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Form F. R. 233 STATEMENT Released for publication Friday morning, June [¡.; not earlier, FOR TK3 PRESS Board of Governors of the Federal Reserve System June 3 , I9I4.3 CONDITION OF THE FEDERAL RESERVE BiJiKS During the week ended June 2 t&ttnber bank reserve balances increased $219,000,000. Additions to member bank reserves arose from, decreases of $339•000,000 i n Treasury deposits with Federal Reserve Banks and $130,000,000 in nonmember deposits and other Federal Reserve accounts, and increases of $1;2,000,000 in Reserve Bank credit, $3*000,000 in Treasury currency and 552,000,000 in gold stock, offset in part by increases of 000,000 in money in circulation and $5,000,000 in Treasury cash. Excess reserves of member banks on June 2 were e sti mated to be approximately $ 1 , 630 , 000, 000, an increase of $ 130 , 000,000 for the week. There was an increase of $36 , 000,000 in holdings of united States Govern ment securities. B ills increased i 7'¿j000,000, while bonds decreased $32>000,000 and notes $8 , 000, 000. Changes in member bank reserve balances and related items during the week and the year ended June 2 , 19 ^3 , were as follows * Increase or decrease since June 2, 19^3 i:ay 26, 1943 June 3 1942 (In millions of dollars) B ills discounted U. S. Government d ire c t obligations U. S, Government guaranteed obligations Industrial advances(not including 13 m illion commitments - June 2) Other Reserve Bank cred it „ 21 6,165 5k + 56 —— + 15 +3,638 + 47 15 284 — ♦ 6 + 2 ♦ 110 Total keserve Bank credit Gold stock Treaaury currency 6,535 22,427 4,075 + 42 + 2 + 3 +3,812 - 288 + 769 Member bank reserve balances Money in circulation Treasury cash Treasury deposits with F. k. Banks Koniuenber deposits and other F.R,accounts 12,057 17,196 2,272 6 1,507 + •219 + 294 + 5 - 339 - 150 - 596 +5,055 + 84 - 104 - 144 Fona F. K. 283c STATEMENT OF CONDITIC® OF THE FEDERAL RESERVE BANKS GÎÏ JUNE 2, 1943 * . (In thousands of dollars) Total Phila. Cleve. ^LI ABILITIES Boston New York Rich. Atlanta Chicago St.Louis > F> R. notes in actual c i r culation 13,622,833 980,600 2,999,751 960,829 1 , 234,641 876,896 696,674 2,671,785 575,064 Deposits: Member bank-roserve a c c t. 12,056,525 621,281 4, 007,382 630,688 1 , 046,004 522,703 500,193 1 , 813,029 405,596 U.S.Treasurer-general acct 229 127 646 165 6,120 216 278 187 1,287 Foreign 967,582 79,920 77,396 29,444 102,634 25,233 36,174 26,197 l A 5 9 ,l 4 l Other 3,H 4 13,241 224,429 • 4,387 13,190 2,557 t 115,349 8,659 10,791 Total deposits 13,254,656 652,552 4,5-33,159 719,483 1 , 136,868 569,795 532,423 1,919,423 444,24o Deforced a v a ila b ilit y items 1 , 251,919 -102,743 55,667 56,486 130,316 95,040 239,499 250,794 67,815 Other l i a b i l i t i e s including accrued dividends 366 256 481 7.176 604 277 594 1,944 873 TOTa L LIABILITIES 23,136,^84 1736,768 7 , 835,648 1748,721 2 , 502, 42? 1542,212 1285.839 4,831,573 1075,248 Capital paid in 4,629 15,308 •9>520 11,673 16,474 147,376 5,285 5.9& 53,909 Surplus (S ection 7) 4,966 ■ 11,16 0 15,670 50,001 5,236 22,925 i6 o,.4 ll 5,72-5 14,767 Surplus (S ection 13b) 26,829 • 2,874 7,070 530 1,429 1,007 3,244 717 4,393 Other cap ita l accounts 5,220 23,731 6,056 4,164 12,917 3.817 8,051 3,757 34,509 * TOTAL LIABILITIES AilD CAPITAL -iCCOUNTS 28,555,709 -1765,550 7 , 973,409 1786,518 2,541,562 1560,818 1301,323 4,385,313 1039,190 Commitments t o mako in du strial advanc s — 12,876 10 73 350 1,319 1,247 717 1.971 F. h. 