b7.02 B 21.792 713. llb b'tb.478 bH.657 8 7-519 5S.;.. 77 29.2 52 785 • ..C-.i. 704. 778 b92. 552 &8. 71, 55.877 32.835 ll22 .,:b8 1.>b.0..9 721.760 ll'i.0.19 81t.b.:O 34.40<; OlHl::R SE CURI TI ES + MlGS. Sl . ♦ Luc. 08L lGAT IONS CORPORATE BONDS MORTGA<,ES 91,-05b 41.004 1.130 53.922 110.274 50.006 l.868 58...oo 125.bbO 58.573 2.128 64.959 130.bOb 59.1&3 1. 591 b'i.832 143.981 b9.b31 2. 372 n.972 lb7.b2b 112.420 3. bOb 61.600 192.869 89.534 4.9b5 98 .390 218.510 95.145 5.333 118.032 237 .334 100.38:.!: b.359 130.593 244.935 10,.029 8.131; 134.770 10 ll OH1ER C.R. EXCL. SEC.URITY CONSUMER CREDJT SAN!( LO.NS N.E.C. OPEN-M•RKET PAPER SECURJlY CREOil 15b. 097 38.20b 114.214 3.bl 1 9.024 lb7.850 40.790 Ul.396 5.bb4 10.484 187.398 4bo 310 135.806 5.282 ll.804 205..illO 50.974 147.843 b.563 l0.b95 214.351 53.8b7 152.439 8.045 12.136 233. 748 bl.268 lo4. 149 8. 331 12.911 271.304 12.101 l'll .070 8 .121 17.581 327.818 83.13b 237.223 b.859 14.bH 3bb.50o 117.333 270.094 9.079 12.22b 357.71,b 90.27'; 251.340 10.177 14.2&'l 11 12 13 l'> 15 lb lb 17 INTERBAIIIII CLAIMS VAULT CASH + Mf:H. BK. Ri:5. DEP. Al FGN. BANKING •GS. 25. 3ll 25. 244 b1 27.079 27.023 5b 29.134 29.05" 80 29.543 29.405 13& 31.531 31.197 334 35.541 35 .329 H2 37.0bB 34 .313 2.755 42.847 37.1bb 5.081 45. 724 37-501 8.L23 43.t55 38.308 5. 347 lb 17 18 19 MlSCELLANEOUS ASSETS b.796 8.089 10.010 ll.b84 J2. 99b 14.542 lb.843 21. 791 34.900 42. 5b't 19 20 lOTAL LIABlL I111::S 21 DEMAND OEPOS ITS, NEl 22 u.s. GOV ERNMENT 23 OTHER 330.821 14&. 597 4.992 143.005 368.975 lbO. 572 5.234 155.338 410.713 172.72b 5.010 lb?.716 ..23.1"4 177d72 5.054 172.318 459.403 182.498 7.93t! l 74.5b0 513.b97 195.471 10.169 1S5.302 587 .875 219.583 10.875 208.708 672.355 23 2-488 9.flb5 222.b23 741.139 2:,1 .370 4.b07 22b. 563 77:;.09b 236.827 3.ll4 <!33.713 20 d 22 <'3 159.298 15.059 143.639 183.101 20.330 lb2.77l 203.bb8 23.468 180.200 194.093 10.919 183.1 74 231 • bd2 2b. 074 205.b08 272.785 34.759 238.02b 315.590 44.519 271.071 3b5.918 b4.531 301.387 4<.3.49b �3.04b 330.450 453.0<18 Sl.8'i1S 370.190 24 25 lb 1 TOTAL FINANCIAL ASSETS 2 TOTAL BANI< CREDIT CRl:.DJT HARIIET lNSTRUMtNTS 4 U.S. GOVT. SECUR 1111:.S 5 DIRECT AGENCY ISSUES 9 10 12 13 14 15 ', 2 .. 25 <b TI HE OEPOS ITS LARGt NEGOTIABLE CD'S OTHER 28 29 27 C.ORPORATE BONDS SECURITY R.P. 1 S PROF IT 1AX ES PAYABLE l.b94 944 671 1.963 b70 590 2.221 1 .:t40 539 2.037 3.840 bl1 2.135 1.042 957 2.990 2 .597 930 4.127 5.107 730 4.135 12.004 t,15 4 • .1.90 9.7bl 94C 4.47<; 10.2"3 bl5 27 28 29 30 31 32 33 34 35 36 lNHRBANK LlAB!LlllES F.R. FLOAT BORROWING AT F.R. BANIIS DEM. DEP. OF FGN. BK. AGS. TIME OEP. OF FGN. BK. AGS. LOANS FROM AFF lLlAlES LOANS FROM FGN. BK. •GS. 3.545 2.510 173 712 0 0 150 4.449 2.4B3 141 1.572 0 0 253 b.l 71 3.482 188 2-278 0 0 223 7.b85 3.440 3.110 0 5115 367 10-154 4.261 335 4.357 55 b82 464 11.120 4.343 39 5.645 102 991 bOb 12.184 3 .974 l .981 ...402 441 599 787 14.269 3.099 1.258 b.972 578 189 2 .173 16.177 2.001 299 11.231 687 1.955 14. 955 3.b88 229 8. 55b 591 4 l.885 30 31 32 .>3 34 35 3b. :,7 38 39 MISCELLANEOUS LIABILITll::S LIAB. TO FORE! GN BRANCHES OTHER lo.OU 4.03b 12.036 l7.b30 4.24] 13.389 2 ....148 b.039 18.109 37.550 12.822 24.728 30.335 5.655 24.ollO 27.198 903 2b.29 5 30.554 1.400 29.154 42. 726 1. 750 40.'176 55.105 3.991 51.1011 54.88', ....080 50.809 37 38 39 ----------- 1113 -------- " DOMESTIC AFFILIATES OF COMMERC IAL bANKS -------------------------------· ----------------------1 TOTAL FINANCIAL ASSETS BA NK LOANS N.E.C. 2 3 LOANS 10 AFFlLIAlf: BANKS 0 0 0 0 0 0 0 0 0 4.5.H 3.946 585 3.636 2.954 682 3.831 2-840 991 3.197 2.598 599 .....89 4.300 189 4.905 4.'lOl 4 4.379 4.375 4 1 2 3 4 TOTAL LIABILITIES 5 C.OMMERCUL PAPER ISSUES b MISCELLANEOUS LI ABILITIES 0 0 0 0 0 0 0 0 0 4.531 4.29,. 237 3.b3b 2.349 1.287 3.831 1.973 l .858 3.197 2.637 560 4.489 4.881 -392 4.905 8. 332 -3 ...27 4.379 b.654 -4.275 b 4 5 ----------------------------------·- EDGE A CT CORPORATIONS ANO AGENC.IES OF FOREIGN B•NKS l TOTAL FINANCIAL ASSETS CREDIT MARK ET INSTRUMENTS 2 3 u.s. GOV ERNMf:NT SECURITI ES STATE + LOCAL 08LIGA1IONS CORPORATE BONDS 5 BANK LOANS N.E.C. b 7 OPEN--f!ARKET PAPER b.5bb 2.39b 45<; 110 I 1.698 128 7.374 2.771 57b 218 4 l.845 128 9.573 3.112 620 167 5 2.252 128 11.471 .... 504 b..l lf>9 5 3.5bl 128 20.145 7.176 497 360 8 b. 183 128 21.363 7.292 263 167 8 b.726 128 22. 527 8.9bb 567 134 305 7.832 128 32. 398 l2.8b0 658 163 340 11.571 128 43.989 17.8b5 709 207 365 lb.45b 128 40.631, lb.372 458 1',3 372 15.271 128 l 2 3 4 5 b 7 CORPORATE EQUJTIES SECURITY CRE D11 OEM. DEPOSITS AT C.OML. BANKS TIME DEPOSITS AT C.OML. SANKS LOANS TO SANKS MISc.ELLANEOUS ASSETS 235 850 712 0 150 2.223 299 850 1.572 0 253 1.629 365 850 2.278 0 223 2.685 414 850 3.110 0 367 2-226 508 850 4.357 55 464 b. 735 491 850 5.645 102 bOb b.311 620 937 4.402 441 787 b.374 81>4 501 b.972 578 2-173 8.450 946 467 11.231 687 1.955 10.836 948 285 8.55-8 591 1.885 ll.997 9 10 11 12 l3 14 TOTAL LlABlLlllES DEMAND OEP. IN M!J'IEY STOC.K 15 lb TIME DEPOSITS DEPOSITS OF BANKS 17 18 LO•NS FROM BANKS b.5bb 1.844 536 b1 Ult 7.374 1.974 b,.1 5b 106 9.573 3.105 801 80 191 11.471 3.093 1.032 138 3,.9 20.llt5 7.273 1.1t08 334 429 21-363 7.426 1.668 212 2.010 22.527 4.08b 1 .206 2.755 2.914 32.398 lt.450 l.812 5.081 7.998 ..3.989 5.b't9 1.999 8.223 10.870 40.636 5.b3b 2.529 5. 34,7 10.533 14 15 16 17 19 20 21 3.985 3.571 414 4.591 4.069 522 5.396 4.589 807 b.859 5.742 1.111 10.101 5.970 4.731 9.987 6.653 3.334 U.5bb 7.089 4.477 13.057 7.802 5.255 17.248 10.152 7.096 lb. 591 8.882 1. 709 19 20 21 " 8 9 10 11 12 13 MISCELLANEOUS LIABlllllES DUE TO 1:'0REIGN AFFlllATES OTHER 8ANkS IN 1 TOTAL FINANC JAL ASSETS DEMAND DEPOSITS + CURRENCY 2 3 CREDIT M·ARKET INSTRUMENTS 4 u.s. GOVERNMENT SE CURIT JES 5 STAT E + LOCAL OBLIGATIONS b CORPORAT E BONDS 7 HOME MORTGAGES COMMERCl AL MORTGAGES 8 9 MISCELLANEOUS ASSETS 10 TOTAL DEPOSIT LIABILITIES 1.620 176 728 163 107 25 319 114 11b 1.914 226 876 204 118 bO 382 112 812 2.166 249 961 220 153 1-620 lo9l4 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis u.s. 18 POSSESS JONS 3. 775 387 1. 326 277 207 59 569 214 2.062 4.284 514 1.037 438 224 60 b7b 239 2.133 4.750 683 1.924 643 293 64 698 226 2.143 5.223 969 2.033 570 353 74 712 324 2.221 5.290 787 2 ....98 346 !M.5 75 1bb 746 2.005 6.350 899 2.863 417 677 81 1b0 928 2.588 1 2 3 417 100 956 3.281 28.. l.191 248 184 74 449 236 l.806 2.166 3.281 3.775 4.284 4.750 5.223 5.290 t..350 10 71 ,. 5 b 1 • 9 DECEMBER 1976 NONBA�K FINANCE SUMMARY NONBANK FINANCE SUMMAkY 119 SECTOR STATEMENTS OF FINANCIAL ASSETS AND LIABILITIES YE AR-fND OUTST.6NDINGS, 1946-55 1946 1947 YEAR-END OUTSTANDINGS, 19�6-55 1 948 1949 1950 1951 1952 1<;53 1954 1955 PRIVATE NONBANK FINANCIAL INSTITUTIONS - TOT•L 99.967 4.407 30B 107.946 4.735 338 117.610 4.869 341 12'1.752 5 .126 321 143.189 5.773 274 154.207 6.331 445 171.741 6.505 558 190 .102 6.804 653 212.651 7.136 836 240. 770 7. 513 920 4 5 6 7 8 9 IC 11 4.922 86.758 42.867 2.189 16.354 19.039 1.725 4.56't 5.270 93.881 41.618 2.26 9 20.117 22. 787 2.715 4.375 5. 558 103.174 39. 258 2. 920 25.311 27. 377 3. 695 4.613 8.064 112.008 38.438 3.567 28.717 31.808 4.931 4.547 9.ltl 1 122.607 36.759 4.303 31.614 38.822 6.167 4.942 10.256 131.553 33.817 4.826 35.461 45.570 6.526 5.353 ll.864 146.457 34. 130 5,468 40.534 52.150 8.257 5,918 12.938 162.522 34.501 6.876 45.209 59 .506 10.177 6 .253 17.723 178 .30'1 34.114 8.532 49.570 68.714 10.891 6.488 24. 138 198.59'; 33.986 9.901 52.737 80.648 14. 094 7. 233 12 13 14 594 478 2.500 636 578 2·.508 605 652 2.411 969 723 2.541 1.492 74() 2.!'!92 1.421 850 3.3 51 1.502 948 3.907 1.866 1.006 4.313 2.672 1.064 4.911 3. 108 1.156 5.336 I5 16 17 I9 87.7b3 25 .805 48.144 1.297 95.356 28.029 52.089 l .412 104.457 29. 972 56. 348 I. 515 ll5.706 32 .460 60.812 3.070 127.519 34.867 66.591 3.344 137.866 38.082 12.002 3.481 153.907 43.15t: 78.664 :1.931 171.163 48.922 85 .926 4.146 189.887 55.640 93.684 b.109 215.403 62. 770 103.957 7. 838 IQ 20 1.634 356 109 2.440 548 189 3. 588 973 231 4.468 1.355 275 6.277 1.,35 321 6.826 2.023 368 8.201 2.280 500 9.870 3 .6E l 550 10.001 3.604 789 14.207 4. 528 912 661 207 942 32<; 1. 367 508 1.735 676 2.460 1.064 3.139 1.418 3.044 l.643 3.250 1.491 5. bll 1.739 301 432 509 427 2.697 714 0 810 911 864 952 867 1. 417 2.366 103 8.414 1.582 104 9.700 2.068 203 10. 763 2 • 588 2.960 415 13.065 2.681 483 14.311 3.056 641 16.258 3.445 936 17.9111 4.450 693 19.310 4. 746 t-95 21.190 2l 72 23 ?4 25 26 27 28 29 0 0 0 0 0 0 0 0 372 11 .936 0 0 0 0 0 0 0 0 0 0 0 TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY TIME + SVGS. ACCOUNTS � CORPORATE EQUITIES � CREDIT MAKKET INSTRUMENTS 5 U.S. GOVERNMFNT SECURITIES 6 ST. + LOC. OBLIGAllONS 7 CORPORATE + FOkEIGN BONDS 8 � MORTGAGES CONSUMER CRELJIT 10 11 OTHER LOANS SECURITY CREDIT TKADE CREDIT MISCELLANEOUS ASSETS TOTAL LIABILITIES TIME + SAVINGS ACCOUNlS INSURANCE + PENSION RESERVES INVESTMENT COMPANY SHARE S 12 13 14 15 16 17 18 CREDIT MARKET lNSlRUMENTS CORPORAlE BONDS MORTGAGE LUANS IN PROCESS OTHER MORlGAG�S BANK LUANS N.E.C. OPEN-MARKET PAPER MONEY MARKET FUND SHRS. FHLB LOANS 19 SECURllY CR�Oll PROFIT TAXES PAYABLE MISCELLANEOUS LIABILITIES 27 2b 2C 21 22 l3 24 25 2b 29 -------------------- SAVINGS INSTITUTIONS COMBINED 29 .303 1.176 308 31.945 1.199 338 34. 157 1.258 341 36.896 1.34'1 321 40.295 1.428 274 43.947 1.6 53 445 49.507 1. 719 558 55.885 1.832 653 63.375 2.141 1136 72.258 2. 335 920 TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY TIME DEPOSITS 4 5 6 7 8 180 26.925 13.844 63 l .116 146 29.485 13.78 3 65 1.470 157 31. 737 13.080 71 1.872 157 3'4.247 13.005 86 2.082 181 37.518 12.462 88 2.064 227 40.489 11.561 140 2.240 336 45.443 11.393 335 2.54q 431 51.238 11.338 428 2.7'11 571 57.702 10.984 608 2.916 1.000 65.820 ll.175 t,46 2. 586 CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS u.s.GOVT. SECURITIES STATE + LOCAL GOVT. SEC. CORPORATE BONDS 9 11 .bl 7 8.908 1,681 1.002 26 13.752 10.79 8 1. 814 1.112 28 16 • 158 12. 722 2.118 1.284 34 18.387 14.547 2.416 1.387 37 21.985 17.494 2.971 1.476 44 25.557 20.252 3.569 1.689 47 29.888 24.128 3.833 1.874 53 35.0ltl 28.812 4.071 2.105 53 41.263 34.639 4.202 2.366 56 49.0ltO 42.013 4.344 2.625 58 14 15 16 174 57 54 714 271 85 59 777 385 104 67 664 513 l l3 61 822 692 160 67 894 751 173 67 1.133 1.000 200 78 1.451 1.341 212 87 1.731 1.591 237 103 2.125 l. 95<; 297 117 2.183 18 19 20 21 22 26.754 25 .805 528 29.17 2 28. 02 9 737 33.599 32.'460 777 45.127 43.156 1.453 442 510 51.111 48.922 1.584 10 595 58.095 55.640 l.'751 7 697 66.037 62. 770 2.476 406 36.626 34.867 1.222 0 537 39.898 38.082 1.374 421 31.142 29.972 830 0 3'40 10 11 12 13 17 0 0 0 362 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 0 8 8 783 MORTGAGES HOME MORTGAGES MUL Tl-FAMILY COMMERCIAL F.6RM .. 5 6 7 b 'j 10 11 12 13 CONSUMER INSTALMENT GREDIT CONSUMER NONINSTAL. CREDIT MONEY MKl. INSTR. MISCELLANEOUS ASSETS lit 15 lo 17 TOTAL LIABILITIES SAVINGS ACCOUNTS CR. MKT. INSTR. ISVGS+LNI PROFll TAX LIABILITY MISCELLANEOUS LIABILlllES lb l<; 20 '-1 22 Dt(E"IE.ER 1916 NUNBANK FJNAN(E SUMMARY 120 NONl!ANK FINANCE SUMMAK'r SEC.TOR S1AHMEN1S Of FJNAIIICJAL A5SE1S AND LJAbJLllIH YEAk-ENO uUlSTANOlNGS, 1956-65 YEAR-END OUlS lANDJNGS, 1956-65 ----------------------------· -----------------------------,-------------------,--·--· ------------------------------1957 1'159 1959 1900 ---------------------------------------- · 1«;6 l l9ol 1963 1965 -------------------------------------- PRlVATc NONBANK FINANCIAL IN STITUTIONS - 101AL TOlAL FJNAl'l;JAL ASSETS UEMANO UtPO�lTS + CURRfNCY TIME + SVGS. ACCOUNTS 3 4 5 C, 1 I! 9 10 11 CORPORAlE EQUITIES CREDIT MARKEl INSTRUMEN1S U.S. bOVERNMENl SECURITIES Sl. + LOC. OBLlGAllONS CuRPORATE + FOREIGN l)QNDS MORTGAGES CONSUMER CREDI 1 OlHER LOANS 12 13 l1t SECURITY CREDll TR�DE CRED 11 MIS(tLLANEOUS ASSETS 15 101AL LIABILlllES lo TIME + SAVINGS ACCOUNTS JNSURAN(E + PENS ION RESERVES 17 INVESTMENT COMPANY SHARcS 18 £60 • .1.12 7.624 1.o;n .n&.462 7.854 1.124 3l0.09il 8.477 1.495 341.,31 b...88 1.530 370.0.. 0 8.854 1.567 412.52 8 '1.925 1.922 'olo0.262 10.850 2 .079 488.237 10.907 2.187 537.607 11.110 2 ..... o 581).400 11.521 . .i:.463 25.940 215.030 32.805 11.073 57.077 90.967 15.543 7.565 25.5.21 B2.95l 32.ol6 12.36& b3.433 98.904 lt;.716 8.915 36.351 .251.003 33.324 13.1137 t,9.010 109.263 16 • .lS't 9.265 4.i'..b.23 274.925 34.370 15. 713 73.313 121.449 16.8.?6 11.254 "6.223 298.652 34.4H 17.150 71!.147 l33.t,b4 ll.236 14.031 61.368 3.:2.054 35.200 l l!.216 b3.675 148.446 2l.<t46 llo.569 57.'17't 350.<;59 31.2<;3 18.71! 5 89.576 165.396 z., .162 15.747 70.b2b 383.321 37.188 11,.122 95.950 l8b.697 27.227 17.531 83.5l8 'tl7.660 3'1.070 18 • 728 102.531 207.476 30.43£ lC, .423 98.144 lo50.773 38.689 lo. 277 ll0.381o 221.2>1 33.8b6 22. 30c, 3.142 1.291 b.164 2.805 1.451 o.755 3.770 1.599 7.403 3.773 1. 78, a.110 3.649 1.934 9-161 ,._ 723 1.993 10. !'>43 4.504 2.201 11.635 6.095 l.332 12.769 5.610 ,1.484 14.749 5.'186 .:.t,4<; k.264 233.748 70.0&8 n.:.305 9.046 252-058 76.977 lt0.6v9 I!.114 .!7<;.503 &5.876 132.730 1::s.z,.1 308.434 94.001 l41t.85Z 15.tllb 335.3!">8 l03.4b6 155.480 17.026 372.400 114.801 170.7ol 22.1!75 399.018 12 7.903 179.049 21.271 443.7.!2 143.079 195.549 .15. 214 489.779 150.961 214.309 29.llo 53&. llo 172.048 233.C,13 35. 2£(, l� 16 17 H Lo l<; 20 21 22 23 24 25 26 CREDIT MARktT INSTRUMENTS CORPORATE BONDS MORTGAGE LOANS IN PkO(ESS OTHER "4lRTGAGES BANK LOANS N.E.C OPEN-HARKE l PAPER MONEY MARKET F�D SHRS. FHLB LOANS 14.70b 5.60<; 087 0 5.110 1.872 0 1.2.28 15.912 o.354 b56 0 5.113 2.324 0 1.265 15.610 6.556 1.161 (j 4.406 2.189 0 1.298 19.466 1.1.n 1.293 0 5.441 2.887 0 2.134 22.1J4 9.112 1.186 0 6. 117 3.728 0 1. 9111 2 3.709 9.2o2 1.550 0 t,.643 3.592 0 2.662 27.266 9.2.1.2 l.999 0 7.764 4.802 0 3.479 32.848 10.297 2.528 0 9.417 5.822 0 4.764 36.1!94 12.061 2-239 0 9.95:i: 7.317 0 5.325 42.449 13. 461 2. 19b 0 ll.290 b.5u3 0 5.<,•,n 27 28 29 SECURITY CREDil PROFIT TAXES PAYABLE 4.158 581 ;a.c364 4.287 683 24.876 4.848 769 26.429 4.887 9lll 2&.470 5.382 896 30.978 b.256 815 33.243 1.210 875 35.438 7.739 927 38. 366 8.377 925 .,l.137 &.737 . 1.0114 44.665 MISCELLANEOUS LIABILITIES 4 5 b 7 & 9 lo 11 -------------------------- SAVINGS INSTITUTIONS COMBINED l TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 2 TIME DEPOSITS 3 80.06.l .i:.452 1.021 87.726 2.539 1.124 98.267 2.857 1.495 108.622 2.638 1.530 118.794 2.825 1.567 U2.75o 3.300 1.922 148.082 3.919 2.079 166.709 4.046 2.187 1&4.282 1o.111 2 .4t,0 199.72't 4. 20b ,.lob3 4 CORPORATE EQUITIES !"> CREDIT MARKEl lNSlRUMENlS u.s.GOVT. SECURITIES 6 STAlE + LOCAL GOVl. SEC. 7 CORPORAlE BONDS 8 1.000 73.125 11.264 675 2.659 1.000 80.341 11.651 685 3-246 1.400 89.391 11.942 729 3.798 1.400 99.740 12.40) 721 3.c,27 1.300 109.258 12.080 bl2 3.781 1.o00 121.143 12.58 5 b71 3.632 1.500 135.174 13.013 527 3.516 1.800 152.574 13.890 440 3.221 2.000 168.760 llo.519 3'-l 3.052 2.300 1e3.o•n 14.805 320 2.925 55.705 48.253 4.441 2.952 59 61.441 53.667 4.493 3.224 57 69.183 60.459 4.891 3.780 53 78.478 b&.7't6 5.27.! 4.405 55 87.382 76.338 5.914 5.076 5't 98.386 65.229 b.966 b.140 51 l11.545 95.046 8.693 7.755 51 127.670 107.302 10.800 9.51b 52 142.43b 118.507 12.163 ll.113 53 155. 503 128.018 14.40!"> 12.428 �l 10 ll IL 13 2.357 34>3 122 l."'64 2.836 359 123 2.122 3.164 405 170 3.124 3.856 483 174 3.314 4.566 !">!">5 222 3.844 4.956 b51 250 "· 785 5.524 699 350 5.410 6.239 823 291 b.102 7.163 849 350 b.951 8.289 9u2 :348 7.663 14 l� lo l7 73.234 70.088 2.237 7 902 80.266 76.977 2.237 1 1.045 89.720 85.876 2.606 5 1.233 99.lbl 94.001 3.680 6 1.474 108.495 103.4bb 3.385 6 1 .b38 121.124 114.801 135.580 127.903 5.632 6 2.039 153.064 143.079 1.550 169.!">19 l83.o63 112.048 t!.654 104 2.857 l& 19 20 il 22 9 10 11 12 13 MORTGAGES HOME MORTGAGES MULTI-FAMILY COMMERCIAL FARM 14 CONSUMER INSTALMENT CREDIT 15 CONSUMER NONINSTAL. CREDIT MONEY MKT. INSTR. 16 17 MISCELLANEOUS ASSETS 18 TOTAL LIABILlllES SAVINGS ACCO�TS 19 20 CR. MK T. INSTR. I SVGS+LN I 21 PROFIT TAX LIABILITY MISCELLANEOUS LIABILITIES 22 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4.408 5 1.910 89 2.340 158.961 7.849 101 2.008 � OECl:'MB ER 1•n6 NON BANK FINANCE SUMMARY NONBANK Fl NANCf SUMMARY 121 SECTOR STATEMENTS OF FINANC UL ASSETS AND LIAEIILITIES OUTSTANDINGS, -----------------Y--------------------------------------------------------------------------------------------YEAR-END EAR-END OUTSTANDINGS, 1966-75 1<;66-7!> -------------------------------------------------------------------------------1966 1967 1968 1969 1970 1971 1972 1073 197', 1 <,75 ---------- --------------------·-·------- ---·-------------------------------------------PRIVATE NONBANK FINANCIAL INSTITUTIONS - TOTAL 6lit.680 11.144 2,466 677.187 11.593 3,064 742 • 042 12. 327 3.07t, 773 .367 11.893 2.515 8211.32', 12.291 3,653 941.021 1080.573 1115.430 1130.356 1281.631 12,97', 14,036 14.800 16,669 15.45', 5.965 7.708 7.462 12,ll'lit 16.3 75 11 94 .357 480,335 3 'l .9 67 19,105 119.559 239 .448 36.692 25.564 122,243 507.96 9 37.889 20,374 131.437 253.'ll9 38.103 26,247 145. 073 544.994 39.990 7.1.483 141.201 270. 108 41.976 30. 236 140.0 5!, 583.742 38.225 22,540 149.224 286.680 46.813 40.260 150.267 625,70(' -.1.200 24.359 16l.55e 304.594 41.1.713 45,276 195.479 685,033 41.303 28,77<; 175.226 337.028 52.172 50.5 23 244,t,29 763.978 46. 783 33.888 187.693 381.058 58,618 55.936 201.944 841.221 47.368 37 .04 7 199.898 425.723 67.C38 64.147 147.l'l5 902.294 51.020 3b.943 2lb .t:08 448.836 71.639 75.048 190.495 992.350 73. 373 44. 584 240,153 480,264 76.125 77.651 12 13 14 5.9�0 2.898 17,530 9.164 3.176 19.978 12. 005 3.476 21,091 0.-.16 3.1198 21.888 7.188 4.370 24.847 'l.764 4,661 27,145 13.485 5.842 30.895 9,149 6.485 34.369 7.583 7,020 31!. 706 10.063 7.668 42.011 15 ll> 17 18 565.188 179 .046 246.772 34.829 624.140 195.717 272.335 44.70 l 684.888 208. 437 2'l7.337 52 .t:77 718.923 216.364 311.303 48.2119 772.491 233.470 335,002 -.7.61& 19 20 21 22 23 24 2, 26 45.009 13.5Rl 1.270 0 11.200 12 .023 6.935 43.902 13.991 2,257 0 9.217 14,051 0 4.386 49. 673 14,179 2.449 200 10.662 16,924 0 5.259 62.776 15.189 2.455 430 12.463 22.950 0 9.289 67.957 17.767 3,078 546 12.36 2 23.589 0 10,615 72.487 20.61e 5,029 680 14.2'-l' 23 .906 0 7.936 85.572 24,674 6,209 1.160 20.434 25.116 0 7.979 106.623 28.180 4.667 l.480 29.33<1 27.01 o 0 15.147 120.873 30.123 3.244 1.649 33.556 28.118 2.379 21.804 17.0.332 32. 832 5.187 2.015 2'i. 947 28.861 3.645 17.845 27 28 29 9.576 1.070 48.886 12.745 958 53,782 16.199 1.169 59,396 13.173 1.277 65.741 14.153 1.522 72.7M 15 .299 1.513 80.998 19.415 1.120 92.187 16.021 1.848 103. 233 12.851 1.884 112.020 123.456 4 6 7 8 9 10 0 TOTAL FINAN(.] AL USEH DEMAND OE POSITS ♦ CURRENCY TIME + SVGS, ACCOUNTS 875.837 1003,81� 1041.086 1066.258 1215.597 273,996 320,003 347.827 369,178 428.964 374,850 425,087 419.015 415.391 4&3. 598 56.694 34.061 42.178 59.831 46.519 15.007 2. 062 ------------------------------------------------------------------------------------------------------------------------------- l 2 3 .. CORF-ORATE EQUillES CR EDIT MAF<KET INS T RUMENT S 5 U.S. GOVERNMENT SECURITIES 6 1 ST. + LOC. 08LJGATIONS 8 CORPORA TE + FOREIGN BONDS <, MORTGAGE!> CONSUMER C.REi,I T 10 11 OTHER LOAN:. SECURITY CREDIT TRADE CREDIT MISCELLANEOUS ASSETS TOTAL LIAEIILITIES TH-IE + SAVINGS AC.C.OUNlS INSURANCE ♦ PENS] UN RESERVES INVESTMENT COMPANY SHARES 1, 13 14 15 16 17 18 CREDIT MARKET INSTRUMENTS CORPORAlE eONDS MORTGAGE LOANS IN PROC E S5 OTHER MORlGAGfS BANK LOANS N.E.C., OPEN-MARKET PAPER MONEY MARKET FUND SHRS. FHLB LOANS 1'1 20 21 22 23 SECURITY CREDIT PROFIT TAXES PAYABLE MISCELLANEOUS LIABILITIES ,7 2 .. 25 26 «a 29 SAVINGS INSTITUTIONS COMBINED 207.454 3,690 2.324 223,866 3,466 2.639 238.989 3,079 2.499 252.752 2.883 1.920 273.492 2.932 2 .955 317.219 2.7'l2 5.629 369.253 2,974 7.418 406.497 3.176 6.378 435.752 2.860 6.735 496. 572 3.629 11.834 TOTAL FINANCIAL ASStTS DEMAND DEPOSITS + CURRENCY lIME DE:POSI TS 4 5 6 7 2.000 191.397 14.846 251 3.212 2.500 206.366 16.335 219 5,287 2.400 221.'l73 16.891 269 6,614 2.500 236.611 16.450 293 6.9'-6 2.000 253.969 17.736 320 8.147 3.500 293.215 21.238 540 12.030 4.500 340 .521 25.039 1.038 14.166 4.200 376.520 24,945 1.106 13.074 3.700 403.006 26.472 1.430 13.990 lt,400 453.745 38. 492 2.655 17. 536 CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S.GOVT. S EC.UR IT IES STAlE + LOCAL GOVT. SEC• CORPORATE BONDS 9 10 13 162.371 133.675 15,203 13.440 53 172.838 141,560 16,428 14,733 117 184.746 150.275 17.799 ll>. 555 117 196.913 159.574 19.326 17.899 114 208.5!!9 167.492 21.565 19.384 118 23b.264 185.877 26.861 23.476 50 273.748 213.476 31.593 28.617 62 306.263 237.861 34.867 33.471 64 325.643 252.196 36.606 36.779 62 357. 542 276. 335 39.209 41.939 59 14 15 16 17 9.315 044 458 8,043 10.216 98 3 488 8.895 11.717 1.062 674 9.038 13.722 1.110 1.177 8.838 15.08 8 1.u1 3.008 10.836 11.0 21 1.11 0 4.952 12.083 19.511 1.301 5.718 13.840 22.567 1.390 7,175 16.223 25.216 1.365 8.890 19.451 28.638 1. 378 7. 504 22.964 18 l'l 20 21 l'll.027 179.046 8.737 60 3,184 206.472 195. 717 7.035 57 3.663 220.766 208.437 8.167 81 4.081 233 .332 216.364 12.271 87 4.610 252.947 233.470 14.116 105 5.256 2'l4.039 273.996 14.050 150 5,843 31t3.150 320,003 16.010 176 6,961 378.276 347.827 22.035 212 0.202 406.196 369.178 28.320 272 8.426 464. 295 428.964 26.217 391 8. 723 8 11 12 22 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis MORTGAGES HOME MORTbAGES MULl 1-FAMILY COMME:RCIAL FARM 3 .. 5 b 7 .. 10 11 12 13 CONSUMER INSTALMENT CRED IT CONSUMER NONINSTAL. CREDIT MONEY MKT • INSTR. MISC.ELL ANEOUS ASSETS 14 l� lo TOTAL L UBI LllIES SAVINGS AC.COUNTS CR, MKT. IN5TR, ISVGS+LN I PROFll TAX LIABILilY MISCELLANEOUS LIABILillES 18 19 20 21 17 2' DECtMBER 197b SAVINGS INSTITUTIONS 122 �AVlNuS l NSlllUllu�� StCTOK STAT EMENTS Of FINANCIAL ASSElS ANu LlABILlTIE� YEAR-END UUlSTANOJNG�, l',,4t,-S5 YEAR-ENO DUTSTANDINGS, 194b-5� 194t, 1947 194b 1949 1951 19:,0 - ------------------------------------------ - ---------- SAVINbS ANO LOAN ASSOCIATIONS 1 TOTAL FINANCIAL ASSETS 2 M�TGAGES 3 CONSUMEk CREDIT 1953 - ---- --- l c,,55 --------- 10.202 1.141 56 11.681 il.B5b St> 13.028 10.305 llb 1 ... 022 11.t,}t, 143 16.8',,3 13.657 t02 19.222 J5.5t>4 228 22 .66 0 18.3',,t, 297 2t>.733 21. 962 351 .H.b:B 26.108 401 .H.656 2-1.40'1 .. a., 3.005 4bb 0 2.7'-5 'tb2 0 2.t,01 530 0 2.8t,3 bl) 0 3.034 100 0 ::,.430 805 0 3.9t,7 8b9 0 ..... 20 921 0 5.124 l.lb9 0 5. 7t,.> 1. 3o:, 0 .:.009 0 0 0 0 530 1.740 0 0 0 0 51o3 l.455 0 0 0 0 b22 l.4o2 0 0 0 0 788 l.487 0 0 0 0 647 1.003 0 0 0 0 l .C2 2 J.781 17 0 0 0 1.294 1.no Lb 0 0 0 1.553 2.021 .n 0 0 0 1.9(,7 2•3111 B 0 (J 0 l.9't4 13 TOTAL LIABILITIES SAV INGS SHARES l't 15 CREDIT MARKET INSTRUMENTS MORTGAGE LOANS IN PROCtSS 16 BANK LOANS N.E.t. 17 FHLB ADVANCES 18 PROFIT TAXES PAYABLE 19 20 MI SCELLANEOU S LIABILITlcS 9.lo5l 6.5b3 528 109 118 301 0 360 10.83l 9.7b0 131 189 116 lo32 0 335 l<'..059 10.969 830 231 90 509 0 260 13.510 U.472 717 275 75 ..21 0 2t>7 15.t,13 13.',92 1 • .222 321 91 8li> 0 :,99 17.7t,C,, It>.107 l. 37., 368 95 Sl l 0 ltlB 21.002 19.195 1.453 500 89 bb4 6 34t, 24. b3.:'. .22.8 ..b 1.5&4 550 82 4152 10 :,92 29.4'-b 2 7 •L 52 1.151 189 95 8b7 1 43t, :,:,.0',19 3,. l4L l.. 47c 91i 14 7 1.1o17 21 MEPI): TOTAL Ck. MKl. ASSETS 9•.:0b 10.t,82 11.876 u.221 15.346 17.395 20.497 24.259 4 5 t, 13 9 10 ll 12 OTHtR ASSETS DEMAND DEPOSITS + tURR. TIME DEPOSITS U.S. TREASURY SECURITltS u.s.G. AGENCY SEC. STATE + LOCAL GOVT. SEC. OPEN-MARKET PAPER FEDEkAL FUNDS + KP•S MISCELLANEOUS ASS�TS " 47:, t s lu 11 l.: l.; 1 .. h le l7 lc l� LU d MUTU AL SAVJNGS SANKS l TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRlNCY 2 3 TIME DEPOSITS " 5 6 7 8 9 10 11 12 13 CORPORATl EwUITllS CREDIT MARKET INSTRUMENTS U.S. TREASURY SECURITIES u.s.G. AGENCY SEC. STATE + LOCAL llllLlGATIONS CORPORATE BONDS MORTGAGE S CONSUMER CREDll COMMERCI AL PAPER SECURITY R pt S 14 MISCELLANEOUS ASSETS 18.bbl 6:>4 lbl 19.724 670 211 180 l7.41t3 11.111 14 b3 l.llb 4.441 2 .. 5't 0 18.4t>3 ll.9b3 15 b5 1.470 4.856 35 59 0 llob 157 19.loOb ll.4b7 83 71 1.872 5.807 39 b1 0 21.503 t,50 222 ,l2.44t, b21o lb8 23.504 b9b 18 7 25.301 t,98 219 27.199 740 243 29.350 15b no- 3l.b9l 1'ti. 224 151 20.440 11.418 "'3 bb 2.082 6.7D5 45 t>l 0 181 21.42b 10 • 8b2 23 88 2.064 s.202 t,O b1 0 227 22.283 9.835 23 140 2.240 9.9lb 62 67 0 336 23.891 'i.443 40 335 2.549 11.380 bb 18 0 431 25.607 9.191 89 428 2.191 12.9'-3 18 87 0 ;71 ,1.535 &.155 bl t,06 2.9l·t> 15.007 85 103 0 1.000 29.4ob b.463 12 3 646 2.586 l7.1t57 9't 11 7 0 10 11 Li u 184 234 42 34 47 111 157 178 218 239 l't 15 TOTAL LI ABILITIES lt>.814 17.830 18 ...80 19.3ol 20.lb3 21.054 22.774 24.591 2b.t>l2 28.492 15 lb SAVINGS DEPOSITS 17 MJSCELLANEOUS LIABILITIE S lb.813 bl 17.759 71 18.400 80 19.lli7 95 20.025 138 20.900 154 22.blO lb4 24.388 203 2b.351 2bl 28.182 :,10 16 17 -----------------------------------------------------------CREDIT UNIONS 1 TOTAL FINANCIAL ASSETS 2 DEMAND DEPOSITS + CURRENCY 3 SAVINGS + LOAN SHARES 4 CREDIT MARKET INSTRUMENTS 5 U.S. GOVERNMENT SECURITIES HOME MORTGAGES b 7 CONSUMER CREDIT '+39 5t, 147 23b 5D 35 151 53't t,7 127 340 t,5 40 235 b47 81 111 't55 15 4b 334 771 &b 99 5&b 82 bb 't3& 95b 104 lOb 7'-6 9D bb 590 1.221 152 258 811 100 77 634 1.54b 152 339 1.055 lOt> 112 837 1.953 171 _,,lD 1.312 112 13b 1.121+ 2.392 216 5bb l.blD 120 148 1.342 l.911 228 b9b 1.9&1 135 17't l.b78 8 CREDIT UNION SHARES 429 510 b03 701 850 ).075 1.351 l.b88 2.037 2 • ..,_,.b �NEY AMOUNTS ARE IN MILLIONS Of DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis DEC EMBER 1976 SAVINGS INSTITUTIONS SAVINGS IN5111UTIONS 123 SECTOR STATEMENTS OF FINANCIAL ASSETS AND LI Ab! L !TIES ---------------------------------------------------------------------------------------------------------- YEAR-END OUTSTAN DINGS, 1956-65 YEAR-END OUlSlANDINGS, l956-b5 1957 1956 1958 1959 1960 19bl 1963 1962 1964 l <;65 ----------------------------------------------------------------------------------------· SAVINGS AND LOAN ASSOCIATIONS -------------------------------------------------------- l 2 3 42.875 35.729 560 48.138 40.007 636 55. 139 45.627 751 63.530 53.141 875 71.476 60.070 1.004 82.135 68.834 l.08 5 93.605 78.770 1.096 107 .559 90.944 1 .220 119.355 101.333 l.283 129.560 110.306 1. 353 4 5 6 6.586 1.436 0 7.495 1.'t93 0 8. 761 1. 766 0 9.514 1.594 0 10.402 1.742 0 12.216 2.135 0 13.739 2. 713 0 15.395 2 .828 0 16.739 2.816 0 17.921 2.855 0 7 8 9 10 11 12 2.782 166 0 0 0 2.202 3.173 399 0 0 0 2.430 3.819 362 0 0 0 2.814 4.477 458 0 0 0 2.985 4.592 579 0 0 0 3.489 5.209 482 0 0 5.546 502 0 4.390 C 0 4.978 6.447 600 0 0 0 5 .520 6.970 t60 0 0 0 6.293 7.408 756 0 0 0 6.902 13 14 15 16 18 19 20 39 .925 37.148 2.237 887 122 1.228 7 533 44.775 41.912 2.237 856 116 1.265 7 619 51.294 47.976 2.606 1.161 147 1. 29� 5 707 59.137 54.583 3.680 1.293 253 2.134 6 868 66 .493 62.142 3.385 1.186 218 1.981 6 960 76.427 70.885 4.408 1.550 196 2.662 5 1.129 &7.085 80.236 5.632 1.999 154 3.479 6 1.211 100.350 91.308 7.556 2.528 244 4.784 89 1.397 l 11.456 101.887 7.849 2.239 285 5.325 101 1.bl 9 120.&76 110.3fl5 8.654 2. 198 459 5.997 104 1. 733 TOTAL LIABILlllES S.&VINGS SHARES CREDIT HARKEl INSTRUMENTS MORTGAGE LOANS JN PROCESS BANK LOANS N.E.C. FHLB ADVANCES PROF 11 TAXES PAYABLE MISCELLANEOUS LIAB1LI11E5 21 39.237 44.215 50.559 58.951 66.2't5 75 .610 85.914 99 .211 110.246 119.E,23 MEMO: TOTAL CR. MKl. ASSETS 17 0 TOTAL FINANCIAL AS5ETS MORTGAGES CONSUMER CREC.,Il OTHER ASSETS DEMAND OE POSITS + CURR. TIME DEPUSilS u.s. TREASURY SECURilIES u.s.G. AGENCY SEC. STATE + LOCAL GGVT. SEC. OPEN-HARKcT PAPER FE DERAL FUNDS + RP'S Ml SC.ELLANE OUS A SSE1 S ------------------------------------------------------------------------------------------------------ ------------------------------------------- l 7) b 7 & 9 10 11 ll 13 l't 15 16 17 16 19 20 21 MUTUAL SAVINGS BANKS 4 5 6 7 8 C/ 10 11 12 13 33.676 761 159 35.448 764 125 38.322 761 160 39.532 747 82 41. 42 9 '5 43.535 769 168 46.578 796 160 50.344 771 141 54.979 780 224 59.106 806 211 1.000 31.494 7.982 184 675 2.659 19.746 126 122 0 1.000 33.267 7.583 331 685 3.246 21.169 130 123 0 1.400 35.691 7. 270 311 729 3. 798 23.263 150 170 0 1.400 36.974 6.871 405 721 3.627 24.992 184 17'4 0 0 1. 38. \ 3 b. .;,3 66 672 3.781 26. 93 5 194 222 0 1.600 40.603 6.160 514 677 3.632 29 .145 225 250 0 1.500 43.690 6.107 618 527 3.516 32 • 32 0 252 350 0 1.800 47.050 5.863 695 440 3.221 36 .224 316 291 0 2.000 51.31 7 5.791 788 391 3.052 40.556 389 350 0 2.300 55.028 5.485 819 320 2.925 44. bl7 514 348 0 TOTAL FINANCIAL A SSETS OEMANL OE:POSITS + CURRENCY lIME DEPDSllS CORPORATE ECUITIE5 CREDIT M ARKt:1 INSTRUMENTS u.s. TREASURY SECURillES u.s.G. AGENCY SEC. STATE + LOCAL OBLlGAlIONS CORPORATE BONDS MORTGAGES CONSUMER CREDIT COMMERCIAL PAPER SECURllY RP 1 S MISCELLANEOUS ASSETS 2. 3 4 5 6 7 8 <;, 10 11 12 13 14 262 292 310 329 355 395 432 582 658 761 15 30.'395 32.110 34. 557 35.583 37.021 39.058 42.164 45.549 't9.838 53.567 TOTAL LI ABILI 11ES 15 lb 17 30.026 369 31.684 426 34.031 526 34.977 606 36.343 38.277 41.336 44.606 'tB.849 52.'■'43 SAVINGS DEPOSITS 16 l 2 3 4 5 6 7 ------------- MISCELLANEOUS LIABILITIES 781 943 678 989 1. 124 828 --------------------------------------------------- -------------------------------- 4.140 282 999 2.859 165 265 2.429 4.806 330 1. 335 3.141 180 293 2.668 5.560 297 1.448 3.815 190 345 3.280 6.276 334 1.442 4.500 200 377 3.923 7.086 402 1.754 4.930 220 407 4.303 7.899 410 1.919 5.570 240 455 4.875 8.806 447 2.046 6.313 285 502 5.526 9.948 515 2.236 7.197 310 547 6.340 11.038 545 2.252 8.241 337 580 7.324 2.914 3.381 3.869 4.441 4.981 5.639 6.331 7.165 8.225 9.220 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 17 CREDIT UNIONS 3.511 255 862 2.394 150 230 2 .014 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. l't TOTAL FINANCIAL ASSETS DEMAND OEPOSilS + CURRENCY SAVINGS + LOAN SHARES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES HOME MORTGAGES CONSUOIER CREDil 1 2 3 4 5 6 7 CREDil UNION SHARES 8 DECEMBER 197b SAVINGS INSlllUllONS 124 SAVINbS INST11Ull0N� Sl:ClOk STATEMENTS Of FINANCIAL ASS�lS ANO LIABILITIES YEAR-END OU1STANDING5, l9bb-75 Yl:Ak-END OUl�JANulNGS, 19tb- 7� --------------------------------------------------------------------------------------------------------------------l'i66 1967 1961.< 19o9 1970 1971 1972 1973 l'>-7" 197:, 330. 3,;.5 218.o'13 ,.84b -------------------------------------------- -------------------------------------------SAVINGS ANO LCAN ASSOtJATIONS I lOTAL FINANCIAL ASSETS 2 MORTGAGl:S 3 tONSUMER CREOll 0 9 10 ll 12 OTHER ASSETS DEMAND DEPOSITS + tURK. llME D1:POSllS U.S. l REASURY SECURlllES u.s.G. AGEIIICY SEC. STATE + LOtAL GOVT. SEt. OPEN-MARKET PAPl:R FEDERAL FUNDS + RP1S MISCELLANEOUS ASSl:lS 13 lOTAL LI ABILITIES 14 SAVINGS SHARtS 15 CREDIT MARKtT INSTRUMENTS MORTGAGE LOANS IN PROCESS 16 BANK LOAIIIS N.�.t. 17 FHLB ADVANCES 18 19 PROFIT lAXES PAYABLE 20 MISCELLANEOUS LIABILITIES 21 MEMO: TOTAL CR. MKT. ASSElS 133. 933 114. 40.! 1.384 14;.534 12.1.680 1.4 !11 152.890 130.582 J.621 lo2.149 14(1.044 1.799 176.183 149. till .l.llo 20t,.023 173.439 2.226 243.127 205.192 2.423 271.905 231.733 2.641 295. 5.: .. z4c; • .29:; 2.021 lb.141 2. 329 80 .20.373 2.010 108 20.687 1.579 231 l.0.30t, 1.39d 200 24.254 1.176 515 30.358 944 2.19 3 35.512 918 3.171 37.531 b 16 2.508 43.410 t41 2.920 7.732 844 0 0 0 7.16£ 9.255 1.00:; 0 0 0 7.931 9.t,27 l.090 75 125 L 7.954 l!.145 Lol.73 100 343 C 7 • .,47 6.849 4. 1 .. , 123 l.&48 0 9.538 o.176 7.1'10 150 2.b29 50b 10.368 5.t,55 9.ol3 lo5 3.340 b75 11.715 3.;,07 11.921 ld5 2.631 l3.B63 3.05:t 13.134 500 2. 719 4.(,Qj 16.835 5.30 .. 17.214 1.110 2.670 2. t,2 :> 19.18:C. 124.837 113.9b9 11.737 1.no 532 6.935 60 2.071 U3.9Bb 124.493 1.035 2 .257 392 4.386 57 2.403 i42..515 131.618 :1.161 2.449 45c; 5.,59 81 2.709 150.921 135.538 12. l.71 2.45'.'> 5l.7 9.2&<; 111 3.025 164 .192 140. 404 14.llo 3.01b 't23 10.615 105 3.507 192.431 174.191 14.050 5.02', 1.ce 5 -1.93b l">O ...034 :t27.887 20b.1o4 lb.010 e.209 1 .822 1.919 176 4.931 254.197 .:26.961\ 22.035 4.667 2.221 l 5. 147 £12 5.582 271.0t'i 242.959 28.320 3.244 3.27£ 21.llO't 31B.ol9 28b.043 2o • .tl7 5.11!1 3.lb5 17.645 12...362 133...19 143.l.lO 15l..704 164.8<,,. 227.263 2 54o.1ld 275.S.:2 6l.515 782 171 67.179 78b 205 11.015 8�c; 151 74.531 803 '>o 79.207 970 300 90.098 937 452 101.507 1.007 637 lOt.. 794 1.no 823 109.093 1-134 1.u.B l.l 1.138 l.241 l.Ob<; 2.000 51.otil 4.1bit 1.040 251 3.212 .,7.33c 620 4">& (I 2.500 62.ne ...319 1.210 21c; 5.287 50.4',0 715 488 0 2.400 b7.U5 3.834 l .629 194 6.614 53.457 858 442 101 2.,00 70.Hl 3.;a2 l.18� 193 t,,94b 5o.138 1.oc,5 4o98 336 2.dOO 73.<;19 3.151 2.221 197 8.14 7 57.948 1.0.-.5 718 442 3.500 1>3.494 3.2.68 3.ou, 390 12.030 t,l.c;75 1.195 c;55 060 4.500 93.238 3.510 4.154 B73 14.lt,6 b7.556 l.'t7o 711 792 4.200 98 .2 til 2.c;94 ...211 9;,l 13.014 13.230 035 1.50<; 3.700 lOCi.610 2. :>55 .... 403 <,.30 13.990 71t.S20 l.o't4 959 1.209 .4.400 111.:.:21 ... ,4C, 0.l31t 1. 5., 5 17.53t, 17. 24':I l .t:l.., l.09'1 1.110 IG 11 12 IJ 14 2.:200 ' 5 .538 1 ., 10 8 11 12 13 14 15 lt n la l<, 2C, ---------------------------------------------------------------------------------- ----n MUTUAL SAVINGS BANKS --------- - - ---- - ---- ------ - - - ----, ---------------- ------- -- ---- --------------' TOTAL fINAIIIClAL AS�ETS DEM AND DEPOSITS + CURRENCY TIME DEPOSITS 4 5 0 7 8 9 10 11 12 13 CORPORAlE EQUilltS CREDIT MARKEl INSTRUMENTS U.S. TReASURY SECURlllES u.s.G. Al.ENCY SEC. STAlt + LO CAL OBLIGATIONS CORPORATE BONDS MORTGAGl::S CONSUMER CREDIT COMMERCIAL PAPER Sl:CURlTY RP'S 14 MISCELLANEOUS ASSl::TS 15 lOTAL LIABlLlllES 16 SAVINGS DtPOSITS 17 MISCELLANHlUS LIABILITIES 3 4 5 o 7 881 956 l.084 991 l.298 1.115 2.12s 2.olt, 3.lc-1 56.119 61.381 o5.d19 ob.611 73.209 83.250 93.637 98.967 l01.5B9 112.628 55.00o 60.121 t,4.507 67.086 71.5&0 81.441 c;1.013 96.347 9&.701 lCl9.b73 12.00b 579 2.073 9.354 466 b33 8.255 13.153 668 2.2bb 10.219 548 608 9.003 14.484 661 2.105 11.718 711 lo.072 022 l.b64 l�.78b 1.021 731 12.oa lB.022 186 2.oso 15.156 l.370 800 12.986 21.098 c, 11 2.