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Form F. R. 283
STATEMENT FOR THE PRESS

Released fo r p u b lica tio n
F rid ay morning, March 9 »
not e a r lie r ,

Board o f Governors
P? the Federal Reserve System
March 8, 19^5

CONDITION; OF THE FEDERAL RESERVE BANKS
During the week ended March 7, member bank reserve balances decreased
$20,000,000. Reductions in member bank reserves resu lted from increases o f
$lllt,000,000 in money in c ir c u la tio n , $8,000,000 in Treasury cash and $10,000,000
in nonmember deposits and other Federal Reserve accounts and decreases o f
$52,000j 000-in gold -sto ck , $8,000,000 in Reserve Bank c r e d i t ‘ and $2,000,000 in
Treasury currency, o f f s e t in part by a decrease o f .$172,000,000 in Treasury
deposits w ith Federal Reserve Banks, Excess reserves o f member banks on March 7
were estim ated to be approxim ately $900, 000, 000,
Holdings o f loa n s, discounts
United S tates Government s e c u r itie s
United States Government s e c u r itie s
b i l l s and $li93#000,000 in notes and

and advances decreased $17,000,000 and o f
$89,000,000, The decrease in holdings o f
resu lted from decreases o f $89,000,000 in
an increase o f $1+93,000,000 in c e r t if ic a t e s .

Changes in member bank reserve balances and re la te d items during ,the week
and the year ended March 7 , I 9U5 » were as fo llo w s ;

Increase or decrease
since
Mar, 7#
19U5

Feb, 28,
■> 19k 5

Mar. 8,I9hb

( I n m illio n s o f d o lla r s )
U. S0 Government, s e c u r itie s
Loans, discounts and advances
Other Reserve Bank c r e d it
T ota l Reserve Bank c r e d it
Gold stock
Treasxiry currency

19,350
308
14.91
20,150
20,u5li
U, 121

, - .89
r 17
+ 97

!

+ 7,321
+
2U6+> mit
*

.

-

3
52
2

♦ 7,712
- 1,216‘
♦
3 1

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




114,208 •
25,8^4
2,365
288
2,001 .

-■
+
+
+

20
111*
8
172
.10

.

1,825
♦ 1^,901
25
19
•
2143

Farm F. R. 283.C
L I A B I L I T I E S

STATEMENT OF CONDITION OF THE FEDERAL ¡RESERVE BANKS ON MAÖCK 7 , 191+5
(In thousands o f d o lla r s )
T ota l

Boston

New York

P h ila .

C leve.

R ich .

A tla n ta

Chicago St.Lou is

Minn. Kans. Cy.

Federal Reserve notes
22 ,264,497 1393,915 4 , 962,586 II+69,085 191+3,009 1508,770 1311,229 i+089,1+82 ' 9l+9,0l+0 1+86,725
D eposits :
Member bank-reserve acct.l)| ,207,791 6^6,228 -4,577,458 700,005 1111,96? 611,331 61+3 , 51+2 2131,1+55 51+0,573 3l 6 , l l +6
IUM06
77,208
U .S »T reasu rer-gen eral a c c t. 288,549
56,067
20,575 22,229
il* ,27 7
16 M
8,197
9,62-3
F orei gn
,
1 ,206,67k
1+8,650
1+0,51+2 150,583
34,750 26,61+2
79,-891+ 1/1+65,357 101,933 100,775
Other
379,000
9,273
2 ,91+3
l+,l+86
4,276
1,735
3,950
11,059
285,01+9
It, 371+
T o ta l d ep osits
D eferred a v a i l a b i l i t y i
Other l i a b i l i t i e s in c lu
accrued dividends
TOTriL LIABILITIES
C a p ita l paid in
Surplus (S ectio n 7)
Surplus (S ectio n 13b)
Other c a p ita l accounts
TOTAL LIABILITIES AND
CAPITAL ACCOUNTS
Commitments to make
.-in d u strial loans

16,081,814
as 1,405,911

744,675
110,300

5,405,072
. 307,579

9,186

719

2.,422

820,718 1238,555
84,-504 124,204
632

671,121
97,713

9l+2

455

693,213 2342,055
89,825 213,301
494

1,353

•Dallas SanFran.

