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Form F. F. 283 STATEMENT FOR THE PRESS Released fo r p u b lica tio n Friday morning, Dec. l j not e a r lie r , , Board o f Governors o f the Federal Reserve System November 30, CONDITION OF THE FEDERAL RESERVE BANKS During the week ended November 29 member bank reserve balances increased $1*2,000,000, Additions to member bank reserves arose from increases o f $179* ~;00,000 in Reserve Bank cre d it and $3,000,000 in Treasury currency, and decreases o f $5,000,000 in Treasury cash and $18,000,000 in nonmember deposits and other Federal Reserve accounts, o ffs e t in part by increases o f $116,000,000 in money in circu la tion and $1+1,000,000 in Treasury deposits with Federal Reserve Banks and a do ore*** of $5,000,000 in g°ld stock. Excess reserves of member banks on November 29 were e s t i mated to,be approximately $1, 200, 000, 000, Holdings o f loans, discounts and advances increased $120,000,000 and o f United States Government secu rities $11*2,000,000, The increase in holdings o f United States Government secu rities resulted from increases o f $125,000,000 in c e r t ific a te s and $17, 000,000 in b i l l s . Changes in member bank reserve balances and related items during the week and the year ended November 29, I9J+I*, were as follow sj Increase or decrease since Nov, 29, 19UU Nov, 22, I9hh Dec, 1, 19 h} ( In m illions■ of dollars) U. S, Govt, s e c u r itie s (in c lr guar, s e c .) Loans, discounts and advances Oth-r Reserve Bank cred it 18,553 600 367 ♦+ + - li|2 120 83 +8, 106 535 + 5 Total Reserve Bank cre d it Gold stock Treasury currency 19,520 20,683 1*, 120 + + 179 5 3 +8#61j.6 -I f 377 + 19 Member bank -reserve balances Money in circu la tion Treasury cash Treasury deposits with F, R, Banks Nonmomber deposits eind other F,. R. accounts lit, 761 21*,997 2.33U 292 1'>9Lib + + U2 116 5 ill 18 +2, 199 +5,057 + 35 + 17 19 - + - jj'orm F* R. 283c STATELiENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON NOVEMBER 29, I 9I1U (In thousands o f d o lla r s ) Total Boston * New York, . P hil: Clove. Rich. Atlanta Chicago St*Louis Minn* K:xs.Cy. 21, 369,885 13li.9>°23 ¿ ,7 3 7 ,2 1 3 ' ll;02 , 652 1861,777 l470,406 1255,37 5 3907;285 912,039 46;v552 73 4,3i*l fL a 3^ Ii Ll I : Ti i B S L iI A federal Reserve notes Depositsr ¿¿ember bunk-reserve u cct. l l ; , 7 6 0 ,9 6 7 728,065 4,897.582 734,857 1135,148 633,815 605,541 U.S.Treasurer-general a cct. 2 9 2 , [;87 12,972 18,123 25,1,411- 104,401 16,959 34,253 Foreign 1,21*8,-1 pi 47,896 87,695 1/482,586 110,162 106,569 38,517 Other 300r309 4,565 4 ,502 6,059 14,018 4.139 185,752 Total deposits # l6 ,6 0 2 ,4 l4 845,341 5,670,321 363,017 1237,933 709,150 661,395 Deferred a v a ila b ilit y items 1,522,886 125,155 82,616 173,696 121,898 86,048 234,236 other l i a b i l i t i e s including accrued dividends 11,661 1,018 60Ó 565 5 a 65 . 