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Form F: R. 283 STATEMENT FOR THE' PRESS Board o f Governors o f the Federal Reserve System December 27, 19^5 Released fo r p u b lica tio n F riday morning, Dec. 28; not e a r lie r . CONDITION OF THE FEDERAL RESERVE BANKS Duri.ftg the week ended December 26, member bank reserve balances decreased $2lj.8,000,000. Reductions in member bank reserves resu lted from increases o f $14.8 1 , 0 0 0,00 0 in Treasury deposits w ith Federal Reserve Banks, $ 92 ,0 0 0 ,0 0 0 in money in c irc u la tio n ,, and $ 2 ,0 0 0 ,0 0 0 in nonmember, deposits and other Federal Reserve accounts, 'o ffs ’et* in" part by increases o f $ 31 5,000,000 in Reserve Bank c r e d it and $ 8 ,0 0 0 ,0 0 0 in .Treasury currency and a decrease o f $ 5 ,0 0 0 ,0 0 0 in Treasury cash. Excess reserves o’f member banks on December 26 were estim ated to be approxim ately $ 1 , 3 5 0 , 000, 000, ►H olding« o f loans, discounts and advances increased $132,000,000 and o f United States • Government s e c u r itie s $ 3 6 9 ,0 0 0 ,0 0 0 . The increase in holdings o f United States Government s e c u r itie s r e fle c t s increases o f $ 31 7,000,000 in b i l l s and $52, 000,000 in c e r t if ic a t e s . Changes in member bank reserve balances and re la te d items during the week and «the year ended December 26, 19^ 5, wore as fo llo w s : Increase ®r decrease since Dec. 26, I9li5 Dec. 19 , 19U5- Dec. 27 19U± (In m illio n s 0f d o lla r s ) U. S. Government s e c u r itie s Loans., .discounts and advances Other Reserve Bank c r e d it 21+.037 ' h9h 6U1 + + - 369 132 186 +h,973 + 335 + h3 Total, Reserve Bank c r e d it Gold stock Treasury currency 25,172 20,065 h,33h + + 315 1 8 +5,351 - 57k + 203 iviember bank reserve balances Money in c ir c u la tio n Treasury cash Treasury deposits w ith F# R.Banks Nonmember deposits and other F.R.accowfcs 15,658 28-, 6I49 2,283 1,199 1,782 + + 21+8 92 5 hBl 2 +1,689 +3,3lh 9h + 298 - 228 Fora F. R. 283ß L I A B I L I T I E S F e d e r a l R es erve n o te s D eD O s its : Fo reign Otner T o ta l deposits Other l i a b i l i t i e s in clu d in g accrued dividends TOTAL LIABILITIES C apital paid in Surplus (S e c tio n 7) Surplus (S e c tio n lyb) Other c a p ita l accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS Corninitments to make in d u s tr ia l loans STATEMENT OF CONDITION OF THE FEDERAL ¿RESERVE BANKS JN DECEMBER 26, 1945 (i n thousands o f d o lla r s ) T ota l Boston 2^,736,391 1I+92,785 C leve. P h ila . Rich. A tlanta Chicago St.Lou is 5 ,1+10,1+62 l6i,4 ,309 2111,992 171+8,009 1490,672 4458,295 10o6,772 15,057,678 69li-,085 1,198,710 -11x9,999 865,1+36 55,671+ 1+18,880 3,970 1+,81+3,591 211,1+29 V 3 J 7 ,958 325,61+2 912,160 707,300 77,1143 34,51+9 2,332 726,336 2272,678 39,095 295 »933 23,791 106,9^8 4,342 9,477 595,309 30,082 2l+,673 9,860 338,187 28,094 18,920 2,652 770,1}74 41,981 24,678 528 745,143 1990,734 38,406 65,994 24,673 62,637 1,132 50,230 5,718,600 "941 ,548 1556,531+ 821,321+ 799,214 2683,026 116,254 203,106 659,929 56,101 437,335 li2 ,407 837,661 309,364 2169,595 66,883 168,736 1,882 1+44 551 454 905,726 1,378,555 110,902 187,1+91+ 77,461 127,357 138,345 12,781 772 5,44? 