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H.4.2

BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
(For Immediate Release)
December 2, 1953
CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES

The condition statement of weekly reporting member banks in leading cities
shows the following principal changes for the week ended November 25: An increase
of $617 million in demand deposits adjusted, and decreases of $397 million in
United States Government deposits and $725 million in demand deposits credited to
domestic banks.
Commercial, industrial, and agricultural loans decreased $84 million in
New York City, $24 million in Chicago, $22 million in the San Francisco District,
$19 million in the Cleveland District, and a total of $160 million at all reporting member banks. Changes according to industry appear in another press
release. Loans to banks decreased $157 million.
Holdings of Treasury bills increased $94 million at all reporting member
banksj the principal changes were an increase of $l6l million in the New York District and a decrease of $29 million in the Atlanta District. Holdings of Treasury
certificates of indebtedness decreased $59 million, of which $50 million was in
the Cleveland District. Holdings of Treasury notes increased $57 million in
New York City, $44 million in the Chicago District, and a total of $136 million
at all reporting member banks. Holdings of United States Government bonds decreased $28 million.
Demand deposits adjusted increased $286 million in the Chicago District,
$82 million in the Cleveland District, $53 million in the Philadelphia District,
$50 million in New York City, and by smaller amounts in most of the other
districts. Time deposits increased $23 million. United States Government deposits and demand deposits credited to domestic banks decreased in all districts.
A summary of assets and liabilities of reporting member banks follows:

Nov.
25,
1953
A S S E T S

Increase or
decrease since
Nov. 18,* Nov. 26,
1952
1953
[In millions of dollars)

Loans and investments - total
Loans - net
Loans - gross
Commercial, industrial, and agricultural loans
Loans to brokers and dealers for
purchasing or carrying securities
Other loans for purchasing or carrying securities
Real estate loans
Loans to banks
Other loans

80,390
40,224
40,844
23,217

-160

+

159

1,871
762
6,459
561
7,974

+ 10
+ 7
+ 2
-157
+ 9

+

163

U. S. Government securities - total
Treasury bills
Treasury certificates of indebtedness
Treasury notes
U. S. bonds
Other securities

32,748
2,402
5,401
6,886
18,059
7,418

+143
+ 94
- 59

Reserves with Federal Reserve Banks
Cash in vault
Balances with domestic banks

14,607
972
2,482

L I A B I L I T I E S
Demand deposits adjusted
Time deposits except Government
U. S. Government deposits
Interbank demand deposits: Domestic banks
Foreign banks
Borrowings

54,314
19,130
3,956
10,428
1,290
1,098

^Preliminary (San Francisco District).




-150
-287
-289

+136

- 28

6

-142

- 13
-177
+617
+ 23
-397
-725
+ 13
- 17

+ 943
+1,759

+1,805

+
+
+

+

21
381
100

981

- 769
-2,172
+2,934
+ 710
-2,241
47
+

988
14
90

- 374
+1,500
- 987

+

76

-

45
534

H.4.2(a)

A S S E T S

ASSETS AMD LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES, November 25, 1953
Total*
F e d e r a 1 R e s e r v e D i s t r ] c t
St. Minne- Kansas
New
Phila- |Cleve- RichAll
San*
Boston
Atlanta Chicago
Dallas
Districts
delphia j land mond
York
Louis apolis City
Francisco
(in millions of dollars)

Loans and investments - total
Loans - net#
Commercial, industrial, and agr'l loans
Loans to brokers and dealers for
purchasing or carrying securities
Other loans for purchasing or carrying
securities
Real estate loans
Loans to banks
Other loans

80,390
40,224
23,217

3,607
1,871
1,082

25,013
13,765
9,050

3,076
1,715
940

5,720
2,530
1,435

3,179
1,394
641

3,028
1,319
792

11,234
4,445
2,841

2,688
1,439
800

1,399
695
336

3,239
1,313
793

3,321
1,850
1,227

14,886
7,888
3,280

1,871

21

1,447

43

59

21

12

189

9

2

8

12

48

762
6,459

25
313
38
427

278

19
170
24
551

490
26

69

57
2 66
12
413

37
87
6
4o6

117
551
24

18
255
23
352

13
138
18
197

20
189
27
288

75
132
10
412

34
3,005
29
1,597

U. S. Government securities - total
Treasury bills
Treasury certificates of indebtedness
Treasury notes
U. S. bonds
Other securities

32,748
2,402
5,4oi
6,886
18,059
7,418

1,444

1,444

562 1,595

5,418
187
914
1,173
3,144
1,580

14,607
972
2,482
1,641

581

509
46
214
63

838
1,602
3,058
1,037
2,l8l
123
291
121

1,278
151
262

Reserves with Federal Reserve Banks
Cash in vault
Balances with domestic banks
Other assets - net

1,552
95
274
348
835
233
544
77
176
61
2,373
645
174

2,147
576
126

462

631
10

46

70
50

L I A B I L I T I E S
Demand deposits adjusted
Time deposits except Government
U. S. Government deposits
Interbank demand deposits:
Domestic banks
Foreign banks
Borrowings
Other liabilities
CAPITAL ACCOUNTS

561

7,974

54,314
19,130
3,956
10,428

1,290
1,098

2,317
7,559

863

324
2,025

501

1,026
34
145
121
726
335
549
47
113
60

2,664
95
559
724
1,286
526

2,850 17,584 2,364
560
3,780
455
174
1,455
195

3,925

165
196

133
950
292

62

105
100

312
34

10
93
4oi

8,962
928
1,285
1,383
5,366
2,286
5,171
242
146

626

2,960
1,045
425
1,155
2,794

396
16
28
50

362

947
93
168
93

1,607
248
516
8
67

81

569

8

49
280

f Individual loan items are reported gross, i.e., before deduction of valuation reserves,
•Preliminary (San Francisco District).



105

284
373
682

265

250

805

5,752 1,051
62
254
252
275
462

198

21
97

161
283
142

305
295
382
613
331
607
38

485
36
128
37

246
14
83
21

7,377
3,053
664

1,694
504
120

913
264

2,270

72

132

1,693
41
79
l4l
902

712
2

355
3
5
30
121

943
2

70
4o

232

318
46

516

50
60
275

211
654
193
618
49
469
103

2,540
589
134

869

12
35
59
322

2,169
145
271
310
8,277

6,581
462

579

109
213
509

1,051