947 • 1,555 TOTaL l i a b i l i t i e s 59,506,346 2518,555 19,654 ,9 38 2554,252 3329,794 2302,046 2003,581 Capital paid in 12,132 10,.002 160,869 5,792 6,447 53,655 16,319 Surplus (S ection 7) lo , 026 15,206 70,012 5,236 133,097 5,725 17,55? Surplus (S cction 13^) 7,092 26,965 3,290 4,421 1,007 2,874 749 Other capital accounts 6,026 6,776 6,730 11,6 17 ' 102,974 5,815 25,715 TOTAL LIABILITIES ,JiD CAPITAL ACCOUNTS 59, 935,751 2550,450 1Cì856,412 2395,470 3574,765 2325,749 2021,673 Commitments to make in du strial loans 4,006 - - 2,471 50 454 - F.R. notes outstanding C olla teral fo r F.R.notes held by F.R;Agentsi Gold c e r t ific a t e s E lig ib le paper U.S.Govt, secu ritie s Discounts and advances Industrial loans U.S.Govt, secu rities (in c l* guar* s e c .) 2166,446 16/827 148,479 5,666 2357,418 601,544 572,857 250,154’ 69,055 50,005 1,296 450 669, 565' 603,745 1713,502 7,409 14,133 16«687 34,725 95*536 34,725 li, 005 li? ,347 • 5,107 716,866 89,165 661,661 1, 872,072 55.085 170,799 .507 575 417 6538/609 1599,072 885,552 1607,175 1275,119 4757,727 - - 55 ~~ 954,002 480,492 976 “ ~ 805,455 574,531 2784,574 249.000 1774,000 577,000 865,000 615,000 610,000 2520,000 425,000 210, voo 510,000 18,215 15,600 O, -00 9,470 345.000 1100,000 850,000 1050,000 900,000 700,000 1500,000 577,412 275,000 500,000 ÜATURITY DISTRIBUTION OF LOANS AND 3BCUE*ITIE0 2 to 5 Over 1 to 2 6 months 9 I days to 51 to 61 to 16 to 5 years yeurs years to 1 year 90 days 6 months' 60 days 30 days 575,000 2, 470,000 26,882 465,695 810,000 2, 500,000 Total Vilithin 15 days 593,095 6,792 552,552 5,860 1,004 6476^155 1532,346 872,789 1591,579 1259, 685’ 4721,063 5,176 5,036 5,038 5,488 13,465 19,219 5,669 6,550 26,490 4,831 4,554 14,159 2,129 1,429 1,000 550 1,307 i;i3 7 6,906 4,260 4,606 4,278 15,518 4,929 22,027,597 1376,979 4, 912,721 1434,806 1912,050 1497,434 1304,522 3992,055 11, 198,000 544,702 iq ,9C7,412 556,342 527,861 13,093 14, 09.1 37,120 26,345 14,289 4,562 Dallas San Fran. 542,524 2677,195 16,515 750 11,705 51 18 , 552 , 585 ^,.074,504 1,777,955 5,865,456 . •*!/ deducting $761,551,000 12,325 4 4, 508,531 35 23 58 31 . 1, 695, 121^ ' 1, 995,640 ' 92,200 ‘88®, 602 pa rticip a tion s o f other-"Foderal Reserve Bonks«, 856,794 Form F. R* 283& Released for publication Friday morning, Peaember 1,1944, not e a r lie r. STATEMENT OF CONDITION OF THE TWELVE ' FEDERAL RESERVE BANKS COMBINED (In thousands o f d o lla rs) Increase or decrease since Nov# 29# 1944 Nov. 22, 1944 Dec. 1, . 1943 17,957,360 569,207 2 4 i ,571 1.8,769,138 593,095 6,792 - 5,505 + 3,897 + 1,836 -1,781,155 + 4 l l ',4 l l 65,417 + 228 +119,432 + 50 - I s 435»161 + 540,400 4,714 12,102,796 4,092,990 1,113,371 1,243,426 +. 17,059 +125,000 - _ _ . +5»843,553 +2,183,340 + 407,471 - 328,861 18,552,563 +142,05} +8. 105,503 Total.loans and secu rities 19. 152,470 Due from foreign banks F. R. notes o f other banks Uncollected items Bank premises Other assots 136 79,636 1, 890", 092 34,327 60,952 +261,541 - + 1,852.. - 43", 174 43 + 1,320 +8,641^189 - • + 13*646 + >53,784 3,960 2,442 39,985,751 +22L, 724. ’ +7,-367,056 21, 369,885 +114,738 +5,026,991 ASSETS 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 Discounts and advances Industrial loans U. S. Govt, secu rities» B ills Certi fica tes Notes Bonds Total Ut S. Govt, secu rities ( in cl. guar.' s e c .) TOTAL ASSETS Federal Reserve notes Deposits * Member bank-res,erve account U,S,Treasurer-general account Foreign Other Total deposits Deferred a v a ila b ility items Other l i a b i l i t i e s including accrued dividends TOTAL LIABILITIES AC C OUNT S 4 r ,8 i r 41,652 16,175 2,027 65;26l • 39*930 11,661 39,500,646 + 3,271 + 254 •+220.,-233 • * +7,315,014 160,869 183,097. 