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Form F. K. 283 STATEMENT FOR THE PKESS Released f o r p u b lica tio n Friday morning, July 23; not e a r lie r . Board o f Governors o f the Federal Reserve System July 22 , 191*3 CONDITION OF THE FEDERAL RESERVE BANKS During the week ended July 21 member bank reserve balances increased $59,000,000. Additions to member bank reserves arose from-a decrease o f $323,000,000 in Treasury deposits with Federal Reserve Banks, o ffs e t in part by decreases o f $117,090,000 in Reserve Bank c re d it, $15,000,000 in gold stock, and $2,000,000 in Treasury currency, and increases o f $78,000,000 in nonmember deposits and other Federal Re’serve accounts, $14.6 , 000,000 in money in circu la tio n , and $1*,000,000 in Treasury cash. Excess reserves o f member banks on July 21 were estimated to be approximately $1 , 190, 000, 000, a decrease o f $120,000,000 fo r the week. There was a decrease o f $68*000,000 in holdings o f United States Government s e cu ritie s . B ills decreased $1*0,000,000, notes $22,000,000, and bonds $6,000,000. Changes in member bank reserve balances and related items during the week and the year ended July 21, 191*3, were as follow st Increase or decrease since July 21, 19h3 July 11*, 191*3 July 22, 191*2 (In m illions o f d o lla rs) - 1 1*7 21 13 1*31* - 1*8 + 1* +¿*,502 + 28 + 2 r— 1 O 9. 7,51*1*' 33 •f B ills, discounted U. S. Government d ire ct obligation s U. 8. Government guaranteed obligations Industrial advances (not including 12 m illion commitments - July 21) Other Reserve Bank cred it Total Reserve Bank cre d it Gold stock Treasury currency 8,033 22,31*7 l*,08l* - 117 - 15 2 +1*,837 - 398 + 763 Member bank reserve balances Money in circu la tion Treasury cash Treasury deposits with F.R, Banks Nonmember deposits and other F.R,accounts 12,319 17,7062,271 293 1,875 + 59 + 1*8 + 1* ~ 323 + 78 - 232 +5,160 + 1*8 5 + 233 Form F. R. 283° • L I A B I L I T I E S F* R.-notes in actual c ir culation Deposits j kember bank-reserve acct. IUS.Treasurer-general acct. Foreign Other Total deposits Deferred av aila b ility items Other lia b ilit ie s including accrued dividends TOTAL LIABILITIES Capital paid in Surplus (Section 7) Surplus (Section 13 b) Other capital accounts Total . SÏATEklüKT QF CONDITI UK OF THE FBDHKAL REùERViS BAUKS July ¿ii, 1945 (In thousands of dollars) Clêve. Chicago St.Louis Minn. Kans.Cy. Dallas San Fran. Phila. Boston ' New York Rich. Atlanta lU.-ii0i.66l 1012,275 3,131,738 ♦ 12.318.90U 636,265 1*. 193.019 75,666 293,176 • 13,789 1,149,943 31*. 01*7 1/ 51*1,826 39^,301 7,730 296,139 992,291 1,287.535 909.728 726,1*07 2,760,287 592,350 31*1.195 505,185 322,1*31 1,563,239 61*1,257 1,015.919 31,1*78 13,751* 92,122 95,126 3,118 12,21*9 502,721* 16,338 1*3,057 8,331* 1*76,806 1 , 838,010 1*26,833 265,905 17,506 20,918 13,1*1*1* 1*1 , 1*33 122,162 35,01*6 3o,ol*o 22,029 8,761 3,361* 2,605 11,963 535,561 474,683 1 , 311,922 13,720 14,525 15,605 76,416 28,037 30,040 2,132 34,117 3.789 696,831 5. 106,650 66.598 222,91*5 753,255 1,151,768 132,981 71*.951* 570,1*53 91*. 630 531,963 2, 001*,969 7 1 , 21*0 173,871 ili,.156,329 1 , 191,976 531,912 522,460 1,436.175 71,60.7 45,750 143,929 • 148 225 ........ 