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Form F. R. 233 STATS,.ENT FOR THE PR3SS Released for publication Friday morning, Jan. 7; not earlier. Board.of Governors of the Federal Reserve System January 6, 19^1* CONDITION OF THE FEDERAL RESERVE Ba NKS During the week ended January 5 member Sank reserve balances decreased $167,000,000, Reductions in member bank reserves arose from increases of $197»000,000 in Treasury deposits with Federal Reserve Banks and $3,000,000 in money in circulation and decreases of $58,000,000 in Reserve Bank credit, $66,000,000'in ,?,old •stock and $2,000,000 in Treasury currency, offset in part by decreases of $163,000,000 in nonmember deposits and other Federal Reserve accounts and $2,000,000 in Treasury cash. Excess reserves of member banks on January*5 were estimated to be approximately $970,000,000, a decrease of $160,003,000 for the weak. There was an increase of $36,000,000 in holdings of United States Government securities; Certificates increased $70,000,000, bonds $8,000,000 and notes $1,000,000, while Treasury bills decreased $ii3>000,000. Changes in member bank reserve balances and related items during the week and the year ended January 5, I9UU* were as follows; Increase or deer-ase since Jan. 5» I9hh .( lj‘ oC. , 19^3 Jan. 6, 19k nilliaas of dollars) Bills discounted 31 U. S. -Government direct obligations 11,567 U. S, Government guaranteed obligations 8U Industrial advances (not including 10 million commitments - January 5) 10 Other Reserve Bank credit ' 681 - 70 + 3U + 2 + 27 +5,572 + hi — - 23 2 + 352 Total Reserve Bank credit Gold stock Treasury currency 12,372 21,938 h,09h - 58 6b' 2 +5*99U -- 71h + h3h Member bank reserve balances Koney in circulation Treasury cash Treasury deposits with F. R. Banks Nontnerriber deposits and other F.R.accounts 12,602 20,^36 2,3lU 961 2,090 - 167 + 8 - 2 + 197 - 163 - 862 +5>Oh3 + 122 + 688 + 662 Form'y. R. 285c STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON" JANUARY 5, 19hh .r (In thousands of dollars) L I A B I L I T IES Total Boston New York Phila. Cleve^ Rich* Atlanta Chic ag.o St* Louis Minn. Kans*Cy* Dallas San Fran* F. R* notes in actual cir culation ‘ 16,908,109 u$U,9ki 3,763,5^3 nii7,233 l,k99>&3 nii0,287 955,153 3 ,167,292 725,hh5 335,793 616,315 Ul5,2ll 1,937,273 Deposits: T member bank-reserve acct. 12,601,756 61+1,693 k, 131,5U1; 616,002 979,175 5^9,667 53U, 303 1*91*8,307 1+1+3,71+7 239,051 ■ 559,266 1+99,362 1,1+21+, 639 U.S.Treasurer-general acct. 961,279 ■ 87,857 . 31+6,81+9 50,609 91,030 32,926 1+6,301 56,1+92 1+3,71+1+ 31,129 39,1+31+ 32,039' 102,86? foreign 1,380,613 3U,628 3/ 607,639 122,1+08 118,51+3 55,1+06 i+5,098 157,193 38,655 23,31+7 36,073 33,655 97,953 uther _37l,025 5,1+81+ 257,01+9 6,020 n,95l 3,31*1+ 6,350 3,732 12,137 12,920 2,612 2,733 146,688 Total deposits 51*3,283 361,1+1+7 637,390 572,794 1,672,151+ 15,311+, 673. 769,662 5,31+3,081 795,039 1,200,699 621,31+3 632,052 2,165,729 ‘ Deferred availability i ® 1,1+22,317 7l+,009 269,719 10l + , l +12 222,711+ 32,1+9!