<;84 l 1.203 1.58b 847 14.770 24.619 989 3.olO 20.020 2.101 1.000 16.913 n.198 l.l.30 3.0 ..7 23.521 2.012 1.300 19.609 31.U5 l.4·79 2.78£ 2b.8l4 3.32B 1... 30 22.llt, :n.u.;s 1.050 3.3'tS 31.994 5.0'tO 1.000 25. �54 10.011 11.103 13.740 15.4116 18. 35 B 21.626 2 ...512 27.518 33. 046 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis lt 1.aoc; 2.024 2.020 2.888 2.155 l.6B9 1.113 l.2b0 l.5b5 1.372 ---------------------------------------------------------------11 ------------------C.ki::011 U"llONS TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY SAVINGS + LOAN SnARES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SEC.URllll:S HOME MORTGAGES CONSUMER CREDIT 8 CREDIT UNION SHARES 1.101 101 10.300 DECEMBER 1976 IN SURANCE • PENSION FUNDS INSURANCE • PENSION FUNDS SECTOR STATEMENTS OF FINANCIAL ASSETS ANO LIABILITIES YEAR-END OUTSTANDINGS, 1946-55 1946 1947 125 YEAR-ENO WTSTANDINGS, 1946-55 1949 1948 1950 1951 1952 1953 1954 1955 8 7.851 1.265 LIFE INSURANCE COMPANIES l 2 47.460 774 50.900 1.020 54.520 3 4 5 6 7 1.249 44.403 21.635 614 13.105 7.1S5 0 1.894 1 .034 1.390 47.386 20.040 609 16.125 0 1.937 1.104 1.428 50.932 16.812 872 20.358 10 .833 0 2.057 1.245 44.886 38.602 3.100 22 3.162 48.306 41.147 3.600 2 3.557 51 .802 43.777 4.200 2 3.823 8 9 10 11 12 13 14 15 16 8.675 915 58.390 908 62.599 1.005 66.629 1.085 71.472 1.146 76.513 1.215 8 2.188 1.718 54.427 2.103 57.905 13.4416 1.152 24.752 16.102 0 2.413 2.446 65.938 10.252 1.153 30.569 21.251 0 2.713 1.942 2.573 70.638 3.26& 75.397 9.070 1. 586 2.221 61.547 11.034 1.142 27.467 19.314 0 2.590 1.776 33.275 23.322 0 2.914 2.087 35.378 25.976 0 3.127 2.283 8.576 2.038 37.127 29.445 0 3.290 2.477 59.243 49.080 5.600 76 4.467 63.221 51.635 6.575 133 4.878 67.837 54.480 1.100 149 5.508 72.482 57.388 8.825 231 6.038 77.273 60.389 10.000 183 6.701 82.351 63.459 11.325 222 7.345 TOTAL LIABILITIES LIFE INSURANCE RESERVES PENSION FUND RESERVES PROFIT TAXES PAYABLE MISCELLANEOUS LIABILITIES 12 13 14 15 16 TOTAL FINANCIAL A SSETS DEMAND DEPOSITS + CURRENCY TIME DEPOSITS 2 3 15.298 1.052 22.931 12.906 0 2.240 1.337 55.527 46.444 4.825 47 4.2ll PRJVAlE PENSION FUNDS 1 2 3 3.570 101 0 4.135 131 0 4 272 2 .445 1.495 928 22 752 367 3.010 1.745 1.223 42 627 5 6 1 8 9 1 8 9 10 11 1.846 3.633 80.476 5.362 204 0 7.056 264 0 8.177 329 0 9.842 310 0 ll.747 366 0 13.841 357 0 18.342 415 0 462 3.601 586 4.190 2.245 1.863 82 382 1.105 5.275 2.345 2.828 102 412 1.358 6.048 2.445 3.483 120 442 1.843 7.175 2.478 4.548 149 514 2.392 8.494 2.655 5.647 192 495 3.154 9.827 2.682 6.907 238 503 6.085 11.166 2.992 7.853 321 676 1.995 1.544 62 502 AND 3.207 85 3.645 91 4.181 101 4.855 119 5.615 138 6ob42 158 7.966 189 9.454 194 10.831 174 8 2.787 l .671 10 3.112 1.860 13 3. 541 2.073 20 4.060 2.257 NA 0 1.037 190 25 41 5.436 2.918 146 2. 772 0 1.712 701 105 56 6.428 3.394 232 3.142 20 1.883 1.010 141 75 7.702 3.885 222 3.638 25 2.103 1.526 188 99 NA 2c; 4.707 Z.498 NA NA 0 1.549 585 75 9.161 4.421 310 4.073 38 2.376 2.115 249 200 10.457 4.724 231 4.435 58 2. 723 2.692 318 0 935 160 21 NA NA NA 0 1.166 267 35 l 2 CORPORATE EQUITIES 3 CREDIT MARKET INSTRUMENTS 4 U.S. GOVERNMENT SECURITIES 5 STATE + LOCAL OBLIGATIONS 6 CORPORATE BONDS 7 MORTGAGES 8 OPEN�ARKET PAPER 9 POLICY LOANS 10 MISCELLANEOUS ASSETS 11 CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES CORPCJUTE BONDS MORTGAGES MISCELLANEOUS ASSETS 1 4 5 6 1 a 9 LOCAL GOVERNMENT EMPLOYEE RETIREMENT FUNDS 2.872 77 NA TOTAL FINANCIAL ASSETS DEMAND DEPOSITS • CURRENCY ------- 4.726 161 0 STATE 4 5 6 9.829 1.298 1.240 NA NA 0 1.349 402 52 -------- TOTAL FINANCIAL ASSETS DEMAND DEPOSITS • CURRENCY CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES SHORT-TERM MARKETABLE OTHER DIRECT AGENCY ISSUES STATE + LOCAL OBLIGATIONS CORPORATE: BONOS MORlGAGES 1 2 3 4 5 I) 7 8 9 10 11 01 HER IN SURANCE COMPANIES 4 5 6 1 8 9 10 11 12 7.140 850 8.187 1.032 1 .719 4.093 3.294 237 501 61 478 4.331 34 4.297 1.074 9.281 10.510 1.137 11.748 1.202 12.804 1.238 14.246 1.320 15 .598 1.375 17.754 1.323 19.441 1.348 1. 744 4.833 3.885 315 564 69 578 1.809 5.746 4.413 544 713 76 652 2.224 6.426 4.826 828 679 93 723 2.587 1. 219 5.253 1.144 71& 104 7 40 2.c;11 7.805 5.417 1.448 822 118 850 3.245 8. 733 5.774 1.869 967 123 948 3.344 9 .873 6.025 2.617 1.092 139 1.006 4.539 10.828 6.137 3.402 1.146 143 1.064 5.408 11.529 6.000 4.194 1.183 152 1.156 5.165 44 5.121 5.977 117 5.860 6.728 217 6.511 7.192 162 7.030 8.040 128 7.912 9.134 218 8.916 10.096 3!>5 9.741 10.556 246 10.310 11.199 165 11.034 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOlAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY CORPORATE EQUITIES CREDll MARKEl INSTRUMENTS U.S. GOVERNMENT SE(URITIES STATE • LOCAL 08LIGATIUNS CORPORATE BONDS COMMERCIAL MORTGAGES TRADE CREDIT TOTAL LIABILillES PROFil TAXES PAYABLE POLICY PAYABLES £ 3 4 5 C) 7 8 <j 10 11 1, DECEMBER 1976 INSURANCE + PEN St ON FUNDS 126 -----·--------- YEAR-ENO OUT ST ANOINGS, 1956-65 INSURA NCE + PENSION FUNUS SECTOR STATEM ENTS OF FINANC JAL ASSETS ANO LI ABILITIES YEAR -EN D OUTS TA NO ING S, 1956-t,5, --------------------1962 1 963 1956 1959 1958 1960 1961 19b4 1957 1965 --------------------------------------------------------LIFE INSURANCE COMPANIES -------------------------------------------- 1 TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 2 3 4 5 6 7 8 9 10 11 CORPORATE EQUITIES CREDIT MARKET INST RUM ENT S U.S. GOVERNMENT SECURl TI ES STATE + LOCAL OBLI GA TI CJIIS CORPOR ATE BONDS MCRTGAGES OPEN-MARKET PAPER PO Lr CY LO ANS MISCELLANEOUS ASSETS 12 TOTAL LIABILITIES 13 14 15 16 LIFE INSURANCE RES ER VES PEN SION FUND RESERVES PROFIT TAXES PAYABLE MISCELLANEOUS LIABILITIES CORPORATE EQUITIES CREDIT M ARKET INSTRUPENTS U.S. GOVERNMENT SECURITIES CORPORATE BONDS MOlTGAGES M ISCELLANEOUS ASSETS 1 TOT.AL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 2 3 4 5 6 7 8 9 10 11 98.190 1.292 104.266 1.366 109. 999 1.309 115 .811 1.330 122. 80 9 1.392 129 .184 1.457 136.802 l. 466 144-942 1.488 154.2.03 1.503 l 3.503 85 .615 7.555 2 .2 73 39 .2 79 32 .989 0 3 .5 19 2.795 3.391 90.461 7.029 2.376 41. 951 35.236 0 3.869 3.046 4 .109 95.533 7.233 2.681 44.3 52 37 .0 62 17 4.188 3 .258 4.561 100. 501 6. 940 3.200 46.428 39 .19 7 118 4. 61 8 3.628 4.981 105.557 6.528 3.5 88 48.145 41.771 294 5 . 231 3.943 6.258 110.868 6.244 3.888 50.b07 44.203 193 5. 733 4.291 6.3 02 116.858 6.275 4.026 53 .074 46.902 347 6 .2 34 4.567 7. 135 123.282 5.952 3.852 55.899 1 .93·8. 9.126 130 .2!>5 137.843 5.723 5.286 3.774 3.530 58.218 61.043 60.013 55 .152 293 248 7.678 7. 140 5.261 5 .731 3 4 87 .397 66.626 12.500 262 8 .009 9 2.289 69. 277 14. 10 0 103.111 75.606 17. 575 434 9.496 108.485 78. 7,8 1 8.850 418 10 .459 114.198 82.11 2 20.250 386 11.450 120.2 59 85.754 21.6 25 4 40 12.440 126. 77 6 89.860 23.300 43't 13.182 133 .966 94.l 72 25.2 50 552. 13.992 141 .888 98.863 27.325 53.t. 15 .168 12 13 s. b48 97.497 72 .294 15.600 348 9.255 21.108 415 0 23. 437 466 0 29.229 4 96 0 34.113 535 0 38.148 5"6 0 46.140 660 0 47.l 52 7 07 0 55. 020 773 0 64 .311 892 0 73 .647 941 0 1 2 3 7.065 12 .723 2.799 9.475 41t9 905 7.489 14. "9 5 2.575 11.337 58 3 987 u .561 16.151 2.567 12.842 16.545 1 9.683 2 .683 15 .699 1.3 01 l .374 22.856 21.15 7 2.715 16.88 2 1.560 l."-67 21.885 22 .902 2.925 18. 1 01 1 .8 76 1.658 2 7.670 24.829 3. 049 1 9.560 2.220 1. 748 33.705 21.177 3 .193 21.206 2 .778 2.537 40.754 29.082 2.994 22. 703 3.38 5 2.870 4 1.o 21 l't.525 1 7.885 2.811 14.085 989 1.168 12 .o 71 190 13. 79 5 237 15.607 2-."t 17. 558 221 19.730 2"-3 22. 259 277 24.518 307 2 7. 369 313 30.636 311 34.078 317 l 2 200 11 .681 5.011 325 lt.619 67 3.110 3 .165 395 300 13. 258 5.155 303 4. 755 97 3.539 1o.021t 540 400 14.963 5.138 294 4.7 27 117 3.963 5.126 736 500 16.837 5.608 315 5.147 146 4.251 5.986 992 600 18.887 5.9 07 3 28 5.383 196 4.406 7.1 24 1.450 900 21.082 6. 07 1 lt67 5.333 271 4. 263 8. 85 2 1.896 1.000 :.!3.2ll 6.495 470 5.630 3 95 3.804 10 .610 2.242 1. 500 2S. S56 6.857 2.500 3 1.261 7.645 366 6.787 492 2 .62 5 17.245 3. 746 3 4 6.046 34 7 3.304 12. 78 3 2.612 2.000 28.32S 7.ltll 338 6.692 381 2.900 14.944 3.070 264 50.544 380 6.6 5 5 4. 919 CORPORATE EQUITIES CREDIT MARKET INSTRUMENT S U.S. GOVERNMENT SECURITIES SHORT-TERM MARKETABLE OTHER DIRECT AGENCY ISSUES STATE + LOCAL OBLIGATIONS CORPORATE BOM>S MORTGAGES 742 1 TOTAL FI NANCIAL ASSETS 2 DEMAND DEPOSITS + CURRENCY CORPORATE EQUITIES C REDIT MARKET INSTRUMENT S u.s. GOV ERNMENT SECURI TIES STATE + LOCAL 08LIGATI CNS CORPOR AT E BONDS COMMERCIAL MORTGAGES T RADE CREDIT 10 TOTAL LIABILITIES P ROFIT TAXES PAYABLE 11 12 POLICY PAYABLES ---------------------- "-64 1 8 9 10 11 l'+ 1� '-"' 6 7 5 I, 7 8 9 10 11 ------ 20 .113 1.2eo 20. liS 1 1.212 23.047 1.345 24. 929 1.337 26.223 1.332 29.183 1.365 3l .263 l .471 32. "69 1.1t32 3 4.763 1.396 3 6. 53 1 1.321 5.599 11.9'3 5.657 lt.915 1 .210 161 1.291 5. 159 12. S99 5."80 5. 568 1. 390 161 1.451 6.7 21 13.382 5.439 6.249 1.534 1 60 1 .599 7. 204 14. 606 5. 61.6 7. 239 1. 595 14 6 1. 782 7.lt56 15.501 5.586 8 .084 1.682 149 1 .93"' 9.309 16.Sl6 5.592 9.057 1. 71 2 155 l .993 8.620 17 .971 5.872 9.905 2 .060 134 2.20 1 9.959 18. 746 5.994 l O. 612 2.019 121 2.332 11 .351 19.532 6 .083 1 0.970 2.359 120 2 .481t 1 2.000 20.561 6.066 ll.34 9 3.00"t 14 2 2.649 11 .8 01 18 11.783 12.90 1 101 12.800 13.822 166 13.656 lit. 9't5 llt5 14. 800 15 .8tD 139 15.721 1 6. 651 106 16.545 17.363 114 17.249 18. 'tl5 92 18.323 19.636 37 19.599 21.238 93 21.145 MONEY AMOUNTS ARE IN MILLION.S OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5, 6 ---------------------------------------------------STATE ANO LOCAL GOVERN 'ENT EMPLOYEE RETIREMENT FUNDS ------------------- OTHER INSURANCE COMPANIES 3 4 5 6 7 8 9 2 --------------------------------------PRIVATE PENSION FUNDS ---------------------------------------------------- 1 TtlTAL FINANCIAL ASSETS DEMANO OE POS ITS + CURRENCY 2 3 TIME OEPOSITS 4 5 6 7 8 9 93 .194 1.281 '+ 5 I, 7 10 11 12 DECEMBER 1976 INSURANCE + PENSION FUNDS INSURANCE + PENSION FUNDS 127 SECTOR STATEMENTS OF FINANCIAL ASSETS AND LIABILITIES YEAR-END OUT STANDINGS, 1966-75 1966 1967 1968 YEAR-END OUTSTANOINGS, 19c.b-75 1969 1970 1971 1972 1973 1974 1975 LIFE INSURANCE COMPANIES ' 1 2 162.287 1.547 172.645 1.576 183.067 1.682 191.296 1.634 200.934 1.758 215.198 1.763 232.365 244.750 2.071 ,55.018 1.999 279.874 1.925 3 4 5 8.832 145.941 5.157 3.260 63.418 64.609 380 9.117 5.967 10.877 153.341 4.913 3.145 67.228 67.516 480 10.059 6.851 13.230 160.687 4. 750 3.194 70.936 69.975 526 11.306 7.468 13.707 167.625 4.514 3.221 72.673 72.027 1.365 13.825 8.330 15.420 174.605 4.574 3.306 74.144 74.3n 2.142 16.064 9.151 20.607 182.759 4.455 3.363 79.610 75.496 2.770 17.065 10.069 26.845 192.463 4.562 3.367 86.602 21.920 217.713 4.437 3.667 96.443 86.234 4.070 22.862 13.386 28.061 234.839 2.981 18.003 11.076 25.919 204.767 4.328 3.412 92.455 81.369 3.004 20.199 ll.993 149.852 103.450 29.425 592 16.385 158.959 108.224 32.050 481 18.204 168.139 112 .859 34 .975 643 19.662 177 .4b2 117. 771 37.900 698 21.093 187.b82 122.907 41.17 5 823 22.777 201.018 129.008 4 6.350 796 24.864 2lb.334 135.499 52.300 811 27.724 230.065 142.708 56.050 847 30.460 243.920 149.065 60.775 835 33.245 267.046 156.889 71.875 745 37.537 TOTAL LIABILITIES LIFE INSURANCE RESERVES PENSION FUNO RESERVES PROFIT TAXES PAYABLE MISCELLANEOUS LIABILITIES 13 14 15 lb TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY TIME DEPOSITS 1 2 3 6 7 8 9 10 11 12 13 14 15 16 1.981 76.948 TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY CORPORATE EQUITIES 3 CREDIT MARKET UtSTRUMENTS 4 U.S. GOVERNMENT SECURITIES 5 b STATE: + LOCAL OBLIGATIONS 7 CORPllUTE BONDS 8 MORTGAGES OPEN-MARKET PAPER 9 10 POLICY LOANS MI�ELLANEOUS ASSETS 11 b.155 4.508 105.538 89.358 4.813 24.467 15.049 lt! PR IVA TE PENSION FUNDS 1 2 3 75.781 758 142 89.417 894 425 101.456 1.015 577 102.385 1.024 595 110.617 1.106 698 130.520 1.305 336 156.702 1.567 290 135.202 1.352 1 .084 H6.568 1.337 3.749 148.883 1.452 2.410 4 5 6 1 39.468 31.893 2.751 25.231 3.911 3.520 51.104 32.762 2.324 26.355 4.083 4.232 61.4 56 33.823 2.756 27.000 4.067 4 .585 61 .425 34.621 2.792 27.613 4.216 4.720 b1.081 36.866 3.029 88.650 35.403 2. 732 29.013 3.658 4.626 115.238 34.624 3.689 28.207 2.728 4.983 90.523 37 .114 4.404 30.334 2.376 63.285 lo2.934 5.533 35.029 2.372 5.263 &8.559 50.95b 8 9 ----- 4 5 6 7 8 9 · 10 11 29.666 4.171 4.860 5.129 -----------------------------------------STATE ANO LOCAL GOVERNMENT EMPLOYEE RETIREMENT FUNDS 37.809 2.383 5.506 ---------- 38.116 368 42.644 4b4 48.047 607 53.247 60.303 601 68.972 696 80.586 772 85.055 1.156 88.963 1.817 105.951 1.100 2.soo 34.948 7.767 393 6.722 652 2 .481 20.184 4.516 3.900 38.280 5.800 41.640 7.331 450 5.471 1 .410 2.382 26.565 5.362 7.300 45.468 7.003 707 4.730 10.100 4 9.602 15.400 52.876 5.4 4 0 20.600 63.299 5.;376 17.400 69.766 25.800 78.45 1 6.812 4.260 2.032 35.055 5.9;{0 1.075 3.930 1. 728 2.331 30.559 5.575 3.348 1.544 2.152 38.996 6.288 22.200 57.614 5.603 732 2.766 2.105 2.059 43.482 6.470 6.950 459 5.706 785 2.406 23.921 5.003 479 1.566 6.595 844 1.491 548 586 1.824 2.966 1.337 49.445 7.141 5.566 561 611 55 .88 7 7.702 497 8.250 41.500 1.285 45.538 1.362 46.389 50.637 1.432 58.632 1.509 b9o205 1.540 71.089 1.527 69.635 1.581 77.357 l.681 ll.000 22.633 6.267 12.648 3.575 143 2.898 13.000 24.039 5.4b3 14.098 4.293 13.300 27.870 5.063 16.334 6.273 200 13.200 31.t:35 5.026 17.786 3.898 245 4.370 16.600 35.862 5.08 0 21.696 8.863 223 4.661 21.800 40.023 3.176 14.600 26.100 5.353 15.090 5.464 193 3.476 5.842 19.700 43.377 5.147 30.062 8.002 166 6.485 12.800 48.234 5.535 32.530 10.012 157 7.020 14 .300 53.708 7.005 34.290 12.192 221 7.668 10 23.025 12 22.930 25.103 97 25.006 27.547 75 27 .472 30.943 126 30.817 34.428 193 34.235 37.955 150 37.805 42.894 270 42.624 47.682 283 47.399 52.596 303 52.293 58.773 308 58.4b5 6 7 8 9 11 95 185 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8.578 5 7 8 9 l 2 CORPORATE EQUITIES 3 4 CREDIT MARKET INSTRUMENTS U.S. G OVERNMENT SECURITIES 5 SHORT-TERM MARKETABLE C> 1 OTHER DIREC.T 8 AGENCY ISSUES STATE + LDC.AL 08LIGATlONS 9 CORPffiATE BONDS 10 MORlGAGES ll 4. 587 2.500 60.889 37.860 1.329 4 5 TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY 4 b ----------------- OTHER INSURANCE C.OMPANIES 1.321 CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. GOVERNMENT SECURITIES CORPORATE BONDS MORTGAGES MISCELLANEOUS ASSETS 10.764 5.189 26.512 8 • 141 181 TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + C.URRENCY CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. G OVERNMENT SEC.URITIES STATE + LOCAL OBLIGATIONS CORPORA TE 60NDS COMMERCIAL MURTbAGES TRADE C.REDIT TOTAL LIABILITIES PROFIT TAXES PAYABLE POLICY PAYABLES l 2 3 4 5 t, 7 i> 9 i.o 11 ).2 DE.UMBE:R 1976 FINANU N.E .C. 128 FINANC.t N.i:..L. HCTOR STAHME:NT!> UF FINANCIAL HSl:TS AND L UBILll I t:S ----------------------------------------------------------------------------------------------------------YtAtt-END OUT Sl Al,iUJNGS, l'i40-55 nAR-E:l'tO OUTSlANDINGS, 1946-5� l c;55 1952 l9't7 l'J4b 1948 1951 1953 l 'JS't -------------------------------------------------------------------194'J --------1950 ---FJNANtE COMPANJE:S ---------------------------------------------------------------------------------------------- -- I TCJHL Fl1,i.U1CUL ASSE:TS DEMAND OEPOSllS ♦ CURRENCY 2 CREDll MARK El JNSTRUME:1,iH 3 MORTGAGES COl,iSUMER CREDIT OTHER LOANS no b.USJNE:SSI 6 ... 90.:> 630 4.273 li:>3 1.494 :t.6lt> 5.530 568 4.9b2 224 2.359 2.379 6.b5l 74.:> 5.908 213 3.200 2.489 4.305 l.24t, TOTAL LIABILITli::.S CREDll MAR�E1 INSTRUMtNh CORPOkAT E BOIIIDS BANK LOo\NS N.c.c.OPlN-MARKEl PAPER PROFIT lAXU. PAYABLE: Ml SC El LANEC,U S LI All lL IT lEl> l.t,74 J.JOb 356 543 207 34 53,, 2.n1 1.103 5.,5 3.577 2.751! 973 1.211 501i 4.b43 3.6�1 1.3':>5 1.660 616 1 8 9 10 11 12 13 B.tb 329 52 1'1 7.69; 854 o.83<; 2ffcl 1.(1\1 9.253 1.022 b.l3l 454 5.315 .:.462 9. 79 .. 1.140 e.054 356 5.b02 2.696 11.952 1.110 10 • 7112 598 7.057 3 .127 13.696 1.19c 12.500 62 ... b .t>2" 3.252 14.:B5 1.169 13.166 8-45 9.063 3.2 58 lt-. l99 1 • .:>27 lb. 972 1. 372 11.838 3.162 o.231 5.055 1.135 2.006 7l't 165 1.011 6.143 5.452 £.023 2.365 1.064 212 1.01c,. 8.318 6.748 2.280 3.050 l.418 246 1.324 10.l't9 s • ..:86 3.oal .2 .C,62 1.t.43 .H9 1. :,"4 10.0&7 e.i5o .1.bO'3.155 1 ...91 :£35 l.b0.2 1 ...033 ll.731 4.5.26 5.'ot,'o 1.73<, 274 2.0.2& bib ---------------- PHYSI CAL ASSEH f'ULTI-FAMlLY STRUCTURES 2 . 3 Nt,NRES lDENTI AL STRUCTURES .. ------------------- REAL ESTATE lNVESlMfNT TRUSTS 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 9 TCJTAL LlABILll JES CREDJT MARK El INSTRUMENTS 10 MORTGAGES 11 MUL11-FAMIL Y RESIDENTIAL 12 13 COMMERCIAL 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 14 15 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 CORPORATE IIONDS BANK LOANS N.E.C. OPEN-MARKET PAPER 0 -------------0 l TOTAL FlNAf< UL AS�TS DEMAND DEPOSITS + CURRENCY 2 CORPORAlE EQUITHS CREDIT MARKET INSTRUMENTS u.s. '-OVERNMENl SECURITIES CORPORATE BONDS OPEN-MARKET PAPER 0 7 0 0 0 0 0 0 C, e, 0 0 l .515 b9 .:,,.070 83 3 .34-4 98 3.481 143 3.931 133 4.l4b 1�6 t,.109 155 7.838 1.044 184 31 153 0 1.i:;3 188 43 145 0 l .220 220 65 155 0 2.110 217 104 173 0 2.897 349 129 220 0 2.948 390 129 261 0 3.326 472 130 342 0 3. 521 469 129 34>0 0 5. 3t>l 593 154 'o3� 0 6.927 792 255 473 o4 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 ----------------------------- 0 2.t,30 629 3.115 558 3.650 490 'o.039 b35 3.760 605 4.149 549 'o.5'>1 475 5.595 557 5.910 530 3 4 5 6 'o50 l.t,'o8 917 340 391 59'> 4t,O 905 202 2"3 400 636 463 l.'o89 820 267 402 605 649 1.5'o2 703 252 509 1.403 586 370 447 l.'o92 550 1.184 313 384 1.1o21 b12 l .IHI 6 709 228 549 1.so2 b02 1.608 640 'o30 538 1.866 731 1.t,35 66b 300 669 2-612 1185 1. 387 .264 300 &23 2.379 2.366 1.52/o 0 8'o2 13 1.588 1.582 830 0 752 6 2.073 2.068 1.344 0 2.596 2.588 1.163 2.972 2.960 1.ao2 100 1.058 12 2.691 2.681 1.554 150 977 10 3.076 3.056 2.060 200 796 20 3.,.66 3.445 2.361 300 784 21 4.472 4. 772 8 9 lOTAL LIABILITIES 10 SECURITY C REDIT FROfl BANKS 11 FROM FOREIGN BANKING AGS. 12 CUSTOMER C.RE:OIT BALANCES 13 PROFIT TAXES PAYABLE 14 MONEY AMOUNTS A RE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 12-\ 5 587 9c.9 so • 11!» 4>61 C, 1 -------- SECURJTY BROKERS ANO DULERS 3.'o22 730 7 lo 0 l TOlAL FINAi«: UL ASSETS 2 DEMAND DEPOSITS + CURRENCY CORPORATE EQUITIES CREDIT MARKEl INSlRUMENTS u.s. GOVERNMENT SECUllllIES STATE ♦ LOCAL 06LIGATIONS CORPORATE 80NOS SECURITY C REDIT 1 .. 15 -------------- 0 0 0 ------------------- 1.: L, 11'7 0 0 0 0 11 ------------------------------------ l.412 71 c.REDIT MARKET lN STRU,.ENl S u.s. GOVERNMENT SECURITIES OPEN-MARKET PAPER MISCELLANEOUS .., 10 --------------------------------------------------------- -------------------------------- II SHARES OUTSTANDING C, 1.297 69 l TOTAL ASSElS DEMAND DEPOSITS + CURRENCY 2 TIME: OEPOSllS 3 b 0 0 0 OPEN-END INVESTMENT COMPANIES MONtY MARkET F UNDS ---------------------------------- 4 5 lL ------------------------- 0 0 0 0 0 0 0 0 TOTAL FINANCIAL ASSETS HOME MORTGAGES COMMERCIAL MORTGAGES 1 MUL Tl-FAMILY MORTGAGES MISCELLANEOUS ASSETS 5 6 3 4 5 6 7 b le, 1.. u 852 --------------------------------------l� ---------------------------------------------------- l , lo 5 t,. <lt.'o50 2.929 400 1.12.1 22 ;). 108 4.746 3.263 500 983 2b 9 10 11 1l 13 l'o DECEMBER 1916 FINmCE N.E.C. FINANCE N.E.C.. 129 SECTOR STATEMENTS OF FINANCIAL ASSETS AND LIABILITIES ------------------------------------------------------------------------------------------------------------- YEAR-END OUTSTANDINGS, 1956- 65 1956 1957 YEAR-ENu OUTSTANuINGS, 195b-b5 1958 1959 1960 1961 1962 1963 1964 1Sb5 35.492 l.820 33 .b12 3.530 20 .165 9,977 39.700 I.793 37,907 3.920 22.420 11 .5b7 44.b54 1.985 42.669 4.�2 24.675 13. 532 TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY CREDIT MARKET INSTRUMENTS MORTGAGES CONSUMER CREOil OTHER LOANS 110 BUSINESS) 30.068 25.292 9.173 5 .822 255 4. 521 34.158 2<,.045 12,0bl 9.667 7.317 175 4.938 39.552 33.795 13.... 61 11.831 8. 503 262 5.... 95 TOTAL LIABILITIES CREDIT MARKET INSTRUMENTS CORPORAlE BONDS BANK LOANS N.E.C. OPEN-MARKET PAPER PROFIT TAXES PAYABLE MISCELLANEOUS LIABILITIES ----------------------------------------------------FINANCE COMPANIES 1 2 3 4 5 b 19.287 I .330 17.957 1.268 12.843 3.846 20.642 1.368 lQ.274 943 13.521 4.810 20. 370 1.396 18.974 1.400 12. 715 4.859 24.022 1.607 22.415 I.b47 14.487 o.281 27.610 l.b95 25.915 1.611 lb• 115 8. 18<; 2fl.861 1.890 26.971 2.246 16.333 8.392 31.215 2.011 29.19!.' 2.697 17.939 P.5b2 1 8 9 10 11 12 13 14.915 12.469 5.609 4.988 16.344 l3.b75 bo354 4.997 2.324 286 2.383 15. 506 13.004 6.556 4.259 2.189 217 2.285 18.791 15.8011 7.733 5.188 2.887 283 2.100 22.184 18.739 9.112 5.899 3.728 285 3.lt-0 22.894 19.301 9.262 6.447 3.592 255 3.338 25.631 21.634 9.222 7.610 4.802 287 3.710 1.872 276 2.110 10 .297 5 6 7 8 9 10 11 12 13 REAL ESTATE INVESTMENT TRUSTS 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 C 0 0 0 0 0 0 0 PHYSICAL ASSETS MULTI- FAMILY STRUCTURES NONRESIDENTIAL STRUC.TURES 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 TOTAL FINANCIAL ASSETS HOME MORTGAGES COMMERC.IAL MORTGAGES MULTI-FAMILY MORTGAGES MISCELLANEOUS ASSETS 0 0 0 0 0 0 0 0 0 0 TOTAL LIABILITIES CREDIT MARKET INSTRUMENTS MORTGAGES MULTI-FAMILY RESIDENTIAL COMMER( IAL 4 5 6 1 8 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 p 0 0 0 0 0 9 10 11 12 13 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 14 15 16 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 C 0 0 0 ----------------------------------·------ ------------------ CORPORATE BONDS BANK LOANS N.E.C. OPEN-HARl<ET PAPER .. 5 t, 1 8 9 10 11 12 13 14 15 16 OPEN-ENO INVESTMENT COMPANIES 3 4 5 6 7 9.046 138 8. 714 13.241 202 1i; .e 18 2 41 17.026 259 22.875 347 21.211 324 25.214 385 29.116 444 35. 2 20 537 7.887 1.021 276 6f:.7 78 7.411 1.110 277 no 113 11.672 13.867 1 .110 556 1.091 63 14.806 1.961 bl9 1.247 95 20.252 2.276 688 1 .'587 22.085 2.744 728 1 18.339 2.608 737 1.617 254 1.788 228 25.038 3.03it 767 2.149 116 30.663 3.820 811 2. 554 455 133 1. 367 401 935 31 ---------------------------------------------------- TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS U.S. G O VERNMENT SECURITIES CORPORATE BONDS OPEN-MARKET PAPER 3 4 5 b 7 MONEY MARKET FUNDS 4 5 6 1 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 lOTAL ASSETS DEMAND DEPOSilS + CURRENCY TIME DEPOSITS ------------------------------------------- CREDIT MARKET INSTRUMENTS U.S. G OVERNMENT SECURITIES OPEN-MARKEl PAPER MISCELLANEOUS � 5 o 7 SHARES OUTSTANDING SECURITY BROKERS ANO DEALERS 5.331 538 5.477 547 6.071 571 6.170 600 b.698 624 7.b45 688 8.577 648 9.162 672 9.857 681 10.343 711 3 4 5 6 7 8 68b 965 243 100 622 3.142 771 l.351t 449 200 705 2.805 488 1. 242 604 215 423 3. 770 566 1.231 428 302 501 3.773 535 1.890 1.021 400 469 3.b49 193 2.041 1.305 333 403 4.723 328 3.037 1.976 523 538 4.564 477 1.918 718 514 686 6.095 89b 2.b70 1.374 693 603 5.610 1.201 2.445 1. 082 453 910 5.<t86 9 10 11 12 13 14 4.17b 4.158 2.590 600 9b8 4.312 4.287 2.601 700 986 25 4.881 4.8it8 2.832 741 1.275 33 4.937 4.887 3.018 773 1.096 50 5.430 5.382 3.284 849 1.249 48 6.319 6.25b 4.05b 859 1.341 63 7.244 7.216 5.169 709 1.338 28 7.796 7.739 5.320 8.437 8.377 5.541 1.051 1.785 60 18 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1.088 1.331 57 8.830 8.737 5.258 788 2.b9l 93 TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY CORPORATE EQUITIES CREDIT MARKET JNSlRUMENTS U.S. GOVERNMENT SECURITIES STATE + LOCAL ObLIGATIONS CORPORATE BONDS SECURITY CREDIT TOTAL LIABILilIES SECURITY CREDIT FROM BANKS FROM FOREIGN BANKING AbS. CUSTOMER CREDIT BALANCES PROFIT TAXES PAYABLE 3 � 5 6 7 11 9 10 11 12 13 1� OECH•&ER 197b FJNANCi. N.E .c. 130 Hr.ANCt N.E.L. Sl:CTOR STAlEME:Nll> UF FJNANCUL ASSE:lS ANO LJAoJLITHS YfAR-tNO OUT�TANulNbS, l',cb-i:, -----------------------------------------------------------------------------------------------------------------------l <, 75 1'174 1912 l9b7 1971 1973 l9ob 1'170 1966 1909 ------------------------------------------------------------------------------------------FlNA,-,CE COMPANli:S -------------------------------------------------------------------------------------------- YEAR-ENO OUT STANO INGS, l9bb-75 l TOTAL FINAl'IC JAL ASSt:TS OE MANO OEPOS ITS + CURki:NCY 2 3 CREOll MARKET INSTRUMc.NTS MORTGAGES 4 CONS UMER CREDlT 5 OTHER LOANS (TO 8USINt:SSl 6 7 TOTAL LIABlL ll lES CREDIT "'ARKET INSTRU"'i:NTS 8 9 CORPORATE BONDS 6ANK LOANS N.E.C • 10 OPEN-...ARKt:T PAPER 11 PROFIT TAXES PAYA8L� 12 u MlSCE.LLANEOUS LI AB lLl Tli S 69.82) 2.',146 66.b75 b.896 33.9H 2 3 _.,..,8 79.404 3.208 76.196 10.S87 37.806 27.803 91.124 3.454 87.670 12... s2 43. Obl 32. 137 10.Sb3 45.2S8 36.614 ',8. 311 ?,.898 'f4. 41.:1 9.332 4o.lu<, 3'1. 032 b7.08 9 54.326 19 .66 2 11.538 23.126 12.486 75.978 60.802 23.284 15.1:>42 21.876 2qs 14.&78 87.763 70.238 2t..240 20.163 23.835 353 11.112. <,.:.b39 74.354 21l.024 18.922 27.408 429 18.056 94. 2o0 1:,.011 :,C,.733 lb.t:46 LB.032 53b l!I.Hl 12 13 949 313 636 1.353 "4b 907 2.478 818 l.660 3 • .::10 1.059 2.1s1 4.273 1.410 2.ilb3 7.299 .l.409 4.890 2 3 47.074 2.137 44.937 3.&9k 20.433 1 ... 60b 47.691 l.23b .. 5.455 ...294 26.904 14.257 52.9.:15 2.:n.:1 50.622 4.935 29.197 lo.490 61.611 2 ...29 5<t.182 5.742 31.'181 .::1.459 01.924 7.420 32.514 21.990 42.887 3o.272 13.581 10.bbll 12.023 228 bo387 43.948 3b.8o7 13.991 b.825 14.051 l 72 6.909 49.092 40.1 .. 0 14 • 11c; ll.181 58.4b5 49.025 u,.c,94 10.981 22.',SO 21<; <;.221 62. 414 5l.bb2 17. 167 10.906 23.SB9 251 10.SOl 0 0 0 0 355 117 238 702 470 <!32 9.b�7 16.924 64.586 2.bb2 9o.:n-, .:lobb., 'I.: .:,5!:, .. 5 b 8 9 10 11 -----------------------------------------------------------------------RE:AL ESTATE INVESTME.NT TRUSTS ----------------------------------------------------------------------------------------171 l11 l PHYS Jc.AL ASSETS HJL 11-FAMILY STRUCTUr..ES 2 NONRES JOt:NT JAL STRUCTURES 3 0 0 4 TOTH FINANCIAL ASSETS HOME MORTGAGES s COMMERCIAL MORTGAGES b MUL11-FAMJLY MORTGAGES 7 MJSC.ELLANEOUS AS SETS fi 0 0 0 0 0 0 0 0 0 830 3S 720 7S 0 2.001 213 1.301 493 0 3.904 005 2.030 1.269 0 b. 370 785 3.240 2.178 167 11.392 1.210 4o9b7 4.219 996 lb.960 l.880 1.476 o.600 1.024 lt>. 749 1.706 1.on. b.1b5 60't 11.630 lo 36b 1.020 ...79.:. -1.542 9 TCJTAL LlABILITJES 10 CREDIT MARKET JNSTRUMENTS MORTGAGE:S 11 MUL Tl-FA MJLY RESIOENllAL 12 COMMERCJAL 13 0 0 0 0 0 0 0 0 0 0 lb6 766 200 bb 134 1.4«;0 1.4.;0 'd0 l4t2 21l8 2.17'1 2.179 S4o 1110 366 4.111 4.11 l 680 224 456 s.760 &.760 1.160 383 777 14. 350 14.350 l.480 488 992 15.8.. o 15.820 l.649 544 1.10s 15.4S9 l5.',S9 2.015 e65 1.350 9 10 11 12 14 15 lb 0 0 0 0 0 0 0 566 0 ,;,5 955 0 600 1.033 0 1.016 1. 635 780 l .3<;0 2.•no 3.240 1.940 b.955 3.975 2.099 11.362 710 2. 099 10.Slt, 8.2.9 14 Ci CORPORATE BONDS BANK LOANS N.E.C. OPEN-MARKET PAPER ---------------- 4 5 b 7 8 13 --------------------------------------------15 lo --------------------------------------------------------------------------------------TOTAL FINANCIAL ASSETS OE,..AND DEPOSITS + CURRENCY 3 4 5 6 7 CORPORATE EQUJTIES CR�OIT "'ARKET lN STRUMHHS u.s. GOVERNMENT SECUklTIES C ORPORATE BONDS OPEN-MARKET PAPER 34.829 531 44.701 682 52.677 80-. 4b.289 737 47.618 727 5t>.694 866 59.831 913 4b.Sl9 1.210 3At.Obl 1.046 4£.178 1. 171 2b.943 5.355 1.437 2.915 1.003 39.176 4.&43 921 2.959 963 'tt>.08, 5.791 1.143 3.408 1.240 40.857 b.695 075 3.5136 2.43At 39. 6&3 7.«08 850 4.286 2.012 't8.6ll 1.201 559 4.910 1. 738 5l.728 7.190 689 5.0b8 1.-.33 38.321 b.988 l.lt,O 4.196 l.632 2b.347 b.668 1.109 3.792 1.767 33-664 1. 3't3 l.Oob 4.7ob 1.s11 -------------------- 1 TOTAL ASSETS DEMAND DEPOSilS + CURRENCY 2 llME D EPOSITS 3 4 5 6 7 OPlN-END INVESTMENT COMPANIES CREDJT "'ARKET JNSTRUMENTS u.s. GOVERNMENT SEC.URITIES OPEN-MARKtl PAPER "'ISCELLANEOUS 8 SHARES OUTSTANDING ------------------ MONEY "'ARkET FUNDS "> -------------------- 0 0 0 D 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 2.379 0 1.620 3.645 29 2.131 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 151 112 645 2 1. 451 921 524 3't 0 0 0 0 0 0 0 0 l..379 3.645 ---·-------·-- .. 2 3 4 5 b 7 ------------------------------------- SECURITY BROKERS ANO DEALERS TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + C URRENCY 3 4 5 6 7 8 CORPORATE EQUITIES CREDIT MARKET INSTRUMENTS u.s. GOVERNMENT SECURITIES STATE + LOCAL OBLIGATIONS C ORPORATE BONDS SECURITY C REDIT TlJTAL LIABILITIES SECURITY CREDIT FRO"' BANKS FROM FOREIGN B ANKING AGS. 12 13 C USTOMER CREDIT BALANCES 14 PROFIT TAXES PAYABLE 9 10 11 11.279 784 14.723 990 18.503 l.465 15.391 1.386 16.233 1.073 17.595 1.097 21.835 1-081 18.214 854 14.872 1.130 11.104 1.184 1.314 3.231 1.742 465 1.024 5.950 1.686 2.883 963 506 1.394 9.164 1.505 3.528 1.766 548 1.214 12.005 1.866 3.6b3 1.728 361 1.574 8.476 1.977 5.995 3. 398 915 1.682 7. 188 2.101 4.633 1.799 1.028 1.806 9.764 2.318 4.951 2.012 912 2.021 13.4&5 2-681 5.530 2.008 1.130 2.392 9.149 1.743 4.416 2.256 105 1.455 1.583 1. 711 4.206 l.152 631 1.423 10.01:>3 9.671 9.57b 5.821 8SO 2.90!, 95 12.896 12.745 6.641 850 5.254 l'H 16.398 16-199 7.674 850 7.675 199 13.320 n.113 b.668 850 5.655 l't7 14.303 14.153 8.600 850 4.703 150 15.'t39 15.299 9.252 850 5.197 140 19.580 19.'tl5 13.090 937 5.388 165 16.174 16.021 10.321 501 5.199 153 12.896 12.851 &.200 4o7 4.184 45 lS.081 15.007 10.373 285 4. 3At9 80 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 10 11 12 13 l" DECE"8ER 1976 MONETARY AND INSURANCE RESERVES MONETARY AND INSURANCE RESERVES 131 GOLD, OFFICIAL FOREIGN EXCHANGE, TREASURY CURRENCY, ANO INSURANC E RESERVES YEAR-€ND OUTSTANDINGS, 1946-55 YEAR-END OUTSTANDINGS, 1946-;:, ---------------------1946 1947 1948 1949 1950 1951 1952 1953 1954 1955 GOLD AND OFFICIAL FOREIGN EXCHANGE HOLDINGS 11) 20.458 23.805 25.692 24.266 24.298 24.714 23.458 22.978 22. 797 TOTAL U.S. RESERVES 20.706 177 20.529 22.868 114 22.754 24. 399 155 24.244 24.563 136 24 .427 2 2.82 0 114 22.706 22.8 72 177 22.695 23. 252 65 23.187 22.091 61 22.030 21.793 80 21.713 21.753 63 21.690 U.S. GOLD STOCK AND SDR'S U.S. GOVT.--EX. STAB. FUNU MONETARY AUTHORITY 121 -248 937 1.293 1.462 1.446 1.426 1.462 1.367 1.185 1.044 U.S. FOREIGN EXCHANGE POSITION 5 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 OFFICIAL FGN. CURRENCY HLDGS TREASURY MONETARY AUTHORITY 7 9 10 11 -248 -248 0 937 1.216 -279 1.293 1.574 -281 1.462 1.742 -280 1.446 1.480 -34 1.426 1.454 -28 1.462 1.492 -30 1.367 1.410 -43 1. 185 1.222 -37 1.044 1.105 -61 12 13 14 33.650 20.706 12.944 34.150 22.868 11.282 34.560 24.399 10. 161 35.015 24.563 10.452 35.355 22.!170 12.535 35.575 22.872 l 2.70 3 35.815 23.252 12.563 36.290 22.091 14.199 36.940 21.793 15.147 37.620 21. 753 15.867 TOTAL WORLD GOLD + SDR'S U.S., AS ABOVE REST UF THE WORLD 2.469 4.738 -2.269 2.505 4.829 -2.324 2. 507 4. 852 -2.345 TOTAL U.S. GOVT. LIABILITY MONETARY AUTHORITY ASSET UNALLOCATED A SSETS TOTAL LIABILITIES U.S. GOVERNMENT LIFE INSURANCE COMPANIES 3 TOTAL ASSETS (HOU5EHOLDSI 4 2 3 4 NET IMF POSITION U.S. GOVERNMENT ASSET MONETARY AUTHORITY 6 '> 10 11 12 13 14 TREASURY CURRENCY ANO SOR CERTIFICATES 2.436 4.406 -1.970 2.408 4.406 -1 .998 -2. 403 4.433 -2 .030 2.384 4.442 -2.058 2.374 4.480 -2.106 2.39 8 4.553 -2.1 r;5 2.435 4.656 -2.221 ----------------------------------------------------------------------INSURANCE AND PENSION FUND RESERVES LIFE IN SURANC E RESERVES: 4 43 .360 4.758 38.602 46.510 5.363 41.147 49. 353 5.576 43.777 52 .104 5.660 46.444 55.049 5.969 49.080 57.777 6.142 51.635 60.665 6.185 54.480 63.647 6.259 57 .388 66.349 5.960 60.389 69.254 5.795 63.459 43.360 46.510 49.353 52.104 55.049 57.777 60.665 63.647 66.349 69.254 l 2 PENSION FUND RESERVES: 12 12.815 3.273 2 .381 892 9.542 3.100 3.570 2.872 15.03 8 4.096 2.693 1.403 10.942 3.600 4.135 3.207 13 12.815 15.038 5 6 7 8 9 10 11 17.490 4.919 3.088 1.831 12. 571 4.200 4.726 3.645 20.327 5.959 3.620 2.339 14.368 4.825 5.362 4.181 24.254 6.743 4.166 2.577 17.511 5.600 7.056 4.855 27.820 7.453 4.758 2.695 20.367 6.575 8.177 5.615 32.595 8.411 5.371 3.040 24.184 7.700 9.842 6.642 37.479 8.941 5.647 3.294 28.538 8 .825 11.71.7 7.966 42.654 9.359 5.918 3.441 33.295 10.000 13.841 9.454 50. 546 10.048 6.498 3. 550 40.498 11.325 18.342 10. 831 TOTAL LIABILITIES U.S. GOVERNMENT EMPLOYEE RETIREMENT RAILROAD RETIREMENT INSURANCE SECTOR LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS <; 10 11 12 24.254 27.82 0 32.595 37.479 42.654 50.546 TOTAL ASSETS (HOUSEHOLDS) 13 TOTAL LIABILITIES -----------------------------------------------------------------------------20 .327 6 7 B INTERBANK CLAIMS 18.825 20.744 23.112 19.242 21.444 24.156 24.044 23.880 22.463 23.686 16.139 2.046 17.899 2.21 6 20.479 1.978 16.563 2.015 17.681 2.174 20.056 2.697 19.950 2.753 20.160 2.512 18.876 2.469 19. 005 2.682 4 640 635 596 0 31 0 655 649 574 0 6 69 0 664 655 542 9 10 629 623 569 0 7 47 0 10 103 0 1.589 1.577 1.435 0 13 129 0 1.403 1.387 1.203 0 17 167 1.341 1.322 1.094 0 22 206 0 1.20s 1.189 948 0 23 218 0 1.11a 1.095 818 0 28 249 0 1.999 1.976 1.692 0 31 253 0 6 9 12 16 19 19 23 23 5 6 7 8 8 11 0 0 12 18 .825 20. 744 23.112 19.242 21.444 24.l 56 24.044 23.880 22.463 23.686 13 14 15 596 580 16 569 535 34 574 541 33 542 534 8 1.435 1.368 67 l .203 1.184 19 1.094 967 127 948 935 13 818 808 10 1.692 1. 585 107 16 18 .229 18.190 16.139 2.046 5 20.175 20.121 17.899 2.216 6 22. 538 22. 463 20.479 1.978 18.700 18.587 16.563 2.015 9 20.009 19.867 17.681 2.174 12 22.953 22.769 20.056 2.697 16 22.950 22.722 19.950 2.753 19 22.932 22.691 20.160 2.512 19 21.645 21.368 18.876 2.469 23 21.994 21.710 19. 005 2.682 23 0 0 0 0 113 103 0 10 142 129 0 13 0 0 277 249 0 28 284 253 17 18 19 20 21 22 23 24 25 39 31 0 8 54 47 0 7 6 75 69 0 6 0 0 0 184 167 228 206 17 22 0 0 241 218 0 23 0 0 31 MONET. AUTH.