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Form.F. R; 283 STATEMENT FOR THE PRESS Released fo r pu blication Friday morning, June 16, not e a r lie r , Board o f Governors , o f ‘the Federal Reserve System June 15» 19U1* CONDITION OF THE FEDERAL RESERVE BANKS D uring th e week ended June ll+ member bank r e s e r v e b a la n c e s i n c r e a s e d ^$357 *000,-000» A d d it io n s to member bank r e s e r v e s a ro se from i n c r e a s e s o f $1+23 *000,000 i n Reserve Bank c r e d i t and $3,000,000 i n T re a s u ry cu rre n c y and a d e c re a s e o f $108,000,000 i n Treasury d e p o s i t s w i t h F e d e ra l Reserve Banks, o f f s e t i n p a r t by i n c r e a s e s o f $78*000,000 i n money i n c i r c u l a t i o n , $2*000,000 i n Treasury cash and $96,000,000 i n nonmember d e p o s it s and o th e r F e d e ra l Reserve a c c o u n t s . Excess r e s e r v e s o f member banks on June ll+ were e s tim a te d to be a p p ro x im a te ly $1,100,000,000, There was an i n c r e a s e o f $392,000,000 in h o ld in g s o f U n ited S t a t e s Government s e c u r i t i e s ? b i l l s in c r e a s e d $346,000,000; c e r t i f i c a t e s $1+5,000 ,000 j and bonds S2 , 000 *000 . Changes i n member bank r e s e r v e b a la n c e s and r e l a t e d item s d u rin g th e week and the. %Qar ended June 11+, 19hb,r were as f o l l o w s { I n c re a s e or d e c re a se s in c e June ll+, 19là June 7* I9hh June l 6 , 19U3 (In m illio n s o f d o lla rs ) U. S, Govt, s e c u r i t i e s ( i n c l . g uar, s e c . ) Loans, d i s c o u n t s , and advances Other Reserve Bank c r e d i t 15*001 181+ 1+20 + 392 - 67 ♦ 97 8*375 160 18 - T o ta l Reserve Bank c r e d i t Gold s t o c k Treasury curren cy 15,606 21,211 k .ioh + i+23 1 + 3 ; + 8,518 1,196 2l+ Member bank r e s e r v e b a la n c e s Money in c i r c u l a t i o n T r e a s u r y c a sh T re a s u ry d e p o s i t s w i t h F. R* Banks Nonmember d e p o s i t s and o th e r F .R .a c c o u n ts 13*715 22,333 + + + + 2,332 15l+ 2,387 357 78 + 1 *20l+ + 5*11j2+ + 5b 108 96 + 2 li +8 797 Form F. ft.. 283c STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON JUNE l 4 . 1944 (In thousands o f d o lla rs ) Boston New York P hila. Cleve. Rich. Atlanta Chicago St.Louis Minn. Kans.Cy. L I A B I L I T I E S Total Dallas San Fran. Federal Reserve notes 18 ,738.090 1235.805 4203,777 1255,193 1654,518 1222,945 1080,177 3485,143' 796,910 419,370 685,999. 461,789 2236,464 D eposits?Member bank-reserve a c c t. 13 ,715*085 683,853 4598,940 695.859 1068,291 543,302 565,223 2109,322 461,335 307,108 600,620 552,953 1528,279 U.S.Treasurer-general a cct. 153,626 11,$81 .27,109 10,054 15,339 19,470 7 ,030' -8,388 11,197 7,591 13,947 19,623 2,197 Foreign 1 ,533,78? lo 4 ,292j £ 588,66l - 136,482 132^46 59,436 43,091 43,091 115,934 47,549 184,252. 46,063 32,690 Other 6,801 6,972 365,210 5,430 12,181 12,899 11,356 14,756 8„823 3,493 - 3,721 42,275 493,917 T otal d e p o sits 15,896,415 806*798 5579,920' 81*7 ,825 1228,057 635,107 621,770 2311,960 530,542 359,818 654,795 613,712 1706,111 D e fe r r e d a v a i l a b i l i t y . i t e m s 74,213 1,613,927. 142,279 320,140- 73,700 184,809 128,992 58,684 174,718 71,007 33^556 95,435 256,389 Other l i a b i l i t i e s i n c l u d i n g a ccrued d iv id e n d s TOTAL LIABILITIES C a p i t a l p a id i n S u rp lu s ( S e c t i o n 7) S u rp lu s ( S e c t i o n 13b) Other c a p i t a l a c co u n ts 15,745 1,056 3,642 4,83? 