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form F. R. 283 •

STATEMENT FOR THE PRESS

R e le a se d f o r p u b l i c a t i o n
F rid ay m orning, August 18}
not e a r l i e r .

Bt>ard o f Governors
o f th e F e d e ra l 'Reserve System
August 1 7 , 19bk-

CONDITION OF THE FEDERAL RESERVE BANKS
D urin g th e w^sk ended j^ugust 16 njember bank re se rv e b a la n c e s i n c r e a s e d
$125,000,000» I n c r e a s e s i n member bank r e s e r v e s a ro se from a d e cre a se o f
$170,000,000 i n 'T r e a s u r y d e p o s i t s w ith F e d e ra l R eserve Banks and in c re a s e s o f / c r e a s e s
$78,000,000 i n Reserve Bank c r e d i t and $2,000,000 in gold s t o c k , o f f s e t in p a r t by L a
o f $110,000,000 i n money i n c i r c u l a t i o n , $5,000,000 in T rea su ry cash and $11,000,000
i n nonmember d e p o s its and o th e r F e d e r a l Reserve accounts.. E xcess r e s e r v e s of
member banks on August 16 were e s tim a te d t o be a p p ro x im a te ly $1,000,000,000.
There was an i n c r e a s e o f $9,000,000 i n h o ld in g s o f U nited S ta te d
Government s e c u r i t i e s } b i l l s i n c r e a s e d i ^ o ,000,000,w h ile bonds d e cre a se d
S 3 2 , 000,000 and n o te s $ $ , 000 , 000 .
‘
. . .
Changes i n member bank r e s e r v e b a la n c e s and r e l a t e d items during the
week and the yo&r ended August 1 6 , l^ lU ; were as f o l l o w s :

I n c r e a s e or d e cre a se
s in c e

Aug.! 16,
19W;

Aug. 9 ,

Aug. 18

1914+

19b3

(In m i l l i o n s of d o l l a r s )
‘ 1
U, S# G o vt, s e c u r i t i e s ( i n c l . g u a r . sec*)
L oans, d is c o u n ts and advances
Other R eserve Bank c r e d i t

15,231
63
387,

+ 9
- 9
+ 78

+7,075
+
3k
Ik

T o ta l Reserve Bank c r e d i t
Gold s to c k
T reasury c u rren cy

15,682
20,990
4,109.

+ 78
+ .2
+ ‘l

+7,096
-1,293
+
17

12,935
25,020
2,3k5
3172,^72

+125
+110
+ 5

+

»

f

Member bank r e s e r v e .balancesMoney in c i r c u l a t i o n
T reasury cash
T reasury d epQ sits i&tith..**'. ,R ., Banks
Konraember-deposits and- other F* R; accounts




• r l 70

+ 11

275

+i_j., 806

+
66
+ 218
+ k55

Form F. R. 283c

L I A B I L I T I E S

STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS -ON AUGUST 16 , 1944
(In thousands o f dollars)
Total

Boston

New York

P hila.

Cleve.

Rich.

Atlanta

Chicago S>t.Louis

Minn. Kans.Cy.

Dallas SanFran.

Federal Reserve notes
. 19,440,265 1260, 064 4328,065 1290,1+72 1720,1+93 1264,750 1121,636 3594,525 816,900 1+27,961 718,139 1*81,308 21+15,952
Deposits:
Member bank-reserve a c c t. 12,93l+,7l+2 612,395 1+163,102 61+0,1+36 10ll+,0i+0 525,071+ 51+9,153 1976,110 1+62,706 287,932, 610,560 565,968 1527,266
U.S.Treasurer-general a c c t. 316,983
23,914
108,311
20,068
23,1+86
20,716
5,053
1+8,081
10,795 15,048
9,873
5,61+8
25,990
Foreign
V,44o,318 100,065 1/543,968 129,415 125,195
56,267 1+5,011+ n k,h29
43,607 30,947
bo,19k 40,794 109,823
other
363,628
i+,'857
265, 531+
5,858
li+,000
3,633
6,382
l+,852
10,066
2,450
2,957
6,21+0
36,799
Total deposits
15,055,671 741,231 5080,915 795,777 1176,721 605,690 605,602 2203,472 527,174 336,377 664,184 618,650 1699,878
79,206 237,827 •6 9 ,496 29*899.
79,658. 51,801 152,081
Deferred a v a ila b ilit y items 1,465,205 104,587
300,606
89,003 163,076 107,965
Other l i a b i l i t i e s including
652
accrued dividends
7,708
202
1,068
282
761
259
25!
211 ■
397
2,375
671
513
TOTAL LIABILITIES
35,968,81+9 2106, 61+3 9711 ,96l 2175,765 3060,961 1978,802 1806,726 6036,892 11+13,821 794,439 11+62,258 1152,018 I+268,563
Capital paid in
159,i+27
9,953
58,155
12,130
16,239
6,391
5,71+9
18,857
4,88 9
3,461
5,158
5,012
13,433
Surplus(gection 7)
188.,097
13,206
70,012
17,859
16,026
5,236
5,725
26,1+90
6,330
3 ,$69
l+,55l+
i+,331
ll+,15 9
Surplus(Soction 13^)
26,965
2,871+
7,092
l+,l+2l
1,007
3,290
7I+9
1,429
530
1,000
1,137
1,307
2,129
Other capital accounts
.. 86,115
i+,81+7
20,026
5,790
10,21+1
5,958
5,271
12,651
3,675
4,285
4.314
3,8ll+
5,21+3
TOTAL LIABILITIES AND
capital accounts

