Full text of G.15 Interdistrict Settlement Fund : March 28, 1918
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FEDERAL RESERVE BOARD *GOLD SETTLEMENT FUND X-845 Stannary of t r a n s a c t i o n s f o r week ending March 28, 1918 (In thousands of d o l l a r s . ) Conf i d e n t f f t l GOLD Balance Total with- •- T o t a l Settlement of March 28, I 9 I 8 TRANSFERS Withdrawn Deposited drawals i n - d e p o s i t s i n last Federal into Reserve from statement c l u d . t r a n s - clude t r a n s Net : Total : Total : Net Fund Fund .nk of March 21, f e r s t o F.R f e r s from Debit Credit Credits Agent Credits Debits 1918 F. R. Agent Debits Boston 192 58,041 5,944 1,238 192 500 52,997 h New York 24,824 2,901 260,840 218,582 2,901 70,000 42,258 5,000 , Bflhadelphia 2,400 921 86,181 82,424 4,321 51,270 3,757 5,963 Cleveland 1,928 506 1,928 72,460 72,966 44,564.5 500 2,12$ Richmond 2,128 2,000 33,668 3,161 36,829 18,965.7 Atlanta 720 2,520 12,099 356 23,527 23,171 725 Chicago 200 20,032 1,980 128,485 2,700 2,324 25,000 108,453 74,895 r St* Louis 21 21 47,874 33,169.9 3,705 51,579 ^ Minneapolis 241 4,li4 7,000 36,700 1,500 36,459 Kansas City 11,027 921.6 921.6 28,417 22,500 39,444 38,643.4 ^Dallas 11.4 11.4 11,432 3,000 1,283 15,871 2,658.5 17,154 58.5 ^, 444 « San Francisco 21.681 k 1.221 12.000 5,000 5.000 1 . , 223 18,12927,573Total 211.4 12,994.1 : 10,111.4 28,138.1 788,912 50,407 788,912 380,204.5 50,407 77,463 77,463 r r Federal Reserve Agent FEDERAL RESERVE AGENTS' Withdrawn Deposited Balance thro-ugh for Other Other last deposits statement t r a n s f e r t r a n s f e r s withdrawals from bank M a r . 2 1 , ' 1 8 t o bank on 11,500 1 New York 5,000 Philadelphia 75,019 1 Cleveland 70,000 29,000 Richmond ^Ad&ita 3.6,720 Cnraago 162,934.5 ^ S t . Louis 38,912.6 Minneapolis 31,500 ' Kansas C i t y 52,360 . Dallas 5,184 San Francisco 4 0 . 8 9 6 Total 552,026.1 2,400 FUND total withdrawals 11,500 1,800 344 500 3,900 2,000 3,400 15,144 2,500 5,000 73,519 70,000 27,000 34,920 164,090.5 5,000 9,900 24,500 52,360 2,584 44,896 549,282.1 2, 400 2,000 1,800 344 2,500 7,000 7,000 2,600 Total deposits 5,000 9,900 1,000 3,500 Balance a t c l o s e of business Mar, 2 8 , ' 1 8 2,600 1,000 18,644 38,^12.6 Balance i n fund a t c l o s e of business M&ch 28 1S18 50,518 50,467 • 50,935 47,498.5 15,532.7 15,700 69,551 29,485.9 9,855 28,092 9,796.1 20,350 398,231.2 Summary of changes i n owner* ship of g o l d by banks through t r a n s f e r and s e t t l e m e n t . Decrease — — — — — — 2,206 -—- — 5,161 4,968 3,705 1,259 11,473 4,283 — — 33,055 i 1 Increase 5,782 22,742 1,006 — — — 1,081 ——— ~ — — — 2,444 33,055