The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
Form F. R. 283 STATEMENT FÜR THE PI<ESS Released fo r p u b lica tio n Saturday morning, November 13; not e a r lie r . Board o f Governors o f the Federal Reserve System November 12, 19Ü3 CONDITION OF THE F'JDERAL RESEHVE BANKS During the week ended November 10 member bank reserve balances increased $129,000,000. Additions to member bank reserves arose from an increase of $396,000,000 in Reserve Bank credit, offset in part by increases of $160,000,000 in money in circulation, $1^8,000,000 in nonmember deposits and other Federal Reserve accounts and $35*000,000 in Treasury deposits with Federal Reserve Banks and de creases of $20,000,000 in gold stock and $6,000,000 in Treasury currency. Excess reserves of member banks on November 10 were estimated to be approximately $1,030,000,000, unchanged for the Week. There was an increase of $389,000,000 in holdings of United States Govern ment securities. B ills increased $278,000,000, certificates $103,000,000 and bonds $8,000,000. Changes in member bank reserve balanees and related items during the week and the year ended November 10, l9ii3; were as follows: •Increase or decrease since Nov. 10, 19U3 Nov. 3 , 19U3 Nov. 11, 19142 (In millions of dollars) B ills discounted 22 U. S. Government direct ‘obligations 9,805 U. S. Government guaranteed obligations 60 Industrial acTvanccs (not including 10 million commitments November 10) ’ 12 Other Reserve Bank credit 332 % - 17 + 38ii + 5 Total Reserve Bank credit Gold stock Treasury currency 10,231 22,096 + 396 - 20 6 +5,306 - 61+5 + 727 Member bank reserve balances Money in circulation Treasury cash Treasury deposits with PI Kf Banks Nonmember deposits and other F. R# accounts 12,198 + 129 + 160 l + 35 + 1*3 - 295 +5,106 + 63 + 135 + . 380 2,297 369 2 , 01+9 CO 19.51U -1- U.ioo + 12 +5,169 + 3 91 m m m m + 23 STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON NOVEMBER 10, I9U3 (I n thousands o f d o lla r s ) Boston New York Phila* Cleve. Rich. Atlanta Chicago St.Louis Minn# Kans*Cy. Dallas San Fran* Farm F. R* 283 LI ABI LI TI ES Total F* R. notes in actual c i r 15, 9 13, 2251091,098 3, 500,2714 culation Deposits : iiember bank-reserve a c c t .12 ,198,177 594,005 1*, ol*l*, 920 U*S*Treasurer-general a cct. 369*026 66,885 32,539 Foreign i. 30,850 1/ 600, 351* 1,51*8,971 566,990 261*,861* Other 1*,725 Total deposits 11+, 283 *164 662,119 1*,977,023 Deferred a v a ila b ilit y items 1,222,217 25I*, 21*9 90,583 Other l i a b i l i t i e s including accrued dividends 2,782 61*6 7,781 TOTaL LIABILITIES 31,1*31,537 181+1*,1+1*6 3,711*,528 Capital paid in 55,768 9,552 150,51*5 Surplus (S ection 7) 11,160 53,001 160, 1*11 Surplus (S ection 13b) 26,829 7,070 2,871+ -'ther ca p ita l accounts 5,61*1 21*,967 87,535 1085,810 1,1*18,881 1071,570 930,092 524,^99 616,885 28,1+52 1*3,527 26,155 115 , 221* 118,981 55,855 10,288 6,896 7,707 772,023 1,098,951 6 11^$05 95,838 77, 1*1*6 122,979 681,802 370,756 576,378 394,520 1,832,121 1*86,677 1 , 871, 092' 1+29,1+25 282,815 23,1*1*2 27,1*57 55,1*58 23,486 152,797 57,575 27,553 1*3,855 8,225 10,109 3,200 1*,058 567,716 494,568 1,555,585 28,122 13.440 22,265 95,508 35,068 37,575 4,19 6 3,669 59,055 634,575 549,577 1 , 512,211 75,248 4 7 , n i 127,419 886,856 5,008,151 562,027 2,050„531 131,378 86,ol*5 658 511 257 937 719 