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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


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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


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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


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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

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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
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301.387
1. 812

425.4<;",
93.0,.t,
330.450
l.c;99

455.ol7
8.2.898
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2. SZ<;

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3
4
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130.743
6.b03
13. 't62
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149.430
9.6&2
15.892
7.b79
267

167.555
9.05b
19.110
7.409
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3.652
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8.789
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5.347
23.225
7.125
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9.50 9
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7.454
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249.17B
15 .490
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10.203
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131.618
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13.740
135.538
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233.470
71.580
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146.404
144.324
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203.154
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17
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19
20
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307.716

342.881

373-887

383.10.l

426.747

494.617

565.571

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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
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0

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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