statement of condition · July 14, 1977

H.4.1 Factors Affecting Reserve Balances of Depository Institutions

FEDERAL RESERVE Factors Affecting Bank Reserves and Condition Statement of F.R. Banks H.4.1 For immediate release July 15, 1977 Averages of daily figures Member bank reserves, Week ended Change from week ended[Wednesday Reserve Bank credit, July 13, * July 6, July 14, July 13, * and related items 1977 1977 1976 1977 Reserve Bank credit: 17 (In millions of dollars) WW U.S. Government securities-- Bought outright—System account 97,435 - 422 + 8,436 96,699 Held under repurchase agreements -4,270 Federal Agency obligations-- Bought outright ,423 — + 618 7,423 Held under repurchase agreements — - 511 Acceptances- Bought outright 37 5 313 32 Held under repurchase agreements — - 486 Loans- Total member bank borrowing 159 - 106 17 381 Includes seasonal borrowing of: 52 6 + 29 51 Other borrowing Float 5,109 +1,515 + 1,661 4,106 Other F.R. assets 3,175 + 105 - 1.285 3,167 Total Reserve Bank credit 113,339 -4,180 -1- 9, 100 111,808 Gold Stock 11,616 4 + 18 11,605 Special Drawing Rights certif. *acct. 1,200 — + 500 1,200 Treasury currency outstanding 11,140 + 17 + 499 11,142 137,295 -4,166 +10 ,117 135,755 Currency in circulation ** 97,912 + 842 + 7 ,941 97,751 Treasury cash holdings ** 448 + 6 - 28 450 Treasury deposits with F.R. Banks 9,022 -3,538 + 1 ,901 8,527 Foreign deposits with F.R. Banks 271 - 97 + 16 251 Other deposits with F.R. Banks 4/ 621 - 103 - 151 615 Other F.R. liabilities and capital 3,261 - 199 + 49 3,284 111,535 -3,089 + 9 ,727 110,878 Member bank reserves: With Federal Reserve Banks 25,760 -1,079 + 390 24,876 Currency and coin 8,971 + 290 + 571 8,971 Total reserves held 5/ 34,853 - 787 + 934 33,969 Required reserves 34,379 - 713 + 489 34,379 Excess reserves 5/ 474 74 + 445 - 410 NOTE: A net of $143 million of surplus reserves were eligible to be carried forward from the week ended July 6, into the week ending July 13. On July 13, 1977, marketable U.S. Government securities held in custody by the Federal Reserve Banks for foreign and international accounts were $57,781 million, a decrease of $376 million for the week. 1/ Net of $1,050 million, daily average, matched sale-purchase transactions outstanding during the statement week. If Excludes $1,772 million of securities sold, and scheduled to be bought back, under matched sale-purchase transactions. 3/ Includes $107 million securities loaned—fully secured by U.S. Government securities pledged with Federal Reserve Banks. 4/ Includes $10 million of certain deposits of foreign-owned banking institutions voluntarily held with member banks and redeposited in full with Federal Reserve Banks. 5/ Adjusted to include $122 million waivers of penalties for reserve deficiencies in accordance with Board policy effective November 19 1975 * Estimated (New York District). ' ** Estimated (Treasury's figures). Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

