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Form F. R. clfj-j-B. STATEMSKT FOR THE PRESS Released for publication Friday morning, April 10; not earlier. CONDITION Board of Governors of the Federal Reserve System April 9, I9I4.2 OF THE FEDERAL RESERVE BANKS During the week ended April 3 member bank reserve balances increased $219,000,000. Additions to member bank reserves arose from decreases of $172,000,000 in Treasury deposits with Federal Reserve Banks, $10,000,000 in Treasury cash, and $1;,000,000 in nonmember deposits arid other Feaeral Reserve accounts, and increases of $1+5,000,000 in Reserve Bank credit, $5,000,000 in gold stock, and $2,000,000 in Treasury currency, offset in part by an increase of $17,000,000 in money in circulation. Excess reserves of member banks on April 0 were estimated to be approximately $3,170,000,000, an increase of $170,000,000 for the week. The principal change in holdings of bills and securities was a decrease of $1,000,000 in United States Government bonds. Changes in member bank reserve balances and related items during the week and the year ended April 191+2, were as follows- Increase or decrease s inc 0 April 8, W April 1, 19U2 April 9, 19U (In millions of dollars) Bills discounted 7 U. S. Government direct obligations 2,239 U. S. Government guaranteed obligations j+ Industrial advances (not including li+ million commitments - April 8) 10 Othor K',servo Bank credit 121+ - + 1 +1+7 + 3 + 8 5 Total Reserve Bank cre^Mt Gold stock Treasury currency/" 2,50)4 22,675 3,279 + It 5 + 3 + 2 +11+9 + 262 + loo Member bank reserve balances Lioney in circula*cion Treasury cash Treasury deposits with p. It. Banks Nonmomber deposits and other F. R. accounts 12,715 11,610 2,177 I9O 1,61+5 +219 + 17 - 91+1 +2,617 95 2 1 -- - 10 -172 - !i + + 2 60 1 - 623 - 3^3 Firm F. R. 283~a Released for publication Friday morning, April 10,191*2 5 not earlier. * STATEMENT OF CONDITION OF THE TWELVE FEDERAL RESERVE BANKS COMBINED (In thousands of dollars) Increase or decrease since April 8, I9l,2 April 1, 191*2 April 9, 191*1 A S S E T S Gold certificates on hand and due from U. S. Treasury Redemption fund - F. R. notes ' Other cash Tutal reserves 6,998 , 1,072 5,859 20,1*73,911 114,013 527,908 20,815,837 Bills discounted: Secured by U. S. Gov't obligations, direct and guaranteed Other bills discounted Total bills discounted 5,|i06 1,1*1*2 6,81*3 + - - + + 373,551 13,929 2,115 37 2,202 362,630 3,530 12,391 + * 819 1,063 1,832 •f 2,21*0 Ind us t r i al ad van c e s U. S. Government securities, direct and guaranteed: Bonds Motes Total U. S. Govern ent securities, direct and guaranteed 1,550,736 692,500 - 2,21*3,236 - 1,000 59,136 Total bills and securities 2,259,720 . - 2,310 63,258 Due from foreign banks F.R. notes of other banks Uncollected items Bank premises Other assets 1*7 25,807 99l*,l*59 1*0,635 1*14,611 T O T A L ASS 0 T S 9,636 21*,181,116 892 1,000 — - 186,936 127,800 — - + * - 2,91*9 22,302 8 6514 + & - 7,072 5,213 21*9,7148 672 3,715 693,727 L I A B I L I T I E S F. R. notes in actual circulation Deposits• member bank - reserve account U. S. Treasurer - General account Fore ign other deposits Total