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 . Gov’ t s e cu ritie s 254,179 ' 1,243 18,508 10,428 535,977 475,975 1,245,518 1,0 17 206 519 25,555 25,253 64,157 2,650 2,775 36,735 234,353 26,339 561,199 504,194 1,546,962 72,255 48,362 106,623 481 170 180 450 647,612 1119 ,12 1 864,659 2, 946,754 3,173 4,300 4,495 ’ 12,133 3,221 3,615 4,085 11,044 1,000 1,157 1,507 2 ,12 1 5,351 5,209 6,031 5,597 658,603 1152,522 377,755 2 , 978,133 — 5,025 — 5,661 900,000 1 ,2 8 0,000 787» 000 685,000 2, 700,000 300,000 545,000 — --— 9,300 — 125 4,535 **— — 324,680 60,000 125,000 100,000 Maturity d istribution of b i l l s and secu rities 500,000 344,ooo 1 , 584,000 50 5,000 — -- 733,233 2, 711,965 1 to 2 years 694 6 months to 1 year ...» 619 689,050 417,100 332,000 31 to 60 days 61 to 90 days 91 days to 6 months 1,050 41 -163 175 5,575 473 539,684 1,064,746 646.273 Total 16 to 30 days 21,178 12,999 14,390 , 10,221 6, 216,583 525,332 U. S. Government se cu ritie s 9 485,206 311,925 1 , 492,719 500,577 553,724 1,567,553 •Within 15 days B ills discounted Industrial advances d ire ct and guaranteed 966,000 3, 105,000 5,458 1 ,2 1 5 — 50,000 336,745 603,709 343,540 - 14,053,556 1002,903 3, 094, 005. 933,834 1,272.077 13, 556,000 20,683 664,680 896,656 Minn» Kans.Cy. Dallas San Fran. l/ After deducting $506,457#000 participations of other Federal Reserve Banks. 625 ’ 2 to 5 years — 151 337,871 Over 5 years ■- : 1,114,477 Form F. R, 283&. Released for publication Friday morning, June 1*, 191*3. earlier STATEMENT OF CONDITION OF THE TWELVE FEDERAL RESERVE BANKS COMBINED (In thousands o f d o lla rs) Increase or decrease since June 3, 191*2 May 26, 191*3 June 2, I9h3 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 reserves B ills discounted* Secured by U, ¡3. Gov’ t obligation s, d ire ct and guaranteed Other b i l l s discounted Total b i l l s discounted + 7.1*00 - I .279 - 27,209 - 21,088 ♦ + - 205 + 10,392 1,090 21,178 •205 ♦ 15.3Ö2 12,999 52 + 2,o 6l* ■ 1,737.21*3 9^0,200 1 , 099,200 2,1*39.935 - 31.750 - 8,100 — + 75.350 + 127,316 + 21*1*, 525 +1,067,100 +2, 21*5, 51*6 6,216,533 + 36,000 +3, 681*,1*95 Total b i l l s and secu rities 6,250,760 +3, 701,861 Due from foreign, banks F. R. not -s of other banks Uncollected items Bank premises Other assets 137 50,027 1.535.669 38,328 72,807 + 35.713 -- 5.153 +111,819 h9 + 216 + + + 23,555.709' +121,1*83 +3.928,53** 13,622,833 +266,865 +1*, 1*33,596 12,056,525 6,120 967.582 2214, 1*29 13, 25!*. 656 1 , 251,919 +218,100 -333,779 + 8,766 -139.501* -251,1*17 +105,663 - 596,568 - 103.7U8 + 25,027 - 191.127 - 866, 1*16 + 262,792 7 . 