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F. R. 233
STATEMENT FOR THE PRESS

Released fo r p u b lic a tio n
Friday morning, June Oj
not e a r lie r .

Board o f Governors
o f the Federal Reserve System
June 7,19^5

CONDITION

OF THE FEDER.iL RESERVE BANKS

During the week ended June 6 , member bank reserve balances increased
$81,000,000. Additions to member bank reserves arose from an increase of
$4,000,000 in Treasury currency and-decreases of $74*000,000 in Treasury
deposits with Federal Reserve Banks''and $69 ,000,000 ' ift rionmember deposits
and other Federal Reserve accounts, o ffset in part by decreases of $51,000,000
in Reserve Bank credit ai}d $2,000,000 in gold stock and an increase of
$13,000,000 in money in circulation* Excess .reserves of member banks on
June 6 were estimated to'be approximately $1,180,000,000.
Holdings of loans, discounts and advances increased $26,000,000 while
holdings of United States Government securities decreased $127,000,000*. The
decrease in holdings of United States Government securities r e fle c ts decreases
of $327 , 000,000 in b i l l s , $439 »000,000 in c e r tific a te s and $3 , 000,000 in bonds,
and an increase of $642 , 000, 000' in 'notds.
Changes in member bank reserye balances and related items during the
weok and the* year ended June 6 , 1945, were as follows:

Increase or decrease
since
June

6 ,'

May 30,

1945

June

1945

7»

1944

(In millions of dollars)
U. S# Government securities
Loans, discounts and advances
Other Reserve Bank credit

20,896
916

Total Reserve Bank credit
Gold stock
Treasury currency

22,207
20,268
4, 145

Mepiber bank reserve balances
Money in circulation
Treasury cash
Treasury deposits with F. R, Banks
Nonmember deposits and other F# R. accounts

15,452
26,513
2,314
352
1,989




394

127
26
49

+6,287
+ 665
+
71

+

51
2
4

+7,024
- 944
+ 44

+
-

81
13
1
74
69

+2,094
+4,258
16
+ 90
- 302

+
+

-

Form F. R. *2c 3c
Boston
Total
L I A^B I L ì I I E S
Federal Reserve notes
22, 859,022 liii+i ,690
Deposits :
Member bank-reserve a c c t . 15 Ja52 *113 717,264
U .S .T reasu rer-gen eral a c c t. 352,297
-19,707
Foreign
1 , 188,401
78,221
Other
4,549
.
357.438
Total d ep osits
17, 350,249
D eferred a v a i l a b i l i t y items 1 , 358,311
Other l i a b i l i t i e s in clu din g
accrued dividends
11,772

819,741
113,851

STATEMENT' OP CONDITION OF THE FEDERAL RESERVE BANKS ON JUNE 6 f .191+5
(In thousands o f d o lla r s )
Minn, Kans. Gy.
New York
P h ila .
C leve.
Rich. A tla n ta Chi cagò S t.Lou is
5 ,050,893 1501,883 1995,522 1526,592 1349,059 4197,796

D allas SanFran.

