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Form F. R, 283
STATEMENT FOR THE PRESS
Released fo r p u b lica tio n
Friday morning, Sept, 15;
n ot e a r lie r ,

Board o f Governors
o f the Federal Reserve System
September lU, I 9U;

. CONDITION OF THE FEDERAL RESERVE BANKS

During th e week ended September 13 member b a n k .r e s e r v e b a la n c e s i n c r e a s e d
$305*000,000. A d d it io n s to member bank r e s e r v e s a ro se from an in c r e a s e o f
$[(.07,000,000 in Reserve Bank c r e d i t and a d e c re a se o f $3,000,000 in nonmember
d e p o s i t s and o th e r F e d e ra l R eserve a c c o u n ts , o f f s e t in p a r t b y in c r e a s e s o f
$63,000,000 j.n jnoney in c i r c u l a t i o n , $[*,000,000 i n T re a s u ry cash and $16,000,000
i n T r e a s u r y d e p o s i t s w ith F e d e ra l R eserve Banks and d e c re a s e s o f $21,000,000 in
gold s to c k and $2,000,000 in T re a s u ry c u rre n c y . E xcess re s e r v e s , o f member banks
on September 13 were e s tim a te d to- be a p p ro x im a te ly $1,000,000,000,
*

. There vras an i n c r e a s e o f $377,000,000 in h o ld in g s o f U nited S t a t e s Govern­
ment s e c u r i t i e s : : b i l l s incre-ased $31*0 , 000,-000 and c e r t i f i c a t e s $3 7 , 000, 000,
Changes in member bank r e s e r v e b a la n c e s and r e l a t e d item s d u rin g th e week
and th e yea r ended September 13 , 191*14» were as fo llo w s j

I n c re a s e or d e cre a se
s in c e
S e p t, 13 ,

6,

S ep t, 15,

I9I4I4

19143

Sept,

I9I4I4

(In m illio n s o f d o lla r s )
+ 6,7514
+
81*

U, S , Govt, s e c u r i t i e s ( i n c l , g u a r, s e c . )
Loans, d is c o u n ts and advances
Other R eserve Bank c r e d i t

16,1*07
126
•382

♦ 377
+
11
+
18

T o ta l Reserve Bank c r e d i t
Gold .stock .
T r e a s u r y c u rre n c y

16,916
20,885
U, 112

+
•

I4O7
21
2
••

+ 6,601
- 1,319
19

laember -bank Reserve b a la n c e s
Money in c i r c u l a t i o n
T re a s u ry cash
T r e a s u r y d e p o s i t s w i t h F, R. Banks
Nonmember d e p o s i t s and o th e r F ,R ,a c c o u n ts

13,526
23,1495
2,381
370
2,138

+
+

203
4- 14,722
+
118
361*
+
301




+
+
-

305
63
h
16
3

-

238

Form 'F. R.

283c

L I A B I L I T I E S

STATEMENT OF CONDITION OF THE FEDERAL RESERVE BANKS *
(In thousands o f d o lla r s )
T otal