820,605

557,213 2772,838

656,689
20,566
34,750
5,770

632 0+14 1639,987
15,782
12,855
34,750
88,048
4,051
42,034

606,957 366,752
62,084 29,049

717,775
83,189

686,997 1782,924
58,712 145,451

258

355

343

296

917

39„76l,4o8 2249,609 10,677,659 2374,939 3306,710 2278,059 2099,761 6646,191 1618,1+24 882 ^ 8 4 1621,924 1303,218 4702,130
.166,647 . 10,163
'228,153
15,239
2,830
27,165
. 81,702
. 4,821

59,813
84,903
7,143
- 16,203

12,54?
19,872
4,468
5,882

16,712
19,071
1,007
9,797

6,735
7,813
3,290
5,331

6,028
7,936
762
4,695

5,287’
7 ,ol+8
527
4,361+

19,775
33,201
1,429
11,84o

3,652
4,950
1,073
3 ,710

5,347
6,196
1,137
4,121

5,585
6,025
1,307
3,654

15,005
15,899
2,11+2
7 ,284

8 96,169 1638,725 1319,789 4742,458
4 0 , 265,075 .2282,712 10,845,721 2417,708.. 3353,297 2301,228 2119,182 -6712,436 1635,650 ■
----

----

F- R. notes outstanding
.22,828,359 1424,393 --5 , 116,060 1499,665 1980,596 1535,516 1351,554 4 i4 8 ,403 979,229 ■
494,775
C o lla te r a l f o r F. R. notes
h eld by F. R. A gents:
Gold c e r t i f i c a t e s
10,6^9,350 615,000 2 ,845,000 601,000 832,000 615,000 615,000 1980,000 375,000 188,350
E l i g i b l e paper
261+,165
-4 8,250
15,750 13,050
6,465
189,015
7,145
U^S.Govt. s e c u r itie s
12, 335,625 810,000 2 , 200,000 .900,000 1150,000 950 ,000 750,000 2200,000 655,625 310,000
, MA.TURITY DISTRIBUII:)N OF L0/.NS AND SECURITIES

859,165

586,178 2872,825

320,000
24,490
525,000

219,000 11+24,000
---—
1500,000
585,000

Discounts and advances
In d u s tria l loans
U. S. Government
s e c u r it ie s



—-

3,567

2,461

20

----

400

55

—

65I

T o ta l

W ithin
15 days

l6 to
30 days

31 to
60 days

61 to
90 days

91 days to
6 months

6 months
to 1 ;y ear

1 to 2
years

2 to 5
years

Over
5 years

. 304,616
3,770

227,960
3,114

32,725

11,850
36

32,0'8l

■-

---608

----

----

----

19,350,232

2,340,573

.2 , 926^596
4 , 268,630
4 * 394,250
1 ,302,290
2,348,521
343,200
619,802
1/ liter deducting $739*017^00p a r tic ip a tio n s o f other fe d e r a l Reserve Banks*

806,370

10

Form F. R. 283a
Released fo r p u b lic a tio n F rid ay mornings March 9>1945î not 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
Mar. 8 ,
1944

Mar. 7»
. 1945

Feb. 28,
1945

17,651,365
640,939
249,580

- 73,500
+ 20,129
- 14,794

-1,606,460
+ 394,520
79,254

18,541,884

■-•68,165

-1,291,194

304,616

- 16,160
31

+

ASSETS'
Gold c e r t if ic a t e s
Redemption fund - F. R. notes
Other cash
T o ta l reserves

252,721

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
Bonds

11,741,299'
5,410,511
1,066,350
1 , 132,072

- 89,087
+493,371
-493,371
—

+5,023,567
+2,685,471
+ 176,650
- 564,.549

Total" U. S. Government
s e c u r itie s

19 * 350,232

- 89,087

'+ 7 , 321,139

T ota l loans and s e c u r itie s

19,658,618

-105,278

+7,567,850

116 '
■69,480
1,897,214
34,392
.63,371.

- 4,378
+ 12,655
5
- ■3*359-

+
+

1,894
335,583

-

630
1 1 , 29?

