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Form F* R* 283
STATEMENT FOR THE PRESS
Released fo r publication
Friday morning, Jan. lij.;
not e a r lie r.

Board o f Governors
o f the Federal Reserve System
January 13» I9UU
CONDITION OF THE FEDERAL RESERVE BiiNKS

During the week ended January 12 member bank reserve balances increased
$199*000,000. Inoreases in member bunk reserves arose from decreases o f
$323»000,000 in Treasury deposits with Federal Reserve Banks and $32,000,000 in.
money in circu la tion , of-fset in part b y increases o f *$9]*» 000,000 in nonmember
deposits and other Federal Reserve accounts and $1*,000,000 in Treasury ca§h.and.by
decreases o f $57*000,000 in Reserve Bank c re d it and $2,000,000 in Treasury currency.
Excess reserves o f member banks on January 12 were estimated to be approximately
$1, 130, 000, 000, an increase o f $160, 000,000 fo r the week.
There was an increase o f $20^*000,000 in holdings o f United States Govern­
ment secu rities» b i l l s increased $165*000, 000, c e r t ific a te s $37*000, 000; and bonds
$2 , 000 , 000 .
Changes in member bank reserve balances and related items during the week
and the year ended January 12, I9I4.I4, were as follow s t

Increase or decrease
since
Jan* 12,
19hh

Jani 5,
i 9U,

Jon* 13
19U3

(In m illions o f d ollars)

12,315
21,938
14,092

keriber bank reserve"balances
Money, in circu la tion
Treasury cash
Treasury deposits with F*R. Banks
Konmember,deposits and other F*R. accounts

1Î2.301
20,1*01*
2,318
638
'2,131*




+ ko
+5,835
+ 1*5

+
1
- 279

2
KN

Total Reserve Bank cre d it
Gold stock
Treasury currency

+ 16
+ 203
+
1

O
J
r-1

B ills discounted
kl
U. S. Government d ire c t obligations
11*770
U. S. Government .guaranteed obligations .
85
Industrial advances (n o t including 9 m illion
cormviititunts - January 12)
11
Oth^r Reserve Bank cred it
1*02

2

+6,01*1
- 771*
+ 395

199
32
+
k
- 323
♦
9h

r • 1*78
+5,082
+
129
+ 309
+
621

-

57
mm mm

-

+

-

irorm F. k. 283°

STATEMENT OF CONDITION OF THE FEDHk&L KESEkVE BANKS ON JANUARY 12, lgl*4
(In thousands o f d o lla rs ) .
New York
P hila.
Cleve.
ltich. Atlanta
Chicago St*Louis
Minn. Kans.Cy. Dallas San Fran.

L I A B I L I T I E S
Total
JBoston
F.kfc.. notes irj*actual c ir ­
culation
16, 896,319 1151*604 3,750*800 1150*462 1,504,308 1137*937
Deposits«
i.
member bank-reserve a cct. 12 , 801,259 622,713 1**208,51*0 61*6,658
988,106 530,985
82,082
U.S.Treasurer-general acct . 638,332
36
,
706
:
187*069
1*8,363
¥ ,9 1 3
foreig n
121
*,
1*32
9^*903
l
/
58
l*,
0
l
*0
54*101
120,375
1 , 1*1*!*,503
Other
9,019
5*286
~
231*,
218
3,463
1*,832'
1*00,1*77
Total deposits
15 , 294,571 761*, 8i5 5*263,867 812,628 .1,199,582 636,912
252,609
73*218
Deferred a v a ila b ilit y itams 1,311**173
n*2 , 91a
88,01*7
98,933
Other l i a b i l i t i e s including
612.
217
1*52
1,608
accrued dividends
6,135
535
TOT.lL LIABILITIES
Capital paid in .
Surplus (s e c tio n 7)
Surplus (s e c tio n 13b)
Other ca p ita l accounts

724,812 386*539

615*632 411*460 1 *940,097

531,958 1*968*246 458,226 298,273
20,704
21,471 18,295
66,197
41,928
43»281
29,756
167*713
12,761
11,588
6,336
5*075

580.571 517,290 1,449 »-693
66,269
24,-930 24,333
105,528
39,223 32*223
2,732
2,550
52,617

601,018 2,208,492
76,421
201*635

647,274 503,578 1,674,107
155*038
71*924 54,644

950,634 3,171,534

524

988

533,213 359,085
69,236 29*527
177

165

331

139

.387

33* 501,193
2ool*,9l8
*
* 9,263,884 2036,920 2,81*7,866 1873*999 1623,597 5,532,61*9 1327,1*38 775*316 1335,161 101*9,821 3*769*629
6,232
4,681
18,000
15,768
155*328
57-, 530
12*953
4*725
5*474
3*313
5,049
9*852
11*751
70,012
3*669
13*206
•
16,026
4,331
6,330
5*236
4*554
26,490
188*097
5*725
14*159
17,^59
2,129
7 , 0921,000
1*»1*21
530
3,290
1,307
1,137
26,965
2,871*
1,007
1,429
749
2,608
3*386
60,926
3,668.
7,61*1
2,738
3,104
4,510
4*067
2*976
3,187
9,892
13,H*9