Boston

New York

P hila*

Cleve#

Federal Reserve notes
19,9^2,678 i.283»899 4,¿*38,819 1319,662
D eposits/
Member bank-reserve a c c t *13,526,087 658, 7^
¿*,¿*35,598 672,811
U.S^Treasurer-general a cet. 369#86^4.
2¿* ,61*7
2i*,a i8
130,573
Foreign
l,Uo6*259
97,338
1/ 528,701 126,817
Other
358,940
¿*,132
261*,750
6,121
Total deposits
15 ,661, 1-50 785,032 5 , 359,622 830,396
Deferred a v a ila b ilit y itemsl , 632,376 138,360
298,270
88,602
Other l i a b i l i t i e s including
9,133
873
2 , 987656
__
accrued dividends
TOTAL LIABILITIES
37 , 21*5,337 2208, 161* 10,099,698 2239,316
Capital paid: in
159, 6k9
9 , 961*
58,221
12,131
Surplus (S ection 7)
188,097
13,206
70,012
17,859
Surplus(Section 13b)
26,965
2 ,87!*
7*092
¿*,¿*21
Other capital accounts
90,665
5,182
21, 2l*5
6 ,11*0
TOTAL LIABILITIES AND
CAPITAL ACCOUNTS
37,710,713 2239,390 10, 256*268 2279,867
Commitments to make
in d u strial loans
l+.,0i+2
275
—
1 , 961*
F . R. notes outstanding
20 , 511*, 179 1318,593 ¿*,588,961 13514,291
Collateral fo r F^ R. notes
held by F . R. Agents:
Gold c e r t ific a t e s
11 , 696,000 706,000 ■ 2 , 325,000 605,000
E l i g i b l e paper
101,983
11,970
72,380
5,658
U .S .G o v t , s e c u r i t i e s
9 ,200,221* 700,000 2 ,300,000 750,000

R ich.

SEPTEMBER 13, -19U).

A tlanta ^Chicago St.Louis

Minn*. Kans .Cy*

D a lla s SanFran.

73U,987

1*93,581* 21*86,029

1760,907 1320,805 1151,622 3676,386 . 83!*,729 ¿4¿*l..,2¿*9
10141,273
1*1+,368
122,681
8,001

558,381 562,9148 201*8,603
8,030
3 , 961* *1*0,600
55,138 ¿(14,110 170,927
¿*,1*1*2
5,1*69
5,586

1216,323
160, 61*1
865

625,991
ll*l*,535
372

I+83 Mk7 30k ,911 625,180
19,077
16,082 15,817
¿*2,732 30,326
39,975
3,630
10,378
2,191

6l6,l*9l 2265,716
87,601 232,766
3I48
l ,135

552,639 353,21*5
70,1*28 36,022
319
. 2¿*7

576,09k 1558,097
25 ^¿*0
l6,ol*8
107,539
39,975
3,183
¿*1,057
687,862 635,300 1732,533
58 ,661* 222 ^¿*5
93,9k 2
276
750
305

3138,736 2091,703 1856,062 6176,003 11*58,115 830,763 1517,096 1187,821* ¿ M l ,857
16,278
6 ,1*01
5,758 ' 18,931
¿4*897
3 ,1*62 ’ .5,160
5,013
13 ¿ 3 3
¿*,831
Ü*,159
16.,026
5,236
5,725
26,1*90
6,330
3,669
.-¿*,5514
1,307
2,129
1,007
3,290
7k9
l,k29
530
1,000
*1,137
3,962
5,791
10,675
6,176
5,508
13,107
3,918
¿*,¿*17
1*»5I4I4
3182,722 2112,806 1873,802 6235,960 11*73,790 81*3,311 1532,1*91 1202,937 1*1+77,369
50

821

—

----

¿*8

1795,919 13140,365 1199,951 37314,0514 871,337 ¿*¿49 , 331
1000,000
-----800,000

805,000
2,655
550,000

756,031

375,000 225,000 1*10,000
3,300
5,520
562,621* 225,000 350,000

705,000 2500,000
.......................
500,000 1287,600

881*
523,730 2581,616
266,000 177l*,000
275,000

MATURITY DISTRIBUTION OF LOANS AND SECURITIES
T otal
D isco u n ts and advances
I n d u s t r i a l lo a n s
U* S . Govt* s e c u r i t i e s
( i n c l . ^ u ar. s e c . )




115,895
9,920

Within
15 days
92,505
9,19lr

l 6 to
30 days

31 to
60 days

6l to
90 days

13,905
9

3,520
9

5,965
3I46

91 days to
6 months
. . . .

203

6 months
to

1

year

1 to 2

2 to 5

years

years
-----------

. . . »

61

67

Over
5 years
-----------

31

3 , 827',1*1*6
16,1*07, 1*09 ’ 2,306,1*73
3 , 382,226
506 M o
2,357,711
17,800 ' 897>102
¿,232,377
l / A fte r deducting $876,688,000 p a r tic ip a tio n s o f other Federal Reserve-Banks .

