Federal Reserve Bank of Dallas. "[Annual Statement - Federal Reserve Bank of Dallas 1965 and Annual Report Issue of Business Review Dated January 1966. Statistical Supplement to the Business Review Dated January 1966. Business Review Articles 1965.]," District Notices (Federal Reserve Bank of Dallas) (December 31, 1965). https://fraser.stlouisfed.org/title/5569/item/552219, accessed on May 14, 2025.

Title: [Annual Statement - Federal Reserve Bank of Dallas 1965 and Annual Report Issue of Business Review Dated January 1966. Statistical Supplement to the Business Review Dated January 1966. Business Review Articles 1965.]

Date: December 31, 1965
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image-container-0 This publication was digitized and made available by the Federal Reserve Bank of Dallas' Historical Library (FedHistory@dal.frb.org)
image-container-1 CONDITION STATISTICS OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES Eleventh Federal Reserve District (In thousands o f dollars) RESERVE POSITIONS OF MEMBER BANKS Eleventh Federal Reserve District Dec. 29, Nov. 24, Dec. 30, Item 1965 1965 1964 ASSETS Net loans............................................... 4,927,895 Va/uafion reserves.. .................................................... 7 9 ,9 0 4 Gross loans...................................................................... 5,007,799 Commercial and industrial loans.................... 2,268,150 Agricultural loans.......................................... 66,952 Loans to brokers and dealers fo r purchasing o r carrying: U.S. Government securities................................... 2 O ther securities....................................................... 47,922 O ther loans fo r purchasing or carrying: U.S. Government securities................................... 3,056 O ther securities....................................................... 324,257 Loans to nonbank financial institutions: Sales finance, personal finance, etc.................... 150,194 O ther.............................................. 305,854 Loans to domestic commercial banks...................... 145,033 Loans to foreign b a n k s ............................................ 4,726 Real estate lo ans. ................................................ 442,805 O ther loans........................... 1,248,848 Total investments............................................................. 2,235,852 Total U.S. Government securities............................. 1,230,512 Treasury bills........................................................... 113,1 81 Treasury certificates o f indebtedness................ 0 Treasury notes and bonds maturing: W ithin 1 y e a r ................................. 178,886 1 to 5 years.................................... 572,548 fte r 5 y e a rs . .................................... 365,897 O ther securities...................................... 1,005,340 Cash items in process o f collection.............................. 858,097 Balances with banks in the United States.................. 491,539 Balances with banks in foreign countries................... 3,655 Currency and coin........................................................... 79,590 Reserves with Federal Reserve Bank........................... 570,027 O ther assets...................................................................... 317,362 TOTAL ASSETS................................... 9,484,017 LIABILITIES AND CAPITAL ACCOUNTS Total deposits.................................................................. 8,161,712 Total demand deposits.............................................. 5,047,764 Individuals, partnerships, and c o rp o ra tio n s .... 3,432,055 Foreign governments and official institutions, central banks, and international institutions.. 3,666 U.S. G overnment ......... ............... 116,776 States and political subdivisions...... 283,199 Banks in the United States, including mutual savings banks. ......... .. 1,115,861 Banks in foreign countries................ 20,417 Certified and officers’ checks, etc... 75,790 Total time and savings deposits.............................. 3,113,948 Individuals, partnerships, and corporations Savings deposits. .................................. 1,364,471 Other time deposits.................................... 1,245,047 Foreign governments and official institutions, central banks, and international institutions.. 1,300 U.S. Government, including postal savings.. . . 3,519 States and political subdivisions ................ 485,522 Banks in the United States, including mutual savings banks..................... 12,549 Banks in foreign countries................. 1,540 Bills payable, rediscounts, etc................... 329,607 A ll other liabilities........................................................... 1 83,055 C a p ita l accounts...................................... 