883 l,25l+ 582 574 83,507 493 1 ,440 1+1+»266,2+29 2508,185 11,520,003 26614,206 3596,937 2708,760 2406,714 7346,309 1783,246 1035,573 1834,082 1502,813 5559,746 175,856 228,153 27*165 155,068 10,652 15,239 2,880 9,570 62,732 81+,903 7,143 33,999 13,053 19,372 i+,1+63 10,912 17,659 19,071 1,007 16,51+7 7,173 7,313 3,290 9,776 6,351,' 7,936 762 3,370 20,750 33,201 1,429 22,251 5,586 7,048 527 7,434 5,851 4,950 1,073 5,532 6,007 0,025 1,507 6,515 5,731 6,196 1,137 7,332 16,297 15,399 2,142 14*930 44,850 ,051 251+6,506 11, 508,780 2712,516 3651,271 2736,812 2430,136 71+23,946 1303,891 1050,779 1854,473 1522,1(72 5609, 061+ 2,850 T o ta l 554, 53? D allas tìanF ran. 626,073 3219,975 Minn*. iians *Cy* 783,1:75 lli+ 0,313 82,61+3' 139,3H 72,5^9 '71,566 5,194 3.ohi 18,138,701+ l6l| F. 3. notes outstanding ¿5 ,& 8,7 7 7 Î53UÂ52 C o lla te r a l f o r F. R. notes held by F. R. A gen ts; Gol& c e r t i f i c a t e s 10,525,000 I+60,000 E lig ib le paper 23 ,060 1+17,71+7 U, S* Govt, s e c u r itie s 15,1+20 ,222 1100,000 Discounts and advances In d u s tria l loans U. S. Govt* s e c u r itie s New York 1+92,027 2,038 21+,036,572 1,809 300 300 -------- -------- -------- — 135 92 5,553,972 1699,333 2130,553 1301,677 1565,940 4564,226 1119,276 569,605 952,110 661+ ¿405 3597,725 3 , 220,000 500,000 635,000 670,000 630,000 1390,000 300,00'J --------------— 359,760 15,750 h ,1+12 3,965 2 ,1+00 ,000 1200,000 1550,000 1175 »000 900,000 2700,000 395,222 MATURITY DISTRIBUTION OF LOANS AND SECURITIES 170,000 5,000 400 ,000 230,000 15,800 700,000 169,000 1649,000 — 10,000 500,00o 1900,000 W ithin 15 days l6 to 50 days 31 to 60 days 6l to 90 days 91 days to 6 months 6 months to 1 year 1 to 2 years 2 to 5 years • 1,750 1+7,900 4,600 1*37,777 1+ 61+ -13 13 13 4 1,925 507,652 *1 + 2 ,032,552 5 A 13,206 1+,985, 891+ 2,11+2,750 4,857,090 3,1+06,733 l / A ft e r deducting $524,320,000 p a r tic ip a tio n s o f other Federal Reserve Banks Over 5 years 690,690 Form F, R. 283a Released fo r p u b lic a tio n F rid ay mbrning, December 28,.191+5, not e a r lie r . STATEMENT OF ,CONDITI ON OF THE TWELVE FEDERAL RESERVE BANfcS COMBINED (I n thousands o f d ollH rs) Increase or decrease since Dec, 26,. 19U5 Dqc. 19, . 1945 Dec. 27, 19UU A S S'E T S Gold c e r t if ic a t e s Redemption fund fo r F,R. notes 17,062,56? 800,371 T o ta l gold c e r t i f i c a t e réserve's 17,862,936, + 5,oool+,985 15 • +. 796,800 192-, 61+1+ - 601+, 156 Other cash 206,771+ - 9,351 - 16,982 Discounts and advances In d u s tria l loans U. S, Govt, s e c u r itie s : B ills ' C e r t ific a t e s Notes Bonds 492, 027* 2, 038- +132,172 - . 217 + - 339,1+09 3,925 12, 802,569 8 , 167, 1+61 2, 119,650 - 9Ì+6, 8;)2., +316, 50,8 +..52,000 -, - +1 ,281,952 +3;»1+35,321 + 551,1+29 296,531+ , t T o_ta_l _ U._ _S._ Government , 211,036,572 +368,508'* T o ta l loans and s e c u r itie s 24, 530, 637. Due from -foreign banks , F. R. riotes o f other banks U n collected items Bank premises Other assets 110' 133,595 2,019,1+7S . 33,615. 63,508 +500, 1+0$ * •+5i,307,65? • .. 26 + +. 2,207 1+1,035 86,566 -69k,671 *■ - 38 - 715 +.. 