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FEDERAL RESERVE BOARD
L D S E T T L E M E N T F U if

X-4994
Wash!ngton, B.C.
No vembe r 10.1927•
:Transfers f o r Government Account
:
:
- t j s
:
Debits
;
Credits
•VJ
$*26,500,000. 00/ $
6,000,000, 00 ' * 2 4 , 0 0 0 , 0 0 0 . 0 0 ^
/
2,000,000. 0 0 /
- J
/
- /
J
1,000,000.00^
/
- y„
/
3,000,000.00>
/
1,000,000.00/

Summary of t r a n s a c t i o n s f o r week ending November 9, 1927
Daily
Settleaents
Balance l a s t
jLeral
F.R.Note Clearings
T
r
a
n
s
i
t
Clearings
statement
Reserve
Credits
Debits
Credits
Debits
November 2, 1927Bank of
974,000 .00 / $ 974,.100.00
215,696,679.62 / $ 221,292,092 .63 / $
Bos ton
$ 36,997,992.04
2,509,000,00
.00 '
2,120,000
.06
/
697,317,226
695,137,655.08/
261,784,495.40
New York
/
976,500.00
,00
1,127,400
.86
'
166,723,211
159,473,248.88 /
Philadelphia
19,653,762.74
/
549,500.00
,00
1,911,200
.50
/
155,674,537
156,822,532.03 /
36,542,192.29
leveland
/
/
482,000.00
.00
.26
/
530,500
150,219,670
148,643,224.80
28,505,269.29
ichmond
647,000.00
549,300 .00 Z
76,597,245 .16 /
81.070.696.56 /
Atlanta
9,585,753-71
2,135,000.00
.00
/
1,565,400
252,419,342 .91 / /
302,577,036.37
103,065,602.96
Chicago
1,393,200.00
442,400 .00
141,248,396 . i 2 Z
141,220,423.99 /
21,267,964.22
S t - Louis
/
90,500.00
,00
504,500
43,442,945 .90 /
45,269,200,99
11,074,065.85
Minneapolis
605,500.00
.00
/
666,300
/
102,193,776
106,250,022.01
25,241,054.78
Kansas City
360,300.00
369,300 .00 /
97,939,563
92,454,096.79 (
14,174,967.56
Dallas
/
750,600.00 /
.00
659.200
10^167,716
95.676.902.57 /
16.075.421.32
San Francisco
$603,972,376.36
$ 2 , 2 4 0 , 2 9 2 , 9 3 1 . 6 9 / $2,240,292,931.69
$11,479,200.00 / $11,479,200.00
$ 34,500,000.00
Total
* Includes special t r a n s f e r of $24,000,000.00.
Federal
fieserve
Bank: of
Boston
few York
liladelphia
Cleveland
Richmond
Atlanta
Chicago
St. Louis
^nneapolis
isas City
Dallas
San Francisco
Total

Deposits

Withdrawals
$
39,792,103.44

2,600,000.00
3,000,000.00
3,900,000.00

1,000,000.00
3,000,000.00

9.000.000.00
$ 62,292,103.44




20,000,000.00
70,000,000.00
15,000,000.00
1,000,000.00
1,500,000.00
4,140,500.00
1,000,000.00
500,000.00
2,500,000.00
1,500,000.00
1,500,000.00
-9.122.000.00
$ 127,762,500.00

Balance in fund at
close of business
Novembe r 9. 1927.
$ 36,099,505.05
312,555,562.94
37,092,225.72
35,032,497.76
30,139,215.35
5,451,102.31
27,477,515.50
22,747,337.35
10,733.713.76
26,624,032.87
18,201,434.70
47.282,629.61
$ 669,436,772.92

-

A

4,000,009.00

X

1.500.000.00 z
"34,500,000.00

Net l o s s o r gain of gold through
Combined c l e a r i n g s and t r a n s f e r s
Transit Clearings
Loss
:
Gain
Gain
Loss
$
20,892,456.99
$
$ 5,601,413.01
20,569,170.95
2,120,170.92
5,032,462.98
7,249,362.92
2,509,694.53
1,147,994.53
3,133,945-46
2,176,445.46
4,375,151.40
4,472,851.40
16,522,027.46
20,157,687.46
1,979,372.53
27,972.53
2,241,155-09
2,426,855.09
117,051.91
4,056,251.91
5,526,467.14
5,535,467.14
11.082.208.29
9.490.808.29
$32,261,640.39
$32,261,640.39
$47,329.627.38
$47,329.627.38

*