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Form F. R. 283
STATEMENT FOR THE PRESS

Released fo r p u b lica tio n
Saturday morning, Oct. li|j
npt e a r lie r .

Board o f Governors
o f the Federal Reserve System
October 13, l j h k

CONDITION

OF THE FEDERAL RESERVE BANKS

During the week ended O ctober.11 member bank reserve balances increased
$275, 000, 000. Additions to member bank reserves arose from an increase o f
$l|0i|,000,000 in Reserve Bank cred it and decreases o f $6,000,000 in Treasury cash,
$136,000,000 in Treasury deposits with Federal Reserve Banks and $ii5>000,000 in
nonmember deposits and other Federal Reserve accounts, o ffs e t in part by an increase
o f $218,000,000 in money in circu la tion and a decrease o f $99,000,000 in gold stock,
Excess reserves o f member banks on October 11 were estimated to be approximately
$1, 000, 000 , 000.
There was an increase o f $356,000,300 in holdings of. United States Government
se cu ritie s: b i l l s increased $3 11, 000, 000, c e r t ific a te s $39,000,000 and notes
$6, 000, 000.
Changes in member bank reserve balances and related items during the week
and the year ended October 11, l^hhr were as fellow s:

Increase or decrease
since
Oct. 11,
19Ui

Oct. k,
19UU

Oct. 13,
19^3

(In m illions o f d ollars)
U, S. Govt. sec-u rities(in cl. guar, s e c .)
Loans, discounts and advances
Other- Reserve Bank cred it

17,016
157
330

+ 356
+ 115
67

+ 7. 95k
+
127
+
60

Total Reserve Bank cred it
Gold »took
Treasury currency

17,503
20,725
14,113

+ ItOil
99
--

+ 8.1U1
- i,U 30
4lli

Member bank reserve balances
Money in circu la tion
Treasury cash
Treasury deposits with F.R. Banks
Nonmember deposits and other F. R. accounts'

13,708
2i|,099
2,366
211
1,953

+ 275
+ 218
6
- 136
u5

+ 1,687
+ 5,121
+
85
169
+
2




STATEMENT OF CONDITIO!! OF TEE FEDERAL RESERVE BANKS ON OCTOBER 11, I 9Ì4Ì4
. • .
(In thousands o f c o lla r s )
T otal
Boston New York
P h ila.
C leve.
R ich, s tia n ta Chicago St*Louis

Form i'm R. 263 o
L I A B I L I T I E S

Federal Reserve notes
D e p o s its :.
Member bank-reserve a cct.
U.S.Treasurer-general a cct.
Foreign
Other
To ta 1 deposits
Deferred a v a ila b ility , items
Other l i a b i l i t i e s including
accrued dividends
TOTa L LIABILITIES
Capital paid in
Surplus (S ection 7/
Surplus (S ection IJh)
Other capital accounts
TOTaL LIABILITIES AND
CAPITa L ACCOUNTS
Commitments to make
in dustrial loans
F.R. notes outstanding
C olla tera l for F.R.notes
held by F.R.Agents:
Gold c e r t ific a te s
E lig ib le paper
U.S^Govt. secu rities

20,1*98,87k. 1309,918 1|,556,157 1352,218 1800,680 133k, 208 1193, 327. 377k, 807
13,707,851
210,510
1,221,160
3k7,089
15,1*86,610
1,315,305

37,780,728 2223,103 10^ 02,652
k,3k8:

680,387 1075,760 532,787 570,103 2036,692 k99,56k 313,65k
7,2k3
17,253
20,200
12,059
23,369 23,516 11,591
108,596 105,055
k 7 ,2 l6
37,773 Ik6,3é9 36,592 25,969
1 , 95k
5, 9k6
7,930
k,655
2,717
k, 328. 10,708
802,172 1205,998 65k,858 622, 652- 2210,753 570,380 353,168
6k,386 30,32k
78,016 137,156
7k, 591 133,ok9 105,732

753,33k

503,972 251*2', 61*7

639,821 577,606 1535,385
20,676
9,278
20,370
92,092
3k,
231
3k, 231
1*6,693
3,5k2
3,177
697, 96k 62k, 292 17kk,8k6
51,960 lk3,565
7k, 576

■2270,617 ’ 3185,275 2166,701 1912, k55 623k, 190 1519,08k 851,066 151*1,939 1200,363 kk72,7S3
1,90k

275

50

715

*

—

—

21,01*7,005 1336,1*16 1*, 702,189 1373, 6k5 1838,058 lk n ,3 5 0 1233,028 3850,023
1 1 , 230,000
128,895
I0,083,k33

Total




867,919 k5k, 637

Dallas San Fran.

