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G.7.1 Item BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM ASSETS AND LIABILITIES OF ALL MEMBER BANKS, BY DISTRICTS, JANUARY 27, i960 (Partly estimated. In millions of dollars) New Phila- CleveRichAtlanta Chicago Total Boston land York delphia St. Louis Minneapolis Kansas City Dallas 66h Francisco ASSETS 155,509 6,827 38,119 8,081 13,055 and discounts U. S. Government obligations Other securities 93,567 *5,875 4,237 16,067 1,960 630 25,309 8,764 4,046 4,836 2,326 919 7,443 4,258 1,354 682 872 Reserves, cash, and bank balances 37,332 1,569 9,620 1,742 2,817 1,770 722 156 214 4,848 454 492 3,826 807 180 1,400 284 460 673 773 Loans and investments Reserves with F. R. Banks Cash in vault Balances with banks Cash items Other assets Total assets '; 2S 6,219 11)062 477 304 451 7,024 8,547 24,227 5,587 4,152 6,787 8,148 24,955 4,785 12,849 8,698 2,680 3,049 1,969 569 2,326 1,383 443 3,667 2,407 713 *2 16,354 6,304 2,297 2,403 5,508 1,448 921 2,033 2,584 4,917 912 200 705 586 2,707 397 933 1,471 646 100 372 330 384 60 228 249 813 107 659 454 920 150 1,007 507 2,551 291 476 1,599 2,890 189 369 439 177 1,642 199 254 166 217 397 78 91 137 340 740 197,279 8,573 49,381 10,022 16,126 8,960 11,167 30,132 7,113 5,164 8,957 11,072 30,612 120,934 5,849 31,595 5,854 9,030 5,680 7,550 17,863 4,763 3,052 6,441 7,736 15,521 432 429 453 203 5,024 949 159 6,442 1,691 488 15,684 734 98 3,931 2,556 944 137 5,360 1,094 167 6,475 650 5,256 512 280 8,238 384 5,256 4,140 802 26,653 301 14,570 4,438 LIABILITIES ft CAPITAL Gross demand deposits Deposits of banks U . S . Government demand Other demand deposits Time deposits TOTAL DEPOSITS Borrowings Other liabilities Total capital accounts Total liabilities and capital 12,412 3,077 105,445 161 I69 112 53,506 1,586 10,494 3,025 5,274 2,301 2,510 9,308 1,552 1,586 l,6lk 2,145 12,111 174,440 7,435 42,089 8,879 14,304 7,981 10,060 27,171 6,315 4,638 8,055 9,881 27,632 2,275 4,237 16,327 83 244 811 822 62 103 136 740 377 2,294 % 594 61 71 394 101 126 955 125 136 846 290 1,928 4,542 157 201 1,464 63 744 175 915 241 711 2,028 197,279 8,573 49,381 10,022 16,126 8,960 11,167 30,132 7,113 5,164 8,957 11,072 30,612 Note.—This release is scheduled for discontinuation after publication of February 24 figures. This and other more detailed information on the condition of member banks is available four times each year in the Member Bank Call Report which may be obtained without charge upon request to the Board's Publications Section.