The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
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