-MEM. BANK RES. -VAULT CASH COMMERCIAL BANKING-TOTAL 4 COMMERC.IAL BANKS TO MONETARY AUTHORITIES 6 LOANS FROM AFFILIATES 7 LOANS FROM FGN. BK. AG. 8 DEM. DEP. OF FGN. BK. AG 9 TIME DEP. OF FGN. BK. AG 10 FOREIGN BANKING AGENCIES- DEPOSITS OF BANKS TOTAL ASSETS MONETARY AUTHORITIES F.R. FLOAT LOANS TO MEMBER BANKS COMMERCIAL BANKING-TOTAL COMMERCIAL BANKS MEMBER BANK RESERVES VAULT CASH DEPOSITS AT FGN. BK. AG. BANK AFFILIATES-LOANS TO AFFILIATE BANKS FOREIGN BANKING AGENCIES DEMAND DEPOSITS Al BANKS TIME DEPOSITS AT BANKS LOANS 10 BANKS 11 I .)NCLUDE·s INITIAL ALLQCATIONS OF SDR1S OF $ 867 MILLION IN JANUARY 1970• $717 MILLION IN JANUARY 1971, AND $710 MILLION IN JANUARY 1972. ALSO INC.LUDES REVALUATIONS OF FOREIGN CURRENCY HOLDINGS, GOLD, SDR 1 S, AND IMF POSITION. THESE ALLOCATIONS AND REVALUATIONS ARE EXCLUDED FROM FLOWS. 12) TREASURY GOLD STOCK. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 11 12 13 14 15 lb 17 18 l<; 20 21 22 23 2't 2� Dl:CtMBER 197b MONETARY ANu INSURANCE REStRV�S MONETAkY AND INSURANCE RESERVES 132 �OLD, OFFICIAL FCREIGN EXCHANGE, TRl:ASUKY �URREMCY, ANO INSURANCE RES�RVtS YEAR-ENO OUT51ANOINGS, 1�5b-b5 195b 1<;57 1950 1960 1959 1%1 l9bl. 19e3 19b"' GOLD AND OFFlllAL FORtlGN tXCHANGE H OLDINGS Ill a.s4o 19. 3'59 u,.753 11.220 lb. 843 £2.056 109 21.94'1 .:2.857 1b 22.781 20.5'82 'tb 20.53 .. 17.6u4 37 17.lt,7 lo.947 5b 16.889 16.057 79 15.978 15. 5C,c 83 15.513 l.bOcl l.975 1.956 l.997 1.806 l .16 3 0 C C, 0 0 0 0 0 0 0 0 0 llb lib 0 99 16 81 212 59 153 1.008 l.bb1 -5'> l.975 2.004 -,1.9 I .<,,58 1.c;93 -35 1.997 l..059 -bl l. 5"5 l.6'56 -101 1.090 1. 737 -47 l.OcA I .112 -.. 8 1.035 I .0&7 -52 1bS bl4 -45 bb3 912 -4'io 10 ll 35.c,75 22.05b lo.017 .;b.765 22.857 15.908 39 ... 45 20.582 18.663 .. (i.195 19.507 20.68& ..0.5'90 17-804 22.736 .. 1.12 0 lb .9.. 7 2",.173 41.475 16.057 25 ...1 8 42.305 15. 596 20.709 43.ul5 15.471 27.544 .. 3.230 1.).806 29.'92'9 12 13 lit 2.806 5.422 -2.bl6 2.830 5.249 -;.: ...19 3.0o4 5... 19 -2.355 96.635 6.775 89.860 101.051 o.879 94.172 105.876 7.013 98.863 l 101.ost 105. 87b 4 l2.l.l'49 17.loO 13.571 3.589 105.689 :l3.300 55.020 27-369 13& .606 18.409 l't.753 3.656 120.197 25.250 6't.3ll 30.636 l!>lt. 774 19.72 .. 15. 912 3.812 135.050 27.325 73.647 34.076 122.849 138.606 154. 774 24.606 lb.002 2.b. 562 17.850 4.532 18.447 4. 851 3.21>4 3.U.7 l. 344 (i 231 652 0 l TUTAL U.S. RESERVl:5 2 U.S. GOLD STOCK ANO SDK 1 S U.S. GOVl.--EX. �TAb. FUND 3 "' MONETARY AUTHORITY Ill 5 U.S. FOREIGN tXCHANGE POSJTION b 7 6 9 10 11 UFFJCIAL FGN. CURRtNCY rtLObS T REASURY MONtlARY AUTHORITY NET IMF POSITION U.S. GOVERNMENT ASSET MONETARY AUTHORITY 12 TOTAL WORLD GOLD + SDk'S U.S., AS ABOVE 13 REST OF THE WORLD l"' 0 0 0 ------------------------------------------------------------------ 1, ....11 83 15.3b8 1:,.soo 73 13.77,3 7&1 152 629 ., TREASURY CURRENCY ANO SOR CERTIFlCATl:S ,1..526 4.910 -2.3&4 l TuTAL U.S. G OVT. LJABILllY MONETARY AUTHORITY ASSl:l uNALLUCATED ASSETS 2 3 2.562 4.990 -2.428 2.600 5.078 -2.478 .:.039 5.155 -,t .516 2.686 5.24l -2.55b l..740 5.429 -2.689 2.100 5.411 -2.651 JNSUkANCt AND PENSION FUND RESl:RVES LIFE INSURANCE RESERVES: l lUlAL LIABILITIES U.S. GOVERNMENT l 3 LIFE INSURANCE COMPANIES 75.462 6.185 09.277 78.535 o.241 72.294 81.956 6.HO 75.606 &5.184 6.426 78. 758 Bl' .63 1 6.5) 9 82 • 112 75.462 78.535 l!J.956 85.184 88.631 5o.590 10.911 7. 269 3.642 '95.679 12.500 21. 108 12.071 b2.b78 ll.31t6 7.685 3.6bl 51.332 14.100 23.437 13.795 72.716 12.280 d.598 3.682 60.'o3o 15.600 29.229 15.607 82.410 13. lb'o 9.410 3.694 69.21t6 17.575 34.113 17.558 90.818 14.090 10.406 3.684 76.128 18.850 38.148 19.730 103.655 15.006 11.434 3.572 88.649 20.250 46.140 22-259 5o.590 62.678 72.716 82..410 90.818 103.655 7,1.. 724 6.09& 66.6.26 4 TOTAL ASSElS (HOUSErlOLDS) 92.398 o.644 85.754 2 3 PENSION FUND RESERVES: 5 lOlAL LI ABJLlllES 6 U.S. GOVERNMENl EMPLOYEE RETIREMENT 7 RAIL ROAD REllRl:MENl 8 INSURANCE Sl:CTOR 9 LIFE INSURANCE COMPANllS 10 PRIVATE PENSION FUNDS 11 ST.+LOC. GOVT, RTR. FUNDS 12 13 lOlAL ASSETS IHOUSEHOLDS) 109.294 15 .999 12.464 3.535 93.295 21.625 47.152 24.518 o 1 & 9 10 11 12 ------------------- ----------------------------------------------------------------13 INTERBANK C.LAIMS 24. 375 24.215 23.499 23.o28 22.796 l.4.135 25.548 2 MONET. AUTH.-MEM. BANK RES. 19.059 3.261 19.034 3.335 18.504 3.249 111.174 1.012 17.081 3.346 17.387 3.689 17.454 4.519 4 5 COMMERCIAL BANKING-TOTAL COMMERCIAL BANKS 10 MCNElARY AUTHORJTJES LOANS FROM AFFILIATES LOANS FROM FGN. BK. AG. DEM. OEP. OF FGN. BK. AG 2.055 2.021 l.b90 J.846 1.817 1.474 1.746 1. 714 1.342 2.3b9 2.363 1.893 3.059 3.002 2.415 3.575 3.478 2.940 3.298 3.230 2.b31 3.620 3.605 2. 762 38 299 0 4i. 301 45 327 2.41t2 2.422 2.043 0 53 417 0 58 529 53 485 70 529 297 546 TOTAL LIABILillES 3 b 7 8 9 10 11 -VAULT CASH TIME DEP. OF FGN. BK. AG FOREIGN BANKING AGENt.lES....: DEPOSITS OF BANKS 12 TOTAL ASSETS 13 l't 15 MONETARY AUlHJRITIES F.R. F LOAT LOANS lO M EMBER BANKS lb 17 18 COMMERCIAL BANKING-TOTAL COMERCIAL BANKS MEMBER BANK RESERVES VAULT CASH DEPOSITS Al FGN. BK. AG. BANK AFFILIATES-LOANS 10 AFFILIATE BANKS 19 20 21 22 2J 24 25 0 0 0 0 0 48 331 0 0 0 0 0 0 0 0 0 � 10 28 29 32 20 6 57 97 68 15 37 11 24.375 24.215 23.499 23.b28 22.796 2-..135 25.548 24.606 26.002 26.5b2 12 l.b90 1.665 25 l.474 1.424 50 1.34.2 1.296 2.043 1.590 453 1.893 1.868 25 2.415 2.300 115 2.940 2.903 37 2.031 2.600 31 2..762. 2.b06 156 2.344 2.248 9b 13 14 l� 22.685 22.348 19.059 3.2.61 28 2.2.741 22.398 19.034 3.335 29 22.157 21.785 18.504 3.249 32 21-585 21.200 18.114 3.012 zo 20.903 20.433 17.081 3.346 21.120 21.133 ll.387 3.689 57 22.608 22.010 17.454 4.519 97 21-975 21.37b 17.049 4.259 b8 23.240 22.397 17.850 4.532 15 2.4.218 23.335 18.447 4.851 37 lb 0 337 299 343 301 372 327 379 331 4l0 417 587 529 0 38 42 45 48 53 58 fDAEIGN BANKING AGENCIE� DEMAND DEPOSITS AT BANKS TIME DEPOSITS AT BANKS LOANS TO BANKS 0 0 0 46 0 0 Ill INCLUDES INITIAL ALLOCAllONS OF SDR 1 S OF S867 MILLIOlt lit JANUARY 1970, S717 MILLION IN JANUARY 1971, AND $710 MIL LION IN JANUARY 1972. ALSO INCLUDES REVALUATIONS OF FOREIGN CURRENCY HOLDINGS, GOLD, SDR'S, AND IMF POSlllOlt. THESE ALLOCATIONS AND REVALUATIONS AR� E\tLUDED FROM FLOVS. 12) TREASURY GOLD STOCK. NOHEY AMOUNTS ARE IN MILLIONS- Of DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 0 0 0 6 0 0 0 0 0 538 485 0 53 599 529 843 546 0 883 652 70 297 231 0 0 0 0 17 18 1� 20 DECEMBER 1976 MONETARY ANO INSURANCE RESERVES MONETARY ANO INSURANC E RESERVES 133 GOLD, OFFICIAL FOREIGN FXCHANGE, TREASURY CURRENCY, ANO INSURANCE RESERVES ------------------------------------------------------------------------------------------------ YEAR-ENO OUTSTANOINGS, 1966-75 1966 YEAR-ENO OUTSTANOINGS, 1966-75 1968 1969 1970 1971 1972 1973 1974 1975 GOLD ANO OFFIC IAL FOREIGN EXCHANGE HOLDINGS Ill 14.882 14.830 15.710 16.964 14.487 12.167 13.151 14.378 15.883 16. 226 TOTAL U.S. RESERVES 13.235 76 13 .159 12.065 83 11.982 10. 892 525 10 • 36 7 11.859 1.492 10.367 11.923 1.191 10.732 11.306 1.1 74 10.132 12.445 2.035 10.410 13.818 2 .251 11.567 14.026 2.374 11.652 13.934 2.335 11.599 U.S. GOLD STOCK ANO SOR 1 S U.S. &OVT.--EX. STAB. FUND MONETARY AUTHORITY 121 l.647 2.765 4.818 5.105 2.564 861 706 560 1.851 2.292 U.S. FOREIGN EXCHANGE P OSITION 6 7 8 1.321 4 46 875 2.345 741 1.604 3. 528 l .467 2.061 2.781 814 1.967 629 372 257 276 2'59 17 241 49 192 80 0 80 OFFICIAL FGN. CURRENCY HLDGS TREASURY MONETARY AUTHORITY 9 10 11 326 383 -57 420 480 -60 1.290 1.348 -56 2.324 2.385 -61 1.935 2.010 -75 585 661 -76 465 543 -78 552 632 -80 1.852 1.935 -83 2.212 2.236 -2 4 12 13 14 43.165 13.235 29.950 41.600 12 .065 29.535 40.905 10.892 30.013 41.015 11.859 29.156 44.68'io 11.923 32.766 48.069 11.30 6 36.763 55.870 12.445 43.425 61.088 13 .818 47.270 61.028 14.026 47.002 60.978 13.934 47.044 TOTAL WORLD GOLD + SDR'S U.S.• AS ABOVE REST OF THE WORLD 7.733 9.653 -1.920 8.670 10. t>l2 -1.942 TOTAL U.S. GOVT. LIABILITY TOTAL LIABILITIES U.S. GOVERNMENT LIFE INSURANCE COMPANIES l 2 3 TOTAL ASSETS IHOUSEHOLOSI 4 2 3 4 NET IMF POSITION U.S. GOVERNMENT ASSET MONElARV AUTHORITY ------------------------------------------------------------------------------------------------------ --------------------------------------- 4 t, 7 8 9 10 11 1, 13 14 TREASURY CURRENC Y ANO SOR CERTIFICATES 3.963 6.161 -2.198 4.646 6.628 -1.982 5.062 6. 795 -1.733 ------------------ 5.334 6.848 -1.51,. 5.956 7.549 -1. 5 9 3 6.446 a.on -1.581 6.979 a. 713 -1.734 7 .401 9.116 -1.715 MONETARY AUTHORITY ASSET UNALLOCATED ASSETS 2 3 INSURANCE ANO PENSION FUND RESERVES LIFE INSURANCE RESERVES: 2 3 l 110.570 1.120 103.450 115.424 1.200 108.224 120. 045 7.186 112.859 125.023 7.252 117.771 130 .26 5 7.358 122.907 136.437 7.429 129.008 142.997 7.498 135.499 150.274 7.566 142.708 156.699 7.634 149.065 16'-.591 7.702 156.889 4 110.570 115.424 120.045 125 .023 130.265 136.437 142.997 150.274 l St,.699 164.591 PENSION FUND RESERVES: 186.403 22.292 18.045 4.247 164.11l 32.050 89.417 42.644 208. 106 23.628 19. 316 4.312 184.478 34.975 101 .456 48.047 218.679 25. 147 20.767 4.380 193.532 37.9 00 102.385 53.247 239.623 27.528 23 .02 5 4.503 212.095 41.175 110.617 60.303 276.213 3().371 25.9 98 4.373 245.8 42 46.350 130.520 68.972 322.952 33.364 29.089 4.275 289.588 52.300 156.702 80.586 3ll .806 35.499 31.418 4.081 276.307 56.050 135.202 85.055 304.564 38.238 34.375 3.863 266.326 60.175 116.568 88.983 368.593 41.884 38.530 3. 354 326.709 71.875 148.883 105.',51 TOTAL LIABILITIES u. S. GOVERNMENT EMPLOYEE RETIREMENT 12 164.299 20.977 16.969 4.008 143.322 29.425 75.781 38 .116 13 164.299 186.403 208. 106 218.679 239.623 276.213 322.952 311.806 304.564 368.593 TOTAL ASSElS (HOUSEHOLDS) 5 6 7 8 9 10 11 ---------------------------------------------------·--------- RAILROAD RETIREMENT INSURANCE SECTOR LIFE INSURANCE C OMPANIES PRIVATE PENSION FUNDS Sl.+LOC. GOVT, RTR. FUNDS 5 t, 7 8 9 10 11 12 13 INTERBANK CLAIMS TOTAL LIABILITIES 28 .856 31.528 35.305 37.228 41.685 47.267 49.252 57.116 61.901 58. 610 19.794 5.450 21.092 5.931 21.859 7.195 22.085 7.320 24.150 7.047 27.788 7.5H 25.647 8.666 27.060 10.706 25.843 11.658 26.052 12.256 MONET. AUTH.-f4EM . BANK RES. 3 .612 3.545 2.663 4.505 6.251 6.171 3.670 7.823 7.685 3.623 223 2 .278 367 3.110 14.939 12.18'o 5.955 599 4.402 441 19.350 14.269 4.357 189 2.173 6.972 578 20.302 253 1.572 0 ll.938 11.726 4.382 991 606 5.645 102 24.400 16. l77 2.300 150 712 10.488 10.154 4.596 682 464 4.357 55 1.955 11.231 687 1.885 4 COMMERCIAL BANKING-TOTAL 5 COMMERCIAL BANKS 10 MONETARY AUTHORITIES o LOANS FROM AFFILIATES 7 LOANS FROM FGN. B K. AG. 8 DEM. DEP. OF FGN. B K . AG 9 TIME DEP. OF FGN. BK. AG 10 11 67 56 80 138 334 212 2.755 5.081 8.223 5.347 12 28.856 31.52 8 35.305 37.228 41.685 47.267 49.252 57.116 61.901 58.610 13 2.683 2.510 173 2.624 2.48 3 141 3.670 3.482 188 3.623 3.440 183 4.596 4.261 335 4.382 4.343 39 5.955 3.974 1.981 4.357 3.099 1.258 2.300 2.001 299 3.917 3.688 26.l73 25.311 19.794 5.450 67 28.904 27.079 21.092 5.931 56 31.635 29.134 21.859 7.195 80 33.605 29.543 22.085 7.320 138 37.089 31.531 24.150 7.047 334 42.885 35.541 27.788 7.541 212 43.297 37.068 25.647 52.759 42.847 27.060 10.706 5.081 59.601 45.724 25.843 l l.658 8.223 54.693 43.655 26.052 12.256 0 0 0 585 682 4.876 4.357 55 464 991 6.353 599 5.630 4.402 189 4 4 5 6 7 8 9 10 14 15 16 17 18 19 20 21 22 23 24 25 0 0 4.449 2.624 0 0 0 585 0 862 712 1.825 1.572 2.501 2.278 3.477 3.110 150 253 223 367 0 0 0 0 5.6 4 5 102 606 181 8.666 2.755 441 787 9.723 6.972 578 2.173 4 13.873 11.231 687 1.955 14.955 3.917 4 e. 558 591 229 5.347 4 11.034 8.558 591 1.885 -VAULT CASH FOREIGN BANKING AGENCIES DEPOSITS OF BANKS TOTAL ASSETS ll«lNETARY AUTHORITIES F.R. FLOAT LOANS TO MEMBER BANKS COMMERCIAL BANKING-TOTAL COMMERCIAL BANKS MEMBER BANK RESERVES VAULT CASH DEPOSITS AT FGN. BK. AG. BANK AFFILIATES-LOANS TO AFFILIATE BANKS FOREIGN BANKING AGENCIES DEMAND DEPOSITS AT BANKS TIME DEPOSITS AT BANKS LOANS TO BANKS Ill INCLUDES INITIAL ALLOCATIONS OF SOR 1 S OF S8b7 MILLION IN JANUARY 1970 9 S717 MILLION IN JANUARY 1971, ANO S710 MILLICN IN JANUARY 1972. ALSO INCLUDES REVALUATIONS OF FOREIGN CURRENCY HOLDINGS, GOLD, SOR 1 S, ANO IMF POSITION. THESE ALLOCATIONS ANO REVALUATIONS ARE EXCLUDED FROM FLOVS. 121 TREASURY GOLD STOCK. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 3 11 12 13 14 15 lb 17 18 19 20 21 22 23 24 25 DECE:ME>ER 197b MONE.Y ANO UEPOSJ TS SUMMARY MONiY AN� OtPO�Jl� SUMMARY 134 MONtY STOCK AND TlMt AND SAVJNbS AC C�UNlS YEAk-END OUTSTANOlNGS, l94b-55 1940 1947 l9<tt> 19,0 l C,51 19�2 1953 1955 DtMA�u DEPOSllS ANu CURRfNCY l TOlH ASSElS 2 3 4 5 6 7 9 10 11 12 13 �N!:Y SlOCK REST OF THE WORLD DOMESTIC SECTORS HOUSEHOLDS NONFJNANCIAL BUSINESS F IKM NONFARM NONCORPORAlt CORP Ok ATE 5T.+LOC. GOVERNMENT� FINANCIAL SECTORS MAJL FLOAT U.S. C.OVERNMENT 118.212 119.354 118.b<tl llb.854 U:4.0S9 131.303 137.601 137.fdl 14".431 l-."-.7L't 112.55b ,:.�eO 110.27il 59. 723 35.639 b.400 9. 7::,7 1 '1.50,: 115.805 l.718 114.087 5e.341 39.035 7.5(10 10.101 21 .43<t ll4.u55 2. 199 lll .d5o 55.608 39 .:no 7.500 9.949 21 .dbl 113.050 1. <,�6 l ll.b6L 5:,_ 13e 40.2llj 7.000 10.315 22.903 ll9. 332 2.035 l17.l97 56.14� 41.760 1.C,0(1 1,0. 530 l4.222 l,b.42 7 1.100 124.727 bO.t.99 43.83b 1. 200 10.177 2 5. 859 131.2(11 1.950 12q.2s1 62. 349 44.170 1.100 10.4L9 2b.6"-l 132.57b 1.496 131.0110 03.472 43.9.!7 1.000 10. 377 .:6.550 l3b.SOO l. 701:, 135.1 ... b5.21e 4b. l3<, t,.<;00 10.907 2b.32 '> U<,.&54 1. 53.: bb • .:l.:i. 66.lJS � 7. �bL b.C,0(1 11.,:0CI :,_9. 2dL ...se2 <t.b61 5.o73 5.315 4.984 b.412 5.t'OR 5.09b 0.03 .. :,.044 5.�3<; b.3,<3 6.495 b.001 b.d'1b 7-193 o. 771 8.7b8 1. 577 7.116 6.988 1.'14:> 7... 15 t..48U 1.98t. 7-cl <; <;.OL., IC. 11 1.: 5.t,54 3. 549 <t. 78b 4.7t,7 4.87b 6.t.00 lli!.841 29.35:, 2.44b 059 2o.24b 118.8:>4 2b. 52 5 l.U3 llui 25.505 1L4.09q .:8.175 l.9bl b47 25.5t,7 131.JO'j 26.560 l.511 534 i.b.50<; 137.801 29.BC,,9 1.059 5b0 27 .68 0 131.&31 29.BOb 1.101 430 tll.269 14.: .431 :C.9.893 1. �5-. 4',4 ,:s.o .. o 144.7L4 30.G4t. 1.101 14 15 lb I? lo 1G2.743 · 107.902 lO.i:.435 107.542 4.',41 3.359 1.;275 I.Ob-I 98.00<;J 101.326 108.025 107.b44 4.140 948 102.550 lll.538 112.0t'l 4.11 t. 1.075 lOb.cH", 114-678 114.2(12 3.70'> 581 109.512 360 115 245 3&1 1£0 2ol 45-, 139 316 l<t TOlAL BANKING SYSl!:M LlAE>lLJTY MONETARY A UTHORITIES 15 lb U.S. GOVT. CASH + DtPOSlTS FOREIGN D!:POSilS 17 18 CURRENCY l16.d2 2. 665 cOt, .:o.906 119d54 29.290 2.206 432 ,o.652 19 20 21 ll 23 COMMlR CIAL BANKINb COMMERCIAL BANKS U.S. GOVERNMENl DEPLSITS FOREIGN DEPOSITS OlHER cn.ejs 87.683 2-989 1.41b 83.£711 90.0t,4 89.920 I.343 1.724 «H.359 89.488 89.377 :i. .331:1 1.50.: 85.537 9;).3.:9 90. lb"> 3.071 1. 12'1)5,.<;70 9�.924 95.b'il 2.llOb 1.314 91.571 24 ..:5 26 FOREIGN BANKING AGENCiiS FOREIGN DEPO�ITS PRIVATE COMESllC 15.: 58 130 62 76 111 38 73 lb-. 57 107 233 74 15<; 'j0.:, 11 .,,. 30b 99 20C,, 5.531 ,.,. 47c TJME &EPUSITS ANO SAVINGS ACCOUNT� l TOTAL HELO 60.03b 71.b9B 76.849 65.041 'i4.270 104.81', 11:..274 2 3 4 5 34.231 0 34.154 17 35.b02 G 35.545 57 3o.20:t 0 3bel52 50 36.b95 0 36.6.i.i. 73 37.031 0 36.938 93 3o.767 41-885 38.659 10& 41-725 loO 45. 348 0 45.138 210 4 ...11,; 0 48.<;2(, 259 50.504 (J ,0.2�1 2 .. ; 30.700 900 708 l .51!2 120 31.949 SOD 867 l.5b4 111 3,: .,:32 900 1.ue 1.585 117 �i..374 c;oo 1.290 l. 727 18.t 32.428 900 1-391 1.954 190 34.19 3 <;OO 1.543 l.b66 278 3b.C,,60 900 1 .• 62 S 1.807 351 39.496 900 1.951 2.<+0b 342 42.120 1.100 2.41 'i 2.90C, 370 43. 768 1.000 ,:.3:>b 2. 79c; 357 10 lo 1 0 lbl 0 0 2 11 0 211 0 0 230 0 230 0 0 2:.2 0 "22 0 0 lob 0 168 0 0 18 7 0 18 7 0 0 21q 0 219 0 0 L43 0 243 0 0 2l0 0 270 0 C, 224 C, n-. 0 u 11 1� Li l', 15 25.805 lb.813 429 8.563 8.416 141 ..:8.029 17. 759 510 9.7b0 9.t,33 127 29.97� Ul.400 603 10.969 10.858 111 :;.?..460 19.287 701 U..472 12.373 99 34.667 20.0i.5 850 13.992 13.886 106 38. 08 2 20.soo 1.075 lbo 107 15. 849 258 43.150 22.610 1-351 19.195 ltl.85b 339 411.922 2 4. 381! l-b88 2l.8'tb l2.43b -.10 55.t,40 26.351 2.037 27., 5,: 2b.b8b Sob o.:. 770 Li!. l lj2 2. 't4t, 3.:. 142 31. 446 t,<;o 16 11 I� l� £(.1 d 5b.4l8 59.851 62.093 04.735 b7ol89 72.c,17 79 • 197 88.010 105. b'tl 22 6 7 8 9 10 COMMERCIAL &ANKING LIABJLITY LA�C.E NEGLTIABLE CD'S OTHER AT COMMERCIAL BANKS A T FOREIGN BANKING AGS. HELD bY: HOUStHOLU� NONFIN. CORPORAlE B U SINESS STAlt + LOLAL GOVERNMENTS FORE H,N U.S. GOVtRNM�NT 11 12 13 14 15 FINANCIA L INSTITUTIONS SVGS + LN ASSOC. MUlUAL SAVINGS eANKS PRIVATE PENSION FUNDS MONEY MARKET FUNDS AT SAVINGS JNSTITUTIONS MUlUAL SAVINGS BAMKS CRtDIT UNIONS SAVJNGS + LOAN A SSNS. HELD BY: HOUS!:HOLDS CREDIT UNluNS MEMO: TOTAL OF HOUSEHOLDS 2l TIME + SAVINGS A CCOUNTS 16 17 18 19 20 21 MONEY A MOUNTS A R E IN MILLIONS OF UOLLAkS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 0 0 � DECEMBER 1976 "IONEY ANO DEPOSITS SUMMARY MONEY ANO DEPOSITS SUMMARY 135 MONEY STOCK ANO THIE AND SAVINGS ACCOUNTS OUTSTANOJNGS, 1956-65 YEAR-END OUTSTANDINGS, 1956-05 ----------------------------------------------------------------------------------------------------------------YEAR-END l'95Q 1Q56 1957 19o0 1961 19�8 1962 1963 l <,,65 ------------------------------------------------------------------------------------196'9 ------------------------------------------------------------DEMAND OEPOSITS AND CURRENCY 146.563 145.947 151.673 153.bo4 155.482 161.387 166.601 l 71 .564 180.306 187.485 9 141.614 1.753 139.861 67.751 4 7.239 6.700 11.549 28.990 140.807 2.102 138. 705 66.600 47.980 6.oOO 12.356 29.024 146.382 2. 006 144.376 68. 792 50.624 6.900 l3.b4l 30.083 1'97.719 2.140 145.579 71.500 48 .103 0.200 12.707 29.1% 148.675 2.122 146.553 73.179 4o.458 5.800 12.415 28.243 154.554 3.098 151.456 71.820 49.988 5.!!00 12.515 31.673 158.466 3.233 155.233 71.187 52.979 5.900 12.515 34.564 163.775 3 .49'1 loO .27o 71 .005 56.342 5.700 12 .515 38.127 112.210 4.458 167.752 76.007 56.153 5.900 12.515 37.736 180. 532 4.583 175.949 83.442 56.506 6.000 12.515 38. 053 10 11 12 7.438 7 .951 9.482 6.781 8.190 9.1�4 6.564 8. 842 9. 554 8 .258 8.711 9.007 8.418 C,.089 9.409 8 .830 l 0.2 5l 10.561 9.364 11.208 10.495 10 .677 11.249 10.803 12.509 11.454 ll .b29 12.127 ll.837 11.975 2 3 4 5 6 7 e TOTAL AS �ElS MONEY SlQCI( REST OF ltiE WORLD DOMESTIC SECTORS HOUSEHOLDS NONFINANCIAL BUSINESS FARM NONFARM N ONCORPORAlE CORPORATE Sl .+LDC. GOVERNMENTS F !NANCIAL SECTORS MAIL FLOAT U.S. GOVERNMENT 13 4.949 5.140 5. 291 5.945 6.807 6.833 8.13 5 7.789 8 .096 o.953 14 15 16 17 18 146.563 30.1)70 1.216 325 28.529 145.947 30.106 1.242 365 28.499 151.673 30. 264 1. 041 279 28.'944 153.664 30 .826 895 353 29.578 15o;.4:i2 30.612 862 226 29.524 161.387 31.412 887 294 30.231 166.601 32.090 977 292 30.621 171.564 34.890 1.241 216 33.433 180.306 36.942 1.58o 269 35.087 187.485 38.834 1.428 201 37.205 TOTAL BANKING SYSTEM LIABILITY MONETARY AUTHORIT !ES u.s. GOVT. CASH + OEPOSITS FOREIGN DE POSI · lS CUkRENC Y 19 20 21 22 23 116.493 115.934 3.733 1.2r;0 110.943 115.841 115.203 3.898 1.558 109.747 121.409 120.791 4.250 1. 529 115.012 122.838 121.810 5.050 1.525 115.235 124.870 123.722 5.945 l .64<l 116. 128 129.975 128.746 5.946 2.586 120.214 134.511 133.317 7.156 2.740 123.419 136.674 135.577 6.541! 3.064 l25.<l65 143.364 141.532 6.510 3.897 131.125 148.051 146.990 5. 525 4.0b5 137.400 COMMERCIAL BANKING COMMERc.IAL BANKS u.s. GOVERNMENT DEPOSITS FOREIGN DEPUSIU OTHER 24 25 26 559 170 38Q 638 179 459 618 198 420 1.028 262 766 1.148 247 901 1.229 218 1.011 1.194 201 993 1.097 219 878 1.832 292 1.540 1 • bbl 317 1. 3't4 ---------------------·-------·-------------------------------------------------------TIME DEPOSllS AND SAVINGS .ACCOUNTS ----------------------------------------------------------------------------------------122.102 135.000 151.862 161.789 177.0&9 197.841 226.518 256.103 286.541! 319. 743 2 3 4 5 52.614 0 52 .311 303 58.023 0 �7. 784 239 65.986 0 65.765 221 07.788 0 67.541 247 73.623 1.095 72.241 267 83.040 3.223 79.487 330 98.615 t-.200 92.080 335 113.024 9 -�79 102.748 397 127.587 12.585 114.579 423 147.695 16.251 130.946 498 6 7 8 9 10 46.068 1.000 2.400 2.657 330 51.281 1.000 2. 783 2.533 30 l 56.596 1.900 3.589 3. 414 327 60.167 1.500 3 .l 79 2.575 2so; 62.820 3.000 4.557 2.859 262 70.112 4.100 5 .465 2.911 284 83.327 5.000 6.450 3.409 269 94.583 5.M7 8.093 4.260 260 105.093 6.671 9.812 5.515 272 119.974 8.993 12. 186 6.081 250 11 12 13 15 159 0 159 0 0 125 0 125 0 0 160 0 160 0 0 82 0 82 0 0 125 0 125 0 0 168 0 168 0 0 160 0 160 0 0 141 0 141 0 0 224 0 224 0 0 211 0 211 0 0 16 17 18 19 20 21 70.088 30.026 2.914 37.148 36.286 802 76.977 31.684 3.381 41.912 40.913 999 85.876 34. 031 3.869 47.976 46.6.ltl 1. 335 94.001 34.977 4.441 54.583 53.135 1.448 103.466 36.343 4.981 62.14 2 60.700 1.442 114.801 38.277 5.639 70.885 69.1 31 1.754 127.903 41.336 6.331 80.236 78.317 1.919 143.079 44.606 7 .165 91.308 89 .262 2.046 158.961 48.849 8.225 101.887 99.651 2.236 172.048 52.'t43 9. 220 110.385 108. 133 2. 252 22 115.294 127.259 141.137 152.720 164.644 183.159 209.311 235.616 261.818 289. 770 14 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis FOREIGN BANKING AGENCIES F-DREIGN DEPOSITS PRIVATE DOMESTIC :.: 3 4 5 b 7 & 9 10 ll 1:.: l3 1 .. 15 16 17 lb l'Ji 20 21 22. 23 2't 25 26 TOTAL HELD COMME�CIAL BANKINL LIABILllY 2 3 LARGE NEGOTIABLE co•s ... OTHER Al COMMERCIAL BANKS 5 AT FOREIGN BANKINI. AGS. HELD BY: b HOUSEtiOLOS NON FIN. CORPORATE BUSINESS 1 8 STATE + LOCAL GOVERNMENTS 'i FOREIGN G C'VERNMENl 10 u.s. FINANCIAL INSlllUllONS SVGS + LN ASSOC. MUTUAL SAVINGS llANKS PRIVATE PENSION FUNDS MONEY MARKET FUNDS Al SAVINGS INSTITUTIONS MUTUAL SAVINGS BANKS CREDIT UNIONS SAVINGS + LOAN ASSNS. HELO BY: HOUSEHOLDS CREOil UNIONS MEMO: TOTAL OF HOUSEHOLDS TIME + SAVINGS ACCOUNTS 11 12 13 14 15 lt. 17 lb 19 20 21 H Lll::CEMBER 1<;7b MONEY AND DEPOSITS SUMMAkY MONtY ANL Ot�uSITS SUMMAk� 136 MONEY STOCK ANO llMt AND SA�lN&S ACtOUNl� YtAK-ENO OUT�T�NulNGS, 1900-7� YEAR-ENO OUTSTANOINGS, l9bb-75 19bb 19b7 1908 19b9 1970 1971 1972 1973 1'174 D�MANU DEPOSITS ANJ CURRENCY 1 TOTAL ASSETS MONEY STOCK REST Of ThE WOKLD DOMESTIC SECTORS tilJUSEHOLOS NONFINANtlAL BUSINtSS FARM NONFARM NONCORPORAlt C.CJRPORAH 185.0t,7 ... 9t,3 180.104 115.bl2 :,5.&86 o.000 l:.!.515 31.371 198.9,.4 5.290 1',3.654 95.bt,3 5l'.432 b.100 12.515 39.817 215.065 5.851 .l09.214 lOo.551 t,l.34b 6.300 12.515 ..2.531 222.)53 b.17'> .llo.178 10-..102 61.90't o.400 li..51 '> 42.'t89 232 • .22 5 6.6<;6 225.5:..9 ll 7.8fl7 62.956 6.515 12.•:,15 ,.3.<;20 246.631 b.503 240.128 1,0.877 64.641 6.038 l,. 515 45.494 271.013 &.083 262.930 141 ..... 0 bb.327 o.900 12.515 46.912 .t89.)64 10.975 27&. ll,9 l 53. 93:, 66.900 l.100 12.515 47.2e5 300.820 U�t9l 2eo.<,;,_9 156.91� 64.490 1.250 12.515 .....72 !> 314.l.c4 14. 00 7 300.117 165. c,4.-, 67.3b6 1...00 12.515 .. 1. 471 12.cns 11.'t95 13.930 14. I 2tl ll.997 13.434 13.913 12.757 l4.b47 15. 3.lb 12...01 17.43.-. 12. 4 72 12.871 19.343 13.,..-.s 13.735 ll.371 l5.0b3 14.918 25.182 14.5)5 lt-.Ob6 26.7:,3 13.944 lb.52 5 33.055 l4.2oS 17.84'1 34.904 1.101 b.408 7.0.£3 9.,2, t,.105 10.b62 13 14 TOTAL BANKING SYSTiM LIABILITY MONETARY A UTHORITIES 15 U.S. GOVT. CASH + OEP��ITS 16 FOREIGN OcPOSilS 17 18 CURR ENCY l'tl.o51 ,.l • .llO 1.59': 't05 39.213 200.645 44.0',9 2.4b7 3<;6 41.2 36 :al .473 45.642 1.398 't3.lo7 .l.29.376 ,.8. 91 l 1.969 377 40.505 241.750 51.c;79 1.587 346 50.040 25-j.284 56.387 2 ... a .. 465 53 ...38 2fl4.088 bCi.41<,, 2 .200 369 57.850 301.886 o4.<150 i..859 300 Ol.791 3011 .92.:, H.90b 3.2,;,t, 523 b8.Ci8" 32 5. OCib fll. 5._:, 7-706 "tC.:. 1 ... ..:91 14 15 le, 17 lb 19 20 21 22 .!3 toMME�CIAL BANKINb COMMERCI A L eANKS U.S. GOVl:RNMENT O�POSITS FOREIGN OlPOSJTS OTHER 150.'t41 1.. 8.597 4.992 4.2'>1 139.354 lb.l.546 lb0.!>72 5.2 34 •.5b2 l!>O.770 115.831 172.720 5.010 ,..&3o 162.880 180.405 177.37.: 5.05't 5.205 lb7.1B 189.771 1£12.498 1.,;3e 5.729 1Ob•831 .:Ci2 .897 195.471 10.169 5.23 3 lt0.069 223.069 219.583 10 .8 l 5 6.025 20:.! .083 2 3o.93& 232.488 9.£!b5 9.071 21:-.552 2;11.01➔ £31.370 ... f,C,7 ll.2b0 215.283 242.463 23o.o.:7 3.114 11.38'1 "-";:. 324 2.. 25 2b FOktlGN BANKING AGtNClES FOREIGN DEPOSITS PRIVATE OOMESTit 1.844 307 1.537 1.974 33<'.. 1.642 3.105 53!! i..567 l.273 ell o.652 1.42b 805 0.021 4.0t16 l.089 2.997 4.450 1.604 2.El46 5.t,49 ;:.C,118 3. Sol 5.b-'b ,.134 :,.502 "3 4 5 b 7 8 9 10 11 12 13 Sl.+LOt. GO�tRNMENT5 FINANCIAL SECTO�S MAIL FLOAT U.S. GO�tRNMl:NT ,.r, 13.075 lC, 11 12 TIME DEPOSITS ANO SAVINGS ACCOUNTS l TOTAL Hf:LO b 7 8 9 10 COMMERCIAL BANKING LIABILITY LARG� NEGOTIABLE co•s OTHER AT tCJMMF.RCIAL 6ANKS AT FOREIGN BANKING AGS. liELD BY: liOUSEHOLOS NONFIN. COkPORATE bUSINESS STATE + LutAL rovERNMENTS FOREIGN U.S. GOVEkNMENl 11 12 U 14 l'> FINAN( JAL INSTITUTIONS SVGS + LN ASSOC. M UTUAL SAVINGS BANKS PRIVATE PENSION fUNOS MONEY MARKET FUNDS 2 3 4 5 AT SAVINGS INSTITUTIONS MUTUAL SAVINGS BANKS CREDIT UNIONS SAVINGS + LOAN ASSNS. HELD BY: HOUSEHOLDS CREDIT UNI�NS MEMO: TOTAL OF HOUSEHOLDS 22 TIME + SAVINGS ACCOUNTS 16 17 18 19 20 21 338.880 37<;.405 4 li.900 411.489 400.560 548.449 b3o.799 ll':,.557 79't.o13 �84.581 159. tl34 15.o59 143.b39 530 183.748 20.330 lb 2.771 647 204.409 .:3.4b8 u,0.200 801 195.125 10.919 183.1 7'o 1.032 233.090 26. 074 205.oOS 1.4{>8 274.453 34.75<; d8 .026 J.668 316.796 44 • 519 271.071 l • .!Cb 367.730 c,4 • 5 31 301.387 1. 812 425.4<;", 93.0,.t, 330.450 l.c;99 455.ol7 8.2.898 :i10.1-.o 2. SZ<; l 3 4 5 130.743 6.b03 13. 't62 0 ...13 .llO 149.430 9.6&2 15.892 7.b79 267 167.555 9.05b 19.110 7.409 366 16d.402 3.652 i.,.220 8.789 211 195.3'>7 5.347 23.225 7.125 463 2.,3.005 9.50 9 30.38-. 7.454 520 249.17B 15 .490 37. lol 10.203 oOb 288.6't9 lo.o.:3 44.385 13.219 439 324.912 20.'tb4 50.()b l io.;:33 't77 .:150.ool , 2. 351 .. fl. 11::, ,0.940 57.:. 9 10 393 110 171 142 798 168 205 425 0 971 237 157 577 0 d�l 200 '>b 59':, l. 573 575 :ioo t,<;8 2.c;51 2.193 45.: 33b 4.098 3.17 l b37 290 4.415 :£.50S 823 1.Ci84 0 9.322 2-'120 l.c,_,3 3. l't'i 1.020 12.9b0 7.35U 1. Ob9 ,. 4ll, ;,.131 11 I� 13 t� I� 179.04b 55.006 10.011 ll3.9b9 lll.896 2.073 195.717 60.121 11.103 124.4'13 122.221 2.206 208.437 04 .507 12.31, 131.618 12-..su 2-10'> 210.36 .. ol.08b 13.740 135.538 l.H.67,. l.bb4 233.470 71.580 15.4bb 146.404 144.324 2.080 273....96 81......1 18.358 174.197 111.213 2.984 320.003 91.613 21.62b 20o.lb4 203.154 3.blO 347.b.27 9o.347 24.512 226.968 223.921 3. 04 7 369.17B 911.701 27.51[, 242.<;59 240.177 2.71'1 .. ',26.<;t,-. 10-,. 67-' lb 17 le 19 20 'i 307.716 342.881 373-887 383.10.l 426.747 494.617 565.571 0 MONEY AMOUIITS ARE IN MILLION� OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 0 0 0 0 33. 0'+ll 2116.043 282.b4b 3. 39:> 776 • .£30 DECEMBER 1976 u.s. GOVT. SECURITIES U.S. GOVT. SElURITIES 137 U.S. GOVERNMENT SECURITIES MARKEl SUMMARY ----------------------------------------------------------------------------------------------------- YEAR-ENO OUTSTANOINGS, 1946-55 1946 1947 1<;48 1949 1950 1951 1952 YEAR-END OUTSTANDING�, 1946-5,5 1953 1954 1955 TOTAL OUTSTANDING� BY SECTOR AND TYPE 229.201 22B.033 1 .168 222.086 220.802 1.284 210.656 215.093 l .563 219.124 217.670 1.454 216.351 210.491 l.86C 218.151 216.053 2.098 223.573 221.418 2.155 230 .597 228.438 2. 1!'9 232.978 230.83b 2.142 233.150 230.029 3.121 4 5 6 227.92B 44.151 183.777 220.734 46.l36 174.498 214.178 47.837 166 .341 216.666 49.300 167.366 216.109 49.552 166.557 215.808 49.081 166. 727 220.792 49.173 171.619 226.185 49.371 17b.814 228.498 49.96b 178.532 228.418 '>0.229 178.189 7 8 9 10 11 1 .;,n3 0 1 05 105 0 1.352 0 68 68 0 2.478 0 <;15 915 0 2.45& 0 1.004 1.004 0 2.242 C 3&2 362 C 2.343 0 245 245 0 2.781 0 626 626 0 4.412 0 2 .253 2 .253 0 4.480 0 2.338 2.331! 0 4.732 570 1.041 1.041 0 12 13 1.168 0 1.284 0 1.559 4 l.447 7 1.828 32 2.05 5 43 2.102 53. 2.099 60 2.064 78 3.005 116 TOTAL U.S.GOYERNMENT SECUR. U.S. GOVERNMENl SPON. AGENCIES + MTG.POOLS BY lNSTRUME:NT: TREASURY ISSUES HOUSE:HOLD SAVINGS BONDS TREAS. EXCL. SAVINGS BONDS l 2 3 OTHER BUDGET AGENCY ISSUES LOAN PARllClPATIONS Cll C C C C TFS. OF INTEREST 011--tER 7 8 9 10 11 SPONS. AGENCY ISSUES 121 MORTGAGE POOL SECUR. 121 4 5 6 12 13 TOTAL HOLDINGS, BY SECTOR AND TY PE l 2 3 4 5 6 229.201 0 356 356 0 0 222.086 0 325 325 0 0 216.656 0 453 453 0 0 219.124 0 450 450 0 0 218.351 0 373 373 0 0 218.151 5 428 428 0 0 223.573 2 495 495 0 0 230 .597 0 589 589 0 0 232.978 1 &49 849 0 0 233.150 20 936 936 0 0 TOTAL HOLDINGS, BY SECTOR U.S. GOVT. (AGENCY SEC . I SPONSORED CREDIT AGENCIES lREASURY MARKElABLE FHLB SPECIAL ISSUE AGENCY SECURITIES l 2 3 4 5 0 7 8 9 10 11 23.350 23 .350 NA IIIA 0 22.559 22.559 23.333 23.333 20.778 20.778 NA 0 0 23.801 23.801 13. 564 10.237 0 24.698 24.698 14.555 10. 143 0 25.915 25.915 16.518 9.397 0 24.932 24.932 19.8b5 0 18.885 18.885 NA NA 0 0 24.785, 24. 785 21.208 3.577 0 FEDERAL RESERVE SYSTEM TREASURY ISSUES SHORT-TERM MARKETABLE OltiER TREASURY AGENCY ISSUES 1 a 9 10 11 12 13 14 1.851 1.385 460 1.161 633 528 1.599 1.101 498 1.867 1.259 608 3.062 1.510 1.552 2.982 2.111 871 4.050 2.876 1.174 4.535 3.444 1.091 4.778 3.678 1.100 5.838 4.209 l.629 FOREIGN SHORT-TERM MARKETABLE OTHER 12 13 14 15 16 17 18 19 203.044 202.371 -1.741 159.961 1.273 198.041 196.689 -958 151.411 lo352 191.271 188.793 -1 .554 142.510 2.478 197.922 195.464 -1.709 147.873 2.458 194.138 191.89b -J.883 144.227 2.242 190.935 188. 597 35.670 103.846 2.338 194.328 191.549 4b.443 95.933 2.779 199.558 195.146 59.680 86.095 4.412 202.418 197.939 41.116 106.857 4.479 201.571 196.859 43.076 103.554 4.712 lOTAL PRI VATE DOMESlIC TREASURY ISSUES SHDl.T-TERM MARKETABLE OHER TREASURY AGENCY ISSUES 15 16 17 18 19 20 21 22 23 24 25 26 84.216 83.992 44.151 39.841 85.541 85.259 46.236 39.023 89.832 89.478 49.300 40.178 NA 224 NA 282 86.852 &6 .440 47.837 38.603 NA NA 412 92.862 ·92.s12 49.552 42.960 NA 93.133 -92.625 49.08l 43.544 15.442 28.102 508 94.054 93.462 49.173 44.289 18.281 26.008 592 97.332 96.681 49.371 47.310 22.734 24.576 651 95.005 94.212 49.966 44.246 20.025 24.221 793 102.387 100.833 50.229 50.604 27.501 23.103 1.554 PRIVATE DOMESTIC NONFINAN. lOTAL TREASURY lSSUES SAVIMGS BONDS CHHI OTHER lREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 20 21 22 23 24 25 26 27 28 29 30 31 32 33 66.324 66.292 44.151 22.141 67.463 67.374 46.236 21.138 67.777 67.559 47.837 19.722 NA 68.847 68.688 49.300 19.388 b8.244 b8.090 49.552 18.538 NA 67.351 67.040 49.081 17.959 32 89 218 159 154 311 67.835 67.577 49.173 18.404 4.767 13.637 258 68.494 68.400 49.371 19.029 7.502 11.527 94 66.941 66.841 49.966 16.875 4.538 12.337 100 69.313 68.703 50.229 18.474 5.243 13.231 610 HOUSEHOLDS TOlAL TREASURY ISSUES SAVINGS BONOS OTHER TREASURY ISSUES SHORT-TERM IURKETABLE OTHER AGENCY ISSUES 27 28 29 30 31 32 33 34 35 36 37 38 12.779 12.779 NA ,,u 0 12.291 12.291 14.697 14.697 17.870 17.870 NA NA 0 18.653 18.653 17.647 17.647 9.605 8.042 0 19.240 19.240 10.408 8.832 0 17.523 17.523 10.654 6.869 0 21.581 21.281 16.768 4.513 300 NONFIN. CORPORATE BUSINESS 34 0 12.853 12.853 NA NA 0 TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 35 36 37 38 39 40 41 42 43 5.113 4.921 NA NA 192 5.787 5.S94 NA NA 193 6.222 6.028 NA NA 194 6.288 6.093 195 6.748 6.552 NA NA 196 7.129 6.932 3.188 3.744 197 8.572 8.238 3.909 4.329 334 9.598 9.041 4.824 4.217 557 10.541 9.848 4.833 5.015 693 11.493 10.849 5.490 5.359 644 S. + L. GOVERNMENTS TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 39 40 41 42 43 44 45 46 47 48 76.541 75.506 70.882 69.827 69.652 67.591 64.517 62.648 1.983 2.061 1.169 66.144 64.034 24.482 39.552 2.110 31.244 3.601 73.299 69.748 18.035 51.713 3.551 65.198 62.316 12.994 1.035 63.985 62.171 17.343 44.835 1.80 7 67.725 64.124 NA 1.055 65.161 63.178 NA 49 50 51 75.81S 192 534 70.276 168 438 64.605 191 365 69.066 265 321 63.896 327 294 63.331 402 252 65.428 445 271 67.027 435 263 72.532 490 277 64.474 465 259 52 53 54 55 56 42.887 42.873 41.618 41.603 NA 39.258 39 .17S NA 31.395 38.438 36.759 36.736 NA 43 23 33.817 33.794 2.885 30.909 23 34.130 34.053 3.680 30.373 77 34.501 34.341 4.066 30.275 160 34.114 33.979 3.05• 30.923 135 33.986 33.710 2.se1 31.129 276 NA NA NA NA NA NA NA 14 NA NA NA NA NA NA NA NA NA 15 NA NA NA NA 83 NA NA 354 NA NA NA NA 0 NA NA NA NA NA NA MA NA 350 NA NA NA NA NA NA NA NA NA 0 32.NO 5.0b1 49.322 2.882 COMMERCIAL BANKING TREASURY ISSUES SHDl.T-TERM OTHER AGENCY ISSUES COMMERCIAL BAMKS FOREIGN BANKING AGENCIES BANKS IN U.S. POSSESSIONS PRIVA TE NON8ANK FUANCE TREASURY ISSUES SHORT-TERM MARKETABLE OlHER AGEMCY ISSUES Cl) WHERE NOT SHOWN SEPARATELY, L OAN PARTICIPATIONS ARE INCLUDED WITH AGEMCY ISSUES. 121 THESE ISSUES ARE OUTSIDE THE BUDGET AND OUTSIDE THE U.S. GOVERNMENT SECTOR IM FLOW OF FUNDS ACCOUNTS. THEY ARE IMCLUOED IN CREDIT MARKET DEBT OF FINANCIAL INSTilUTIOMS. Mrn.EY AMOUNTS ARE IM MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 44 45 4o 47 48 49 50 51 52 53 54 55 � DECEMB ER 1976 U.S . GC1,1T. SECURITIES 138 U.S. GOil. SECURIT IES U.S. GOVERNMENT SEOJRITI ES MARKET SUMMARY YEAR-END OUTSTANDINGS, 1956-65 YEAR-END OUTSTANDINGS, 1956-65 1956 1957 1958 1959 1960 1961 1962 196 3 1964 1965 TOTAL OUTSTANDING, S Y SECTOR A ND TYPE 1 TOTAL U.S.GOVERN MENT S ECUR. 2 U.S. GOVERNMENT 3 SPON. AGENCIES + MTG.POOLS SY INSTRUMENT: TREASURY ISSUES 4 HOUS EHOLD SAVINGS BONO S 5 TREAS. EXCL. S AVINGS BONDS 6 7 8 9 10 11 12 13 OTHER BUDGET AGENC Y ISSUES LOAN PARTICIPATIONS Ill CCC CTFS. OF I NTERES T OTHER SPONS. AGENC Y ISSUES I 21 MORTGAGE P OOL SECUR. (21 227.810 224.213 3.5•n 226. 883 221.862 5. 021 235 .841 2 30.726 5.115 244. 812 237.488 7.324 2 43.084 235.022 8.062 25 0. 765 242.001 8.764 259.135 248.734 10.401 264. 694 252.645 12.049 2 71 .405 258.844 12.561 275.304 260.589 14.715 222.857 50.135 172.722 220.183 48.226 171.957 229.128 47.703 181.425 236.539 45.907 190. 632 234.334 45.642 188.692 241.006 46.445 194.561 247.196 46.968 200 .228 251.278 4 8.149 20 3.129 256.t.22 49 .0 60 207.562 257.919 49 .69 5 208.224 4.953 570 786 786 0 6. 700 1.37 2 307 307 0 6.713 7'17 801 801 0 8. 273 797 152 15 2 8.750 50 638 638 9.75 9 100 895 89 5 0 11.939 145 1 .393 1. 113 280 13.416 18 0 1.187 712 475 14.783 1 90 2 .032 5,41 1.491 17.385 240 2 .430 533 1.89 7 7 8 9 10 3.4"8 149 4.848 173 4.925 190 7.120 204 7.860 202 8.474 290 9 .988 413 11. 52 4 525 11.937 624 13 .846 869 ll.. 13 264.t.94 29 2.201t 2. 159 32 5 45 271 .405 12 1.762 1.677 25 85 275.304 45 1.896 1.798 293 98 l 2 3 4 5 1 8 0 0 l 2 3 11 TOTA L HOLDINGS, SY SECTOR ANO TYPE 1 TOTAL HOLDINGS, SY S ECTOR 2 u.S • GOVT. (AGENCY S EC. I SPONSORED CREDIT AGENCIES 3 TREASURY M ARKETABLE 4 FHL8 SPECIAL ISSlE 5 6 AG ENCY SECURITIES 227.810 9 1 .2 26 1 .226 0 22 6.88 3 13 1. 