Commitmonts to make
industrial loans

36,429,453 2137,523
3,960

9867,246 2215,965 3104,474 1999,677 1824,220 6096,319 1429,245 806,854 1477,421 1166,982 4303,527
8

275

F. R. notes outstanding
20,026,979 1297,491
C ollateral fo r F. R. notes
*
held by F# R. Agents:
Gold c e r t ific a t e s
12, 193,000 741,000
E lig ib le paper
39,994
6,905
U.S. Govt. secu ritie s
8 , 131,290 600,000




------

•

f-

2820,000
22,325
1700,000

Total

Within
15 da^s

53,339
10,330

32,655
9,911

1 5 / 231 ,1+1+5

884

4486,274 1320,845 1756,661 1292,614 1166,115 3652,184

*

Discounts and' advances
Industrial loans
U* S* Govt, s e cu ritie s
( i n c l . guar* s e c .)

50

1,942

48

------

—

847,258 433,747

741,052

753
510,368 2522,370
—

*

627,000 959,000 775,000 670,000 2580,000 375,000 216,000 400,000 256,000 1774,000
—
—
--—
—
—
5,520
430
2,259
2,555
700,000 8oo ,000 550,000 500,000 1100,000 546,290 225, 000. 350,000 260,000 800,000
MATURITY DISTRIBUTION OF LOANS AND SECURITIES
Over
2 to 5
1 to 2
6 months
31 to
61 to
91 days to
l6 to
5 years
years
years
to 1 year
6 months
60 days 90 days
30 days
5,21+1+
3

7 ,1+20
27

8,020
13

206

70

69'

31

931,402
2 , 155,186
2 , 263,329
3,475,756 2 , 736,287
61+6,930
2,097,961
17,800
l / A fter deducting $894,652,000 pa rticip a tion s of other Federal Reserve Banks.

906,794

Porm^F. R. 283a
Relaased f o r p ublication*F riday morning, August 13, 1914+» not e a r lie r .

STATEMENT OF CDiJDITION
' OF THE TWELVE FEDERAL RESERVE
I BANKS COMBINED
(In thousands of' dollars)
Increase or decrease
since
Aug; 16,
1& 1+ '

Aug. 18,
191*3

Aug. 9,
' 1914+

ASSETS
Gold c e r t ific a te s on hand and
due from U. S .•Treasury
Redemption fund - F. R. notes
Other cash
Total reserves
Discounts and advances
Industrial loans
!
U. S. Govt, s e cu r itie s :
B ills
C ertifica tes
Notes
Bonds
Total U. S. Gpvt. secu rities
( in c l. guar, s e c .)

L I A B I L I T I E S
Federal Reserve notes
Deposits:
Member bank-re^ejr^. account
U.S.Treasurer-general account
Foreign
Other
Total deposits
Deferred avail aba 1'ity items
Other l i a b i l i t i e s including
accrued dividends
TOTAL LIABILITIES .. , .
C A P I . T A L AC C 0 5 J S T S
Capital paid in
Surplus (Section 7 )
Surplus (S ection l*3b)
Other capital accounts
TOTAL LIABILITIES AND G\PIT,'JL ACCOUNTS

Ratio of to ta l reserves to deposit ,
and if. R. note l i a b i l i t i e s oombined
Commitments to make industrial loans'




9 ,1+1+5,858
3,381,990
1,10'9,171
l,29l+ ,U26
15,231,14+5

-

2,000
288
3,322

-1,63U, 31+7
+ 3U2.051
58,667

5,03i+ -1,350,963
8,306 +
35.392
1,161
144+

+ 1+6,633

+4,530,631
+2 ,290,290
+
- 5 , 100;
385,771
- 32,1+00 - 180,922
—

+

9,133

+7 ,075.770

OO

Due from foreign banks
F. R. notes o f other banks
Uncollected items ”
Bank premises
Other a ssjts
TOTAL ASSETS',

55,339
10,330

+
-

15,295,111+
136
79,861
I-,851,865
3k ,617
65,1+50

+7 , 110,001
+
9
+ l , 6l i +
17,1+23
.+ 308,818 . + li+5,910
—
1+.011+
+ 1,14+6 + - 1,152