964,009 499,629

846,774

575,530 2909,595

5 ,070,579
.124,678
1/453,227
230,565

808,427 1213,608
8,891
32,973
101,229 100,079
4,210
19,081

664,868
20,416
48,314
5,890

674,991 2268,075
16,092
49,309
40,202 149,543
13,328
3,727

546,300 348,837
10,765 10,359
34,510 26,458
13,905
4,3-63

707,995
14,068
34,510
1,473

6ol,744 1769,425
30,036
15,003
34,510
87,538
2,637
53,710

5 , 879,049

922,757 1365,741
75 ,-372 122,710

739,488
104,836

735,072 2480,255
103,631 200,182

605,480 390,017

758,046

29,900

81,595

713,894 1940,709
6y,486 136,820

250,913

69,015

1,216
388
1,783
311
877
3,295
833
1,167
515
349
443
595
TOTAL LIABILITIES
41,579,954 2376,159 11, 184,150 2500,845 3485,i4o 2371,511 2188,877 6880,016 1638,853 919,857 1686,358 13 59,348 4988,340
C apital paid in
60,025
6,090
15,069
10,24 9
5,691
5,454
3,679
16,904
5,423
168,335
6,777
20,243
12,731
Surplus (S e c tio n 7)
6,025
6,196
19,872
7,o48
15,239
4,950
15,899
33,201
19,071
7,936
84,903
228,153
7,813
Surplus (S e c tio n 13b)
2,880
4,468
762
2,142
3,290
1,307
1,007
527
27,165
1,429
1,137
1,073
7,143
Other c a p ita l accounts
5,002
6,082
21,518
4,201
101,619
9,540
11,526
7,265
6,530
5,687
4,374
14,707
5,187
#
TOTAL LIABILITIES AND
4 2 , 105,226 2410,609 11,357,739 2545,181 3533,648 2395,921 2209,352 6949,596 1657,069 933,760' 1704,616 1376,745 5030,990
CAPITAL x.CCJUNTS
Commitments to make
---—
---630
200
400
225
in d u s tria l loans
16
376
2,617
50
4,514
23,542,366
598,181
3014,122
1479,548 5,243,945 1543,005 2050,454 1559,141 1394,344 4272,629 1004,631 509,809 867,557
F. R. notes outstanding
C o lla te r a l f o r F. R. notes
held by F. R. Agents:
Gold c e r t i f i c a t e s
10, 321,000 575,000 2,545,000 598,000 805,000 600,000 610,000 2000,000 375,ooo 190,000 320,000 229,000 1474,000
—
—
---—
E lig ib le paper
813,804
29,580
10,625
17,290
38,290 24,225
23,750
653,769
16,275
U .S.G ovt. s e c u r it ie s
13,226,461 900,000 2 ,4 oo,000 950,000 1250,000 975,000 800,000 2300,000 791,46i 325,000 550,000 385,000 1600,000
MATURITY DISTRIBUTION OF LOAKS AND SECURITIES
2 to 5
Over
16 to
31 to
61 to
1 to 2
With
6 months
91 days to
years
5 years
years
Total
90 days
6 months
to 1 year
15 days
30 days
60 days
---—......
Discounts and advances
21,700
912,124
826,804
54,275
9,345
—In d u s tria l loans
10
30
121
108
2,940
852
4,104
43
U* S ♦ Goye rnment
s e c u r itie s
4,496,766
507,652
20,896,287
2,677,958
2 , 163,305
4,851,095
747,340
1,007,350
3,537,521
907 j,300
l / A ft e r deducting $733*910,000 p a r tic ip a tio n s o f other Federal Reserve Banks.




Form F. k. 283a
Released fo r p u b lica tio n Friday-morning, June 8,i9l+5, n° t e a r lie r ,
STATEMENT OF CONDITION
OF-THE TWELVE FEDERAL RESERVE' BANKS COMBINED
( I n thousands o f d o lla r s )
Increase or decrease
since
June 6,
19U5

May 30,
191*5 ■

June 7»
19UU

A S S E T S
Gold c e r t if ic a t e s
Redemption fund - F, R, notes
Other cash
T otal reserves
Discounts and advances
In d u s tria l loans
U, S, Govt, securiti-es’j •
B ills
C e r t ific a t e s
Notes
Bonds

.

i 7. l i i 2.U65
697.U81
' 2^7,330

.+
-

it, 000
2,387
761

- 1, 2714,660
+ 338,095
12,137

18,357.276

-

2.37U

-

9i*8,702

91 2 ,12U
U. 10U

■+ 26, 590
- ■ 198

+ - 672,57k
7,026

12, 737, U3U
5,383,261
1,657,950
. 1, 112,6142

- 326,663
-1+39,050
+6I+1 ,500
. - 2,500

+14, 006, 158
+2,11+7,771
+ U67,915
- 33U.851+

T otal U. S, Government
s e c u r itie s

20,896,287

-126,713

+6,286,990

T o ta l loans and s e c u ritie s

21,812,5-15

- 100,321

+6,952.538

Due from fo re ig n banks
F, R. notes o f other banks
U n collected items
Bank premisss
Other assets

110
89,208
1,752 , 583
3.U.1UU
59,390

TOTAL ASSETS

2
+ 7,132
+ 25,322
. 30 .
- 2,615

+
+

26
17,690
201, 1+31+
650
7,089

U 2,105,226

- 72,888

+6, 215,195

22,859,6^2

+ lit ,735

+l+,2lo,395

15,1+52,113
352,2^7
1,13(3,1+01
357,U3Q
17,350,2149

+ 80,721
- 73i 201+
+ 29, 321- 102,238

+2, 09!+, 3U6
+ ' 90,195
- 327,228
60,538

_ - 65, 1+00

1,350,311

- 23; 595

11,772

598
- 7l+,358.

