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Form F, R. 283 STATEMENT FOR Released fo r publication Friday morning, June 9* 192+2+ riot e a r lie r . THE PRESS Board of Governors of-the Federal Reserve System June 8, 192+2+ CONDITION OF THE FEDERAL RESERVE BANKS D u r in g 't h e weekT ended June 7 member b a n k * re s e rv e B a la n ces i n c r e a s e d $312,000,000. A d d it io n s t o member bank r e s e r v e s a ro s e from an i n c r e a s e o f $2+2i+,000,000 i n R eserve Bank c r e d i t and d e c r e a s e s o f $¿+5*000,000 i n T rea su ry d e p o s i t s w i t h F e d e ra l Reserve Banks, $28,000,000 i n Treasury cash, and $10^000,000 i n nonmemfcer d e p o s i t s and other- F e d e ra l Reserve a c c o u n t s , o f f s e t i n p a r t by a d e c r e a s e o f $52,000,000 i n g o ld s t o c k and an i n c r e a s e o f $li+3,000,000 i n money in c i r c u l a t i o n . E xcess r e s e r v e s o f member banks on June 7 w e re e s tim a te d t o be a p p r o x im a te ly $800, 000, 000, There was an i n c r e a s e o f $.359*000,000 i n h o ld in g s o f U nited S t a t e s Government s e c u r i t i e s } b i l l s i n c r e a s e d $266,000,000 and c e r t i f i c a t e s $93 *000 , 000 . Changes i n member bank r e s e r v e b a la n c es and r e l a t e d item s d u rin g th e week and th e j e a r ended June 7» 19-W4-» were as f o l l o w s : In c r e a s e o r d e cre a se s in c e June 7 May 31* June 9* 192+2+ 192+2; 192+3 (in m illio n s of d o lla rs) U. S. Govt, s e c u r i t i e s ( i n c l , g u a r, s e c . ) Loans, d i s c o u n t s , and advances Other Roservb Bank c r e d i t T o ta l Reserve Bank c r e d i t Gold s t q c k , T reasury c u r r e n c y Member bank r e s e r v e b a la n c e s Money i n c i r c u l a t i o n Treasury cash T reasury d e p o s i t s w i t h R. Banks Nonmember d e p o s i t s and o th e r F .R ta c co u n ts l2+,609 251 323 + 353 + 3 + 63 15*183 . 21,212 ¿+,101 + ¿4-22+ - . 52 13*358 22,255 2,330 262 2,291 + 312. + 12+3 - 28 - 2+5 «» — - 10 + • 7,973 •225 13 + 8,185 1,195 + 23 +‘ 1,193 + 5 y0 l 8 .+ 53 + 87 663 STATEMENT OF CONDITION OF THE FEDERAL RiüSEÄVE BAMS ON JUNE 7 , 1944 (In thousands o f d o lla rs) Korn F. R. 283c L I A B I L I T I E S Total Boston New York .P h ila . Cleve. xiich. Atlanta Chicago St. Louis Federal Reserve notes 18,649,227 1233,104 4182,077 1245,902 1643,965 1217,878 1081,315 3466,747 796,274 417,860 D eposits: Member bank-rosorvc a c c t. 13 ,357,767 666,096 4488,023 680,893 1059,615 549,26? 558,792 2013,913 408,396 297.,396 U.S.Treasurer-generaL a c c t . 262,102. 14*595 90,810 12,456 22,657 9,074 5,473 24,238 20,284 14,269 ; Foreign 1,515,629 -.103,899^80,6o4 135,081 130,676 58,73146,985 182,066 45,516 32*302 4 17 ,976. 3,827 324,035 5,105 6,921 7,2074,492 5,127 11,359 4,345 Total deposits 15,553,474 788,417 5483,472 Deferred a v a ila b ility items 1,228 ,701. ‘.99,935- 231,064 Other l i a b i l i t i e s including accrued dividends 1,1 16 . 