36,l+2'9,1+53

+307 ,221+ +5,919,513

19,14+0,265

+108,1+87

12,93l+,7^2
316,983
1,14+0,318
363,628
15,055,671
1,1+65,205

+125,11+1 . + 275, 171+
-170,513 + 217,903
- 6,015 + 292,276
+ 19,879 + 121+.112
- 31,508 + 909,1+65
+231,1+51 + 159,891

7,708
35,968,81+9
159,1+27
188,097
26,965
86,115
36,1+29,1+53
55 M%
■3,960

+

Total loans and secu rities

18,1+15,365
1+17,036
270,009
19, 102,1+10

-

2,211

+4,8lU,682

+

. 2,169

+.30.6,219

+5,886,207

+

75

+

930

+
+
•t**

10,399
27,686
136
1+.910

+307 ,221+ +5,919.518
-15,7#
- .1%.
80

-

8,353

Form F. R.

283b
STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON AUGUST 1.6, 19Uk
(In thousands o f d o lla r s )

« . ASSETS
Total

Boston New York

Phila.

Cleve.

Rich.

Gold c e r t ific a te s on hand and
due from U.S«Treasury
18,1+15,365 981+,366 1+595,095
915,51*3 11*71,195 1026,559
Redemption fund-F*K^ notes lj.17#036
1*0,392
28,383
83,963
35,1*27
27.571*
Other cash
.
18,881
66,260
“21,6i+0
ll* ,280
270,009
■ 21,398
Total reserves
Discounts and advances
Industrial loans
U. S* Govt* s e c u r itie s :
B ills
C ertifica tes
Notes
Bonds

19, 102,1+1 0 1 0 3 0 , 8211+71*5,318
22,325
89

2,555
1*,121

9 44*5,858 53!I-,1*35 31*29,768
3 , 381,990 256,127 711,687
81+,000 2334*07
1 , 109,171
1 , 29!* ,1+26
98,029 272,391

61*3,728
278,073
91,197
106,1+29

53,339
10,330

6,905
1,523

,T->tal U.S. Govt. se cu ritie s
( i n c l. guar* s e c .)
15,231 *1*1+5 972,591 1*61*7,253
Total loans and
se cu rities
Due from foreig n banks
F*R«notes of other banks
Uncollected items
Bank premises
Other assets
TOTAL ASSETS




•972,368 1533,227 1069,222

t

; 5,21*5
350-

2,259
17lx

Atlanta-

Chicago St. Louis

M inn,‘Kans.Cy.

Dallas SanFran.

91*9,269 3585,501
25,299
55,271
21,790
36,055

61*5,117 367,201* ; 715,706
28,508 11,1+66 :• 17,367
6,031+
ll+,109
12,533

51*7,833 2611,977
13,361
50,025
8 »661. 28,368

996,358' 3676,827

686,158 38i+,70l* . 71*7,182

569,855 2690,370

2,800
32

5,520
—

l*,8oo
—

366,636 11+20,911
207,151+ 376,601
67,939 123,513
79,286 ll4*,ll+2

365,589 20l+,26!+ 322,751
163,262 100 ,Ù 6 176,1*56
53,51*2 32 ,91+3
57,871
62,1+85 38,1+1*6
67,537

785,560

721,015 2065,167

614* ,878 376,099
1
. p. .

11194*27 13U9,928

*

•

15,295,111*

1Ì 2 6 ,103 1355,523

787,993

723,81*7 2069,967.

136
79,861
1, 851,865
3I*,617
65,1*50

10
1/ 1*9
13*126
1,591*
117 ,702- 1+-17, 131*
8,983
1.633
1*>?1*1* 12,399

12
12
2,983
2 44*7
106,632 200,923
l+,ll*8
3,516.
Ì+,887
7,658

6
6,999
127,81+7
2,887
1*,723

1*
17
7,061*
8,605
914*10 330,163
2 ,9061,629
3,908
7,831+

2215,9^5 310Ì+4+7I4. 1999,677 1821*, 220 6096,319

500
3,995

1*30
25

703,31*0 l*oU,30l*
377,961* 222,86k
123,960
73,092
llil+,661*
85,300

•'
981,019. 1*669,667

36,1+294+53 2137,523 9807,21+6

....
21.

265,888
152,555
50,031*
58,390

781+,2l4*
358,801
117,673
137,327

o2l*,6l5. 526,867 1398,01*5

' 650,398 376,120 -625,070: 526,867 ll+02, 5l+0
1* • ■ 3
5,360
l+,329
81,91*7 38,1*67
'2,039 f .1,261+
1,967
3,339

* 4
6,1*09
92,705
2,693
3,358

11
1+
3,060
17,815
63,322 183,613
9I+0
1,979
7,199
■2,93k

11+2*9,21+5 Ò6é,8& li+77;,i+2lL 1160,982 i+303,527

l / A fte r deducting $87,000 p a r tic ip a tio n s o f o.ther Federal Reserve Banks.