View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

Form F. R. 283

STATEMENT FOR THE PRESS

Released fo r p u b lica tio n
F rid ay morning, A p r il 19;
not e a r l i e r .

Board o f Governors
o f the Ffederal Reserve System
A p r il 18, 19)46

CONDITION'OF THE FEDERAL RESERVE BANKS

D u rin g th e w eek ended A p r i l 17 member bank r e s e r v e b a la n c e s d e c re a s e d
$ 1 1 ,0 0 0 ,0 0 0 .
R ed u c tio n s in member bank r e s e r v e s r e s u lt e d from an in c r e a s e o f
$7U ,000,000 in T r e a s u r y d e p o s it s w it h F e d e r a l R e s e rv e Banks and a d e c re a s e o f
$2,000,000 in gold s t o c k , o f f s e t i n p a r t b y in c r e a s e s o f $ 1 1 ,0 0 0 ,0 0 0 in R e s e r v e
Bank c re d it and $ 2 2 ,0 0 0 ,0 l0 in T re a s u ry c u r r e n c y and d e c re a s e s o f $7-,000,000 in
money in c irc u la t io n and $25*000,000 in nonmember d e p o s it s and o th e r F e d e r a l R es e rv e
accounts.
Excess reservos o f member banks on A p r i l 17 w ere e s tim a te d t o be
approxim ately $ 8 2 0 ,0 0 0 ,0 0 0 .
H o ld in g s o f lo a n s , d is c o u n ts and ad van ces d e c re a s e d $ 26 ,0 0 0 ,0 0 0 a n d .o f
U n ite d S ta te s Government s e c u r i t i e s $ 12 9,0 0 0 ,0 0 0 .
The d e c re a s e in h o ld in g s o f
U n ite d S t a t e s / s e c v u ^ ic ^"0 r e f l e c t s d e c re a s e s o f $71*000,000 in b i l l s and $ 59 ,0 0 0,00 0
in c e r t i f i c a t e s .
Changes in member bank r e s e r v e b a la n c e s and r e l a t e d
and th e y e a r ended A p r i l 17» I 9U6 , w ere as f o l l o w s :

item s d u rin g th o week

In c r e a s e o r d e c re a s e
s in c e
A p r i l 17,

A p r i l 10,

19I+6
( I n m il l i o n s
U. S. Government s e c u r i t i e s
Loan s, d is c o u n ts and advances
O th er R es erve Bank c r e d i t

22,103
328
1+27

T o t a l R e s e rv e Bank c r e d i t
Gold s to c k
T rea su ry cu rren cy

22,857
20,251
h,5ih

Member bank r e s e r v e b a la n c e s
Money in c i r c u l a t i o n
‘T re a s u ry cash
ir e a s u r y d e p o s it s w it h F* R* Banks
Nonmoiaber d e p o s it s and o th e r F. R, accou n ts

15,395
27,9^8
2,259
53h
1,686




A p r i l 18,

19^6
o f d o lla r s )

-

+
+

129
26
168

+

11
2
22

-

11
7

-

—

*

19k5

■+
-

7h
25

+ 1,950
17
hi
+ l , 88l*
Ih5
+
397

-

+
813
+ 1,880
115
?6
3h5

Forrn F. R, 283c

STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON APRIL 17, 19^4-6
(In thousands o f d o lla r s )
Boston

Nev York

Federal Reserve notes
23,995,130 1456,564
Deposits :
Member bank-reserve a c c t. 15,395,107 679,1+50
U .S .T re a su re r-g e n e ra l a c c t,
333^717
2l+,733
Foreign
703,1+27
43,114
Other
430 , 021l
2 >971
T otal deposits
1 6 , 867,275 750,268

5,335,1+15

L I A B I L I T I E S

Total

Deferred a v a i l a b i l i t y items 1,934,701
Other l i a b i l i t i e s in clu d in g
accrued dividends
12 ,12 2

1+,7 6 1 ,789

68,609
1 / 261,718
34l,56>7
5,433,683

162,412

680

386,532

P h ila .

27,946
55,550
3,283

851,865
126,866

TOTAL LIABILITIES.AND
CAPITAL ACCOUNTS

1+3,1+27,609 21+09,931 11,356,555

1,480

R. notes outstanding
21+,896,633
C o lla te ra l f o r F . R. notes
held by F . R. Agents 2
Gold c e r t i f ic a t e s
1 1 , 589,000
E li g ib le paper
219,609
U. 8 # Govt, s e c u r it ie s
il+ , 002,607

F.

.
718,530
26 , 3 oé

765,086 114 1,4 9 9

TOTAL LIABILITIES
C apital paid in
Surplus (S ectio n 7)
Surplus (Section 13^)
Other c a p it a l accounts

Commitments to make
in d u s t ria l loans

Rieri.