879,794

900,000

Form F. k. 283a
Released fo r p u b lica tio n Friday morning, Sept, 15,19*4*45 not e a r lie r ,
STATEMENT OF CONDITION
OF THE TWELVE FEDERAL RESERVE BANKS COMBINED
( I n thousands o f d o l l a r s )
In c re a s e or d e c re a s e
sin ce
S e p t, 6 ,
19*4*4

Sept. 13,
19*4*1

S e n t, 15»
19*43

ASSETS
Gold c e r t i f i c a t e s on hand and
due from U, S , T re a s u ry
Redemption fund - F. R, ■
n o tesOther cash
T o ta l r e s e r v e s

18,21*5,865
1*70,1*66

2.61*, 2 79
13,98 0 ,610

+
+
-

39,000
17,528
2,987
18,1*85

-1,667,850
+ 3*41,371
55,326
-1,381,805
+
85,182

D iscou n ts and advances
I n d u s t r i a l loans
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

115,895
9,920

+ 11,265
136

10,61*6,122
3,1*13,990
1,075,371
1, 266, 1*26

+3*40,157
+ 37,000

T o t a l U, S .G o v t, s e c u r i t i e s
( i n o l , guar, s e c . )

16 , 1*07 , 1*09

+377,157

+6,75*4,032

T o t a l loans and s e c u r i t i e s

16, 535, 221*

+338,286

+6,837,731

Due from f o r e i g n banks
F.R. n o te s o f o th e r banks
U n c o lle c te d items
Bank prem ises
Other a s s e t s
TOTAL ASSETS

136
80,603

1,*483

+**,9i*2,8i*3
+1,689,81*0
+ 383,971
-

262,622

1,586

*
9
+
20,106
- 356.258
' *4,017
+
6,033

37,710,713

+8i3,**6l

+5,121,799

19,9*42,678

+ 77,899

+*4,777,*4lo

13,526,037
369, 86!*
1 , **06,259

-

203,162

+

363,*478

+
+

209,7*4*4
55,022

15, 661,150
1,632,376

+30l*,9l*5
+ 15,852
+ 2 ,17 1
- 5,293
+317,670
+1*16,301

9,133
37,21*5,337

+
*459
+812,329

159,61*9
183,097
26,965
90,665
37,710,713

109

2 , 011*, 562

314,528
67,050

7,016
+*435,058
+

+

L I A B I L I T I E S
F e d e r a l Reserve n o te s
D ep o sits:
Member b a n k - r e s e r v e account
U .S .T r e a s u r e r - g e n e r a l account
Foreign
Other
T o t a l d e p o s its
D e fe rre d a v a i l a b i l i t y items
Other l i a b i l i t i e s i n c lu d in g
a ccru ed d iv id e n d s
TOTAL LIABILITIES
C a ? I I A. L

a

+ **25,082
-

118,302

1,59*4
+5,085,28*4

G C 0 UN T S

C a p i t a l paid in
Surplus ( S e c t i o n 7 )
S u rp lu s ( S e c t i o n 13b)
Other c a p i t a l accounts
TOTAL LIABILITIES AND CAPITAL ACCOUNTS
R a tio o f t o t a l r e s e r v e s t o d e p o s i t
and F. R, n o te l i a b i l i t i e s - combined
Commitments to make i n d u s t r i a l loans




358,91*0

53.3%
l*,ol*2

+

10,382

+

27,686
136
1,689
+5,121,799
+

+ 1,023
+8I 3 J 46I
+

.7%
111

>

13-796
7,572

Form “F. R. 233b
STATEMENT OF CONDITI Oil OF THE FEDERAL RESERVE BANKS ON SEPTEMBER 13, I 9UI;
(In thousands o f dollars,)

