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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (Fot Immediate Release) December 3, 19U7 H.4.2 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 26: Increases of $225,000,000 in loans, $560,000,000 in demand deposits adjusted, and $2)6,000,000 in borrowings, and a decrease of $561,000,000 in demand deposits credited to domestic Commercial, industrial, and agricultural loans increased $24,000,000 in the Philadelphia District, $18,000,000 in New York City, and $53,000,000 at all reporting member banks. Loans to brokers and dealers for purchasing or carrying Government securities increased $84,000,000. Loans to brokers and dealers for purchasing or carrying other securities increased $40,000,000. Holdings of Treasury bills decreased $79,000,000 in New York City, and increased $27,000,000 in the Chicago District and $22,000,000 in the Kansas City District; the net decrease at all reporting member banks was $20,000,000, Holdings of United State^ Government bonds decreased $35,000,000 in New York City, $22,000,000 in the Boston District, $20,000,000 in the Philadelphia District and $81,000,000 at all reporting member banks, and increased $17,000,000 in the Richmond District. Demand deposits adjusted increased $131,000,000 in New York City, $107,000,000 in the Chicago District, and $46,000,000 in the Cleveland District. Time deposits decreased $56,000,000. Demand deposits credited to domestic banks decreased in all districts, the principal decreases being $180,000,000 in New York City, $75,000,000 in the Chicago District, and $57,000,000 in the Dallas District. Borrowings increased $154,000,000 in New York City and $21,000,000 in the San Francisco District. A summary of the assets and liabilities of reporting member banks follows, Nov. 26 19U7 A S S E T S Loans and investments - total Loans - total Commercial, industrial, and agricultural loans Loans to brokers and dealers for purchasing or carrying: U. S. Government obligations Other securities Other loans for purchasing or carrying: U. S. Government obligations Other securities Real estate loans Loans to banks Other loans Treasury bills Treasury certificates of indebtedness Treasury notes U. S. bonds Other securities Reserve with Federal Reserve Banks Cash in vault Balances with domestic banks Increase or decrease since Nov. 19, Nov. 27, 65,0l*2 23,099 11,267 458 U?2 433 187 3,380 235 3,367 1,021 TJ. S. Government deposits Interbank demand deposits: Domestic banks Foreign banks Borrowings Debits to demand deposit accounts, except interbank and U. S. Govt, accounts, during week +118 +225 —1,200 + 53* *3,853 +3,033 + 84 + 40 + + + + - 6 28 13* 55 lit* - 20 3,795 1,997 50,913 1,219 + 28 - 32 12,158 800 2,326 + m -17 -135 47,9*2 14,458 - 56 L I A B I LI T I E S Demand deposits adjusted Time deposits except Govt. 19U6 19U7 - 81 * 2 +360 528 16 468 1 + 980 + 83 + 738 + 226 -2,949 -2,961 + 339 + 292 + + + 742 39 16 +1,231 + 577 1,129 + 12 -2,710 9,526 1,378 437 -56b + 1 + — 42 +236 + 273 21,762 •Nov. 19 figures revised (San Francisco District) 32 H, 4. 2(a) A S S E T S ASSETS AND LIABILITIES OF PJEEKLY REPORTING MEMBER Efi-NKS IN "LEASING CITIES-, NOVEMBER 'db, 194/ i c IT "" ' ' F e d e r a l le s e rveD " i" s t ' r " ~~ Total Kansas Dallas San Minnea~§t7~ CleveRichTew" PhilaAll itlanta Chicago Boston Francisco City apolis Louis mond land delphia York districts (In millions of dollars) Loans and investments - total Loans - total Commercial, industrial & agr'l loans Loans to brokers and dealers for purchasing or carrying* U, S. Government obligations Other securities Other loans for purchasing or carrying: U. S. Government obligations Other securities Real estate loans Loans to banks Other loans Treasury bills Treasury certificates of indebtedness Treasury notes U. S. bonds Other securities Reserve with Federal Reserve Banks Cash in vault Balances with domestic banks Other assets -net L I A B I L I T I E S Demand deposits adjusted Time deposits except Govt. U. S. Government deposits . Interbank demand deposits * Domestic banks Foreign banks Borrowings Other liabilities CAPITAL ACCOUNTS Debits to demand deposit^acdtmnts except interbank and UeS.Govt, accounts 65,0142 2,867 22,083 2,561 4,336 2,620 2,381 8,810 2,194 1,208 2,493 2,289 23,099 Hi, 267 1,053 855 1,438 823 811 494 961 594 417 254 791 500 779 375 2,683 688 7,876 5,581 998 697 it 58 28 8 341 337 5 26 1 16 6 433 487 3,380 235 3,367 18 83 207 274 173 10 78 14 33 22 31 165 3 174 1*72 1,021 3,793 1,997 30,913 15 113 8 175 880 15 177 480 69 643 385 11,348 1,351 22 11 77 l 229 33 113 55 800 111 190 130 1,104 74 4o4 487 43 96 55 47,982 14,458 2,383 17,476 2,097 9,526 1,378 437 995 5,825 290 21,762 12,1*58 2,326 1,129 491 52 4,595 2,198 410 2,970 229 30 133 90 1,236 2,324 321 269 1,457 96 515 54 4,219 221 408 35 340 763 77 163 70 27 184 87 1,424 119 508 62 189 2 26 5 167 42 67 304 3 350 13 161 117 1,037 306 37 37 65 211 192 448 45 165 578 4,494 588 1,665 102 394 89 23 31 39 76 44 4i 1,787 127 147 625 86 286 33 193 99 852 114 5 18 139 3 174 23 114 98 849 149 398 28 129 26 13 5 53 90 17 39 64 603 68 236 18 11 106 154 978 198 528 29 17 292 29 497 33 274 46 13 88 3 8 8 103 1,122 473 4,311 754 1,818 124 295 188 51 3,016 2,090 1,768 551 38 504 8 17 28 176 6,192 2,417 179 1,496 27 7 77 1,367 470 45 679 5 24 17 168 1,823 387 42 895 1 14 26 183 1,882 368 34 646 5 2 17 185 7,056 665 832 248 27 342 2 2 11 98 661 3,044 668 406 833 686 2,609 1,317 77 464 6 603 54 417 6 1,228 18 232 54 314 498 2,390 302 468 22 208 936 9,161 803 1,282 673 24 25 52 35 1,906 55 19 11 1,830 525 11,200 4,437 23 38 34 5,000 136 483 60 4o 182 668