45L 3,143,568 1159.158 890,789 4,526 4,836 12,167 4.083 11.044 3,613 2 ,121 1.307 1.13 7 3,402 4,023 6,556 1*39,751* 310,139 62,837 25,631* 180 168 193 1*1*6 ............339. 623 1.836 187 505 5,309 29,1*98,275 1776,327 8,1*63,169 1820,91*6 2 , 572,623 1 , 57U.998 1329.778 4, 944,632 111*5,139 677.11*8 ¿*.636 11*8,891 3,181* 15.1*32 9,51*1 55,025 5»990 5,31*1 16,531* 11,679 3,221 22,925 ¿*,966 11,160 58,001 15,670 5.236 i6 o ,lill lli.767 5,725 26,829 1,000 530 3,21*1* 2,871* 7.070 1 , 1*29 717 ¿*,393 1,007 90,002 4,468 -5,590 25,597 1*. 026 13,61*1 3,981* 3,669 6,507 6.519 TOTAL LIABILITIES AND CAPITAL accounts 29, 92!*,li08 1805,1*92 8, 608,802 1859,195 2,612,348 1593,936 131*5,51*5 1*.999,161 1159,257 633,21*2 1172,767 904,107 3,175,456 Commitments to make industrial -advances — — 3,000 1,617 61 3.349 715 9 . 1,722 353 11,379 1,053 F. R, notes outstanding Collateral for F.R.notes held by F.R. Agents: Gold certificates Eligible paper U.S.Gov't securities 11*. 701,585 1066,880 3, 21*6,562 1025,961 1,328,1*31* 936,877 777,736 2,814,269 617,983 31*6,601 $23,086 357.166 1 , 660,025 Ili, 175,000 . 7,395 721*. 821 827,000 ,325 125,000 710,000 2,gl*0,00(J -— — ■75,000 350.000 350,000 1,950 75 319.321 520,000 364,000 1 , 699,000 — - 2,190 --— .5,000 980,000 3, 250,000 : 3,215 100,000 950,000 1,335,000 30 — 100,000 MATURITY DISTRIBUTION OF BILLS AND 3ECL'RITISS B ills discounted Industrial advances U. S. Government securities9 'direct and guaranteed 16 to 30 days 31 to 60 days 61 to 90 days 91 days to 6 months to 1 year Total Within 15 days 8,821 12,688 . 7,851 10,893 I 50 15 U90 376 330 176 509 251 337 7,576,983 899,609 _ 555,11*7 1.1*39,709 1,782,120 676,050 1*26,600 239,600 6 months 1 to 2 years 2 to 5 years — l/ After deducting $59v,8^3,000 participations of otter Federal Reserve Banks. Over 5 years — 131 698,671 — 859,1*77 Form F. R. 283a Released for publication Friday morning, July 23,1943; n0'k earlier* STATEMENT OF CONDITION OF THE TiiELVS FEDERAL RESERVE BaNKS COMBINED . (In thousands o f d olla rs) Increase or decrease since July 14, 1943 July 22, 1942 - 15,501 - 2,682 442 - 18,625 419,410 + 39.526 + 34,275 - 295, 811' July 21, 19U3 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 re serves B ills discounted} Secured by U.S.Gov*t obligation s, d ire ct and guaranteed Other b i l l s discounted Total b i l l s discounted Industrial advances U. S. Government se cu ritie s, d ire ct and guaranteed: Bonds Notes C ertifica tes B ills Total U. S, Government se cu ritie s, d ire c t and guaranteed 20, 130,216 52,423 353,638 20,536,282 3,821 1,451 — 3,321 1,451 246 - 12,638 + - 5,541 1,607 + 5,954 1,703 1,475,543 723,400 1 , 091,700 4,236,555 - 5,400 - 21,500 - 40,733 167 ,-433 1,075 + 395,969 +3,,802,333 7,576,933 - 67,683 ,530,294 Total b i l l s and secu rities 7,598,492 Due fron foreign banks F. R. notes o f othjr beciks Uncollocted items Bank promises Other assets 134 62,673 1 , 625,376 33,711 62,240 - 69,330. — + 971 - 223,984 — + ¿72 +hs.535,951 + 37 + 55,545 + 541,204 1,766 + 16,953 29,924,408 -310,746 +4,,831,926 14 >144»661 + 50,216 +4 j,531,430 12, 313,904 293,176 1,149.943 394,301 14, 156,329 1,191,976 + 59,063 - 322,751 + 55,875 + 22,741 -135,072 _ + + 5,309 29,498,275 597 -311,027 + + + + + + TOTAL ASSETS — L I A B I L I T I E S F. R. notes in actual circu la tion Deposits: Member bank-reserve account