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Form F. R. 283
STATEMENT FOR THE PRESS

Released fo r p u b lica tio n
F riday morning, March 23;
not e a r lie r .

Board o f Governors
o f the Federal Reserve System
March 22, 1945

. CONDITION OF TIE FEDERAL RESERVE BANKS
During the week end'ed March 21 member bank reserve balances increased
$120,000,000. Additions tomember bank reserves arose from decreases o f
$45,000,000 in money in c ir c u la tio n , $4,000,000 in Treasury cash, $167,000,000 in
Tre.-sury dep osits w ith Federal Reserve Banks, and $28f OOO,OQO in nonmember deposits
and other Federal Reserve a c c o u n ts ,o ffs e t iii part by decreases o f $123,000,000 in
Reserve Batik c r e d it and $2,000,000 in gold stock. Excess reserves o f member banks
on March 21 were estim ated to be approxim ately $1,100,000,000.
Holdings o f loans, discounts and advances decreased $63,000,000 and o f
United S tates Government s e c u r itie s $83,000,000, the l a t t e r change r e fle c t in g a
decrease i j j - b i l l s j
Changes in member bank reserve balances and r e la te d items during the week
and the year ended March 21, 1945, were as fo llo w s :

Increase or decrease
sincc
Marf 21,
1945

liar. l 4,
1945

Mar. 22,
1944

(.In m illio n s -of d o lla r s )
U. S# Government s e c u r itie s
Loans, discou nt» and advances
Other Reserve Bank c r e d it

19,493
196
484

+'

83
63
2?

+7,250
+ 121
+
79

T ota l Reserve Bank
Gold stock
Treasury currency

20,173
20,451
• 4,120

- 123
2

+7.451
-1,149
+
30

14,579
25,836
'2,360
96
1,374

+ 120.
- 45*
4
- 167*
- 28

+2,174
+4,902
+
27

c r e d it

Member bank reserve balances
Money in c ir c u la tio n
Treasury cash
Treasury deposits w ith P. Rt Banks
Nonmember deposits and other Ff Rf accounts




*iJarch 14 figu res revised »

-

399
371

Jforai F. R. 283c

STATEMENT OF CONDITION OF THE r&jUBfcAL; RESERVE BANKS ON M&RCH 21, I9J45
( I n thousands o f d o lla r s )
New York
T o ta l
Boston
C leve.
P h ila .
Minn. Kuns.Cy.
Rich. A tla n ta Chicago St.Louis
22,255,5^9 1397,045 '4,962,233 1468,607 1944, 6.98 1504.297 1305.238 4o84,6l4 948,829 488,031. 817,174

L I A B I L I T I B S
Federal Reserve notes
D ep osits:
MeiLbor bank-reserve a cct. 14.573,533
U .S .T reasu rer-gen eral a.cct._
96,123
- F oreign
1,229,822
Other
216,904

679,663 4,635,109
86,440
515
83,4 2 5 1 / 472,473
4,248 ~ 108 338

735.715 1164,049
841
619
103,859 102,679
4.148
10,120

619,432
515
49,569
3,410

61:5,002 2170,885
.559
1,071
41,308 155.428
3.646
4,422

538,794 317,161
1 ,0,74
553
35,406 27,145
11,394
1,925-

6h9,997
771
35,406
5,351

645.415 1776,061
2,003
502
89,718
35,406
2,984
55,938

T o ta l deposits

767 *851. 5 , 302,860

844,563 1277,467

672 ,976

691,115 2329,806

586,647 347.505
79 ¿ 8 2 35,108

691,505

684^307 1924,980

99,504

68,646

106,610

271

557

355

944

16, 121,382

D eferred a v a i l a b i l i t y i'tems! 1,050,374
Other l i a b i l i t i e s in clu d in g
accrued dividends
9.589
TOTaL LIABILITIES
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
TOTAL LIABILITIES AND
CAPITAL ACCOUNTS
Commitments to make
in d u s tr ia l loans
F.R. notes outstanding
C o lla t e r a l fo r F.R.notes
held by F.R. A gen ts:
Gold c e r t i f i c a t e s
E lig ib le paper
U .S.Govt, s e c u r itie s

297,117

»92,088

160,656

138.355

131,225

241,565

891

2,492

628

968

481

405

1,403

4 i4

40,036,894 2287,027 10, 564,702 2406,086 3383,789 2316,089 2127,981 6657, ld 8 1615,372 670 , 715'-1606.320 1305,885 4893,740
166,983 : 10,-175
228,153.
15,2392,880
27.165
' 84.356 '
4,979

