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Form F, R, 283 STATEMENT FOR TiiE PRESS. Released for publication Board of Governors the Federal Reserve System Rriday morning, Oct. 5> not earlier, October 4, 1945 CONDITION OF THE FEDERAL RESERVE BANKS During the week ended October 3, member bank reserve balances increased $146,00(5,006, * Additions to member bank reserves arose from decreases of ¿313,000,000 in Treasury deposits with Federal Reserve Banks and $28,000,000 in nonmember deposits and other Federal Rosarve accounts, and an increase of $26,000,000 in Treasury currency, offset in part by decrease^ of $71,000,000 in Reserve Bank credit and $21,000,000'in gold stock and increases of $124,000,000 in money in circulation and $5,000,000 in Treasury cash. Excess reserves of member banks on October 3 wore estimated to be approximately $950,000,000,Holdings of loans, discounts and advances decreased '$108,000,000 while holdings of United States Govepnment securities increased $26,000,000, The in crease in holdings of United States Government securities reflects increases of $161,000,000 in certificates and $36,000,000 in notes and a decrease of $171,000,000 in b ills . * Changes in member bank reserve balances and related items during the week and tho year ended October 3» 1945, were as follows: Increase or decrease since Oct. 3, ' 1945 Sept, 26, 1945 Oct, 4 ,' 1944 ( In mi llio n s o f d o lla r s ) U, S, Government s e c u r itie s Loans, discounts and advances 0tn3r Reserve Bank c r e d it 23,212 317 291 + 26 - 108 + 9 +6,552 + 275 - 106’ T o ta l Reserve Bank c r e d it Gold stock Treasury currency 23,321 20,072 4,248 + 71 21 26 +6,722 - 752 + .1 3 5 ' Member bank re s erve balances Money in c ir c u la tio n Treasury cash Treasury deposits with F, R. Hcraiiember d ep osits and other 15,420 27,853 2,268 648 1,953 + + + -* 146 124 5 313 28 +1,987 +3,972 - 104 + 301 50 Banks R. accounts Form F. R. 283c Federal Asserve notes Deposits: Total 24,040,640 1460,268 5 ,240,480 712,102 35,621 67,301 4,139 4,884,861 248,183 1/409,210 15,420,431 ;. 647,692 roreign Other 1 ,039.383 429,885 Total deposits 17, 537,391 Defsrreu a v a ila b ilit y item 1 1 ,497,506 Other l i a b i l i t i e s includin] 10,216 accrued dividends I'OT^L LIABILITIES Capital paid in Surplus (Section 7) Surplus (Secticm.IJb.) Other cap ital accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS Commitments to make in d u strial loans Boston 329,773 819,163 . 5**872,927 117,091 309,945 902,606 616,579 3^74,512 678,805 11,658 41,402 9,258 672,404 2220,918 72,860 9, :55 34,501 128,148 3,861 2,501 580,116 359,099 3J»>99 35,773 29,573 22 ,.672 9,636 1,835 705,141 31,765 29,573 3,100 707,077 1876,059 63,1(40 17,717 29,573 74,923 49,207 1,141 910,707 1311,704 ,741,123 93,207 131,745 117,081 713,461 2425,737 93,358 203,613 650,324 419,379 ^ ,0 9 4 39,168 849,579 88,871 755,508 2063,629 54,556 179,777 786,934 1156,915 58,276 32,345 86,746 85,761 4,632 10,752 2,501 913 D a lla s SunFran. 