The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
F e d e r a l r e s e r v e Ba n k OF DALLAS Dallas, Texas, May 8, 1963 CONDITION OF MEMBER BANKS, M ARCH 18, 1963 ELEVENTH FEDERAL RESERVE DISTRICT To the Member Banks in the Eleventh Federal Reserve D istrict: The results of the spring 1963 call report show that investments o f member banks in the Eleventh District expanded between December 28, 1962, and March 18, 1963, but assets, loans, and deposits declined. Assets of member banks totaled $13.6 billion on March 18, which is $435 million less than on December 28, 1962, but $776 million, or 6.1 percent, above a year ago. Loans and discounts (net) receded slightly during early 1963 but expanded $510 million from March 26, 1962. Strength in commercial and industrial loans and loans to individuals was the m ajor factor in the year-to-year gain. Total investments advanced $29 million during the first quarter o f 1963, with a 2.9-percent increase in holdings o f municipal obligations accounting for most of the expansion. Primarily because o f a seasonal decline in demand deposits, total deposits fell $279 million during the 3-month period to a level o f $12.2 billion. A t this lower level, total deposits were 5.7 percent above the amount reported for the previous spring call. The ratio of loans to total deposits was 50.6 percent on March 18, 1963, compared with 49.1 percent on March 26, 1962. Yours very truly, Watrous H. Irons President This publication was digitized and made available by the Federal Reserve Bank of Dallas' Historical Library (FedHistory@dal.frb.org) COMPARATIVE STATEMENT OF CONDITION OF MEMBER BANKS ELEVENTH FEDERAL RESERVE DISTRICT (Amounts in thousands o f dollars) Item Loans (net), including overdrafts—_____________ U. S. Government obligations, direct and guaran teed _______________________________________ Obligations of states and political subdivisions__ O fy iP T Q P P l l T l t l 'p C l TOTAL LOANS (NET) AND INVESTMENTS ^ Cash and balances due from banks____________ TOTAL ASSETS _____________________________ Individual — Demand deposits _________________ Individual — Time deposits____________________ Deposits of U. S. Government, including postal savings___________________________________ Deposits of states and political subdivisions_____ Deposits of banks______________________________ Other deposits (certified and officers’ checks, etc.) TOTAL DEPOSITS ___________________________ TOTAL CAPITAL ACCOUNTS________________ Borrowings from Federal Reserve Bank________ All other borrowings___________________________ Ratio of loans to total deposits_________________ Ratio of cash and balances due from banks to total deposits______________________________ Ratio of total capital accounts to risk assets (total assets less Government securities and cash assets)____________________________________ Number of member banks______________________ March 18, 1963p December 28, 1962 March 26, 1962 6,164,013 6,167,837 5,653,744 2,911,695 999,449 216,442 10,291,599 2,918,311 13,567,321 6,086,766 3,208,888 2,910,190 971,571 217,255 10,266,853 3,383,751 14,001,986 6,466,849 3,048,659 2,860,914 882,644 169,551 9,566,853 2,907,833 12,790,921 6,083,354 2,659,027 195,699 1,222,730 1,354,444 109,256 12,177,783 1,134,158 3,350 99,384 50.6% 228,038 1,117,618 1,478,012 117,502 12,456,678 1,132,235 126,390 129,457 49.5% 244,955 1,131,273 1,318,445 81,573 11,518,627 1,071,754 1,495 76,650 49.1% 24.0% 27.2% 25.2% 14.7% 632 14.7% 632 15.3% 628 p—Preliminary. PRINCIPAL ASSET AND LIABILITY ITEMS OF MEMBER BANKS AS OF SELECTED CALL DATES ELEVENTH FEDERAL RESERVE DISTRICT (In thousands o f dollars) Total Deposits Total Loans (Net) Total Investments Total Loans (Net) and Investments Total U. S. Gov. Secs. Total Capital Accounts 7,952,324 3,147,265 2,752,329 5,899,594 2,300,211 580,948 8,676,152 3,467,343 3,061,467 6,528,810 2,513,482 636,823 8,836,667 3,852,258 2,903,794 6,756,052 2,332,673 704,467 8,856,382 3,867,010 3,000,700 6,867,710 2,363,994 755,242 9,104,008 4,187,389 3,015,476 7,202,865 2,326,791 822,009 9,996,616 4,502,806 3,503,424 8,006,230 2,661,260 883,671 9,878,782 4,729,069 3,338,710 8,067,779 2,472,006 931,888 10,716,638 5,083,795 3,616,958 8,700,753 2,680,959 997,875 11,518,627 5,653,744 3,913,109 9,566,853 2,860,914 1,071,754 12,177,783 6,164,013 4,127,586 10,291,599 2,911,695 1,134,158 Date April 15, 1954 April 11, 1955 April 10, 1956 March 14, 1957 March 4, 1958 March 12, 1959 March 15, 1960 April 12, 1961 March 26, 1962 March 18, 1963p p—Preliminary.