49,543,551
3.137

59.828
84.903
7.143
16.959

'12 ',647
19,872
4,468
6,053

16,722
19.071
1,007
10,061

6,759
7,815
3,290
5.505

6,060
7,956
762
4,855

19,806
33.201
1,429
12,216

---

—

2,031

20

400

----

—

5,548
6,196
1,137
4,204

3,650.
4,950
1,073
3,749

5,590
6,025
1,307
3,755

15,025
15,899
2,142
7,592

"ftit h in
15 days

615,000
3,750
950 ,000

625^00 2010 ,000 • 575,000 188,350
---*
26,000 26.000
750,000 2200,000 768,522 31e ,000

320,000
465
525,000

229,000 1474,000
---—
385,000 1500,000

ivIATURITY DISTRIBUTION OF LOANS AND _SECURITIES
t----- £------- .
6 mónths
9
I
days
to
31
to
61
to
•
16 to
to
1 year
6
months.
90 days
30 days
60 days

150,225
5,231

•5,935
7

9,415
6

342*7,113

1673,649

4241,015

26,979'
5
4530,556

631

588,256 2898,860

2 , 920,000
115,279
2 , 200,000

610,000 760,000
—
750
900,000 1250,000

—

—

—

8 4 i,624

10, 721,350
174,229
12, 638,522

595,000
3.985
900,000

55

986,975 4.97,166

5.131,752 1505,260 1999,426 1538,025 1363,380 4182.622

Discounts and advances‘
192,554
In d u s tria l loans
3,926
U. S . Gove mment
s e c u r itie s
19,,492,516

5,595
7.048
527
4,448

2320,300 10,733,535 2449,126 3430,650 2339,456 2147,574 6723,840 1632,788 884,137 1625,205 1322,562 4934,598

22,970,277 1436,951

T o ta l




120,440

D allas SanFran.
552,577 2781,206

3k

«...
621

1302,290

2422,921

l / A f t e r deducting $752,977,000 p a r tic ip a tio n s o f other-Federal Reserve Banks*

1 to 2
years
__
22

2 to 5
years
«...
--

2 6 8 ,8 0 0 / 6 5 9 ,4 0 2

Over
5 years
—
'766,770

Form F. R. 233a
Released fo r h u b lica tion Friday morning, 'Hatch 23,19^5*.; H.°t e a r lie r ,
STATEMENT OF CONDITION
QF THE TWELVE FEDERAL RESERVE BANKS COMBINED
( I n thousands o f d o lla r s )
Increase or degrease
since
Mar. 21,,
1945

Mar. J.I4,
1945 •

Marf 22,
- 19hh

A S S E T S
Gold c e r t if ic a t e s
Redemption fund - F. JR.. notes'
Other cash
T o ta l reserves
Discounts and advances
In d u s tria l loans
U. S. Govt, s e c u r itie s :
B ills
C e r t ific a t e s
Notes
Bonda
T o ta l U* S ~ Government
s e c u ritie s

17, 040,765
646k, 697
259, 73d

-+
+

9 , 600*
U,233
9-, 650;

- 1, 510,560
+ - 367,847
76,542

18,547,192

+

4,283*

- 1, 219,255

192,554
3,926

- 62,64l
;'6 6

+ ‘ 127,886
5,932

11,883,583
5,410,511
1,066,350
.li, 132>072

- 83,647
—
—
—
. .

+5, 151,705
+2, 525,871
- ' 94,914
- .. 312,895

19, 492,516

- 83,647

+7,249,767

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

19, 688,996

--146,354

+7,371,721

Due from fo r e ig n b&nks
F. R. notes o f other banks
U n collected items
Bank premises
Other assets

