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Fona F. R. 283
S T A T E M E N T

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5

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+110
-

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d e c r e a s e

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I n d u s t r i a l

,

i n

62 000,000

o f

a

0

o f

v w e k .

m e m b e r

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m e m b e r

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f o r

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were

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Form F. K. 283-a

Released for publication Friday morning, October 31* 19^1; no^ earlier,
STAT3*EliT OF CONDITION
OF THE
F3D33RAL RESERVE BANKS 0013 IN ED
(In thousands of dollars)
T T E L V S

Increase or decrease
since

i. S S 3 T S
Gold certificates on hand and
due from U. S. Treasury
Redemption fund - F. R.notes
Other cash
Total reserves
Bills discounted:
Secured by U. S. Gov't obligations,
direct and- guaranteed
Other bills discounted
Total bills discounted

Oct* 29,
19U1

Oct. 22,
19U1

Oct. 30,
19^0

+1 ,278,728
+
3,351
66,102
-

20,559,027
13,424
275,188

4-

20,81+7,639

4*

1,002
135
7,655
6,738

1,741+
3,410

+
+

393
1,216

5,154
9,772

+

1,609
202

4*

700
455
1,155
1,579

+

+1 ,215,977

4*
4*
4*

Industrial advances
U. S. Government securities,
direct and guaranteed:
Bonds
Notes
Total U. S. Government securities,
direct and guaranteed

1 ,406,800
777,300

—

+
-

27,600
176,300

2,184,100

—

-

148,700

Total bills and securities

2 ,199,026

1,811

-

145,966

Due from foreign banks ■
F. R. notes of other banks
Uncollected items
Bank premises
Other assets

47
35,734
993,098
40,945
45,605

2,537
- 76,963
38
41,188

+
-

24 ,162,094

- 71,751

*f1 ,3 0 9 ,^ 6

33,H9

+1,836,292

116,996
- 62,351
+ 48,904
+ 61,129

-1 ,544,9144
+ 539,120
4*
97,578
4152,937

T 0 T

a

L

a

S S CT S

+

+

4-

15,980
233,745
361
9,929

L I A B I L I T I E S
F. R. notes in actual circulation
Deposits:
Uember bank - reserve account
U. S. Treasurer - General account
Foreign
Other deposits
Total deposits
Deferred availability items
Other liabilities including
accrued dividends
TOTAL LIABILITIES
C A P I T A L A C C 0 U N T S
Capital paid in
Surplus (Section 7)
Surplus (Section IJb)
Other capital accounts
TOTaL LIABILITIES L V D CA^TLJL ACCOUNTS
Ratio of total reserves to deposit and
F. R. note liabilities combined
Commitments to make industrial advances




7,335,166

12 ,631,591
914,827
1,189,409
720,534
15,456,361
942,331

4-

-

69,314
36,410

4-

755,309
218,686

5,192
23,789,050

+

804
- 71,301

4*

141,259
157,065
26,785
47,935
24,162,094

+

39
- 71,751

3,581
5,345
54
4770
+ 1 ,509,446

+

4-

91.3#
13,238

11

155
+ 1 ,299,804
+

4*

+

-

.25S
336

4-

1.1#
5,887

Form F. R. 283-b
STATEMENT OF CONDITION OF THE FEDER a L RESERVE BkNKS ON OCTOBER 29, 1941
(In thousa.nds of dollars)

ASSETS
Total

Boston

New York

Phila.

Cleve.

Gold certificates on hand and
due from U. S. Treasury 20,559,027 1 ,212,500 8 ,330,759 1,321,542 1,659,253
Redemption fund - F.R.notes 13,421+
4,593
1,696
566
506
Other cash
275,188
28,981
56,417
16,653
18,559
Total reserves
20,847,639 1,246,074 8 ,388,872 1,338,761 1,678,310
Bills discounted:
Secured by U. S. Gov't obligations,
direct and guaranteed
1,744
300
595
193
Other bills discounted
3^410
—
470
—
70
Total bills discounted

5,154

3°0

1,065

Industrial advances .
9,772
U.S. Government securities,
direct and guaranteed:
Bonds
1,406,800
Notes
777,300

