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STATEMENT FOR THE PRESS
st.2747.
Federal Reserve Board,
April 27i 1S22•

Released, for publication
Friday afternoon, Apr- 28;
not earlier.

CONDITION OF MEMBER BANXB IN LEADING CITIES.
Aggregate increases of $95)000,000 in loans secured by stocks and
bonds, reflecting the increased volume of stock exchange transactions,
more than offset by decreases of $$,000,000 in loans secured by Government obligations and of $97)000,000 in other, largely ccnrr.ercial,loans,
are shown in the Federal Reserve Board's weekly consolidated statement
of condition on April 19 of £01 member banks in leading cities. Of the
increase in loans secured by stocks aid bonds $S5)0C0,0CC represents the inoi-o^se at the member banks in New York City. In the investment block an increase of $71,000,000 of United States certificates of
indebtedness, following the April 15 issue of $150,000,000 of tax certificates, and increases of $30,000,000 in other Government securities and
of $35>000,000 in corporate securities are noted.
Total loans and
investments of reporting member banks are shown $125*000,000 larger than
the week be-fore.
Government deposits show an increase of $100,000,000 for the week,
other demand deposits- an increase of $64,000,000, and time deposits an increase of $35)000,000. Total accommodation of the reporting banks
at the Federal reserve banks shows a further decrease for the week from
$2231000,000 to $210,000,000, or from 1.5 to 1.4 per cent of the banks'
total loans and investments. For member banks in New York City, a reduction from $23)000,000 to $21,000,000 in total borrowings from the local
reserve bank,and from 0.5 to 0.4 per cent in the ratio of these borrowings to total loans and investments, is noted. Reserve balances of the
member banks with the Federal reserve banks increased by $32,000,000,
while cash in vault shows a decline of $4,000,000.
Following is a statement of principal changes in the items, as
compared with a week and a year ago:
Increase or Decrease
In millions of dollars
since
April 12, 1922 April 22, 1921
Loans and discounts - total
Secured by U.S.Government obligations
Secured by stocks and bonds
All other

Dec,
Dec.
Inc.
Dec.

Investments, total
U' 5. bonds
Victory notes
U. s. Treasury notes
Treasury certificates
Other stocks and bonds

Inc. 136
Inc. 21
Inc.
9
Inc.
Inc.

Reserve balances with F< R. banks
Cash in vault

Inc.
Dec.

11
9
95
97

Dec. 1,435
Dec.
379
Inc.
243
Dec. 1,299

71
35

Inc.
inc.
Dec.
Inc.
Dec.
Inc.

510
198
108
389
60
91

32
4

Inc.
Dec.

104
33

Government deposits
Net demand deposits
Time deposits

Inc. 100
Inc. 64
Inc. 35

Dec.
Inc.
inc.

11
502
235

Total accommodation at F- R. banks

Dec.

Dec. 1,373




13

Released for publication Friday afternoon, A^ril 2C, ig22; not earlier.
— — — —

PRINCIPAL RESOURCE AND LIABILITY I T ^ S OF REPORTING MEMBER BANKS IN LEADING CITIES.
—
(Anounts in thousands of dollars)

Number of reporting banks - - - - Leans and discounts, including bills rediscounted with F. R. Bank:
Secured b) J. S. Govt. obligations - — —
Secured by stocks and bonds (otr.er than U. S. securities)
All other .loans and discounts
Total loans and discounts , .
TT 0
U. o. boncis -

A

III

U. 3* Victory notes - - - - - - U. 3, Treasury notes - - - - - Other bonds, stocks and securities
Total loans & discounts & invest. ,including bills redis'd.with F.R.Bk.Reserve balance with F. R, Bank
Cash in vault
Net demand deposits
Time deposits - - Government deposits

Bills re lis count 3d. with federal Reserve Bank;
Seemed by U. S, Govt, obligations
A H other
Ratio of bills payable and rediscounts with F, R, Bank
to total leans and investments, par cent

z




-

: : : :