deposits Deferred availability items Other liabilities including accrued dividends TOTAL LIABILITIES C A P I T A L 8,6711,317 18,1*1*7 1^,715,41*6 190,1*78 722,650 627,760 +219,311 -171,330 25,297 21,518 1*3,702 1U,256,33U 870,501 14,317 23,805,11.69 69,366 - 90 7,127 91*0,089 622,188 51*3,103 + 152,93li -1,952,396 - + 161*,726 - 1*35 689,289 A C C 0 U N T S Capital paid in 1143,339 157,502 Surplus (Section 7) 26,781 Surplus (Section 13b) Other capital accounts 1*7,975 TOTAL LIABILITIES AND CAPITAL ACCOUNTS 21*,181,116 Ratio of total reserves to deposit and F. R. note liabilities combined 90.3% Commitments to make industrial advances - +2»hl7$39h 13,522 61 + — - - / - 0 - 7,072 - .2% 521 + - 3,5114 1*37 1* 1*91 693,727 .14% 5,076 Form F. R. 28 3 STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON APRIL B s 19^2 (In thousands of dollars) S S T S Rich. Atlanta Chicago St.Louis Minn. Kans.Cy. Dallas Total Boston New York Phila. Clove. Gold certificates on hand and due from U.S. Treasury 20,473,9H 1,190,2*07 8,111,676 1,181,725 1,573,573 1,373 963 715 . Redemption fund -F.R.notes 14,018 3,U39 7/cher cash 327,908 28,5^6 72,688 22,313 29,273 805,632 584,259 3,472,299 629,471 360,225 555,1406 386,890 1,622,298 1,506 455 1,096 393 275 3541,24 2,825 15,449 18,437 53,965 17,550 5,756 12,679 13,673 32,579 20,815,837 1 ,222,392 3,185,737 1,205,001 1 , 603,561 822,637 603,151 3,532,360 647,414 366,256 563,639 400,937 1,657 ,702 Total reserves Bills discounted* Secured by U. S. Gov1t obligations, direct and guaranteed 5,40o Other bills discounted 1,442 Total bills discounted 6,848 255 - - 4,285 1,250 630 — — — 51 — — 255 5,535 630 51 145 1 50 — - - 145 50 352 — 10 53 San 1 ran. 30 — 88 1 63 88 30 6 574 70 230 110 industrial advances 9,636 J. S. Government securities, direct and guaranteed: Bonds 1,550,736 Notes 692,500 761 1,102 5,079 177 726 .,49 117,442. 52,445 408,582 182,457 122,488 54,698 157,434 7C,305 96,42c 43,058 68,116 30,418 193,755 36,524 76,115 33,990 48,069 21,467 67,139 30,002 61,319 27,333 133 ,307 59 ,753 Total U.S. Gpv't securities, direct and guaranteed 2,243,^36 169,337 591,039 177,186 227,739 139,473 98,534 280,279 110,105 69,536 97,191 38,702 193 ,56o Total bills and seeurities 2,259,720 170,903 597,676 182,895 227,967 140,204 99,128 230,681 110,111 70,111 97,32a 89,020 193,700 Due from foreign banks 47 f. k. notes of "other banks 25,807 Uncollected items 994,459 Bank premises 40,635 otner assets 44,611 3 673 88,550 2,764 3,140 18 3,174 227,220 10,452 11,600 5 1,796 73,373 4,834 3,506 2 3,394 44,8 17 1,968 1,844 6 3,120 1 53,071 2,957 5,io5 TAL A S S E T S 4 2,039 109,273 4,4n 4,974 2 3,101 34,746 3,052 2,988 1 2,602 44,663 2,i44 1,981 * 667 23,297 1,331 1,410 1 1,914 41,419 2,855 1,872 1 700 33,733 1,120 1,722 1+ 2,627 65,287 2,747 4,269 24,181,116 1,488,42 5 9,036,077 1,471,410 1,952,234 1,056,730 754,304 3,982,300 808,916 463,072 71u,024 527,233 1,926,336 *Leas than $500. Form F. R. 283~c STATEMENT OF CONDITION OF THE F.DrML RESERVE BANKS ON APRIL 8, 1942 (In thousands of dollars) L I A B I L I T I E S Total F. R. notes in actual circulation 8 ,674,317 Deposits• Member bank-reserve acct.12,715,446 