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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.