3,754

30,503
62 ,243
9,549
1243,794
187,613
*

31,456
3,111
779,405
153,297

Discounts and advances
In d u s tria l loans
Acceptances purchased
U. S* Govt, s e c u r it ie s




326,299
1,525
6,963

2 2 , 102,722

590,133

582,039

754,148

720,706 1927.637
10,496
27,627
56,242
2 1,4 16

3,419

22,755
10,255

379,253
14,249
16,732
3 ,4 90

775,686 2332,947

035,850

4 12 ,72 4

790,460

754,413

282,716

9C,064

42,314

95,587

78,868

736,090 2229,680
1 2 ,475 59,965
25,432
89,683
l>389
146,135

18,801

12,005
22,086
2 ,2 2 1

492

559

—

2 ü0

4o i

1790,1+99 1022,277

—

563,392

922,200

1+10,000
12 ,910
1100,000

3 , 420,000

300,000 170,000
6,600
17,200
927,607 400,000

280,000

500,000

635,000

24,154

—-

600,000
13,774

2 , 100,000 1200,000 1550,000 1175,000

270 , 251+
1 , 31+6
1 ,►359
3,1*1+6,1+71+

2,111,285

2057,980
177,242

179 7,18 6 1445,267 5313,10 5

5,517,323 1664,053 2110,284 1743»823 1499,763 1+474,326 1089,031

l 6 to
30 days
1 9 , 21+0
1
1,8 36

46,474 .

1,912

11+98 ,082

W ithin
IS days

1,795

4 L+0
426
1,0 8 1
532
436
3466,554 2603,967 2354,568 7035,897 1768,367 1006,018 1775,20 5 1423,850 5260,064
5,966
6,562
16 ,6 8 1
7,586
13,183
6,71+4
21,54!+
5,787
3.953
10,670
28 ,924
14,450
53,029
1 2 ,939
8,869
11,391
33,745
15,593
3,326
2*142
762
1,137
1,30 7
1,007
527
1,429
1,073
2,878
3,380
5,294
3,790
2,364
6,397
2,987
2,379
4,575
1,139

MATURITY DISTRIBUTION
Total

888,718

-----

114,801

3023,761

550,1(48

3

-----

—

D allas oanFran,

.

101*4,027

2636,263 352l+,0&+ 263l+,262 2379 , 901+ 7110 ,296
631

Minn . Kana •

Chicago St.Louis

A tlan ta

1606,028 2034,003 1665,706 11+32,005 1+368,322

671
1+2 , 809,223 2369,924 1 1 , 15 9 , 381+ 2585 ,1+30
10,311+
181,607
13,464
64,323
116,860
28,946
22 ,1+39
358,355
3,0 12
27,1+28
4,501
7,205
3,922
3,71+2
50,991
8,783
.

Cleve.

31 to
60 days
14,983

6

2,732
4,899,873

—

665,000 2590,000
—

—

850,000 1900,000

OF‘ LOANS A ;d

61 to
90 days
21,822
8
' 1,0 36
4 , 8.9 9,904

91
6

178
67
622,806 3 1 9 1 , 01+8
169,000 1850,000
—
~20
500,000 1600,000

30,150

700,000

se o jäitlü s

days tc)
months

—' 59
2,840,490

6
to

months
1 year

---83

----

2 ,854,006

]L to 2
y ears'

2

to 5
y ja r s

5

Over
years

9

----------

¿+60,500

590,190

----

— 13

—

----

l / A f t e r deducting $144.6,105 #000 p a r tic ip a tio n s o f oth er Federal Reserve Banks.

Form F. R. 283a
Released for publication Friday morning., April

19

,1946; not earlier.

STATEMENT OF CONDlilON
OF THE TWELVE FEDERAL RESERVE BANKS COMBINED
( I n thousands o f d o lla r s )
Increase or decrease
since
A p r il 17,
‘ 19U6

,

A p r il 10,
• 1946

A p r il 18,
1945

A S S E T S
Gold c e r t if ic a t e s
Redemption fund fo r F. R, notes
T o ta l gold c e r t i f i c a t e reserves

17*31+6*060
. 753,976'
- 18, 100, 036.

8,000
+ • 9,104
♦
lilo 4

•

♦
-

6,870
26,£47

4

♦

2,o41+

4

4

236,205
104,953
131,252

4

*

Other cash
Discounts and advances
In d u s tria l loans
Acceptances purchased
U. S. Govt, s e c u r itie s ».
B ills
C e r t ific a t e s
Notes
Bonds

13, 4o8, 784:
6, 327,696
1,463,300
• 902,942

- ' 70,649
- 59,000
—

595,766
♦ lj,103,685
4
475,450
r 225,150

T o ta l U. S, Government
s e c u r itie s

22, 102,722

- 129,649

+1, 9^9,751

T o ta l loans and s e c u r itie s

22,437,509

- 154,265

,939,042

Due from fo r e ig n banks
F. R .. notes o f other banks
U ncollected items
Bank premises
Other assets

no
129*903
2,354*154
33*160
49,676

+
3,194
+ .508,472
•»
+. 4,389

-

43,427,609

+ 369,764

+2,11*3,033

23,995.130

-

15,497

+1,491,101

Member bank - reserve
account
15,395,107
U .S.Treasurer - general' account
.333*717
Foreign
708*427
Other
430,024
T o ta l deposits
16*867,275