U.S.Treasurer-General acct. 190,478 For eign 722,650 other deposits 627,760 Total deposits C A P I T A L 0 0 Rich. Atlanta Chicago St.Louis liinn. K&ns.Cy. Dallas 202,433 145,542 763,987 351,779 5,510 308,559 9,634 997,601 3,506 20,935 6,428 20,935 2,015 54,091 24,796 412,041 212,935 304,652 341,193 1,077,693 689,582 2,221,321 610,947 322,570 454,516 316,287 1,302,107 341,291 625,371 5,606,116 36,302 672,300 096,341 4,274 463,057 340,905 7,103 25,266 1,907,419 1,412 363,647 172,151 17,636 16,316 15,032 21,657 27,673 24,537 12,290 232,997 9,110 69,302 513,047 6,914 66,41^ 25,736 4,973 31,763 5,306 3,399 03,071 2,760 San Fran. 220,734 8,901 405 6,493,462 759,626 994,767 505,679 304,753 1 ,999,6.62 870,501 32,773 190,913 65,990 99,665 79,914 39,250 151,314 43,553 19,430 35,314 30,773 51,531 456 I , H 7 316 436 370 220 546 130 153 140 173 244 1,462,607 8,906,013 1,436,079 1,917,436 1,040,479 740,526 3 ,933,'629 797,023 453,310 702,539 515,606 1,093,455 11,333 15,171 14,700 14,346 5,760 4,949 5,725 15,071 22,925 4,465 4,966 4,652 4,423 5,236 3,613 3,976 4,393 3,134 1,007 713 530 1,932 1,263 2,567 1,137 2,033 11,924 10,792 2,121 1,935 3,044 006,916 463,072 714,024 4,317 U ;Kr Capital paid in burpluc (section 7) burplus (SectionI13b) Other capital accounts T S 9,412 143,339 157,502 52,256 47,975 10,949 2,874 2,503 56,651 7,070 13,202 24, 1 0 1 , 1 1 6 I,, 4 3 0 , 4 2 5 9,036,077 Commitments to make industriial advances 13,522 476 423 TOTAL L I A B I L I T I E S AND CAPITAL ACCOUNTS Gleve. 639,071 23,305,469 A c Phila. 14.256.334 Deferred availability items ether liabilities including accrued dividends TOTAL L I A B I L I T I E S New York Boston 26,701 4,655 3,244 2,003 2,391 1,429 8,446 1,471,410 1,952,234 1,056,730 754,304 3,932,300 1,192 1,037 1,406 L,56O 2,058 1,773 3,043 3,152 1,000 — 527,200 1 , 9 2 6 , 3 5 6 1,500 2,047 — MATORITY DISTKJBTjT1 ON OF KILLS AND b EC Uit I TIES 7«ithin 15 days 16 to 30 days 6,846 3,697 2,354 59 9,636 3,5^6 445 359 107 - — Total bills discounted Industrial advances 0. S. Government sec urities, direct and guaranteed 2,243,256 — — 31 to 60 days 6 1 to 90 days 83 91 days to 6 months 151 1,045 66,200 6 months tc 1 Year 1 1'ear to 21 Years 4 -r\ 70,100 2 Years to 5 Years over Years — 1,512 317,000 1,126 367,10C) -- 1,422,036 Form F. R. 283-d FEDERAL Total Federal Reserve notes* issued to P.R,Bank by F.r. Agent tiold oy Federal Reserve Bank In actual circulation Boston NeVv York RESERVE NOTE Phila. ST^TEFIEKT ON APklL 8, 1942 (In thousands of dollars) Cleve# Rich* Atlanta Chicago St.Louis Minn. Kans.Cy. Lallas San Fran. 9,107,904 712,264 2,331,631 635,341 859,68.3 493,518 336,558 1,857,301 350,117 225,725 293,260 160,109 843,397 433,587 22,682 110,310 2^,394 37,H3 39,002 20,271 55,194 17,826 4,991 10,827 16,567 74,410 8,674,317 689,582 2,221,321 610,947 822,570 454,516 316,287 1,802,107 341,291 220,734 282,433 143,542 763,987 Joil^teral held by agent as security for notes issued to bank: Gold certificates on hand and due from U. S. Treasury eligible paper .Total collateral 9,242,000 740,000 2,340,000 640,000 865,000 525,000 340,000 1,880,000 370,000 227,000 295,000 166,000 854,000 6,479 255 5,535 630 — — — -~ — 59