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Form F. R. 284

STATEMENT FOR THE PRESS

For immediate release

Board of Governors
of the Federal Reserve System
April 12, 1943

Condition of Weekly Reporting Member Banks in Leading C i t i e s
The condition statement of weekly reporting member banks in 101 leading c i t i e s
shows the following principal changes tor the week ended April 71 Increases of
$156,000,000 in holdings of Treasury b i l l s , $320,000,000 in reserve balances with
Federal Reserve Banks, $1,107,000,000 in demand deposits-adjusted and $300,000,000
in deposits credited t o domestic banks; and a decrease of $857>000,000 in United
States Government deposits.
, __ „ .
Commercial, i n d u s t r i a l , and agricultural loans declined $38,000,000 in New York
City, $20,000,000 in the Chicago D i s t r i c t , and $85,000,000 at a l l reporting
member banks.
.
Holdings of Treasury b i l l s increased $80,000,000 in the Chicago D i s t r i c t ,
$26,000,000 in the St. Louis D i s t r i c t , $20,000,000 in the San Francisco District.and
$156,000,000 a t a l l reporting member banks. Holdings of Treasury c e r t i f i c a t e s of
indebtedness increased $68,000,000 in the Chicago D i s t r i c t and $11;,000,000 at a l l
reporting member banks, and declined $56,000,000 in New York City. Holdings of
United States Government bonds increased $65,000,000 in New York City and
$92,000,000 a t a l l reporting member banks.
Demand deposits-adjusted increased $681,000,000 in the Chicago D i s t r i c t ,
$215,000,000 in New York City, $72,000,000 in the Philadelphia D i s t r i c t ,
$63,000,000 in the Boston D i s t r i c t , and $1,107,000,000 a t a l l reporting member
banks. United States Government deposits declined in a l l d i s t r i c t s , the principal
decreases being $1+71,000,000 in New York City and $121,000,000 in the Chicago
D i s t r i c t j the t o t a l decrease at a l l reporting member banks was $857,000,000,
Deposits credited to domestic banks increased $202,000,000 in New York City
and $300,000,000 at a l l reporting member banks, and declined $58,000,000 in the
Chicago D i s t r i c t .
. .
A summary of the principal assets and l i a b i l i t i e s of reporting member banks#
and of debits to demand deposit accounts, follows $
( I n millions of dollars) 1
increase or decrease
since
Apr. 8,
Mar. 31,
W
A S S E T S

Loans and Investments - ttotal
Loans - t o t a l
Commercial, i n d u s t r i a l , and a g r i c u l t u r a l loans
Open market paper
Loans to brokers and dealers in s e c u r i t i e s
Other loans for purchasing or carrying sees.
Real e s t a t e loans
Loans to banks
Other loans
Treasury b i l l s
Treasury c e r t i f i c a t e s of indebtedness
Treasury notes
U. S. bonds
Obligations guaranteed by U. S. Government
Other s e c u r i t i e s
Reserve with Federal Reserve Banks
Cash in vault
Balances with domestic banks
L I A B I L I T I E S
Demand deposits-adjusted
Time deposits
U. S. Government deposits
Interbank depositsi
Domestic banks
Foreign banks
Borrowings
Debits t o demand dep6sit accounts
except interbank and U, S. Gov't
accounts, during week



41,616

+255

+10,763

9,135

- 21

215
665
313

- 2
+ 48
1
- 2
+ 29

- 1,946
- 1,365
207
•
216
57
84
+
56
505
2,866
5,007
1,855
4,243
749
513
505
30

5,610

1,160

83
1,359
3,911
5,007

1,220

13,913
1,947
3,213
9,544
490

2,482
32,955
5,492

1,437

9,494
726
79
u,553

- 85

-

8

+156
+ 14*
+ 23
+ 92

+ 7*
- 16
+320
- 10
-

6

+1,107
41
857
300
25
23

+ 8,156
375
300
+
4

96
76

•Mar. 31 figures revised
(New York D i s t r i c t )

Form F. R. 28lta
STATEMENT FOR THE PRESS
Board of Governors
of t h e F e d e r a l Reserve System
A p r i l 8 , 19^3

For immediate r e l e a s e

CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES
( I n m i l l i o n s of d o l l a r s )

Few York
I n c r e a s e or
decrease since
Apr.
Mar, 3l» Apr. 8 ,
7,
1912
I9h3
19U3

Apr.
7,
19U3

+3,672

3,7^

Chicago
I n c r e a s e or
decrease since
Mar. £ l , Apr. 6 ,
19U2
W

A S S E T S
Loans and I n v e s t m e n t s - t o t a l
Loans - t o t a l
Commercial, i n d u s t r i a l , and
a g r i c u l t u r a l loans
Open market p a p e r
Loans t o b r o k e r s and d e a l e r s
Other l o a n s f o r p u r c h a s i n g
or c a r r y i n g s e c u r i t i e s
Real e s t a t e l o a n s
Loans t o banks
Other l o a n s

16,196

+

32

3,113

+

3
38

2,255

hi

+

536

39

Treasury b i l l s
T r e a s u r y c e r t , of i n d e b t .
Treasury notes
U, S. bonds
Obligations guaranteed by
U. S. Government
other securities

1,599
l,9W
1,912
5,165

Reserve w i t h F, R. Banks
Cash i n v a u l t
Balances w i t h domestic banks
Other a s s e t s - n e t