1,160 473 858 1,500 365 410 285 328 781 36, 264,177 2185,938 10,HC7<4?9 2181,605 3068,544 1987,517 1798,240 6054,992.1398,824 813,029 1415,422 1134,513 4118,074 13,263 157,878 , 9,887 16,156 4,978 5,598 5,121 18,639 11,864 4,829 3,425 57,819 6,299 13,206 16,026 70,012 26,490 5,236 3,669 4,831 6,330 4,554 14,159 188,0.97 17,859 5,725 1,000 26,965 7,092 4,421 3,290 2,129 530 1,007 2,874 749 1,137 1,307 1,429 3,322 4,190 • 17,233 11,611 4.458 4,992 9,204 76,523 3,997 4,699 5.423 3,931 3M 3 TOTAL LIABILITIES AND CAPITAL ACCOUNTS 36 ,713,640 2216,095K>259»685 2220,741 3110,937 2007,765 1815,011 6113,161 1413,835825,120 1430,165 1149,042 4152,083 * Commitments t o make in d u stria l loans 3,981 450 '8 1,323 421,185 — — 48 — — — 925 F. R. notes outstanding C ollateral fo r F.R.notes held by F.R.Agents» Gold c e r t ific a t e s E lig ib le paper U.S.Govt, s e cu ritie s 19,320,997 1267,998 4361,559 1282,465 1690,992 1252,449 1128,477 3560,051833, 700427,000 12, 194,000 ; 167,497 7,301,45? Total Discounts wid advances Industrial loans U. S. Govt, secu ritie s ( i n c l . £uar. s e c .) 172,652 11,513 15,001,333 759.000 2645,000 19,335' 93,260 500.0001700.000 682,000 1092,000 775,000 710,000 2530,000 4,987 — 2,955 .............................. 600,000 600,000 500,000 425,0 0 0 .1050,000 Within 15 days 16 to 30 days 140,150 8,655 11 10,839 375,000 206,000 36,525 10,030 476,457 225,000 MATURITY DISTRIBUTION OF LOANS AND SECURITIES 6 months 91 days to 31 to 6 l to t o 1 year 6 months 90 days 60 days 6,717 24 17,130 214 61 709,146 255 430,000 405 300,000 1 to 2 years 78 1626,104 1439,383 3336,482 3712,233 '1088,400 1653,871" 17 ,$00 l / A fter de'ducting $944,816,000 pa rticip a tion s o f other Federal Reserve Banks. 487,310 2319,850 266,000 1724,000 225,000 700,000 2 to 5 years 31 968,974 Over 3 years ---1153,086 Form F. R. 283a Released fo r publication Friday morning; June 16, 19I1J4.; not e a rlie r ■ STATEMENT 0f CONDITION . OF THE TWELVE FEDERAL RESERVE; BANKS. COMBINED (In thousands o f clollars) Increase or decrease since A 3 S E. T S Gold c e r t ific a te s on hand and due from U. S. Treasury. Redemption fund - F, R» jiotes Other cash Total reserves Juno 16, . 1943 June 7* 19W+ June lit, ' I9W+ 18,663,375 381,581+ 268,903 - 23,750 -1 ,5'25,639 + 22,198 + -328,333 + 9,436 <• - 97*802 19,313,862 + 7,884 - 66,898 ♦ 383 * « . +346,036 + 1+4,500 -1,295,108 Discounts and advances Industrial loans U.S. Govt, se cu ritie s }. B ills C ertifica tes Notes Bonds Total U. S. Govt, secu rities ( i n c i , guar, s e c .) 15,001,333 • +392,036' +8,375,027 Total loans and. secu rities 15,185,1+93 +325,521 Due frorn^foreign banks F. R. .notes o f .other banks Uncollected items Bank premises Other assets 136 7U.088 2,033,891; 3U.793 71,369 +. 2,570 +1+82,745 1 + i+,890 +8,535,41+7 1 + 7,136 + 16,363 l+,223 + .12,756 3 6 ,7 1 3 ,^ 0 +82.3,609 +7,272,370 18,7'38,090 + 86,663 13,715,085 153,626 •* 1,533,787 1*93,917 ' +357,318 -108,476 + 18,158 + 75,941 TOTAL ASSETS 1-72,652 11,513 ; 9 . 