The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
Ir r ^r^Lr STATEMENT FOB THE PRESS Released f o r p u b l i c a t i o n Q. } U Bese^LOL, July 30, 1925. CONDITION OF FEDERAL RESERVE BANKS «WPMHSMBk a r ^ r ^ r o s s ^ ^ J B ® PRINCIPAL CHANGES in Federal reserve note c i r c u l a t i o n during t h e week Sl'EoVF^^ of $2,800,000 reported by the New York bank. v v A j s u i ™ a r y o f changes i n the p r i n c i p a l a s s e t s and l i a b i l i t i e s of the reserve banks during the week and the year ending July 29, 1925, f o l l o w s : Increase or decrease Week Total reserves Gold reserves . . . . Total earning a s s e t s B i l l s discounted, t o t a l Secured by U.S. Govt, obligations Other b i l l s discounted . . . . . . B i l l s bought i n open market . . . . Year + $1,800,000 + 200,000 - $323,400,000 - 363,800,000 + 6,600,000 + 25,800,000 + 18,200,000 + 7,600,000 + 196,500,000 + 174,500,000 + 156,200,000 + 18,300,000 - 14,000,000 + 186,000,000 5,100,000 - 175,100,000 500,000 + U. S. Government s e c u r i t i e s , t o t a l . BONDS Treasury notes . . C e r t i f i c a t e s of indebtedness . . . during 391000! 000 - 5,500,000 100,000 - 143,900,000 70,200,000 Federal Reserve notes i n c i r c u l a t i o n . - '6,800,000 - 163,200,000 Total d e p o s i t s Members' reserve d e r c s i t s Government d e p o s i t s Other deposits + + - 35,800,000 65,500,000 24,300,000 5,400,000 + . + 900,000 7,900,000 7,200,000 1,600,000 \ Released f o r p u b l i c a t i o n Friday morning, J u l y 31, 1925 > net e a r l i e r . St, 4603a RESOURCES AND LIABILITIES OF THE TWELVE FEDERAL RESERVE BANKS COMBINED ( I n thousanda of d e l l a r e ) J u l y 29, 1925 J u l y 22, 1925 J u l y 30,1924 RESOURCES Geld with Federal r e s e r v e a g e n t s . - . . Qold redemption fund with U.S.Treasury . 1,44-7,958 50,682 1,456,802 52,473 2,080,047 43,732 Gold held e x c l u s i v e l y a g a i n s t E.R» notes Gold s e t t l e m e n t fund w i t h 5V B. Board » Gold and gold c e r t i f i c a t e s h e l d by banks 1,498,640 687,023 605,421 1,509,275 688,755 592,790 2,123,779 590,814 440,312 2,791,084 2,790,850 3,154,905 145,549 143,996 105,093 2,936,633 2,934,246 Total gold r e s e r v e s . . . . . . . . B i l l s discounted: Sec, by U.S.Government o b l i g a t i o n s . . Other b i l l s discounted . . . . . . 55,917 56,932 3,259,998 49,947 248,235 220,121 230,032 212,490 92,052 201,843 Total b i l l s discounted . . . . . . . 468,356 442,522 B i l l s bought in open market . c . . . . U, S. Government s e c u r i t i e s : 210,476 224,525 293,895 24,441 Treasury n o t e s C e r t i f i c a t e s of indebtedness . . . . . 69,406 225,787 34,967 68,905 231,290 35,109 30,375 369,655 105,248 330,160 335,304 10,500 1,850 505,281 1,014,701 824,867 60,562 21,817 644,018 60,397 21,591 518,145 58,573 28 , 778 4-, 6 79,813 4,732,485 4,740,308 1,598,397 1,605,214 1,761,569 2,152,867 21,110 26,603 2,160,748 13,963 2,087,395 45,385 2,200,580 2,199,719 582,450 2,164,795 469,415 111,487 Total U.S. Government s e c u r i t i e s . Foreign loans on gold . 