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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