Oct. 13, 1921

809

April 22,

821

367,700
3,121,39%
7,367.627
10,556,725

11,477,260

737,530
2,973,185
2.570.2:5
12,280,950

1,06S,12S

1,047,472

880,133

869,685

82,853

73,690
388,957

155,929

191,082

117,709

179,153
2jl3g)777
14 704 075

108,351
2,104,097
14,579,2Q2

571,640

3,032,079
7,873,541

-

107,493
2,092,861

2,048.099
15,628,985
1,240,344

239,169

*>343,533

1,3H,739

14,831,385
1,254,799

279,895

223,968

305,062

312,642

10,628,997

10,564,778

10,247,714

10,127,155

3,172,586

3,138,077

2,961,392

24-3,260

2,937,916

142,718

77

—

April 12, 1322
502

? p??' fZi
7 271 246
—
10,245,553

389,305

U. S. Certificates of indebtedness

Bills payable with Federal Reserve Bank:
Secured, by U. S, Govt, obligations
All other

P r i l 19, 1922
^

St.274Ja.

I'

„

48 S

js>w
r

^ ^

140,446 -

253,674

78,819
•426

215,964
1,339

516,754
1,525

3,760
140,170

46,122
565,750

190,217
874,370

1-5

5.6

10.1

Released for publication, Friday afternoon, April 28, 1922; not earlier.
St.2747b.
PRINCIPAL RESOURCE AND LIABILITY ITEMS OF ALL REPORTING MEMBER BANKS IN EACH FEDERAL RESERVE DISTRICT AT CLOSE OF BUSINESS APRIL 19, 1922(Amounts in thousands of dollars)
Cleve. Rich.
Boston New York PhilaAtlanta Chicago St.Louis Minn . Kans-Cy- Dallas San Fran
To tal
Federal Reserve District
81
42
109
85
49
107
57
801
79
52
6s
37
35
Number of reporting banks
Loans and discounts, including
bills rediscounted with
•
...
F. R. Bank:
124,679 34,124
61,234 13,192
6,413 12,440
21,342
37,059 14, 545 10,199
Secured by U-S.Govt.obiig4,951
16,747
352,925
417,723 122,305 31,171 64,266 42,773
213,564 1,487,882 200,855
327,715 109,751 ' 55,653
142,000 3,215,688
Secured by stocks and bonds
635,920 308,316 225,194 1,061,507 222,027 195,362 349,862 191,185
561,899 2,377,762 320,306
All other loans & discounts
701,320 7,271,246
Total loans aud discounts

796,805 3,990,323 555.735 1,000,754 432,612 351,076 1,540,464 417,524 234,945 426,594 238,909

860,067 10,845,859

55,102

439,687

47,030

126,452

55,522

24,606

94,236

25,582

21,364

44,197

32,164

102,126

1,068,128

3,053

41,399

2,733

6,428

1,06s

665

5,242

3,062

404

1,660

803

9,676

22,353

U- S. Treasury notes

12,907

245,65s

15,624

24,140

3,646

1*626

44,669

4,833

7,223

6,201

3,729

19.049

329,305

U. S. Certificates of
indebtedness

10,843

61,037

9,676

15,152

5,042

6,160

23,015

7,027

7,122

7,357

5,977

20,685

179,153

758,377 173,352

270,466

48,282

32,334

390,264

73,673

21,429

49,713

7,912

165,969

2,132,777

U- S. bonds
U- S. Victory notes

Other bonds, stocks & securities 146,346

Total loans and disccunts and
investments, including bills
rediscounted with F.R.Bk. 1,025,056 5,536,481 810,200 1,443,452 546,832 416,467 2,092,490 531,701 292,608 535,722 289,494 1,177,572: 14,704,075
Reserve balance with F- R- Bank

79,071

544,054

72,096

96,894

31,299

22,223

178,880

44,519

20,979

44,290

23,414

79,204

1,343,523

Cash in vault

17,742

88,906

16,095

28,131

14,623

9,051

51,542

7,046

6,189

11,572

8,982

20,010

279.S95

Net demand deposits

763,142 4,858,602 644,431

793,732 305,502 232,147 1,329,672 312,358 180,032 400,883 203,880
470,051 135,632 144,721

658,222 160,029

198,646

568,100

48,920

20,967

93,570

16,889

23,193

7,272

5,222

31,222

8,471

8,514

2,024

25,855

11,56s

10,687

2,755

907

11,709

1,513

426
l4l

Bills rediscounted with F-R-Bank:
Secured b y U-S.Govt.oblig.
77
All other
11,123