1,845

202




157
HO
45
2,264

155
478

43
71

479

96

283

137

139,060
76,833

86,951
4M45

60,063
33,186

192,099
106,141

71,570
39,5^

41,870
23,134

60,502
33,430

49,307
27 ,24 +

120,729
66,706

172,017

215,893

134,996

93,249

298,240 111,114

65,004

93,932

76,551

187,435

175,934
5
1,329
65,229
4,857
3,ß30

216,303
1
1,848
127,287
4,464
4,835

135,778
2
13,407
75,407
2,883
3,032

93,570
2
3,267
44,595
1,956
1,896

298,612 111,771 65,638
*
6
1
1,671
1,067
2,559
145,180 44,750 27,115
2,986
2,282
1,345
1,371
5,759
2,131

96,447
1
3,314
4l,664
2,900
1,902

77,355
l
680
32,470
1,158
1,598

187,643
4
3,513
58,328
2,779
4,209

568,482
18
2,137
234,492
10,548
11,737

S

25

—

500

171,493
3
942
96,581
2,787
3,255

T

34

347

Total bills and securities 2 .199,026
Due from foreign banks
47
F. R. notes of other banks
35,734
Uncollected items
993,098
Bank premises
40,945
Other assets
45,605
E

—

275

566,321

a

—

—
12

782

169,348

S

132

71

Total U. S. Gov't securities,
direct and guaranteed
2 , 184,100

S

—

521

110,798
61,219

A

794,175 536,271 3,452,885 631,333 359,'480 524,030 388,837 1 ,507,803

2,4l9

364,773
201,548

L

776,230 515,740 3,411,372 612,746 353,268 511,282 376,473 1,477,862
1,088
266
771
810
508
399
662
1,559
16,857 20,265
40,742 17,777
5,704 13,149 11,702
28,382

155

109,078
60,270

A

San Fran.

157

208

T

Linn. Kuns.Cy. Dallas

25

1,096

0

Chicago St.Louis

46

193
3,724

T

Rich. Atlanta

,162,094 1,521,135 9,216,206 1,589,945 :2,033,109 1,024,684 681,557 3,907,987 793,939 456,016 671,058 502,099 1,764,279
♦Less than ¿500.

Form F. R. 283-c

STATELIEST OF CONDITION OF THE FHD3&X RE3ELVE BANKS ON OCTOBER 29, 1 94I
(In thousands of dollars)

L I A B I L I T I E S
Total
F.R. notes in actual cir­
culation
7,335»l66
Deposits :
Member bank-rosorve acct.12,631,591
U.S.Treasurer-General acct. 914,827
Foreign
1,189,1+09
Other deposits
720,534Total deposits

Phila.

Cleve.

Rich. Atlanta

1 896,3114

511,545

701,224

390,719 249,791 1,554,985 291,166 188, 324 21+2,174 123,498

9,969

5,527,163
393,063
467,728
596,105

786,44-6
64,116
113,662
13,050

970,646
65,100
107,803
30,977

450,790 287,522 1,931,260 353,130 168,340 306,1+75 266,077 909, 792
31,740 38,714
37, 331
81,743 45,391 35, 363 30,071 33,475
11+0,613 35,153 25, 779 33,981 33,981 wr-f,~\ 093
50,386 41,012
6, 552 2,597
7,874 8,654
1,407 25, 757
5,471 12,121

792,301
89,363

6,984,059
205,802

977,274 l,i7l+,532
66,058
122,302

540,790 375,902 2 ,159,087 4146,295 236,034 373,124 334,940 1,062,023
76,601 4.1,831
14.5,624 44,436 21,838 44-, 256 31,953
52,267

476

1,320

Boston

New York

6 1 3 ,3 8 1

673,950
58,1614
50,218

15,1+56,361
Deferred availability items 942,331
Other liabilities including
accrued dividends
5,192

,

563

TOT^L LIABILITIES
23 ,789,050 1,495,521 9,087,495 1 ,555,1440
C A P I T A L
A C C O U N T S
Capital paid in
Surplus (Section "])
Surplus (Section 13b)
Othe-r capital accounts