1956,006 2,61*1,1+1*9 1777,272 1535,185 5, 21*0,997 11,670 16,671* 5,1*13 15,5 17 6,075 22,925 15,670 5,236 11*, 767 5,725 3, 21^1* 1,007 717 1,1*29 1+, 393 3,829 15,120 6,1+62 8,1*18 1*, 256 510,565 31*2,979 60,070 25,^01 * 193 306 489 184 299 1252,750 738,829 1236,507 991,392 3,472,21*0 12,272 3,223 4,964 4,557 1*,675 3, 2211+.966 4,085 3,615 n ,o 4 4 2 ,12 1 1,000 550 1,507 1,157 5.240 6,386 5,84o 5,743 3,653 CâPITaL accounts 3 1, 856,505 1875,655 8, 800,134 1974,201 2, 681,158 1796,065 1550,874 5,295,145 1266,61+8 749,926 1 , 300, 061100!*,579 3,504,065 Commitments to make in dustrial 5,000 — 2,864 9 2,155 loo 770 — — 557 advances 700 9 .915 F. R. notes outstanding; C ollateral fo r F*R*notes held by F.R*Agents* Gold c e r t ific a te s E lig ib le paper U.S.Govf t secu rities 16,1*11*, 171 1129 , 1*90 5,595,715 1117,559 1 , 1*55, 1*12 1098,951 Ili, 11*2,000 17,150 2,618,151* 792.000 5 , 275,000 550 11,175 550.000 550,000 820,003 1 , 260,000 1,155 — 500,000 200,000 850,000 1,200 275,000 952,080 5 , 057, 91*5 710, 21*6 578,557 591,757 424,118 1,922,765 730,000 2,910,000 — — 500,000 200,000 1+25,000 350,000 5,000 50 318, 131* 50,000 510,000 561,000 1 , 879,000 100,000 75,000 100,000 MATURITY DISTRIBUTION OP BILLS AND SECURITIES Total 22,380 11,577 S ills discounted Industrial advances tr. S. Government s e c u r itie s , d ire ct sind guaranteed 2, 864,944 Within 15 days 18,090 9*539 16 to 30 days 610 71*3 800, 086' 1, 961, 71*5 51 to 60 days 2,080 82 61 to 90 days 1 ,6OO 38 1,753,51*7 1,939,855 9I days to 6 months 6 months to 1 year 1 to 2 years 2 to 5 years 503 292 273 107 600,550 765,600 211,1+00 702,971 l / A f t e r deducting ¿71*6,21+5,000 p a r tic ip a tio n s o f other Federal Reseive Banks Over 5 years 1,131,590 Form P. Eu 283a Released for publication datuiday morning, November 13,1943» not earlier. STATEMENT OF CONDITION OF THE TWELVE FEDERAL RESERVE BANKS COMBINED (In thousands o f d o lla rs) Increase or decrease since ' Nov. \0, ■-1943' Nov. 11, Nov, 3» 1943 1942 ■A S . S I T S - 27,000 + 13.515 - 14,209 + + - 27,694 - 68,647 574,857 22,380 - 16,245 ■» i + + 16,920 •5,000 11,920 mm vp 22,380 - 16,245 11,577 -3r1—i Total b i l l s and secu rities Due from foreign banks F. R. not’es of other banks Uncollected items Bank prem ises. Other assets TOTAL ASSETS 3,819 - 650,899 64o, 042 5,916,783 + 7,808 — +103,150 +278,139 9,864,944 +389,097 9 , 898,901 136 69,404 +372,673 +5 , 2 15,10 6 — + 89 + 2 6 ,66l + 1,065 + 274,609 - 50,268 + 1 1,772 »7,374 +• 1,437- •- «*» +4,932,462 +297,219 •1.565.561 688,400 1 , 694,200 1,554,346 38,375 • 61,720 31,856,505 L I A B I L I T I E S F, R. notes in actual circu la tion 15 , 918,225 Deposits:Member bank - reserve account 12,198,177 U.S.Treasurer - general account 369,026 Foreign • •1,348,971 Other 366,990 Total deposits 14,283,164 Deferred a v a ila b ility items 1 , 222,217 Other l i a b i l i t i e s . including accrued dividends ' '7.781 TOTAL LIABILITIES 31,431,387 C A P I T A L AC C U N T S Capital paid in' : •1-50,343 Surplus (S ection 7) 160 ,411 Surplus (Section l^b) 26,829 Other capital accounts 87,535 TOTa L LIABILITIES'AND CaPITAL ACCOUNTS 31,856,505 Ratio o f tota l reserves to deposit and F. R. note l i a b i l i t i e s combined 67 . 