40,265,075:

-168,530

+6,6q2 ,186

22,264,497

+102,190

+4,821,398

14,207,791
288,349
1 ,206,674 ‘
379»ooo

- 20,662
-171,835
+ 14;87S'
- 10,096

+1,824,712
♦
19,535
- 361,360
+
41,913

16,081,814

- 137,715

+1,524,800

- 84;607'

+

Due from fo re ig n banks ,
F. R. notes o f other banks
U ncollected iteriis
Bank premises
Other, assets
TOTAL ASSETS

3,770

6,010

20

L I A B I L I T I E S
Federal Reserve notes
Deposits t
Member bank-reserve account
U. S. Treasurei*-general account
Foreign
Other
Total d eposits
Deferred 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 *

,405,9H
9,186

39.761*408
a

1,822

577

+

191,537

-169 , 555.'

+'6, 535,913

+

+
+
+
* '

CC- O' U N T S

C ap ital 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'
R atio o f t o t a l reserves to d ep o sit
and F.R, note l i a b i l i t i e s combined
Commitments to make in du s'trial loans




i

166 ,647
228,153
27,165
81,702
40,265,075'
■48.1$
"3,567

140
-

-

-

.-

’835 '

+ ‘

-;168,530
_

+

+6,602,186

-

20

10,269
40,056
200
15,748

**

13.
6,866

Fo?m F. R. 283b
STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON MARCH 7, lyk5
( I n thousands o f d o lla r s )
A S S E T S
Dallas SanFran.

Total

Boston

New York

Gold c e rtific a te s
17 , 651,365
Redemption fund-F.R*notes !
¿40,939
Other cash
249,580

856,400
40,998
21,075

4,998,889
118,033
6 i,4 8 i

924,588 1284,780
57,621
45,410
22,293
20,468

967,181 3278,341
38,024 111,772
21,677
28,653

622,189 344,031
32,352 ' 15,682
5,072
11,013

607,177 . 496,269 2316,376
27,422
85,070
20,423
11,688
24,518
8*305

18,541,884

918,473

5, 178,403

990,466 1364,694 1016,613 1026,882 3418,766

665,554 364,785

646,287

304,616
3,770

8,250

189,015
10

6,465
2,663

3 , 128,272
1 , 345,945
265,269

409,617

Total reserves
Discounts and advances
In du strial loans
U, S. Govt. se c u ritie s:
B i lls
C e rtific a te s
Notes
Bonds
Total U. S.'Government
secu rities
Total l^ans and
secu rities

11,741,299
5,410,511
1,066,350
1,132,072




700,171
371,981
73,315
77,831

19,350,232 1223,296
*

19,658,618 1231,740

Due from foreign banks
116
F.R. .notes of other banks
69,480
Uncollected items
1,897,214
Bank premises
34,392
Other assets
63,371
TOTAL ASSETS

194

9
2, 654

124,006
1,601
4,229

Ph ila.

Cleve.

11,300

Rich.
955,144
48,132
13,337

Atlanta

700

Chicago St.Louis

15,750

27,975
- -

Minn. Kans.Cy.

13,050

24,490
25

308

7,145
120

718,701 1067,683
513,946
101,294
80,731
85,707 107,537

651,858
346,744
68,339
72,551

573,985 1917.855
273,504 708,873
53,905 139.711
57,227 148,322

268,400
501,374 ^
254,237 146,272
50,107 28,829
53*195 30,605

5, 021,105 1294,756 1790,460 1139,492

958,621 ;2914,761

358,913 -474,10 6 ‘' 845,835

281,619

*

*

-

-

.

*

5 , 210,130 1303,884 1802,068 1146,757 '95?,32l 2942,736
1/29
11,950
421,902
8,858
14,449

12
2,094
113,379' 3,433
4,44o

12
3,389
172,725
4,082
6,327

6
5,705
125,337
2,838
3,972

-

5
8,476
119,546
l,6o4
3,348

18
8,880
329,966
3,161
8,909

-

-

471,951
265,860
52,397
55,627

346
- -

130
450

394,411 1346,638
548,321
44,387 108,068
47,122 114,729

225,211

7 l i ; i 3 l 2117,756
..

*•
874,663 -487,156

524,997 2425,964

870,350

4
4
■ 3,
5,641
3,647
1,479
84,422 .39,841 . 112,453,,
2,650
2,105
1,249
3,261
1,656
3,334

7H,477 2118,336
4
2,979
76,J30
886
•2,666

10
12,536
176,857
1,925
6,780

40,265,075 2282,712 10,845,721 2417,708 3353^297 2301,228 2119,182 6712,436 1635,650 896,169 1638;725- 1319,789 4742,458
1f A fte r deducting $87,000 p a rticip atio n so f other Federal Reserve Banks.