H.4.1(a> CONSOLIDATED STATEMENT OF CONDITION OF ALL FEDERAL RESERVE BANKS (In millions of dollars) Wednesday i Change since July 20, (July 13, July 21, **1977 1 1977 1976 A S S E TS Gold certificate account 1,605 -- + 7 Special Drawing Rights certif. acct. * 1,200 — + 500 Coin 352 + 49 + 5 Loans 222 - 161 + 97 ^Acceptances*-Bought outright 25 - 7 - 315 Held under repurchase agreements 186 + 186 + 186 Federal Agency obligations—Bought outright 7,423 — + 618 Held under repurchase agreements 473 + 473 + 473 U.S. Government securities: Bought outright—Bills 38,555 - 808 + 920 Certificates Notes 49,088 — + 3,339 Bonds 88,,224488 — + 2,151 Total bought outright 1/2/ 9955,,889911 - 808 + 6,410 Held under repurchase agreements 2,527 +2,527 + 2,527 Total U.S. Government securities 98,418 +1,719 + 8,937 Total loans and securities 106,747 +2,210 + 9,996 Cash items in process of collection (2,181) 10,896 + 663 + 1,681 Bank premises 372 — + 25 Other assets \j 3,868 + 169 - 196 TOTAL ASSETS (2,181) 135,040 +3,091 +12,018 L I A B I L I T I ES Federal Reserve notes 87,191 - 170 + 7,545 Deposits: Member bank-reserves account 28,833 +3,076 + 896 U.S. Treasury—general account 7,220 -1,307 + 2,178 Foreign 247 4 30 Other £/ 1,867 +1,190 + 725 Total deposits 38,167 +2,955 + 3,769 Deferred availability cash items (2,181) 6,299 + 211 + 630 Other liabilities and accrued dividends 11,,003355 2244 9 TOTAL LIABILITIES (2,181) 113322,,669922 ++22,,997722 +11,935 C A P I T AL A C C O U N TS Capital paid in 1,004 „ + 44 Surplus 983 -- + 54 Other capital accounts 361 + 119 15 * Figures in parentheses are the eliminations made in the consolidating process. 1/ Excludes $2,253 million of securities sold, and scheduled to be bought back, under matched sale-purchase transactions. 2/ Includes $116 million securities loaned—fully secured by U.S. Government securities pledged with Federal Reserve Banks. 3/ Includes assets denominated in foreign currencies. 4/ Includes $10 million of certain deposits of foreign-owned banking institutions voluntarily held with member banks and redeposited in full with Federal Reserve Banks. ** Estimated (New York District). MATURITY DISTRIBUTION: OF LOANS AND SECURITIES. JU*Y 20, 1977 (Acceptances and securities held under repurchase agreements are classified as maturing within 15 days in accordance with maximum maturity of the agreements.) U.S. Government Federal Agency Loans Accept securities obligations ances Holdings Weekly Holdings Weekly changes changes Within 15 days 196 195 5,770 +1,967 503 +451 16 days to 90 days 26 12 17,165 + 755 336 - 30 91 days to 1 year 4 28,132 -1,004 1,074 27 Over 1 year to 5 years 29,652 + l 3,648 12 Over 5 years to 10 years 11,233 1,512 13 Over 10 years 6,466 -- 823 Total 222 211 98,418 +1,719 7,896 +473 Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

H.4.1(b) STATEMENT OF CONDITION OF EACH FEDERAL RESERVE BANK ON July 20, 1977 ' * New Phila Cleve Rich St. Minne Kansas San Total | Boston York delphia land mond Atlanta Chicago Louis apolis Citv Dallas Francisco (In millions of dollars) A S S E TS Gold certificate account 11,605 541 3,379 631 934 982 560 1,736 469 225 393 456 1,299 Special Drawing Rights certif. acct. 1,200 60 300 71 103 109 62 190 50 24 42 46 143 Coin 352 12 18 14 43 33 29 25 63 16 41 17 41 Loans 222 17 29 -- 2 12 9 20 1 5 28 59 40 Acceptances: Bought outright 25 25 Held under repurchase agreements 186 186 Federal Agency obligations- Bought outright 7,423 347 1,752 396 621 592 366 1,189 315 182 298 371 994 Held under repurchase agreements 473 473 U.S. Government securities: Bought outright— Bills 38,555 1,802 9,100 2,057 3,227 3,073 1,904 6,176 1,636 943 1,547 1,928 5,162 Certificates Notes 49,088 2,294 11,586 2,619 4,109 3,912 2,423 7,864 2,083 1,202 1,969 2,454 6,573 Bonds 8.248 385 1,947 440 691 657 407 1,321 350 202 331 413 1,104 TToottaall bboouugghhtt oouuttrriigghhtt ..11// 22// 95,891 4,481 22,633 5,116 8,027 7,642 4,734 15,361 4,069 2,347 3,847 4,795 12,839 HHeelldd uunnddeerr rreeppuurrcchhaassee aaggrreeeemmeennttss 2,527 2,527 TToottaall UU..SS.. GGoovveerrnnmmeenntt sseeccuurriittiieess 98.418 4,481 25,160 5,116 8,027 7,642 4,734 15,361 4,069 2,347 3,847 4,795 12,839 Total loans and securities 106,747 4,845 27,625 5,512 8,650 8,246 5,109 16,570 4,385 2,534 4,173 5,225 13,873 Cash items in process of collection 13,077 423 2,347 325 586 2,036 1,303 1,614 540 562 964 622 1,755 Bank premises 372 1 110 9 56 24 61 14 16 13 30 18 12 9 Other assets 3/ 3,868 91 2,281 108 151 152 151 282 94 51 79 90 338 Interdistrict settlement account -0- + 29 -2,065 - 305 + 280 + 292 - 599 4- 824 - 49 - 50 + 174 + 964 + 505 TOTAL 137,221 6,111 33,894 6,412 10,771 11,911 6,629 21,257 5,565 3,392 5,884 7,432 17,963 * Estimated (New York District). 1/ Excludes $2,253 million of securities sold, and scheduled to be bought back, under matched sale-purchase transactions. 2/ Includes $116 million securities loaned--r'ully secured by U.S. Government securities pledged with Federal Reserve Banks. _3/ Includes assets denominated in foreign currencies. Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

