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Fom F. R. 283
ST-sTBSiBiii' FOR THE PRESS
Released for publication
Friday morning, April 16;
not earlier.

Board of Governors
of the Federal Rosorve System
April 15, 1943
CONDITION OF THE FEDERAL RESERVE BANKS

During the jiroek ended April, 14 member bank reserve bala ces incroasod
$34,000,000« Additions to'membei* bank .reserves arose fr'om increases of
$256,000.,000. in-Reserve 3ahk credit and S8,000,000 in Treasury currency and
a decrease of $85,000,000 in Tfeitsury, diipbiits with.Federal RqSoWo Banks,
offset, .in part by a decraass of: 31+0,000,000 in gold stock and increases of
$71,000,000 in money in circulation, $6,000¿000 in Treasury cash, and
$199,000,000 in nonmember deposits and othsr Federal Reserve accounts. Excess
reserves of, member' banjes. on Apri'i, ll+ wcro. s.stimg.ted to be approximately
$2,160,000,000, an incrc-use of $130,000,000 for the week.
Th^rt* was. an incr^aso of $156,000,000 in holdings of United States
Government.securities.
Bills increased $130^000,000, certificates
$114, 000,’000, bonus $8,000,000,.and riqteg .$4,000,000,
Changj s in mamber bank rossrve balances and r jl&t...d items during thu week
and the year ended April li+, 1943* worfi &s follows:

Increase or decrease
since
April lli,
1943

April 7,
1943

Aprii 15,
1942

(In millions of dollars)
Bills discounted
U. S. Government direct obligations
U. S. Government guaranteed obligations
Industrial ¿dvances(not including .12 million
corc.'.itir.onts - ¿ipril II4)
Otn'jr Rvisorvo Bank credit

12
6,652
53

- 1
+155
+ 1

3
+4,1+02
+ 49

l4
373

♦ 1
+100

+
+

Total Reserve Bank credit
Gold stock
Treasury currency

7#10U
22,501
4,002

+256
- 40
+ 8

+4,689
177
+ 722

Member Dank reserve balances
Honey in' circulation
Treasury cash
Treasury deposits Vith F* R. Banks
Nonmeiuber deposits and other F.R,accounts.

13,141+
16,1+24
2,255
12Ô
1,676

+ 34+ 71
+ 6
- 85
+199

+ 642
+14,800
+
69
- 173




4
231

m*

-

io4

STaTEMENT OF CONDITI Oli OF TES FEDERAL RESERVE BANKS GN AÆIL 14, I9Ù3
(In thousands of dollars)
TotalBoston New York
Phila.
Cleve.
Rich» Atlanta.
Chicago Si;.Louis

Form. x\ R. 283c

L I AB I L I T I E S
R. k. notes in actual cir-

Minn. Kans.Cy. Dallas San Fran.

culuticai
12*905*494 934,414 2,853.236 >10,903 1.190,599 526,962 630,273 2 , 542,432 548*334
p^positsi
¿-oirJjer .b&nk-reserve acct. 13,143,680 708*953 4,327,94 5 721,730 1,130,483 559,934 528,197 1.907,479 44.0*683
U#Ä*Treasurer-general acct. 128,040
256
123yß66
373
306
586
. 307
552
foreign
915*^52
23,2271 / 435,360
75,665
73,275
34,248
27,377
97,170 23*094
other
460,874
9 , 668“ 177*076
30,670
$>*,457
14,115
n ,305
9.011 24,055
Totaxl deposits
14,647,346 302,114 5 , 063,647 323,438 1 , 296,521 608,933 567*636 2 , 014*212 ' -497,221
Deferred availability items 1 , 524,626 154,432
223,320
321,760 -91,323
68¿.139
174*902 118*533
31*314
Other lia b ilitie s including
accrued dividends
232
632
1*902
603
7.667
.1,074
251
957
737
TOTAL LIABILITIES
29,035,633 1091.747 3*240*595 1331*738 2,662,654 1555,031 1200,024 4 , 781,421 1114,026
CAPITAL ACCOUNTS
Capital paid in
4,600
5,276
16,434
11,635
146,927
5,934
53*655
15,245
9,519
Surplus (Section 7)
4*966
H , l 6o
58,001
*5,670
22,925
5,236
14,767
5,725
160,411
Surplus (Seic*tion 131»)
26,829
530
7*070
1,007
3,244
2,874
717
1,429
4,393
Othejr capital accounts
3,423
5,466
3,740
3,450
21,603
77,105
4,705
7*398
12,049
TOTAL LIABILITIES AND
CAPITAL accounts
29, 496,985 1920,005 8*300,924 1869,002 2,701,071 1573,193 1295,192 4*834,258 1127,550
CoimitmentSr -to make in dustrial
.advances
12,334
1*01?
27
1*509
545
1,102
105
—
1*733
F. R. notes outstanding
Collateral for F.R.notes
held by F.R.Agents:
Gold certificates
Eligible paper
U.S.Gov* t securities