141,259
157,065
26,785
47,935

9,362
10,906
2,874
2,472

51,779
56,447
7,070
13,495

11,875
15,144
4,393
3,093

TOTAL LIABILITIES AND
24,162,094 1,521,135 9,216,286 1,539,945
CAPITAL ACCC'JIJTS
Commitments to make industrial
advances
13,238
551
4.63
2,174

Total
Bills discounted
Industrial advances
U. S. Government securities,
direct and guaranteed



5,1514

9,772

2,184-, 100

’
Tithin
15 days
2,4-21+
2,788

lo to
30 days
137
392

507

459

Chicago St. Louis

370

5ï>3

L¿inn. Kans.Gy. DaLilas

161

123

193

Sarl Fran.

622,045

186

281

1,993,565 1 ,008,569 667,394 3 ,860,249 782,058 44.6 ,319 659,747 '490,577 1,736,616

14,603
14,323
1,007
4,611

5,639
5,247
3,244
1,985

4,855
5,725
713
2,370

15,075
22,824
1,429
8,410

4,376
4,925
533
2,047

3,012
3,152
1,000
2,533

4, ^56
3,613
1,138
2,004

4,356
3,974
1,263
1,929

11,771
2,121

2,936

2 ,035,109 1 ,024,684 681,557 3,907,987 793,939 456,016 671,058 502,099

28
1,501
1,227
1,196
1,028
1,600
395
MATURITY DISTRIBUTION OF BILLS AND SECURITIES
2 Years to
31 to
6l to
91 days to
6 months
1 Year
60 days
9P days
6 months
to 1 Year
to 2 Years
5 Y^ars
572
378
1,525
118
1 ,1+26
415
54-0
866
1,641+
1,701
84,800

66,200

208,200

54-8,300

23

3,052

0~er

5 Y jiuTZ

1 ,276,600

Form F. R. 283-d

FEDERAL RESERVE NOTE STATEMENT OiJ OCTOBER 29, I9I4I
(In thousands of dollars)

T o t a l

Federal Reserve notes:
Issued to F.R.Bank by F.R.Agent
Held by Federal Reserve Bank
In actual circulation

C

o l l a t

e

c

u

r

a

l

h e l d

b

n o t e s

y

a g e n t

a s

s e ­

t o

b a n k :

i

t

y

f o r

G

o

l

d

c e r t i f i c a t e s

o n

h

a n d

due from
Treasury
¿ligibie paper
U . S .

Total collateral




o

s

t

o

n

H

e

w

Y

o

r

k

P h i l a .

C l e v e .

R i c h .

A

t

l

a

n

t

a

C

h

i

c

a

g

o

S t . L o u i s

L ' a r t n .

K a n s . C y .

D a l l a s

S

a

n

F r a n .

7 ,761,865 6)45,130 1,988,934 531 ,24l 730,561 4l4,378 271,412 1,589,203 312,391 194,322 25i+,460 136,916 692,917
376,699 31,7^9
92,620 19,696 29,337 23,659 21,621
3i+,2l8 21,225
5,998 12,286 13,2+18 70,872
7,385,166 613,381 1 ,896,51!+ 511,5^5 701,221+ 390,719 2i+9,791 l,55^,985 291,166 108 ,324. 242,174 123,4.93 622,045

i s s u e d

r

B

a n d
7

, 9 0

1

,

0

0

0

¿4 ,175

6

5

5

,

0

0

0

50o

2

,

0

0

0

,

0

0

0

1,065

5

^

0

,

0

0

0

193

7 3 5 , 0 0 0

—

4

5

0

—

, 0

0 0

2

7

5

,

--

0

0

0

1 , 6 2 0 , 0 0 0

—

3 2 9 , 0 0 0

157

1 9 7 , 0 0 0

151

2 5 5

,

0

0

0

r + 1 , 0 0 0

7 0 4 , 0 0 0

2,309

7 , 905,175 655,300 2,001,065 540,193 735,ooo 450,000 275,000 1,620,000 329,157 197,151 257,309 141,000 704,000