143 1. 143 50 0 235.841 3 1.2 52 1.2 52 1 65 0 244.812 2 1.352 1.35 2 l 65 0 243.084 37 1.494 1.494 50 250.765 35 1.419 1.419 50 259.135 0 1 .792 l.792 51 0 7 8 9 10 11 FEDERAL RESERV E S YSTEM TREASURY ISSUES SHORT-TERM MARKETABLE OTHER TREASURY AGENCY ISSUES 24.9 15 24.915 22 .205 2.710 0 24.238 24.238 2 1.810 2.428 0 26.347 26.347 20.995 5.352 0 26.648 20.648 20. 192 6. '-5 6 27.384 27.384 19.242 8.142 28.88 1 28.881 1 8.301 1 o.580 30.820 30.820 20.739 10.081 0 33. 593 33.593 25.578 8.015 0 37.04/t 37.044 28 .202 8.8't2 40.768 40.76b 3 1.88 8 B.880 0 10 11 12 13 14 FOREIGN S HORT-TERM MARKETABLE OTHER 6 .686 5.151 1 .5 35 6.864 5.371 1. "9 3 6.958 5 .372 1.586 9.975 7.475 z. 500 10 .551 7.697 2.854 10.998 7.062 3.936 12.320 9 .z "6 3.0 74 12.910 8.69 0 4.22 0 13 .385 8.499 4.886 13 .221 7.610 5. 617 1.1. 13 14 15 16 17 18 19 TOTAL PRIVATE DOMES TIC TREASURY ISSUES S HORT-TERM MARKETABLE OTHER TREASURY AG ENCY I SSUE S 194.974 190.030 47 .l bit 92.731 4.9 44 194. 62 5 187.938 54.345 85.367 6.687 201.281 194.5 71 52.310 94.558 6.710 206.835 19 8.564 56.249 96.408 8. 271 203.618 194.9 05 60.167 89.096 8.713 209 .lt32 19 9. 708 7 2. 5,22 80.741 9.724 2 14.203 202.2bit 68.404 86.892 11.939 215. 958 202.61 6 65.275 89.192 13. 342 219.202 204.516 67.704 87.752 14.686 21 9.368 202 .l26 68 .052 84.379 17.24 2 15 lb l7 0 0 0 0 0 0 0 18 l <, 20 21 22 23 24 25 26 PRIVA TE DOMES TIC NONF INAN. TOTAL TREASURY I SSUES SAVINGS BONDS (HHI OTHER TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 100.426 98 .350 50.135 48 .215 27.421 20.794 2.076 100.589 9 7.257 4Et.226 4 9.031 30. 561 18.470 3.332 97.783 95 .o 18 47 .703 47.315 27.669 19.646 2.765 111.057 10 5.928 45,.907 61>.02 1 3 5.444 24. 577 5.129 105 .322 1 00.634 45 .642 54.992 31.451 23.541 4.681! 104.072 99. 191 46.445 52. 746 31.337 21.409 4.88 1 105.4 99 100 .293 "6. 968 53.3 25 32 .2 38 21.087 5.206 110.293 104.191 48.14 9 56.042 33.948 22.09/t 6.102 111 .351 10-..779 49.060 55.719 31.7 51 23.968 6.572 11 't .t.88 106. 569 49.o95 56.874 31t.485 22.389 8.119 27 28 29 30 31 32 33 HOUSEHOLDS TOTAL TREASURY ISSUES SAVINGS BONOS OTHER TREASURY ISSUES S HORT-TERM MARKETABLE OTHER AGENCY ISSUES 71 .070 69.978 50 .1 35 19.843 7.1 69 12 .6 74 1.092 71.707 6 9.930 48. 226 2 l. 704 1 0.202 11.502 1.111 68 .417 67 .200 47.7 <B 19.497 7.438 12 .059 l.217 74. 292 71.348 45. 907 25.441 11.946 13.495 2.944 73.995 71.504 45.642 25.862 10.557 15.3 05 2.491 74.45 7 71.726 4b.445 2 5.28 1 1 o. 816 14.465 2.731 76.721t 73.560 It, .968 26.592 12.595 13.997 3.164 82.13 7 78.61 8 48. l't9 3 0.469 1 6.301 14. 168 3.519 84.883 80 .135 't9.060 31 .075 15 .814 15.261 ...7..8 87.051 8 1.066 4 9.695 31.371 18 .02 4 13.347 5.985 34 35 36 37 38 NONFIN. CORPORATE BUSINESS TREASURY ISSUES S HORT-TERM MARKETA BLE OTHER AGENCY ISSUES 17.118 16 •718 13.969 2.71./i 400 16.389 15. 589 13.5 91 1.998 800 16.6•n 16.092 13 .801 2.291 600 22.821 21. 621 15.979 S.642 1.200 16.868 15.752 13.268 2.484 1.116 15.344 14.096 12. 484 1.612 1.248 13.582 12 .307 10.674 1.6 33 1.275 12.036 10. lt28 8.lt75 1.9 53 1.608 10.481 9.481 7.548 1.933 1.000 8. 786 7.548 5 .98 3 1.565 1.238 37 38 39 40 41 42 43 S. + L. GOVERNMENTS TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 12 .238 11.654 6.283 5.371 584 12.493 l1.738 6. 76 8 4.970 755 12.674 11.726 6.430 5.296 9 48 13 .944 12.959 7. 519 S.440 98 5 1 4.459 13.378 7.626 5.75,2 l.081 14.271 13.369 8. 037 5.332 902 15. 193 14.426 8.969 5.457 767 16.12 0 15.145 9.1 72 5.973 975 15.987 l5olb3 8 .389 6.771t 82/t 18 .851 17 .955 10.478 7.477 896 39 �o 41 42 43 61.743 59.344 16 .604 42.740 2.399 6 1.�0 59. 01 0 19.824 39.186 2.410 70 .174 67.l 89 19.995 47.194 2.985 61.408 59.544 15. 961 43.583 1.864 63.872 61.611 22. 943 38.668 2.261 70.160 67.22 1 33 .51t5 33.676 2.939 7 1.411 67.0 59 27.797 39.262 4.352 68. lt77 63.794 24.17/t 39.620 4.683 68.781 63.575 28 .270 35 .305 5 .206 65.991 60 .1'17 26.2't:> 33.952 5. 794 44 60 .9 51 5 18 2� 60.649 487 284 69.361 510 3 03 60. 801 526 81 63.264 507 101 69.517 536 107 10.786 506 119 6 7.923 399 155 68.197 442 1"'2 65-341 50 9 141 32 .805 32 .336 3.139 29.1 '17 469 32.616 31.671 3.960 2 7.711 945 33.324 32.3 64 4.646 27.718 960 34. 370 33.092 4.844 28.248 '1.278 34.424 32 .660 5.773 26.887 1.764 35.200 33.296 7.640 25.656 1.904 37.293 34.912 8.369 26.543 2.381 37.188 34.63 1 7.153 2 7.478 2.557 YI .070 36.162 7.683 28 .479 2.908 38.t,89 3 5.360 7 .322 28.038 3 .329 44 45 "6 47 48 49 50 51 52 53 54 55 56 COMMERCIAL BANKING TREASURY ISSUES SHORT-TERM OTHER AGENCY ISSUES COMMERCI AL B ANKS FOREIGN BANKING AGENCIES B ANKS IN U.S. PO SSESSIONS PRIVATE NONBANK FINANCE TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENC Y ISSIJES Ill �ERE NOT SHOWN SEPARATELY, LOAN PARTICIPATIONS ARE INCLU DE D WITH AGENCY ISSUES. 121 lHESE ISSUES ARE OUTSIDE THE BUDGET AND OUTSIDE THE U.S. GOVERNMENT SECTOR IN FLOW OF Fl.NOS A CCWNTS. THEY ARE INCWDED IN C REDIT MARKET DEBT OF FINANCIAL INSTITUTION S. IIIONEY AMOUNTS ARE I N MILLIONS OF IXIUARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .:O 21 ;,.2 23 .i4 2� 26 i.1 28 ,9 30 31 3.i. 33 34 35 36 45 DECEMBER 1976 GOVT. SECURITIES u.s. u.s. GOVT. SE:tUR l TIES 139 U.S. GOVERNMENT SECURITIES MARKET SUMMARY YEAR-ENO OUTSTANO ING S • l9bb-75 ------·- 1966 1967 1968 YEAR-END OUT ST ANDlNGS, l9b6-75 ------------------------- 1969 1970 1971 1972 1973 ------·-------- 1974 l'i75 ------------ TOTAL OUTSTAND I NG• BY SEC TOR AND TYPE l' 2 3 284.498 264.280 20.218 297.b8l 277.343 20.338 315.082 290.971 24.105 321.243 287.394 33.A49 342.954 299.320 43.634 373.b86 324.139 49.547 397.385 339.439 57.946 425 .659 347.782 77.877 460.124 359.886 100.238 558.0'i9 445.180 112.919 4 5 6 260.2 55 50.249 210.006 269.163 51.219 217.944 279.637 51.866 227.771 278.358 51.770 22b.588 291.242 52.08c; 239.153 317.U,2 5 4.416 262.846 331.524 57.667 273.857 339.431 60.354 279.077 351.45& 63.338 288.120 437.30b 67.363 369.943 TOlAL U.S.GOVERNMENT SECUR. u.S. GUVERNMENl SPUN. AGENCIES + MTG .POOLS BY INSTRUMENT: TREASURY ISSUES HOUSEHOLD SAVINGS BONDS TREAS. EXCL • SAVINGS cONDS 7 9 10 11 24.243 345 3.MO 527 3.153 28.518 462 7.718 1. 724 5.994 35.445 1.946 9.394 l .149 8.245 42.885 1.572 7.464 342 1.122 51.712 1.891 t.187 0 b.187 56.424 2.531 4.346 0 4.346 t-5.861 4.513 3.402 0 3.402 86.228 5.259 3.092 0 3.092 108.666 5.402 3.026 0 3.02b 120.793 5.132 2.742 0 2.7'>2 OTHER BUDGET AGENCY ISSUES LOAN PARTICIPATIONS Ill C CC. CTFS. OF INTEREST OlHER 12 13 18.904 1.314 8 -------------18.350 1.988 21.579 2.526 30.645 3.204 ---------------------------------------------38.879 4.755 40.021 9.526 43. 542 14.404 59.837 18.040 76.439 23.799 78. 78 1 34.138 SPON�. AGENCY ISSUES Cl.I MORTGAGE POOL SECUR. (.d 2 3 4 !> C> 7 ., 10 0 11 J.2 13 TOTAL HOLDINGS, BY SECTOR AND TYPE l 2 3 4 5 6 284.498 1.355 2.831 2.684 929 147 297.681 1.267 2.855 2.690 52 165 315 .082 l.401 2.735 2 .550 52 185 321.243 104 2.147 1.964 331 183 342.954 7 3.247 3.059 175 188 373.686 25 2.101 2.493 112 208 397.385 8 1.48b 1. 245 24 241 425.659 6 1.467 1.145 0 322 4b0.124 2.508 1.890 1.441 0 449 558.09 9 1.012 3.359 2.935 0 424 TOTAL HOLDINGS, BY SEC.TOR U.S. GOVT. (AGtNC.Y SEC.I SPONSORED CREDIT AGENCIES lREA!>URY MARKETABLE FHLB SPEUAL ISSUE AGENCY SECURI TIES 2 3 4 5 1 8 9 10 11 44.316 44.282 36.481 7.801 34 49.150 49.112 39.193 9.919 38 52.937 52 .937 32 .552 20.385 0 57.154 57.154 37.610 19.544 0 62.142 b2.142 38.488 23.654 0 70.804 70.218 39. 523 30.695 586 71.230 69.906 41.174 28.732 1.324 80.495 78.516 50.b46 27 .870 l .979 85.714 80.501 50.484 30.017 5.213 94.124 87.934 52.415 35.519 b.190 FEDERAL RESERVE SYSlEH TREA5URY ISSUES SHORT-TERM MARKElABLE OTHER TREASURY AGENCY ISSUES 9 10 11 12 13 14 10.812 6.739 4.073 12.903 7.563 5.340 12 .432 5.899 6.533 IO.bl9 3.662 6.957 19.731 ll.4'il 8.240 46.CJ33 25.439 20. 594 54.435 2b.b89 27. 746 54.775 20.•n6 33.799 58.396 28.620 29.77b 66.500 35.2b 7 31.233 FOREIGN SHORT-TERM MARKETABLE OTHER 13 14 15 16 17 18 19 225.184 202.477 b5.510 86.718 22.707 231.506 204.458 69.727 83.512 27.048 245 .577 211.718 78 .846 81.006 33.859 251.219 208.621 85.895 70.956 42.598 257.827 206.310 81.344 72.877 51.517 254.123 198.518 63.422 80.b80 55.605 270. 226 205.938 74.859 73.412 b4.288 288 .916 204.995 80.680 63.961 83.921 311.61b 211.120 82.802 64.980 100.496 387.104 279.937 128.401 84.173 107.167 TOTAL PRIVATE DOMESTIC. TREASURY ISSUES S HCltT-lERM MARKETABLE OTHER lREASURY AGENCY ISSUES 15 lb 17 18 19 20 21 22 23 24 25 26 122.339 110 .364 50.249 60.115 35 .477 24.b38 11.975 121.234 108.279 51.219 57.060 34.139 22.921 12.955 129. 855 113.020 5l .8b6 bl .154 40.195 20.959 lb .8 35 147.310 123.537 51.770 71.767 52 .633 19.134 23.773 140.176 114.322 52.089 62.233 40.434 21.7 99 25.854 129.253 107.466 54.416 53.050 30.428 22.622 21.787 133.413 112.284 57.667 54.617 33.758 20.859 21.129 152.791 123.837 60.354 63.483 42.735 20.748 28.954 170.829 133.475 63.338 70.137 46.040 24.097 37.354 193.827 159.249 67.363 91.88& 63.624 28.262 34.578 PRIVATE DOMESTIC NONFJNAN. TOTAL TREASURY ISSUES SAVINGS BONDS CHH) OlHER TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENC.Y ISSUES 2£ 23 24 25 26 27 28 29 30 31 32 33 94 .635 83.850 50.249 33.bOl 19.259 14 .342 10.785 96.282 85.011 51.219 33.792 18.872 14.920 11.271 102.561 89.896 51.866 38.030 25.738 12 .292 12.665 113.338 95.664 51.770 43.894 34.689 9.205 17.674 l0!>.186 82.873 52.089 30.784 20.982 9.802 22.313 94.625 74.571 54.416 20.155 8.509 ll.b46 20.054 94.125 77.583 57.667 19.916 8.660 ll.256 16.542 110.447 94 .565 60.354 34.211 21.853 12 .358 15.882 117.718 103.882 63.338 40.544 27.227 13.317 13.836 123.414 114.345 67.363 46.982 30.162 16.820 9.069 HOUSEHOLDS TOTAL TREASURY ISSUES SAVINGS BONDS OTHER TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 27 28 29 30 31 32 33 34 35 36 37 38 7.081 6.054 4.b92 1.362 1.021 4.619 3.614 3.061 553 1.005 5.393 3.959 2.959 1.000 1.434 7.322 5.646 3.840 1.80b 1.67b 9.492 8.283 4.668 3.615 1.209 11.968 11.057 8.430 2.627 911 9.538 8.502 6.954 1.548 1.03b 5.733 3.198 2.332 866 2.535 9.24b 5.302 3.831 l.471 3.944 17.476 14.281 ll.825 2.456 3.1�5 NONFIN. CORPORATE BUSINESS TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENC. Y ISSUES 34 35 36 37 38 39 40 41 42 43 20.b23 20.460 ll .526 8.934 163 20.333 19.654 12.206 7.448 679 21.901 19.165 U .498 7.667 2.736 26.650 22.221 14.104 8.123 4.423 25.498 23.16b 14.784 8.382 2.332 22.660 21.838 13.489 8.349 822 29.750 26-199 18.144 8.055 3. 551 36.611 26.074 18.550 7.524 10.537 43.865 24.291 14.982 9.309 19.574 52.937 30.623 2l.b37 8.986 22.314 s. 39 40 41 42 43 44 45 46 47 48 62.878 56.785 21 .525 35.260 6.093 72.383 63.253 27.001 36.252 9.130 75.732 65.306 28.638 36.668 10.426 65.684 55.598 24.293 31.305 10.oe& 76.443 b2.516 30.123 32.393 13.927 83.567 65.631 25.208 40.423 17.936 90.030 68.031 30.688 37.343 21.999 88.757 59.198 28 .157 31.041 29.559 89.767 56.585 26.802 29.783 33.182 119.904 85.358 48.543 36.815 34.54b 49 50 51 62.256 459 163 71.603 576 204 74.892 620 220 64.795 641 248 75.6b9 497 277 82.866 263 438 88.820 567 643 87 .529 658 570 88.712 709 346 119.029 458 417 52 53 54 55 56 39.967 35.328 8.508 2b.820 4.639 37.889 32.926 8.587 24.339 4.963 39 .990 33.392 10.o13 23.379 6.598 38.225 29.486 8.969 20.517 8.739 41.208 29.472 10.787 18.685 llo73b 41.303 25.421 7.786 17.635 15.882 4b.783 25.623 10.413 15.210 21.160 47.368 21.960 9.788 12.172 25.408 51.020 21.060 9.960 11.100 29.960 73.373 35.330 16.234 19.096 38.043 + L. GOVERNMENTS TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES COMMERCIAL BANKING TREASURY ISSUES SHORT-TERM OlHER AGENCY ISSUES COMMERCIAL BANKS FOREIGN BANKING AGENCIES BANKS IN U.S. POSSESSIONS PRIVATE NONBANK FINANCE TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES Cl) WHER E NOT SHOWN SEPARATELY, LOAN PARTICIPATIONS ARE INCLUDED WITH AGENCY ISSUES. 121 THESE ISSUES ARE OUTSIDE THE BUDGET ANO OUTSIDE THE U.S. GOVERNMENT SEC.TOR IN FLOW OF FUNDS AC.COUNTS. THEY ARE INc.LUDED IN CREDIT "ARKET DEBT OF FINANCIAL INSTITUTIONS. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis b 1 B l2 20 a 44 45 40 47 48 49 50 51 52 53 54 55 56 DECEMBER 1976 U.S. GOVT. SECURITIESICDNTHfJEDl 140 U.S. GOVT. SE�URJlJESICONTINJED) U .S .GC11ER NMENT SECURITIES H ELD BY NONBANK FINANCI AL INSITUTlo-6 YEAR-ENO OUTSTANOINGS, 1946-55 ---------------------------------------------------�----------------1947 1949 19"6 19 48 1950 1951 1953 1955 1952 · 1954 ------------------------ YEAR-ENO DUTSTANDINGS, 1946-5 5 42.887 42 .8 73 NA NA 14 41.618 41.603 NA NA 15 39 .25B 39.1 75 NA NA 83 38.438 38.395 NA NA 43 36 .759 36 .736 NA NA 23 33.81 7 33. 79 4 2.88 5 30.909 23 34.130 34. 0 53 3.680 lJ .373 77 34. 501 34.341 4.0 66 30.275 160 34.114 33.979 3 .056 30.923 135 33.986 33.710 2 .58 l 31.12 9 276 l 2 3 4 5 2 . 009 2.0 09 NA NA 0 1.740 1. 740 NA NA 0 1 .455 1 .455 NA NA 0 1.462 1. "62 NA NA 0 1.487 1.487 NA NA 0 1.603 1.6 03 353 l .250 0 1.8 04 l • 7 87 351 l .436 17 1. 946 l .920 274 1.6 46 26 2 .048 2 .0 2 1 143 1.878 l7 2.45'. 2 . 38 l 226 2.155 73 6 7 8 'i lO 11.785 11.771 NA NA 14 11.978 11. 963 NA NA 15 11.550 11.467 NA NA 83 11. 461 11-.418 NA NA 43 10 .885 10 .862 NA NA 23 9.858 9.835 204 9. 631 23 9.483 9.443 2 98 9.145 "° 9.28 0 9.191 50 0 8.691 89 8.816 8.755 1!>8 8 .597 61 8.586 8.463 272 8 • 191 123 11 12 13 14 15 50 50 0 65 65 0 75 75 0 82 82 0 90 90 0 100 10 0 0 106 l 06 0 112 11 2 0 120 120 0 135 135 0 16 17 18 21.635 21.6 35 NA NA 0 2 0.0tto 2 0. 040 NA NA 0 16.812 16.812 NA NA 0 15.298 15. 298 NA NA 0 13.486 13.486 NA NA 0 11. 03 4 11.034 66 0 10.374 0 10.2 52 10.2 52 542 9.7 10 0 9.82 9 9.82 9 481 9.348 0 9.070 9.070 553 8.517 0 s.576 8.576 415 8.161 19 0 23 1.495 1 .495 NA NA 0 1. 745 1. 745 NA NA 0 1.995 1.995 NA NA 0 2. 245 2.245 NA NA 0 2 .345 2 .345 NA NA 0 2.445 2.445 331 2.161 0 2 .478 2 .478 273 2.2 0 5 0 2.6 55 2.635 315 2.32 0 20 2.682 2.673 284 2 .389 . 9 2.99..: "--970 214 2. 756 2l ..:4 ,:5 + L• G OVT. , R TR. FUNDS TREASURY I SSUES SHOR T-TERM MARKETABLE CTI-ER AGENCY ISSUES 1.6 71 1.6 71 NA NA 0 1.860 1. 86 0 NA NA 0 2 .on 2. 073 NA NA 0 2.257 2. 2!57 NA NA 0 2.498 2.498 NA NA 0 2.918 2.918 146 2.772 0 3.394 3.374 2 32 3.142 20 3.88S 3.86 0 222 3. 638 ZS 4.421 4.383 310 4 .0 73 38 4.724 4.666 231 4.435 58 29 30 31 32 34 3S 36 37 38 0TH ER INSURANCE C OMPANIE S TREASURY ISSUES SHMT-TERM MARKETABLE OTHER AGENCY I SSUES 3 .294 3.294 NA NA 0 3.88 5 3. 885 NA NA 0 4.413 4.413 NA NA 0 4. 826 4.826 NA 5.417 5.417 696 4.72 1 0 5. 774 5.774 1.0 39 4.735 0 6.02 5 6. 02 5 1. 393 4.632 0 6. 137 6.137 608 5.469 0 6.000 6.000 5o9 5 .431 0 34 0 5.253 5 .253 NA NA 0 39 40 INVESTMENT C OS. (TRE ASUR Y I MONEY MARKET FUNDS I TREA S) S ECURITY BROKERS + DEALERS (TREASURY) 31 0 43 0 65 0 10 4 0 129 0 12 9 0 130 0 129 0 154 0 255 0 3� .. o 917 262 820 703 586 313 7 09 b40 666 264 41 1 TOT AL, ALL PVT. NONBANK FIN. TREASURY ISSUES 2 SHORT-TERM MARKETABLE 3 OTHER 4 AGENCY ISSUES 5 6 7 8 9 10 SAVINGS + LOAN ASSOC IA TI CNS TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 11 12 13 14 15 MUTUAL SAVINGS BANKS TREASURY ISSUES SHCJtT-TERM MARKETABLE OTHER AGENCY I SSUES 16 17 18 C RE DIT U NI ONS TREASURY ISSUES AGENCY ISSUES 19 20 21 22 23 LIFE INSURANCE TREASURY I SSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 24 25 '26 27 28 PRIVATE PENSION FUNDS TREASURY ISSUES SH ORT-TERM MARKETABLE OTHER AGENCY ISSUES 29 30 31 32 33 41 s. MONEY AMOU NTS ARE I N MILL I�S OF OOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis NA w d :a. lb ,7 ..:8 33 35 .>6 37 .,1; DECEMBER 1976 U.S. GOVT. SECURITIESICONTINUEO) U.S. GOVT. SECURITIES(CONTINUEDI 141 U.S.GOVERNMENT SE CURil IES HELO BY NONBANK FINANCIAL I NSITUTIONS --------- YEAR-ENO OUTSTANDINGS, 1956-65 YEAR-END OUTSlANDINGS, l95o-b5 1956 1957 1958 1959 1960 19bl 1962 1963 1964 1905 1 2 3 4 5 32.805 32.336 3.139 29.197 469 32.616 31.671 3.960 27. 711 945 33.324 32 .364 4.646 27.718 960 34.370 33.092 4.844 28.248 1.278 34.424 32.660 5.773 26.887 1.764 35.200 33.296 7.640 25.656 lo904 37.293 34.912 8.369 26.543 2.381 37.188 34.631 7.153 27.478 2.557 39.070 36.162 7.683 28.479 2.908 38.689 35.360 7.322 28.038 3.329 6 7 8 9 10 2 .948 2.782 317 2.465 166 3.572 3.173 361 2.812 399 4.181 3.819 618 3.201 362 4.935 4.477 827 3.650 458 5.171 4.592 767 3.825 579 5.691 5.209 1.128 4.081 482 6.048 5.546 1.088 4.458 502 7.047 6.447 1.074 5.373 600 7.630 6.970 1.404 5.566 660 8.164 7.408 1.435 5.973 750 SAVINGS + LOAN ASSOCIATIONS TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 9 10 11 8.166 7.982 379 7.603 184 7.914 7.583 504 7.079 331 7.581 7.270 507 6.763 311 7.276 6.871 531 6.340 405 6.7C9 6.243 624 5.619 466 6.674 6.160 872 5.288 514 6.725 6.107 835 5.272 618 6.558 5.863 883 4.980 695 6.579 5.791 858 4.933 788 6.304 5.48 5 935 4.550 819 MUTUAL SAVINGS BANKS TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 13 14 15 150 150 0 165 165 0 180 180 0 190 190 0 200 200 0 220 220 0 240 240 0 285 280 310 295 15 337 303 34 C.REDil UNIONS TREASURY ISSUES AGENCY ISSUES 18 20 21 22 23 7.555 7.555 293 7.262 0 7.029 7.029 255 6.774 0 7.233 7.183 543 6.640 6.940 6.868 354 6.514 6.244 6.134 302 5.832 110 6.275 6.170 413 5.757 105 5.952 5.813 298 5.515 139 5.723 5.594 276 5'.318 129 5.286 5.119 227 4.892 167 LI FE I NSURANCE TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 19 20 21 72 6.528 6.427 287 6.140 101 24 25 26 27 28 2.747 386 2 .361 52 2.799 2.575 2.457 558 1.899 118 2.567 2.447 568 1.879 120 2.811 2.614 669 1.945 197 2.683 2.401 747 1.654 282 2. 715 2.422 1.033 1.389 293 2.925 2.597 1.122 1.475 328 3.049 2 .675 1.r11 1 .558 374 3.193 2.112 1.041 1.671 481 2.994 2.535 912 l.c,23 459 PRIVA TE PENSION FUNDS TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 24 25 2.6 27 28 30 31 32 33 29 5.0ll 4.944 325 4.619 67 5.155 5.058 303 4.755 97 5.138 5.021 294 4.727 117 5.608 5.462 315 5.147 146 5.907 5.711 328 5.383 196 6.071 5'.800 467 5.333 271 6.495 6.100 470 5.630 395 6.857 6.510 464 6.046 347 7.411 7.030 338 6.692 381 7.645 7.153 366 6.787 492 S. + L. GOVT., RTR. FUNDS TREASURY ISSUES SHUtT-TERM MARKETABLE OTHER AGENc.Y ISSUES 29 30 31 32 33 34 35 36 37 38 5.657 5.657 770 4.887 0 5.480 5.480 1.088 4.392 0 5.439 5.439 931 4.508 0 5.626 5.626 974 4.652 0 5.586 5.446 1. 180 4.266 140 5.592 5.358 1.625 3.733 234 5.872 5.439 1.488 3.951 433 5.994 5.597 1.591 4.006 397 6.083 5.629 1.330 4.299 454 6.066 5.464 1.251 4.213 602 OTHER INSURANCE COMPANIES TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 34 35 36 40 39 276 0 277 0 401 0 556 0 619 0 b88 0 737 0 728 0 767 0 811 0 39 40 41 243 449 604 428 1.021 1.305 1.976 718 1.374 1.082 INVESTMENT COS. (TREASURY) MONEY MARKET FUNDS (TREAS) SECURITY BROKERS + DEALERS <TREASURY) 12 13 14 15 16 17 18 19 50 MONEY AMOUNTS ARE IN MILLIOIIS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 TOl AL, A LL PVT. NONBANK FIN. TREASURY ISSUES SHCll.T-TERM MARKETABLE OTHER AGENCY ISSUES 1 2 3 4 5 o 7 8 ll u 16 17 :a 23 37 38 41 DECE"6ER 1976 U.S. GOVT• SECURITIES C CONTINUEDl 142 U.S. GOVT. S�CURITIES I CONTINUEu I U .S .G CPIER NH ENT SECURITIES H ELO BY NCNBANK FINANCIAL INS ITUTIONS Y EAR-END OUTS TA ND INGS, 1966-75 YEAR-END OUTSTANDINGS, 1966-7 5 ------------------------------------------�------------------1968 1969 197 i 1972 1973 1966 1967 19 70 1975 191't -----------------------------------· --------------------------l TOTA-l, ALL PVT. NO NBANK FI N. TREASURY ISSUES 2 SHORT-TERM MARKETABLE 3 OTHER 4 AGENCY ISSUES 5 39.967 35 .328 8.508 26.820 4.639 3 7.889 32.926 8.587 24.339 4.963 Yi .990 33.392 10 .o 13 23.37q 6.598 38. 22 5 29.486 8.969 20. 517 8. 739 41.208 29.4 72 10. 78·7 18 .685 11 .736 41.303 25.421 7.786 l 7 • 635 1 5.882 46.7 83 25.623 10 .413 15 .2 10 21.160 4 7 .36& 2 1.96 0 9.788 12.112 2 5. 408 51 .020 21.060 9.960 11.100 29.960 73.373 35.330 lbol34 19.096 38.043 3 4 5 8 9 10 '- 6 7 8 9 10 SAVINGS + LOAN ASSOCIATIONS TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 8 .576 7.732 1.830 5 .9 02 844 10. 258 9.255 2. 933 6.322 l. 003 10.717 9.627 2.807 6.820 1.090 10.418 8.145 2.163 5. CJ8 2 2.273 10.994 6.849 1.804 5.045 4.145 1 3.366 6.176 1.668 4.508 7.190 15.268 5 .6 55 2.130 3.525 9.613 15.128 3.207 1. 100 2. 10 1 11.921 16 .186 3.052 943 2 .109 13 .134 22.578 5.364 2.315 3.049 17.214 12 13 14 15 11 MUTUAL SAVINGS BANKS TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 5.804 4.7 64 764 4.000 1.040 5.529 4.319 89 5 3.424 l. 21 0 5 .463 3.834 897 2.937 l .6 29 5.005 3.222 781 2.441 1. 78 3 5.372 3. 151 195 2.356 2.221 6. 286 3.268 642 2.626 3. 018 7.664 3.510 1.095 2.415 4.154 1.205 2..99 .. 1.02 1 1.967 4.211 6 .958 2 .555 945 1 .610 4 .403 10.8 7 4 4.740 1.887 2.85 3 o.134 16 17 18 C REDIT U NIONS TREASURY ISSUES AGENCY ISSUES 4 66 327 139 548 331 217 711 3 57 354 1.021 527 500 1.370 558 812 1. 586 564 1.022 2.107 5 18 1.589 2.612 682 1. 93 0 3.328 1.012 2.316 5.040 1. 515 3 .525 19 20 21 22 23 LIFE INSURANCE TREASURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 5 .157 4 .921 286 4.635 236 4.913 4.683 313 4.37 0 23 0 4.750 4.456 406 4.050 294 4.514 4. 124 328 3.796 390 4.574 4.042 336 3.706 5 32 4.455 3.828 276 3.552 627 4.562 3.827 2 73 3.554 7 35 4.328 3.444 235 3.209 884 4.437 3.372 216 3.156 1 .065 6.15 5 ...736 1.25 7 3.479 1.419 24 25 26 27 PRIVATE PENSION FUNDS TRE•SURY ISSUES SHORT-TERM MARKETABLE OTHER AGENCY ISSUES 2 .751 2.299 823 1.476 452 2. 324 1. 983 845 1. 138 341 2.7 56 2.355 1. l 73 1.182 4 01 2.792 2. 180 l .105 1. 075 61 2 3.029 2 .122 1.164 958 907 2.732 2.148 946 1.202 584 3.689 3.013 1 .921 1.092 6 76 4.404 3.218 2. 061 lo 157 1. 186 5.533 3 .096 1. 865 1.231 2.437 l O.7 6"' 7.88 5 3 .07t, 4.809 2.879 29 '.:\O 31 32 33 s. + L • GOVT., R TR • FUNDS TREASURY ISSUES SHORT -TERM MARKETABL E OTHER AGENCY ISSUES 7.767 7.115 393 6 .722 652 6.95 0 6.165 459 5. 706 785 7 .331 5 .9 21 450 5.471 1.410 7.00 3 5.437 707 4.730 1.566 6 .595 5.104 844 4.260 1.491 5.440 3.896 54 8 3.348 1.544 5.6(8 3.498 732 2.766 2 .105 5.37 6 2.410 586 1.82 .. 2.966 5 .5 66 1.636 561 1.075 3.930 6.812 2.22 5 497 1.1211 4.587 29 34 35 36 37 38 OTHER INSURANCE COMPANIES TREASURY ISSUES SHORT-TERM MARKETA BLE OTHER AGENCY ISSUES 6.267 4 .991 906 4.085 1 .276 5.463 4.286 907 3.379 1.177 5 .353 3.9 33 l .o 14 2.919 1.420 5.06 3 3.448 955 2.493 1.615 5.026 3.398 1.0 38 2 .360 1.628 5. 080 3.183 784 2.399 1. 897 5.1 89 2 .901 1.043 1.8 58 2.288 5.147 2.837 923 1.914 2.310 5 .5 35 2 .860 941 1.919 2 .675 1.00 5 4.120 1 .542 3.17& 2 .28 5 3't 35 39 40 INVESTMENT COS. (TREASUR Yl MO NEY MARKET FUNDS I TREAS) SECURITY BROKE RS + DEALERS (TREASURY) 1.437 0 921 0 1 .143 0 675 0 850 0 559 0 689 0 1.16 0 0 l .109 112 1.066 927 3C, 40 l .7 42 983 l .766 l. 728 3.398 1.799 2.012 2.009 2.256 2.152 41 28 41 MONEY AMOUNTS ARE IN MILLJCNS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 1 11 42 13 14 15 l& 17 18 19 2(, <1 <.2 d 24 25 21:, 27 <.8 .30 31 3L. 33 3b 37 38 DECE"8ER 1976 PRIVATE SECURITIES PR IVATE SECURIll ES 143 SlATE + LOCAL GOVERNMENl, CORPORAlE, AND FOREIGN SECURJlJES YEAR-ENO OUTSTANDINGS, 19'96-55 -------------�-------------------------------------------------------------------------------------------------------1947 1946 19!\0 1951 1952 1948 1949 1955 1953 1954 --------------------------------------------------------------------STATE AND LOCAL GOVERNMENT SECURITIES ---------------------------------------------------------------------------- YEAR-END D UTSTANDINGS, 1946-55 1 2 3 4 r; 14.886 14.8B6 313 14.573 0 16.298 16.298 512 15.7B 6 0 18."67 1B.467 677 17.790 0 21.049 21.049 881 20.168 0 24.381 24.381 1.274 23.107 0 26.559 26.559 1.5B6 24.973 0 30.243 30.243 1.779 211.464 0 34.512 34.512 6 7 8 9 14.886 6.504 313 1.454 16.29B 6.946 350 1.415 1B.467 7.952 452 1.43 5 21.049 8.643 485 1.748 24.3B1 9.191 652 2.032 26.559 9.529 B44 2.061 10 4.426 0 63 5.318 0 65 5. 706 0 71 6.606 0 8.203 0 88 614 935 237 340 609 1.037 315 243 872 1.166 1.052 1.349 828 252 1.152 1.549 1.144 370 11 12 13 14 15 86 45.870 45.B70 2.086 43. 784 0 TOTAL LIABILITIES STAlE + LOCAL GOVERNMENTS SHORT-TERM OlHER NONFJN. CORPORATE BUS INESS !POLLUT I ON CONTROL) 1 32.564 0 40.594 40.594 2.058 38.536 0 30.243 11.543 813 2.111 34.512 13 .373 1.005 2.293 40.594 15.895 972 2.467 45.B70 19.347 1. 219 2.479 lOTAL ASSElS HOUSEHOLDS NONFIN. CORVORATE BUSINESS s. + L • GOVl., GEN. FUNDS 6 9.299 0 140 10.308 0 335 10.965 0 42e 12.726 0 608 12.924 0 646 1.142 1.112 1.446 3B4 l.153 1.883 1.B69 228 1.298 2.103 2 .617 430 1.846 2.376 3.402 300 1.948 267 3 4 5 7 8 9 COMMERCIAL BANKING 10 MUTUAL SAVINGS BANKS 12 4.194 LIFE INSURANCE COMPANIES Sl .+LDC. GOVT, RTR. FUNDS OTHER INSURANCE COMPANIES BROKERS + DEALERS 14 15 SAVJNGS+LOAN ASSNS 2.038 2.723 ------------------------------------------------------------------------------------------------------------------------------------------------ 16 544 l 300 11 13 lb CORPORATE ANO FOREI GN BONDS 27.664 24 .417 2.8•H 0 356 0 30.700 27.207 2.945 0 546 0 35.268 31.407 2.ees 0 973 0 38.723 34.210 3.158 0 1.355 0 39.161 35.73 4 1.692 0 1.735 0 44.307 38.929 3.355 0 2.023 0 49.110 43.614 3.216 0 2.280 0 53.753 46.970 3.102 0 3.681 0 57.311 50.449 3.258 0 3.604 0 60.856 53.286 3.042 0 4. 528 0 TOTAL LIABILITIES NONFIN. COHORATE BUSINESS RESl OF THE WORLD COMMERCIAL BANKS FINANCE COMPANIES REJlS e 27.664 8.487 229 30.700 7.838 193 35. 268 7. 545 138 38.723 7.391 177 39.161 4.775 181 44.307 6.295 189 49.110 6.117 227 53.753 6.022 269 57.311 5.353 212 60.8!>6 5.994 259 TOTAL ASSE TS HO USEHOLDS RESl OF THE WORLD 11 10 2.594 1.116 2.552 1.470 2. 274 1. 872 2.438 2.082 2.591 2.064 2.362 2.240 2.232 2.549 2 .253 2.791 2.176 2.916 1.866 2. 586 12 13 14 15 16 14.694 13.105 928 160 501 18.10 2 16.125 l. 223 190 564 22.882 20.358 l .544 267 713 25.875 22.931 1.863 402 679 28.883 24.752 2.828 58 5 718 32.473 27.467 3.483 701 822 37.094 30.569 4.548 1.010 967 41.540 33 .?75 5.647 1.526 1.092 45.546 35.378 6.907 2.115 1.146 48.855 37.127 7.B53 2.692 1.183 1 2 3 4 5 6 7 9 145 400 155 402 173 587 220 447 261 487 5 b 7 8 COMMERCIAL BANKING 10 11 INSURANCE LIFE INSURANCE COMPANIES PRIVATE PENS ION FUNDS ST.+LOC. GOVT, RTR. FUNDS OTHER INSURANCE CuMPANIES 12 cos. 549 340 538 439 669 473 823 OPEN-ENO INVESTMENT BROKERS + OEALEkS 179 .005 258.001 6.109 251.892 317.012 7.838 309.174 lOTAL AT MARKET VALUE OPEN-El«> INVESTMENT OTHER SECTORS 258.001 317.012 286.267 bo 575 32 1.000 MARKEl VALUE OF HOLDINGS 5.254 30 571 342 2 3 9 MUTUAL SAVINGS BANKS ----------------------------------------------------------------------------------------------- 17 18 153 391 .. 1 13 14 15 lb 17 18 CORPORATE EQUITIES 1 2 3 111.000 1.297 109.703 109.000 1.412 107.588 108.000 1. 515 106.485 120.000 3.070 116.930 146.000 3.344 142.656 170.000 3.481 166.519 186.000 3.931 182.069 4.146 174.859 4 5 6 7 111.000 103.385 2.690 3 180 109.000 101.246 2.480 108. 000 100.133 2.305 4 157 120.000 109.441 2.490 5 157 140.000 133.658 2.925 6 181 170.000 156.286 3.450 8 227 1e6.ooo 170.418 3.705 13 336 179.005 162.401 3.650 16 431 9 10 11 12 13 3.248 1.249 272 8 1 .719 3.511 1.390 367 10 1.744 3. 712 1.428 462 1.809 4.548 1 .718 586 20 2.224 5.824 2.103 1.105 29 2.587 6.531 2.2 21 1.358 41 2.911 7.590 2.446 1.843 56 3.245 8.384 2.573 2.392 75 3.344 11.060 3.268 3.154 99 4.539 15. 326 3.633 6.085 200 5.408 14 15 1.044 450 1.153 460 1.226 463 2.710 2.897 509 2.948 550 3.326 612 3.521 602 5.361 731 16 102.088 99.834 98.618 106.371' 130.314 152.805 166.487 158.255 228.885 4 146 13 649 MONEY A MOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 234.994 cos. HOUSEHOLDS REST OF THE WORLD COMMERCIAL BANKING MUTUAL SAVINGS BANKS 1 2 3 4 5 6 7 8 INSURANCE LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST .+LOC. GOVT, RTR. FUNDS OTHER INSURANCE COMPANIES 9 10 11 12 13 6.927 885 OPEN-ENO INVESTMENT COS . BROKERS + DEALERS 14 15 278.429 MEMO: HH HOLDINGS EXCL. OPEN-ENO IltVESTMENT COS. 16 Or::CEMBER l',1e PRIVATE 5ECUkITIES 144 Pk I V A1 � :, i: (Uk 11 l c � :,TATt + LOlAL GOVERNMENT, CORPOKATL, ANO FOREIGN S[CURlll[� YtAk-ENO UUl�lANUlNGS, l'i5c-b� YEAR-ENO OUTSTANOINGS, l95b-b5 1'>5b 1951 l'i58 1959 l9t>O l'ibl l'tc.S 19b2 STATt ANU L�CAL GOYEkNMtNT SECURITIES TOTAL LIABILITltS STAlt + LOCAL GOYERNMtNlS SHORT-H:RM 4 OTHER ; NONFIN. COK PORATt BUSIN(SS (POLLUTION CONTRULI 49.4el 4'1.461 :t.180 47.281 0 53.708 5,.708 l.:H; !.l .353 0 59 • ..:'0b 59.200 2.110 5t>.43b 65.4db b5o't8b 3.lH 02.313 0 70. 76b 70.7ob 3...57 b7.309 0 75. 851 75. 851 .;.693 72.158 0 81 • .:09 81.209 3.bB2 77.527 0 &t,. '>32 lib .0 32 ...1.:e t.2.!104 0 92.933 9Lo933 ...689 88.044 0 JC.O.t.7b 100.2-,s !;..507 <;4.771 C, b TOTAL ASSi:.TS 7 HOUSEHOLDS 8 NONFJN. lORPCRATt BUSINESS 9 S. + L. GOVT., GEN. FUNDS 49.461 ,21.49<; 1.342 2.48Ci 5�-70£1 23.1'>0 1.479 2.5YQ 59.20b 24.003 1.958 2.737 65... at. 27.lb7 L.794 2.714 70.7ob 30.b02 2.3b2 2.747 7S.851 32.006 2. 39 5 ,.7b3 81.2(19 30.99b 2.b97 2 .;73 Bb.'1�2 �).C,6t, 3.787 2. 33., ':12.9.:,3 31o.b21 3.ol!Ci 2.22 3 100.:t7b 3b.4l:.. 4.oOO .:. lo7 U.067 0 b15 14.0!ll 0 bE'5 lb.671 0 7l9 l7.07tt 721 (, 17.085 0 67.l 2Ci.4b7 0 677 lt>.158 0 527 30.1Ci3 Ci 440 33.b7S 0 391 .H,.!IJ.2 C, 320 10 11 1,: i..273 3.110 4.915 100 2.37b 3.539 5-.5bb 200 2.e&l 3.963 b.249 215 3.200 ...251 7.23'1 30..:' :,.588 4.4Gb 8.084 ..oo 3.888 4 • .i63 <;.057 333 4.02 o 3.3C,4 9.905 52 3 3.b52 3.3(;4 l0ot>l2 514 3.174 ,.<too 10.c;n, t,',3 3.530 i • bi5 l I. 34'7 453 l3 1.. 15 le 107.0<;8 b8.414 b.154 B3 10.i97 l l't.lo3b <;2 .408 9.190 77.:, 12 .C.61 0 12.:,. Olt: <;7.liOCi 10. 165' 1. sc;o U.4bl C, u ...436 <;.720 922 123.0le 10.824 664 10 11 ll COMMERCIAL BANKING SAYING5+LOAN ASSNS MUTUAL SAVINGS BANKS 13 14 15 lb LIFE INSURANCE COMPANli::S ST.+LOC. GOVT, RlK. FUNDS OTHER IN SURANC.E COMPANli::S BROKERS + O�ALER� 0 COKP0KA1t ANO fLKtlGN BONDS l TOTAL LIABILITltS NONFIN. CORPOKATt bUSINESS 2 REST OF lHE WORLD 3 4 COMMERCIAL BANKS FINANCE COMPANIES t> REIH 65.710 5t>.90l ;).2b0 C, 5. t,09 0 73.26b b3.217 3.115 0 t,.;)54 u 79.9il3 b!l.901 4.526 0 6.550 0 a ...443 71.85b ...854 0 7.733 90.0.. t, 75. 31.: 5.b24 0 ...112 95.369 79.952 6.155 0 9.26 2 0 100.tl77 84.50 l 7 .154 0 9.222 0 7 TOlAL AS SETS l10USEHuLOS 8 9 REST OF THE W�kLO 65. 770 b.93J. 309 73.28b 7.853 417 79.983 b.9 70 455 &4.443 9.B3 5;, .. ..o.048 9.974 648 95.3b<; 'l.943 b38 100.877 9.51b t>57 107.098 ...t.45 702 1.452 2.659 1.583 3.24b 1.54& 3.798 1.279 3.781 1.113 3.632 1 .126 3.51b 7953.221 53.129 }9.279 9.475 3. lb'> 1.210 5b.702 "1.951 11.337 4.024 l.3':10 63.854 44.352 ll.842 5 .126 1.534 72.650 .,5.1 .. 5 15.699 7.124 l.b82 78.053 50.607 lo.88 2 i,.852 1.112 b3 .90 5 53.074 18-101 10.b70 2.0bO 90.261 55.899 l't.5b0 l2.7b3 2.019 <,t,.727 511.4'.18 21.20b 14.94.. 2.359 103. <;<;5 01.0 .. .; :a.-,c..:, l 7. :i:'t5 3.oo.. lv t>67 622 780 705- 1.587 403 l.617 538 1.708 b86 2 .14'1 t,C,.:) 2. ss .. I7 10 11 COMMERCIAL BANKING MUTUAL SAYINGS BANKS 12 13 14 15 lt> INSURANc.E LIFE INSURANCE COMPANIES PRlVAlE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNU:, OTHER lNSURANCt C O�PANltS 17 18 uPEN-tNO INVESTMcNT BROKERS + DEALER� cos. 0 b8.09• 46.428 l't.Ob5 ,.9b6 1.595 0 0 4 5 IC, 11 -----------------------------------------------------------------------------------l � lUKPORAlE EQUITIES 1 TUlAL Al MARKEl VALUt: OPEN-ENO INVHlMENT COS. 2 OlHER SEC.TORS 3 }}7.994 9.046 328.948 299.003 8.714 290.289 417.<;77 n.241 404.736 453.9118 15.818 438.170 450.998 17.02b 433. 972 573.99b 22.87 5551.121 505.bB5 21 .211 484.414 �97.021 .:5.214 571.£107 662.0ob 29.llo 632.970 74il.9ob 35 • .2.2(1 713.740 ,. MARKET VALUE OF HOLDINGS 5 HOU!iEHDLOS REST Of THE WORLD 6 7 COMMERCIAL BANKING 8 MUTUAL SAVINGS BANK� 337.994 305.056 o.9bl 37 1.000 29'>.003 267.341 b.091 50 1.000 417.'177 373.264 8.305 57 l.400 453.9Cl8 401.<,.;7 9.303 o5 l.400 450.998 395.369 9.3i)2 84 1.300 573.99b 500. 729 11.808 91 1.600 505.b85 437 • .:81 10 .33b 94 1.500 597.021 513.813 12 .485 97 1.&00 6e2.0bo 5b4.o08 13-835 115 2.000 748.9bb b3:i.453 1 ...5<;9 172 2.�00 lb.367 3.503 7.065 .:OO 5.5'19 lt..339 ;;.3'11 7.489 300 5.159 22.791 4.109 U.5bl 400 6.721 20.790 4.5bl 14.5L5 500 7.204 29.582 4.981 16.545 bOO 7.450 39.323 6.258 U.85b 900 <;.309 37 .!107 6.302 .ll.885 1.000 8 .020 4o.2b4 7.135 .:7.b70 1.500 <;.959 54.994 7.<;3& 33.705 2.000 ll.351 b4. 300 <;. ld: 40.754 2.500 12.000 20.25.l 193 9 10 11 12 13 INSUkANC E LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FuNO� OlHER IN SURANCE COMPANIES 14 15 OPEN-ENO INVESlMcNT CUS. BROKERS + OEALER5 7.887 686 7.411 771 ll.67l 488 13.8b7 5t.6 l4.8i>b 535 It, MEMO: HH HOLDINGS EXCL. OPEN-ENO INVESTMENT C.OS. 296.010 258.627 300.023 386.119 378.363 MONEY AMOUNTS ARE IN MILLIONS Of DOLLAK�. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .. 5 � 10 11 Li 13 14 D 4lb.010 b00.233 lb DECEMBER 1976 PRIVATE SECURITIES PRIVATE SECURITIES 145 STATE + LOCAL GOVER"'1ENT, CORPORATE, AND FOREIGN SECURITIES ---------------------------------------------------------------------------------------------------------------------------------------------------------YEAR-END OUTSTANDING$, 1966-75 1966 1967 1968 YEAR-END DUTSTANUINGS, 1966-75 1969 1970 1971 1972 1973 197-. 1975 STATE AND LOCAL GOVERNMENT SECURITIES 105.925 105.925 6.l6R 99.757 0 113.703 113. 703 8 0 123.219 123.219 8.143 115.076 0 133.14!133.145 10.909 122.236 0 144.:no 144.370 13.252 131.llB 0 161.881 161.795 15.735 146.060 86 177.282 176.648 l�.787 160.BH 63-4 193.598 191.168 16.102 175.066 2.430 213.219 2 09.141 l 8.647 190.494 ...078 230. 500 223.822 16.674 207. llt8 6.678 TOTAL LIABILITIES SlAlE + LOCAL GO\IE:RNMENTS Sl10RT-TERM OTHER NONFIN. CORPORATE: BUSINESS IPOLLUlION CONTROL) 113.703 37.562 3.300 2.125 123.219 36. 890 �- 782 2.171 133.145 46.033 2.AOO 2.236 14,..370 45.248 2.175 2 .3�4 161.881 9 105.925 39 .835 3.639 2.125 177.282 47.148 4.175 2.110 193.598 54.371 4.038 2.481 213.219 65.538 4.651t 2.930 230.500 71t.196 4.481 4.390 TOTAL ASSETS HOUSEHOLDS NONFIN. COR�ORATE BUSINESS S. + L. GUVT., GEN. FUNDS 10 11 12 41.221 0 251 50.342 0 219 58. 893 75 194 59.536 100 193 70.204 123 197 82.811 3QO l '10 89.961 165 873 95.661 185 921 101.154 500 930 102.84',1 1.110 l.51t5 13 3.260 2 .4131 12.648 465 3.145 2.406 14.098 506 3.194 2.382 15.090 51t8 3.221 2.331 16.334 361 3.306 2.032 17.766 915 3.363 2 .152 21.696 1.028 3.367 2.059 26.512 912 3.