1.76 23, 136,531* 828 +120,233 + 1, 600 +3.336,572 1* + 1,209 +12 1, 1*88 + 2,701 + 2,909 + 1*8 + 36 ,30I* +3,928,531* - - Industrial advances U. S. Government s e cu ritie s, d ire c t and guaranteed» Bonds. Notes C ertifica tes B ills Total ü. S, Government s e c u r itie s , d ire ct ,and guar tait sad TOTAL ASSETS 20,212,817 51.556 31*3,083 20,607,it61 21,178 303,313 36,517 71*,995 191,801 — + QO 23,313 372,91*0 1,689 23,320 . L I A B I L I T I E S F. R. notes in actual c ircu la tio n Deposits« Lombe r bank-reserve account U. S. Treasurer-general account Foreign Other Total deposits Deferred avai lia b ility items Other l i a b i l i t i e s including accrued dividends TOTAL LIABILITIES c a p i t a l a c c o u n t s Capital paid in Surplus (S ection 7) Surplus (Suction ljb ) Other' capital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS Ratio o f to ta l reserves to deposit and F. R. note liabilitiescom bincd Corami talents to make in dustrial advances 11*7.376 160, 1*11 26,329 8l*,509 23,555.709 76,77« 12,876 - Wm tifo .9 12,7% 767 F^rm F. R. 283b STATEMENT OF GGRDZTIQST OF THE FEDERAL RESERVE BANKS ON JDNE 2, I9U 3 (In thousands of dollars) .A S S E T S Total Boston New York Phila. Clove. Rich. Atlanta Chicago St.Louis Minn. Kans.Cy. Dallas San Fran. Gold certificates on hand and due from U. S. Treasury 20,212,817 1225,066 5,1*51*,230 121*2,033 1,361*,619 1086,137 9hB,k3k 3,738,463 621,167 1*70,SQ1 763,409 610,263 2,133,100 Redemption fund - F.R.notes 51,556 2,829 1,166 6,067 61*2 7,720 3,626 783 20,6&7266 2*83 537 6,725 Other cash 31*3,038 29,71*7 80,752 21,869 31,211 29,830 111,537 38,853 12,21+9 3,002 13,532 q-.553 I1G.II18 Total reserves 20,607,1*61 1257,61*2 5,536,11*8 1269*989 1,896,1*72 1123,687 Bills discounted; Secured by U.S. Gov’ t obligations, direct and guaranteed 21,178 1,2 15 5,1*58 i*,535 1*0 125 Othar b ills .discounted __ __ _ __ __ Total b ills discounted 21,173 1,215 1,732 5,1*58 It, 535 U,796 966,597 3,778,099 65U, 103 1*79,159 __ 200 1*0 125 978 1*31 200 257 88,952 1*8,11*1 56,282 57,621 * ~ . . . 9,300 _ — _ 9,300 - 782,1*29 620,163 2,21*2,973 50 225 30 225 1*9 50 1*2 30 1*,021 51,81*6 23,061 32,801* 30,711* 33,020 ltl*,930 52,529 76,210 __ - Industrial advances 605 12,999 U. S. Government securities 9 direct and guaranteed: Bonds 1,737,21*8 126,61*7 1*30,671* 131,113 Notes . 91*0,200 233,081* 70,976 68,51*1 Certificates 1 , 099,200 80,133 272,1*98 82,981 B ills 2,1*39*935 95,713 1123 , 1*01; 123,821 Total U. S. Govrt securities, direct and guaranteed 6,216,583 371,031* 2,059,660 1*08,926 166,557 90, 11*2 105,385 100,795 108,891 58,93U 68,898 82,636 - 1*62,879 319,359 250,996 810,503 352,361* 11*3, lt25 256,689 19ù,670 586,078 Total b ills and securities 1*63,897 319,915 2 1* l*,5li* 2,173 166,267 105,153 3,017 !*,279 8,1*70 1*,530 251,1*53 2 it, 787 73,182 1,678 3,621* 310,572 590,129 6, 250,760 Due from foreign banks 137 F. R. notes o f other banks 50,027 Uncollected Items 1,535,689 Bank premises 38,S28 Other assess 72,807 TOTAL ASSETS 373,981 2,065,723 1 / 108 3 923 7,61*3 125,1*26 31*1,686 .2,698 9,732 ‘.h* 377 17,369 1*13,257 5 2,021 86,536 1*,695 5,015 69 mm» 227,311* 82,700 123,292 1*1*,758 11*1*, 11*1* 52,326 315,253 172,580 361,66k 11*3,1*71; * 1 6 1,669 3,191 l*,83l* 61*, 683 30,588 279,1*07 1,297 2,091 2,890 2,1*21 3.1*57 q .s i o 19 69,268 169,731 91,856 37,1*85 1*3,827 107,393 1*!*, 090 . 21L.Q9.8. 256,781 I9li,9l4 1 •1 5,620 2,859 81,389 55,687 1,018 2,773 3 ,111 3,529 1* 9,793 125,685 2,660 6,89k 28,555,709 1765,550 7,978,1*09 1786,518 2,51*1,562 1560,818 1301,323 1*,885,318 1089,190 658,608 1132*522 877,753 2 , 978,138 ♦Less than $500. 1 / After deducting $29,000 participations of other Federal Reserve Banks.