U.S. Treasurer-general account Foreign Other Total deposits Deferred a v a ila b ility items Other l i a b i l i t i e s including accrued dividends TOTAL LIABILITIES CAPI TAL ACCOUNTS Capital paid in Surplus (S ectior 7) Surplus (S ection 13b) Other capital accounts TOTAL LLiBILITIiS ¿III- CAPITAL ACCOUNTS Ratio o f to ta l r e s .rves to deposit and F.R. note l i a b i l i t i e s combined Commitments to make industrial advances 143,391 160,411 26,329 90,002 29, 924,403 72.606 11,379 -175,574 63 — + 213 -310,746 + .3?» 34 232,409 5,155 263,393 65,333 40,009 240,560 2,225 ,784,206 +4 j 3,791 2,909 48 40,972 +4i,331,926 - - 15. 1% 5,260 Form F. R. .2C>3b STATEMENT CF CONDITION OF TH3 FEDERAL RESERVE BASKS OK JULY 2 1,. 191*3 (In thousands o f d o lla r s ) ASSETS Total Boston New York Phila. Clove# Rich. Atlanta Chicago St.Louis Gold certificates on hand and 20, 130,216 121*3,973 5, 100,212 1259, 521* 1 , 860,169 1 11 7 , 91*3 955,159 3,733,935 duo from U.S. Treasury Redemption fund - F.R.notes 52,1+28 6,219 7 , 011* 1,172 1,366 1,062 5,367 U,123 21*, 162 Other cash 18,600 353,638 1*3,865 21*, 31*3 33,537 85,61*5 28,935 Total reserves 20, 536,282 1278,275 5,187,223 1290,085 1,885,393 1158,1*99 B ills discountod: Secured by U.S. Gov't obligations, direct and guaranteed 8,821 other b i l l s discountod -- 977,332 3,778,972 683,039 1*76,629 I90 20,1*93 13,876 9,530 821*, I97 593,106 2, 282,325 852 396 1*,175 9,820 1*3,527 17,793 717,1*08 1*36,31*9 81*2,81*7 603,322 2,330,027 1 ,2 16 — 3,215 — 30 — 210 — 325 — — — — — 1,550 — 8,821 1,2 16 80 210 325 — — Industrial advances 12,688 U. S. Government socuritie s, direct and guaranteed* Bonds 1,1*75,31*8 Notes 723, 1*00 Certificates 1 , 091,700 B ills U,286,535 l,U6U 3,215 509 5,019 815 1*03 235 65 1,550 — 119,1*77 251*.819 58,582 12l*,9l*l* 88,1*07 188,557 105,905 2,1*60,591 122,113 59,875 90,357 19U.687 173,813 85,227 129,621 152,336 96,697 1*7,1*13 71,55U 100,129 37,155 1*2,73U 61*,1*91 71,822 201;, 1*61 100,253 151,290 510,068 1*7,778 23,1*27 35,352 253,5i*9 Total ü. S. Gov't secu rities, direct and guaranteed 7,576,983 372,371 3, 028,911 1*67,032 51*0,052 315,793 266,202 906,072 Total b ills and tsecuritios 375,051 3,032,711* 1*72,131 51*1,077 ; 316,526 266,1*37 966,137 6 5, 9hh 105,925 2,982 U, 05U 5 5,1*71* 90,700 1,675 3,372 17 6,837 235,638 2*890 3,670 Total b i lls discounted 7,598,1*92 Due from foreign banks 13I* F. R. notes of other banks 62,673 Uncollected items 1 ,625,876 Bank premises 38,711 etho-r assets 62,21*0 TOTAL ASSETS 3 1,070 11*3,895 2, 69h l*,5Ql* 1 / 51* Ti,l*15 356,060 9,713 11,683 13 2,301* 85,1*71* l*,68l* U.50Ì* 13 2,517 170,969 1*, 261 8,118 hinn. Kans.Cy. Dali a s Sail Fran. -- 75 2,150 — — — — — 75 1*6 2,150 — — 30 18 l+,000 72,876 35,733 53,923 72,301 75, 0J+6 36,797 55,532 67,778 170. 71*8 83,722 126, 31*8 21*9, 1*68 360,106 160,167 231*, 833 235,153 630,286 361,$56 160,283 237,018 235,171 631*,286 3 3,831* 72,158 2,086 2,152 50,360 21*, 693 37,263 1+7,851 " 2 2,280 35,838 1,295 2,190 1* 6,552 80,617 2,767 2,962 10 1* 2,1*67 11,979 58,951* . 189, 61*8 1,010 2,651* 6,852 3,179 29, 92!*,1*08 1305,1*92 8, 608,862 1859.195 2,612,31*8 1593,936 13U5,5l*5 1», 999,161 1159.297 688, 21*2 I172,f67 90l*,137 3,175,1*56 l/ After deducting $80,000 participations of other Federal Reserve Banks