+ 79,566 73,356 3l*,l*73 35,11+3 57,079 133,1+13 156,1+39 Other liabilities inclu accrued dividends 718 201+ .1,1+52 561+ 257 1*87' 152 3.07 133 371 193 5,375 537 TOTiiL LIABILITIES 33,650,971+’ 1999,099 9,377,79 5 2022,i+00 2,357,288 1366,299 1669,-897 5,556,1+53 131+2,283 731,870 1339,155.101+5,217 3,793,211 Capital paid in 9,808 57,1+72 11,71+1 6,216 17,962 12,863 5,01+3. i+,.657 l+,709 3,307 5,1+51 151+,936 15,707 vjrplus (Section 7) 70,012 13,206 26,1+90 5,236 6,330 i+,33l 5,725 3,669 1+.551+ 17,859 16,026 ll+, 199 188,097 Surplus (Section 13b) 7,092 2,129 1+,1+21 l,a29 3,290 530 1,000 2,871+ 1,307 1,137 26,965 71+9 1,007 Other capital accounts 3,616 2,708 3,028 3,369 12,91+7 i+,01+1 1 + . 1 +71+ 9,71+1 2,91*1 3,131+ 60.151 2.57U .. 7^78 TOTAL LIABILITIES AND capital ACCounts 31+,081,123 2027,923 9,525,318 2060,039 2,897,606 1885,515 1685,863 5,612,075 1356,1+31 793,215 1353,0231058,720 3,825,390 Commitments to make industrial advances 9,^9 700 .9 2,190 100 670 — — 316 — ' 3,000 — 2,521+ Kh. notes outstanding Collateral £or F.R.notes held by F»Ii*Agents: Gold certificates Eligible paper U.S.Gov't securities 17,521+,312 1201,535 3,386,237 1183,151+ 1,551,671 1178,181+ 1001,967 3,223,980 757,21+1 393,1+83 63l+,l+68 1+1+8,577 2,063,815 12,91+6,000 761,000 2,965,000 715,000 1,155,000 775,000 725,000 2,360,000 330,000 225,000 1+00,000 261,000 1,721+,000 30,1+10 1+50 7,61*5 600 — ll+O — ~ 20,000 — 1,575 1+,81*8,801 1+50,000 950,000' 1+75,000 1+00,000 1+50,000 300,000 - 1+00,000 398,801 175,000 250,000 200,000 1+00,000 MATURITY DISTRIBUTION 0? BILLS AMD SECURITIES Within 16 to 31 to 61 to 91 days to 6 months 1 to 2 2 to 5 Over Total 15 days 30 days 60 days 90 days 6 months to 1 year years years • 5 years Bills discounted 30,800 10,560 2,990 — 17,250 — — — — “ Industrial advances 10,169 8,263 20 985 ' 165 ll*8 385 H5 83 [>. S. Government securities, direct and guaranteed 11,650,531 1,21+7,738 1,305,929 2,1+77,588 2,890,11+9 51+3,900 1,275*850 223,200 1+37,971 1,198,206 l/"After deducting $772,367,000 participations of other Federal Reserve Banks. Form F, R. 2QJ>a Released for publication Friday morning/ January 7, I9I+I4; not earlier. STATEMENT OF CONDITION OF TKS TWELVE FMJ'iPuiL RESERVE BANKS C >-118INED fin thousands of dollars) Increase or decrease since Jan. 5* l^U* ’A S S E T S Gold certificates on hand and due from U, S. Treasury Redemption fund - F, R. notes Other cash Total reserves Bills discounted: Secured by U. S, Gov't obligations, direct and guaranteed Other bills discounted Total bills discounted Industrial advances U, Si Government securities, direct and guaranteed: Eonds Notes Certificates Bills v Total U.S. Government securities, direct and guaranteed Total bj.lls and securities Due from foreign banks F. R. notes of other banks Uncollected items Bank premises Other assets TOTa L ASSETS L U B ' I L I I I as F. R. notes in actual circulation Deposits: Member bank - reserve account ‘ U.S, Treasurer - general account Foreijji . Other Total deposits Deferred availability items Other liabilities including 'accrued dividends TOTAL LIABILITIES C a p i t a l a c c o u n t s Capital paid in Surplus (Section 7) Surplus (Section 13b) Other capital accounts tutal liabilities akl capital accounts Ratio of total reserves to deposit and F, R. note liabilities combined Commitments to make industrial advances Jan, 6,' 19143 Dec. 29, 19U3 19,512,580 251,291 336,566 20,100,1*37 -102,185 + 32,796 + 21,333 - 1*7,551 - 998,698 + 219,01*3 - 23,585 - 803,21*0 30*300 - 69,312 + 23,855 2,51*0 30,800 10,169 - 69,812 ♦ 31 ♦ 26,315 2,11*2 + + + - 7,713 1,000 70,150 1*3,221 -1,160,201* - 667,159 +1,1*36,300 +6,009,1*21* +‘ 35,61*2 +5,613,361 1,632,377 677,900 2,1*77,300 6,362,951* 11,650,531 11,691,500 - 31*,139 136 83,1*37 • : + 5,751 - 95,153 2,103,305 - 3,120 35,200 + 3,263 62,108 31*,081,123 -170,914!