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RESERVE

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s t a t i s t i c a l

r e l e a s e

For immediate i
July 8, 1975
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ASSETS AND L I A B I L I T I E S OF ALL MEMBER BANKS, BY D I S T R I C T S

J PARTLY E S T I M A T E D .
„JOT*L

M I L L I O N S OF DOLLARS)

BOSTON

RICHMOND

DELPHIA

JUNE 2 5 ,

ATLANTA

CHICAGO

1975

ST.
LOUIS

MINNEAPOLIS

KANSAS
CITY

DALLAS
FRANCISCO

ASSETS
LOANS AND INVESTMENTS
LOANS AND DISCOUNTS
U . S . TREASURY S E C U R I T I E S
OTHER S E C U R I T I E S
RESERVES, CASH,
BALANCES

19,157

126,086

25,787

41,360

31,049

39,647

18,857

16,392

25,149

31,613

89,170

14,497
1,356
3,304

98,676
10,399
17,011

18,910
1,932
4,945

28,478
3,919
8,963

22,180
2,102
6,767

27,198
3,712
8,737

63,940
8,290
16,675

12,794
1,886
4,177

11,495
1,344
3,553

17,383
2,403
5,363

21,531
2,658
7,424

67,576
8,700
12,894

94,413

3,359

31,866

3,086

4,998

4,513

5,939

11,597

2,989

1,974

4,013

5,250

14,829

31,174
8,200
19,233
35,806

1,037
426

1,051
526
597
912

1,861
770
954
1,413

1,413
679
831
1,590

1,885
712
1,451
1,891

4,054
1,135
2,578
3,830

924
292
861
912

692

1.308

9,019
1,489
6,888
14,470

1,190
301
1,095
1,427

1,643
384
1,471
1,752

6,405
1,313
1,512
5,599

1,723

15,409

1,739

2,840

1,660

2,754

5,121

1,148

629

1,142

1,946

8,943

24,239 173,361

30,612

49,198

37,222

48,340

105,623

22,994

18,995

30,304

38,809

112,942

AND BANK

RESERVES WITH FR BANKS
CASH I N VAULT
BALANCES WITH BANKS
CASH ITEMS

45,054

OTHER ASSETS

692,639

TOTAL ASSETS
LIABILITIES

553,172
404,658
48,701
99,813

AND C A P I T A L

GROSS DEMAND DEPOSITS
DEPOSITS OF BANKS
U . S . GOVERNMENT DEMAND
OTHER DEMAND DEPOSITS

218,690

8,652

62,479

8,026

13,666

12,588

16,177

28,032

7,623

5,137

10,659

14,081

31,570

29,557
2,861
186,272

979
157
7,516

15,705
529
46,245

722
109
7,195

221
12,805

706
178
11,704

1,455
248
14,474

2,965
396
24,671

1,054
114
6,455

525
54
4,558

1,342
211
9,106

1,691
185
12,205

1,773
459
29,338

TIME DEPOSITS

329,943

10,153

68,211

16,156

25,287

17,667

23,060

56,266

10,757

10,226

14,046

17,208

60,906

TOTAL DEPOSITS

548,633

18,805

130,690

24,182

38,953

30,255

39,237

84,298

18,380

15,363

24,705

31,289

92,476

BORROWINGS

57,965

-2,376

18,572

2,415

3,407

2,304

3,239

9,288

1,943

1,473

2,270

3,073

7,605

OTHER L I A B I L I T I E S

36,448

1,261

11,242

1,680

2,700

1,789

2,077

4,723

968

844

993

1,735

6,436

TOTAL C A P I T A L ACCOUNTS

49,593

1,797

12,857

2,335

4,138

2,874

3,787

7,314

1,703

1,315

2,336

2,712

6,425

692,639

24,239

173,361

30,612

49,198

37,222

48,340

105,623

22,994

18,995

30,304

38,809

112,942

TOTAL L I A B I L I T I E S
CAPITAL

AND