3,365 10,752 2225M Dallas Minn. Kans.Cy . San Fran. 462,813 2216,385 684,907 6o4,68l 539,236 1491,459 14,750 6,429 27,067 42,580 42,580 114,609 3,007 41,267 1,281+ 663,295 591,252 1674,402 485,555 348,312 833,535 1219,869 624,279 615,742 78,725 130,271 90,717 68,806 186,599 61,979 25,012 67,568 50,541 137,484 729 1,076 510 385 ■ 1,484 360 271 386 307 763 TOTAL LIABILITIES 35,442,154 2122,572 9899,978 2158,891 2995,181 1933,384 1766,243 5880,174 13144,168 791Â55 1416,,156 1104,913 4029,034 157,372 57,802 16,150 6,298 5,121 4,830 5,598 •18, 214. 4,929 11,864 13*255 9*887 3,424 13,206 5*236 70,012 16,026 26,490 14,159 188,097 6,330 3*669 4,554 4,831 17,859 5,725 1,007 1,000 2 ,129 4,421 26,965 3,290 530 1.307 2,874 ‘ 7,092 . 1*137 749 . 1,429 3,372 16,982 5,366 3*288 3,888 4,658 - 11,400 4,385 3., 968 4,097 4,925 9,114 75.44* « ;* . • TOTAL LIABILITIES ¿JTD COITAL ACCOUNTS 35*890,031 2152,63610051, 8662197,960 3037,478 1953#574 1782,978 5937,707 1359,146 803,516 1430,856 1119,352 4062,962 ! Commitments tö make in d u strial 10&B81,280 * 48 8 1,686 —951 450 46 4*469 Capital paid in Surplus (S ection 7) SurpluB (S ection 13b) Other capital accounts F. ¿i. notes outstanding C ollateral fo r F.ii.notes held by F.R.Agontst Gold c e r t ific a t e s ljli^ ib le paper U.S.Govt, s e cu r itie s 19,194,778 1261,093 4329,882 1273,046 1685,141 1243*903 1120,583 3544,169 833*159 424,766 705,016 482,886 2291,134 12,485,000 759,000 2895,000 745,000 1090,000 775*ooo 7io;ooo 2530,000 ---— ■ 234,179. 12,960 -120,570 5Mh7 4*930 .■ 6,844,904 500,000 1400,000 525,000 600,000 500,000 425#000 1050,000 >F LCŒS AND SECURITIBS MATURITY DISTHIBUTI. 325 ,000 206,000 ’ 460,000 475 79,767 io;o$o “ 544,904 225,000 250,000 266,000 1724,000 Total Discounts and advene©is Industrial loans U.S.Govt, s e cu r itie s ( i n c l . guar, s e c .) 239,550 11,130 1^,609,297 Within 15 days 179,888 10 ,042 l6 to 30 days 8,790 419 31 to 60 days 9,572 24 6 l to 90 days 41,300. 205 91 day is to 6 months, 74 6 months to 1 year " 256 — — 225,000 1 to 2 years 2 to 5 years 79 31 600,000 Otror 5 years 1,483,5.66 1 ,403,036 3 , 289,880 3 , 580,184 1,076,400 1 . 632,871 17,800 968,974 1 , 156,586 1 / ¿ i t e r deducting$.^3 ,820,000 p a rticip a tio n s o f other Federal Reserve Banks# Fbrm F, E, 283&. Released, for pu blication Friday morningy /June 9 , 1944; not e a r lie r, STATEMENT OF CONDITION OF THE TWELV3 FEDERAL RESERVE BANKS COMBINED (In thousands off d ollars) Increase or decrease since June 7> 1944 June 9 , 1943 May 31, 1944 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 Discounts and advances Industrial loans U. S. Govt, secu rities» B ills C ertifica tes Notes Bonds Total U, S. G<3vt. secu rities (in c 'l. guar. s e c .). Total loans and secu rities Due from forei-gn banks F. R i ‘ notes o f other banks Uncollected items Bank premises Other assets TOTAL ASSETS 18,687,125 359*386 259,467 - 5it,o o o ! + 3,712 - 5,609 r l , 504»691 + 308,078 90.124 19*305,978 - 55,897 -1,286,737 239,550 11,130 + 2,923 661 + 226,677 2,186 8,731,276 3,240,490 1,190,035 1,447,496 +265,608 + 93,000 + ■ 1,271 - 1,271 +5.835*909 +2, 1^1,290 + 259,835 - 263,552 14, 609,297 +358,608 +7,973,482 14,859,977 136 71,518 1,551,149 54,794 66,479 +360, 870’ «... + 7,102: ♦ 37,251. 7 - 1,754 +8,197,973 l + 13.786 +.. 