+

+

- 72,838

+ • 10,963
+
1+0,056
+•
200
+
26,176
+6, 215,195

+
+

-•
+

L I n 3 I L I I ' I -E -S
Federal Reserve notes
D ep osits:
Member bank-reserve account
U*S#Treasu rer-gen eral account
Foreign
Other
T o ta l deposits
D eferred a v a i l a b i l i t y 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

i+l, 579,951+

aKD

168,335
228,1-53
§7,165
101,619
CAPITAL ACCOUNTS

R atio o f t o t a l reserves to d ep osit
and F* k. note/ l i a b i l i t i e s 'combined
Commitments t o make in d u s tria l loans




1/020

+6, 137.800

A C C OUN T S

C a p ita l paid in
Surplus (S e c tio n 7), .
Surplus (S e c tio n 13b)*
Other c a p ita l accounts
TOT.iL LIABILITIES

+1,796,775
+ ' 129,610

i+2, 105,226
1+5.7$
■k, 5’li+

190
-

+

-

1,730

,1?5
191+

10,7#
1+5

Form if. R. 283b
STATEMENT OF CONDITION OF THE FEDERAL .RESERVE BANKS' ON JUNE 6, 1945
( I n thousands o f d o lla r s )
A S S E T S
T o ta l

Boston

New York

Gold c e r t if ic a t e s
17, 1+12, 1+65 905; 021
Redemption fund-F.R*notes
697, 14-81
146,310
Other cash
21,315
21+7,330

k, 6141,398
138,032
62,1413

T o ta l reserves
Discounts and advances
In d u s tria l loans
U. S# Govt, s e c u r it ie s :
B ills
C e r t ific a t e s
NQtes

Bonds

P h ila .

Cleve*

Rich.

A tla n ta

Chicago St,Lou is

Minn. Kans.Cy.

975,684 1335,027
48,157
63,243
20,477
21,375

896,459
50,998
15,300

909,432 3256,0214
41,331 115,019
20,563
27,784

630,909 364,488
33,835 16,300
4,400
9 ,3 H

653,041
28,996
11,897

512,674 2331,708
95,321
19,939
22,986
9,509

1+,81+1,81+3 101+14,318 IÌ4.I9 , 6U5

962,757

971,326 3399,427

674,055 385,188

693,934

51+2,122 2450,015

24,225
- -

17,290
19

447,334 257,826
264,841 145,423
81,491 44,746
54,689 30,029

490,601
263,290
81,014
54,368

18,357,276

972,61+6

912, 121+
h.ich

29,580
130

653,769
7

12,737,1+314
5,388,261
1,657,950
1,112,6142

713,157
371,126
1114,193
76,63U

3,455,093
1,334,681
1+10,676
275,603

16,275
3,179

43,845
-

-

731,775 1103,700
416,700 517,781
128,218 159,321
86, o46 106,919

10,625
94
754,317
345,120
106,192
71,265

7,500
- -

46,975
275

668,925 2181,415
279,185 673,093
85,903 207,108
57,649 138,989

38,290
- -

T ota l U. S. Government
s e c u r itie s

20,896,287 1275,110

5, 1476,053 1362,739 1887,721 1276,8914 1091,662 3200,605

848,855

T o ta l loans and
s e c u r itie s

21,812,515 130l+,820

6, 129,829 1382,193 1931,566 1287,613 1099,162 3247,955

887#145 502,249

Due from fo r e ig n banks
110
F*R. notes o f oth er banks
89,208
U n collected items
1,752,583
Bank premises
34, 1UI4
Other' assets
59,390
t o t a l iiS’SETS




8
3,496
123,060
1,587
14,192

D allas SanFran.

1/ 36
•18,674
345,251
8,803
13,303

10
-4i830
105,889
3,397
4 , 5U4

10
4-, 844
168,044
4,054
5,485

5
-7,852
131,255
2,827
3,612

4
15
■ 8,514 - i l ,253
125,489 279,727
3,144
1,593
3,264
8,175

4
6,467
83,978
2,092
3,328

478,021+

3
2,,138
4 l,3 6 o
1,21+2
1,580

889,273

- -

- -

23,750
4oo

395,400 1537,391
233,615 543,406
71,884 167,204
48, 21+1 112,210

749,1402360,211

906,582 .749,140 2384,361
3
4,649
93,810
2,632
3,006

3
2,950
78, 9 2 0 •
866
2,744

9
13,541
175,000
1,907
6,157

1+2,105,226 21+10,609 11, 357,739 251+5,131 -3533-,61+8 2 3 9 5 ,9 2 1 2209,352.691+9,596 1657,069 933,.76o 1 7 0 4 ,6 16 1376,745 5030,990
l / A f t e r dedu cting-$74,000 .p a rtic ip a tio n s o f other Federal Reserve Banks»-