ASSETS

997.758 1*271*, 296
31,257 117,623
61*. 172
.19/157

T otal re se rv e s
D is c o u n ts and advances
I n d u s t r i a ls lo a n s
U. S .G o vt* s e c u r i t i e s :
B ills
C e rtific a te s
Notes
Bonds

C lev e,

Kans.Cyv

Dallas San Fran*

18, 980,610 101*8,172 1*1*56,091 1011*,1*20 1577,715 1137.507 1029, 21*8 361*3,182

715,025 380,569

772,666

10,61*6,122
3, 1*18,990
1,075,371
1,266,1*26

11,970
1, 1*92

72,380
89

5,658
3 ,90S

1,650
333

573,1*75 1*071;, 760
250,938 718,71*2
81,1*30 226, 170
95,911- 266.223

663,083
231,130
83,li65
101*. 133

71*3,376
332,231
120,277
11*1,530

16,533.221* 1023,266 5353.369 111+6,1+1+2 1309.952

67.050




Minn.

71+1,772 571;,991 2531, 17!*
17,251+
13,737
1*9.793
9.093
27,222
13. 61*0

Due from f o r e i g n banks
136
F. R. n o te s o f o th e r banks
.30,603
U n c o ll e c t e d item s
'2 , Oil;, 562
Bank prem ises
3I+, 523
Other a s s e t s
TOTAL ASSETS

C h icago S t .L o u i s

671;,879 363,512
28,359 11, 1*12
11,787
5,61*5

T o t a l U. S. Govt, s e c u r i t i e s
( i t t c l * g u a r, s o c . )
16,1*07.1*09 10ll*,80l* 5235,900 1136.816 1307,961*
T o t a l lo a n s and
se c u ritie s

A tla n ta

981,501; 3539.161*
25,712
67.751
22,032
36.267

115,895
9,920

955,1+31 1516,756
37,917
39,969
21,072
20,990

R ic h .

CO

Gold c e r t i f i c a t e s on hand and
due from U*S#T r e a s u r y
18,21*5,865
Redemption fu n d -F .H .n o te s
1*70, 1*66
Other c a s h
261;, 279

P h ila .

34*

Boston New York

S'

T otal

10
1/1+9
1,996. -13,922.
15I+,683 1+05,-633
1.629
3,963
13,
21+1
i+,631*

37,710,713 2239,39010256,263

12
12
2,551*
3.1+35
107,921 '199,902
3.501+
1+.139
5,011+
7.567

29,682
13,197

2,655
168

$37,000

8,600

5,520

—

3.30.0
25

.20

175

537
3,763

415,161; 369,995 1606,376
225, 1*07 209,032 330,666
65,967 119,787
70,931
33, 1*9!;
77.651 11*1. ool*

330,572 21*0,752 335,305
165,031 101,526 173, 1+29
56,11+6
51, 91+6 31,91+9
61,11*7
37,607 66,091

260,902 968,357
15U.277 362,931
1+3,51+7 111; ,207
57,11*5 13U,1*35

791+.996

723.21*5 221*7,833

653,71*6 1*11,833

635.971

523,371 1580,1*30

797,019

726,227 2256,1+33 661+,266 1+11,853

639»796

529, 01*6 1581+.755

‘6
6,181
163,70*
2,330
1+,61*9

1+
■ 17
3,025
9,1+36
ici*, 612- 315,630
2,900
1.625
l*,o6l
8.351+

U
6,769
107,-136
¿ ,6 8 o ‘
3. 43I+

11
1+
16,223
3.161+
69,01*5 258,591
* 932
1.973
2,920
7.627

2279,367 3132-,722 2112,306

- 1 / ¿i.f t e r deducting

2,950
32

1*
6,193
32,792
2,036
3,1+71+

3
2,705
1+1*, 81+5
1,261
2,075

1373,802 6235.960.H*73,790 81*3.311 1532.1*91

p a r tic ip a tio n s o f other Federal Resof've Bunks.

1202,937 1+1+77,369