077,312 3,284,990 1,190,035 1*1+1+8,996 + 161,854 1,431+ , +6,617,251+ +1,526,790 + 342,935 * 111,952 mm mm + 1, 50.0 . L I A B I L I T I E S Federal Reserve notes Deposits*Member bank - reserve account U.S.Treasurer - general account Foreign Other Total deposits Deferred a v a ila b ility itemk Other lia b ilitie -s including accrued dividends TOTAL LIABILITIES CAPITAL a * +1,203,639 + -ll+7,6S9 * 502,980 t 267,037 +31+2,941 ' +2,121,285 + 3l+, 366 +385,226 . * .15*71+5 36 ,2 ^ ,1 7 7 + U,993 +822,023 C C! 0 U N- T S Capital paid in Surplus (S ection 7) Surplus (S ection 13b) Other capital accounts TOTjiL LIABILITIES AND CAPITAL ACCOUNTS R a tio -o f%to ta l reserves- to¡d ep osit and F, R. note l i a b i l i t i e s combined Commitments to make in dustrial loans 15,Q96,|il5 l , '613,927 » 157,878 188,097 26,965 76,523 36„713.&i0 : •,55.8^ •3,981 +5,081,776 ' + * .• '506. — ♦ 1*080 +823,609' - + 7,918 +7,21+5» 3U5 •: •&/<> 488 • + + t «• 9 »1+21 27,686 136 '• 10,218 ' +7,272,370 - -19*3% 8,531 Form F. E. 283b STATEMENT 0F CONDITION OF TfiE FEDERAL RESERVE BANKS ON JUNE 14, lgl*!* (In thousands o f d o lla rs ) ASSETS Total Bo'ston lew York Phila. Clevé. Richi Gold c e r t ific a t e s on hand and due from U.S.Treasury 18.663,375 1031,967 4,646,929 1044,073 1,522,350 1043,158 Redemption fund-F.R.notes 30,660 ■30,108 27,009 381,584 86,945 26,349 Other cash 21,386 19,303 19,597 268,903 13,551 79,179 Total reserves Discounts tod advances Industrial; loansv U. S. Govt, sd cu riti^ s: B ills C e r tific a te s Notes Bonds Atlanta Chicago St«Louis Minn. Kans.Cy. Dallas San Fran. 993,871 3,513,4c7 22,991 55,012 18,350 36,437 684,481; 387,410 28,871 11,329 12,411 5,979 706,928 •508,660 2,.530,138 14,668 35,503 12,139 23,885 io* 531 8,494 19, 313, 862' 1077,713 4,813,053 1094,036 1,573,844 1083,718 1035,212 3, 60!*,856 725,7.66 404,718 732,127' 529,293 2 , 639,526 172,652 11,513 9,077.312 3,234,990 1,190,035 1,448,996 19,335 1,378 93,260 91 1,430 360 2,955 188 523,658 635,495 266,696! 368,697 96,617 133,567 162,632 117,641 367,830 214,536 77,719 94,631 4,987 5,262 497,979 3,51*3,31*4 251,038 728,414 263,878 90,940 321,300 110,729 10,030 214 ¿*05 27 310,515 1,508,580 183,257 352,514 127,703 68,197 83,038 155,492 279,389 181,956 152,730 100,265 55,330 36,323 67,370 44,228 2.39,001 173,217 62,71*8 76,1*03 262,073 155,478 56,326 63,532 1,150 43 — 75 36,525 — — 2,500 3,945 677,492 333,146 120,687 11*6,950 Total U. Si Govt, s e cu ritie s ( in c l. guar. .s.e.c. J 15,001,333 950,686 4,356,936 1004,614 1300,391 75k,7l6 650,007 2,1144,289 551*,819 362,772 601,369 51*2,459 1,273,275 Total loans and s e cu r itie s 971,399 4,950,287 1014,863 1,302,181 757,859 651,205 2„iWì,364. 591,31+4 373,016 601,801 51*2,459 1,234,720 1* 3 4,337 2.131 86,5U5 41,939 1,268 2,ol*6 3, 243. 2,01*5 4 4,683 35,342 2,706 ;3,502 Due from foreign banks F .R .n o te s 'o f other banks U ncollected items Bank premises Other assets TOTAt ASSETS 15,185,498 136 74,088 2 , 033,894 34,793 71,369 10 i,5 8 7 158,940 1,61*2 4,804 12 2,550 96,575 3,-5^0 9,165 1 / 49 12,966 460,112. 9,022 14,196 36, 713,640 2216,095.10,259,685 2 2 2 o - , 7 4 l 12 6 3, 0307,937 219,910 150,491 4 , 167.• ; 2,901 4,853 7,793 4 7,378 115,740 1,636 3,836 17 3,810 31*4,288 2*919 •7,907 4 3,147 70,197 ' 955 2,937 11 14,982 203,015 .1,991 7,038 -5,110,937 200.7*765.1815,o i l 6, 113,161 1413,835 825,120 1430,165 li49,ol*2 4 , 152,083 1/ A fter deducting $83,,000 p a rticip a tion s o f other Federal Reserve Banks. .