■* •
♦
+
+

10,660
73, U o
1,584
23*868

4 o,466

4

D eferred a v a i l a b i l i t y i.tems
. .
Other l i a b i l i t i e s in clu din g accrued
dividends
TOTAL LIABILITIES
C A P I T A L
A' C C . 0 U H S
C a p ita l paid in
Surplus (S e c tio n 7)
Surplus (S e c tio n 13b)
Other c a p ita l accounts

.1,934,701

+.343,027

4

12,122
42,809,228

+
362
+ 368,358

4

181,607
358,355
27,428
. 50,991
1+3,427,609

+

4

TOTAL ASSETS

323,061
326,299
1*525.
6' 963

72,091
14,929

m

■ f M

6
37,588
229,180
1,146
2,464

4
4

L I A B I L I T I E S
Federal Reserve' notes
Deposits t

TOTAL LIABILITIES AND CAPITAL ACCOUNTS
R a tio o f gold c e r t i f i c a t e reserves
to d ep o sit and F, R. note
l i a b i l i t i e s combined
Commitments to make in d u s tr ia l loans




209

♦
1,197
+ 369,764

483,059
27,727
261,223
#

284,019

1,495
+2,037,838
14,063
130,202

4

263

•

39,333

+2, 143,033

; 5

812,784
96,229

4

4

4 4 .3%-

" i , 48b

4

<

-

2.3%
1,673

Form F. R. 283b
STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON APRIL 17, 1946
(In thousands of dollars)
A S S E T S

Gold c e rtific a te s
Redemption fund for
F. R. notes
Total gold c e rtific a te
reserves
Other cash
Discounts and’ advances
In du strial loans
Acceptances purchased
U, S.Go^t. se c u ritie s:
B ills
C ertific a te s
Notes
Bonds

Total

Bostón

Now' York

17 » 346,060

708,176

4,968,683

753,976

58,402

120,998

18 , 100,036

766,578

5,089,681

323,061
326,299
1,52 5

31,409
15,470
96

75,058
128,121
—
6,963

Ph ila.

Cl’eve.

Rich.'

797,303 1066,87.5

858,079

Atlanta

Chicago St.Louis

Minn. Kans.Cy.

D allas ¡SanFran*

444,069 2453,126

969,157 3657,587

552,693

515,905

556,409

97,284

42,£9o

20,040

34,988

919,111 1015,590 3754,871
21,322
2 2 ,711
34,182
6,720
32,600
15,654
38

595,385

555,943

591,597

11,865
18,560

4,056

18,286
51,470

*. -

6,963

—

835,722
418,846
'96,859
59,768

13,408,784
6, 327,696
i,U63,300

902,942

3,300,974
1,592,917
368,367
227,304

60,504

77,041 .

857,807 1143,916
17,715
27,474
1,391
—

31,954
37,920
—
—

918,353 1232,757
478,035 609,388
•110,548 . 140,923
68,215
86,958

61,032

—

873,482
396,897
91,782
56,635

44,235

—

—

----

—

—

mm mm

722,188 1801,845
516,624 815,776
75,221 188;651
' 45,181 116,409

615,590
517,945
75,525
45,369

7,600
—

25,918

110,846

469,987 2563,972
11,841
1,330

42,662
3,580

—

----

—

» .

—

—

368,887 626,554 496,787 1615,065
180,591 501,552 267,823 651,522
41,762
61,936 146,042
69,684
90 ,116
25,770 .-..i& aasL '58,218

Total U.S.Government
secu rities

22, 102,722 1411,195

5,489,5^2 1575,151 2070,006 1423,796 1157,214 2922,681 1050,229

617,010 1040,369

864,764 :2480,745

Total loans and
secu rities

22,437,509 1426,761

5,624,646 1604,016 2107,926 1439,488 1165,954 2955,281 1068,789 '624,610 I 071 ,-839

866,094 ‘2484.125.

•-

Due from foreign banks
110
F.B.notes o f other banks
129,903
Uncollected items
2,354,154
Bank premises
33,i6o
Other assets
49,676
TOTAL ASSETS




7
3,260
177,023
1,338
5,555

1/ 37
. 9
T6,465 '
5,143
530,788 145,057
3,278
8,619
11,261
3,238

10
5
5,802'
39,375
225,325 209,348
2,748
3,961
5.170
2,865

15
4
11,798’ 11,875
165,751 353,098
1,558
5,099
2,77.8
5.877

46,686
102,814
2,045
2,913.

3
5,417
.51,623
,.

.4
5,431104,139
1,277
2,573
.ii3hJL ____ L.5.1.7-

5
9
3,881
14,772
90,375 200,855
820
1,844
2.266_ .... ii^aaa

43 , 427,609 2409,931 11,356,555 2636,263 3524', 064 2634,262 2379,904 7118,296 1790,499 1022,277 1797,186 1445,267 5315,105
l/

A fte r deducting $73,000 p articipation s o f other Federal Reserve Banks.