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Released for publication,

Thursd~y

morning, March 14, 1918.

X-801
Not earlier

STATEMENT Fa! THE PRESS

334

FEDERAL RESERVE BOARD, MARCH 13, 1918.

ABSTRACT OF REPORTS OF CONDITION OF NATIONAL BANKS • MEMBER STATE
BANKS AND TRUST COMPANIES AND ALL MEMBER BANKS IN THE FEDERAL RESERVE SYSTEM ON DECEMBER 31, 1917.
(In thousands of dollars)

---------------------------------------------------------------------------Total member
National
:State banks
banks
(7657)

RE S 0 URCE S
---------

Loans and discounts ••••••••••
Overdrafts •••••••••••••••••••
Customers liabilities account
of acceptances*~~ •• ~ .••• : ••
U. S. securi·i:.ies •••••••• , ••••
Other bonds, stocks & sec ••••
Stock of Federal Reserve banks:
Banking house ••••••••••••.•••
Other real estate owned~ ••. ~~
Furniture and fixtures ••••••• t
Due from banks and bankers ••• ~
Exchanges for Clearing House
also checks on oanks"in

9,387,849
15,066

~and Trust com":
1panies (250)

2,418,663
1,202

banks
(7907)
11,806,512
16:o268

236~509

140,807

377,356

1,620,50].
1,912.055
55,933
27:3,609

234~592

11858~093

a·/1J566

46,045

66,713
13,486

32,279
1,803,987

2~912

2,783,621
70,743
340,322
59.531
35,191

324,569

2,128~556

14~810

969,489
same ple.ce, . ............... .
241,963
Outside.checks and other cash
items ••••••• ~ ••••• ~.~ •••• ~.
59,575
22.~721
82,296
Cash in vault................
530;590
97,COO
627&590
Due from Federal Reserve·banks: 1,268,862
387,438
1,656,300
Due from U, s. Treasurer.....
42,627
1:071
43,698
Other assets ••••••••• ; • • • • • • • t.._..~~4;;.;8i-!,~1:..;4~7_.:_..,......;l;..r7..;4.!.,;.33;;..;2~~---~~2m2~2~,.-r4~77:9__
TOTAL RESOURCES ••••••••• : 18,064,160
5,013,885
23,078,045

------------------------------:-------------!·-------------:---------.------L I ABI L I T I ES
Capital stock paid in •••••• ,,
Surplus fund •••• , ..•••••.••• ,
Undivided profits less expen~
ses and taxes paid •....•..•
~urit reserV-ed.. for taxes accru:

1,091,856
763,639

219,294
301,471

1,311,150
1,085,110

323.050
15,721

48.483
6,113

371,533

~t·~~·~·~~ ~~~ l•t~a~o~~.:

9~98)

1,651

National bank notes outstand,
Due to Federal r.eserve banks.
Due to other banks & bankers.
Demand deposits including unpaid dividends and dfl..Jd:rhrs '.:

673,728
3,180
3,190,492

...10

449,015

21,834

lf ••.:n

673,728
3,190
3,639,507

11,179,676
2,746.899
checks • ............ ~ , .. - ... , . ,.
s.~.7rtv
3,15E,241
858,460
Time deposits •••.•.•.•...••••
2,297,781
649,413
135,014
514,399
U, S. deposits ••••••••.•••. ,,
132,633
).32,633
U.S. and other sec. borrowed.
229,598
30,349
199,249
Bi-lls payable with F .J. banks.
Bills payable other th8n with
85,258
18,375
66,88:3
Federal Reserve banks •.•.•.
390,90.
136,074
254,826
Acceptanees** .•••.•••.•.•...•
130,843
56,777
74,066
Other liabilities ••.••••.....
23,078,045
ta,os4,16o
5,013.885
TOTAL LIABILITIES ••.•..•
------------------------------~-------------:--------------;----------------

Liabilities for rediscounts
including those with Federal Reserve banks .••.•.•••

475,416

96,501

571,917

-----~------------~----·-----------------·------~·---------·----------------

*
**

Including customers' liability under letters of credit.
letters of credit and tra,•lers' ehecks outstanding.

Including



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