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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.