1583,820 2081,459 1684,394 1451,946 43^9,590 1016,52j 533 ¿ 5 3 771 1,036 528 451 421 1,463 2>9 417 333 172,266 228,153 .27^.165 129,681 10,436 15,239 2,880 7,975 60*944 84,903 7,143 28,346 12,967 19,872 4,468 9,?54 17,426 19,071 1,007 14,309 6,911 7,813 3,290 8,365 6,203 7,936 762 7,105 20,542 33,201 1,429 18,758 5,523 7,o48 527 6,433 5,652 6,196 1,137 6 >227 3,73^ 4,950 1,073 4,941 5,947 6,025 1,307 5*393 4,183 100 2,916 20 3OO 376 ---- 193 540,339 »'930,967 5 , 368,876 1632,735 2137,209 1725,870 1503,819 4463,747 1060,94l 543,339 * 930,967 106,550 2,050 160,000 11,000 19,225 280,000 30,125 650,000 Total 314,131 3,059 23,212,219 Within 15 days l 6 to 30 days 31 to 60 days 6l to 90 days 91 days to o months 6 months to 1 yaar 1 to 2 years 278 643,037 648,037 3208,264 164,000 1^ 9,000 — 4,902 500,000 1600,000 MATURITY DISTRIBUTION. OF LOANS AND SECURITIES 15*981 15,899 2*142 12,575 43 , 643.018 2433*965 11, 606,289 2635,066 3577,757 2569,505 2286,222 7099,391 1750,890 1012,002 1012, 0021860,685 1860,685 1445,648 5365,598 F. ft» notes outstanding 24¿725^379 1497,075 C ollateral fo r F. R. notes held by F. R. «.gents: Gold c e rtific a te s E lig ib le paper 206,602 21*100 U. S. Govt, secu rities Discounts and advances In d u s tria l loans Ui S. Govt, s e c u r itie s 1,083 4 3 , 085,753 2397,435 11,424,953 2588,505 3525*944 2543,126 2264,216 7025,461 1731,359 997,304 1841,473 1426,976 5319,001 £ O O 8 L I A B I L I T I E S STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS ON OCTOBER 3» 1945 (In thousands o f d o lla r s ) Nev; York P h ila . Cleve. Ricn. j.tlantc Chicego St.Louis iviinn. Kanfi*Cy> 2 to 5 Over years 5 years 17,300 33,029 100 16,025 247,177 370 8 31 92 98 2,380 ?6 4 2,900,013 2,134,520 4,527,601 4,337,132 3,538,671.4,245,490 273,800 507,652 747,3^0 1_/ A ft e r deducting $628,912,000 p a r tic ip a tio n s o f othor Federal Reserve B^nks# Form P. R. 233a Released fo r p u b lic a tio n F riday morning, October 5,1945» n0^ e a r lie r . STATEMENT OF CONDITION OF THE TWELVE FEDERAL RESERVE BANKS COMBINED ( I n thousands of d o lla rs ) Increase or decrease since Oct. 3* 1945 Sept. 26, 1945 Oct. 4, 1944 A S S E T S Gold c e rtific a te s Redemption fund for F. R. notes 17,103,565 734,290 - 31.500 + 10,257 + 978,000 228,431 Total gold c e rtific a te reserves • 17,897,855 - 21,243 - 749.569 Other cash 241,483 + Discounts and advances Industrial loans U. S. Govt, securities* B ills C ertificates Notes Bonds 314,131 3,059 -107,515 + 78 + 13,042,516 7,254,161 1,938,150 977,392 - 170,640 +161,200 + 36,000 — +2,257,498 +3,609,671 + 870,779 - 266,034 Total U. S., Government securities 23, 212,219 + 26,560 +6,551,914 Total loans and securities 23,529,409 - 80,877 +6, 827,253 Cue from foreign banks F. R. notes o f other banks Uncollected items Bank premises Other assets 110 101,329 1,783,682: 33,806 50,344 + 2,020 - 10,843 31 - 6,819 + + - 43,643,018 -111,918 +6,159,043 Federal Reserve notes Deposits: member bank-raserve account U.S.Treasurer Foreign Other 24,040,640 +110,564 +3,743,550 15,420,431 647,692. 1,039,383 429,805 +146,857 -313,523 - 11,327 - 25,796 +1,987,708 + 301,047 - 205,853 + 62,873 Total deposits 17,537,391 -203,739 +2,145,775 + 181,006 TOTAL ASSETS 18,828 5.875 281,271 5,932 26 28,108 75,537 661 . 