* +5,61*2,531* + 39 + 27,908 + 636,931* U, 079 - 27,911 +5.1472,235 16,908,109 + 33,302 +1*,730,652 12,601,756 961,279 1,330,613 371,025 15,3114,673 1,1.22,317 ■-167,1*33 +197,1*69 -131.932 - 21^,327 -126,223 - 71,301* 5,375. 33,650,97k - 1,781 -169,006 + 2,171* +5,‘ 1*23>769 1514,936 183,097 26,965 60,151 3li,0Sl,123 + 993 + 27,686 + 136 - 30,753 -170,91*1* + 3,607 + 27,686 + 136 + 12,037 +5,1*72,235 62.1$> 9,509 + * .1% 71 + + + + + - 861,977 633,222 573,007 1,197 1*05,1*1*9 285,1*91* 11*.8^c 2,331* Form Fv R. 283b Total bills and securities Due from-foreign banks F.R.notes of other banks Uncollected items Bank premises Other assets TOTAL ASSETS Boston New York 1091,955 22,1*53 32,600 111*7,008 — Phila. Cleve. Rich. Atlanta Chicago St,Louis M-inn, K&ns.Cy. Dallas San Fran. . k,9hk,872 1100,51*2 1,656,1*91* 1099*1*66 1029,205-3*782,081 668,911 1*11*,99I* 71*1*,035 551.561 2,1*23,061* 18,561* 12,286 9,815 '20,922' 23,597 19,670 19,712 8,625 18,972 52,60* 21*,111 1*1,82.3 15,369 9.001* 13,313 11,213 1*0,093 - 75,925 26,1*62 23,317 23,681 23,766 5,073,361 1151,115 1,700,733 nl*6,7i*l* 1071,9U3 3,-81*3,571* 703,992 1*3.2,623 769,631* 572,9.89 2,1*86,721 450 7,61*5 -- 1*50 31*2 7,61*5 1.26 600 3l*o 600 i*,085 3l*o 390 - 125,306 355,750 126,751* 52,038 11*7,738 52,.639 190,168 539,890 192,361 312,528 2,91*1,309 1*12,678 •wO O tr O ASSETS Total Gold certificates on hand and due from U*S# Treasury 19*512,580 Redemption fund notes 251,291 Other cash 336,566 Total reserves 20,100,1*37 Bills discounted: Secured by U#S.Govft obligations,. direct and guaranteed 30,300 Gtiier bills discounted — . Tota!j. bills discounted 30,800 Industrial advances 10,169 U. S.Government securities 9 direct and guaranteed: Bonds-. 1,632,377 Notes 677,900 Certificates 2,2*77 ,300 Bills’ 6,862,951; Total U.S* Gov* t* securities y direct and guarcinteed 11,650,531 STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON JANUARY 5, 191*1* (In thousands ‘ of dollars) 180,1*20 71*,92 6 273*807 1*32,021* 3,981*, ^>87 781*,1*32. 96i; 177 11,691,500 680,832 3,992,1*58 136 3 1/ 56 ~ 15,75U 1,592 83,1*37 192,581* 1*21,1*87 2,103,305 1,666 35,200 9,121 15,081 62,108 l*,2l*3 31*,081,123 2027,928 9.525,318 l/After — 11*0 11*0 231* -- 50 50 220 110,783 92,631 1*0,006 38,1*68 168,121 11*0,577 257,212 I9l*, 568 20,000 — -— a 20,000 -- 1,575 -- -— 176 173,882 80,710 51,861* 72,211 33,517 ^21>55J3 263,881* 122,1*36 t L), 1u 5 925,361* 293,332 156,1*12 1,575 30 35,61*6 35,567 :2?.97i» 195,576 — — —12 1*,550 77,569 ■171^062 32,213 71,039 117,721 259,606 566,586 175,365 582,122 •1*66,21*1* 1,1*35,31*1- 530,01*5 308,519 1*1*6,763 1*02,868 1,068,293 582,1*96 1*66,511* 1,1*35,31*5 550,01*5 308,695 1*1*8,368 1*02,330 1,072,31*5 789,117 961,907 10 2 1* 6 1* 17 3 5 13 13 16,027 5,1*66 1*,681 •12,231* • 9,077 8,31*7 . 6,987 2,1*89 1*,370 2,913 137,150 133-,1*16 315,380 90,362 1*6,160 123,533 71*, 199 .21*1,502 108,965 218>767 2,023 2,o6a 1,230 963 2,956 . . 1- 653 3,600 ' " 1*,211*' 2,732 2,91*8 6,1*6!* 1,966 3,236 3 ,-ooi*. 6,1*61* 2,973 7il02- : 3,9l*9 1*,316 3,255 2060,039 2,897,606 1335,515 1685,863 5,612,075 1356,1*31 793,215 1353,025 1058,720 ;5,325,390 deducting $Pfc>*00t) partibiputions of other Federal Reserve Banks..