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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 \