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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.