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Form F. 'R. 233 STATEMENT FOR THE PRESS Released fo r p u b lica tion Fridky morning, Feb. 16; not e a r l i e r , Board o f Governors o f the Federal Reserve System February 15, 1945 CONDITION OF THE FEDERAL RESERVE BANKS During the week ended February 14 member bank reserve balances increased $72,000,000. A ddition s to member bank reserves arose from an increase- o f $215,000,000 in Reserve Bank c r e d it and a decrease o f $46,000,000 in Treasury deposits w ith Federal Reserve Banks, o ffs e t in part by decreases o f $4.1,000,000 in gold stock and $2,000,000 in Treasury currency and increases o f $122,0J0,030 in money in c ir c u la tio n , $17,000,000 in Treasury cash and $ 6 ,000,"000 in nonmember deposits and other- Federal Reserve accounts. Excess reserves o f member banks on February 14 were estim ated to be approxim ately $1,000,000,000. Holdings o f loans, discounts and advances increased $30,000,000 and o f United "States Government s e c u r itie s -$119,000,000. The incroas-e in holdings o f United States Government s e c u r itie s re s u lte d from increases o f $123,00,0,000 in b i l l s and $3,000,000 in c e r t if ic a t e s and a decrease o f $5,000,000 in bonds. .Changes in member bank reserve balances and r e la te d items during the week and the year ended February 14, 1945, were as follow s* Increase or decrease since Feb. Ik, 1945 Feb . 7, 19Ù5 Feb. 16, 1944 ( In m i l l i ons o f d o lla r s ) U, S. Government s e c u ritie s Loans, discounts and advances Other Reserve Bank c r e d it 19,181 23li 502 ;+ + + 119 30 64 +7,787 + 192 22 T ota l Reserve Bank’ c r e d it Gold stock ; Treasury currency 19,918 20,507 4,1-24 •+ ,- 215 M 2 +7,957 -1,295 + 31 lAember bank reserve balances Money in c ir c u la tio n Treasury cash Treasury deposits -with R* Banks Nonmember deposits and other F.R# accounts 14,022 25,533 2,389 547 2,053 + + + 72 122 17 46 6 +1,778 1 +4,923 : + 5b + 187 - 250 + As-Thursday, February. 22, w i l l b.e observed as a h olid a y in, most Federal Reserve Bank c i t i e s , the .statement fo r next week w i l l be issued on F riday, February 23» Form Fm R. 283c L I A B I L I T I E S STATEMENT OF CONDITION OF THE FÉDÉRAL RESERVE BANKS ON- FEBRUARY lh, 19b5 (In thousands o f d o lla r s ) - Totàl Boston New York P h ila. Cleve. Rich. Atlanta. •Chicago St.Louis Federal Reserve notes 21,950,486 1373,238 4,894,387 1447,399 1917,112 1487,346 1290,656 4029,581 Deposits : Member bank-re serve ac c t.lij. *021,93^ 639,434 4,493,150 636,756 1074,700 6l6,684 632,940 2099,177 U*S• Treasu rer-gen eral a c c t. 547,243 126,285 49,422 41,238 71,602 62,013 25,031 23 ,951 Foreign 159,488 83,444 1/ 487,080 107,961 1,271,209 106,734 51,527 42,939 .Other 290,478 377,378 4,821 2,856 4,981 4,021 7,718 2,587 T otal deposits 16,217,761; • 777,28f Deferred a v a i l a b i l i t y item s1,715*&h5 126,230 Other l i a b i l i t i e s in clu d in g accrued dividends 625 8,584 TOTAL LIABILITIES C apital paid in Surplus (S e c tio n 7) Surplus (S e c tio n 13^) Other cap ita l*a c c o u n ts TOTAL LIABILITIES AND CAPITAL ACCOUNTS Commitments to make in d u s tria l loans 39,892,479 166,046 228,153 27,165 77 ¿ 1 0 5,396,993 .840,776 1260,754 358,823 99,117 196,804 ", 896 2,224 649 695,829 702,686 2324,699 99,023 98,269 287,214 451 379 1,304 Minn. Kans. Cy. D allas SanFran. 