-412 1.337 30.062 1.130 3.667 611 32.530 705 4.508 2.500 34. 290 01 4 5 6 7 14 a.ooo 105.703 44.984 3.175 2.132 ----------------------------------------------------15 16 b 7 b '1 COMMERCIAL RANKING SAVlNGS+LOAN ASSNS MUTUAL SAVINGS tiANKS lO 11 1.: LIFE INSURANCE COMPANIES ST.+LOC. GOVT, �TR. FUNDS OT�ER INSUkANCE COMPANIES BROKERS + OEALEKS 13 14 15 16 CORPORATE AND FOREIGN BONDS 1 2 3 4 5 6 133.842 108.024 10 .543 1.694 13.581 0 149.415 122.682 10.779 1.963 13.991 0 163.677 135. 575 11. 702 2.221 14.179 0 176.494 147.550 11.718 2.037 15.094 95 201.605 167.306 14.397 2.135 17.167 600 225.685 186.113 15.904 2.990 19.66 2. 1.016 244.196 198.300 17.095 4. 127 23.284 1.390 257 .540 207 .459 17.766 4.135 26.240 1.9,.0 281.094 227.129 19.552 ...290 28.024 2.099 317.221 25,,.. 333 25. 577 ... 479 30. 733 2..099 TOTAL lIABILlllES NONFIN. CORPORATE BUSINESS REST OF THE WORLD COMMERCIAL BANKS FINANCE COMPANIES REITS l 2 3 7 8 9 133.842 11.8 70 1.257 149 .415 15.118 928 163.677 19.418 854 176 .494 25.189 411 201.605 35.941 1.667 225.68 5 44.508 2.275 244.196 -48.417 2.752 257.540 49 .063 2.832 281.094 56.648 1.039 317.221 65.928 2.551 TOTAL AS SETS HOUSEHOLDS REST OF THE WORLD 7 b IO 11 1.156 3.212 1.932 5.287 2.204 6.614 1.670 6.946 2.439 8.147 3.674 12.030 5.33-4 14.166 5.747 13 .074 6.799 13.990 8.589 17. 536 12 13 112.408 63.418 25.231 20.184 3.575 121.797 67.228 26.355 23.921 4.293 129.965 70 .936 21. 000 26.565 5.464 137.118 72.673 27.613 30.559 6.273 147.443 74.144 29.666 35 .05 5 8.578 156.482 166.432 86.602 28.207 43.482 8.141 180.236 92.455 30.334 49.445 8.002 197.371 96.443 35.029 55.887 10.012 2lt-.lt28 105. 538 37. 809 60.869 12. 192 14 15 16 ------------------------------------------------------------------------- 12 13 14 15 16 17 ltl 3. 792 l.455 4.7t,6 1.423 OPEN-ENO INVESTMENT COS. BROKERS + DE:ALERS 914.642 48.289 866.353 906.991 1060.435 1202.068 59.831 56.694 47.618 859.373 1003.741 1142.237 911.045 46.519 864 .526 642.972 31t.061 608.911 BS't.660 42.178 812.482 TOTAL AT MARKET VALUE OPEN-ENO INVESTMENT COS. OTHER SEClOR S 914.642 755.132 18.141 906.991 1060.435 1202.068 737.527 81t3.036 928.992 27.827 21.-429 18.689 620 491 508 2.000 3.500 4.500 911.045 683.389 24.8it8 864 4 .200 642.972 477.118 11.111 948 3.700 854.660 630.509 26. 708 c;45 4.400 MARKET VALUE OF HOLDINGS HOUSEHOLDS REST OF THE WORLD 95.732 13.707 61.425 7.300 13.300 105.807 15.420 67.087 10.100 13.200 141.257 20.607 88 .6 50 15.ltOO 16.600 186.083 26.845 115.238 22.200 21.800 156.742 25.919 90.523 20.600 19.700 115 • ..05 21.920 63.28!> 17.400 12.800 156. 720 28. 061 88.559 25.800 14.300 40.8!>7 1.866 39.683 1.977 48.621 2.101 51.728 2.318 38.321 2.681 26.3,,.7 l.743 33.664 1.711 689.909 786.342 869.161 636.870 443.057 588.331 868.639 1034.029 52.677 44.701 823.938 981.352 4 5 6 7 8 682.653 575.418 12.643 235 2.000 868.639 1034.029 730.586 869.040 19.551 15.511 365 299 2.500 2.ltOO 9 10 11 12 13 62.100 8.832 39 .lt68 2.800 11.000 78.881 10.877 51.104 3.900 13.000 95.086 13.230 61.lt56 5.800 14. 600 14 15 28.943 1.314 39.176 1.686 46.082 1 .505 16 540.589 685.88 5 816.363 2.959 1.394 INSUR,t.NCE LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS OTHER INSURANCE CCJMPANlES 2.392 682.653 34.829 647.824 2.915 1.024 10 11 4.196 3.586 1.574 18 4.286 1.682 4.910 1.806 9 COMMERCIAL BANKING MUTUAL SAVINGS SANKS 5.068 2.021 3.408 1.214 17 79.610 29.013 38.996 8.863 .. 5 b CORPORATE EQUITIES ----------------------------------------------------------------------- 414 2.500 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis CO MMERCIAL BANKING MUTUAL SAVINGS BANKS 4 s b 1 b INSURANCE LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVTt RTR. FUNDS OTHER INSURANCE COMPANIES 9 10 11 12 13 OPEN-END INVESTMENT COS. BROKERS + DEALERS lit lS MEMO: HH HOLDINGS EXCL. OPEN-ENO INVESTMENT COS. 16 DlUMBER 197t, MORTGAGtS - I 146 l'IUKl GAGl::S - I MORlGAC,i MA�KElS BY TYPc CJF MORT.;AGE: YtAR-END OUlSlANulN�S, 1'>4t..-S5 nAR-tNO OUhlANC•INGS, 1946-55 ---------------------------------------------------------------------------------------------------------195', 1<;55 1952 1953 1951 1950 19',7 1949 19',6 194d -------------------------------------. -----------------------------------------------TUTAL MORH,AGU, -------------------------------------------------------------------l TOTAL MOR1 C,AGl S HOME: MQ;..TGAGES MULll-f-AMILY Rt:SlO. :::. C.OMME:RCIAL 4 f-ARM � 4l.'151e, 23.034 �-270 ll.755 ... o•,1 LIAE>ILITHS Of: u. s. GUVtRNMlNl �AVlNGS ♦ LGAN ASSOC lA TIONS RUTS 49.l 14 l6. l '19 5.787 10.0t,4 56.3<;5 33 • .l 79 o.o6l 11.106 5.288 !,.(Jo4 6.l.875 '.H.bi'l 7.b29 ll.b4b 5.579 73. 01.. 45.17'> 9. 301 1.2.467 6.071 .;2.477 51.716 10 .642 13 .4bb b.651 91.595 5B.50B 11.481 14.370 7.l36 101.495 06 .102 12.lll 15.535 7.737 113.bt,8 75.t.17 1,.t.05 6.246 130.089 tli. 249 I.;.4'10 19.32 B -;.022 n.a,o � .. 3 5 0 109 0 189 0 C, 0 231 0 275 0 C, 0 321 0 0 368 0 500 0 _o 0 550 0 0 78<; 0 0 912 0 41. tl4 7 d.oG7 t>80 19.560 ...i,97 4.483 10.180 46.9:t5 2t>.2ub 93,. 21.725 S..Oo't 5.0oO U.601 :,t,.164 30.8bi 1.:,34 23.968 5 • .!88 5.789 12.1191 t,,:.600 3:».2&4 1.818 ,l',.49£ 5. 579 o.331 13. 588 72.b93 41.',19R 2. 353 28.342 t,.071 1...·13 14.798 bL.109 4b • 62 2 2.909 30.578 · 6.651 b .12S 15.802 91.0'15 55 .l04 3.40 4 32.4B7 7.230 8 .t,27 lt,.t,24 100.945 62.670 3.9 lo 34.35<; 1.731 9.054 17.568 u:,.01-; n. 730 ...569 3t>.774 e.,4o <,.573 ld.955 l.£9.177 li3.4b5 5.1'18 40.494 9.022 10. 4ol ,lC,.991 41.95b 13.t>58 25 ..9.114 14.998 50 56.395 lb.150 104 b2.875 16. 803 185 73.01'+ 17. 531 237 82.477 lb.425 306 91.59', 19.089 409 101.'+95 20.081 492 113.868 21.214 58.l 130.089 22.475 1.038 959 0 945 887 0 991 872 4 l.4o2 905 7 1.777 952 3.l 2.391 1.010 43 2.936 1.091 53 3.326 1.100 bO 3.425 1. 281 78 3.ol2 2<>.276 7.237 ll.t,17 7.141 4.441 35 32.234 9.447 13.752 a.850 4.856 ..o 38 • .::74 10.897 16.158 10.305 S.807 46 '+3.453 ll.o45 18.3117 11.olb t,.70'> bb S2.485 13.ot,3 21.985 13.657 8.262 t,6 t,O.30 l 14.732 25.557 15.5t,4 9.916 11 68.017 15.867 29.888 18.396 11.380 112 7t>.356 lb.850 35.041 21.962 12.943 130 87.2&8 18.'774 41.263 26.lOb 15.007 14b 10l.65l a.004 ..... 04(, 31.409 17.457 174 7 • .t59 1. 155 22 21 61 &.Bll c!.67'> 42 25 M, 11.000 10.833 62 35 7<> 13.D3 ll.906 82 52 93 lb. 3b3 16.102 102 75 104 l9.b57 l 'I. 314 llO 105 llB 21.bb'21.251 149 141 123 23.841 23.322 192 188 139 2b.b0b .:5.976 238 l,.9 l't3 30. 23t> 29.44:, 3n 318 152 31 32 lb3 0 224 0 213 0 2118 0 lt54 0 356 0 598 0 624 0 845' 0 1.37:t. 0 3', 432 509 301 3'> 111 MEMO: fHLB LOANS 10 S+L ASSOtIATIONS I INCLUDED IN •OTHt:R LOANS• C.Alt:GORY I. 427 blO 911 864 952 Bb7 1.417 35 o 7 e c; 10 11 12 13 14 15 PRI VATE NONf'lNAN(lAL SH.TORS HOUSEHOLDS NONPl<.OFIT INST 11 UTIOhS l'IONFINANC.JAL BU51Nt:SS FARMS NONFARM NONCORPOkATc CORPORAlt lb ' ASSETS OF: HOUSEHOLDS 17 ST.+LOC. GOVT, GlN. FUM,S le 19 2U a u. s. GOVERNME:NT SPONSORt:D CRlOll AG. 111 MORTGAGE POOL� 22 23 2 .. 25 26 27 PRI VUE FINAN. INSTITUTIONS COMMt:RtlAL BANKING SAVINt,S H•SllTUTIONS S+L ASSOtUTJONS 111 MUTUAL SAVINGS BANKS CREDIT UNIONS 28 29 30 31 32 lNSU,ONCt UH COM PANI t.S PRIVATE PENS JON FUNDS ST.+LOC. GOVT, kl�. FUND OTHER INSURANtE cos. 33 34 FINANCE: COMPANIES REJTS ----------------------------------- ----------------------------------- o,.l 1. ,e3 llo b 7 I, 9 10 ll 12 13 14 i; H, 17 18 1'7 .i.O d 22 ,3 L"I ,� ,, 'b L'-1 3C 33 ----------------- HOME MORTGAGES 3 TOTAL LIABILITIES HOUSEHOLDS NONFARM NONCORP. BUSINESS l'()NFlN. CORPORATE BUSINtSS 4 SAVINGS + LOAN ASSOCUTIONS 5 23.034 21.607 t,59 659 109 28.199 26.2bb an 872 189 33.279 30.8t>2 1.093 1.093 231 37.6H 35.2d4 1.031 1.031 275 45.175 41.998 l.428 1.1t28 321 51.7111 48.b22 1.364 1.364 368 58.508 55.204 1.402 l.it02 500 b6.l02 b2.670 1.441 1.441 550 1,.011 71.730 1.570 l.57c 7119 88.2-,9 83.485 1.92b 1.92b 912. 6 TOlAL ASSETS HOUSEHOLDS 7 STATE ♦ LOCAL GOVt:RNMENlS 8 23.03,. b.lb4 25 28.199 t,.713 50 33-279 7.190 100 37.c.21 7.377 175 45.175 7. 51b 221 51.718 7.836 283 58.508 7.853 360 t,6.102 8.171 420 75.677 8.370 lt(l5 88.249 8.460 5£3 6 7 8 lO 11 l 2 9 10 11 12 u.s. GOVERNMENT SPONS. CREDIT AGENCIES MORTGAGE POOLS C.OMMt:RCI AL BANKING b66 0 0 4.576 025 0 0 b.303 710 0 0 7.39c, 1.17b 0 0 7.95b 1.408 0 0 9.481 2.063 0 0 10.275 2.523 0 0 11.250 2.110 0 0 12.02s 2.110 0 0 13.300 2.929 66 0 15.075 13 14 IS lb SAVINGS INS1 ITUTIONS SAVINGS ♦ LOAN ASSNS. MUTUAL SAVINGS BANKS CREDIT UNIONS 8.908 o.8AtO 2.033 35 10.798 8.475 2-283 40 12.122 9.841 2.835 4o 14.541 ll.ll7 3.364 17.494 13.116 lt.3ll 20.252 llt.844 5.331 77 24.128 17.645 6.371 112 28.812 20.999 1.011 136 3'--639 .25.004 9.487 llt8 42.013 30.00 l ll.838 174 n 19 20 INSURANCE LIFE INSURANCE COMPANIES PRIVAlE PENSION FUNDS Sl.+LOC. GOVT, RTR. FUNDS 21 22 FINANCE COMPANIES REITS 18 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis b6 3 4 12 13 14 I5 lb 17 8 3.524 3.497 16 11 4.984 4.943 25 16 o.151 6.093 33 25 8.558 8.478 43 37 10.713 10.610 51 52 11.893 11.757 65 71 13.377 13.19'> 85 97 15. 391 15.153 107 131 l 7.979 17.obl 146 170 20 133 0 186 0 177 0 239 0 377 0 29b 0 501 0 527 0 722 0 1.184 0 22 2.Sb2 2.545 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. b6 1 2 9 ll< l'J ;d DECEMBER 1976 MORTGAG!:S - I MORTGAGES - MORTGAGE MARKETS B Y 1YPE OF MORTGAGE I 147 ---------------------- - ------------------------------------------------------------------------- ------------------------------------------------------------------------------------------------------------------------------------ Y!:AR-fND OUTSTANDING5, 1956-65 1956 1957 1«;58 YEAR-ENL OUTSlANUINGS, 1956-65 1959 1960 1961 1962 1963 1964 1965 TOTAL MORTGAGES 1 2 3 4 5 144.649 <l9.001 14.064 7.1.749 9.835 156.812 107.617 14.611 24.187 10.397 172.496 117 .687 16. 56 5 27 .13,; 11.109 19 l .s 62 130.E'54 18.7CO 30 .2 07 12.101 208.947 141.940 20.7R6 33.383 12 .83 8 229.638 154.733 23.6?2 37.366 13.917 253.371 l6<l.302 26.732 42.144 15.l<l3 280.471 186.396 30 .024 47.229 16.822 307.932 203.358 34.57 8 51.054 18.942 335.348 220.479 38. 213 55.469 21.187 6 1 0 887 96 856 0 532 l. 161 0 847 1. 293 0 1.252 1.186 0 1.474 1.550 0 1.734 l.99<l 0 1.796 2.528 0 1.826 2.239 0 1.845 7.. 198 0 10 11 12 13 14 15 9 143 • 762 94.656 5.901 43.205 9.!'35 10 • 746 22.b?.4 155.860 103.651 6.685 45.524 10.397 10. 965 24.162 170. 803 113.446 7. 503 49. 854 11.109 11.•n5 26.820 189.722 125.855 8.317 55.550 12.101 13.377 30.072 206.509 137.424 ".1 e 4 59.901 12.838 14.330 32.733 226.614 150.035 10.08 4 66.495 13.917 16.087 36.491 24«;. 63 8 lt-3.981 11.035 74.622 15.193 18.357 41.072 276.147 180.412 12 .O l 2 83.723 16.822 21.075 45.826 303.867 197.661 13.053 93.153 18.942 331.305 214.741 14.228 102. 336 21.187 27. 740 53.<t09 16 l7 18 144.649 24.059 7 21 156.812 25.99 7 923 172 .491:, 28. 562 1.135 I'll .862 30.659 1.390 208.<l 47 33.426 1.582 229.638 3b.6b2 1.849 253.371 3&.766 2.100 280.471 40.250 2.297 307 .932 19 20 21 3.644 2.390 149 3.925 3.553 173 4. ?35 3.468 190 5.b05 4.410 204 5.1!00 5.41:,7 202 6.249 6.322 290 413 22 25 26 27 113.686 22.719 55.705 35.729 l '1.746 230 122.241 23.337 61.441 40.007 21.16', 265 134. 806 25. 523 l:,Q. 183 45.627 23.263 293 149.594 28.145 78.478 53.141 24.992 345 162.470 28.806 87.382 60.070 26.935 377 178.888 30.442 98.386 b8.834 29.145 407 28 29 30 31 32 33.994 32 .0 8<;> 449 395 161 3o.52C 35.236 58 3 540 161 38.700 37.062 742 736 160 41.324 39.197 989 992 146 44.671 41.171 1.301 l.450 149 33 34 1 .21:,8 0 943 0 1.400 0 1.1:,47 0 35 1.220 l .265 1.298 2 .1 34 8 23 24 0 24.624 <t9.587 41. 747 2.524 335.348 42.186 2. 713 5.917 5.371 525 5.670 5.715 624 5.853 6.801 869 199.872 34.476 111.545 78.770 32.320 251.452 43.976 142.436 101.333 40.556 547 271:,.926 49.675 155.503 110.306 455 226.111 39.414 127.670 90.944 36.224 502 47 .814 44.203 1.560 1.896 155 51.154 46.902 1.876 2.242 134 55.497 50.544 2.220 2.612 121 61.120 55. 152 2.778 3.070 120 67.286 1:,0.013 3.385 3.746 142 1.611 0 2.246 0 2.1:,97 0 3.530 0 3.920 0 4.<t62 0 1.981 2.662 3.479 4.784 5.325 5.9<;7 r;.100 5.898 TOTAL MOkTGAGES HOME MORlGAGES MULTI-FAMILY RE SI t:,. COMMER Cl AL FARM LIABILITIES OF: u.s. GOVERNMENT SAVINGS + LOAN ASSOCIATIONS RE ITS PRIVATE NONfINANCIAL SEC TORS HOUSEHOLDS NONPRUFil INST! TUT IONS NONFINANCIAL BUSINESS FARMS NONFARM NONCORPOR ATE CORPOkAlE: u.s. &OVERNMENT SPONSORED CREDIT AG. Cl I MORT GAGE POOLS 19 20 d PRIVA 1E FINAN. INSTITUTIONS COMMERCIAL BANKING SAVINGS INSTITUTIONS S +L ASSOCIATIONS ( 11 MUTUAL SAVINGS BANK!> CREDIT UNIONS 5&0 ( 1 ' MEMO: FHLB LOANS TO S +L IN "OTHER LOANS" CATEGORY). 130.854 125.855 1.853 1.853 l.293 141.940 137.424 l.b65 1.665 1.186 154.733 150.035 1.574 1.574 1.550 169.302 163.981 1.661 1.661 1.999 186.396 180.41 2 1.728 1.728 2.528 203.358 197.061 1.729 1.729 2.239 220.479 214.741 1.770 1.770 2.196 TOTAL LIABILllIES HOUSEHOLDS NONFARM NONCDRP. BUSINESS NONFIN. CDRPDRAlE bUSINESS SAVINGS + LOAN ASSOCIATIONS 6 7 99.001 8 .722 594 107.bl7 9.261 789 117.687 9.617 983 130.854 9.415 1.222 141.940 10.169 1.388 154.7 33 11.121 1.51:,4 169.302 12.379 1.656 186.396 13.549 1.681 203.358 15.135 1.696 220.479 lb. 309 1.705 TOTAL ASSETS HOUSEHOLDS STATE + LOCAL GOVERNMENTS 9 10 11 12 2.885 649 0 16.245 3.051 1.636 0 16.385 3.281 1.381 0 17.628 4.206 2.050 0 19 .200 4.235 2.901 0 19.242 4.448 2.870 4.124 2.050 15 24.910 4.023 1.986 20.038 4.497 .l.834 8 22.129 3.900 2. 510 154 30.401 48.253 34.004 14.019 230 53.667 37.996 15.406 265 60.459 42.890 17. 276 293 68.746 49.535 18.866 345 76.338 55.386 20.575 377 85.229 62.395 22.427 407 95.041:, 69.761 24.830 107.302 79.058 20 20.551 20.130 208 213 22.005 21.441 271 293 23. 116 22.374 344 398 24.578 23.583 459 531:, 2b.263 24.879 602 782 27.508 25.776 717 1.o 15 21 22 1.102 0 823 0 1.222 0 1.437 0 1.404 0 1.951 0 14 15 16 17 18 19 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 27 2& u.s. GOVERNMENT SPONS. CREDIT AGENCIES MORTGAGE POOLS COMMERCIAL BANKING 35 .. 5 b 7 8 9 10 11 12 33.813 580 94. 225 13 14 31.384 28.525 1.250 1.609 33.059 29. 589 1. 516 1.954 INSURANCE LIFE INSURANCE: COMPANIES PRIVATE PENSION fUNOS ST.+LOC. GOVl, RTR. FUNDS 17 18 19 20 3.31:,6 0 3.823 0 FINANCE COMPANIES REITS 21 22 128.61& 502 28.419 26.374 855 1.190 29.716 27.331 1.006 1.379 2.334 0 3.049 0 455 25 26 SAVINGS INSlIT UTION5 SAVINGS + LOAN A5SNS. MUTUAL SAVINGS BANKS CREDIT UNIONS 118.507 87.172 30.788 547 27.742 24 33 34 117.687 113.446 1. 540 1. 540 1.161 2 7.220 a 23 FINANCE COMPANIES REI TS 107.617 103.651 1.555 I.55 5 856 13 lil 29 30 31 32 99.001 94.1:,56 1.729 1.729 887 41 17 INSURANCE LIFE COM PANIES PRIVATE PENSION F UNDS ST .+LOC. GOVl, I\TR. FUND OTHER IN SUl. ANCE COS. 1 2 3 4 5 4 9 10 11 12 13 1 .. 15 16 ASSOCIATIONS I INCLUDED -----------------------------------------------------------------------------------------HOME' MORTGAGES !l 6 7 8 ASSETS OF: HOUSEHOLDS H.+LOC. GOVT, GEN. F UNDS 44.617 ----------------------------------------------------------------------------------- 2 3 4 5 15 lb DECi-.MBl:R 1"7t. MORlGAGl:S - 1 148 Mu"lt;AC",i:S - 1 l"IDRlGAGE MAt!.Kl:TS tl,Y TYPc. JF l"IOkTGAGE YEAk-END OUTSlANO lNG�• l«;t,b-75 YEAR-ENO CJUTSTANIJ)NGS. l9bb-7:, --------------------------------------------------------------------------------------------------------------------------1';74t 1975 1973 1970 197 l 1972 l9b7 l'16b l9b6 1969 -----------------------------------------------------------------------------------------TOTAL l"IORTGAGl:S -------------------------------------------------------------------------------358.'tOb 232.919 41 • .:75 bl.loO 23.052 382.873 2 .. 1.205 4't.815 o5.83b 25.0l l 412.527 264.563 't8.L51 72.53c, 27.177 443.236 282.b96 53.176 78.371 2.11.995 't73.l4b 297.698 b0.0o6 85.53b 29.82b 5.t.5.656 .H8.260 c,c;.ne 95.4�1 �2..201 c,02.'t27 371.991 82.472 112.20b 35.758 662. 321 4lb.883 92. t,77 131.306 41.253 742.522 449.c;37 99.851 l4b.'t28 lob. 30b 803. 311 't92. 5'18 100 • .i. .. , 15&. Hb 51. 550 l. 763 1.210 0 1. 7.10 2.257 0 l .b54 2.449' 200 1.57.> .;.45� "t30 1.498 3.078 ';4b 1.42b 5.0,19 b80 l.340 b.,109 l.lc,O l.2b9 ...667 l.480 1.162 3.2"t4 l.t>'t'- l.C.l"t 5.11:17 2.015 �55.353 .:.l8. 431 l5.48S lll.4H ;(3.052 30.422 57.9b3 3711.896 241.700 lb.679 1.,0.511 .!5.017 33.585 bl.915 4011.:£24 .:58 • .;5& 11.81" 132.052 27.177 3bo78b b8.089 43&. 780 l7b.555 l'l.u90 143.135 2bo995 ..O.t,5L 73.4&8 .. 68.0.!6 2'H.2«.0 20.3.. 11 15b.418 29.82b 45.934t 80.658 518.521 318.387 2l .b58 178.47b n.201 54. 30 l 91.966 593.718 359.8b4 23.017 210.rn 35.758 b5.268 109.751 67...905 40«..1122 24.51', 243.564 'ol.,53 74.03b 12i>.275 73o."61 441.959 2o;.e81 2bbob27 4b.30b 79.9b.. 142.357 l'i5.035 4ttl.245 lb. 9·12 :£8b.816 51.550 61.128 15"t.l<,O 35b.406 44.21b 2.88 6 382.873 4«..114 3.003 1ol2. �27 48 .668 3 .195 443.23& 51.290 3.c52 "t73.148 52.ll9b 4.569 525ob5C> ,,.. 114 �.b48 602.427 60.459 7.035 b82.32l b<,.034 8.735 7"t2.. 522 bl!.257 11.205 eo3. 311 72.l'tll l.l.812 6.831 9.354 1.314 1.&24 11.131 1.988 9 .261 13.293 2 .526 10.231 l 7.bb4 3.20-. 10.533 23.04b 4.755 10.15,j 2b.672 9.52b 9.470 30.bb7 14.404 8.871 37.850 lb.o..o lu.293 48.027 2 :..799 13.517 53. 37., 34. l:Ob lo; icO 293.803 54. ,;55 162. 311 114.'-0.1 47.33t, 633 312.813 5b.89"t 172.838 121.680 50.490 bb8 335.584 b5."t7b 184.746 130.582 53.457 101 .;:>7.197 7u.517 190.913 140.044 5b.138 731 377.3'o9 u.155 208.559 149. 811 57.948 600 419. 5"3 d2.515 23b.2b4 173.439 bl.',78 847 480.372 99.314 273.748 .205.192 67.55b 1.000 5'o"t. 791 ll9.0b8 30b • .263 231.733 73.230 1.300 580.941 132.105 3.25.b43 249.293 7"t.920 l ....30 blb.122 136.458 357. 54tt 278.b93 17.2't'i l.c,00 £i 73.179 o4.b09 3.c,11 4.516 143 1b.787 b"l.5lb 4.083 5.003 185 79.597 b9.975 4.067 5.3o2 193 cs2.0l8 12.021 4.2lb 5.575 20(1 84.111 74.375 4.111 5.920 245 85.b6 5 75.496 3.658 t,.288 223 86 .327 7b.9'o8 2.128 b.470 181 91.05,2 81. 3b9 2.376 7.1"1 lb6 9b.4b5 llb.23"t 2.372 7. 70i 157 100.212 8',.358 2.38:. b.250 221 j< 3.898 0 4.294 0 4.935 630 5.742 .i:.007 1... 20 3.904 a.896 b.203 10.587 10.39b 12.452 15.9!>6 10.5(13 16.145 9. 33.i: u.1111 3,. 4.38b b.935 5.259 35 111 MEMO: FHLB LOANS TO S+L ASSOCIAlIONS 111,iCLIJOED IN •oT�R LOANS• CATEGORY). 9.2119 10.bl!> 1.93b 7.979 15.147 2.1.804 17.645 :,5 l TlJTAL MORlGAGB 1-tOME l"IDklGAl:,f;S 2 MUL Tl-FAl"IILY RESlD. 3 4 CGMMEiH.IAL FARM 5 b 7 <, 10 11 12 13 14 15 lb l7 18 L lABllll J t:S OF: u.s. GOVE;RNMl:NT SAVINGS + LCJAN ASSOCIATIONS RE IT5 PRIVATE: NONFlNANLIAL HCTORS HOUSEHOLDS NONPROHT INSTl1UlION5 NONFlN.ANClAL B USIN�SS f,ARl"IS NONFARM NONCQRPDRA li:. CORPOR ATl: ASSHS OF: t<lUSEHOLOS ST.+LOC. GOVT, GEN . FUNDS lC, u.s. 22 23 24 25 lb ..1 PRIVATE FINAN. INSTlTUllONS CCJMMEckCIAL BANKING SAVINGS INSTITUTJONS S+L ASSOCIATIONS 11 I MUTUAL S.AVJN GS 8ANkS Ck EDIT UNIONS 20 21 (,OVERNME:NT SPONSOREO CkEDIT .AG. Ill l«lRTG.AGt: POOLS :i:8 29 30 31 32 INSURANCE L IFE COMPAN 11:S PRIVATE PENSION fUNOS ST.+LOC. GOVT, kTk. FUl,ii> OTHER INSURANCE COS. 33 31o FINANCE COMPANIES REllS ----------------- --------------HOME: MORTGAGES l 2 3 4 5 0 II ., lu ll 12 13 14 l'. lb 17 lb d ,3 24 i ', ,1 < ', �(., jI 33 -------------------------------- 1 TOTAL LI.ABILlTIE:S t«>USE:HOLOS 2 3 NONFARM NONCORP. BUSINESS NONFIN. LORP�ATE BUSINESS 4 SAVINGS + LOAN ASSOCIATIONS 5 232.919 228.431 l.b09 I . b09 1.210 247.205 241.700 1.624 l.b2.lo 2.257 2bolt.563 258.358 l.87cl 1 .878 2.41o9 282.b96 276.555 1.843 1.843 2.455 297.698 291.260 l.b&O 1.680 3.078 328 .260 318.387 ,.422 2.422 5.029 371.991 359.8b4 2.959 2.959 c.209 4lb.883 40b.822 2.b9l 2.t.97 4.6b7 449.937 4'tl.959 ,.367 2.3bl 3.244 492.598 .._81.245 3.083 3.083 5. lfl7 l 2 3 TOT.AL ASSETS t«>USEHOLDS STATE + LOCAL GOVERNMENTS 2:32.919 11.089 1.14"- 247-205 19.l 3b 1.741 264.563 21.325 1.751 282.b')b 23.555 l.&09 297.b98 23.3-ltO 1.884 328.2b0 26.298 1.978 371.991 29.560 2.092 4lb.883 32.726 2.blo2 't49.93l 35.039 3.385 'o9.c,. 598 38. 277 .i..154 b 1 8 4.537 460 32.803 5.253 5.513 953 35.275 b.155 7.151 1.377 38.765 6.3ol 10.91'1 1.813 lol.35b 6 • .234 15.53d 3.028 .i.2.329 5.615 17.615 7.306 48.020 4.991 19-464 u .568 57.004 4.211 22.939 llo.7b0 t.7.998 5.0lb 28.401 20.112 74.758 6.926 �0.950 30.029 11.Hb 10 11 12 133.t.75 97.398 35.°"4 633 1 "l.5b0 103.202 37.690 6b8 150.275 110.075 39.493 707 159.574 117.141 41.102 731 167.49:t U"t.50 42.149 800 185.877 141.595 43.lo35 8"1 213.47b lt.6.247 '-6-229 1.000 237.&bl 187.750 252.19b 201.553 1.300 1.'t30 2lb. 335 224.710 50.025 l.bOO l� 14 l'> lb 31o.290 30.233 1.730 2-327 34.116 29.7b3 1.793 2.560 33.528 29.030 1.11.i. 2.724 32.228 27.649 1.829 2.750 31.405 2b.762 1.781 2.862 29.083 2-lt.645 1 • .i.88 2.950 26.390 22.315 lo07b 2.999 24.438 20 • .i.20 84b 3.166 23.082 19.02b 819 3.237 21.55b ll.b02 679 3.275 l7 HI 19 20 3.330 0 3.658 0 4.201 35 4.8b8 5.843 b05 5.683 785 6.23b 1.210 7.428 1.880 b.240 1.708 5.189 1. 3b6 21 22 b 7 8 9 10 11 12 13 14 15 16 17 U.S. GOVERNMENl SPONS. CREDIT AGENCIES K>RTGAGE POOLS COMMERCIAL BANKING SAVINGS INSTITUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS CREDIT UNIONS 19 20 JNSUIUNCE LIFE I NSURANCE COMPANIES PRlVAH PENSlOl,i FUNDS ST.+LOC. GOVT. RTR. FUNDS 21 22 FINANCE COMPANIES REITS 18 't.38b MONEY AMOUNTS A RE IN MILLIONS Of OOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 213 't8.8ll 49.213 .. 5 9 DECEPflER 1976 MORTGAGES - II MORTGAGES MORTGAG!: MARKETS - CONTINUED - II 149 YEAR-END OUTSTANDINGS, 1946-55 YEAR-ENO OUTSTANOINGS, 1946-55 -------------------------------------------------------------------------------------------------------------· ---------1946 1950 1951 1947 1952 1954 1955 1948 1953 1949 ------------------------------------------------·--------MULTI-FAMILY RESIDENTIAL MORTGAGES ----------------------------------------------------------------------- " 5.270 3.016 2.254 0 0 5.787 3.275 2.512 0 0 6.662 3. 713 2.9't9 0 C 7.829 4.297 3.532 0 0 9.301 5.034 4.267 0 0 10.642 5.705 4.937 0 0 ll.481 6.128 5.353 0 0 12.121 6.451 5.670 0 0 l2.b65 6.726 5.93'1 0 0 13.490 7.142 6.348 0 0 TOTAL LIABILITIES NONFARM NONCORP. BUSI NESS NONFIN. CORPORAlE BUSINESS REITS u.s. GOVERNME�T 6 7 5.270 1.505 0 5.787 l .712 0 6.662 1. 961 0 7.829 2.287 0 9.301 2.605 0 10.6 42 2.865 0 ll.'t81 3.175 0 12.121 3 ...03 0 12 .665 3.688 0 13. 490 't.055 TOlAL ASSETS HOUSEHOLDS STAlE + LOCAL GOVERNMENTS 9 6 0 0 570 6 0 0 630 8 0 0 670 28 0 0 720 40 0 950 60 0 0 995 74 0 0 938 184 0 0 900 268 0 0 852 383 0 0 813 1.681 126 l .5'55 1.8 14 160 l .654 2.118 195 l.923 2.416 211 2.205 2.971 229 2.742 3.569 3 05 3.264 3.8'.:13 321 3.512 4.071 414 3 .657 4.202 478 3.724 ,._ 3"'9 614 3. 730 SAVINGS INSlITUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINC.S SANKS 14 15 1.470 1 1 1. 573 13 9 1.846 19 12 2.296 25 18 2.bl 5 31 3 .031 37 36 3.288 45 48 3.363 57 64 3.404 69 83 3. 552 90 103 LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+Loe. GGVT, RTR. FUNDS 16 17 18 FINANCE COMPANIES REITS 19 .1.0 1 2 3 4 5 8 10 11 12 13 14 15 16 17 18 0 u- 0 u.s. GOVERNMENT SPONS. CREOll AGENCIES MORTGA<.E POOLS COMMEkCIAL SANKS ------------------------------------------------------------------------------------------------------------------24 0 19 20 30 0 2e 0 39 0 63 0 49 0 80 0 79 0 99 0 150 0 .. 3 5 t; 7 b 9 10 11 12 13 COMMERCIAL MORTGAGES 11.846 1.818 1.003 9.025 0 12.467 2.353 1.011 9.103 0 13.466 2.909 1.056 9.50l 0 14.370 3.404 1.097 9.869 0 15.535 3 .Qlb 1.162 10.457 0 17.280 4.569 1.211 11.440 0 19.328 5.198 1....13 12.717 0 TOTAL Ll AS I LITIES HOUSEHOLDS NONFARM NONCORP. BUSINESS NONFIN. CORPORAlE BUSINESS REITS 11.166 4.757 0 1 1.957 11.846 0 5 2.060 12.467 4.8Bl 0 9 2.264 13 .466 4.991 0 9 2.458 14.370 5.171 0 2.621 15.535 5.462 0 20 2.8'-3 l 7.280 6.016 0 9 3.263 19.328 b. 589 0 30 3.819 TOTAL ASSETS HOUSEHOLDS STATE + LOCAL GOVERNMENTS u.s. GOVERNMENT COMMERCIAL �ANKING 9 10 10.06't 93 4 913 8.211 0 ll. 166 1. 334 983 5 8.755 680 1308 7.267 0 6 8.755 1 2 3 4 8.849 0 l 3 ... 5 8 9 10 3.935 0 9 1.387 10.064 4.452 0 1 1.690 ll 12 13 1.002 175 827 1.112 221 891 1.284 269 1.015 1.387 288 1.099 1.476 312 1.164 1.689 415 1.274 1.874 430 l."'94 2 .105 549 1.556 2.366 626 l .740 2.625 794 1.631 SAVINGS INSTITUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS SANKS Lt 13 14 2.345 1 3 61 2.110 13 3 69 3.054 18 3.379 24 1 93 3.6112 28 9 104 4.146 32 12 118 4. 50 l 39 15 123 4.878 50 20 139 5.371 62 26 143 5.959 83 33 152 LIFE INSLll<ANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS OTHER INSURANCE COMPANIES 15 lb 17 ---------------------------------------------------------- 24 0 38 0 FINANCE COMPANIES REITS 16 19 7 15 16 17 18 19 6 0 5 76 8 8 0 0 4.8 81 10 0 14 0 11 0 9 17 0 18 0 FARM MORTGAGES ----------------------------------------------------------- ----- 4.897 5.064 5.288 5.579 6.071 6.651 7.236 7.737 8.246 9.022 TOTAL LIABILITIES 2 3 4.897 4 2.054 0 5.064 2.121 0 5.288 2.242 5.579 2.318 10 6.071 2.469 16 6.65 l 2.733 23 7.236 2.890 49 7.737 3.045 72 8.246 3.140 97 9.022 3.371 ll8 TOTAL ASSETS HOUSEHOLDS STATE + LOCAL GOVERNMENTS 5 6 7 357 959 0 307 887 0 266 872 253 905 1 260 952 32 259 l.010 43 330 1.091 53 352 1.180 60 378 1.281 78 280 1...97 116 u.s. GOVERNMENl 4 8 9 10 11 704 26 195 1 824 874 34 990 2 909 37 1.138 2 968 1.327 3 1.004 47 1.527 5 1.058 53 l.705 1 1.002 53 1.886 1 1.159 56 2.048 9 1.297 58 2.273 12 COMMERCIAL BANKS MUTUAL SAVINGS SANKS LIFE INSURANCE COMPANIES ST.+LDC. GOVl, RTR. FUNDS 28 895 2 4 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 44 SPONSORED CREDIT AGENCIES MORTGAGE POOLS b 7 ti ll l't ' 3 4 5 6 1 b 'I 10 11 - DECEMBER 197b MORlGAGES II 150 --------------------- YEA R-END OUT STANDINGS, l95b-t5 MUklC,AGtS MORTGAGE MARKETS COlltlINUtD YEAR-END OUTSlANI.JJNC,S, l'15b-1, 5 -----------------------------------------------------------------------------------195b 1957 19oO 195e 1%1 l9o2 l.,t>,. l ',5':I 19o3 l<,o:; ------------------------------------------------------------------------------------------MULTI-FAMILY kESIDENTlAL i'IORTGAGE:S ----------------------------------------------------------------------11 3 TOTAL Ll ABIL I THS M'.JNFARM NONCORP. i,USINESS NONFIN. C.ORPORATE BUSINESS REITS 5 u.s. GOVERNMENT .. 14. Ob4 7. 432 6. o3.: 0 0 14.bll 7,6b0 6.855 0 96 lb.5b5 8,422 7,t>ll 0 532 18.700 <,.H5 cl, 518 0 b't7 20.786 l0.t45 9,289 0 1,252 23.b22 11.78 5 10. 3o3 0 l...74 .i:t,.132 13,585 11,413 G l.734 30.0,: .. 15.825 12.403 0 1,79b 34.5"/i, 19.095 l3.t.-57 0 1.82b .;)t.213 , 1. e ..o 14,s,a 0 1, S't:> 6 TOTAL ASSETS HOUHHOLDS 8 STATE ♦ LOCAL C,OVERNMENTS 14,064 4,443 0 14.611 4.915 0 16.565 5.9b", b lb,700 t,.965 12 20,7b6 7,867 26 2 3. 622 cl. 765 91 .lt>.732 9,072 209 30. 02.4 9,03b 394 3't,57B <;,001 t,05 3t,d3 b,500 /b:> b 426 0 0 7'><; 469 0 0 ',O't 0 0 1.120 1,024 0 1,353 l.055 12 1 I, 566 1-042 0 l,12.0 1,107 2 0 1.1&1 1,13d 7b2 603 0 0 963 1,713 '- 1.0.. u 10 4 l.'>ch> lu 11 <, u.s. GOVERNMlNT ... 0 5 6 10 11 12 SPONS, C REDIT AG ENC HS MORTGAGE POOLS COMMERCl AL BANKl, 13 SAVINGS INSTITUTIONS SAVINGS + LOAN A SSNS. MUTUAL SAVINGS bANK5 ....441 757 3.b84 lo,493 889 :,,t,04 ...891 l,�.H 3,659 '>,t.7L. 1,652 3,t>l.O 5.<;14 2,18� 3. 731 t.,966 3,05.1 3,914 8,693 4.3 ..2 4.351 10,8GO 5.824 4.976 12., 7b3 l,Oo'o 5,b99 14.40'> 8.1"2 t>,283 14 15 18 17 LIFE INSURAi.CE COMPANIES PRIVATE PENS ION FUNDS ST,+LOL, GOVT, RTR, FUNOS 3,bl5 Lt.4 126 3.551 158 171 3.547 202 233 3,6b6 l.t>8 ::113 3,l!b5 3S� 458 .,,..c50 ..2 7 003 4,7't8 5lb 7lb 5,343 614 838 7,230 781 99·, 8,811 956 1.a2 le. 17 18 19 2.G FlNAi.CE COMPANIES �EITS 130 9£ 130 lbO l:H 22" 275 3o5 427 494 l '> 21,749 5,901 l.S85 l4,2o� 0 24,187 6,685 1.7 50 15.752 0 27.135 7.503 l,91>3 17.t,69 33,383 9,184 L,420 21,779 0 3 7.366 10.084 2. 728 24.554 0 42.144 11,035 3,111 27,998 0 .. 7.,:,:9 12.012 3.522 3l,b95 0 ,1.054 B,053 3.800 3'o,201 0 55.4t,<; 14,228 4,124 37.117 0 1 2 0 30.207 (:.317 2. l!!'i 19-701 0 21.74<, 7.2.t>Z 0 4,379 21o. 18 7 8.022 0 56 4,tlt.3 27,135 8.885 0 54 5,461 30.207 'i.112.6 0 47 b.237 33,3a3 10,708 0 45 6,796 37.366 11,827 G Sb 7.470 42.144 ll .97b 0 o2 8.972 47.229 11,790 0 75 10.oll 51,054 10,9bl 0 101 12,405 ,5.4b9 10.093 0 127 14.377 10 l< l.> 14 15 }t, " l TOTAL LIAIIILITil:S HOUSEHOLDS NONFARM NONC.ORP, BUSINESS NONFIN, LOR .. ORATl BUSIN�SS Rl:ITS 3 4 5 TOTAL ASSETS HOUSEHOLDS STA TE ♦ LDC.AL GOVEll.NMENlS 9 u. s. GOVERNMlNT (OMMERCIAL &ANKING 10 b 7 8 L'; ll 0 0 0 0 0 0 0 0 0 20 --------------------------------------------------------------------------------------------C.OMMfRCIAL MORTGAGES -----------------------------------------------·-------0 :n lI 12 SAVINGS INSTITUTIONS SAVINGS ♦ LOAN ASSNS. MUTUAL SAVINGS BAi.KS 2.952 968 l.9&'t 3.224 l,122 2.102 3.780 1.505 2,27, 4,405 1,954 2.lo51 5.076 2. 501 2.575 b.140 3.387 2,753 7.755 4.b67 3,088 9,5lb 6.062 , .... ,... 11,113 7,097 4,vlb 12,428 7.959 't,4t,9 lit 15 lb 17 LIFE INSURAi.CE COHPAi.1 ES PRIVATE PENSION FUNUS ST. +toe. GOVT' RTR. FUNOS OTHER li.SURANC.E C.OMPANIES o. 763 117 'o2 161 7.660 1'>4 59 161 8.474 196 83 160 'J-121 l.t>2 113 140 10,045 346 108 149 11.001 4lb 22 .. 155 12.380 505 .:72 134 l't.078 bOO 322 121 l!'>,087 747 373 12c:.. lb,7'10 913 454 142 18 19 FINANCE COMPANIE!. REITS 13 1, ..'> .) b 1 t> <; 11 14 15 lt> 17 --------------------------------------------------------------------------------------------------36 0 28 0 42 0 50 0 71 0 50 0 88 0 116 0 127 0 145 0 le 1� FARM MCJRTGAGES TOTAL LIAl:llllTIES TOTAL ASSETS 3 HOUSEHOLDS 4 STATE ♦ LOCAL GOVERNMENTS £ 9,835 10.397 11,109 12.101 12,838 13,917 15,193 16,822 18,942 21-18 7 9.835 3,632 127 10,397 3. 799 134 11.109 4.076 14C> 12.101 4.433 156 12,838 4.682 l b8 13.917 4.949 194 15-193 5.339 235 lb.822 5-875 222 18.942 6.630 223 2 l. 187 7.284 223 448 2.360 204 496 2,564 202 638 2.828 28b 625 3.052 405 b63 3. 309 509 704 3. 718 581 786 4.281 711 1.580 l,b48 54 2,982 42 1.747 51 3.170 5't 2.022 51 3.400 b4 2-327 52 3.192 73 2. b38 53 4.304 91 2.911 5.l 4.8:£3 116 u. s. GOVERNMENT 1 SPONSORED CREDIT AGENCIES MORTGAGE POOLS 291> 1.741 149 349 1.917 ·173 397 2.087 190 8 9 10 11 COMMERCIAL BANKS MUTUAL SAVINGS BANKS LIFE INSURAN(.E COMPAi.lES ST. +Loe. G OVT' RTR. FUNDS l.336 5c, 2.481 14 l.367 1.471 53 2.667 22 5 b MONEY AMOUNTS A RE IN MI LLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 51 2,584 17 55 2,827 30 4 b 7 ., 8 10 11 DECEMBER 1976 1-0RTGAGES - II MORTGAGES - ·;1 151 MORTGAGE MARKETS - CONTINUED YEAR-ENO OUTSTANDINGS, 1966-75 YEAR-ENO OUTSTANOINGS, 1966-75 ---------------------------------1966 1967 1968 1970 1969 1971 1973 1974 1975 -------------------------MULTI-FAMILY RESIDENTIAL MORTGAGES 1 2 3 4 5 41.275 24.245 15.247 0 1.783 44.815 27.045 16.050 0 1. 720 48.251 29.449 17.082 66 1. 654 53 .176 32.910 18.551 142 1.573 60.088 37.772 20.6?8 180 l.498 69.738 44.545 23.543 224 1.426 82.472 53.474 27.275 383 1.340 92.877 60.759 30.361 488 1.269 99.851 65.653 3 2.492 544 1.162 100.427 65.004 33.684 665 1.074 TOTAL LIABILITIES NONFARM NONCORP. BUSINESS NONFIN. CORPORATE BUSINESS REJTS U.S. GOVERNMENT .. 6 7 8 41 .275 8.420 909 44.f.ll 5 8.385 1.041 48.251 8.330 1. 202 53 .176 7.905 1.588 60.088 7.94!'> 2.160 69.738 6.849 2.876 82 ...72 7.418 3.854 92.877 6.380 4.771 99.851 6.290 6.123 lOC.427 5.826 6.871 lOTAL ASSETS HOUSEHOLDS STATE + LOCAL bOVERNMENTS 6 7 cs 9 10 11 12 1.342 10 4 2.073 1.557 9 9 2.367 1.900 16 18 2.668 2.581 31 35 3.217 3.oe1 321 60 3.311 3.486 1.140 114 3.984 3. 768 2.129 392 5.778 4.066 3.963 616 6.932 4.771 6.169 785 7.619 5.905 6.410 1.263 5.921 13 14 15 15.203 8.605 6.598 16.428 9.477 6.951 17.799 10.544 7.255 19.326 11.746 7.580 21.565 13.777 7.788 26.861 17.275 9.586 31. 593 20.683 10.910 34.867 22.524 12.343 36.606 23.683 12.923 16 17 18 10.289 1.110 1.478 11.111 1.165 1.646 12. 754 1.161 1.764 14.235 1.215 1.875 15.999 1.214 l .957 16.747 901 2.243 17.347 556 2.192 18.451 459 2.120 19 20 437 0 491 0 564 75 675 493 1.200 1.269 2.359 2.178 3.226 4.219 '3 5 U.S. GOVERNMENT SPONS. CREDIT AGENCIES MORTGAGE POOLS COMMERCIAL BANKS 9 10 11 12 39.209 25.417 13.792 SAVINGS INSllTUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS 13 l't 15 19.625 489 2.201 19.708 538 2.359 LIFE INSURANCE COMPANIES PRIVAlE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS 16 17 3.652 6.600 2.402 6.765 1.625 4. 792 FINANCE COMPANIES REITS 19 20 lB COMMERCIAL MORTGAGES 1 2 3 4 5 61.160 15.485 4.568 41.107 0 65.836 16.679 4.916 44.241 0 72.536 17.814 5.459 49.129 134 78.371 19.090 5.899 53.094 288 85.536 20.348 6.482 58.340 366 95.451 21.658 7.33 4 66.003 456 112 .206 23.077 8.835 79. 517 777 131.308 24.519 10.580 95.217 992 146.428 25.881 11.944 107.496 1.105 158. 736 26.972 13.041 117.373 1.350 TOTAL LIABILITIES HOUSEHOLDS NONFARM NONCORP . BUSINESS NONFIN. CORPORATE BUSINESS REIlS <. 3 4 5 6 7 8 9 10 61.160 10.456 0 140 16.366 65.836 10.422 0 196 17.Q31 72. 536 9. 898 0 283 20. 505 78.371 10.056 0 365 22.113 85.536 11.538 187 439 23.284 95.451 9.704 413 539 26.306 112.206 10.807 664 320 31.751 131.308 9.941 857 218 38.696 146.426 10.513 1.198 156 43.679 158.736 10. 501 1.242 190 46. 938 TOTAL ASSETS HOUSEHOLDS STATE + LOCAL GOVERNMENTS U.S. GOVERNMENT COMMERCIAL BANKING 6 7 8 9 10 11 12 13 13.440 8.399 5.041 14.733 9.001 5.73 2 16.555 9.963 6.592 17.899 10.557 7.342 19.384 11.491 7.893 23.476 14.569 8.907 28.617 18.262 10.355 33 .471 21.459 12.012 36.779 24.057 12.722 41.939 28. 566 13. 373 SAVINGS INSTITUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS 11 12 13 14 15 16 17 18.847 1.011 566 143 20.467 1.125 632 185 22. 388 1. 132 692 193 24.370 1.112 696 200 25.96 5 1.176 911 245 28.503 1.2 69 924 223 31.608 1.096 1.010 181 36.496 1.071 1.544 166 41.256 1.064 2.013 157 45.288 1. 166 2-313 221 LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUNDS OTHER INSURANCE C OMPANIES 14 1 !, 16 17 FINANCE COMPANIES REITS 18 1 c, 18 19 ----------------------------------------------------------------------------------------------------131 0 145 0 170 720 199 1.301 377 2.030 854 3.240 1.125 4.967 1.372 7.476 1.941 7.672 1.918 7.020 FARM MORTGAGES 23.052 25.017 27.177 28.9Q5 29.826 32.207 35.758 41.253 46 .306 51. 550 TOTAL LIABILITIES 2 3 4 23.052 7 .651 230 25.017 8.171 221 27.177 9.115 242 28.995 9.774 255 29.826 10.073 338 32.207 11.263 381 35. 758 12.674 425 41.253 14.987 465 46.306 16.415 499 51.550 18.144 545 TOTAL ASSETS HOUSEHOLDS STATE + LOCAL GOVERNMENTS ... 5 6 7 812 4.958 850 818 5.609 1.026 923 6.126 1.131 924 6.714 1. 