H.4.1(c) STATEMENT OF CONDITION OF EACH FEDERAL RESERVE BANK ON JULY 20, 1977 New Phila Cleve Rich St. Minne Kansas San ! Total Boston York delphia land mond Atlanta Chicago Louis apolis City Dallas Francisco * (In millions o f dollars) L I A B I L I T I ES Federal Reserve notes 87,191 4,463 22,336 4,756 7,581 7,792 3,352 14,408 3,701 1,842 3.233 3,733 9,994 Deposits: Member bank reserves ! 28,833 743 6,530 870 1,647 1,513 1,825 4,424 964 556 1,356 2,302 6,103 U.S. Treasury--general account I 7,220 443 1,212 414 837 594 301 1,003 424 456 314 717 505 Foreign 247 8 72 1/ 10 20 13 18 35 8 7 10 13 33 Other 2/ 1 867 1 1,767 1 1 22 40 5 1 1 3 14 11 ? TotaHdeposits 38,167 1,195 9,581 1,295 2,505 2,142 2,184 5,467 1,397 1,020 1,683 3,046 6,652 Deferred availability cash items 8,480 329 1,124 207 409 1,770 849 878 349 439 802 477 847 Other liabilities and accured dividends 1,035 45 262 50 75 70 74 143 38 24 69 45 140 TOTAL LIABILITIES 134,873 6,032 33,303 6,308 10,570 11,774 6,459 20,896 5,485 3,325 5,787 7,301 17,633 CAPITAL ACCOUNTS Capital paid in 1,004 32 254 43 86 55 77 153 33 30 42 57 142 Surplus 983 35 251 43 84 54 75 148 33 29 41 55 135 Other capital accounts 361 12 86 18 31 28 18 60 14 8 14 19 53 TOTAL LIABILITIES AND CAPITAL ACCOUNTS 137,221 6,111 33,894 6,412 10,771 11,911 6,629 21,257 5,565 3,392 5,884 7,432 17,963 FEDERAL RESERVE AGENTS' ACCOUNTS F.R. notes outstanding 92,505 4,707 23,072 5,165 7,881 8,207 4,424 14,777 3,919 1,944 3,448 4,110 10;851 Collateral for F.R. notes: Gold certificate account 11,601 541 3,378 632 933 982 559 1,736 468 225 393 456 1,298 Special Drawing Rights certif. acct, 752 60 300 — — 109 62 — 50 24 42 46 59 Acceptances ... -- -- — — -.- -- .. -- — _- -- -_ U.S. Government securities 81,335 4,120 19,450 4,600 7,010 7,220 4,000 13,200 3,450 1,810 3,100 3,675 9,700 Total collateral 4.721 23.128 5.232 7,943 8,311 4,621 14,936 3,968 2,059 3,535 4.177 11,057 1/ After deducting $175 million participations of other Federal Reserve Banks. 2/ Includes $10 million of certain deposits of foreign-owned banking institutions voluntarily held with member banks and redeposited in full with Federal Reserve Banks. * Estimated(New York District). Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

Cite this document
APA
Federal Reserve (1977, July 14). H.4.1 Factors Affecting Reserve Balances of Depository Institutions. Statement Of Condition, Federal Reserve. https://whenthefedspeaks.com/doc/h41_19770715
BibTeX
@misc{wtfs_h41_19770715,
  author = {Federal Reserve},
  title = {H.4.1 Factors Affecting Reserve Balances of Depository Institutions},
  year = {1977},
  month = {Jul},
  howpublished = {Statement Of Condition, Federal Reserve},
  url = {https://whenthefedspeaks.com/doc/h41_19770715},
  note = {Retrieved via When the Fed Speaks corpus}
}