3,591
73
I40
293

1,008*
1,121

+
+
+
•

089

766

-

19

-

1U9

60U
15
30

-

13

-

-

532
33
20U

+

118
U

6
5
13
133

33
23

-

-

13

+

•

-

- -

+

175

-

2

+

112

T

+

151
93
ill
315

+

56

+ 1, 2 5 3
+1,9M*

3
10

-

hh

- 1 ,131

Uk5

+1,321

363

2
mm —

- -

2
56
99
65

+

5

:

212
617
386
1,296

4- 92
4- 60
+
1

35
332
4- 27L
6
4- 31

10

4" 215
+
6
- U7l

+2.U53
+
3
133

2,391
1+62
HI

4- 710
1
95

1,173
11

-

- -

ita
617
+ 25)
4- 3U8
+

25
lU

*

h

-

2
23

-

-

l,0l;2
29
lij.6
U3

+

22

h

-

-

+

91
1

+

2

+

772
3
150

-

L I A B I L I T I E S
Demand d e p o s i t s - a d j u s t e d
Time d e p o s i t s
U. 8 . Government d e p o s i t s
Interbank d e p o s i t s j
Domestic banks
F o r e i g n banks
Borrrowings
Other l i a b i l i t i e s
CAPITAL ACCOUNTS

13,090
706
699
3,096
616
73
310
1,5.81

D e b i t s t o demand d e p o s i t
a c c o u n t s , e x c e p t i n t e r b a n k and
U. S . G o v ' t a c c o u n t s , d u r i n g
week
5.035




+
-

-

+

202
21
28
3
2

+
+
+
+

80
78
60
39

*

72
- -

51
26
)oo

• 4-

- -

4-

2

44-

2
16

1,023

• R e v i s e d A p r i l 12, I a r c h 31 f i g u r e s r e v i s e d
by same amounts,

A S S E T S

Lows and Inrestmeats - t o t a l
Louis - t o t a l
Commercial, ind»1, and a g r ' l loans
Open market paper
T "ti»- t o brokers and dealer# In s«cs.
Other loans f o r purchasing
or carrying s e c u r i t i e s
Real e s t a t e loams
Lows t o banks
Other loans
Treasury b i l l s
Treasury c e r t , of indebtedness
Treasury notes
U. S. bonds
Obligations guaranteed, by U.S. Gov't
Other s e c u r i t i e s
he serve with F. ft. Banks
Cash in vault
Balances with domestic banks
Other assets - net
L I A B I L I T I E S
Demand deposits-ad jus ted
Time deposits
U, S. Government deposits
Interbank deposits* Domestic banks
Foreign banks
Borrowings
Other l i a b i l i t i e s
CAPIT&L ACCOUNTS
Debits t o demand deposit accounts,
except interbank a#d U.S.Gov* t
accounts, during week



17,577 1,861* 3,250
738
1*12
3,775
650
366
229
339 2,392
12
Hi
1*8
63
28
15
5Uo
16

l*l,#l*6»
9,135
5,610
215
665

2,275

3b3

12
71
30

1,160

83
1,35?
3,911
5,007
1*,220
13,913
1,9U7
3,213
9,5bU
&90
2,1*82
1,210
32,955
5,1#92
1,1*37
9,U9U
726
79
1,123

it, 066

11,553

307
191
753
69
105

182
182
1*1
390
1,727
2,083
2,0l*l*
5,677
1,01*9
1,222

1*77
59

3,803
108

119

11
1*1*
116

13
nk
9
1U9
25U
309

1,321* 1,236
25U
303
122

182

11

7
25

61

77
113
183
132
3L3
50

6
3

51

7
5

6,005 1,331
350
1,179
205
823
8
30
1*
35
1*3

9
66

112

58
132
177
115
396
1*2
119
285
17
152
2*

136

30g
33
178

296

1*8

1*23
939
573
2,079
235
577
1,579
81
393
77

2,009 iU,205 1,679 2,708
771*
166
21*2 1,093
1*7
51
71*1
67
5U9
385
371* 3,177
2
6
61*7
27
—
78
1
25
11
21
315
1*16
221
1,710
298

1,027
213
Uo

893

a, 751

m

901
198
1*6
5U9
l

7lU

200

120
68

61*9

12b

35U

5,365

199
176
120

63b
69

221*

1*1*3
26
122
61*

562

300

1,21*1*
136
269
826
63
295
87

138
131
130
551

5L

66

&.

112

23
177

210

1,035

755
188
111
1
1

1,363
3U1
222
11*
2

1,01*6
281*
205
1
1

3*620
931
1*11*
11
15

u
11*
3
51*

8
33

15
19

28
3U5

62

1*3

118

99
101
59
21*7
20
1*1

181
11*8
166
31*1*
56

109
129
106
310

170
9
96
11*

362
18
301*
20

1j9
59
297
18
261
32

336
321*
281*
1,335
118

563
111*
25
266
1

1,010
150
1*1
71*1*

9l*0
138
36
1*37
2

1,159
81
1*1*8
21*

127

292

70k
35
260

363
2,269

U3U

507

i*

221
1^621*
12

78
107

21
10L

32
1*60

6
105

6
69

1*
118

6
95

598
1*03

310

319

1,723

302

196

393

250

770