936,542 4 8 o ¿ 3 7 804,776 547,071 2741,941 524,919- 314,293 15,075 28,738 36,805 28,217 10,392 2,085 651,633 23 , i 26 36,-805 5,806 614,239 1674,004 26,270 54,490 36,805 93,4o4 2,358 40,775 587,191 373,333 74,354 35*512 - 71.5,377 80,090 63o,l?2 1862,673 80,703 179,506 362 264 . 321 277 332 2277,374 10, 052,4 2 7 -2387,941 3375,566 2282,649 2091,990 6642,793 1593,449 839,546 1600,564 1308,223 4784,952 14,980 19,760 12 ,422 16,683 6,612 5,265 5,519 3,645 59,735 5,317 10,153 5,955 33,201 6,196 19,872 7,048 6,025 19,071 4,950 15,299 -15,239 7,956 84,903 7 ,b l3 2 , 880' 2,142 4,468 762 3,290 1,307 1,007 1,429 527 1,137 1,073 7,143 6,327 5,066 3,498 '9,336 15,083 4,472 4,509 3,594 3,897 11,319 4,174 5,585 Ud ,391,253 2310,155 10, 819,291 2430-,233 3Ù21,713 2305,1+30 2111,115 6708,507 1615,463 902,808 1617,111 1324,572 4624,300 3,508 ---- F. R. notes outstanding 22.,546,760 1409,357 C o lla te ra l f o r F. R. notei held by F* R. A gents: Gold c e r t i f i c a t e s 10^781,350 ' 610,000 E lig ib le paper 208 ¿0 5 14.,650 U.S.G ovt. s e c u r itie s 12,060,286 810»000 . 2,402 —r 55 - ------- ---- 5,038,524 1479,710 1961,229 1517,907 1339,435. 4103,960 969,238 4-88,999 824,699 575,396 2838,246 615,000 605,000 1920,000 375,000 183,350 5,750 — . . — r . 17, 6 0 0 . 3,050 950,00.0-' 750,000 2200,000 670,286 310,000 320.000 32,615 525.000 244,000 li*24.fOOO ...................... 345,000 1500,000 3 ,045,000 128, 64-0 2 ,000,000 20 628,000 312,000 6,100 — 850,000 1150,000 4CfO . ---- .. ---- 631 MATURITY DISTRIBUTION OF L 0i.NS „JÎD SECURITIES Total Discounts and advances In d u stria l loans U. S • Gove rnme nt s e c u r itie s 230,505 3,073 19,181,334 2 to 5 years Over 5 years 2 , 965,310 .1 , 929,023 4 ,731,767 3 , 960.^672 1,286,446' 2 ,522,500 343,200 619,802 l / A ft e r deducting $782,717,000 p a r tic ip a tio n s o f other Federal Reserve Banks. 824,670 W ithin 15 days l 6 to 30 days 31 to 60 d a y s . 6l to 90 days 168,215 3,349. -16,915 18,385 .26,990 : 4 91 days to 6 months 33 6 months t o 1 year 1 to 2 years '462 25 Form F. R. 283-. Released fo r p u b lica tion Friday morning, Fobruary 16,1945; e a r lie r , STATEMENT OF CONDITION OF. THE TOBLVE FEDER.iL RESERVE BANKS COMBINED ( I n thousands o f d o lla r s ) Increase or decrease .since Feb. 14,- ' ' Feb. 7, I9h5 Feb. 16, 19UJ4 19^5 A S S E T S Gold c e r t ific a t e s Redemption fund - F# R* notes Other cash v * * T ota l reserves 17, fy h , 865 625, 11*1 2 72 ,0 13 - 53,000 + 320 - 1 2 ,1 1 7 IB ,592,019 - 64,797 ‘ -1,679,711 + 361,150 ~ • 75,025 -1,393,586 Discounts and advances In d u s tria l loans Ut S. Govt, s e c u r itie s t B ills C e r t ific a t e s Notes Bonds 230,505 3,3 73 + 3 o , c99 + 152 + 1 1 , 5 3 6 ,15 1 4 , 9 2 9 ,14 0 1,565,721 1,150,372 +122,747 + 3,000 - -6,10 0 +5,418,73U +2,264,600 + 633,521 -• 529,'797 T o ta l U. S*Government s e c u ritie s 19,181,304 +119,647 +7,787,058 T o ta l loans and s e c u r itie s 19,145,762 +150,498 +7,978*807 Due from fo re ig n banks Ft R. notes o f other banks U ncollected items Bank premises Other assets tl6 67,852 2,217,533 ' 3li*U76 63,440 - 12,946 +432,995 + 1,580 + 40,391.253 +507,430 +6,575,795 2 1 ,9.50,486 +104,363 +4,836,356 1 4 , 021,934 5147,243 1,271,209 377,373 + + - 1 6 ; 2 1 7 ,764' 1,715,645 + 31,551 +368,905 