116
. 83,966'
.2, 134,673
34,370
54,238

+ 9,607
- 31,771
.21
8,696

.2 0
2,054
+ 233,502
642
- '
4,951

40,543,551

- 172, 952*

+6,378,301-

22, 255,549

- 33,811

+4,826,177

14,578,533
96,-123
I', 229,822
216,904
16., 121,382

+119,436
-166,466*
- 19,163
- 19,049
- 85,242*

+2,173,461
- „398,871
-■ 313,129
- 133,266

TOTAL ASSETS
L I A B I L I T I E S
Federal Reserve notes
D ep osits•
Member bank-reserve account
U,S. Treasu rer-general .account
Foreign
Other
T otal 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 inclu ding
accrued dividends
TOTAL LIABILITIES
C A P I T A L
ACCOUNT S
C ap ital paid in
Surplus (S e c tio n 7)
Surplus (S e c tio n IJb)
Other c a p ita l accounts
TOTAL LIABILITIES AND CAPITAL ACCOUNTS
R atio o f t o t a l resorves to dep osit
and F.R.note l i a b i l i t i e s combined
Commitments to make in d u s tria l loans




55,344

1,650,374
9,589
4p, 03 6,,894
166,983
228,153
27,165
84,356
40,543,551
48.-3$
3,137

+

70

+1,328,195
■ + -153*,952
+

2,110

- 174, 327*

+6,310,434

+

+
+
+
+

248
— ;

+ 1,127
- 172, 952*
-*•

. lfo •
206

♦March 14 fig u re s rev is e d .

10,450
40,056
200
17,161

+6,378,301
13. #

- '6,094

Form F. R. 283b
STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON MARCH 21, I 9U5
( I n thousands o f d o lla r s )
A S S E T S
T o ta l

C leve,

Boston

New York

Gold c e r t if ic a t e s
17,640,765
Redemption fund-F#R.notes
64 6,697
Other cash
259,730

859,706
42,855
22,628

4,940,003
117,177
62,489

961,662 3208,296
37,783 111,465
29»936
21,433

618,373 335,302
32,284 15,656
11,934
5,399

619,483
27,368
12,673

497,625 2413,505
84,756
20,341
27,236
9,757

T ota l reserves

18,547,192

925,189

5, 119,669 1005,854 1391,-921 1002,292 1020,878 3349,697

662,591 356,357

659,524

527,723 2525,497

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
Notes
Bonds

192,554
3,926

3,985
191

11,883,583
5,410,511
1,066,350
1, 132,072

724,842
371,981
73,313
77,831

T o ta l U# S. Government
s e c u r itie s

19.,492,516 1247,967

T otal loans and
s e c u r itie s
Due from fo r e ig n banks
F.R.notes o f other banks
U n collected items
Bank premises
other assets
TOTAL ASSETS




113,279
10

P h ila .

940,442 1306,508
62,402
45,222
20,190
22,931

750
3,131

15,000
- -

3, 137,763 733,302 1073,272
1,345,945 409,617 513,946
265,269
80,731 101,294
281, 619, 85,707 107,537

Rich.
939,860
49,308
13,124

3,-750
119

A tla n ta

Chicago St*Louis

1,300

2,000

- -

- -

' Minn. Kans.Cy.

26,000

26,000

- -

- -

465
25

D allas SahFran.

- -

25
450

574,027 2012, Bill 479,355 246,275
273,504 708,873 2514,237 146,272
50,107 . 28,829
53,905 139,711
57,227 148,322
53,195 30,605

465,539
265,860
52,397
55,627

387,777 1333,072
225,211 548,321
44,387 108,068
47,122 114,729

5,030,596 1309,357 1801,049 1146,152

958,663 3009,747

836,894 451,981

839,423

704,497 2154,190

5,143,805 1313,230. 1816,049 1152,021

959,963 3011,747

862,694 477,981

839,913

704,497 2154,665

660,518
346,744
68,339
72,551

'

19, 688,996 1252,143
116
83,966
2,134,673
34,370
54,238

. 9
3,462
134,075
1,601
3,821

1/ 29
15,803
433,357
8,858
11,934

12
3,283
119,419
3,421
3,899

12
4,965
208,393
4,073
5,237

6
7,014
171,939
2,838
3,326

5
9,660
152,398
1,603
3,067

18 ■ ■
4:
10,825
5,619
96,784
340,453
3,161
2,105
7,939
2,791

4
4,771
44,839 . 1.15, 6&3
2,650
1,249
1,481
2,660
3
2,227

4
3,155
83,914
886
2,383

10
13,182
233,419
1,925
5,700

4o,5b3,55i 2320,300 10,733,535’ 2449,126 3430,650 2339,436 2147,574 6723,840 1632,788 884,137 1625,205 1322,562 4934,398
l / A ft e r deducting $87,000 p a r tic ip a tio n s o f other Federal Reserve Banks,