View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

FEDERAL, RESERVE BANK
OF DALLAS

Dallas, Texas, July 24, 1941

CONDITION OF MEMBER BANKS, JUNE 3 0 , 1941

To the Member Banks of the
Eleventh Federal Reserve District:
Condition reports of all member banks in the Eleventh Federal Reserve District, as
of June 30, 1941, show total deposits of $1,813,718,000, reflecting a net gain of $43,378,000
since April 4, 1941, and an increase of $242,229,000 since June 29, 1940. Loans, including
overdrafts, as compared with June 29, 1940, show a net increase of $79,814,000, while
total loans and investments show a net increase of $143,990,000 for the same period.
As compared with the June 29, 1940 call, individual demand deposits and individual
time deposits registered net gains of $163,902,000 and $837,000, respectively. Borrowings,
as of June 30, 1941, aggregated $271,000, of which $121,000 represented borrowings from
the Federal Reserve Bank of Dallas. As compared with April 4, 1941, borrowings from
all sources show a net increase of $3,000.
C O M P A R A T IV E

STATEM EN T
June 30,
1941

April 4, 1941
(Revised)

570
569,469,000

570
578,611,000

557
489,655,000

331,789,000

308,359,000

285,234,000

123.878.000
20,935,000
6,161,000
TOTAL LOANS AND INVESTMENTS 1.052.232.000
Individual— Demand Deposits_________ 1.037.139.000
Individual— Time Deposits____________
217.313.000
Deposits of U. S. Government, including
Postal Savings___________________
45,122,000
Deposits of States and political subdivi­
155.820.000
sions ___________________ ________
334.213.000
Deposits of Banks____________________
24,111,000
Other Deposits_____________ _________
1,813,718,000
TOTAL DEPOSITS
Ratio of Loans to Deposits____________
31.40%
Borrowings from Federal Reserve Bank
121,000
All Other Borrowings________________
150,000

125.736.000
19,666,000
6,720,000
1,039,092,000
996.209.000
218.485.000

111.242.000
15,565,000
6,546,000
908.242.000
873.237.000
216.476.000

33,856,000

37,775,000

170.883.000
333.098.000
17,809,000
1,770,340,000
32.68%
33,000
235,000

128.792.000
296.321.000
18,888,000
1,571,489,000
31.16%
309.000
150.000

Member Banks in Eleventh District____
Loans, including overdrafts_____
U. S. Government obligations, direct and
guaranteed____ ____ ____ ________
Obligations of States and political sub­
divisions ________________________
Other bonds, notes and debentures_____
Corporate stocks_____________________

June 29, 1940
(Revised)

Yours very truly,
R. R. GILBERT
President

This publication was digitized and made available by the Federal Reserve Bank of Dallas' Historical Library (FedHistory@dal.frb.org)