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v-^ FEDERAL R E S E R V E BANK OF ST. LOUIS p. O. Box 4 4 2 ST. L O U I S , M I S S O U R I 63166 JUN 2 1 1982 The Federal Reserve Bank of St. Louis did not publish an annual report for 1981. In response to requests, we are furnishing copies of our Statement of Condition, Profit and Loss Statement and Volume of Operations. Research & Public Information Department STATEMENT OF CONDITION FEDERAL RESERVE BANK OF ST. LOUIS ( i n thousands of d o l l a r s ) ASSETS GOLD CERTIFICATE ACCOUNT December 3 1 , J 9 8 1._ December 31, 1980 $ $ 450,000 465,000 129,000 106,000 28,590 24,470 48,570 51,195 5jP71J!M 4,793,566 5^^120 ,£51 5,195,105 631,902 655,656 14,357 13,984 28Jj^l97 J52,092 $ 6,660,997 $ 6,713,117 4,531,395 4,834,701 662,489 741,610 86 118 9,570 10,680 16.767 9,350 _68^,912 76^,758 543,992 569,161 91,656 84,918 _^730,104 39U127 6,586,059 6.641,665 CAPITAL PAID IN 37,469 35,726 SURPLUS 37,469 35.726 74,938 71^151 6,660,997 6,321,990 SPECIAL DRAWING RIGHTS CERTIFICATE ACCOUNT .. COIN LOANS AND SECURITIES: Total Loans Total S e c u r i t i e s Total Loans and Securities CASH ITEMS IN PROCESS OF COLLECTION BANK PREMISES OTHER ASSETS TOTAL ASSETS LIABILITIES FEDERAL RESERVE NOTES DEPOSITS: Depository Institution Accounts ACH Collections Due to Other FR Banks-Collected Funds U.S. Treasurer-General Account* Foreign Other Total Deposits DEFERRED AVAILABILITY CASH ITEMS OTHER LIABILITIES INTERDISTRICT SETTLEMENT ACCOUNT TOTAL LIABILITIES CAPITAL ACCOUNTS TOTAL CAPITAL ACCOUNTS TOTAL LIABILITIES AND CAPITAL ACCOUNTS. *In 1980 funds were transferred to Treasurer on a daily basis, *> ^: Profit and Loss Statement (in thousands of dollars) 1981 Total current earnings Net expenses Current Net earnings 1980 $582,119 46,266 $535,853 $517,308 41,058 $476,250 Net additions (+) or deductions (-) -13,507 -7,594 Assessment for expenses of Board of Governors - 1,878 -1,878 $520,469 $466,778 2,212 2,112 516,514 463,537 1,743 1,129 $520,469 $466,778 35,726 37,469 34,597 35,726 Net earnings before payments to U. S. Treasury Distribution of Net Earnings: Dividends paid Paid to Treasury - Interest on Federal Reserve Notes Transferred to surplus Total earnings distributed Surplus, January 1 Surplus, December 31 Volume of Operations 1 Number (thousand s) 1980 1981 Checks handled Percent Change 806,700 719,900 -10.8 2,000 2,400 2.0 Currency received and counted 355,600 392,600 Government securities issued, serviced and redeemed 13,300 Transfers of funds U.S. Government coupons paid Food stamps redeemed Loans made Percent Change 403,723 1.8 1,813,316 2,050,672 11.4 10.4 3,583 4,305 20.2 10,400 -21.8 128,233 257,296 100.6 400 500 25.0 110 125 13.6 162,700 191,200 17.5 629 737 17.2 76.5 10,612 8,251 -22.2 1.7 3.0 1Total for the St. Louis, Little Rock, Louisville and Memphis offices, 'Excludes U. S. Government checks and postal money orders. Dollar Amount (millions) 1980 1981 $ 396,393 $