356 773 7.187 1.667 513 7.917 .2.106 391 9.094 2.444 376 10.948 2.664 350 13.457 2.902 496 16.014 2.646 U.S. GOVERNMENT SPONSORED CREDIT AGENCIES MORTGAGE POOLS 5 6 7 8 9 10 11 3.113 53 5.240 145 3.321 117 5.569 165 3.538 117 5.803 182 3.831 114 5.773 254 3.831 118 5.649 190 4.205 50 5.601 171 4.781 62 5.678 209 5.442 64 5.996 311 6.049 62 6.327 245 6.383 59 6. 760 303 COMMERCl AL BANKS MUTUAL SAVINGS BANKS LIFE INS URANCE COMPANIES ST.+LOC. GOVT, RTR. FUNDS 8 9 10 11 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 3 DECEMBER 197b tilNSUMER CRlDIT ANO dAhK LUANS N.�.C. 152 CONSUMER CREDll ANO BANK LOANS NOl tL�EWHER� CLASSlflED YiAK-ENO UUTS14NOJN(S, 1946-55 YEAR-END UUTSTANOINGS, 1946-55 194t, 1<;41 l94ti 1950 1951 1952 ----------------------------------------------------------------------------------CO... SUMb<. CR:011 1 lOTAL LIABILITIES (HHI 2 INSTALMENT CRlDll NONINSTALMENT CRfDll 3 6.3.84 4.11.1 4. 21£ 11.596 bob95 4.903 14 .449 8.998 5 ...51 11. 3o., 11.5-.o :>.774 21.471 14.703 o.7b8 ,2.112 15. 29"t 1...18 2.1.5.1.0 19.403 a.111 � l. :193 ,U.005 e.388 3l.46"t 23.508 6 .l:i9o 38.630 28.'10c, ..... 24 t:1 • .>8-.. 4.172 3,C,1 ,4o l.5b7 1 .....4<; 8.'79tl 7o5 1.oc;3 3.52<; 21 30 334 3.200 17. �b"t 11.59(1 980 1.341 4.43<; "t3 �2 436 4.305 21.471 14. 703 1 .203 l.o95 ;. 796 bl 41 590 5.315 .-2.112 15.294 1.23b l .-,3 .. ,. 771 7.., 43 b34 5.bO, 27.520 19 .403 l.490 2.332 7.524 117 <l;t, 837 7.057 31.393 B.005 1.585 2.457 8.998 lb2 55 1.1, .. f,.t,2'o 32.464 2:;.568 1.53,. 2.5et> b.7'10 188 61 l. 34Z 9.ub3 38.83(, 28.9uo l. 55b ..... so lu.oOl ab b:> l. b16 11.E38 10 11 1.1 5.451 1. :>87 2.499 1.201 95 9 ,.114 1.691 l.6�0 1. 33.., 100 13 o.lb8 l. 9-.3 3.089 l. 570 141 7.41 � 2 .15 5 3.40t, l .684 154 14 1,.111 2 .302 3.771 l.b'o4 180 20 t.31,1, ,.H6 3.901 1.r,9<; 23 !!.bSo '."t74 4.0t'> 2.09b 213 ._4 ';". q� .. 2. cl.'t .,.;io<l 2.t�5 LOC 2<; 13 14 1; lb 17 lb 66 • ..!95 b9dl9 4 TOTAL ASSETS INSTALMi:Nl Ci:;.t:DIT 5 NONFARM NUNCORP. BUSJNES� b 1 NONFJN. CORPORAT E BUSINESS ff COMMERCIAL BANKINb 9 SAVINGS + LOAN ASSNS. 10 MUTUAL SAVINGS bANKS 11 CREDIT UNIONS FINANCE COMPANllS ll 20 151 1 ... 94 11.598 b.6<;5 !:>13 8t>7 2 .t,2 5 8 28 2 j5 2.359 NONINSTALMENT LRtDIT NuNF ARM NONCORP. BUSINESS NONFIN. CORPORATE BUSINESS COMMERCIAL BANKING SAVINGS + LOAN ASSNS. MUlUAL SAVINGS �AN�S ....·u 1.23, 1. <;15 1. OOc 5:; 4 4.903 l.'ol8 2.1c;1 1.203 lb 7 13 14 15 lo 17 18 � 19 1119 .., 6 1 b ., BA�K LOA�S NOT ELSEwHEKE CLASSIFltD TOTAL LOANS Al COMME�tlAL BANKS, F/F BASlS 2 3 4 5 b 7 9 10 11 12 - LOANS tLSEWHEKE CLASSlFlfD: MORTGt.GES C ONSUMER CkEDll SECURITY tREDIT OPEN-MARKET Pt.PER HYPOTHECATED D�POSJTS bANK L OANS NEC Al COML. 8KS. + BANK LOANS NlC Al OTH�k BANKING SUBSEtTORS: DOMESTIC AFFILlATES F OREIGN BANKING AGENCIES BANKING SECTCR TOTAL BANK L OANS NEC LOANS BY F . R. BANKS TOTAL BANK LuANS NEC 13 lOTAL LIABILI TI ES NON FINANCIAL SECTORS l'o HOUSEHOL DS 15 FARM BUSINESS lb NONFARM NGNCOR�. BUSINESS 17 CORPORATE bUSINtSS 18 REST OF THE. WORLD 19 FINANCIAL SA�INGS FINANCE RcllS �OREJGN 31.019 .n.111, 41.883 42..412 l.,'10 2.57, 3.1!>7 40' bb 17. 51!1 <,,.403 3.tl28 2.052 493 140 21.956 10.813 4.790 2.nc. "t8l 1 c;, 23.297 ll.5S2 ,.113 ,.c,39 499 B7 21.112 13.549 7.314 2.8bl b8b 298 27.683 14.!>90 7 .455 2.5bl 1.02 S 389 3� .2a 5 15.HO 9.368 3.lb3 1.27b 3o4 34.516 10.09', 10.1,97 3.5t,3 l.lb5 ..32 33. 539 16.421 1 0.8 Y2 4... 5.. 1. Li:7 4b1 33.95& <.l-.cU 13.236 :o.037 771! G 175 1 7.7b2 0 2�2 22.188 G l.94 23.591 0 22.10o G 4o4 26.147 G 598 3�.883 0 0119 35.205 0 b�8 '.14.177 0 070 34.b26 0 530 4,. 1bl 140 l7.<,,10 52 2.l.240 3 28. 150 3..: .888 34 35.239 17 34.1<;4 17.910 l7.t47 1.659 1.292 il87 12.74l bb1 .a.240 21.2t!Y 1.757 1.593 l.2'o3 15.7t,9 9 27 2.3.782 22.40b 2.llt> 1.940 1.004 lb.�19 1.021 22.1111 2C>.42Y ;;; .221 i.o .. ,, 114 14.5).9 &'.'.'>O 28.150 2:;.434 2.111 2.524 1 • .t03 1a. 302 b 3.. 32. 688 3(1.40'1 3.048 3.uo 1.447 22.lbl t,33 35.239 32 .083 3.3b1 3.293 1.655 22.985 7113 :!14. 194 3l. 133 3.593 ,.712 l.1l:> 22 ... 20 077 34.762 31.492 4.005 ..:.Bbl ].774 21.81 'i l.03.i: '-2.• 1b't 37.133 ... n-. 3. 434 2. 3bb 25.086 1.390 063 Ile, !:>43 0 951 llb 82b 0 9 1.37b 90 1.277 0 9 1. 7'-9 7!> 1.600 0 14 l. 716 2.47<; 95 ... 365 0 1 c; 3.15b l!Y 3.050 0 17 3.0ol 82 2.9b2 0 17 3.2.70 95 3.155 0 20 !,.031 1-.1 :,.4o4 0 �o SE CTORS + LOAN ASSNS. COMPANIES BANKlNb AGENCIES MONEY AMO�NTS ARE IN MILLIONS Of DuLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis �..,,,. 91 2.b0b 0 19 ., I> ll> 11 12 DECEMBER 1976 CONSU'1ER CREDIT AND BANK LOANS N.E.C. CONSUMER CREDIT AND BANK LOANS N.E.C. 153 CONSUMER CREDIT AND BANK LOANS NOT ELSEWHERE CLASSIFIED ------------------------------- ----------- YEAR-END O UTSTANDINGS, 1956-t,5 1956 1957 1958 1959 1960 ----------------------------- 1961 YEAR-ENO OUTSTAN�INGS, 1956-05 1962 1963 1964 1965 CONSUMER CREDIT 42.334 31.720 10.614 44.•n1 33. 868 11,103 45,129 33.642 11,487 51.544 39,247 12.297 5b,14l 42.968 13,173 57,982 43.891 14,091 63,821 4�.720 15,101 71.739 ,;5,48b 16.253 80.268 62,b92 17.576 89.883 70,!!93 18.990 TOTAL LlABILilIES IHHI INSTALMENT CREDil NONINSTALMENl CREDil 4 5 6 7 8 9 10 11 12 42.334 31.720 1.668 3.075 11.777 259 84 2.014 12.843 44,971 33,!'68 1,681 2,987 12,843 319 88 2.429 13.521 45.129 33,642 1. 715 3•268 12.780 391 105 2,b68 12. 715 51.544 39,247 l .852 3.e25 15,227 449 127 3,280 llt.487 56,141 't2,968 1.76 0 3,855 16.&72 513 130 3,923 lb.115 57,982 t,3,891 1.699 3.895 17,008 508 145 4.303 16.3 33 &3,821 48.720 1,824 4.428 19.005 483 166 4,875 17.939 71,739 55.466 1.985 5.074 22,023 49/t 219 5.521:> 20.165 80,268 62.692 2.110 5.845 25,094 541 282 6.340 22,lt20 89. 883 70.893 2.380 60 587 28.962 575 390 7,324 21t.67!> TOTAL ASSETS <t INSlALMENT CREDll 5 6 NONFARM NONCORP. BUSINESS NONFIN. CURPORATE BUSINESS 7 COMMERCIAL BANKING SAVINGS + LOAN ASSNS. � MUTUAL SAVINGS BANKS 10 11 CREDIT UNIONS FINANCE COMPANIES 12 13 14 15 16 17 18 10.614 2.840 4.588 2.843 301 42 11,103 3,042 4,765 2,937 317 42 11,487 3.178 4. 7'-8 3,156 360 45 12 .297 3.383 4.849 3.582 426 57 1 3,173 3.637 5,097 3.884 491 64 14,091 3.854 5,167 4,413 577 80 15,101 4.175 5,537 4.690 613 86 16.253 4.441 5.784 5.205 726 97 17.576 4.694 6.083 5.950 742 107 18,990 5,032 6.366 6.690 778 124 � 3 C) ------------- ---------------------------------------------------- NONINSTALMENT CREOil NON�ARM NONCORP. BUSINESS NONFIN, CORPORATE BUSINESS COMMERCIAL BANKING SAVINGS + LOAN ASSNS. MUTUAL SAVIN&S BANKS 13 14 15 lb 17 1� BANK LOANS NOT ELSEWHERE CLASSIFIED 90.830 95,030 99.087 112.667 119.000 126,3 29 139....18 156.500 175.640 201.939 2 3 4 5 6 7 22.510 14.620 4.281 749 553 48 .117 23. 108 15,780 ....221 946 596 50.379 25.251 15 .936 It ,bbl 1,469 b2l 51,149 28.059 18 .809 lt,868 2.067 668 58.196 28.712 20.556 5.117 1.63b 742 62.237 30,321 21.421 6.190 2,388 768 65.241 34.287 ?3.695 7.300 2.248 783 11.105 39 .183 27.228 7,900 2,398 837 78.954 43,675 31.044 8.384 2.991 956 88,590 lt9.301 35.652 8.489 2.553 1.078 104.666 e 9 10 0 574 48 .691 0 447 50.826 0 506 51•b55 0 586 58.782 0 701 62.938 0 1,069 &6.31 C 0 1.047 72.152 0 1.121 80.081 0 1.185 89.175 0 l.296 106.162 11 12 26 48•717 5 50,831 18 51.673 5 58•787 8 62.946 15 66.325 1 72.153 32 80,113 30 69 .805 41 106.203 13 14 15 16 17 18 19 48.717 43.582 4.612 3.375 3.009 30.835 1.751 50. 83 l 45,680 4.bOO 3.75'1 3.123 32.094 2 .104 'H .673 lt7.221 5. 358 4. 172 3.293 31.768 2.630 58.787 53.302 6.lt30 4,866 3.629 35.524 2 .853 6 2.946 56.814 6.986 5.062 3.971 37,801 2.994 66,325 59.6 56 7.831 5,305 4.15'38.676 3.690 72.153 64. 378 8.102 6.087 "· 535 41. 540 4.11 .. 80.113 70.656 8.809 6.688 5.192 45.242 4.725 &9.805 79.764 10.340 6.959 5.665 50.124 6.676 106. 203 93.834 11,715 7.667 6.623 60.651 7.178 20 21 22 23 24 5.135 122 4.988 0 25 5.151 116 4.997 0 38 lt.452 147 4.259 0 46 5....85 253 5.188 0 44 6.132 218 5,899 0 15 6.669 19t 6,447 C 26 7. 775 154 7.610 0 11 9.457 24/t 9.173 0 40 10.041 285 9.667 0 89 12. 369 lt59 11.831 0 79 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL LOANS AT Caf'MERCIAL BANKS, F/F bASIS - LOANS ELSEWHERE CLASSIFIED: MORTGAGES CONSUMER CREDIT SECURITY CREDIT OPEN-MARKET PAPEK HYPOTHECAlED DE POSITS BANK LCJANS NEC AT COML. BKS, + BANK LOANS NEC AT OlHER BANKING SUBSECTORS: DOMESTIC AFFILIAlES FOREIGN BANKING AGENCIES BANKING SECTOR TOTAL BANK LOAN!, NEC + LOANS BY F.R. BANKS TOTAL BANK LOANS NEC TOTAL LIABILlllfS NONFINANCIAL SECTOKS HOUSEHOLDS FARM BUSINESS NONFARM N�NCORP . BUSINESS CORPORATE bUSINESS REST OF THE WORLD FINANCIAL SAVl�S FINANCE RE ITS FOREIGN SECTORS + LOAN ASSNS, COMPANIES BANKING AGENCIES l 3 4 5 e 7 b � 10 11 12 13 l� 15 lb 17 18 19 20 ll 22 23 l� uECEMBEk l<t7b CCNSUMcR CREDIT ANO BANK luANS N.E.l. 154 �ON�UMtR C�EOll ANG BANK LJANS NOl ELSE��ERE LLASSlflcD CONSUMEk LREDJl ANO BANK LUANS N.E..l. YEAR-END OUlSTANOJNGS, 19bb-75 YEAR-END UUf�lANOINuS, lStb-75 l9bb l9i>7 19&8 1969 1970 1 <;71 197 2 197:; l c;7., 1<;75 LUNSUMt.R CREDIT l TOTAL LIA81L llltS (HHI INSTALMtNT CREDIT 2 3 NONINSTALMENT C�EOll 9c,.23<; 7&.245 1c;.c;94 100.783 7',.4i8 21.3:>5 110.770 87.745 a.c,25 121.14b 9·1.10; 2 ...O'tl li6.997 101. £,',>8 L5.099 Uti.&40 111.195 27.445 157.247 l2b.75n 30.491 l7f:.9b4 l4b.434 3,.530 .lt>8.740 1S5.3ll4 33.35b 1",,7.27t. 11>£0231 35.03', 4 lOTAL ASSElS INSTAL MtNT CREDil NONfARM NONCORP. BUSINtSS NONFIN. CORPORATE bJ51NESS COMMERCIAL bANKING SAVINGS + LOAN ASSNS. MUTUAL SAYINGS BANKS CREDIT UNIONS FINANCE CuMPANIES ',lt,.23',l 7b.2't5 2.3't7 be830 31. 32 0 587 473 8.255 21:>. 't33 100.783 79.428 l.193 6.803 33.31.! 653 5t,O c;.003 .lo.904 110.770 87.745 2.101 o.794 37.931:> 74b 671 10 . 300 .c9.197 121-140 91.105 l.C,tiG 131'.64 0 111.195 l.797 6.790 51.t,Ob l. 305 C,4t; 14.770 33 .9� 1 157.247 l2b.756 1.598 e.981 bCl.870 1... ,9 l.lb9 H,.913 37.800 l H.9b4 14&.434 1.537 7.378 71.871 1.60b 1. 352 19. 009 43.C.t! 1 188.7.,c, l55.3o4 1. 52<; 7.!>3S 75.8'tb l.196 1. 302 :a.110 45.251! l',-/., 1b 102.237 1.450 4.l..'t,l 9lb 77& 1.:.028 .il. 91!1 12b. 9C,7 101.89& 1.942 be95c, 45.398 1.238 8b4 12.98 b 32.!>14 7b.703 l.&4b 1.43& ;; 5. '154 40. lO<; ts c; 10 l1 l .t. 1c;.c;c;4 5.'t.i:l Dobb3 o.C,41:> 797 147 21.H:, 5.aoo 7.088 7.478 828 155 B.025 c,.2b0 7.329 8.374 875 lb7 2't.041 b.150 7.b2il i,.5S.1 88.i 227 ,5.099 7.2Bl b • .?38 8.4b',l 880 231 ;o.4.. 5 1.892 a.121 9.66l 921 ;_49 30 .491 8.&04 9.349 11.2fl 994 307 J2.:;30 <,... 2 l. 9.&53 11.bo5 1.035 355 :H.35b 10. 17& 10.32b t1.487 1.023 35.039 11.J;.1> 10.<;5,; ll.57t. 1.002 13 1.. 15 lb 17 lt! b 7 b 9 10 11 lL 13 1-1, I'> 16 17 18 NONINSTALMcNT (�EDIT NONFARM NONCORP. BUSlNtSS NONflN. COkPORAT E BUSINESS COMMEkCIAL BANKING SAVINGS + LOAN ASSNS. MUTJAL SAYINGS bANKS 1.001 1 • .;31 31b 8AflK LOANS NOl EL SEWMERE CLASSIFIED lOTAL LOANS Al C�MMtRClAL BANKS, F/F BASH i 3 4 5 b l 8 � 10 ll 12 - LOANS EL SEWHERE CLA)SlfliO: MORTGAGES CONSUMER (RcOIT SECUKITY CREOl1 OPEN-MARKtl PAPER HYPOTHtCATED DEPOSITS BANK LOANS NtC Al COML. BKS. + BANK LOANS N EC Al OTHER BANKING S USSECTORS: DOMESTIC AFFILIATES FORtlGN BANKING AGENClE� bANK)N(. Si:ClOR TOTAL BANK LOANS NEC ♦ LOANS BY F.R. BANKS TOTAL BANK L OANS NEC 13 TOTAL LIABILITIES NONFINANClAL SECTORS 14 HOUSEHOL D S 15 FARM BUSINESS 16 NONFARM NONCORP. BUSINtSS 17 CORPORATE BU SH�ESS 18 REST Of THE WORLD 19 20 21 a 23 ,,, FINANCIAL SAVINGS FINANCE REITS FOREIGN SECTORS + LOAN ASSNS. COMPANIES BANl(ING AGENCIES 53.922 3b.266 9.024 3.bll 0 ll4.d4 58.400 40. 1c;o 10.484 5.664 0 121.390 04.959 41>.310 U .8C.4 5 • .di.i: 0 135.800 o9. B 3l 50.'l14 l0.b95 1,.503 0 147.843 H.972 53.ob7 12. 136 8.045 0 152.439 cll.600 6l.2t>t 12.911 8.331 0 lb4.l49 %.3'10 12.101 17.5i'l 8.127 0 1c;1 .010 118.032 8 3.7 3b 14.621 1>.859 0 2:n.223 130.5<,3 87. 33'.:> H.226 ';.079 0 270.094 l .i4. 77u 90. �79 14.2t19 10.117 0 2 57. 340 0 1.698 ll!>.912 0 l.845 123.2 41 0 2.252 138.058 3.946 ::,.51>l 155.35(, 2.95', b.163 lbl.576 2.840 6.72b 173. 115 2.598 7.&32 201.500 4.300 11.571 25 3.094 4.901 l1>.45b 291.451 4.375 15. 271 276.98b 0 115.91:1 0 12.i. 241 0 138.058 0 155.350 0 lbl.57b 0 173.715 0 201.500 0 253.09't 115.c;12 104.578 12.030 8.600 7.950 68.939 7.053 123.241 ll3.918 13.917 9.300 8.544 75.370 6.787 l38.05tl 127.205 lb.409 9.100 'f • b5'5 85.118 b.323 155.350 142.538 17. 307 10. 32(1 11.795 97.o.a b.086 161.576 148.785 18.222 11.15r; 11.110 102.489 5.149 173.715 157.387 19.429 12..500 11.867 lOb.277 7.314 201.500 178.152 21.464 14.314 13.004 119.089 10.201 ;.,_53.094 215.757 22... 35 17.327 l4.0b9 148.824 13.102 2'11... 51 2.. 1.025 17.',43 18 .237 13.094 179.955 17.79b £lb.<;Bb 23b.50b lb.474 20.15b 11.05b lc,7.0.ii 21.Ub l� i ... l� ll.334 532 10.o6tl 0 l34t 9.323 392 8.825 0 lub 10.853 459 9.o37 566 191 12.812 527 10.981 955 3.,., 12.791 ..23 10.906 1. 033 429 lb.32 8 l.085 U.538 1.635 2.070 23.348 l.&a 15.642 2.970 2.914 31.337 2.;.21 20.lb3 b.955 7.998 4't.4.!6 3.l72 111.92 2 11.302 10.870 40.480 3. 16!> 16.24b )0.516 10.533 20 d 22 .c3 2't MONEY AMOUNTS ARE IN MILLIONS OF DOLL ARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis '; 10 11 12 17 Lb I, OECEMeER l 976 OTHER LOANS OTHER LOANS 155 PRIVATE MONEY MARK ET INSTRUMENTS ANO OlHER LOANS YEAR-ENO OUTSTANOINGS, 1946-55 YEAR-ENO O UTSTANOINGS, 1<;46-!>5 -------------------------------------------------------------------------------------------------------------------------- --------------------------------------------------------------------------------1946 1947 1 94 8 1949 1950 19 51 l 952 1953 1954 1955 ------------------------------------------------------------------------------------OPEN-MARKET PAPER, FEDERAL FUNDS + RP'S, AND MONEY MARKET FUND SHARES 571 762 933 l.llO 1.315 1.823 2.241 2.618 2.895 2. 783 TOTAL OUTST ANDING, ALL TYPES 571 762 933 1.110 l.315 l.823 2.241 2.618 2.895 2. 743 OPE,-.-MARKET PAPE:ii. 2 50 l 17 2 329 0 329 0 674 166 508 0 508 0 838 162 676 0 676 0 921 207 714 0 0 l.333 269 1.064 0 1.064 0 l.749 331 1.418 0 1.418 0 2.045 402 l.643 0 l.643 0 2.022 531 1.491 0 l .491 0 2.101 362 1. 739 0 1. 739 0 COMMERC.IAL P.APER NONF INANCIAL CORPORATIONS F INANCIAL BUSINESS COMMERCIAL BANKING FINANCE COMPANIES REITS 3 7 8 344 137 207 0 207 0 9 10 11 12 13 227 191 96 95 36 261 187 94 93 74 259 190 95 95 69 272 214 107 107 58 394 275 138 137 119 490 313 157 156 177 492 335 168 167 157 573 376 1B8 188 197 873 602 301 301 271 642 332 166 166 310 14 15 16 17 571 0 55 58 762 0 146 64 933 0 272 113 l.llO 0 406 144 1 .315 20 340 202 1.823 0 438 293 2.241 1 577 309 2.618 91 874 401 2.895 73 988 584 2. 743 117 1. 100 439 18 19 20 21 22 0 0 404 0 54 0 0 493 0 59 0 0 481 0 67 0 0 499 0 bl 0 0 686 0 67 0 0 l.02 5 0 67 0 0 1.276 0 78 0 0 1.165 0 87 0 0 1.147 0 103 0 28 878 0 117 23 24 25 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 64 0 26 27 28 30 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 40 0 40 0 0 31 0 0 0 0 0 0 0 0 0 0 3 4 5 6 29 714 ----------------- BANKERS ACCEPTANCES NONF lNANC. IAL BUSINESS NONCORPORATE C.ORPORATE REST O F THE WORLD HOLDINGS, BY SECTOR HOUSEHOLDS NONFIN. CORPORATE BUSINESS REST OF lHE WORLD .. 5 b 7 8 ':I 10 11 12 13 14 15 lb 17 SPONSORED CREDIT AGENCIES MONETARY AUTHORITY COMMERCIAL BANKlNb SAVINGS + LOAN ASSOCIAllONS MUTUAL SAVINGS SANKS 19 20 21 LI FE: INSURANCE COMPANIES INVESTMENT COMPANIES MONEY MARKET FUNDS 23 24 25 FEDERAL FUNDS AND SECURITY RP'S ----------------------------- TOTAL NONBANK CRED IT TO BANKS NONFINANCIAL CORPORATIONS SPONSORED CREDIT AGENCIES SAVINGS + LOAN ASSOCIATI ONS MUTUAL SAVINGS BANKS ---------------------- lt1 2l. �b 27 28 2S 30 MONEY MARKET MUTUAL FUND SHARES TOTAL OUTSTANDING ---------------------------------------------------------------------------------------- =HOUSEHOLD ASSET 31 -------------------------------------------------------OTHER LOANS l 2 3 2.616 1.336 1.280 2.379 1.223 1.156 2.489 1. 291 1.198 2.246 1.182 1.064 2.462 1.324 1.138 2.696 1.344 l .3 5 2 3.127 1.293 1.834 3.252 1.292 1.960 3.258 1.037 2.221 3. 762 1.291 2 .471 6 7 8 9 10 11 4 5 7.141 0 391 1.457 493 484 4.316 0 11.519 0 283 1. 785 525 503 8.423 0 12.833 0 243 1. 975 511 573 9. 531 0 13 .670 0 228 2.212 638 lt88 10.044 0 14 .041 0 244 2 .493 616 555 10.133 0 14. 703 0 199 2.768 634 816 10.286 0 15.669 0 213 2.981 655 1.138 10.702 0 17.251 B 445 3.041 953 774 12.030 0 16.839 18 508 3.245 17.207 55 574 3. 592 b84 451 11.785 12 812 1.110 1. 354 1.292 1.782 2.086 2.061 1.939 1.894 2.lt8l 13 14 15 376 135 301 48/t 19/t 432 605 2'-0 509 618 247 lt27 693 279 810 849 326 911 867 330 864 615 372 952 665 362 867 16 18 17 2.ooa 114 1.894 2.050 113 1.937 2.182 125 2.057 2.3Bl 141 2.240 2.571 158 2oltl3 2.765 175 2.590 2.902 189 2. 713 3.122 208 2.914 19 86 140 192 237 298 389 364 432 MONEY AMOUNTS ARE IN M ILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 80b 439 ll.823 D 66 FINANCE c.o. LOANS TO BUSINESS LIAB.-r.:JNCORPORATE BUSINESS NONFIN. CORP. BUSINESS l 2 3 u.s. GOVERNMENT LOANS 4 LIAB.-HOUSEHOLDS 5 b FARM BUSINESS NONFARM NONCORP. BUS. 7 NONFIN. CORP. BUS INESS 6 ST.+LOC. GOVERNMENTS 9 REST OF THE WORLD 10 SPONS. CREDIT AGENCIES 11 12 693 371 1.417 SPONSORED CREDIT AGENCY LOANS LIABILllY OFFARM BUSINESS ( FICB I NONFARM NONC.ORP. BUS. IBCI S+L ASSOCIATIONS (FHLB I 3.357 230 3.127 3.550 260 3.290 POLICY LOANS (HH LIABILllY l ASSET-u.s. GOVERNMENT LIFE INSURANCE cos. lb 17 lb 467 lt85 HYPOTHEC.ATED OEP. (HH LIAS. I ASSET-COMMERC.IAL SANKS 19 13 14 15 DEC[MBER 197b OTHER LOANS uTHtk LOAN� 156 PRII/ATE MLNEY MARKET IN� TRUMENT5 ANi.l OTHER LOANS HAR-ENO OUT�lAlloC:.INC.S, 1'75b-c5 YfA1<-END OUT!,TANIJINGS, 1956-&5 -----------------------------------------------------------------------------------------------------------------------1%1 1962 l9b0 1c;5<,, 1957 l',/5b l'15b --------------------------------------------------------5-------------------------------l9b RP' S, AND MONEY MARI'. tT FUND SHAkE S OPl:N-MARKET PAPER, FEDERAL FUNDS -------------------------------------------------------------------------------------------------lf;c:,3 l'ib't ♦ 3.235 4.071 4.041 4.353 6.527 7.36',I 6.650 9.bbV 12.163 13. 2e s 2 UPE:N-MARKl:T PAPER 3.217 4.053 4.041 4.353 b.52.4 7. 369 6.650 'i.bl>O ll.t,27 ll. t,�;,: 3 (.OMMERC.IAL PAPll'< 4 NONflNANCUL COR PO�AT IONS FI NANCIAL BOSINE SS 5 COMMER Cl AL BANKING b FINANCE COMPANlES 1 .t.,50 378 1.a12 0 1.012 l.841 65{< 2.169 0 2.189 0 3.202 315 2.lle7 0 2.b87 0 4.4',7 1t,9 3. i 26 0 3.1 £& 4.086 l.094 3.592 C ,?.74b 422 2.324 0 2.324 0 3.592 C t,.000 l .1 'tll 4.802 0 4 .e.02 0 e. 790 968 5.bl2 0 5.82, 0 ';6; 490 .l45 £45 47• 1.30? bl'1 310 309 bb8 1.1 <,,4 58, .l91 £',/l 612 1.151 5'>3 t.97 ,96 2.o;n 834 411 417 1. l'>3 <.683 695 448 447 1.7!,Fo 2 .t,50 1396 449 '-49 1.152 2.890 c-65 333 332 3.211 c;3 l. ,55 b71 4.053 235 1.35b 954 4.041 4.3:., 6.524 1.102 ll43 810 7'>1 2. 552 I. :C:91 7.36', 16 ,.030 l .360 0 t.9 92<; 0 122 0 66 1.200 0 123 0 49 1.14<; 0 170 0 75 2.347 0 174 0 74 1.976 0 222 C, 0 7c 0 0 113 0 17 31 0 111:1 b.i 294 <;5 0 16 0 lll 0 0 18 0 18 0 0 0 0 0 0 0 0 0 0 0 0 0 0 3.t,46 1.243 �-603 4.8 l 0 l.74l 3.068 17.832 811 624 3.75c; 682 519 11.799 3bl 18.153 166 550 3.79£ 741 12 SPONSORl::0 C.REDll AGENCY LOANS LlAblLITY OFFARM bl.lSINESS IF lCBI 13 NONFARM NONCORP. BUS. IBCI 14 S+L ASSOCIATIONS I FHLBl 15 16 POLICY LOANS IHH LIA81LlTYI l lOTAL OUTSTA ND ING, ALL T YPi:S -----------------RUH 7 •.H7 0 S.300 197 b. 5c,3 0 8.503 0 3.3b5 7b4 3b, 3.392 i,<; l -.4t 2.n:; ".021 ". :,01 8.t,50 52 3.744 1. �6 7 9.b!'O 61 4.5.,5 ·l.431 11-827 bo2 55 l.t20 1, .692 21 6.?:i.5 1. C,!,2: 15 lb 0 110 2.400 0 350 C, l l2 2.52b 0 291 C, 9 .. 3.11', 0 350 0 Ill 34 1 254 0 3b0 228 0 , .. a 0 0 3 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 33t ,u., ·o 0 0 0 0 0 0 0 C, 4.b59 1.712 3.147 t,.281 2.21l7 ,.99't 8.189 ,.631 5.558 b.392 ;; • 51 7 5.875 8.562 2.918 5 .644 9.9?7 3.701 6 • .i'.1b U .5b1 c,.'158 5.S4b 7. 5bo 19.701 415 577 3.952 ?79 l.035 12.e10 UY 20.503 5bl 5 6.. 3.962 856 1.240 13.263 37 21.671 747 686 ;.<;92 922 l.466 13. 754 104 l3.9'13 970 736 4.lbt3 1.135 1 • .-.10 14.9.25 119 25.?70 1.173 797 12.153 81 l <,.192 273 565 3.920 75;; 850 12.112 bO 1.183 2.203 15.<;70 0 28.593 1.3<;7 llbl 4.lllO 1.38, 2.4b4 l7.54t, 131 31. 3ob 1. 632 941 4. '17b l.e7e l.17? I<;. 021:1 336 2.432 2.651 2.964 4.l4b 4.131 o;.ooc; b.054 1.123 b.530 9. 5bb 747 457 1.228 <;32 454 1.265 1.15b 510 1.£98 1.390 b22 2.134 1.501 b49 l.981 1. 65 0 697 2.662 1.e.. o 735 3.479 2.099 d40 4.7&4 £.247 c;5., 5.,.25 '-• 516 I.055 5. ','i 1 3.804 285 3.�19 4.189 320 3.869 4.548 360 4.188 5.011, '-00 4.ol8 5.671 440 5.231 b.230 497 5.733 ...774 540 6.234 7.234 579 6.055 7.758 618 7.140 bbCI 7.b7b 18 553 596 621 008 742 7od 7b3 837 950 1.07b }'; 9 BANKERS ACCEPlANCES NONF INANc.I AL BUSINESS 10 Nu NC OR PORA 1 E 11 CORPORATE 12 n RcST OF THI: WORLD 14 HOLDINGS, BY SEClOk 15 lb 11 HOUSE:HOLOS NONFIN. CORPORAT i: bUSINfS5 Rt: ST (JF THE WOil.LD lb 19 20 21 22 SPONSOR I: D CRl:DIT AGENCll:S MONETARY A UT HORilY CLMMERCIAL BANKING SA\IINGS ♦ LOAN ASSOC IA TlONS MUTUAL SA\/ INGS BANKS 23 24 :.:5 LIFi:. lNSUfU"ICi: CilMPANH! IN\IESl Mt:NT COMPANltS MONEY MARK ET FUNDS -------------------------- 1,0 5:>d <; 0 0 20 0 51 ,.468 0 250 19, l be'-'"-� I.125 1.,11 (J 382 ;/3 llt: 0 44', lil 7 2-681 0 3..,o 2'i<, '-55 (J s b 1 ', lu ll 12 13 l', 17 l<, io ,<l 22 23 £4 25 FEDERAL FUNDS ANO SECUil.lTY RP 1 S 2b 101AL NONBANK CRi:DIT TO bAlltK� NONFINANCIAL CORPORAllONS 27 SPONSORED C.t<EDIT .IGENC1E5 28 SAVINGS ♦ LOAN ASSO(.JATIONS 29 MUTUAL SA\llNGS l:IANKS 30 ------------------------------ 0 j rt 5',� sc,:; (J (., C, LI ib �� j(j MONEY MARKET MUTUAL FUND SHARtS 31 T OTAL OUTSTANDING =HOUSE.HOLD ASSET l FI NANCI: co. LOANS 10 BUSINESS LlAB.-NONCUFI PORA H: BUSINESS NONFIN. CORP. BUHNi:SS 2 3 4 b 1 8 9 10 11 n 18 19 u.s. GOVl::RNMENT LOANS Ll All .-HUUHHOLOS FARM BUSINESS NONFARM NONCOkP. 8US. NONFIN. CORP. BUSlhESS ST .+ LOC.. GOVERNMENTS REST O F THI: WORLD SPONS. CREDIT AGE NCI 1:S ASSET-u.s. G O\IERNl'IENT LIFE 1 NSURANCE cos. HYPOTHECATED DEP. IHH LIA6.) AS SET-COMM !:RC.I AL BANKS MONEY AMOUNTS ARE JN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis jI ----------------------------------------------------------------------------OIHER LOANS ------------------------------------------------------------------------------------- b70 4.444 4.t,l)', u.s3;; l,.,B6 jC, 11 12 :...,j l<t 1� lo 17 DECEMBER 1976 OTHER LOANS OTHER LOANS 157 PRIVATE MONEY MARKET INSTRUMENTS ANO OTHER LOANS YEAR-END OUTSTANDYNGS, 1966-75 1966 1967 YEAR-END OUlSlANDINGS, 1966-75 1966 1971 1969 1972 1973 1974 1975 OPFN-MARKEl PAPER, FEDERAL FLJ,jDS + RP'S, AND MONEY MARKET FUND SHARES 18.192 22.07 2 26. &41 41.891 41.771 42.612 46.126 61.9b9 79.768 80.305 TOTAL OUlSTANLllNG, ALL TYPES 17.248 21 .402 25. 601 38.051 40.129 40.015 41.619 49.965 67.62& 66.417 OPEN-MARKET PAPER 3 4 5 6 7 8 13.645 1.622 12.023 0 12.023 0 17.085 3.034 14.051 0 14.051 0 21.173 4. 24c; 16.924 0 16.924 0 32.600 5.356 27.244 4.294 22 .950 0 33.071 7 .133 25 .931.1 2.349 23 .58 9 0 32.126 6.247 25.87<; 1 .9 7 3 23.l ?6 780 34.721 6.961.1 27.753 ?.637 21.876 3.240 41.073 11.382 32.691 4.881 23.835 3.975 49.144 12.l>94 36.450 8.332 27.408 710 47.690 10.175 37. 515 E!.654 28.032 &29 COMMERCIAL P4PER NONFINANCIAL CORPuRATIONS FINANCIAL BUSINE SS COMMERCIAL BANKIN& FINANCE COMPANIES REITS 9 10 11 12 13 3.603 1.063 532 531 2.540 4.317 1.304 652 652 3.013 4.428 1. 574 181 787 2.854 5.451 2.262 1 .141 1.141 3 .169 7.058 3.090 1.545 1.545 3.968 7.889 3.619 1.810 1.809 4.270 b.898 3.672 1.836 1.836 3. 226 8.892 4.736 2.368 2.368 4.156 18.484 7.247 3.b24 3.623 11.237 18.727 7.595 3. 798 3. 797 11. 132 BANKERS ACCEPTANCES NONFINANCIAL BUSINESS NONCOR PORATE CORPORATE REST OF THE WORLD 9 10 11 12 13 14 15 16 17 17 .248 2.151 6.500 2.212 21.402 590 10.678 2.247 25.601 131 14. 843 2.826 38.051 3. 9 71 18 .865 3.820 40.129 715 20.037 4.307 40.o 15 1.116 17.737 4.148 41.619 1.119 19.174 4.086 49.965 4.505 25.695 4.387 6 7. 62 8 10.015 25.141 11.009 66.417 b.824 27.916 8.441 HOLDINGS, RY SECTOR HOUSEHOLDS NONFIN. CORPORATE BUSINESS RESl OF THE WORLD 14 15 lb 17 18 19 20 21 22 0 193 3.745 0 458 164 5. 792 0 488 0 0 58 5.410 125 442 64 6.691 343 49R 0 0 57 8.173 1.84 8 718 0 261 8.459 2.82 9 955 414 106 8.255 3.340 711 221 61! 6.987 2.831 635 1.097 999 9.207 2.719 959 1.186 1.126 10.305 2.670 1.099 23 24 25 380 1.003 0 480 963 526 1.240 0 1.365 2.434 2.142 2.012 0 1.73 8 0 2.170 2.981 1.433 3.004 1.632 0 4.070 1.767 645 4.813 1. 511 524 26 27 28 29 30 944 895 49 0 0 670 670 0 0 0 1.240 1.121 12 0 107 3.840 3 .311 193 0 336 1.642 234 966 0 442 2.597 1.077 352 508 660 5.107 2.688 752 875 792 12.004 5.262 3.033 2.200 1.509 9.761 2.485 2.064 4.003 1.209 10. 243 't. 731 1. 777 2. t,25 1.110 0 2.379 3.b45 0 0 C 3 4 5 6 7 8 SPONSORED CREDIT AGENCIES MONETARY AUTHORITY COMMERCIAL BANKING SAVINGS + LOAN ASSOCIATIONS MUlUAL SAVINGS BANKS 16 19 20 21 22 LIFE INSURANCE COMPANIES INVES1MENT COMPANIES MONEY MARKET FUNDS i3 24 25 ------------------ FEDERAL FUNDS AN� SECURilY RP'S TOTAL NONBANK CREDIT 10 BANKS NONFINANClAL CORPORATIONS SPONSORED CREDll AGENCIES SAVINGS + LOAN ASSDClATIONS MUTUAL SA�INGS bANKS 26 27 2b 29 30 MONEY MARKET MUTUAL FUND SHARES --------------------------------- 31 0 TOTAL OUlSTANOING =HOUSEHOLD ASSET 31 OTHER LOANS 14.b06 7.085 7.521 14.257 7.026 7.231 16.490 7.512 8.978 21.459 8.143 13 .316 21.990 7.861 14.129 23.998 8.544 15.454 27.803 9.175 18.628 32.137 10.045 22.092 36.814 9.051 27.763 39. 032 0. 995 30.037 FINANCE CO. LOANS TO BUSINESS LIAB.-NONCORPORATE BUSINESS NONFlN. CORP. BUSINESS 9 10 11 8 33.546 2.114 929 5.190 2.042 3.4 04 19.764 103 37.204 2.443 1.087 5.556 2.233 3.579 22.270 36 40.486 3.206 1.034 5.883 1.657 3.993 24.430 283 43.858 3.5B6 1.019 6.213 1.774 4.739 26 .">27 0 46.271 3.879 967 6.783 2.059 4.816 27.767 0 't8. 771 4.239 1.014 7.141 1.604 5.18 l 29.592 0 51.932 4.624 1.050 1.202 1.845 5.526 31.685 0 55.579 4.969 1.43 0 8.706 2.138 4.«;16 33.420 0 59.216 5.480 1.688 9.24b 3.667 5.592 32.8't8 695 66.61t3 6. 022 2.780 10.908 3.b73 5.1e1 35. 720 1. 559 U.S. GOVERNMENT LOANS 4 LI AB .-1-0 USE HOLDS 5 t, FARM BUSINESS 7 NONFARM NONCORP. 8US. NONFIN. CORP. BUSINESS B ST.+LOC. GOVERNMENTS 9 REST OF THE WORLD 10 SPONS. CREDIT AGENCIES 11 4 5 6 7 l 2 3 12 11.148 9.303 10.490 15.296 17.619 15.618 16.373 24.922 34.227 31.819 13 14 15 2.923 1.290 6.935 3.411 1.506 4.386 3.654 1.577 5.259 4.275 1.732 9.289 4.974 2.030 10.615 5.669 2.013 7.936 6.096 2.298 7.979 7.198 2 .577 15 .14 7 8.848 3.575 21.80't 9. <;C,5 3.979 17.845 SPONSORED CREDIT AGENCY LOANS LIABILITY OFFARM BUSINESS IFICBI NONFARM NONCORP. BUS. IBCI S+L ASSOCIATIONS IFHLBI 13 14 15 16 17 18 9.827 710 9.117 10.819 760 10.059 12.109 803 11.306 14.713 888 13.825 17.021 957 16.064 18.034 969 17.065 18.984 981 18.003 21.205 1.006 20.199 23.904 l.O't2 22.862 25. 521 1. 054 2't.'>67 POLICY LOANS IHH LIABILITY) ASSET-u.s. GOVERNMENT LIFE INSURANCE COS. 16 17 18 19 0 0 0 0 0 0 0 0 0 0 HYPOTHECATED DEP. IHH LIAB.I ASSET-COMMERCIAL BANKS 19 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 12 DECEMBER l'11b SfC.UkllY C.RH>ll, li<.AOi: C.f<t:011, AND TAXt:S 158 SEC.uiUTV C.REOIT, lRAOE: l.REDIT, AM.> lAXES PAVA!\LE HC.UklTV C.RE.D11, 1 RA..lt C.kEDll, AIIID TAXES YEAR-EN LI DUTSTANC,JIIIGS, 194b-:5.:5. VHK-tND OUTSTANDll'tt;S, l94b-55 -----------------------------------------------------------------------------------------------------------------------------194<> 1947 1948 1949 1950 I .,5l 1.,52 1�53 }',54 l',55 --------------------------------------------------------------------------------------------;,c(UKJTV C1<t:Dll ----------------------------------------------------------------------------------------------1 TOTAL LIABILITIES 2 HCJUSi:HOLOS FOREIGN 4.593 2.195 32 3.440 l.b31 27 3.639 1.547 l.4 4.4.H l.bl'i 5.511 2.519 .,.2 5.109 2.393 35 5.t>bl 2.51>9 3b b.513 �-03;: 3b B.t47 ... u1 eb ... 62il 4.81b <.b bb j 4 5 b 2.36b 1. 524 B42 l.582 8 30 75« 2.0011 1.344 7 24 2.588 1. !11;, 775 2.9o0 l.902 1.05d 2. b8l 1.704 ',7 7 3.056 2.200 796 3.445 2.661 71!4 4 .450 3. 329 l.Ul 4. 746 3.7o3 ',83 4 4.593 733 3.157 1.5.:4 1.033 3-440 bbO 2.052 fl 30 1.222 3.639 654 2.310 1.344 ',66 ...433 702 .:.689 l.i113 876 5. 511 971 2.961 1.902 1.05-, 5.lO'l 893 2. 711 l.704 1 .00 7 5 .bbl 714 3.3o3 2 .2t,O 1.103 6.513 70fl 3.663 2.t,61 1. «O.: d.647 1.02c, 4.t'54 '.l.32'J 1. 5,l 5 9.b26 8',9 5.5:,7 :,.7b3 1. 774 5'74 109 636 92 605 9t>9 73 1.492 &7 1.421 84 1.502 82 l.Jt.6 76. :t.b12 .;.108 BROKEt<S + C,tALER:. SEC.URllV LOANS F ROM t:IANKS C.USTOMER Ui:011 oALANC.ES 7 TGT,_L ,sSETS HOUSEHllLDS .., COMMtRCIAL BANKING 10 TO BROKERS + DE:ALE,;..;; 11 10 OTHERS 12 u !:Ill.OKEi< S + DEALERS FOREIGN ,o 101 84 5 b 1 b .., 10 11 l.i: 13 --------------------------------------------------------------------------------------------l TOTAL LI Ab IL 11 IES HOUSEHOLDS .:. FARM BUSINESS 3 4 NONFARM NONCORP. BUSINBS (PAYABLES LESS REc.EIVABLU. I 5 ASSi:T b LIABILITY TKADE c..-EDll ------------------------------------------------------------------------------------42.0b7 40.2b9 d.25& 41. 8 39 j7.450 -.o.Oll l.4.785 27.689 5b.47'J 27.629 656 873 -1.431 738 1.n.:. :..500 779 1.400 -728 079 l.b89 -877 67', 2 .12 5 -99b l .117 2.210 -1.437 1.179 l.0�3 -1.140 1.267 2.154 4c; .. 1.350 «.335 l.ts29 .:. 3 ,.530 5.747 11.110 6.67', 8.492 7.69, &.b72 7.944 10.203 <; • .,.86 10.470 9.474 11.74b 10.30'-J U.26b 11.128 12.404 i.:.&9B 12.42', 14. 258 5 b NONFIN. C.ORPORATE BUSINt:SS STATE + LDC.AL GOVtRNMENTS FOREIGN u. s. GOVERNMENT 20.061 778 324 666 23.352 929 40b 0 ,.,.973 1.07£, 4l.8 0 24.b3l 1.178 4l.3 3<:.966 l.L71l 413 1.100 33 .82 & 1 .27ll 455 l. 700 ;5.502 1.378 482 2.775 35.206 37.580 1.628 5jl «.3bb 4o.31& 1.778 5116 2.lb3 10 11 lOlAL ASSElS NONFIN. CORPORATI:. BUSINESS 24.422 23.439 405 100 47fl 29.58t, 28.bO'il 399 31.184 30.140 3?1 41.882 0 723 352 400 740 4t,.365 43.839 376 l .,co 650 50.430 46.814 417 2 .251 948 45.972 367 L.214 1.006 53.231 ..9. 3i15 337 2 ....45 1.064 o.l.833 59.0.:9 374 ;;:. 27'l.l 5ti 11 57b 31.930 30 .913 365 0 652 -3.lb4 -4.801 -4.301 -3.4<;5 -4.432 -6.09b -8 • 343 -1.120 -7.l.10 · -b. 354 lb 17.b.!£ 7 8 9 10 12 13 14 15 16 FOREIGN u.s. GOVERNMtcNT OTHER lNSUil.,-Nc.E CDMPANH.S DISC.REPANtV So', 643 -1.783 0 0 ..o. 3<,Q 1.478 .. t,3 2.600 49.559 ... 6 9 1, b 1 .. 15 ------------------------------------------------------------------------------------------------------------------------------------PROFJT lAXES PAYABLE 1 TOTAL PROFIT TAXES PAYABLE 2 NONFIN. CORPORATE BUSINESS C.OMMERtlAL BANl<S 3 4 SAVINGS + LOAN USOC IA Tl OHS 5 LIFE INSURANCE COM PANIES b OTHER INSURANCE (OMPANIE� 7 FINANCE COMPANIES BROKERS + DEALERS 9 TOlAL TAXES RECEIVABLE STATE + LDC.AL GOVtRNMENl� JO 11 u.s. GOVERNMENT 9.2b., a.so, 354 0 22 34 34 13 11.61" 11.204 244 0 2 44 52 b 12.6lj 12.118 292 0 2 117 79 5 10.446 9.738 330 0 47 s. 725 507 8.218 11.215 649 10.566 12.094 7lb 11.378 9.10... 650 9.114 539 397 519 b82 12 DIStRE:PANtV MONEY AMOUNTS ARE IN Ml LLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 217 100 cl 16.120 17.252 453 0 76 162 lb5 12 23.020 21.922 615 0 133 128 212 10 20.106 18.672 793 8 149 218 246 20 21.lH 19.271 9b7 10 231 355 319 21 15.988 941 7 183 2 ..0 235 22 21.3.. 5 20.085 565 & 2,2 165 21 .. 26 17.330 815 16.515 22.529 928 21.bO1 18.8b9 871 17.998 19.391 854 18.537 16.359 818 15.541 19.247 1.013 18.234 10 11 790 491 1.237 1.783 l.l63 2.0911 1£ l � 4 5 b 7 8 ', OECEMB ER 1976 SECURITY CREDIT, TRADE CREDIT, ANO TAXES SECURilY CREDIT, TRACE CREDIT, AND TAXES PAYABLE 5ECURI1Y CREDIT, TRADE CREDIT, AND TAXES 159 ------------------------------------------------------------------------------------------------------- YEAR-ENO OUTSTANOINGS, 1956-65 1956 1957 195B YEAR-ENO OUTSTANOINGS, 1956-t,5 1960 1959 ---------------- 1961 1962 1963 1964 1965 SECU RITY CREDIT l 2 3 B.991 4.773 60 8.712 4.365 60 10.447 5. 522 77 10.510 5.536 87 10.864 5.398 84 13.113 6.736 121 13.911 b.blO 85 16.414 8.567 10!! 16.830 8.362 91 17.954 9.098 119 4 5 6 4.15B 3 .190 968 4.287 3.30 l 986 4.848 3. 573 1.275 4.887 3.791 1.096 5.382 4.133 1.249 6.256 4.915 1.341 7.216 5.878 l.338 7.73', 6.408 1.331 8.377 6.592 1.785 8.737 6.046 2.091 7 !! 9 10 11 8.991 882 4.881 3.190 1.691 8.712 894 4.921 3.301 l .620 10.447 1.156 5.402 3. 573 1.829 10.510 989 5.641 3.791 1. 850 10.864 1.137 5.966 4.133 l.833 13.l 13 l .l 92 7.049 4.915 2.134 13.911 1.22b 8.009 5.878 2.131 16.414 1.222 8.988 6.408 2.5so 16.830 1.669 9.435 6.592 2.843 17.'>54 2. 533 9. 277 6.046 3.231 12 13 3.142 86 2.80 5 92 3.770 119 3.773 107 3.o49 112 4.723 149 4.564 112 6.095 109 5.610 116 5.986 158 l 3 4 61.231 1.493 2 .401 1.535 64.184 1.616 2.636 2.12 2 68.312 1. 770 3 .076 1. 742 74.612 2.067 3.499 1.816 79.204 2.080 3.658 2.018 82.437 2.228 3.764 622 87.243 2.382 3. 770 780 94 .021 2.547 4.632 -1.043 101.277 2.815 4.818 -1.864 114 • .!55 3.044 5.363 -2.490 5 6 13.752 15.287 13.201 15. 323 14.107 15.849 13.728 15.5'-4 13.506 15.524 13.839 14.461 13.591 14.371 13.389 12.346 13.671 11.807 13.712 11.222 7 8 9 10 50.588 1.878 728 2.608 52.147 2.078 816 2.769 55. 820 2.278 794 2.832 bl.072 2.37B 877 2.903 64.135 2.457 l.711 3.14 5 67.872 2.669 1.902 3.380 71.b82 2.801 2.167 3.661 79.086 3.046 2.191 3.562 85.993 3.319 2.837 3.359 98.124 3.691 2.657 3.866 NONFINo CORPORATE BUSINESS STATE + LOCAL GOVERNMENTS FOREIGN U.S. GOVERNMENT 8 9 10 11 12 13 14 15 68.915 b4.793 481 2.350 1.291 70.632 66.354 566 2.261 1.451 76.466 72.644 500 1. 723 1. 599 82.998 78.830 664 1 .722 1.782 8 7.302 82.98 2 596 1.790 1.934 93.410 88.808 833 l.776 1.993 98.208 93.197 805 2.005 2.201 105.163 99.5b7 774 2.490 2-332 114.coo 107.975 807 2.734 2.484 127.893 121-165 957 3.122 2.649 TOTAL ASSETS NONFIN. CORPORATE BUSINESS FOREIGN U.S. GOVERNMENT OTHER INSURANCE COMPANIES 11 12 13 14 15 16 -7.684 --8 • 154 -8.386 -8.098 -10.973 -10.965 -11.142 -12.723 -13.638 DISCREPANCY 16 --------------------------------------------------------------- TOTAL lIABIL!lIES HOUSEHOLDS FOREIGN BROKERS + DEALERS SECURilY LOANS FROM BANKS CUSTOMER CREOIT BALANCES TOTAL A5SE1S HOUSEHOLDS COMMERCIAL bANKING TO BROKERS + DEALERS TO OTHERS BROKERS + DEALERS FOREIGN 1 2 3 4 5 o 7 8 9 10 11 12 13 TRADE CREDIT 2 TOTAL LIABILITIES HOUSEHOLDS FARM BUSINESS NONFARH NONCORP. BUSINESS IPAYABLES LESS RECEIVABLES) ASSET LIABILITY l 2 ,,3 7 ------------------------------------ PROFIT TAXES PAYABLE 264 101 286 25 15.076 13.378 929 5 348 166 217 33 17.204 15.817 469 6 434 145 283 50 15.979 13.615 1.468 6 418 139 285 48 16.387 14.995 577 5 3 86 106 255 63 17.888 15.941 1.072 6 440 114 287 28 19.056 17.508 621 89 434 92 255 57 19.766 18.007 834 101 552 37 175 60 21.9!