2,821 L I A B I L I T I E S Deferred a v a ila b ilit y 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 -20,175 10,216 600 45,085,753 -114,000 +6, 070,948 + + + +. + + 617 ACCOUNTS Capitf.l paid in Surpius (Section J) Surp 1uf? 1’ Section' l j b ) Other oapibal accounts TOTAL LIABILITIES AND CAPITAL ACCOUNTS Ratio of gold c e rtific a te reserves to deposit and P. K. note l i a b i l i t i e s combined Commitments to make in d u strial loans 1,497,506 172,266 22s , 153 27,165 129,601 172 » . -+ 1,910 12,042 4o, 056 200 35,797 43,643,013 ' - 111,918 +6,159,043 43. 4,183 191 9» 35® 159 Form F. R« 283b STATEMENT OF CONDITION OF THE FEDERAL RESERVE BARKS ON OCTOBER 3, 1945 ( I n thousands o f d o lla r s ) A S S E T S Gold c e r t if ic a t e s Redemption fund fo r F„ R. notes T o ta l gòj-d c e r t i fic & te reserves T o ta l Boston 17,163,565 747,938 734,290 60,143 17,697,855 8 0 8 , 0 8 1 New York P h ila . C leve. 5,207,077 ; 806,651 1120,196 97,009 . 55,260 5,304,886 Rich. 862,117 72,331 62,695 861,911 1193,027 924,312 A tla n ta Chicago S t.Lou is 860,636 3302,546 46,234 1 2 0 , 4 0 3 906,920 3422,954 Kinn. Kans.Cy. D allas San Fran. 575,486 449,162 2376,930 541,335 313,491 43,314 19,753 33,547 584,649 333,244 609,033 Other cash 241,483 20,765 59,143 17,289 19,772 12,956 15,927 26,851 10,970 6,125 12,371 Discounts and advances In d u s tria l loans UV S» 'G ovt, s e c u ritie s .: B ills C e r t if ic a t - s Notes ~ Bonds 314,131 3,059 21,770 121 110,170 2,930 2,46o 27,720 19,645 72 2,550 69,579 141 11,950 11,230 30,425 15 13,042,516 7, 254,161 1.938,150 977,392 751,951 495,114 132,205 66,710 T o ta l U. S, Government s e c u r itie s T o ta l loans and s e c u r itie s Due from fo r e ig n banks F.R. notes o f oth er banks U n collected items Bank premises Other assets TOTAL ASSETS 674,179 1195,567 536,465 687,590 143,332 183,700 72,281 92,642 313,354 459,690 677,296 1982,193 400,362 971,094 106,966 259,454 53,942 130,341 551,134 342,^03 357,904 137,176 95,624 50,008 43,223 25,219 26,480 95*766 475,642 2472,696 3,010 500 mm mi 30,799 5,662 250 533,605 359.033 95.-933 45,331 421,351 1625.635 331,090 70 V, 949 38, ''61. l-J? 44,610 [fir. 655 23, 212',219 '110*6,000 5, 683,706 1620,257 2159,507 1462,029 1236,566 3343,502 1052,885 605,306 1087,087 085.-512 2620,922 3,529,409 1467,951 5,793,876 1631,647 2187,227 1482,546 12 4 1,116 3413,302 1064,335 616,536 1117,527 336,012 110 101,329 1,736,682 33,806 50,344 7 3,344 126,1-39 1,568 3,610 3 , 2 1 8 , 2 3 3 1,750,644 469,872 236,952 10 10 •1/ 40 4,716 5,576 IT, 031 414,631 *’ 112,918 •163,260 4,017 8,729 3,349 4,563 11,148 3,226 1 2 2 , 3 1 9 61,936 5 7,656 135,770 2,790 2,970 . 4 8 , 3 3 8 14 12,251 108,755 213,595 3,123 1,579 7,301 3,033 3 7,395 3 78,201 5,162 48, 26a 2.075 2,762 1,245 1,419 3 6,735 109,249 2.609 2,608 ó f - 3 3 4,4so 63,258 840 2,403 1.832 5,296 ^3,643,318-2433,965 1 1 , 606,239 2635,066 3577,75? 2569,505 2286,222 7099,391 1750,390 l 0L2 , 0j 2 1560, 6G5 1445,645 5365,595 l / A ft e r deducting $70,000 p a r tic ip a tio n s o f other Foderai Reserve Banks.