10,500 1,850 1,021,342 583,542 TOTAL RESOURCES L I A B I L I T I E S JFt R. notes i n a c t u a l c i r c u l a t i o n . . . Deposits: Member bank - r e s e r v e account . . . . Other d e p o s i t s . . . . . . . . . . . . Total d e p o s i t s . . . . 535,323 115,706 217,837 11,970 C a p i t a l paid i n TOTAL LIABILITIES . . . . . . 4,679,813 25,008 115,715 217,837 11,550 4,732,485 - 1,250 32,015 220,915 12,127 4,740,308 Ratio of t o t a l r e s e r v e s t o d e p o s i t and F. R. n o t e l i a b i l i t i e s combined . . . 77-3# 77-1# 83.0# Contingent l i a b i l i t y on b i l l s purchased f o r f o r e i g n correspondents . . . . . . 7n yQy v* C-\ 32,165 38,054 http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis i RESOURCES AND LIABILITIES OF THE FEDERAL RESERVE BANKS ON JULY 29, 1925. ( i n thousands of d o l l a r s ) „ S t . 4603b RESOURCES 37,432 116,647 137,020 36,757 16,480 102,838 5,226 3,253 107,Sl6 22,568 8,468 10,84l Total gold RESERVES Reserves o t h e r than gold 963,431 212,450 296,121 40,064 5,581 9,019 79,415 136,350 346,674 4,762 13,083 19,195 Total r e s e r v e s 260,515 1,003,495 218,031 305,l4o Ncn-reserve cash 5,800 18,554 l,54l 3,0l6 Bills discounted' Secured by U.S.Govt: o b l i g a t i o n s 12,775 81,230 27,130 37,940 Other b i l l s discounted 13,834 29,4CO 24,132 15,575 Total b i l l s discounted 26,609 1 1 0 , 6 3 0 51,262 53,515 B i l l s bought i n open m r k e t 31,513 30,962 11,239 17,148 U« S* Government s e c u r i t i e s : Bonds 4,912 610 8,746 557 Treasury n o t e s 469 49,681 17,207 11,571 C e r t i f i c a t e s of indebtedness 7,079 5,091 57 10,397 T o t a l U.S. Gov*t. s e c u r i t i e s 88,105 ,105 59,684 17,874 30,714 Foreign loans on gold 1,124 2,835 777 976 All other earning a s s e t s 1,850 T o tal earning a s s e t s Uncollected items Bank premises ALL o t h e r r e s o u r c e s TOtAL RESOURCES 247,509 13,006 67,004 53,058 4,190 108 204,111 133,999 17,026 6,351 83,201 53,291 1,158 235 Rich. A t l a n t a Chicago S t . L o u i s Minn. Kans.Cy. D a l l a s San Fran. Total 33,920 l l U , 3 2 7 135,273 20,398 47,767 51,584 25,396 196,393 1,447,95g 3,512 2,320 1,747 2,170 1,884 2,845 1,844 2,175 50,682 12,181 7,4l7 54,429 38,513 3,993 27,240 1 9 8 , 5 6 8 1,498,640 10,090 33,573 687,023 7,216 24,356 605,421 41,577 19,994 69,24} 2,222 96,935 4,047 44,546 256,497 2,791,084 8,624 5,952 145,549 84,177 149,463 365,869 2,808 3,808 7,9.53 61,871 3,503 71,471 100,982 1,531 2,106 15,897 33,385 2,74l 19,933 38,362 24,483 9,130 14,397 2,304 4,451 1,035 5,670 1,470 7,673 18,221 27,188 248,235 220,121 cn f 3r at ro Boston New York P h i l a . CIeve. Gold w i t h F e d e r a l Reserve Agents 148,889 355,956 137,283 180,772 Gold redemption fund w i t h U . S . T r e a s . 