327,-580 453,436 281,108 1,401,167
236,284 563,073 5.11,134 1,339,680
589
243
560
—
1,002
17,522
22,301 23,894
60,8(9
13,371
4,09 5 3*520
71 ,531
317,420
27,365

590,034 538,543 1 , 523*022
64,362 55*391
142,185

167
373
187
497
672,552 1113*329 375*214 3*066*752

3,166
3*221
1,000
3,303

4,795
3,613
1,137
3*456

4,494
4,033
1,307
2*970

12 , 12]
11*044
2*121
5.524

633,327 1126*330 833*063 3,097,565
—

2,031

—

4,215

474,399 312*527 1,491.502
13,076,000 . 936,000 2,935,000
10,719
2,625
7,429
505,000
50,000
—

85o,oooi,24o,ooo
565
—
100,000
—

747,ooo
100
125,000

645,ooo2,64o,ooo
30,000

—

400,000 335,300

319,000
475,000
475,
0 00319.
0 0 0 1 , 504,000
5,000

I95,XO

—

—

MATURITY DISTRIBUTION OF BILLS AND SECURITIES

B ills discounted
Industrial advances
l>. S. Government securities,
direct and guaranteed



Total
_____

Within
Ì 5 dtvs

16 to
30 JKYj_

11*938
13,773;

6,5:3
9 »5-V+

'"¿220
¿Q

5,.>0v

31 to
ÓC Jays
100
223

61 to
________
90
days
—
1,230

9I duyd to
6 months
1,000

6 i.ionths
to 1 year

1 to 2
years’

713

663-

6,704,673
2’
5,155
646,?62
356,216
1,213,640
437,333
571,400
1 , 213,640
646,362
c.--3,135
1 / After deducting $47«,833»000 participations of other .Federal Reserve Banks

351,100

2 to 5
years

Over
5 years

r /s

—

033,221 1 , 460,246

Form F. k. 283a
Released for publication Friday morning, April .16,191+3, n° t earlier*
STATEMENT OF CONDITION
OF THE-TsflSLVE FEDERAL RESERVE BANKS COMBINED
(In thousands o f dollars).
Increase or decrease
since
April IJ4,
19U5

A pril 7,
19^3

April 15,
19.1*2

- 1+2,999
+ 1,537
- 2,436

199,992
29,056
26,51+5

ASSETS
Gold c e r t ific a te s on hand and dua
from U. S. Treasury
Redemption fund - F. R. notes
Other cash
Total reserves
B ills discounted*
Secured by U. S, Gov’ t obligation s,
d ire ct and guaranteed
Other b i l l s discounted
Total b i l l s discounted
Industrial advances
U. S. Government s e cu ritie s,
d ire ct and guaranteed*
Bonds
Notes
C ertifica tes
B ills
Total U. S. Government se cu ritie s ,
d irect and guaranteed'"” ' "
Total b i l l s and secu rities
Due from foreign banks
F. R, notes o f other banks
Uncollected items
Bank premises
Other assets
TOT-iL ASSETS

20.29U.iil7
1+2,245
35?,266
20,695»92Q

3,3'13
3,625
11,933

- 1+3,898'
3,967
2,625

-

ll+l+,39l
616
3,292
2,676

13,771

l,3li2
821+

1+.220

2, 060,367
98M 75
997,37-5
2,662,761

+ 8,1+00
+ 3,500
+ ll+.OOO
+129,757

+ 503,861
+ 291,675
997,375
•1-2, 652,936

6,7014,673

■*•155,657

+¿+»1+50,897

6.730,387
1+7
53,726
1,397,936
39,001
79,;60

+155,139
—
+ 2,0 50
+51+6,877
30
+ 3,192

+!+, 1+57,793
—
+
26,253
+ 51+2,371*
1,637
+
35.960

29,1*96,935

+663,330

+1*, 916,352

12,905,1+91*

+ 66,402

+4 , 206,209

13,143,630
123,040
915,252
1+60, 371+
14,647,31+6
1 ,521+, 626

‘+ 61+1,708
+ 33,521+
- 172,912
- 35,217
+ 33,332 „„ 11,007
97,612
♦161,910 ‘ + 360,177
+149,01+9
+41+6, 03!+
+ 310,935

L I A B I L I T I E S

F. R. notes in actual circu la tio n
Deposits;
Member bank-reserve account
U. S, Treasurer-general account
Foreign
Other
Total deposits
Deferred a v a ila b ility items
Other l i a b i l i t i e s including
accrued dividends
TOTAL LIABILITIES
CAPI TAL ACCOUNTS
Capital paid in
Surplus (Se'ction 7)
Surplus (S ection 13b)
Other capital accounts