118,744 4,034 -9.611 35,390,031 +347,565 +7, 030,120 18,649,227 +117,431 13,357,767 ■; 262,102 1,515,629 : 417,976 +312,192 - 45;382' - '37,879. + 25,237 +4,969»558 +1, 192,730 + 86,773 + 500,452 + 121,292 15,553,474 1,228,701 +25^,168 - 25,183 +1,901,247 +' 132,195 10,752 35,442,154 + 612 +34.7,.028 36 +7,002,964 + 101 + 436 + 10,016 + 27,686 + 136 - 10*682 L I A B I L I -T I *E S • Federal Reserve notes Deposit's 1 Member bank - reserve account U.S.Treasurer - generalaccount_ . Foreign 1 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 C A P I T A L ACCOUNTS Capital paid ir£ Surplus (S ection 7) Surplus (S ection 13b) Other capital a'ccounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS Ratio o f to ta l reserves to deposit and F, R, note l i a b i l i t i e s combined Commitments to make in dustrial loans 157,372 188,097 26,965 75,443 35, 890,031 56.4# 4,469 +7,030,120 +347,565 +. . 513 - 18.9f‘ 7,880 Form ¡F. R, 283b STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON JUNE 7, I9U1 ( In thousands o f d o lla rs) ASSETS Total Boston New York P hila. Cleve. Rich. Gold c e r t ific a t e s on hand and due from U.S.Treasury 18,687,125 102*1,153 4,753,80^ 10$5,9'53 1,557,450 1052,048 Redemption fund-F.R.notes 359*386 26*433 75,222 . 27,022 30,188 25,644 other cash 259,467 18;.Q23 77,4*64*• 2o , i i i . . 19,504 13,768 Total reserves Atlanta Chicago St.Louis 990,072 3,518,659 23,091 52,099 17,163 35,805 19,305,978 1085,609 4,906,492 1103,086 1,607,142 1091,460 1030,326 3, 606,563 Discounts and advances Industrial loans U. S. Govt, s e c u r itie s : B ills C e r tific a te s Notes Bonds 544,586 390,509 28,901 11,342 12,058 6,001 721,292 11,690 10,587 585,545 407,852 743,569 1,750 79,767 10,030 -205 475 27 Dallas San Fran. 491,691 2 , 569,906 12,169 35,585 7,932 21,051 511,792 2,626,542 120,570 91 5,447 4,399 1,630 360 4,930 188 8, 731*276 3,24o,490 1,190,035 1,2*47,496 477,407 3,373,972 247,761 714,832 90,937 262,513 110., 671 319,307 49 7,64i 263,088 96, 6l4 117,516 609,438 364,603 133,899 162,868 350,065 212,284 77,958 94,822* 302,626 1,421,553 346,922 186,721 68,572 127,404 83,408 154,967 335,218 168,581 150,707 98,868 55*347 36,308 67,322 44,163 282,081 171,206 62,^73 76,476 * 255,306 153,951 56,539 68,771 '14, 609,297 926,826 4,670,622* 974,859 1,270,813 ; 735,131 -641,327'2,050,846 608,594 347,920 592,636 534,567 1,255,154 688,361 358,155 593,138 534,567 1,259,574 239,550 11,130 12,960 1,378 Minn. Kans.Cy. 1,491 •• 62 500 3,920 • •• — 657,388 329,542 121.021 147,203 L e s f in ely guar, s e c . ) *• Total loans and se cu ritie s D u e F . i i . n U B O n f r o m c o a n k t h e r o , t e l l s b p f o s t e r e m a s s e r e o d f i g o 14,859,977 n t h i t e m b a n k s ' e r s i s e s t s TOTAL assets b a n k s 136 71,518 1,551,14 q 34,794 66,479 941,164 4,791,285 10 1,164 118.345 1,642 4,902 . 1 /4 9 1^,223 319*426' 022 13,369 9 , 985,205 1,272,803 740,249 642,880 2,052,596 12 3 ,H 7 142,671 4,167 .7,-566 6 7*079 107,140 2,901 •4,739 . 17 7,346 ' 8,698 258,582. 96,245 .1,636 • * 2,919 3,332 4 ,o 4 l 12 2,202 98,932 3,54 o 4.-983 4 4 5,751 74.,253 2,o47 3,185 3 1,516 32,715 1,268 2,007 4 4,103 83,874 2,706 3,462 4 2,675 66,360 955 2,999 11 15,144 152,806 1,991 6,894 35.890,03 ! 2l52,636*3ft05i,366 2197,960 3,037,478 1953,574 1, 782, 978.5,937,707 '1359,146 303,516 1430,856 1119,352 4, 062,962 1/ A fter deducting••$87,’060 ga rticip a tion s o f other Federal Reserve Banks.