9 , 9 9 9 9 , 2 2 4 10,225 2,737 Gold held e x c l u s i v e l y a g a i n s t F. R. n o t e s 158,888 365,180 147,508 183,509 Gold s e t t l e m e n t fund w i t h F.R.Board 60,226 253,798 45,603 69,496 Gold and gold c e r t i f . held by banks 25,395 344,453 19,339 43,116 22,674 13,522 62,845 25,741 23,527 9,962 6,755 19,349 6,705 l4,620 9,143 10,191 45,409 19,382 468,356 210,476 1,486 4,019 64 1,714 11,296 1,428 19,118 1,664 20,523 3,182 27,227 544 8,150 7,751 128 9,573 36,234 5,29S 69,406 225,787 34,967 5,569 557 14,438 430 41,305 1,449 30,953 483 16,029 346 32,696 7,493 20,921 387 28,801 368 2,460 20,293 2,830 43,992 330,160 735 10,500 1,850 51,064 131,340 28,518 71,917 2,780 8,099 2,486 1,289 64,925 28,922 4,699 344 42,479 12,915 3,049 3,326 54,441 38,587 4,419 627 102,501 62,255 57,26l 49,769 7,573 2,446 390 660 149,651 420 53,170 262,449 2,936,633" 2,431 2,866 55,917 48,503 109,518 1,021,342 2 1 , 4 l l 33,594 583,542 1,833 3,290 60,562 i,54l 4,400 21,817 390,675 1,383,536 357,457 475,881 202,115 238,119 586,467 164,264 134,831 201,462 128,889 4l6,117 4,679,813 L I A B I L I T I E S F. R. notes in actual c i r c u l a t i o n Deposits: Member bank - reserve account Government Other d epos i t s Total deposits Deferred a v a i l a b i l i t y items Capital paid i n Surplus All other l i a b i l i t i e s RESOURCES AND LIABILITIES Of THE FEDERAL RESERVE BANKS ON JULY 29, 1925. ( i n thousands of d o l l a r s ) 142,458 1,176 475 "ass ass sss %% vs? : 2FS' °S % "1 i s *ir§ tas i i -m 1111111111 i l l TOTAL LIABILITIES 390,675 1,383,536 357,457 475,881 202,115 238,119 Reserve r a t i o (per cent) 8" 3 . 2" 85.5 78.5 78.6 61.4 74.4 Contingent l i a b i l i t y on b i l l s p u r chased f o r f o r e i g n correspondents 2,409 8,199 3,027 3,483 1,725 1,335 F . R . n o t j s on hand (notes rec'd from F.R. Agent l e s s notes i n c i r c u l a t i o n ) 0 , 5 5 2 121,739 37,632 21,620 12,354 16,926 FEDERAL RESERVE NOTE ACCOUOTS F.R.notes r e c ' d from Comptroller \ s%f,726 F.R.not as held by F. R. Agent \ '94,150 F.R. notes issued to F.R. bank , 55,272 183,810 225,834 80,484 148,008 C o l l a t e r a l held as s e c u r i t y f o r F.R.notes issued t o F.R.Bank*" Geld and gold c e r t i f i c a t e s Geld redemption funfl Geld fund - F. R. Board E l i g i b l e paper jS;g Total c o l l a t e r a l 586,467 164,264 134,831 201,462 128,889 416,117 4,679 813 77.3 51.8 64.1 65.9 57.1 73.5 77|3 4,492 1,497 1,074 1,302 1,139 2,279 31,961 12,476 5,095 5,714 8,180 OF FEDERAL RESERVE AGENTS 6,372 45,591 318,251 S3 M: Rg aa 160,172 47,708 67,217 70,088 43,862 240,6l7 1,916,648 I' ifflBill S g g M Within 15 day, B i l l s discounted B i l l s bought i n open market C e r t i f i c a t e s of indebtedness c. S t . 4603c MATURITY DISTRIBUTION OF BILLS AND CERTIFICATES OF INDEBTEDNESS 61 to 90 day, 91 day, t c ^ 16 t o 30 day, 31 t o 60 day, o months II - 11 is is g a Tctal IF