TOTAL LIABILITIES aND CAPITAL ACCOUNTS




2>-, 085,633
11*6,927
l6o,l+n
26,329
77,135
29»1+9 6,93 5
15.1%
12,331+

+ 1,529
+663,011+

+
3,215
+¿+,830,536

21

3,535
+
2,909
+
¿+3
+
29,32i+

-—
+
295
+663,330

+1+,916,352
15.6$

CD
•

Ratio of tota l reserves to deposit
and F. R. note l i a b i l i t i e s combined
Commitments to make in dustrial advances

7,667

938

1,297

r orm F, R. 283^
S-T-iTS^&T OF CGKDSTION OF THE FEDEKAL RESERVE LAKKS OK APRIL 14, 191*3
(In thousands o f d o lla rs)
A S S BT S
Total
Boston Now Yo'rk'
Phiia.
Cl eve.
Rich.
uold c e r t ific a t e s on hind.and duo
f r o n t s . Treasury
20,294,1+17 1236;285 5*435,31+7 1231,217 1,892,493 1059,935
Redemption fund - F.R.notes 4^,245
’ 2,298
1,920
5.937
'646
3,101
-th or'ca sh
359-,266
3a,923
37,316
¿4,473
39.376
19,229

Atlanta.

090,076 3.61+7,023 623,aa6 477,151
2,070
1,3^0
10,3b?
3^7
17,302
1+6,1+01+
15,307
7,742

764,61+0 596,995 2, 235, 3:39
609
650
7*0-30
11,623 10,351
1+3,710

r o t u r'-jserves
20,¿95,923
- l i l s disc ounted:
¿¿cured by U. S. Gov11 ob liga tion s,
direct-and- guar-in to ad
3,313
Other:.'bills discounted
3^625

913, U+3 3 ,694, 767

7? 6,^872 607,996 2,336,1+99

Tota-l b i l l s discounted

1323.511 5£75*533 13 11, 632’1 , 933*015 1037*265

11,933

—
.’2 ,625

7>i;23
i^.27

5&5
95

k0
92

100
1*3

55
35

2,625
1 , 1*52

7,355
608

660
l+,6ll+

132
1,099

11+3
1+91

156,1+35
71+, 726
75,727
ii o ,‘S3'o

197,913
9H*^39
95,805
12 1,13 1

1+17,718

509,388

Industriai advances
13,771
ü. S. Government s e c u r itie s ,
d ire ct and guaranteed:
516,219
Bonds
2 , 060, 367 . 150,252
246,582
ifotes
981+, 175 7 1,7 7 1
Certi fica te s
997* 375 72,731*
249,889
£*11b
2,662*761’ 91,330 l ,335,709
Total U.S. Gov’ t s e c u r itie s ,
dij-üct; and -qaranteJd
6,70l*,678 386,087 2,343,399
Total b ills and
secu rities
Due from foreign banks
i*,R.notes o f other banks
Uncollected i t e ms
Bunk premises
Other assets
T 0 T„i.L ASSETS




6,730-, 337. 390, 161*. 2,356,862 .422^992
1/ 18
3
5
.1+7
1,208
1,788
8,003
53,726
1*11,352 121,1+59
1 *897,936 197,160
2,703
9,763'
••39,001'
1**719
19,338
6,1*07
5,251
.7 9,960

Chicago St.Louis

—

Liinn. Kans.Cy.- Dallas* Son Fran,

650, 120435,220

122

—
30

90

122

355

69

—
22

23

30

22

23

7

184

1,01+3

123,015- 10l+,248
61, ll+9; .1*9,797
50, 1*6!+
61,969
'37,110'
63,558 *'

97,330
267,831
127,933
1*6,753
1+7,331
129,651
336,186 - 191,713

333,21+3

361,601

125
30’

76

155
28

76
3,321

61,535
?9*39l
29,788
3a, 581*

98,1*71 31,968
1*7,037 ' 39,155
1+7,667 39,678
61*; 6^ ■' 41+,21+9

199,600
95,31*2
96,622
181,702

333,727 155,298

257,831+ 205*050

573,266

861,792 383,761* 155,501*
338,377 263,512
*
2 *
1
2
6
. ' 1*
1+.61+9
2,320
1,358
5,21+1+
6,l*9l+!
6,1+05
258, 1+26 33,250 37,596
241,913 132,289 102,511
1,302
.2,902
.2,099
4,293
3,030
. 1 , 685.
.9,960
5,236
3,667
2,31*7
•3,790 .
8,397

253,905 205,233
l
1
2,908
6,247
78,249 67, 11*0
2,731*
1,033
3,772' . 3*757

577,163
1*
7,102
166,536
2,673
7,533

268,067

510,619

29, 1+96,935 1920, 005- 8/ 380,921+ 1869,002 2, 701,071 1573,*195 1295,192 1+,834,258 1127,550 683,327 1126,330 333,068‘ 3, 097,565
♦Loss than $500.

l / n.fter deducting $29,000 p a rticip a tion s o f other Federal Reserve Banks.