562
11,972

425
8,102

110
27,979

425
17,126

165
5,772

484
14,704

165
6,895

Time deposits
Government deposits
Bills payable with F.R-Bank:
Secured by U-S-Govt.obiig.
All other




77,412 108,291

1,855

552,570 10,628,997

63,869

538,621

3,172,526

4,918

4,620

17,202

243,260

1,308

523
100

1,699
247

77,034
488

3,642

273
10,881

3,037
129,102

291
9,045

Released for publication Friday afternoon, Apr. 2g; not earlier.
St.2747c.
PRINCIPAL RESOURCE AND LIABILITY ITEMS OF REPORTING MEMBER' BANES IN F. R. BANK ,WD BRANCH -CITIES AND IN OTHER SELECTED CITIES.
;
(Amounts in thousands of dollars)
Other
F. R.
All F. R.
Nsw York City
City of Chicago
selected cities
Bank cities
Branch cities
Apr. :19 Apr. 12
Apr. 19
Apr. 12
Apr. 19 : Apr. 12 Apr. 19 Apr. 12
Apr. 19 Ap r. 12
Number of reporting banks
66
66
211
211
'50
273 •• 274
50
317
317
Loans and discounts, including
bills redis1 d.with F. R„ Bank:
Secured by U. S. Govt, oblig.
111,703
110,937
50,147
52,086
52,803
58,844
256,053
250,317
51,729
56,879
Secured by stocks and bonds
1,311,058 1,225,694
426,664
461,422
429,441
303 ,697
303,660 2,324,651 2,233,312
461,596
All other loans and discounts
2,096,191 2,168,010
676,385
681,496 4,590,993- 4,675,313 1,402,230 1,405,052 1,278,015 1,227,262
Total loans and disccunts
3,518,982 3,504,641 1,030,229 l ,037,242 7,165,966 7,164,678 1,920,705 1,925,318 1,759,188 1,766,729
U. S. bonds
U, S. Victory notes
U. S. Treasury notes
U . S . Certificates of indebtedness
Other bonds, stocks and securities
Total loans and discounts and
;
investments, including bills
*
re discounted with F» R, Bank

393,387

384,544

36,170

30,115

602,655

588,544

231,998

227,706

233,475

231,222

36,012

30,616

3,378

3,241

56,513

49,186

14,308

11,704

12,032

12,800

234,970

234,156

24,504

23,506

303,838

300,502

54,592

54,516

30,875

33,939

54,018

34,070

13,185

3,816

111,672

64,900

46,939

24,199

20,542

19,252

568,371

547,575

177,144

173,022

1,170,351 1,140,403

591,463

590,825

376,963

372,869

1,284,610 1,270,942

9.410,995 9,308,213

4,806,240

4,735,602

598,512

594,9^2

125,954

119,299

989,815

963,763

75,824

78,371

29,422

29,955

151,572

156,135

4,371,229

4,307,915

905,060

902,892

7,463,844 7,393,629

375,791
27,618

353,272
55,103

311,943
22,388

311,160
11,821

1,486,903 1,457,827
177,841
106,136

Bills payable with F, R. Bank:
Secured by U, S, Govt, obligations
All other

17,255

17,050

2,550

1,355

Bills re discounted with F. R. Bank:
Secured by U, S. Govt, obligations
All other

510
2,844

852
4,789

411
7,041

300
8,821

Ratio of bills payable and rediscounts
with F. R. Bank to total loans and
investments, per cent
Digitized for
/ FRASER
http://fraser.stlouisfed.org/
<

.4

.5

.8

.8

Reserve balance with F. R, Bank
Cash in vault
Net demand deposits
Time deposits
Government deposits

Federal Reserve Bank of St. Louis

-

—

-

-

2,860,005 2,834,268
202,389

2,433,075 2,436,811

197,780

151,379

150,196

55,122
55,796
1,666,321 1,660,908

72,527

72,711

1,498,832 1;510,241
712,467
20,382

710,068

45,037

970,182
23,281

39,716

24,546
347

18,963
249

15,566
141

20,l4o
177

1,633
62,151

2,161
70,343

794
30,611

714
30,677

610
36,340

885
39,150

l.l

1-2

2.0

1,8

2.2

2-5

36,922
-

<

973,216

13,301