>5 20.U,9 702 104 532 93 262 93 TOTAL PROFIT TAXES PAYABLE NONFIN. CORPORATE BUSINESS COHHERCIAL BANKS SAVINGS + LOAN ASSOCIATIONS LIFE INSURANCE COMPANIES OTHER INSURANCE COMPANIES FINANCE COMPANIES BROKERS + DEALERS 17.477 1.089 16.388 15.470 1.064 14.4-06 13.006 1.049 11.957 15.322 1.201 14.115 13.969 1.294 12.675 14.490 l.3 35 13.155 15.244 1.547 13�697 17.170 1.698 15.472 17.622 1.889 15.733 19.043 2.022 17.021 TOTAL TAXES RECEIVABLE STATE + LOCAL GOVERNMENTS U.S. GOVERNMENT 11 2.077 2.136 2.070 1.882 2.010 2.644 1.886 2.144 2.912 DISCREPANCY 12 17.606 15.971 952 5 6 7 8 19.554 18.102 871 7 262 18 276 18 9 10 11 12 l 2 3 4 7 HONEY AMOUNTS ARE JN MILLIONS O F DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis l 2 3 � 5 6 7 8 9 10 01:CEMBl':R 1'176 SECURJTY CREOlT , TRAOl CREOJT, ANu TAXES 160 SE�URITY CREDJT, TRADE C�EOJT, ANO TAXlS PAYABLc �lCUR]lY CRluJT, lRAut CRtull, ANu lAXl� YEAR-lNO OUTSlANOlNGS, l'i6b-75 l '17 5 1972 1'17 .. 1971 1970 1'17" l',o7 19bll l9b6 l9b9 ----------------------------------------------------------------------------�ECURlTY CREl>IT ----------------------------------------------------------------------------------------------1 lOTAL LlAB1LlTH5 2 HOUSEHOLDS 3 FOREIGN 4 5 6 t:1ROKERS + DEALER!> SEC.U,U TY LOANS fkOM bANllS CUSTOMER CRiOI T BALANCES 7 TOTAL AS SE TS 8 HJUS�HOLOS 9 COMMERCIAL BANKING TO BROKERS + OlALER5 10 TO OTHtR!> 11 12 u bROKERS + OE ALER!> FOREIGN TOTAL L1 ABILITIES HOUSEHOLDS FARM bUSlNE�S NON FARM NONCORP• tlUSINbS IPAYAbli:� u.s� kECilVABLl:.�I ASSH LIABILlTY b lb.729 9.02 5 12 B 25.752 12.709 2<,6 :,2.33.. 15.627 5011 l 5.b7b 1 ... 225 ,Ob 24.ll77 10.445 27'1 28.722 1 �-10'1 314 37. 3-, l 17.571 405 2<i.470 D.2lb L3l 24.460 u ...1e }C-,3 13.boO 319 9.57b 0.071 2.9C5 12.745 7.491 5.2 54 lb. l9', 1:1.524 7.b75 l.1. l73 7.�ltl 5.655 :a.4. l 53 9.450 ...703 l 5. ,29c. 10.10 2 5.197 1.-. .415 1 ...02 7 5.3e8 16.021 10.aa 5.199 12 .t5l 8.667 ... 11> .. 15.(1(17 l C. t,�6 ...3.,9 18- 729 2.730 9.874 t..671 3.l03 25.752 4.<,;43 11.334 7.491 J.843 32.334 7.039 l.!.654 8.SL• 4.130 25.t,76 !>.22l 11.5.. s 7.518 4.G.:7 24.877 4.)5 .. 12.'iBb 9.450 3.530 26.7'-2 4.it86 u.761 10.10.2 3.65'7 :H.391 5 .c,22 18. 51 b 1 ... 021 4.4Sl ,t!�.470 ... 1:166 15.122 10.1:1.22 4.300 :u,.4o(J 3.c'H lL.t-'il i:!.bo7 4.026 2d.'ll6b 3.9�5 :.4. 574 }0. b5o 3.'il6 11 5.950 175 9olb4 311 12.oo� b3o b.41b .,3., 1. u,8 34S <;.7b4 311 13 .46 5 ::H,6 <,.149 B3 7.563 � c;3 H,.Oc,3 36 .. 1.: l" Ld.'766 ' 3 .. 5 7 f. ', 10 ---------------------------------------------------------------------------------------------lRAOt Ci'-E 011 ------------------------------------------------------------------------------------------l.t4.893 3.323 5.770 -4.t,59 133.9 25 3.7d 5. 5bL -5.144 15l.6S3 4.218 4.587 -...'169 l 75.1.,2 ...707 4.210 - 3.9,4 164.b!>S 5.207 3.i14Z -2.9t,5 196.131 5.552 3.99l -4. 116 Ll3.504 b.lb0 4.555 -3.t:,90 239.14b 6.767 4.673 -1.836 262.o .. b 7.34 .. 4.au, -1.2c;o 2n_.75-, 7.901 s.c,00 -.2.417 14.262 9.bOJ 14.9 Sb 9.812 u.c,;87 -..ou1 l4.ol9 lCI. 095 U.5'1ti 10.o33 14.053 9. 337 15.296 ll.60b lb.62b 14.7',0 lT.793 lb.SO.; l7.<;2t1 15.511 b M:INF IN. CORPORATE BU51NtS� sun + LOCAL GOVtRNMENl S FOREIGN u.s. GOVt.RNMENT IOt1.74:; 4.18, .:.999 4.535 116.322 4.820 3.5:;2 5.104 133.393 5.430 3.931 5.103 154.204 5.944 5.db 4.775 161.7•-. b.455 6.17', 4.}Q3 173.'175 7.106 6.705 3.51b 188.095 1. 8 ... 1.112 3.39il 208.07'1 c.900 9.049 3.514 226. 30b 'l.i,,,!', 1,. L:,� 3.455 B2. l 72 10.h<, 1 ... 180 5.1 7c, 10 11 lOTAL ASSETS NONFlN. COkPORATE 8USIM:5S 12 FOREJGN l3 14 u.s. (,0VERNMEN1 15 OTHER INSURANCE COMPAN IE S 141. oH 133.15.! 1. 418 ... 371 2.89& 152. 21 7 141.388 1.814 5.839 3.1 7b 172.421 15'1.79b L.735 6.414 3.47b l'17.9b5 lb.:.344 4.390 7.333 3.696 207.�6.! 190.1:151 5.77'1 bo 556 4.370 221.000 205.c,04 5. b83 ... 852 4.661 244.26 .. 227.093 7 • .!96 4.033 s.a ..2 Ol.422 25,.346 ti. 282 4.307 o.485 .:'17.45'0 2h.315 9.937 5.}c,4 1. OiO 301>.'125 2113. 25<, 11.560 7.bo8 13 1 .. 15 16 DISCREPANCY -lo.946 -18.,92 -20.7.l8 -L:t.liH -22.907 -24.i:!b9 -30.7b0 -32.27b -34.81(1 :..36. lt>l: lb 7 6 9 10 Oo '-It' 3 ., Cl 11 12 ------------------------------------------------------------------------------------------i'kOfiT TAXE!, PA'/'ABLc ---------· ------------------------------------------------------------------·-------------l 101.lL PROFIT TAXES PAYAbLE NONFIM. C.ORPORAH 6USiflli:SS COMMEkCIAL £,AMKS SAVINGS + LI.I.AN ASSOClAllON!> 5, LIH INSUUNCE C OMPANIE� 6 OTHER INSURANCE CCl'1PANIES 7 FINAMC.E toMPANIES BROKERS + DEALERS .l " 3 9 TOTAL TAXES RECEIVABLE STATE + LOCAL GOVERNMENH 10 u.s. GOVERMMl:NT 11 12 DISCREPANCY 22.115 20.374 671 60 59.2 95 220 9, 17.195 15.647 590 57 4tl 97 172 151 20.216 lb.5 08 53c,, &l b43 H 171 199 17.096 15.20.t bl7 87 o9d 126 219 147 l3.c;5l ll.47L '157 105 823 l'i3 251 150 15.788 13.345 '?30 150 79b 150 277 140 15.703 13.253 730 17b 811 270 298 165 lb. ,3S 15.57c, 19.410 lb.Sob 212 [147 2t'3 3'>3 153 21i e35' 303 42', 45 ol5 3',l 7.,5 30t 530 bO 17.931 2..275 15.656 13.034 2.499 10.535 14.979 3.175 11.804 12.29b 3 •• e,. �-812 <;.930 3.709 6.221 12.oo 8 4.i. 4 5 7.7b3 12 .Oj4 s.020 7.014 14.089 5.75c; b.330 }:,. 375 t,.• 7b't 8.611 11.97.: t,.b.,2 5.3.:lCI lu 4.lb4 4.161 5.237 4.800 4.0.d 3.780 3.6b9 4.150 4.035 ... 011 Ii MONEY AMOUNTS ARE IN MlLLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis bl5 c; ., o l o.049 U.3h .. b 7 8 lj ll DECEMBER 1976 MISCELLANEOUS MISCELLANEOUS I 161 MI SCELLANEOUS F INANC UL CLAIMS OUTSTANDINGS, l9't6-55 ----·-·------------------------------------------------------------YEAR-END ---------------------·----- YEAR-€ND OUT STANDINGS, 194b-55 --------------------------------------------------------------------------------1946 1947 1948 194 ° 1950 1951 1952 1953 1954 l 955 l 2 3 4 29.611 703 2.503 9.453 4.575 32.52 7 784 2.603 l O .53 9 4.319 35 • 414 835 2. 787 ll.lH3 4. 033 38.198 904 2.941 44.142 1.007 3.391 3.573 3.316 45.719 1.086 3.658 l�.799 3.274 50.164 1. 162 3.945 17.606 2.931 53.734 1.2 54 4.251 18. 943 2.691 58.119 1.341 4.633 20.680 2 .48 l 63.223 1. 482 5.076 22. 771 2.222 6 7 14.282 92 7 806 15.946 957 865 3.361 18.106 1.0lt6 l .I 20 4.004 20.500 1.093 9 12.377 886 548 2.529 21.902 1.259 1.093 5.239 24.520 l. 331t 1.244 5.684 2b.595 l .51t8 1.332 5.797 28.984 l.941 1.343 6.390 31.672 l.879 1.476 7.127 10 11 12 13 14 15 360 61 3.162 4.297 534 0 335 71 3.557 5 .121 616 0 260 80 3.823 5.860 740 0 267 95 4.211 6.511 852 0 399 138 346 164 5. 508 8.916 1.324 0 392 203 6.038 9.741 1.544 0 43b 261 6.701 10.310 1.602 0 ..13 7.03 0 1.011 0 288 154 4.878 7.912 1.079 0 SAVINGS + LOAN ASSNS. MUTUAL SAVINGS bANKS LIFE INSURANCE COMPANIES NDNLIFE l"ISUR. COMPANIES FINANCE COMPANIES RE llS 10 11 12 13 14 15 16 17 18 19 20 21 22 27.643 7.054 785 908 7.971 6.038 1 .230 30.297 7.592 869 1.010 9.373 6. 133 1.315 32.211 7.987 959 l. 203 10.827 6.034 1.221 3/o .208 8.357 l.035 1.303 12 .093 5 .991 1.257 37.308 8.692 1.068 1.393 13.263 6.837 1.252 41.137 9.276 1.121 1.544 14.618 7.996 1.210 45.010 10.003 1.214 1.748 16.462 8.270 l. 211 48.600 10.609 1.291 1.938 18.153 8.677 1.179 52.586 10.946 l.3b4 2.133 l 'il.655 9.165 1.350 56.486 TOTAL ASSETS HOUSEHOLDS FARM BUSINESS NONFARM "IO"ICORP. BU!>I"'4ESS NO"IFIN. CORPORATl: bUSINESS REST OF lHE WORLD u.s. G OVERNMENT 16 23 24 25 26 3.657 50 81 1.026 3.945 43 150 1.244 3.980 12 181 1. 376 4.172 40 135 l .456 4.R03 14 160 1.737 5.366 13 177 1.825 6.102 36 207 1.952 6.753 160 205 2.075 7.973 243 192 2.b27 8.16b 170 221 2.439 27 28 29 30 31 32 530 184 I.0"34 752 0 0 543 234 1.104 627 0 0 622 42 1.245 502 0 0 788 34 1.337 31:12 0 0 847 47 1.58b 412 0 0 1.022 111 l.776 442 0 0 1. 294 157 1.942 514 0 0 1.553 178 2.on 495 0 0 1.907 218 2.283 503 0 0 1.<;44 33 1.968 2.230 3. 203 3.990 6.834 4.582 5.154 5 .134 5.533 6.737 2.849 12.674 15 .92 8 l �lt98 4.844 4.487 TOTAL LIABILlllES HOUSEhOLDS NONFIN. COR�ORATE BUSINESS REST OF lHE WORLD u.s. GOIIERNHENl TOTAL F-INANCE SPONSORED CREDIT AGENCIES HONElARY AUTHORITIES COMMERCIAL gANKING 310 7.345 11. 034 2. 02a 0 llo'ol3 1.472 2.283 21.560 9.931 l. 661 TOTAL FINANCE SPDNSORED CREDIT AGENCIES MONETARY AUTHORITY COHME�CIAL BANKING SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS REITS MONEY HARKEl FUNDS 239 2.477 e76 0 0 UNALLOCATED, NET 3 5 7 8 9 17 18 19 20 21 22 23 24 25 26 l7 26 �c, 30 31 32 33 (A I FOREIGN CLAIMS 34 35 36 364 195 546 169 37 1.221 250 296 725 262 463 1.088 391 697 l.426 552 874 1.886 715 1.171 2.021 8.366 9.625 10.700 11.788 12.979 1.360 661 1.952 570 1.382 2.092 509 1.583 2.166 553 1.635 14.721 16.253 17.b3l 19.395 38 2.503 2.603 2. 787 2 .941 3.391 3.658 3.945 4.251 4.633 5.076 39 635 635 635 635 635 635 635 635 b35 635 40 41 42 43 44 353 68 212 10 3 535 o; l 324 156 389 10 227 149 3 4 449 10 287 146 4 618 57 322 233 6 489 91 336 53 9 498 75 337 76 10 498 114 305 66 13 711 158 412 126 15 968 129 723 102 l't COMMERCIAL 8ANK LIABILITY TO FOREIGN AFFILIATES ASSET-REST OF THt WllRLD LIAB.-COMMERCIAL BANKS FOREIGN BANKING A GS. 34 35 36 DIRE.Cl FOREIGN INVESTMENT BY U.S. CORPORATIONS LIAB.-RE.Sl OF THE WORLD 37 DIRECT FOREIGN INVESTMENT IN U.S. LIAB.-NONFIN. CORP. BUS !NESS 38 U.S. GOVT. EO. IN IBRD, ETC. L lAB.-REST OF THE WORLD FOREIGN CURR. EXCEPl OFFICIAL LIAB.-REST OF THE WORLD ASSET-NONFIN. CORP. BUSINESS U.S. GOVERNMENT COMMERCIAL BANKS FOREIGN BANKING AGS. IB I u. 39 40 41 42 43 44 S. GOVERNMENT CLAIMS POSTAL SAVINGS DEPOSITS ASSET-HOUSEHOLDS LIAB.-u.s. GOVT. 45 3.379 3.523 3.442 3.302 3.035 2.813 2.656 2.465 2.239 1.984 46 187 196 201 211 225 23 7 253 265 288 303 FEDERAL RESERVE BANK STOCK ASSET OF COMMERCIAL BANKS 47 10 98 133 267 224 261 420 558 802 698 DE POSITS AT FHLB LIAB.-SPONSOREO CREDIT A GS. ASSET-S+L ASSOCIATIONS 47 48 49 613 383 583 356 604 359 599 335 606 649 239 698 239 758 239 898 303 990 303 EO. IN U.S. GOVT. CREDIT AGS. 48 50 140 117 119 15 0 177 122 17 126 18 132 53 116 10 0 101 115 0 84 137 20 0 438 148 21 2 51 52 6 13 0 117 14 0 133 HONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 295 0 271 0 315 19 0 368 51b u.s. 45 4t, GOVERNMENT 49 PRIVATE FARM BUSINESS IFICB + FLBI 50 NONFARM NONCORPORATE IBCI 51 NONFIN. CORP. BUS. IFNHAI 52. S+L ASSOCIATIONS IFHLBI 53 DtC.fMBE:R 1'170 Ml Sl.f. LLANEOUS I 162 Mll>Cl·LLANEOUS l Ml SCELLANE:CUS FJNANC.lAL CLAIMS Yi:Ak-END �U1S1AN01NGS, 1956-05 YEAR-E:ND GUTSTANO lNGS, 19:,0-c,5 ---------------------------------------------------------------------------------------------------------------------1'161 l9b2 1'1o3 l'to4 19b0 l'1o5 1'157 1950 l<,59 195i1 ---------------------------------------------------------------------------------------------7C..7�6 l.t,b9 5.<,5<; l7.02.> 2.003 7b.489 l .l:l43 5.710 30.2 56 l.709 81.767 1.969 0.115 ::,2.253 1.537 87. Ho '-· 18 7 0.b04 3,. oe5 1.3'+11 93.273 2 .379 6. 910 37.o40 l.lb1 102.334 2.>12 7. 392 41.070 1.037 107.316 2.007 7.612 4'to404 815 115.721! 2.d53 1.944 .. 7.445 bo1 127.141 3.c,3c; 11-363 53.ol7 ::,56 LH1.30., 3.303 I!.791 58. 239 TOTAL Fl NAN( t SPON SORED C.REDll AGENC.lE:S MONETAkY AUTHORITl!:S C.OMMERCJ AL BANKING � ... 584 2.103 l.435 c.182 3t>.971 2.3.2 5 1.356 8.412 3'1.893 2.559 l • 556 Q.349 42.292 2.5'+5 1.071 ...606 45.183 3.110 1.545 9.550 5G.3l3 3.,01 1.493 1... 080 51.818 3.614 l.c,41 11.1,5 Sb.799 3.5b0 1.607 13.Lbb bl.37..: 3.671 1. 65" 14.1l � 67. 360 3.7b7 1.391 17.52� b 7 SAVINGS ♦ LOAN ASSNS. MUTUAL SAVINGS t!ANII.S LIFE INSURANCE C.OMP.\NIE.S NONLlFE IN�Ull.. C.01'1PHUE� F )NANCE C.OMPAN IES RE:JTS S33 369 8.009 ll.7t-3 2.110 0 619 4,6 8.648 12.soo 2.3c,3 bbl! 0 707 526 9.255 l3.b5t> .l.2&!> 0 606 9.-.'lo 14.800 .l.100 0 960 b78 10.459 15.721 3.lbO 0 1.129 781 11.450 lb.54 5 3.33& 0 1.211 6.28 l.t .440 17.249 3.710 0 1.v.1 9'+3 u.1&2 18.323 4.521 0 1.01', 98'1 l3o'19L 19.599 4.938 0 l.H3 1. 124 l!>.lot! 21.l4; s... 95 0 10 11 ll 13 14 15 lb lOTA L ASSETS 1-0UStnOLDS 17 lb FARM BUSINESS NONFARM NONC.ORP. BUSJNE:SS 19 NONFJN. <..ORPORATE BUSJNi:SS 20 RE:S 1 OF THE WORLD 21 22 u. s. GOVERN1'1tNT b3.bl9 11.733 1.551 .l.41::. .l!>.049 10.939 2.230 69.681 12.041 1.618 2.586 l8.5l2 11.114 2..88; 74.558 12.317 l .c,8<, 2.709 31.lu7 11 ... � .. 3.lo7 80. 771 12.il2 l 1.782 "•i19o :;4.091 12.997 J.411 il1.b15 l3.2'i7 l.8<tb 3.035 3c,.757 l.>.7£1 4.0116 94.898 13.826 J.931 3.£01 40.167 14.177 4.?.95 100.987 14.301 l.9b5 3.329 43.840 l<t .02l 4.588 108.772 14.830 2-125 1111.200 15.710 2.317 :;.-,<,'! 1:n.uo lb.983 .2.-.97 4.01!3 So.'127 lb.297 101 AL LIABlLlllES HOUSEhOLDS f\£/NFIN. C.OkPORATi: BUSINESS 4 kEST OF THE: WORLD 5 u.s. GOVE:RNMENl b 7 I! 9 JO 11 12 13 14 15 :::..545 47.51:8 15.474 ...874 23 24 25 2b TOTAL FINANCE SPONSORED C.RWIT AGENC. IE S MONETARY AUlt-tORITY COMMERCIAL BANKING 9.b98 119 325 3.090 10.917 219 3C.8 3.635 11.750 .-.13 24(; 3.89.. i:t.773 241 3b3 'o.053 14.933 29C, 317 5.15b 11.201 329 341:l 5.981 lb .943 360 411 b.537 20.336 l7 SAVINGS + LOAN ASSNS. MUTUAL SAVINGS SANKS LIFE INSURANCE COMPANIES PRIVAli:: PENSION FUNDS REIH MONEY HARIU:T FUNDS .:.202 262 2. 795 905 0 0 :.:.-.30 292 3.046 987 0 0 2.s1-. 310 3.256 1.021 0 0 2.985 329 3.628 l.lb8 0 0 3.489 355 3.943 1.37<, 0 0 4.390 395 4.291 1.467 0 0 4.978 432 ...5t>7 1.658 0 0 7. ll'il 6.808 7.209 o. 745 5.598 7.43b 2.551 bl4 1.937 2..35b 331 2.025 2.540 292 2.254 2.591 525 l.06b 3.503 948 2..555 22.505 25.394 27.409 29.827 5...5 9 5.710 o.115 670 b10 1.488 138 1.206 !>2.0lf, lo.22:, ...781i 5'1� .... 1,79 3 4 5 b c; lo 17 18 1-. "c, 21 .i.2 ,23 .. ,s 23...03 �bb 359 8.029 .l5.06't �35 5.520 582 ...919 1.1..& 0 0 6.2.93 t:>!>8 5.261 ,.537 27 .:b 0 o.902. 7ol 5.Bl 2.870 0 0 o.329 b.95b 8.887 11.11 .. 33 3.770 1.033 2.737 3.b61 851 2.810 4.033 1.000 3.033 4. 593 1.118 3.-.75 4.665 1. 383 3.2112 3'o 35 3b 31.865 34.717 37.276 .. 0.736 44.480 .. <;.283 37 6.60.. 6.910 7.392 7.012 ·1.944 e.363 8.197 311 b10 670 82't 995 1 .111 1.179 1.2.29 1.29c, 39 20 2.096 131 1.s,.5 79 41 2.42't 149 2.139 120 lb 2.b42 132 2.382 11.. 14 3.202 148 2.892 144 18 3.548 236 3.030 254 22 4.lb4 790 3.113 2.. 2 19 ...483 731 3.392 340 20 ...781 1.097 3.321 3 ..1 22 4.250 781 3.lol 282 .:.b 40 '+l 42 43 44 1.740 1.413 1.220 l.031 8't't 720 601 506 436 352 'o5 320 345 363 3&7 409 4-45 4b7 497 52" 551 'ob DEPOSITS AT FHLB LIAB.-SP ONSORED CREDlT AGS. ASSET-S+l ASSOC.IATIONS. 683 b53 819 589 938 1.180 1.213 1.151 1.199 1.045 47 "8 EQ. IN U.S. GOVT. CllEDIT AGS. 49 u.S. GOVERNMENT 1.102 300 l.283 368 1.379 358 1.514 359 1.090 370 1.835 364 1.884 358 1.902 303 1.930 238 2.029 2211 .. � 161 21 13 607 172 2b 32 685 182 32 38 769 198 211 48 72 989 227 57 80 1.101 241 69 90 1.120 250 82 90 1.111 279 95 91 1.221 319 101! 97 50 28 29 30 31 32 :H UNALLOCATED, NET (AI C.OMME:RC.IAL BA� LIABILITY TO FOREIGN AFFILIATES ASSEl-kEST OF THE WORLD LIAB.-C.O,..ERC.JAL SANKS FOREIGN BANklNG AGS. 37 DIRECT FOREIGN INVESTMt:NT BY U.S. C.ORPORAl IONS LIAB .-REST OF THE WORLD Dl�EC.T FOREIGN INVESTMENT IN U.S. 38 LIAB.-NONFIN. CORP. BUSINESS 40 41 't2 43 44 u.s. GOVT. EQ. IN IIIRD, ETC.. LIAB .-REST OF THE WORLD FOREIGN C.URR. EXC.E PT OFF JC.UL LJAB.-REST OF lHE WORLD ASSET-NONfIN. tORP. BUSINE:SS u.s. GOVERNMENT C.OMME:RC.IAL BANKS FOREIGN BANKING AGS. (8) u. 45 s. 64 50 51 52 53 8.614 "b 2<, jQ 31 32 GOVERNMENT C.LAIMS POSlAL SAVINGS DEPOSITS ASSET-HOUSEHOLDS LJAB.-U. S. GOVT. 4o FEDERAL RESERVE BANK SlOO. A SSET OF C.OMMERtlAL BANKS ,.7 0 't!>l FORE: JGN CLAIMS 34 35 36 39 ,ll\<, 351 6.932 PRIVATE FARM BUSINESS CFJCB + FLBI NONFARM NONtORPORATE CBC.I NONFIN. CORP. BUS. I FNMA) S+l ASSOtIATIONS CFHL8I MONEY AMOUNTS ARE IN MJLLJOMS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -\0 51 Bob 1.2.11 ..s 51 �"53 DECEMBE'R l 976 MISCELLANEOUS I MlSCELLANEOU!) I 163 MISCELLANEOUS FINANCIAL CLAIMS --------------------- YEAR-END OUT!)TANDINGS, 19b6-75 -------------------------------------------------------------------------------1971 1970 1967 1 968 1969 1972 1973 1974 1975 ----------------------------------------------------------------------- YEAR-END OUTSTANDING$, 1966-75 1966 4 5 152.173 3.659 9.054 b2.604 791 165.978 3.947 9.923 67.059 1.044 185. 707 4.302 10. 81 5 12.010 1.240 215 .122 4.6!.18 11.818 77.036 942 228.282 5.118 13.27D 81.11 0 329 242.503 5.436 13.914 89.499 336 268.099 5.976 14.868 98.044 337 315.251 6.376 18.284 113.672 337 366.983 7.086 22.421 136.643 1.748 406.888 7.744 26.740 159.960 1. 150 6 7 8 9 76.065 3.976 1.526 21.677 84.005 4.447 1.641 24.135 97.340 4.194 2.040 31.710 120.638 4.548 2.422 47.927 128.455 6.640 2.948 46.098 133.318 6.111 2.882 43.327 148.874 6.393 2.864 47.430 176.582 8.562 4.173 60.614 199.085 8.82t, 4.023 74.216 211.294 l0.1t68 3.815 73.555 10 2.011 1.113 16.385 22.930 6.387 0 2.403 l.260 18.204 25.006 6.909 0 2. 709 1.372 19.662 27.472 8.181 0 3.025 1. 585 21.093 30.817 9.221 0 3.567 1.689 34.235 10.50 l 0 4.034 1.809 24.864 37.8 05 12.486 0 4.937 2.024 27. 724 42.624 14.878 0 5 .582 2.620 30.460 47.399 17.172 0 5.538 2.888 33.24 5 52.293 18.056 0 5.968 2.755 37. 537 58.465 18.731 0 SAVINGS + LOAN ASSN S. MUTUAL S411INGS B4NKS LI f-E INSUR4NCE COMP4NIES NONLIF E INSUR. COMPANIES FINANCE COMPANIES REITS 20 21 22 19 137.059 18.199 2.704 4.442 59.343 19.751 4.430 149.777 19.848 2.%7 4.844 64.540 21.806 4.336 165. 053 21. 645 3.346 5.326 69.130 2 5. 594 4.113 185.663 23.763 3.782 5.99!! 75.278 33.654 4.204 201.03 9 26.347 4.271 6.682 82.34 3 28.106 4.378 212.515 28.651 4.839 7.476 91.2 16 22.919 4.571 235.010 31. 319 5.513 8.470 100.300 26.417 4.445 276.286 34 • 124 6. 156 9.455 116.832 34.041 5.416 328 .625 36.802 6.910 l0.1t75 133.804 45.191 5. 504 370.295 40. 540 7.i!33 11.740 150.976 49.515 6.088 TOT4L ASSETS HOUSEHU..OS FARM BUSINESS NONFARM NONCORP. BUSINESS NONFIN. CORPORATE BUSINESS REST OF THE WORLD U.S. GOVERNMENT 23 24 25 26 28.190 275 650 9.735 31.436 257 671 10.530 35.899 251 906 13.651 38.984 604 776 15.716 48.912 1.406 866 21.793 52.843 1.595 1 .051 23.052 58.546 1.223 1.068 25.360 70.262 2.069 1.362 32.462 89.939 299 3.193 47.741 103. 603 1.211 3.232 57.149 27 28 29 30 31 32 7 .162 881 5.967 3.520 0 7.937 958 6.851 4.232 0 0 7.954 1.084 7.468 4.585 0 0 7.847 991 8 .330 4.720 0 0 9.538 1.298 9.151 4.860 0 0 10.368 1.715 10 .069 4.826 167 0 ll.715 2.125 11.076 4.983 996 0 13.863 2.360 11.993 5.129 1.024 0 16.835 2.616 13.386 5.263 604 2 19.783 3.181 15.049 5.506 -1. 51t2 34 33 15.114 16.201 20.654 29.459 27.243 29.988 33.089 38.965 38.358 36.593 11 12 13 14 15 16 17 18 0 22.177 TOTAL LIABILllIES HOUSEHOLDS NONFIN. CORPORATE BUSINESS REST OF THE WORLO u.s. GOVERNMENT TOTAL FINANCE SPONSORED CREDIT AG ENCIES MONETARY AUTHORITIES COMMERCIAL B ANP<rnG TOTAL FINANCE SPONSORED CREDIT AGENCIES MONETARY AUTHORITY COMMERCIAL BANKING SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS LIFE INSURANCE COMPANIES PRIVATE PENS ION FUNDS REI1S MONEY MARKET FUNDS UNALLOCATED, NET 4 5 6 7 8 9 10 ll 12 13 14 15 lb 17 le 19 20 H 22 23 21t 25 26 27 28 29 30 31 32 33 IA I FOREIGN CLAIMS 34 35 36 7.607 4.036 3.571 8.310 4.241 4.069 10.628 6.039 4.589 18.564 12.822 5.742 ll.62 5 5.655 5.970 7.556 903 6.653 8.489 1.400 7.089 9.552 1.750 7.802 14. 149 3.997 10.152 12.962 4.080 8.882 37 51.007 55.352 58. 595 63.812 70.245 76.661 82.092 94.077 109.105 123.227 38 9 .054 9.923 10. 815 11.818 13.270 13.91 4 14.868 18.284 22.421 26.740 39 1.290 1.373 1. 510 1.694 1.929 2.181 2.451 2.799 3.445 4.098 40 41 42 43 44 4.012 885 2-818 279 30 4.084 1. 055 2.663 328 38 4.567 1.587 2.603 337 40 4.235 1.306 2.510 363 56 4.661 931 2.449 450 831 6.136 2.318 2.390 625 803 9.485 4.102 1.994 854 2.535 14.297 6.670 2.617 1.029 3.981 15.590 6.470 2.059 1.751 5.310 20.404 7.296 1.990 5.698 5-420 COMMERCIAL BANK LIABILITY TO FOREIGN AFFILIATES ASSET-REST OF THE WORLD LIAB .-COMMERCIAL BANKS FOREIGN BANKING AGS. 34 35 36 DIRECT FOREIGN INVESTMENT BY U.S. CORPORATIONS LIAB.-REST OF THE WORLD 37 DIRECT FOREIGN INVESTMENT IN U.S. LIAB.-NONFIN. CORP. BUSINESS 38 U.S. GOVT. EQ. IN I BRO, ETC. LIAB.-REST OF THE WORLD FOREIGN CURR. EXCEPT OFFICIAL LIAB.-REST OF THE WORLD ASSET-NONFIN. CORP. BUSINESS U.S. GOVERNMENT COMMERCIAL BANKS FOREIGN BANKING AGS. IB I 45 135 25 25 25 25 25 25 25 25 25 46 570 598 630 669 702 742 793 844 897 929 47 1.037 l .432 1. 383 1.041 2.330 1.789 1.548 1.745 2.393 2.662 48 49 2.293 322 2.371 300 2.218 0 2.426 0 2.732 0 2.81t9 0 3.107 0 3.672 0 4.431 0 4. 799 0 50 51 52 53 365 ll7 120 1.369 414 516 139 160 1.403 571 152 225 1.478 622 167 336 1.607 692 180 359 1.618 782 192 377 1.756 942 212 396 2.122 1.148 246 413 2.624 1. 384 287 423 2. 705 128 134 1.395 MONEY AMOUNTS ARE r'N MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis u. 3S 4C 41 42 43 41t S. GOVERNMENT CLAIMS POSTAL SAVINGS DEPOSITS ASSET-HOUSEHOLDS LIAB.-u.s. GOVT. FEDERAL RESERVE BANK STOCK ASSET OF COMMERCIAL BANKS DEPOSITS AT FHLB LIAB.-SPONSORED CREDIT AGS. ASSET-S+L ASSOCIATIONS EQ. IN U.S. GOVT. CREDIT AGS. u.s. GOVERNMENT PRIVATE FARM BUSINESS IFICB + FLB) NONFARM NONCORPORATE C BCI NONFIN. CORP. BUS. (FNMA) S+L ASSOCIATIONS CFHLB) 45 46 47 48 lt9 50 51 52 53 Of.CEMbt:R 1'7 7t> MtS(ELLANEOUS II 164 MHULLANl:OuS ll MlSULL/tN�OUS FINANCIAL C LAIMS ICuNl JNUH>I Ytl.k-El,ilJ OUT}lANOlNGS, 1'14t>-55 YEAR-E:1,iD OUTSlA"'CJNGS, l'i4b-S5 ------------------------------------------------------------------------------------------------------------1<;55 1<;5<t 1952 1S5 3 1951 194<; 1950 l'i4 7 194b 1'1 .. 8 -----------------------------------------------------------------------------------------Cl I LIH lNSUkANC.E C LAJ'IS ""'° .. :t 3 OEftR UNPAID PR EMlUM� : RED LI AB .-HOUHt->ULOS ASSET-Llf-E INSU,UNCE 703 7e4 83� ',(J4 1.001 1.086 1.lt>2 1• .l 5 .. 1.341 1.4&:.: Ll Ft (OMPANY kESERVE:S LIA�.-LJFE l "'SURANCE c.os. ACC. lDtNT ANO til::ALll-1 F'OLIC.Y DIV. AC.CUM. ASSET-110USEHOLDS l. t>Ol 110 1 .....1 •• 111 l �5 l.5e2 1.911 1111 1.730 .:..134 i.:2S 1.<;,05 2bb 2.10b 2.:.72 i. b� l 337 i.294 2.915 399 2.51b 3.i.'.o7 410 �-797 3.b03 :,14 ;.0119 4.015 575 3.440 4.i.'.C,i 5.121 2-352 753 J.ObO 95b 5.l!bO 2ob34 11 ..4 1.190 l .19.: b.�Jl ,t.9Ll Slo 1.21!9 1. 3o'.:l 7.030 3.265 9..9 1.378 1. <tl8 7. 'il, 3.!13, l .005 l. 527 1.540 8.91b 4.432 1.088 1.730 l .bbb ...741 4.877 1.159 1.c;l', l.7db 10.310 5.104 1.a, ;;:.113 l.bbb 11.03', 5.414 1.3.t't 2.2b2. ;.:.03 .. b 1 4 IDI IIIONLIH INSURANCI:: (.LAIM5 LlAB.-OTHEk INSURANCE: ASSET-HOUSEHOLDS FAl<M BUSINESS NONFARM NONC ORP. 6US. N ONFlf\1. CORP. 8USJNtSS b 7 .. 6 IEI UNALLOCA 1 l:[J ASSE1 S ♦ 2.074 b45 902 b"lt. b 9 LlAB. 10 NH TUTAL ILIAB. LH� AS�tTSI l.9bl! 2.230 '.:).203 3.<;90 t.. 63-, '+• !,82 5.154 5. 1, .. 5.533 o.·137 lv TOTAL LIABILITIES REH OF TriE WORLD u.s. GOVERNME:Nl SPONSORED CREDll AGENCIES M ONtTARY AUTHORITIES 1.b19 1• .::38 l.l9b .!0.3 3bl 1.820 1.003 79b 24b blO 6.lb1 l.lb4 591 22(1 bb4 8.457 090 fl) 10 • ..a 3 ). b9b 4bl 349 R5b 11 • .324 l.752 215 ,.:lb 991 llod37 1.557 l2b 232 1.001 12 .9 3o 1.703 1110 909 11.7115 2.887 LSl lb3 l.t.n .:4l 2<tl 1.055 1 ......55 1. 773 230 191 1.173 11 li.'. 13 14 l!> 11 12 "' 13 1', 15 lB 19 20 C.OMMERCIAL BANKING COMMERC.hL BANKS BANK AfF IllATES FORUGN BANKlt-lG AC.EIWCIES BANKS IN u.s. POSS. 1.495 51d 0 7<, &9& 1.5-,0 b51 0 52 &bl 2.020 1.u;o 0 48 792 l.177 1. :33il 0 b'775 2.,48 l.b5b 0 70 tl£2 2.793 l.&5-J 0 88 84b 3.035 2.04b 0 112 877 3.129 2.111 0 139 ts79 3.10 .. 2.b35 0 l�l 9le 4.273 3.170 0 147 'bo lo 17 18 lS 21 22 23 24 FLOATS IN COML. BANK STMNT Ot-1 JNH:R8ANK DEPOSllS ON INTERBANK LOANS LESS: ON MEM BER BK. RES. b10 b55 15 0 733 1.d -91 -103 blb 045 -104 -75 739 700 -'1b 870 727 -80 -.?.23 5b0 427 -12 -145 b28 482 5 -141 71b 531 20 -lb5 59.. -40 -14l bbb b.. 1 -2e5 -2114 d ct: 3b0 bl 1. Sbl 53,. 0 335 1.840 t>lb 0 2b0 8(1 1.912 740 2b1 95 288 154 2.247 1.079 0 34b lb4 2 .593 )..3.14 0 392 203 l..771 1.5 ..4 0 4.3b 2bl 3.09b l.b02 0 4"/� 310 · 3. 3.3lJ 2.028 b. 1LJ3 2.414 lb0 205 1.091 412 222 7.403 2 .....0 2-.3 19L 1..... 5 S05 2 ..8 1. ne �.bbl Ju 221 l.311 ..5.. 255 .:>3 b27 178 r,33 495 0 0 bb1 218 730 239 c;95 b1b 0 lo 17 25 lb 27 · 2-6 29 30 31 32 33 34 35 3b 37 38 39 40 41 "2 SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS LJFE 1 NSURANCE FINANCE C.OMPANlES Rl:llS TOTAL ASSETS REST OF THE WORLD SPONSORED CREDIT AGENC.JES MONEURY AUTHORITY C OMMERCIAL BANKS FOAEIGN BANKING AGENCIES BANKS IN u.s. POSSl::SSIONS 5. 711 3.111 LOAN ASSNS. SAVINGS MUTUAL SAIi lNGS BANKS LIFE INSURANCE PRIVATE PENS JON FUNDS REJTS MONE Y MARKH FI.A'IDS + MONEY AMOUNTS ARE: IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis so 81 5b4 58 144 31b 184 331 752 0 0 71 S.590 2.984 43 150 blb 75 197 344 234 320 b21 0 0 v -U5 0 &52 0 )«;9 130 2.115 1.011 0 S.Ob4 2.522 12 161 772 94 157 4o.4b1 l.9b2 <tO 135 7b9 153 171 4.951 2.020 14 lbO 847 211 215 5.901 2.452 13 177 1.010 296 218 b.170 2.304 3b 207 1.015 371 227 44b 47 579 412 0 0 490 111 b90 442 0 0 559 157 780 514 0 0 372 42 410 502 0 0 i.011 308 )4 4.H 3£>2 0 0 49i.'. '142 S03 0 0 0 no 0 t.O .� L 5, L6 "7 2b ;,_9 :,1 ;,.c::: 3 .. ..15 �� n 3b :,<, .. o 41 4.i. DECEMBER 197b Ml SCEL LANE nus II MISCELLANEOUS II 165 MISCELLANEOUS FINANCIAL CLAIMS ICONlINUEDI YEAR-END OUTSTANDlNGS, ---------------------------------------------------------------------------1961 1962 1960 1959 1957 1963 1958 1964 1965 ------------------------------------------------------------ YEAR-€ND OUT STANDINGS, 1956-6 5 ----------- 1956 1956-t,5 IC I LIFE INSURANC E CLAIMS 1.669 1.843 1.969 2 .187 2.379 2.512 2.667 2.853 3.039 3.303 DEFERRED ANO UNPAID PREMIUMS LIAS• -HOUSEHOLDS ASSET-LI FE INSURANCE 2 3 4 4.385 612 3.773 4.799 698 4.10 l 5.131 710 4.421 5.511 794 4.717 6.026 865 5.161 6.543 923 5.620 7.119 1.005 6.114 7.362 1.141 6.221 7.767 1.276 6.-.91 8.405 1.432 6.973 LIFE COMPANY RESERVES LIAB.-LIFE INSURANCE cos. ACCIDENT AND HEALTH POLICY DIV. AC CUH. ASSET-HOUSEHOLDS 5 6 9 11.783 5.608 1.390 2.392 2.393 12.eoo 5.829 1.446 2.560 2.965 13.656 5.966 1.502 2.677 3. 511 14.800 6 .279 1.584 2 .856 4.081 15.721 6.427 1.635 2.9B7 4.672 16.545 6.563 1.704 3.1 44 5.134 17.249 6.581 1.724 3.260 5.684 18.323 6.960 1.869 3.463 6.031 19. 599 7.507 2.031! 3.704 6.350 21. 145 8.226 2.178 3.975 6.766 10 7.119 6.808 7.209 6.745 5.598 7.436 6.329 6.956 8.887 11.174 NET TUlAL I LIAB. LESS ASSETSI 10 11 12 13 17.127 2.096 296 389 1.013 18. 066 1.750 317 361 1.193 19.163 1.946 317 442 1.284 18.962 1.749 15 16.377 2.360 263 318 1.109 1.136 22.132 l .810 317 486 1.048 22.286 1.847 214 517 1.174 24.757 1.047 179 507 l.llO 29.207 3.327 120 542 1 .328 33. 189 3.<tl6 247 713 l<40 lOlAL LI ABIL l Tl ES REST OF THE WORLD U.S. GOVERNMENT SPONSORED CREDIT AGENCIES MONETARY AUTHORITIES ll 12 13 14 15 16 17 18 19 20 4.886 3.644 0 203 1.039 5.762 4.417 0 168 1.177 6.348 4.808 0 244 1.296 6.012 5.200 0 201 611 5.212 4.314 0 210 688 6.570 5.542 0 213 8 15 6.311 5.143 0 230 938 8.217 6.843 0 264 1.110 9.576 8.025 0 294 1.257 10.976 9.277 0 355 1.344 �OHMERCIAL BANKING COMMERCIAL BANKS BANK AFFILIATES FOREIGN BANKING AGENCIES B�l'f<S IN U.S. POSS. 16 17 16 19 20 21 22 23 24 745 E-45 -253 -353 294 601 -369 -62 455 676 -298 -77 1.003 832 835 754 -280 -361 1.746 1.28 9 -12 1.153 727 52 -374 1.016 761 -14 -269 543 159 115 -269 l .882 350 1.077 -455 FLOATS IN COML • BANK SHIH ON INTERBANK DEPOSITS ON INTERBANK LOANS LESS: ON MEMBER BK. RES. 21 2.2 23 25 26 27 28 29 533 369 3.624 2.110 0 619 707 526 lt.124 868 960 678 l .1 29 781 4.907 3.338 0 1.211 828 5.321 3.710 0 1.397 943 5.820 4.521 0 1.619 989 6.225 4.938 0 1.733 1.124 6. 763 SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS LIFE I NSURANCE FINANCE COMPANIES RE ITS 25 26 27 28 29 30 31 32 33 34 35 36 9.258 2.929 119 325 1.719 687 274 10.319 3.048 219 308 2.103 715 352 10.857 3.163 213 240 2.172 17.801 3.497 284 351 4.202 1.370 503 20.320 3.269 266 359 22.015 2.835 335 451 5.136 2.015 604 37 38 39 40 41 42 912 262 1.126 905 0 0 1.092 292 1.203 987 0 0 3.198 582 2.066 1.748 0 0 3.867 658 2.222 2.537 2 3 4 IDI NONLIFE INSURANCE CLAIMS 7 8 LIAB.-uTHER INSURANCE ASSET-HOUSEHOLDS FARM BUSINESS NONFARH NONCOkP • BUS. NONFIN. CORP. B USINESS b 7 .. 8 IEI UNALLOCATED ASSETS + LIAB. 14 426 3.849 2.383 0 2.285 0 -72 -243 606 3.985 2.700 0 :'-17 482 4.433 3.160 0 -469 13.364 3.308 299 317 3.055 1.173 357 14.696 376 12.418 3.802 247 363 2.316 898 324 3.576 1.266 418 15.957 2.748 360 411 3.912 1.447 450 1.226 310 1. 289 1.021 0 0 1.530 329 1.441 1.168 0 0 1.562 355 1 .5E-4 1.374 0 0 2.103 395 1.779 1.467 0 0 2.639 432 1.900 1.658 0 0 847 MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3.015 329 348 4.280 2.261 601 0 0 5.495 0 4.580 761 2..428 2.870 0 0 TOlAL ASSETS REST OF THE WORLD SPONSORED CREDIT AGENCIES MONETARY AUTHORITY COMMERCIAL BANKS FOREIGN SANKING AGENCIES BANKS IN U.S. POSSESSIONS SAV!NGS + LOAN ASSNS. MUTUAL SAVINGS BANKS LIFE INSURANCE PRIVATE PENSION FUNDS REllS MONEY MARKET FUNDS lit 30 31 32 33 34 35 36 37 38 39 40 41 42 Dt:C.EMbER 197c, MISCELLANEOUS JI 166 M) � C.i.LL Al';t.,U� 11 MJSLELLAl';�OUS FlN4NCUL C.LAJM:, CC::JNT INLltOI Y t AK-t.l�u C.ul�l ... NulM,S, l'1u,--f'> YE.AK-HID OUHlANDINGS • i<;c,6-75 ----------------------------------- ---------------------------------------------------------·------------------ ----------------- 1970 1971 19:,9 l9b 7 1908 l'd, l',7:> 197_; l ',c,6 b1'------------------------------------------------------------------------------------------------ cc) 2 3 4 Ll FE. INSURANCE C LAIM S DEF-E:RRED AND UNPAID PREMlUM:, LIAB.-HOUSt:t-iOLDS ASSET-LIFE INSURA�(.t: 3.c,59 .,_.,.,7 ... 302 4.6",8 5. 11� 5. -.36 5.'17b o.37o LlFE COM PANY RESE.RVES llAB.-LIH: lNSURANCl c.1..s. ACC IDE.Nl ANL; HEALTH POLIC.Y DI v. AC.CUM . issEl-HliUSEHOLDS 9. 129 1. b':>, 7.477 10.0&5 2.1 44 7.941 10.953 2.47 .. 8.4 79 11.9H 2.819 'i.Oj._ U.Obl 3.47<t 9.c,08 14 .l't 2 J .1:9<'. 10.250 i:> .408 4.347 11.0ol lo.84t> 4. C,10 11.9'.'lc, lP.,:91. 5 .o07 12 .c:.b'- r,. 29 3 1,;. oc41 ,,.930 e.93-; 2. 33', 4.32:'> 7.331 2'>.00b <,. 738 2. :'>53 4.7lo 7.99'1 27 .4 7L 10.c,b7 2.1130 5.167 il.76& 3u.817 11.1>,5 3.ill <;.9.:>'> 34. 235 13.24() 3.o49 6.''>15 :1.0.Bl ::>7.b05 14.484 4. 14 7 7• .i:9b 11.&H 42.o24 } ':, .886 4. 73 l b • .: 711 13. 7? 9 .. 7.i99 l 7 • .;.53 5.214 <,.2 .. 3 15.c89 52 .,'I_; 16. '- b6 5.7ol 10.'29 11.e10 5t. ',()5 ;;c,. 5j3 b.44y ll."-5i ,.e,.o_;o 15.114 16.201 .:0.054 29.45', 27 • .: .. 3 2.9.St1t< 33 .Oi,<, 36.;,os j8.3% }c. 593 10 ei.233 4.016 312 1.1.38 ,.C71 '19. 335 2.499 312 .:>.145 3• .:>29 llc,.85.-1 ". 5e,_; l. 723 2. .u02 3. l«o ).: 4• £,51 1.: • .231 1.125 .:,. C,(17 :i:. 8Bb 11 Ii 1.vct 7.744 J ',. 98<. CD) NONLIFE IN SURANC.E CLAIMS i; 0 1 8 9 LlAB.-OTHER IN SURAN(l •ssEl-t-iOUSE t-iOLDS FARM ttUSINt:SS NONFARM NOl'tC.Of..P. oU!:,. NONF-IN . C.ORP. t:US1Nl:S� (E) UNALLOCATED • S St TS ♦ 12 13 14 15 ., LIAB. 10 NEl TOTAL CLIAo. LESS AS Sr:1 S) 11 S. b4L .. lGTAL LlAB IL 1T lb RES1 OF- THI: WORLD u.s. GOVERNMENT S PON SURED C.RcOll AGEN.:.11:� M ONETARY .-UTHOt<lllES 3<,.450 6. 295 650 b4tc 95c, 43.472 t,.250 1.019 644 l .043 52.c,09 7.338 1.215 5'd 1.410 b3 • ._lO 7 • .:<,5 c,u l. Obl 1.7:,_; 68. 328 4.275 304 l. 578 2.24b f .:>. 2b 1 '-• 5<. I 311 i .47 _; 2.140 ,4.31G 19.6H <.j7 1.111 :,.20 l 31.3Lb 21.533 1.201 "· 731 3. 775 :,3.097 u.1:,21 1. b5i: 3.334 4. 264 39.517 2c;. 730 ">oO 4.47 7 ...750 .. 3. 170 33. 090 -3<;2 5.255 5.223 53.o51 '94 .t.'i2 -3.427 7.CJ'ib 5. ,c,o 44. o l 'i -4.d5 7.70<, "· 35c, -57b -:l.341 , • ltlB 4L 3 7.2bo -tb.i! 6.b94 750 6.410 -1&3 7.bb� l.<.ob c,.l'/l, -, • l.:>" C,.CJ-.cl 7 ,. ., s .... �vj u 14 15 lb 17 18 19 20 COMMERCIAL clll.NKJNC, COMMERCIAL BANKS BANK AFF lllATES FORt:IGN f:lANKINC. AGl:NCli::> BANKS IN u.s. POSS. 11.llot< '1ob34 0 414 1. 620 13.o60 11.224 0 1.914 �a lb.341 15.308 0 b07 2.160 21 22 23 24 F LOATS IN WML. SANK �lMNT ON INT cRbANK DEl'OSITS ON INTERBANK LOANS LESS: UN MEM6ER BK . RES. , • .102 881 590 -725 2.165 46'> 883 -817 2.741 957 1.155 -029 .,_ 053 3.14 1 3. c,33 -6 ..;o l.i:'97 -i,31 '-• t,74 -044 3.C,08 -310 25 2o 27 :?b 2'1 SAi/iNG$ ♦ LUII.N ASSNS. MUl UAL SAVINGS BANKS Llfl: INSURANC E FINANC.t. CCJMF-ANJtS REIT S ;:.011 1.1u 7. L56 o.387 0 a.us 2.403 l .2b0 o.909 0 , • 70<, l .37l 6.10', 11.181 0 3.0, 5 1. 5�; bO '1.t.21 0 3. 5o7 l.od9 9.o95 10. 501 0 4.034 1. S09 10.122 ll.486 0 4.''37 2 .c.2 4 12.316 14.i\78 0 :,.5bl .1 .o.::O 13.614 11.112 0 ;.536 i. .88d 14.954 18.050 0 5.'1ob 2. 755 17.555 lb.731 C, 31 ·" 55 4.1':>l <'. 51 906 9.043 2.0 .. :, 950 33.9ol 3.02 c,(J't 11b 10.052 2.110 J.806 41.085 3•• 11 1.406 060 11.844 5. -,.o .. .. j.27<, t0.370 o.l05 ,.Oo9 l.3b2 19.918 4.4t,9 '-· 221 bb. � :,b '-"" l.Obl 1.449 1. 59 5 1.0,; 1 1 3.175 5.574 2 .133 4b. 144 3.voO 1.223 1.00& l i;.1'16 3.6!'i ,.143 7o ... 99 t, • .,2 I 650 5.947 2.)93 716 ;0.211 3.573 257 071 1.103 1.591 812 .,_ t: 13 1• ..:11 3. ij, 35. c,37 6.577 l.5ef> 31 3, .:>3 34 35 .:>b 4.750 1101 2. 30b 3. 520 0 0 5.110 958 2.90't 4.232 0 0 5.1611 1.084 3.lob 4.':>85 0 0 !> • .:>,8 5.oCJl 1.298 ... 03.> 4. Bc,0 0 0 t.961 1. 715 ... t,33 4.826 lb7 0 t .411 , .125 5.100 4.9&3 99!> 0 9.9',i, 2.300 5.617 5.)29 1.0?4 0 11.cl!l 2.6Jb 6.300 ':>.26i oO., 1 ... 410 3. le 1 7.305 5.50c, -1. 54, 34 i1 30 31 32 33 34 !5 36 37 �8 39 40 41 4,c TOTAL ASSEH REH OF THt WOl<LD SPONSORED C.RE.Oll AGE:NCiiS MuNtTlRY A UTHORITY C.OMME:k(IAL BANKS FUREIGN BAIIIKINC. AGt:NC.IES B-NKS IN POSSESS]L)NS u.s. SAVINGS ♦ LO.AN ASSNS. MUTUAL SAVINGS BANKS LIH INSURANCE PRIVATE PENSION FUNDS REIT S M ONEY MARKH FUNDS .:4.330 3.0'iO �75 MONEY AMOUNTS ARt IN MI LL luN� Of- DOLLAIIS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4b" .,_ <,C,l .:,.c,<,2 4. 720 0 0 .. 1 .. 3.193 32., 5i. 5. :i2o ,..QC,5 2 le li lb 19 ,O ,l a 2.:> £4 ,5 Ltl d d.< ·" :;c, 38 :,<, 40 41 .. , OECE"8U 1976 TOTAL CLAU!S TOTAL CLAIMS 167 TOTAL FINANCIAL ASSETS AND LIABILITIES YEAR-END OUTSTANOJNGS, 1946-55 -----------------------------------------1950 1951 1949 1952 l 955 1954 1953 1948 1947 l9't6 --------------------· ------------------------CREDIT MARKET DEBT CLAIMS I 11 YEAR-ENO OUTST ANDINGS, 19't6-55 385.000 402,249 426,997 451.556 483.664 514.558 540.687 581.827 4 5 6 7 8 9 10 350.431 228.033 7.910 ll't.488 34.424 6.956 8.394 49.344 15.370 366,263 220.802 12,369 133.092 42.745 7,424 9.599 56.523 16.801 379.840 215.093 13 • 509 151. 