TOTAL LIABILITIES- *ND
33,932,514 2033*826 9,1*16,667 2074,619 2,883,308 1893,267 1610*, 612 5, 638,460 131*1,631 786,-681* 131*9»0881^63,378 3,801,971*
CAPITAL ACCOUNTS
Commitments to make in du strial
9,278
700
9
1,963
100
670
—
—
316
—
3,000
—
2,520
advances
F. ¿vnotes outstanding
C o lla tera l fo r F.k.notes
held by F.k.Agents j
Gold c e r t ific a t e s
E lig ib le paper
U .S.Gov't se cu ritie s

17*549,787 1200,291 3,386,161* 1188,5^ *1 , 552,510 1173,1*35 1003>328 3,21*0,526 759,135 395*215
12, 831,000 761,000 ^ ,965,000 715.OOO 1 , 155,000 775,000
1*4*744
1,539
32, 1*65
1*,1*55
—
2,210
5,076,087 1*50,000 950,000 1*75»000
1*00,000 1*50,000

725,000 2, 650,000
» —
—
300,000
700,000

636,251 1*1*7,-311 2 , 062,052

1*00,000 225,000 1*00,000 336,000 1*724,000
l*»ooo
—
25
—
—
1*01,087 175»000 250,000 125,000
1*00,000

maturity d istrib u tio n o f 3i l l s and se cu ritie s
Total

mithin
15 days

16 to
30 days

31 to
60 days
20
988

61 to
90 days

9 I days to
6 months

6 months
to 1 year

1 to 2
years

B ills discounted
1*6,986
33*61*1
6,975
6,350
—
' —
Industrial advances
10,51*2
8,61*7
5
168 ‘
ll*8 *
!*0l*
9!*
8 61*7
U. S. "Government s e c u r itie s ,
d ir e c t and guaranteed:
l l , 85i*,829' l r 188*l*33 1,381,738
.2,1*1*1,1*56
3*080, 6 0 0 '
547,900
1*303,350 223,200
l / A fter deducting $860,207,000 pa rticip a tion s o f other Federal Reserve Banks.



,

2 to 5
years

Over
5 years
—

88
1*87,971

1,200*181

Form F. h. 233a
keleased -for publication Friday morning, January ll*, I9I*}*; not e a r lie r ,
STATEMENT OF CONDITION
OF IxiE TWELVE FEDERAL RESERVE BANKS :COMBINED'
(In thousands of dollars.)
Increase or decrease
since

ASSETS
Gold certificates on hand and
due from U. S. ¿’Treasury
Redemption fund .- <F.- k. notes '
Other cash
Total reserves
B ills disoountedt
Secured by U.S.*Gov*t obligations,
direct and guaranteed
Other b ills discounted
Total b ills discounted
Industrial advances ,
U. S. Government securities,
direct and guaranteed»
Bonds
Notes
Certificates
'
.
Bills
Total U.S, Government securities,
direct and guaranteed

. 1-9,.500,570;
261,1*33.
353*510

20,115*513

Total b ills and securities
Due from foreign banks :
F. R* notes of other banks
Uncollected items
Bank premises
Other assets ,
TOTAL assets
LI AB I L I T I ES
F. R. notes in actual circulation
Deposits:
Member bank- reserve account
U.S.Treasurer - general account
Foreign
• ’
Other
Total deposits
Deferred availability items
Other lia b ilitie s inblud'ingv
accrued dividends
TOTAL LIABILITIES
C A P I T A L A C.C.O.IT. n- T S

: 1*1** 036
1*,037

♦ 16,186
-a**»

i*d,986 .
10,51+2

+ 16 , 186- ' * • 39¿999
2 , 1*88
+
373

+

1,631**352
• -677,900
2 , 51I*, 300
7,027,777

1.975
—
> 37,500
+161*,823

11,851*,829

+201*,298 • •+5,379,688

11,912,357
. 136
89 ,.691*
1-, ?16,336
35,200
63,226

+220,857
♦ 1,257
-386,917
—
+ 1,118

+5,91;7,199
+
89
.+ - 29,027
*. 308,896
1*,079
23,531*

33,932,511*

- 11*8,609

+5,391,929

- 11,7^0

.+1*, 787,01*0
,1*77,330
• + 309,596
+ 615,063
77,399

15,231*, 571’
1,3.11*, 173

+199.503
*-322,91*7.
+ 63,390
♦ 29,1*52
- 30,102
-108,61+1*

6,135
33, 501, 198...

+ . 760
»11*9,776

33,932,511*

*

&

155,323
183,097
26*965.
60,926

+

.

OJ




12,010 ‘ ‘ - 1 , 009,712
+ -229,783
10» 11*2
16, 91*1*
- • 50,695
15,076 •
.830., 619

+

Capital paid in
Surplus (Section 7}
Surplus (Section 13b)
Other capital accounts ,
TOTAL LIABILITIES AND CAPITAL ACCOUNTS:
katio of total reserves to deposit
and F. k. note liabilities, combined
Commitments to make industrial advances

. +
+
+

1*6,906
s.L

16,396,319
*
12,301,259
638,332
1,1*1*1*, 503
1*00,1*77:
!