8,1+82 TOTa L ASSETS +hi,972,160 l+l+,85d,65i, * 201,012 +4i>61+8, 721+ 21+, 736,391 + 73,191 +3 , 0 11,0 40 15,657,678 1,198,710 • 863,1+3 6 1+18» 880 - 21+8,256 +1,689,055 +1+80,1+70 • •+• 29&.012 +.19,423 - 31+6,928 - 20,702 + 2 7 ,8 9 1 13,1 3 8>70l+ +230, 91+0 +1 , 668,030 -508,973 •- * 129-, 81+3 + + L I A B I L I T I E S -tm. --------- —______________ ___ ___ __ _______ Federai Reserve 1 notes D ep osits: Member bank - reserve account U»S#Treasurer - General, jacccu,nt Foreign Other T o ta l deposits Deferred a v a ila b ility i.ite m p Other l i a b i l i t i e s in clu din g accrued dividends TOTiiL LIABILITIES C A P I T A L 1 ]; 'i> 0 0 T J N T S* 1,378,553 ' 12 ,7 8 1 1+1+, 266, 1+29 i C a p ita l paid in Surplus (S e c tio n 7) Surplus (¡Section 13b) Other c a p ita l accounts. ■ TOTAL LIABILITIES ,a FD CAPITAL ACCOUNTS ai+,850,65l R atio o f gold c e r t i f i c a t e Reserves to deposit and F.R.note l i a b i l i t i e s combined Commitments to make in d u s tria l loans 175,836 228,153 27» 165153,068 41.7 % 2 ¿850 875 709 -203,967 +1+, 51+9,936 + 81+3 - - + *2 , 1 1 2 ' + + + + - 2 0 1,0 12 +1+, 61+8, 721+ -70'/ 120 ■- 13 ,72 2 1+0,056 200 1+1+,'010 6. & 2 , 00l+ Form F. R. 284b STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON DECEMBER’ 26, 1945 (In thousands o f d o lla r s ) A S S E T S Gold c e r t i f i c 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 r^seryes Other cash T o ta l Boston New York 17, 062,565 780,234 1;, 660*960 800,371 59,189 124,283 17,862,936 839,423 4,765,243 31,215 P h ila . Cl e v e . R ic h . A tla n ta C h ica go S t . L o u is M inn. ' K an s.C yv D a lla s SanFran*. 876,112 1137,623 1070,423 1002,091 3220,843 556,837 323,662 582,225 135,320 42,997 20,145 35,246 937,246 1215,654 1130,507 1048,041 3356.163 599,834 343,807 617,471 24,318 11,760 _ » 12,234 17,160 « - 7,265 6,081 - « 10,386 634,721 2196,482 410,597 1070,394 106, 559 277,793 47,602 124,096 508,569 418,032 108,488 48,464 317,756 226,562 58,797 . 26,266 526,800 407,910 105,862 47,291 438,799 1769,771 356,376 766,546 92,489 198,937 88,869 41,317 61,134 78,031 6o,o84 45,-950 472,742 2378,813 26,155 111,831 498,897 2490,650 Discounts and advances In d u s tria l loans U„- 3* .Govt._ s e c u r it ie s : B ills C e r t ific a t e s N o te s . Bonds 206,774 492,027 2,038 17,367 26*209 110 356,774 12, 802,569 8,167,461 2,119,650 946,892 726,078 569,292 147,746 66,001 3, 092,063 2, 050,626 532,187 237,739 T o ta l U*S. Government s e c u r itie s 24,036,572 1509,117 5, 912,615 1621,220 2203,518 1367,957 1199,479 3668,765 1083,553 629,381 1087,863 928,981 2824,123 T o ta l loans and s e c u r itie s 24,530,637 1535,436 6,269,389 1631,625 2227,137 1374,452 1202,724 3680,525 1100,713 •635,462 1105,088 930,391 2837,695 Due from fo r e ig n banks 110 F^R^notos o f oth er banks! 133,595 U n collectcd items 2,019,476 Bank premises 33,615 Other assets 63,508 t o t a l assets 7 2,985 144,721 1,559 5,008 - - 1/ 40 13,054 386,154 8,693 14,992 13,465 8,548 1,857 15,485 15,141 20,523 23,619 - 6,439 56 3,245 - 786,659 1126,714 6o6,75l 782,870 157,466 203,173 90,761 70,344 678,157 501,505 130,153 50., 142 ■ 10 5,446 117,425 3,313 3,988 .'lO 10,033 173,008 3,989 5,955 5 25,274 184,750 2,769 3,914 4 9,107 144,559 1,569 3.609 14 17,998 332,828 3,111 8,989 3 8,224 77,123 2,062 3,698 17,210 15 3 3 8,705 6,134 55,136 107,316 1,258 • 2,597 2,914 1-,714 9,049 1,410 . — 30,326 13,572 8 3 22,292 4,345 75,995 220,463 832 1,863 2,960 ___ ¿ 4.762. UU,850,651 2546,506 11 , 508,780 2712,516 3651,271 2736,812 24.30,136 7423,946 1803,891 1050,779 1854,478 1522,472 5609,064 l / li f t e r deducting $70,000 p a r tic ip a tio n s o f other Federal Reserve Banks.