238 51. 135 8.082 10. 394 62 • 587 19.040 396.313 217.670 14.llO 164.533 59.311 8,474 10,913 64,298 21,537 418.841 216.491 12.578 189.772 71,462 9,532 12.910 70.932 24.936 4',2,613 216.053 14.451 212,109 80,445 10,819 14.167 79.303 27,375 473,291 221,418 14,858 237.015 92,761 11,609 15.054 86,210 31,381 502,512 228 .438 16,006 258 .068 105.134 11,509 15 .672 90.467 35.286 528.524 230,836 16.384 281.304 116.616 lZ.281 16.292 95.082 41.033 564,373 230.029 16.533 317,8ll 135.832 13. 723 18.287 103.648 46.321 TOTAL CREDIT MKT • LIABILITIES OWED BY: NONFINANCIAL SECTORS U, S. GOVERNMENT FOREIGN PRIVATE DOMESTIC HOUSEHOLDS F ARM BUSINESS NONFARM NONCORP, BUS, CORPORATE BUSINESS ST ,+LOC. GOVERNMENTS 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 2.804 1.168 0 0 0 2 528 1.106 0 0 3. 733 l.28't 0 0 0 9 737 1. 703 0 0 5. 160 1. 559 4 5,936 1.447 8.156 1.828 32 0 0 19 1.222 5.055 0 0 8.943 2,055 43 0 0 19 1,374 5,452 0 0 10.373 2.102 53 0 0 17 1,453 6,748 0 0 12.046 2.099 60 0 0 17 1.584 8,286 0 0 12.16 3 2,064 78 0 0 20 1.751 8,250 0 0 17.45" 3.071 116 40 0 20 2 • .r,.76 11. 731 0 0 FINANCIAL SECTORS SPONSORED CREDIT AGENC JES HOR TGAGE POOLS COMMERCIAL BANKS BANK AFFILIATES FOREIGN BANKING AGENCIES SAVINGS + LOAN ASSNS. FINANCE COMP ANIES REITS MONEY IIKT. FUNO SHARES 11 12 13 14 15 16 17 111 19 20 21 353.235 TOTAL CkEDIT MARKET ASSETS HELD BY: PRIVATE DOH. NONFIN, SECTORS HOUSEHO LDS NONF ARM NONCORP, BUSINESS NONFIN, CORPORATE BUSINESS STAT E + LOCAL GOVERNMENTS 21 22 23 24 25 26 353.235 7 2 0 9 830 2. 758 0 0 0 0 14 777 3,691 0 0 369,996 385.000 402,249 426,997 451.556 ',83,664 514.558 540.687 581. 827 118.796 94.973 l.623 15.608 6.592 122.339 97,245 1.991 15,851 7.252 126. 726 99,424 2,372 17 • 169 7.761 132.213 101.744 2.683 19.565 8.221 135,570 99.761 3. 146 23.6',6 9.017 139.762 101.600 3.391 25,275 9,496 l'o4,609 lO'o,585 3,792 25.140 11.092 151.882 108.061 3,961 27.477 12.38 3 153.230 109.476 4,006 26.158 13.590 167,259 117.246 "· 182 31,218 14,613 27 28 2,138 8,293 1,418 12,577 1,850 13.949 2.188 15.273 3.445 15.976 3.464 17,274 4,586 18.816 5.205 20.785 5.574 20.495 6.536 21. 109 29 30 31 32 224.009 2.121 0 23.498 233. 662 2,322 0 22,611 242.475 2.679 4 23. 524 252,575 2,647 7 18,957 272,006 3 .107 32 20 • 781 291.056 3.524 43 23,806 315,653 3,647 53 24. 732 336.686 3.708 60 25,932 361.388 4,024 78 25,066 386. 923 5.040 116 2'o. 815 33 2'4 35 36 37 lll.625 110.651 0 381 593 114,848 113,922 0 421 505 ll3.094 ll2. 098 0 511 485 118.956 117. 798 0 696 462 125,',79 124.173 0 836 470 132,130 130.615 0 1,061 454 140. 764 139.078 0 1,206 480 144,464 142,814 0 1,166 484 153.911 152.142 0 1,266 503 158. 353 156,562 0 1,264 527 COMMERCIAL BANKING COMMERCIAL BANKS BANK AFFILIATES F OREIGN BANKING AGENCIES BANKS IN U,S, POSS. 33 34 35 36 37 38 39 40 41 42 86.758 26,925 9.206 17,483 236 93,881 29.485 10.682 18.463 340 103.174 31. 737 11. 876 19,406 455 112.008 34.247 13 .221 20,440 586 122.607 37,518 15,346 21,426 746 131,553 40,489 17,395 22. 28 3 811 146.457 45.443 20,4'l7 23.1'91 1,055 162,522 51,238 24.259 25.607 1,372 178,309 57. 702 28.557 27,535 1,610 198.599 65. 820 34,347 29. 486 1. 987 PRIVATE NON8ANK FINANCE SAVINGS INSTITUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS CREDIT UNIONS 38 39 40 41 42 43 44 45 46 47 53,728 44,403 2,445 2.787 4,093 58.341 47,386 3.010 3.112 4,833 63. 820 50. 932 3,601 3. 541 5. 746 69. 103 54,427 4,190 4,060 6,426 75.106 57.905 5.275 4,707 7,219 80,836 61.547 6.0'o6 5.436 7,805 88,274 t-5.938 7.175 6,428 8.733 96.707 70.638 8,494 7.702 9.873 105 .213 75.397 9,827 9.161 10,828 113,628 80.476 11,166 10.457 11.529 INSURANCf LIFE INSURANCE COMPANIES PRIVAlE PENSION FUNDS ST,+LCJC. GuVT, RTR, FUND OTHER INSURANCE COS. 4'.:> ,.4 45 ',t, "7 48 49 50 51 52 53 6,105 4,273 0 18't 0 1,648 6,055 4,962 0 188 0 905 7 .bl 7 5.908 0 220 0 1. 489 8.658 6 .839 0 277 0 1,542 9,983 8,231 0 349 0 1,403 10.2ze 8,654 0 390 0 1,184 12.740 10. 782 0 472 0 1,486 14,577 12.500 0 469 0 1,608 15,394 13,166 0 593 0 1,635 19.151 16,972 0 792 0 l. 387 FINANCE N,E.C, FINANCE COMP ANIES REITS OPEN-ENO INVESTMENT COS. MONEY MARKET FUNDS SECURITY BKRS. + DEALERS "b ,.9 50 51 5.t 53 0 22 23 2't 25 26 REST OF THE WORLD U.S. GOVERNMENT 27 28 FINANCIAL INSTITUTIONS SPONSORED CREDIT AGENCIES MORTGAGE POOLS FEDERAL 11.ESERVE SYSTEM 29 30 31 32 TOTAL CLAIMS ANO THEIR RELATION TO TOHL FINANCIAL ASSETS ----------------------------------------------------------------------------TOTAL CREDlT MKT. LIABILITIES (FROM PRECEDING TABLE I 01 HER LIABILlTIES : OFFICIAL FOREIGN EXCHANGE TREASURY C.URR. + SOR CTFS. 353.235 369,996 385.000 402,249 -.U:.997 451.556 483,664 514,558 540,687 581.&27 -248 2,436 937 2,408 1,293 2,403 1,462 2,384 1,446 2,374 1,426 2,398 1,462 2,435 l.'.:>67 2.469 1,185 2.505 1,044 2.507 l 78,248 152.443 118,212 34,231 25,805 182.98 5 154.956 119,354 35,602 28.029 185 .015 155. 043 118. 841 36. 202 29.972 188 .009 155.549 118 .854 36.695 32,460 195 ,9C,,7 161.130 124.099 37.031 34.1167 208.1 52 170.070 131.303 38,767 38.082 222. 842 179. 6R6 137.801 41.885 43.156 232.101 183.179 137 .831 45.348 48,922 247 .250 191.610 142,431 49,17<, 55,640 257,'198 195.228 144. 724 50. 504 62,770 OEPDSllS AT FINANCIAL INSTS, BANKING SYSTEM DEIIANC, OEP. + CURRENCY TIME + SAVINGS DEPOSITS SAVlNGS INSTllUTIONS 10 11 56,175 8.031 48,144 61,548 9,459 52,089 66. 843 10. 49 5 56. 348 72,431 11,619 60 .812 79.303 12. 712 66.591 85,597 13,595 12.002 93,260 14,596 78,664 101,126 15.200 85.926 109.003 15.31'1 93.684 119.&00 15,843 103.957 INSURANCE + PENSIUN RESERVES 9 U.S. GOVEII.NMENT 10 INSURANCE SECTOR 11 12 13 14 15 4,593 21.258 9,264 29,t-ll 3,440 24. 78 5 11,61 2 32. 52 7 3,639 21. 629 12,613 35.414 4.433 27 .689 10,446 38. 198 5 .511 37.45 0 111 .120 44,142 5,109 40,269 23.020 45,719 5.661 42.081 20.106 50.164 6,513 41.839 21,174 53.734 8.647 -.6,021 17,622 58.119 9. 628 56. 419 21. 345 63. 223 SECURIlY CREDIT TF-ADE DE BT PROF IT TAXES PAYABLE Ml SC EL LANEOUS 12 l3 14 l:, 16 17 18,825 1,297 20.744 1,412 23 • 112 l. 515 19,242 3.070 21,444 3,344 24,1 56 3,481 24,044 3,931 23.880 4,146 22.463 6,109 23.t,86 1. !138 INTERBANK CLAIMS INVESTll�NT COlll'ANY SHAKE S 16 17 18 674,694 712,394 744.476 769,613 836.1211 890.883 949,656 1002,907 1059,61 l 1145. 375 lb 19 20 109.703 33,650 107. 588 34,150 106,485 34,560 116 .930 35,015 142.6�6 35 .355 166.519 35,575 182.069 35. 815 174,859 36.290 251.892 36,940 30<;. 174 37. 620 21 22 23 1.440 5,673 -3,164 -113 6,412 -4.801 -61 6,034 --4.301 18 6,323 -3 ,495 -181 6.896 -4.432 -191 7,1 Oil -6.096 -838 6. 768 -8. 343 -6;3 8,988 -7.720 -36 8,480 -7,210 -427 9.024 -6.35't 24 25 26 -1.970 �39 1,968 -1.998 397 2,230 -2. 030 519 3,203 -2 ,058 682 3.990 -2. 106 790 6,1.'34 -2,1 55 491 4.51.'2 -2 .221 1,237 5,154 -2.269 1. 783 5.134 -2,324 1,263 5,533 -2. 345 2. 098 6. 737 TOTAL LlABJLJTIES ABOVE + FINANCUL ASSETS NCJT INCLUOEu IN BOKROWlNG OTH�I\ CORPO>'\AlE EQUITIES GOLD + SDk 'S - FLOATS NOT lNCL. IN ASSETS DEMAND OEPOSllS-u.s. GOVT, OTHER TRADE CREOlT - LlABJLITIES NOT ALLLlCATED AS ASSEH TREASURY CURRENCY PROFIT TAXES PAYABLE MISCELLANEOUS 27 813.561 852.005 882,157 9 "MONEY AMOUNTS AkE JN MILLIONS https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis <,}6,098 1006.338 1089,238 1163.783 1208.793 1342,737 1483.436 TOTALS ALLOCATED TO SECTORS AS ASSETS Ill EXCLUDES CORPORATE EC.,U!TIES. OF UOLLARS. " 5 t, 7 8 l'i LO .ll 22 23 "" l5 «o 27 DECEMBER 1976 TOTAL CLAIMS 168 TOTAL CLAIMS TOTAL FINANCIAL ASSETS AND LIABILITIES ---------- -------- YEAR-END OUTSTANDINGS, 1956-65 195c, 1957 1958 19!>9 1960 l TOTAL CREDIT M KT . LUBILITUS OWED BY: NDNFINANCI AL SECTORS u.s. GOVERNMENT FOREIGN PRIVATE DOMESTIC. HOUSEHOLDS FARM BUSINESS NONFARM NONCORP. BUS. CORPORATE BUSINESS ST .+LOC.. GOVERNMENTS 2 3 4 5 6 7 II 9 10 11 FINANC.IAL SHTORS SPONSORED CREDIT AGENCIES MORTGAGE POOLS C.OMMERC.I AL BANKS BANK A.FFlLUTEl> FOREIGN BANKING AGENCIES SAVINGS + LOAN ASSNS. FINAN(.[ C.OMPANH,S REllS MONEY MKT. FUND SHARES 12 13 1415 16 17 18 19 20 21 TOTAL CREDIT MARKET ASSETS HELO BY: PRIVATl DOM. NONFIN. SECTORS 22 23 HOUSEHOLDS NONFARM NONCORP. BUSINESS 24NONFIN. C.ORPORATE BUSINESS 25 STATE + LOCAL GOVERNMENTS 26 27 28 RE ST O F THE WORLD u.s. GOVERNMENT 29 :i.o 31 32 FINANCIAL lNST ITUTlONS SPONSORED C.REOIT AC.ENCIES MORTGAGE POOLS FEDERAL RlSERVE SYSTEM 1964 196!'> -----·-------------------------· ----- 1961 CREDIT MARKtT OEIIT C.LAIMS C 11 ----------------- YEAR-ENO OUTSTANOINGS, 19!'>6-b!> 1962 1963 610."43 640.961 680.553 737.107 777.695 825. 369 885.382 952.268 1026.3•8 1101.201 591.736 224. 213 17.287 350.236 15l.94ti 14. 581 19.459 114. 268 49.980 619.891 221.958 18. 660 379.273 164.858 15.638 20.386 124.013 S4.378 659.722 2:H.258 20.5,40 407.924 176.8 78 11.002 21.651 132.337 60.056 110.112 2311.335 .H.07!> 450. 702 198.2-.1 18.934 24.164 142.836 66.521 747.45" 236.274 23.074 488.106 216.729 19.965 2!>.960 153.446 72.006 792.766 243.475 2!>.387 523.904 233.677 21.55 8 27.895 163.-.57 77.317 847.615 250 .468 21.,;-.s 569.202 255.466 23.8S6 31 .162 175.539 113.179 '107.098 25-..441 31.074 621.S83 2112.210 26...06 '.:l!>.585 188.241 89.135 18.707 3.809 149 lb 0 25 2.237 12.469 0 0 21.070 4.929 173 18 0 38 2.237 13.6 75 0 0 20.831 4.985 190 0 0 46 2.b0b 13.004 0 0 26.995 7.2!>9 204 0 0 44 3.680 15.808 0 0 30.241 7.b97 202 3 0 15 3.385 18. 739 0 0 32.603 8.578 290 0 0 lb 4.408 19.301 0 0 37.767 10.077 413 0 0 11 5.632 21.634 0 0 610.443 640.961 680.553 737.107 777.695 825.369 885.l8l 'l5<..268 1026.34-o 1101.201 21 170.978 123.653 4.506 27. 37& l!>.'t3<t 176.687 128.982 4.723 26.976 16.006 179.239 130.03:t 4.1193 27 .768 16 .546 199.662 141. 280 5.235 35.099 18.048 203.156 148.217 5. 3'>7 30.754 18.788 207.353 153.086 5.553 29.831 18. 883 211.907 156.054 5.999 29 .9&8 19.866 222.532 164.079 C>.426 31.276 20.751 231.251 171.IJOO b.864 32.653 20.734 2-.1.294 17c,.494 7.41.l 33.657 23.731 22 23 .?4 25 26 7.666 21.110 8.235 22.411 8 .256 23.890 U.2c,t; 2!>.714 12.490 lb.180 12 .996 2b.lt52 l't.3c,4 30 .85 5 15.0lt9 .n.z,;5 15.<lll 35 .093 15.893 37.926 28 410.02'> o.06b 149 25. 010 4-33.628 7.365 173 24.309 469.168 7.684 190 26.'tl4 500.465 9.908 ,104 26. 728 H5.2b<; 11.0,;; 20i 27.466 576.568 12.126 290 l8.94 7 628 .l56 13.744 413 30.,;31 oe2. 392 l S.298 525 33.767 11t...011 lb.034 b24 37.168 812.088 18.265 809 40.996 29 .,o 31 H 45.1 70 U.S.?4 525 2.33 0 40 , 7.556 2S.292 0 0 975.564 10"7.43'> 260.670 262.04 3b.041 38.87' 678.853 746. r;n 311.<,33 341.61S 3i. 311 29.009 41.0411 46. 788 201.966 U2.364 95.397 103.0!>5 50. 78-. 12.068 624 1.109 0 119 7.1149 29.045 0 0 5<t. 162 14. l8i 1169 2.183 0 79 11.c,54 33. 7'15 0 0 6 7 II c; 10 11 12 13 14 l!> lb 17 18 19 ,o ;n 33 34 35 3C> 37 COMl'IERC.IAL BANKING C.OMME:RC.IAL SANKS BANK A FFILIATES FOREIGN BANKINC. AGtNClt:S BANII.S IN U.S. POSS. lb3. 7"t4 161.830 0 1.374 570 168.829 lc,b.939 0 1.288 602 183.877 181 .81 5 0 l.382 680 188.700 1111.00, 0 t.477 i21 l97.cl54 1115.979 0 1.627 248 213.149 211.104 0 l. 7b7 278 232.20c; 229.982 0 1.870 357 249.ltbl 247.270 0 1-72� -.ob 272.591 H0.250 0 1.1136 sos 301.loS 298.561 0 2.028 5',6 33 38 :l,9 40 41 42 PRIVATE NON8ANII. FINANC� SAVINGS INSTITUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS CREDIT UNIONS 215.030 73.12� 3<;. 237 31.4-94 2. 394 232.952 !10.341 44.215 :J,3.267 ,.85'1 251.003 89.391 so.559 35.691 3.141 274.92� 99. 14() 58.951 ""•"7" 3.t,15 298. 652 109.25& 66.245 38. 513 4.500 H2.054 121. 143 75.c,10 40.603 4.930 350.959 135.174 115.914 43 .690 5.570 31:13. J21 15:t.574 99.211 47.0SO 6.313 411.c,bO lb8.1o0 110.2 ..b 51.317 1.1',,1 450.173 lb::..09l 119.e.l.., 55. 028 �.,41 311 39 .. o -.1 42 47 INSURAN(.E LIF� I NSURANLE C.OMPANHS PRIVATE: PENS ION FUNO� ST.+LDC.. C.OVT, RTR. FlJNI) OTHER IN�URANc.E C.OS. 121. 962 115.015 12.723 11.681 11.943 130.813 90.461 llt.495 13.258 12.599 140 .0,9 95.533 16.151 14.963 13.38i 1-.9. 829 1011.501 11.1111s 16.837 1 ... 60b 159. e28 10!>.557 l9.oll3 18.887 15.501 169.62 3 l10.d68 �l.157 21.oe; lb.516 180.942 llb.858 22.90.l 23.211 17.971 19:.!.413 123.282 2't.629 2!'>.556 lb.746 205.21i9 13C..l!>5 21.111 28.f>2S 111.53£ 218. 7.,7 137.6,.., 29.C.i12 31. 2bl ,a. 5c,l 43 44 4!> 46 41 48 4<; 50 51 52 53 FINANc.E N.E.C.. FINANCE C.OMPANIE!, REJlS OPEN-ENI.I lNVESTMt:NT cos. MONEY MARKET FUNDS SEC.URITY 8K�S. + DEALERS 19.943 17.957 0 1.0;:1 0 C,c,:, 21.798 19.27', 0 1.110 0 1.354 21.583 18.974 0 1.367 0 1 .24./ 25. 350 22.41!> 0 1.110 0 1.231 29. 766 25.915 0 1.961 0 l.H90 31.21;18 2c,.97l 0 2. 276 0 l .041 34.843 2<;.198 0 2 .608 0 3.037 38.334 :H.672 0 2. 744 0 1.<;1& 4l.oll 37.907 0 J .03-. 0 2.670 48.9_;4 42.669 0 3.1120 0 l.""� 49 so 51 5.l 53 " 43 45 'tb j" _;5 3b 37 'tb ---·--·------------------·--·-----·------------·--------------------------------------- ---------------------·--------------------------------------------------------------·---------TOTAL CLA11'4S ANO THUK �ELATIOlo 10 TOTAL HNANC.IAL i:.SEH TOTAL C.Rl::OJT MIC.1 • llA81L1TltS CF ROM PRlC.EOING TAilLE I OTHER LIA8Jlll 1H: OFFIC.lAL FORtlGN EXC.HANGI:: TREASURY CURR. ♦ SDk CTFS. 1152. 268 10�6. 348 111,1.,01 610..... :, 640.901 680 .5S3 7"7.1()7 777.69, �l5.369 885 .382 1.008 2. 526 1.975 t.5bl l .958 ;.: .bOO 1.,;.,,7 2.03., l, 555 .l.c,&6 l.t>Ob 2. 74() 1.163 2.760 1.,47 l.&ub l .201 2.83(J 3. Oo'o DEPOSITS Al FlNAlliC!AL lNSlS. BANKING SYSTEM OEMAllill OE:P. + CUN.KEN(. Y TIME + SAVINGS DEPOSITS SAVINGS 111,STJTUT IONS .269.265 199.177 146. 563 52.614 70.088 2eo.9-.1 203.970 l'-5.947 5c.023 76.977 30.;. 535 217.659 151.673 b!:1.980 85.87b 315... s3 l2l.45l 153. t>b4 61.788 94.001 332.S71 229.105 155. 4B2 73.623 103. 46!, �59.228 2-..:..427 1 ..1. 387 a}.040 114.i,01 393.119 2bS.2lb lbb.oOl S8.bl5 127.903 4l7.b67 28'o.SE8 l7l.5b'113.024 143.0711 41,b.85'+ 3u7.d9-' l&0.30o l:.!7.567 1!>8.961 Su7.l2f> .B5. le0 181... as 1'.7.o95 112.u4b 10 11 INSURANC.I:: ♦ PENS ION Rt:St:RVE:S u.s. C.OVt:RNMENT INSURANCE SECTCJR 12'>.314 17.00', 112.30, 138.140 17.531 120.609 151.lSl 18.5ll 132.730 lb4 • .;ot: 19.514 144. &�, 170.002 20. 516 155.4�6 192 .21l6 21. 52 5 170.761 21Jl .b92 22.643 179 .049 l19•""" < 3.<i35 195.549 �39.oS7 25.288 214. 36'1 �60.650 26.737 ,33.111:; 12 13 14 15 SECUkllY CRE Oil TRADE OEl!l PROF-IT TAXES PAYlBLE MISCELLANEOUS tl.'t91 bl. 231 19.55't 70.738 &.712 6....1114 17.606 76.489 10.447 bll.-'12 15.076 ..1.767 10. 510 1-..012 17.20't 87. 516 10.864 79. 204 1�.97<,1 93.273 u.113 e2.43 7 lb.387 102.334 13.911 87.:C4::I 17.868 107.316 10.-.1', 9'>.021 19.056 115.728 16.830 101. ,77 l'>.766 127.147 17.954 11i..2;5 21.955 13�.,o.. lb 17 INT tRBANK CLAIMS lNVE:SlMENT C.Ol'IPANY SHARES 24. 37!> 9.046 2'-. 215 8.714 l3.499 13.241 2j.ot8 15.dlc 22. 79t> 17.026 ,4.13j 22. 87 5 25.548 ll.271 ,:•.o06 25.?14 26 .OOl 29. lib 2c,.5o; 4 5 b 7 ., 18 TOTAL LUblLll lES A80V� ♦ f-1 NANC UL A�Sl::lS NOT INc.LUOEO IN BORROWING 19 OTHER C.OKPORAlt EQUlllE:. 20 GOLD ♦ SOR 'S - FLOATS l\iOT INCL. IN ASSETS DEMAND DEPOSITS-u.s. GOVT. 21 OTHER 2, TRADE CREDIT 23 LlABlLlllES NOT ALLOCAl�D AS ASSETS 24 TREAWRY C.URRl::Nc.Y PROF IT TAXES PAYAl!LE 25 MISC.tLLANt:OUS 26 - 27 TOTALS ALLOCA HO TO SECTORS AS ASSETS 1207. 091 126".505 135,.239 14!">0.b 50 1529.651 lb-.2.710 1757• ..:93 ld.,b.Sll 2057.o,., .;�.nc. ,;i., ... o:n .. lu 11 12 n 1-. 15 le, 17 16 328.9411 38.0")5 2<;0.l&9 38.7oS 40 ... 736 :l,9.445 438.170 4C..l'IS .,33. 972 -.o.s ..o ss1.121 '-l.l.lO 464.414 '-l .47S !">71.607 '+2.305 6;2.'>70 43.0l� 713.71tc .. 3• .t3u 1, lO -oO 9.462 -7.6b4 -5 <,.154 -6. 446 -162 9.554 -& •154 -lob 9.007 -&. 38b _.,.,7 ... 409 -1>.0'lb -331! 10.561 -10.973 19 10.4'i� -10."65 59 10. 603 -11.142 -200 ll.c,29 -12.723 51 11...15 -U.b:OE <1 22 H -, • .>84 ,:.077 7.119 -2 .428 2.136 o.808 -2.-.18 ,.010 -;.. 5lb -2.55b 2.010 5. S9B -,.689 1 .697 1.-.36 -.l .b5l 2.644 6.329 -l.blb l.H,6 o.95b -, ...1c; 2. l4'o 8.887 -2.3!">5 •• 912 11.174 i.4 .;s lb 1565.564 1584.34i 1788 .381 19<.2.6"9 19v8.l47 2229.057 .1277.311 l50b.b77 l725.701 29d0. ts.,b 27 111 EXc.LUQES CORPORAlE i.Ql.lITIES. MONEY AMOUNT!. ARl IN MlLLION� https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1.044 OF DOLLARS. 1.20c, : • llfl o. 745 DECEMBER 1976 TOTAL CLAIMS TOTAL CLAIMS 169 TOTAL FINANCIAL ASSETS AND LIABILITIES --------------------------------------------------------------1970 1971 1972 1969 1974 1968 1967 1<;75 1966 -------------------------------CREDIT HARl(ET DEBT CLAIMS I 11 -------------------------------------- YEAR-€ND OUTSTANDINGS, 1966-75 1182.141 1261.351 1369.749 1487.1133 1595.322 1748.296 1941.855 2186.988 2'tll.079 2626.713 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 1111,.039 1194.336 1292.036 1380.688 1477.176 1616.632 1783.552 1973.470 2156.020 2357.994 2'66.063 279.063 292.631 288.967 300.818 325.565 340.779 349.051 36l.Ci48 446.254 47.500 42. 849 45 .309 5l .88 l 57.080 62.267 68.444 39.'100 81 .433 '14.215 808 .076 872.42" 954.096 1044.221 l 12't.477 1233.987 1380.506 1555.975 1713.539 1817. 525 364.126 386.341 418.666 452.397 477.727 520.387 585.280 658.914 703 .907 753. 510 38. 81 5 35 .504 41 • 565 4"obl7 51.390 46.922 67.208 57.218 75.079 84.483 56. 869 69,676 62.200 75 .323 52 .475 85.676 98.783 111.801 118.554 119. 864 246 .642 273.117 304. 453 339.647 375.319 409.558 457.051 521.968 601.266 630. Oo5 109 .329 117.282 127 .212 137.884 l't9 .186 166.976 182.174 1%.084 214.733 229.603 68.102 19.007 1,314 2.638 0 134 8.737 36.272 0 0 67.015 18.386 l.'188 2.633 0 106 7.035 36.867 0 0 77 • 713 21. 862 2.526 3 .461 0 191 8. 167 40. 740 766 0 107.145 30.645 3.204 5.877 4.294 349 12.271 49.025 1.480 0 118.146 38.879 4.755 3.777 2o3't9 429 14.116 51.662 2.179 0 131.664 40.021 9.526 5 .587 1.973 2.010 14.050 54.326 4.111 0 158.303 43.542 14.404 9.234 2.637 2.914 16.010 60.802 8.760 0 213.518 59 .837 18.040 16.139 4.881 7.998 22.035 70.238 14.350 0 255.059 77.134 23.799 14.051 8.332 10.870 28.320 74.354 15 .820 2.379 YEAR-END OUTSHNDINGS, 1966-75 TOTAL CREDIT HKT. LIABILITIES OWED BY: NDNFINANCIAL SECTORS U.S. GOVERNMENT FOREIGN PRIVATE DOMESTIC HOUSEHOLDS FARM BUSINESS NONFARH NONCORP. r,us. CORPORATE BUSINESS ST .+LOC. GOVERNMENTS 268. 719 BO. 340 34. 138 14. 722 8.654 10. 533 26.217 75.011 15.459 3.o45 1182.141 1261.351 1369.749 1487.833 1595.322 1748.296 1941.855 2186.988 2411.079 2626.713 't 5 6 7 B c; 10 FINANCIAL SE CTORS SPONSORED CREIJIT AGENCIES MORTGAGE POOLS COHHERC UL BANKS BANI( AFFILIATES FOREIGN BANl(ING AGENCIH SAVINGS + LOAN ASSNS. FINANCE COMPANIES REITS HONEY HKT. FUND SHARES 11 12 13 14 15 16 TOTAL CREDIT HARKEl ASSETS HELD BY: PRIV ATE DOH. NONFlN. SECTORS HOU!>EHOLDS NONFARM NONCORP. BUSINESS NONFIN. CORPORATE BUSINESS STAlE + LOCAL GOVERNHENlS 21 17 HI 19 20 22 23 24 25 26 258 .345 193.313 7.768 31.628 25.636 262.284 195.666 7.999 33.158 25.lt61 282.558 207.668 8.361 39 .262 27. 267 328.016 239.821 8.730 4b .927 32 • 538 328.852 240.046 9.223 47.132 32.451 328.946 239.31t9 9.689 49.468 30.440 352.260 251.268 10.192 51.905 38.895 399.165 282.lt20 10.959 57.959 47 .827 449 .649 320.555 11.101 59.387 58.000 502. 372 346. 755 12. 576 72. 902 70. 139 27 28 14.281 42.442 16.078 47.055 16.112 51.951 14.850 55.081 25.705 57.768 52.456 59.918 61.273 62.391 61.994 65.462 70.444 73.059 77.492 88.226 29 30 31 32 867.073 23.382 1.314 44.509 935.934 1019.128 1089.886 1182.997 1306.976 1465.931 1660.367 1817.927 1958.623 23.289 26.530 35.300 44.878 45.343 49.712 67.493 87.305 91.515 1.988 2.526 3.204 4.755 9.526 14.404 18.040 23.799 34.138 49.314 52.995 57.218 62.199 71.065 71.336 80.563 86.713 95.250 33 34 35 36 37 317.533 314.409 0 2.396 728 353.374 34'1.727 0 2.111 876 392.083 387.950 0 3.172 961 410.422 400.781 3.946 4.504 1.191 445.45 7 434.001 2.951t 7.176 1.326 496.009 484.240 2.840 7.292 1.637 566.501 553.013 2. 598 8.966 1.924 653.050 633.857 4.3CO 12.860 2.033 717 .816 6'12.552 4.901 17.865 2.498 745. 370 721.760 4.375 16. 372 2. Bo3 COMMERCIAL BANKING COHHERCI AL BANl(S BANK AFFILIATES FOREIGN BANl(ING AGENCIES BANl(S IN U.S. POSS. 33 3 't 35 3o 37 38 39 40 41 42 480.335 191.397 124.362 57.681 9.354 507 .969 206.366 133.419 62. 728 10.219 544.994 221.973 143.120 67.135 11.118 583.742 236.611 152.704 70.121 13.786 625.708 253.969 164.B91t 73.919 15 .156 685.033 293.215 192.518 83.494 17.203 763.978 340.521 227.263 93. 238 20.020 8'tl .221 376.520 254.718 98.281 23. 521 902.294 403.006 275.522 100.610 26.874 992. 350 453. 745 310. 524 lll.227 31.994 PRl VATE NONSANI( F lNANCE SAVINGS INSTITUTIONS SAVINGS + LOAN ASSNS. MUTUAL SAVINGS BANKS CREDIT UNIONS 38 39 40 41 42 43 44 45 46 47 235.415 llt5.941 31.893 34.948 22.633 248.422 153.341 32.762 38. 280 24.039 262.250 160.687 33. 823 41.640 26.100 275.584 167.625 34.621 45.468 27.870 292.708 174.605 36,866 lt9.602 31.635 306.900 182.759 35.403 52.8 76 35.862 324.724 192.463 34.624 57.614 40.023 348.557 204.767 37.114 63.299 lt3.377 378.647 217.713 42.934 69.766 48.234 417.954 234.839 50.956 78.451 53. 708 INSURANCE LIFE INSURANCE COMPANIES PRIVATE PENSION FUNDS ST.+LOC. GOVT, RTR. FUND OTHER INSURANCE COS, 't3 44 45 46 't7 48 49 50 51 52 5'1 53 .523 44.937 0 5.355 0 3.231 53. 181 45.45 5 0 4.843 0 2.883 60.Til 50.622 830 5. 791 0 3 • 528 71 .547 79.031 61.924 3.904 7.208 0 5.995 84.918 66.87 5 6.203 1.201 0 4.633 98.733 76.196 10.396 7.190 0 4.951 116.144 87.670 15.956 6.988 0 5.530 120.641 92.655 16.145 6.668 757 4.416 120.651 94.473 13.178 7.343 1.451 4.206 FINANCE N.E.C. FINANCE COMPANIES REITS OPEN-END INVESTMENT COS. HONEY MARKET FUNDS SECURITY BKRS. + DEALERS ltB 49 50 51 52 53 59.182 2.001 6.695 0 3.663 22 23 2.. 25 26 REST OF THE WORLD U.S. GOVE RNHENT 27 28 FINANCIAL INSTITUTIONS SPONSORED CREDIT AGENCIES HOR TGAGE POOLS FEDERAL RESERVE SYSTE M 29 30 31 32 ----- ----------------------- TOTAL CLAIMS AND THEIR RELATION TO TOTAL FINANCIAL ASSETS 1182,141 1261.351 1369.749 1487.833 1595.322 1748.296 1941.855 2186.988 24ll.079 2626.713 2. 765 4.646 4.818 5. 062 5.105 5.334 2.564 5.956 861 6.446 706 6.979 560 7.401 1.857 7.733 2.292 8.670 TOTAL CREDIT Hl(T. LIABILITIES IFROH PRECEDING TABLE I OTHER LIABILITIES: OFFICIAL FOREIGN EXCHANGE TREASURY CURR. + SOR CTFS. DEPOSITS AT FINANCIAL INSTS. 8ANl(lNG SYSTEM DEMAND D EP. + CURRENCY TIME + SAVINGS DEPOSITS SAVINGS INSTITUTIONS 2 3 4 5 6 4 5 6 7 8 530.531 351.485 191 .651 159.834 179.0ltb 586.110 390.393 206.645 183.748 195.717 634.379 425.942 221.473 201t.469 208.437 640.865 424.501 229.376 195.125 216.36'- 708.310 471t.840 241.750 233.090 233.470 807.733 533.737 259.284 274.lt53 273.996 920.887 1017.41t5 1103.598 1209. 587 600 .881t 669. 618 734.420 780. 623 284.088 301.888 308.925 325.ooo 316.796 367.730 425.495 455.617 320.003 347.827 369.178 428.964 9 10 11 274.869 28.097 246.772 301.827 29.492 272.335 328. 151 30 .814 297.337 343.702 32.399 311.303 369.888 34.886 335.002 412.650 37.800 374.850 465.949 lt0.862 425.087 402.080 43.065 419.015 461.263 45.872 415.391 533.184 49. 586 483.598 INSURANCE + PENSION RESERVES 9 U.S. GOVERNMENT 10 INSURANCE SECTOR 11 12 13 14 15 18.729 124.893 22.115 152.173 25.752 133.925 17.195 165.978 32.334 151.693 20.210 185. 707 25.676 175.132 .17 .096 215 .122 24.877 184.655 13.951 228.282 28.722 196.131 15.788 242.503 37.391 213.501t 15.703 268.099 29.470 239.146 18.239 315.251 24.460 262. 61t6 19.410 366.983 28.986 212. 757 16. Olt9 406. 888 SECURITY CREDIT TRADE DEBT PROFIT TAXES PAYABLE MISCELLANEOUS 12 13 14 15 16 17 28.856 34.829 31.528 44.701 35.305 52.677 37.228 48.289 ltl.685 47.618 47.267 56.694 49.252 59.831 57.116 46.519 61.901 34.061 58.610 lt2.178 INTERBANK CLAIHS INVESTMENT COMPANY SHARES lb 17 18 2374.71t6 2575.778 2820.091 3001.382 3223.108 3563.091 3980. 156 4380.215 4754.991 5205.914 19 20 647.824 43.185 823.938 41.600 981. 352 40.905 866.353 41.015 859 .373 1003.7 41 ll42.237 44.689 48.069 55.870 861t.526 61.088 608.911 61.028 812.482 60.978 21 22 23 -232 13.936 -16.946 -565 13.434 -18.292 -178 14.647 -20. 728 -706 17.439 -22.833 -656 l9.31t3 -22.907 -838 21.371 -21t.869 -261 25.182 -30.760 78 26.753 -32.276 -152 33.055 -31t.810 -271 34.964 -36.168 24 25 26 -2.198 4.194 l5.U4 -1.982 4.161 16.201 -1.733 5.237 20.654 -1.514 4.800 29.459 -1.593 4.021 27.243 -1.58 1 3.7 80 29.988 -1.734 3.669 33.089 -1.715 4.150 38.965 -1.920 4.035 38.358 -1.942 ... on 36. 593 27 3051.897 3428.359 3824.449 3882.105 4101.719 lt587.050 5149.078 5269.871t 5386.364 6042.121 fftJllfT ANOUNTS. ARE IN IIJLLJONS https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL LIABILITIES ABOVE + FINANCIAL ASSETS NOT INCLUDED IN BORROWING OTHER CORPORATE EQUIT JES GOLD + SDR 1 S - FLOATS NOT INCL. IN ASSETS DE.HAI'«) DEPOSITS-U.S. GOVT. OTHER TRADE CREDIT - LIABILITIES NOT ALLOCATED AS ASSETS TREASURY CURRENCY PROFIT- TAXES PAYABLE HI SCELLANEOUS TOHLS ALLOCATED TO SECTORS AS ASSETS Ill EXCLUDES CORPORATE EQUITIES. OF" DOLLARS". 7 a 18 19 20 21 22 23 24 25 26 27 Oh.l:MBE:R 1'716 ASSElS ANO LIAflLfll�S Gf lN�lvlDUAL� A�Sl:TS AND LIABILITJI:� 0� INDIVICJALS 170 Yl:AR-ENO ASSE TS ANO LIABILlTll:S Uf lNulVIOU ALS IN THE U.S. Ill YEAR-tNO UUTSTANOINGS, t<,4o-�'> HAR-1:NC OUH UNL·INGS, l<l4t>-�!, l '14o 1947 1946 3'17 .914 75. ooO 56.4lb 408.014 15 .c; 4� 59 .85 I 414.125 B.057 6l.093 •d3.4o4 1 !.0:>3 o'+. 7.:)� 4t>8. 664 13. c,1)3 61.1ec; 5)0.001 16.,:7c n.011 5 ..5.40'1 19.i,76 19.791 55b.','!>4 t,0.849 t't.010 65:,.Ic,l 83. 0.1.:; ',1. )',4 1 :'3. t>lc; h"'te � l 5 105. e .. l Sl:C<>itllHS u.s. SAV lll<i>S bONuS OTHER u. s. TRl:ASURY Stl. u. 5. GOVT. AGENC 'f Sl:C.. STATE: LOCAL Oi!LIGAllONS lb4.100 ..... 151 2;.. l"-l 3c'. c..504 Ul3.493 4 6. i 36 21.138 ilS c,.9 .. 6 11!3.401 47.831 19.722 21e 7 .952 194.3.22 4',. 300 l -.,. 3o'j 1 o;<; b.64� 21:>. i,88 -.9.552 lb.538 1�4 9.IS! .239.4ol 4'1.081 l l. <,5<, 255.914 ..9.113 10 ...0 .. � 5tl 11.54 3 i:>0.381 4',.371 l'f.Lc9 J�3 •"-:;o 3t<l.03b :,O.U.', 18. 47,. 13.313 16.bh 100 b.i,<;5 (Oki>ORAT t: ♦ fOl<i:.IGN 80NU� OPl:Jl,-Ml<.T f, AP cR, EH. INVUT'°IENT COM DA NY SHAk ES OTHH C.ORPORIIH E�Ulllt: S 11. 4t7 0 1. �c;7 102.UbE, 1.836 0 l.4ll <19.b34 7. 54!> 0 l .51:> <;t; .bl!! 1.391 0 3.ulG 106. 371 ...7 7 :> iO 3. ;j4'-, 130.:ll4 e.;:95 0 :;.'-8 l I :>l .805 t..117 l 3. '131 l t.b. ',b 7 6.022 ',l 4. 1 .. ;, 151:1.2!>5 5.�53 l3 6.109 2.:6 .81:15 5. 9',4 11 7 i. t:lb , 1 �- ',;' 9 9 le..· PRIVATl LIH lNSUk.i.NC.i. RE�. PR IVAH INSURED Pt:N. R l:S. PR IVA l E NONINSURl:D PEN. Kl:S. GOVT. INSURAll,(.E ♦ "t:N. >ll::,. MISc.ELLANt:OUS FINAN. A�:,� TS 31:1. oC.2 3.1()0 3.510 10.c,o:, .:4.7c,l ., l.147 j.lOO 4. 135 12.bbb 2 7. 180 .. .;.111 4 • .::00 4.12b 14.140 29. :;2 5 -.c..."9...4 4.el5 ,. 3c2 15. i:00 3(... ',43 ..,..,. "PO 5.oOO 1.0'>b 17.!>c,1 3.t. dCl :;1. 63 5 6.515 8.171 b.llL 34.656 54.4eO 1.100 9 .842 21.23!! 3o.560 57. j8b o.825 l 1.1 ..1 2:l.166 3b.5R6 c-0 • .;8<; 10.uoo 13 .& .. 1 ;;.,..7h 40.t,t,:, b�• 45'1 U • :.l5 18.34.l 2o. 1,7._ "°i.7l.4 1� 1.. 15 16 ,2.101 21.001 10.0c,O e.38 .. i..195 ;.OOo 1.1,,1 b2.48l 26.2ob JJ.058 11.598 l .bil 2.oso 9.618 H.l4j ::00 .dbl 12.411 14.449 l. 5._7 , .182 11.092 i>,.87f< 3�.2!14 I�-7Lll 17.3., .. 1.t1l'1 2.3dl I 2. 3t,2 '79.121 41. '19b 15. 897 21.411 '-• 51'1 2.!>11 14.665 110.s1e .. b.62 .l 17.685 :...2.112 2.3�3 2. 165 lt..741 U5.105 55. 204 l'l.2t:1 27.5i.O l.569 2 .c;oz 11.b43 l3b.c,9j 62.b10 20.101 31.393 3.032 3.122 11.169 154.57b 11.73c. 22. ::,s8 31 .4c,', ... i:;1 :l.3:,7 c:0.500 l"/'1.654 8 3.4l 5 t.•-101 :l8. 6.'lO ...dl6 �-55CJ �•-�1L 18 19 LO ,: l .. H,lAl FINANCIAL AS�EH OE:MAND 01:POSilS CUki<ENCY SAV}N(,S AC COUNl S 1 10 11 1.: 13 14 l� lb 11 .. 1951 :,11 9. 52 9 ., .. .,._,; .',,be olO b 19.347 11 L, 17 ------------------------------------------------------------------------------------------------- lii TLTAL LIAP.ILITIE.� MTG. DEbT ON NONFARM HC"1E S NON CUKP. aus. MlJKT ,,A(.£ DE:8) (GNSUMEk C Rtlrl 1 �c:C.URITY (Rt.DI T POLlC.Y LOANS OTHl:R OE BT l'I 2L 21 22 23 2.. 23 ,4 (11 C.OMBlNi:D STAHMENl fOR HlluSE nOLO:, • � l<kM, ANO NON FARM NON(OKPOR AT l bU�INcSS. MONl Y AMOUNl� ARI: I" Ml LL 101\o� ur OOLli.KS. HAR-ENO OUTSTANl-lNGS • l95t>-b!> YEAR-EJl,0 CJUTSTANOINGS, 1950-05 --------------------------------------------------------------------------------------------------------------------l',b4 1'163 l'ibl 1965 1900 1'161 19;9 l'151l 1957 1950 ----------------------------------------------------------------------------------------------l JOTAL FINANCIAL ... ssns DE MAND DEPOSITS ♦ (URRLNC. Y SAVINGS AC COUNTS ?dO... o .. bo.000 ll5.,c;4 769.140 i, 5. 556 lrl.2!>9 9U7.110 t,<;.333 141.131 97,..433 1000.550 1145. 104 1120.760 12:,0.360 1361.c:,64 14<;,·1. 1:,3.:: 89.l2L 101.951 i,9.602 94... 22 'il. 394 c.o.407 90.141 1s.2.uo 164.844 li>3.15<;. 209.311 t.35. olt> 261-818 ,:ac,,.11CJ 4 5 SECUt<IT 11:S u.s. SAVINGS BONuS OTHER u. s. TKEASURY SEC. u.s. GOVT. AGE NC 'f SEC.. Sl Al E + LOCAL OBLIG"'TIONS ..04. b50 50.135 lC,,843 1.09.l .:l.49<, 310.3l6 4&.;/26 .:1.7c,4 1.177 23.190 474.134 47.703 19.491 l.d7 24.003 5U.558 4;.907 25.441 2.9 ..4 27.I t:.7 510.180 45'.642 25. llt>L 2.491 30.802 617.153 46.4.. 5 .<5.281 2 .131 32.00 8 55<..5c,9 4b.968 2c,.592 3.lc,4 30.9«;6 t>31.642 48.149 30.4t,C,, ::,. ,19 31.986 b93.8ol 49 .ooo 31.015 4.140 34 .6.::7 1o9.lt>l 49.t.95 3).371 5.%5 j6.'tl2 9 10 11 12 (ORPOkAlE + FOREI.;N BONDS O PEN-MKT PAPER, i:TC.. INVEST ME NT C.OMPANY StiAkt:S OTHl:R CORt'ORA Ti: E:OulllES b.932 93 9.046 t.96.010 1.853 235 8.11 .. 258.6l7 c:,.970 80 13.241 3b0.0l3 c;.133 ., 15.818 9.914 ,o �86.ll<; 9.516 52 21.211 4 16.010 9.645 61 25.214 488. 59c,, 9.7;:0 17.0/6 378.3b3 9.943 16 22.815 477.854 29. llo 535 ....92 10. 8£4 21 35.2.!L 000.,::,3 13 14 lS. lb 17 PRIVATI: LI FE INSURANCt �Es. PRIVATE INSURfD PEN. k ES. PRIVAT I: NONJNSUREO Pi:N. i<tS. GOVT. INSUR ... NC.E + PEN. Re�. Ml Sc.ELLANEOUS FINA.N. "'!>SET:, 66.626 12.500 d.108 29.080 45.146 69.i 77 14.100 d.437 31.326 .. 1.859 n.294 1,.000 29.229 34.12fl 5l.3ll 15.bUo 17.575 34.11:; 31.vn 54.3t>2 78.758 l8.a50 38.148 ..0.2 ..6 !>8.136 8.2.112 .:.0.250 46.)40 4�.184 62.365 85.754 21.625 41.152 41.lc,l b5.586 8S.8b0 2 ::..300 55.020 Sl.3u4 b!l. 391: c;,..1n 2>.250 64.311 55 .9.24 72.106 98.86:'l i 1. 3.< 5 73.b47 60.81� 15.69 .. 1'11.1159 'f4.o56 2c,.482 42.334 4.773 3.ao .. 25.810 21:i.464 103.65 1 28.041 44.911 4.3t>5 ....189 28.2 4 1 229.c,10 113.440 30.537 45.12', 5.522 4.54d 30.428 2!>6.450 li5.855 33.7'15 51.544 5.53b 5.018 34.102 218.187 137.424 30.3!>2 56.141 5.398 5.071 37.201 o<96.99Z 1s.o.03·5 40.08& 57.982 6.136 b.230 37.921 120 .6'13 163.9,H ......585 63.821 6.610 6.774 40.9<.2 361.763 180.412 --.9.909 71.Hc,, 8.561 7.234 ... ::..'102 398.t,60 197.obl S,c,.619 1!0.2b8 8. 362 7.75i< ',1.992 ..3'1, 032 2)'t.741 t .;.15 5 ti9.88� 9.0<;b 8.338 5;h611 t3 "5 b 1 9 10 11 12 13 14 1� lo ----------------------------------------------------------------------------------------I -7 18 TOTAL LIAf.lllTIE� MTG. OEST ON NONFARM HOMES }C/ NONCORP. sus. MO RTGAGE Dt.B T 20 CONSUMER CREDIT 21 SECURITY CREDIT £2 POLl(Y LOANS 23 OTHER DEBT 24 111 C.OMB INED STATE.Mt:NT FOR HOUSt:HOLDS, I-ARM, Al',() NONFARM ""0NCO RPORATE B USINESS. MONE:Y AMOUNTS A RE IN MlLLIONS OF DOLLARS. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 16 l'I 20 il 22 H 24 OECEMB El\ 1976 � SS!:TS ANO LIABJLJTIES OF IND JV JDUALS ASSETS ANO LIABILITIES OF JNOIVIOUALS 171 YEAR-ENO A SSETS A NO LIABILITIES OF JNOJVI DUALS IN THE U.S. 111 --------------------------------------------------------------------------------------------------------------------------------------------------------------- YEAR-END OUTSTANDINGS, 1966-75 YEAR-ENO OUTSTANOJNGS, 1966-75 1966 l 2 3 1967 1968 724.515 50 .249 33.601 10.785 39.,35 880.138 1028. 040 51.866 51.219 38 .030 33.792 12.665 11.211 3b.890 37. 56 2 9 10 11.870 2.757 34.829 540.589 15.118 590 44.701 685.885 13 14 15 16 17 103.450 108.224 18 19 20 21 22 23 24 469.223 228.431 12 1970 1971 1972 1973 1974 1 975 1491.4116 1725.839 1949.829 1897.268 1962.002 2191.223 2433.151 2300.428 2198.709 2548. C,16 104.327 114.278 125.366 128.017 136.917 146.0 3 0 160.8 55 173 .550 176.680 185.564 307.716 342.88 l 373.887 383.102 426.747 494.617 565.571 633.429 691.308 776. 230 4 5 6 7 8 11 1969 29.425 75.781 66 .213 80.059 19.418 943.663 51.770 43.894 17.674 4b.033 25.189 924.677 1028.271 1119.801 52.089 54.416 57.667 3 0.784 20.155 19.916 22.313 20.054 16.542 45.248 44.984 47.148 35.941 775 44.50 8 131 52.677 816.363 48.289 706.843 47.618 689.909 786.3 42 32.050 89.417 72.136 86. 715 ll2.859 34. 975 101 .456 78.661 94.385 117.771 37.900 102.385 85.646 98.784 122.907 41. l75 110.617 95.189 103.773 129.008 46.::150 130.520 106.772 l 09.655 502.828 2'91.700 75.281 100.783 12.709 10.819 61.536 546 .196 258.3'i8 e1. n1 110.770 15.627 12.109 67.555 588.596 276.555 88.737 121.146 12.225 14.713 75.220 t-2 l .619 291.260 96.108 126.997 10.445 17.021 79.788 680.825 318 .38 7 108.166 138.640 13.109 18.034 84.489 3.971 1.118 56.694 48.417 1.119 59. 1131 869.161 135.499 52.300 156.702 ---------------------------------------------------68.959 9b .239 9 .025 9.827 56.742 121.448 120.975 771.853 359.864 124.103 157.247 17.571 18.984 94.084 901.775 60.354 34.211 15.882 54.371 TOTAL FINANCIAL ASSETS DEMAND DEPOSITS + CURRENCY SAVINGS ACCOUNTS 729.416 63.338 40.544 13.836 65.538 90-.. 516 67. 363 46. 982 9.069 74.196 SECURITIES U.S. SAVINGl> BONDS OTHER U.S. TREASURY SEC. U.S. GOVT. AGENCY SEC. STAH + LOCAL OBLIGATIONS 56.648 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 5 b 7 8 4.505 46.519 65.•n8 10.469 42.178 586.331 CORPORATE + FOR cl GN BONDS OPEN-Ml<. T PAPER, ETC. INVESTMENT COMPANY SHARES OTHER CORPOI\ATE EQUITIES 9 10 636.870 12.394 34.061 443.057 142.708 56.0SO 135 .202 128.120 129 .594 149.065 60.775 116.568 134.855 138.042 156.889 71. 875 148. 883 155.537 14<:,. 422 PRIVATE LIFE INSURANCE KES. PRIVATE INSURED PEN. RES. PRIVATE NONINSURED PEN. RES. GOVT. INSURANCE + PEN. RES. MISCELLANEOUS FINAN. ASSETS 13 867.121 406.822 139.808 178.964 13.218 21.205 107 .104 926.961 989. 745 481.245 159.650 197.276 13. 660 2!>. 521 112.393 49.063 441.95 9 152.151 188.740 l l.41 b 23.904 108.791 ------ TOTAL LIABILITIES 0 MTG. DEBT ON NONFARM HOMES NONCORP. bUS. MORTGAGE DEBT CONSUMER C.REOJT SECURITY CREDIT POLICY LOANS OTHER DEBT 111 COMBINED STATEMENT FOR HOUSEHOLDS, FARM, AND NONFARM NONC.ORPORATE SUSINESS. MONEY AMOUNTS ARE IN MILLIONS OF DOLLARS. 2 3 11 12 l't 15 16 17 18 19 20 21 2.2 23 24