3,584 345 3^ , 892,479 +505,56^ TuTAL ASSETS - - 178,250 6,501 20 l 1,444 6,509 •636 3,835 L I A B I L I T I E S Federal Reserve notes Deposits? kember bank-reserve account U. 3, Treasurer Foreign Other T ota l deposits D eferred a v a i l a b i l i t y items Other l i a b i l i t i e s including accrucd dividends TOTAL LIABILITIES C A P I T A L '+ 1 , 7 7 3 ,14 4 + 187,532 - 280,266 33,939 > i , 64 6,'521 + 23,500 + 662 +6,512,039 ;,C,C0U N T S C a p ita l paid in Surplus (S jc tio r i 7) Surplus (S e c tio n 13b) Other 'c a p ita l accounts TOT.1L LIABILITIES A^D CAPITAL ACCOUNTS R atio o f t o t a l reserves to dep osit 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 71,532 145,555 25,360 17,796 166,046 .228,1532 7 ,1 6 5 77,410 40,391,253 46#7?» 3»508 245 + gm mm - ~ + 1,516 +507,430 + »bf° 117 + + + + 9,995 40,056 200 13,505 +6,575,795' ~ _ llu W 6,163 Form F. R. 283b STATEMENT ,0F CONDITION OF THE FEDERAL RESERVE BaNKS ON FEBRUARY il;, ( I n thousands ' o f d o lla r s ) I 9Ù5 A S S E T -S T o ta l Gold c e r t if ic a t e s 17, 6911,865 Redemption fund-P.R .notes 625, Ii|l Other cash 272,013 T o ta l reserves 18, 592,019 Discounts and advances In d u s tria l loans U. S. Govt*, s e c u r it ie s : B ills ^ C e r t ific a t e s Motes Bonds 11, 536,151 4 , 929,140 1, 565,721 1, 150,372 T otal U.S* Government s e c u r itie s Total loans and s e c u r itie s 230,505 3,073 New York P h ila Clsve,. , Rich,, A tla n ta Chicago S t.Lou is Minn. Kans.Cy. D allas SanFran.^ 974,220 3091,171 37,595 110,125 23,911 32,465 642,720 362,962 32,516 ' 15,738 5,862 13,536 646,770 25,575 13,131 517,095 2251,303 18,552 91.009 9,746 24,504 981,238 5,221,0914 1030,710 11+11,796 1005,317 1035,12 $ 3235,761 688,780 384,562 685,526 545,393 2367,316 910,037 5,051,370 iol+,464 40,352 65,560 22,81+9 0 14*650 197 128,640 10 967,187 1331,925 42,906 57,514 20,617 22,357 6,100 2,742 939,097 43,795 17,425 300 20 -3,750 17,600 3,050 - - - 500 450 12,275 308 5,750 121 693,731 1001,960 373,219 468,397 118,551 148,786 87,103 109,316 656,496 315^043 100,327 73,712 560,530 2037,419 249,173 645,640 79 A4 9 205,084 53,152 150,680 443,061 257,504 231,613 133,309 73,570 42,345 54» 054 31,112 416,-619 242,192 76,932 56,524 362,846 l4 3 3 ,5 H 205,192 499,473 65,173 158,656 47,388 116,. 568 lç>, 181, 381+ 11514,100 4,940,856 1272,604-1728-, h59 1146,378 947,012 3038,823 807*298 464,270 792,267 681,104 2208,213 824,907 681,379 2209,163 628,312 3,039,154 338,994 1, 226,090 389,464 107,679 236,148 7 9 ,H 5 - * 19,1+15,702 1168,9147 5, 069,506 1281,446 1741,042 1152,249 Due from fo r e ig n banks 116 ivR # notes o f other banks 67,352 U n collected items 2,217,588 Bank premises 34,1+76 Other assets 63, 1+1+0 TOTAL ASSETS Boston 9 2,985 151,043 1,605 4,328 1/ 29 10,481 493,930 ■ 8,876 14,575 12 1,786 108,469 3,4454^42o 12 3,701 254,316 4,092 6,254 6 . 8,600 132,258 2,845 4,155 - - 32,615 25 275 - - 947,332 3047,573 5 7,962 115,121 1,607 3,362 18 8,954 406,384 3,167 8,650 824,898 467,320 4 4,546 91,892 2,110 3,233 3 2,086 45,959 1,249 1 ,‘629 4 3,785 96,931 2,655 3,303 4 2,673 91,613 894 2,616 10 10,293 229,172 1,931 6,915 ^0„391,253 2310,15510,819,291 21+30,288 3421,713 2305,il30 2111,115 6708,507 1615J+63 902,808 1617,111 1321|,572 4824,800 l / « .ft e r deducting $87,000 p a r tic ip a tio n s o f other Federal Reserve Banks.-