290 '
kSo
kk8
2,580
303
396
73k
933
1 ,1 5 1
596
89k
773
9,589
37,310,378 .2191,612 io/)kk,k53 2229, 75k 311*0,878 2lk 5 ,39k 189k,k81 6173,615 1502,988 838,1*19 1526,372 1185,620 kk36,792
5,016
16,297
13,950
I3,k56
6,ko6
9,996
160,276
5,78k
3,k73
53,k25
5,165
5,155
12,153
70,012
3,669
16,026
26,k90
6,330
13,206
5,236
k,55k
k,831
188,097
5,725
11*, 159
17,859
1,000
2,129
530
■7,092
1,307
k,k21
3,290
1,137
1,007
26,965
2,87k
1,1*29
7k9
6, 21*7
13,706
5,716
k, 051
____ 95,012
22,670
6,k30
k,089
k,711
k,505
11,067
6,375
5.1*15

’

Discounts and advances
Indu strial loans
U. S. Govt, secu rities
( i n c l . guar, s e c .)

682,338 k ,163,70k
8*50â
36,kk7
82,91*5 l/k 7 0 ,0 9 l
251,336
3,603
777,kkk 5,222,078
263,638
103,312

iiinn.- Kans.Cy.

11*8,195
9,012

—

50

898, 11*2 k62,759

—
773,062

—

l,35k

53k,k72 2633,861

610,000 2,J*25-,.000 636,000 739,000 600,000 615,000 2580,000 1*50,000 215,000 300,000 236,000 177k, 000
--—
150
—
—
—
10,335
7,900
750
5,505
10k , 255
900,000
315,000
500,000
250,000
1287,600
k70,833
810,000 2, 300,000 750,000 1050,000 825, 000. 625,000
fc.TURITY DISTRIBUTION OF LCtiU'IS i'4?D SECURITIES
2 to 5
Ov or
1 to 2
6 months
9 I days to
61 t o '
Within
16 to
31 to
years
years
5
years
6 months
to 1 year
90 days
15 days
.30 days
60 days
- —
- '
—
—
131,025
10,390
325
6,k55
•
—
172.
65
31
31
336
7!
7,712
59k

17, 015,779 2, 339,001

1, 733, 96k

k , 012,1*97

3,k 88,710

1,536,871

2 ,0 7 7 ,lk 0

- 8 2 ,200 833,602

l /- A f t e r deducting $750,732,000 p a r tic ip a t io n s o f other Federal Reserve Banks.

856,79k

Form F. R. 283a
Releasee for pu blication Saturday morning, October Uj,l9kk> not e a r lie r ,
STATEMENT OF CONDITION
OF THE TWELVE FEDERAL RESERVE BANKS COMBINED
(In thousands <jf dollars)
Increase or decrease
since
Oct, 11,
19kk

Oct. 1*,
19kk

Oct. 13,
I9k3

18,038,565
521,815
21*1,776

- 103,000
♦ 15,956
- 18,535

- l , 83&kOO
+ k07,756
76,972

18, 802,156 1
118,195
9,012

-105,579
+115,335
+
21

- 1, 505,616
+ 129,886
2,9k2

11,095,992
3, 602,990 •
1,073,371
1,21*3,1*26

+310,97k
+ 38,500
+ 6,000
—

+5,63k,531
+2,223,9k0
+ 383,k7l
- 287,622

17,015,779-

+355, hlk

+7,95k,220

17, 172,986

+8,081,X6k

136
é9,90l*
1, 61*1*,926
3k,k67
56,153

+1*70,830
«99m
3,317
- 68,169
—
+ 2,988

37,780,728-

+296,753

•+6,527,382

20,1*98,871;

+201,781*

+5. 112,299

13.707Î851
210, 510
1, 221, i 6o31*7,089
15, 1486,610
1,315,305

+275,128
-136,135
- 21*, 076
- 19,923
+ 9k,99k
- 1,195.