0% Commitments to make industrial advances 9.913 v 757,900 114,396 19,804,715 128,399 300,509 20,233,623 1 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 B ills discounted: Secured by U. S. Gov't ob liga tion s, d ir c c t and guaranteed Other b i l l s discounted Total b i l l s discounted Industrial advances U. S, Government s e cu ritie s, d ire ct and guaranteed: Bonds v Notes C ertifica tes B in s Total U. S. Government s e cu ritie s , d ire ct and guaranteed - +1 ,021,734 +5,476,212 * +5,207,005 - +158 , 373- +4;.538,349 +129 , 239 ’ + 34,640 + 49,156 983' +212,052 - - 73,770 294,570 135,351 + 434,314 - 109,9H 165 ,684 + 183*153 + 353 +297 , 008' ' 2,142 *¿¿,889,328 , •15 ,+ — - - •f + 226 +2 9 7,2 19 + 30 4,941 2,909 48 35,236 *+ii/932,ii62 .9% + • - l 4 , 6% 114 f .a F. R. 283b STATEMENT OF CONDITION OF THE FÉDÉRAL RESERVE BANKS ON- NOVEMBER 10, I 9 I+3 ( In thousands o f d o lla r s ) ASSETS T ota l. Boston New York Phila* Cleve. Rich. Atlanta .Chicago St.Louis Gold c e r t ific a te s on hand and ue from U. S. Treasury 19,804.715 1062,153 5,119,555 1154,091 1,670*461 1099,651 999,389 3,784,826 Redemption fund - F.R.notes 128,399 15,562 20.089 16,470 11,967 10,532 17,639 1,545 Other cash 22,132 300,509 74,966 27.384 22.139 19,995 17,286 38,443 Total reserves 20, 233^623 110 7,176 5, 214,610 1191,792 1 ,703,125 1136,116 1028,6423,824,814 B ills discounted: Secured by U*S. GovTt ob lig a tion s, d ire ct and guaranteed — 22,380 . 400 1,200 4,300 550 11,175 •1,155 — Other b i l l s discounted — — ■ . — — — — — Total b i l l s discounted 22,380 Industrial advances 11,577 o, S# Government s e cu r itie s , d ire ct and guaranteed: Bonds// 1,565,561 Notes 688,400 C e rtifica te s 1 , 694.200 B ills . 5,916,783 Total U/ S. Govf t s e c u r itie s , d ire ct and guaranteed 9,864.944 Total b i l l s and s ecu rities Due from foreign banks F^h.notes o f other banks Uncollected items Bank premises Other assets TUTAL a s s e ts 9 ; 898, 901. 136' ' 69,hob 1,554,346 3-3,375 61,720 1,200 4,300 215 789,708 591,065 2,4oo,477 3,118 3,506 5,483 14,217 • 9.661 34,495 702,208 473,410 809,408 604,232 2 , 438,090 - 3,000 — 50 162,213 79,150 71,327 34,803 175.541 85,656 313,903 276,836 529,296 815.303 13 ’ V ‘55 13 2,124 1?,284 4,4s4 307,760 90,619 145.184 4,636 9,64o 4.233 7,568 4,616 . ' 8,316 153,304 101,760 133,408 58,661 67U10 44,745 165,900 110,122 144,369 237,459 3,040,263 333,467 231,335 ■101,744 2$0,397 230,987 135.299 113,168 59,493 49,762 146,417 ' 122,468 188.087 . 117,665 624,073 3, 296,890 674,905 814.513 626,052 3, 308,217 680,401 11,175 152 ------ — 25 — 50 136 •400 390 3 1,710 131,045 2,675 4,992 670,713 462,626 19,970 2,518 11,525 ,8,266 3,000 — 1,155 4,341 550 1,429 kinn. Kans.Cy*: D allas'San Fran. — — 25 ¿5 16 25 4,625 61,091 26,863 66,111 76,884 94,783 96,420 41,680 42,397 102,579 io4,34o 136,197 91,391 203,575 39.515 220,300 368,644 403, 0631,222,984 476,445 230,949 375,244 334,548 832,034 530,735 408,078 1,222,988 479,445 231,135 375,274 334,589 836,684 '6 12,085 109,547 2,953 4,621 17 5 5,120 7,537 103,452 230,215 1,661 2,369 3,916 6,705 239 4 3 5,593 74,296 2,072 '3,026 .2 1*443 40,301 1,235 2/350 30 ’ 4 6,224 102,820 2.743 3,580 11 4 .2,712 8,083 58,292 160.307 2,629 979 .3', 771' 7,759 .31,856,505 1873,653 3 , 060,134 1974,201 ' 2,631,153'- 1796,063 1550,074 5£95,1451266,643 749,926 1300, 0611004,579,3.504 ,063 l / A fte r deducting $81,000 p a r tic ip a tio n s o f other Federal Res .rve Banks.