26,965 •102,974 39 >985,751: +2, 199,171 '+ 17,271 - 173,683 ;+ 93,118 '+2,135,-877 '+ 148;B75 • Capital paid in Surplus (ocsction 7) Surplus (S ection 13b) Other cap ita l accounts TOTAL LIABILITIES , jjd CAPITa L ACCOUNTS Ratio o f tota l reserves to deposit and F.R.note l i a b i l i t i e s combined Commitments to make industrial loans + + •+ + b9.b% . 4,006 f= ~ CD C a P I T a L 14,760 ,'967 292,487 1,243,151 300,309 16, óo2,-4i4 1, 522,886 4* L I A B I L I T I E S "* r - + 1,443 +221,72I* + 10,096 >+ -27,686 t 136 + 14,124 +7,367,056 - '- 460 16.2$ 5,881 Form F. R. 283b STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON NOVEMBER 29, l$bb ( In thousands o f d ollars) ASSETS T otal Boston Gold c e r t i f i c a t e s on handI and due from U .S .T r e a s u r y 17,957,360 Redemption fund-F^R*notes > 569,207 Other cash 241,571 94-0,111 40,324 19,430 4,547,486 125,762 61,967 18,768,158 999,865 593,095 6,792 26,882 204 463,695 86 12,102,796 4,092,990 1,113,371 1,243 ¿ 2 6 869,950 185,806 50,542 56,44-7 3,032,727 1,397,132 380,01*7 T otal reserves D is c o u n ts and advances I n d u s t r i a l lo a n s U. S . G o v t . ' s e c u r i t i e s : B ills C e rtific a te s Notes Bonds New York . . C leve. Rich^ 964,912 1349,106 52,485 43,415 18,872 20,504 927,583 1+6,208 13.426 887,160 3573,368 35,201+ 76,lt44 18,052 27,627 714,460 357,785 32,950 14,070 12,962 4,738 633,265 2^,919 13,053 508,840 2552,934 61,030 17,396 7,970 22,965 4 ; 733,215 1027,199 1422,095 987,017 940,1+16 3677,939 760,372 376,593 672,242 534,206 2636,979 6,640 25 1+22; ,lji|.l P h ila . 9,1+70 3,179 8,960 315 4,200 132 895,154 1332,128 221,160 242,304 60,160 65,910 73,610 67,187 873,270 191,893 52,198 58,295 Minn. K an s.C y. 34,400 18,215 15,600 ---------- ---------- ----------- 725 ¿ 9 4 1197,617 143,732 830,812 4o,459 225,998 45,185 252,397 441,393 340,077 181 ¿5 3 67,557 49,358 18,376 55,123 20,523 624,648 125,700 34,193 38,187 D a l l a s San Fran. 503 — ---------- 2,828 - 493,382 1271,956 106,357 394,084 28 ,931 107 ..199 32,310 119,721 665,930 1892,960 18,552,583 1162,745 . 5 , 23k,347 121*3,661‘ 1715, 952’ 1175,656 959,870 2506,624 727,327 446,533 822,728 5 , 698,128 1256,510 1723,227 1179,988 964¿ 2 3 2541,224 745,542 462,133 829,393 . 666,483 1895,788 19, 152,^70 1189,831 Due from f o r e i g n banks 136 F .R . n o te s o f o t h e r banks 79s656 U n c o ll e c t e d item s l , 890,092 Bank prem ises 34,327 Other a s s e t s 60,952 TOTAL ASSETS 4*530 23 Ch icago St*Loui® ' l o t a l u* S . Govt, s e c u r i t i e s ( i n c l . guar# s e c .) T o t a l lo an s and s e c u ritie s - A tla n ta 10 2,002 154,074. 1,615 3,033' 1/ t o 12,647385,138 . 8,934 18,301 12 2,666 102,607 3,1+68 3,208 12 4,047 216,775 4 ,ll 0 4 ¿97 6 6,718 144,256 •2*859 2,925 4 7,761 104*725 1,614 2 ,730 17 10,515 294,500 2,885 11,529 4 . 6,510 8i,459 2,052 3,133 • 3 2,203 42,011 1,254 1,355 4 5,317 95,262 2,673 2,284 4 3,901 67,749 909 1,867 . 11 15,349 201,556 1,954 6,090 39*985,751 2350^30 10, 856¿ 1 2 2395 ¿ 7 0 3374,763 2323,749 2021,673 6538,609 1599,072 835,552*1607,175 1275,119 4757,727 * * l / A fter deducting $87*000' pa rticip a tion s o f other federal- Reserve Banks.