+1, 686,728
- 169,222
33.126
19,712
+I,k6k»668
90,851

. 9,589.
37,310,378

10

A S S E T.S
Gold c e rtifica te s ' on hand* and
due from U.S, TreasuryRedemption fund - F,R.notes
Other cash
Total reserves *
Discounts and advances
Industrial loa n s■
U» S, Govt, s e cu r itie s :
B ills
C ertifica tes
Notes
Bonds
Total U.S. Govt, secu rities
( in c l. guar, s e c ,)
Total loans and secu rities
Due from foreign banks
F.R. notes o f other banks
Uncollected items
Bank premises
Other assets
TOTAL ASSETS

+
-

9
k,571
30,918
3,996
8,690

L I A B I L I T I E S
Federal Reserve notes
Deposits s
Member bank-reserve 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
C A P I T A L ACCOUNTS
Capital paid in
Surplus (S ection 7)
Surplus (S ection ljb )
Other capital accounts
TOTa L LIABILITIES aND CAPITAL ACCOUNTS
Ratio o f to ta l reserves to deposit * '
and F.R.note l i a b i l i t i e s combined
Commitments to make in du strial loans




160,276
‘ 188,097
26,965
95,012
37,780,728
53.2*
k»3k8

♦

1,862

+295,573

+6,k87,978

52

+
10,081
+ 27,686
+
136
+
1,501
+6,527.382

—
—

+

1,128

+296,753

1 6 ,$
6,118

Form F. R. 283b

STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON OCTOBER 11, 1944
(In thousands, of d o lla rs)

ASSETS
Total

Boston

New York

Gold c e r t ific a t e s on hand and
due from U* S. Treasury 18 ,038,565
^ademption fund-F. R. notes 521,815
Other cash
21+1,776

887,990
36,81+9
21:318

4 , 371,305
115,957
59,133

946,157

Discounts and advances
Industrial loans
U. b. Govt, s e c u r itie s :
Bills*
C e rtifica tes
Notes;
Bonds

18,802,156
11+8,195'
9,012
11,095,992
3 , 602,990
1,073,371
1 , 21+3 ,1+26

7,900
1,1+67

Cleve.

Rich.

997,389 1256,090
37,773
52,945
19,920
20,593

915,856
42,422
11,859

906,232 3665,540
32,112
67,377
18,708
31,31+3

4 , 546,400 1055,082 1329,628

970,137

957,052 3764,260

8,820
330

750
155

2,130
25

7,150
----

798,787 1336,675
185,196 205,355
61,178
55,171
70,870
63,912

8OO,700
155,825
46,421
53,776

633,404
129,737
38,650
44,773

958,346
746,248
222,317
257,539

Atlanta

Chicago St.Louis

Minn. Kans.Cy.

Dallas San Fran,

814,065 398,320
28,180 12,652
12,112
4,387

617,616
24,112
12,486

1+84,697 2723,465
15,632
55,804
21,628
7,784

854,357 415,859

654,214

508,113

ro
CO
O
O
*
CO
\o
-0

Total reserves

Phi la .

150
25

150

1,050
2,828

307,179 307,41+3
160,711 51,510
4 7 ,878 15,346
55,463 17,777

607,743
107,247
31,950
37,012

48 2,859
85,537
254+33
29,520

883,236
359,875
107,210
124,196

5 ,162,373 1105,066' l 67h ,078 1056, 7 2 2 - 846,564 2184,4 ro' 571-,231 392,076

783,952

623,399 1474,517

104,255
89

5,505
4,074

895,61+5 3 ,083,975
150,762 1 , 261+,987
14+,91!+
376,853
52,030
1+36,558

10,335
----

—_ —.
19

Total U*S.Govt. se cu ritie s
( i n c l . guar, s e c .)

17,015,779 1ll+3,35l

-• Total loans and
se cu ritie s

'
17, 172,986 1152,718

Due from fo re ig n banks
136
F. R. notes o f other banks
69 , 90h
1,644,926
Uncollected items
Bank premises
3i+-,i+67
Other assets
•56,153
TOTAL ASSETS




*

10
i,6i+o
117,908
' 1,621+
3.01+6

5 , 266, i n
1/

49
13 »7^4
350,564
8,943'
16,255

1112,61+5 1683,228 1057,627
12
12
2,119
2,953
94,511 161,315
3 ¿92'
4,129
4,010
2,756

6
5,820
127,089
2,873
3.149

848,719 2191,600
4
6,809
95,875
1,622
2,374

17
8,673
256,309
* 2,396
io,435

581,566 392,095
4
4,239
74,197
2,059
2,662

3
2,011
38,622
1,259
1,217

784,127
4
6,101
92,745
2,680
2,068

*
623,549 1478,395
4
3,126
63,037
924
1,510

11
12 ,689
172,154
1,966
6 ,67]

3 7 ,780,728 2223,103 10 , 202,652 2270,617 3185,275 2166,701-1912,1+55 6234,190 1519,081+ 851,066 151+1,939 1200,863 14+72,783
l / A fter deducting S87,000 p a rticip a tion s o f other Federal -Reserve Banks .