Jan, 13,
191*3

Jan. 5,
19^1*

Jan. 12,
ishk

—

-1,151*, 779
- 667,159
+1,1*73,300
+6, 227,826

.+ ..363,935
+ .135,271*
.+ . 2,127
+5‘, 31*3“,376’
•)
+
8,857
+. 27,686
4 ••
136
+
11,871*

+'
775
- 11*8,609

♦5,391,929

+’

-

•

62. $
9,273

.1 !%
231

15.0JJ
1,920

Form F. ft. 283b
STATEMENT OF CONDITION OF THE FEDERAL RESERVE B/iNKS ON; JANUARY 12 r 19$*
(In thousand's o f d o lla rs )
ASSETS
Total * Boston New York. ? h ila .
Cleye.
Rich*.. Atlanta
Chicago St.Louis
Minn* Kaas.Cy. Dallas San Fran.
Gold c e r t ific a t e s on hand and
*
•
due from U. S. Treasury 19# 500; 570 1X15,629 it,977,961 111*0,783 1,699,579 ; 1120,1*75 1025,718 3,502,777 701,525 1*33,382 ?$1,1*03 581,312 2,1*10,021
Redemption fund - Fjk.notas 261,1*33
22,377
52,251*; 2l*,980
20,830
22,705
18,871
30,569. 19,681
8,615
12,260
9,792
18,501
Other cash
353,510. 3l*,55l*
81*,893
26,559
26,357
23, 51*2 21*,59l*
> 2,399
15,879
8,839
i5,lol* 11,818
1*1,172
Total reserves
20,115,513.1172,560 5,115,108 1192,327 1,71*6,766 1166,722 1068,983 3,575,71*5
B ills discounted*.Secured by U*S. Gov‘ t ob lig a tion s,
d ir e c t and guaranteed
1*6,986
1,000
2,210
370
32,1*65
1,589
1*,1*55
50
-—
Other b i l l s discounted
—
—
—

1*6.986
10, 51*2

1,589

Due from foreign banks
K.R.notes o f other banks
Uncollected items
Bank premises
uther assets




1*,000
—

570

2,210

50

1,000

i*,000

39O

255

171

1*

816,767 602,922 2,1*69, 69!*

—
—

--

—
181

25

322
--

25

322

500

50

12

1*,550

m
ám
m

500

356,21*5
125,1*56
11*7,7.61*
52,037
193,01*1
51*3,157
326,216 2 , 830,100

126,912
80,002 *51,925
171*, 106
171,251
180,627- 110,902 • 92,t 28
85,71*5 77,655
58, 1*62
71,052
52, 61*1
72,216 • 55,515 21,538
1*6,000
55*565 52,209
71*, 921
267,902 . 121*, 352 79,895’ 151,931 -119*1*90 • 265,505
195,232 • 277,955- 170 , 61*7 .11*2,632
605,581
591**885
1*15,1*91* 257,560 186,955 1,265,799 268,985 158,881* 179,155 162,589

696,750 3,882,266

7 ^ ,7 1 3

3,9H*, 857' 778,679
11,912,357
12
136
10
1/
1*9
“ 11*,581
89,691*
2,175
1*559
1 , 716,388 15 I*,988
95,557
31*7*529
9,121
35,200 • 1,666
5,600
15 , &2
. 63,226
1**289
1*,365
>

TOTAL ASSETS

it, 1*55
1*,506

00

Total b i l l s and
se cu rities

339

00

Industrial ad..vances
U. S. Government s e cu r itie s ,
d ira ct and gu-runteedj
Bends
1,631*,352 Notes
677,900
C e rtifica te s
2,511*» 800
B ills
7,027,777
Total U,¿¿Gov’ t se cu ritie s 9
d ire c t and guaranteed
11 , 85U, 829

32,1*65
126

•

*

1

Total b i l l s discounted

737,085 1*50,831*

•

»

.

91*8,977

58l*,909

507,652 292,21*2

1*60,827 1,778,025

1*32,377 391,71*1 1,109,367

91*9,757* 587;55é ‘ l*6l , 0l*é 1.779,027 * 5il*;65^ ¿92 , 1*23’ 1*32,1*52 592,075 l , l l l * , 1*17
11
1*
1*
17
1*
1*
5
15
5
18,121
2 , 681*
1*,168
5,361
H*,658
6,097
5,592
8,771
7,-927
88,612 6018II
81,688 •57,1*82
191,152
176,197 117,51*1* • 100,889
266,179
2,025
* l*j211*
1,2802,936
2 , 91*8
2,061*
2,732
965
1,653
5,061
1,978
3,180
6,576
5,261*
5*011
6,617
7,215 . l*,05ö
•

*

•

«

♦

*

*

;

.

*

33 ,932, 51I* 2033,826 9*1*16,667 2o7l*,6l9 2,888,308 1893,267 161*1*,¿12 5^638,1*60 131*1,631 786,681* 131*9,0881063,379 3,801,971*
i / A fter deducting $87,000 pa rticip a tion s o f other Federal Reserve Banks.