809,643 TOTAL LIABILITIES AND CAPITAL ACCOUNTS 9,484,017 4,785,270 7 9 ,8 1 7 4,865,087 2,176,526 64,560 105 41,464 2,278 305,559 128,219 298,092 172.832 4,054 440,778 1,230,620 2,204,442 1,264,207 141,383 0 168,354 611,838 342,632 940,235 802,673 464.832 3,451 66,859 562,728 300,200 4,597,466 7 3 ,3 9 0 4,670,856 2,075,508 58,729 295 41,301 3,569 278,850 128,591 286,683 221,264 4,152 380,069 1,191,845 2,121,051 1,376,540 120,982 183,954 679,114 392,490 744,511 816,969 524,288 2,939 71,243 537,763 301,687 9,190,455 8,973,406 7,955,621 7,903,528 4,850,893 3,263,519 3,563 153,916 321,856 1,029,641 19,763 58,635 3,104,728 1,347,210 1,313,256 500 3,519 428,393 9,510 2,340 249,750 181,458 803,626 5,153,635 3,384,433 4,026 143,580 305,461 1,216,662 15,145 84,328 2,749,893 1,225,856 1,169,282 500 4,430 339,686 7,839 2,300 152,948 189,728 727,202 9,190,455 8,973,406 CONDITION OF THE FEDERAL RESERVE BANK OF DALLAS (In thousands o f dollars) Dec. 29, Nov. 24, Dec. 30, Item 1965 1965 1964 Total gold certificate reserves............................ . 426,262 433,179 571,000 Discounts for member banks................................ . 14,000 946 20,100 O ther discounts and advances............................ . 2,378 1,914 1,710 U.S. Government securities................................... . 1,650,552 1,609,660 1,344,562 Total earning assets............................................... . 1,666,930 1,612,520 1,366,372 M ember bank reserve deposits.......................... Federal Reserve notes in actual c irc u la tio n .... . 983,186 957,152 919,028 1,163,050 1,091,625 (Averages o f d a ily figures. In thousands o f dollars) 4 weeks ended 4 weeks ended 4 weeks ended Item Dec. 1, 1965 Nov. 3, 1965 Dec. 2, 1964 RESERVE CITY BANKS Total reserves held ..................... . . 608,538 609,454 612,501 W ith Federal Reserve Bank.. . . 564,012 565,287 571,659 Currency and coin.................. . . 44,526 44,167 40,842 Required reserves....................... . . 604,332 605,243 608,105 Excess reserves............................ . . 4,206 4,211 4,396 Borrowings.................................... . . 15,484 21,096 21,679 Free reserves................................ . . — 11,278 — 16,885 — 17,283 COUNTRY BANKS Total reserves h e ld ..................... . . 610,771 601,152 577,559 W ith Federal Reserve Bank... . . 464,627 457,383 444,165 Currency and coin.................. . . . 146,144 143,769 133,394 Required reserves....................... . . 574,065 565,268 539,220 Excess reserves............................. . . 36706 35,884 38,339 Borrowings.................................... . . 1,666 8,680 4,887 Free reserves................................ . . 35,040 27,204 33,452 ALL MEMBER BANKS Total reserves h e ld ..................... . . 1,219,309 1,210,606 1,190,060 W ith Federal Reserve Bank... . . 1,028,639 1,022,670 1,015,824 Currency and coin.................. . . . 190,670 187,936 174,236 Required reserves...................... . . 1,178,397 1,170,511 1,147,325 Excess reserves............................ . . 40,912 40,095 42,735 Borrowings.................................... . . 17,150 29,776 26,566 Free reserves............................... . . 23,762 10,319 16,169 GROSS DEMAND AND TIME DEPOSITS OF MEMBER BANKS Eleventh Federal Reserve District (Averages o f d a ily figures. In m illions o f dollars) Date GROSS DEMAND 1 DEPOSITS TIME DEPOSITS Total Reserve city banks banks Total Reserve city banks Country banks 1963: November.. 8,508 4,100 4,408 4,106 2,018 2,088 1964: November.. 8,683 4,120 4,563 4,655 2,269 2,386 1 965: June............ 8,596 4,163 4,433 5,104 2,455 2,649 July............. 8,645 4,129 4,516 5,233 2,552 2,681 A u g u s t.. . . 8,538 4,030 4,508 5,319 2,615 2,704 September. 8,705 4,119 4,586 5,347 2,616 2731 O c to b e r.. . 8,814 4,145 4,669 5,402 2,636 2,766 November.. 8,867 4,120 4,747 5,463 2,647 2,816 CONDITION STATISTICS OF ALL MEMBER BANKS Eleventh Federal Reserve District (In m illions o f dollars) Item Nov. 24, 1965 O ct. 27, 1965 Nov. 25, 1964 ASSETS Loans and discounts............................................. 8,253 8,210 7,442 U.S. Government obligations............................. 2,515 2,451 2,674 Other securities.................................................... 1,885 1,854 1,566 Reserves with Federal Reserve Bank............... 957 872 982 Cash in vaulte ...................................................... , 207 211 190 Balances with banks in the United S ta te s ... . 1,119 1,102 1,129 Balances with banks in foreign countriese. . . . 5 5 5 Cash items in process o f collection................... 890 840 748 O ther assetse ............................. .......................... 428 452 425 TOTAL ASSETS*.............................................. 16,259 15,997 15,161 LIABILITIES AND CAPITAL ACCOUNTS Demand deposits o f banks................................ 1,283 1,312 1,302 O ther demand deposits..................................... , 7,607 7,442 7,443 Time deposits........................................................ 5,470 5,432 4,673 Total deposits.................................................. 14,360 14,186 13,418 Borrowings*........... ............................ ................. 251 200 220 O ther lia b ilitie s *......................... ........................, 260 222 Total capital accounts*...................................... . 1,388 1,389 1,281 TOTAL LIABILITIES AND CAPITAL ACCOUNTS*............................................... . 16,259 15,997 15,161 e — Estimated. 2
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