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STATEMENT FOR TEE PRESS

Board of Governors
of
the
Federal Reserve System
For immediate release
December jO, 1935
Condition of Weekly Reporting Member Banks in 101 Leading Cities
The condition statement of weekly reporting member banks in 101 leading c i t i e s
on December 24 shows decreases for/week of $31,000,000 in t o t a l loans and investments, $58,000,000 in demand deposits-adjusted and $26,000,000 in reserve balances
with Federal Reserve banks and an increase of $15,000,000 in time deposits.
Loans to brokers and dealers in Hew York City increased $9,000,000; loans to
brokers outside New York decreased $6,000,000; and. loans on s e c u r i t i e s to others
(except banks) decreased §12,000,000 in the New York d i s t r i c t and $7,000,000 at a l l
reporting member banks. Holdings of acceptances and commercial paper decreased
$1,000,000; r e a l e s t a t e loans increased $2,000,000; and "Other loans" decreased
$18,000,000 in the New York d i s t r i c t and a t a l l reporting member banks.
Holdings of United States Government direct obligations decreased $39,000,000
in the New York d i s t r i c t and $27,000,000 a t a l l reporting member banks; holdings of
obligations f u l l y guaranteed by the United States Government increased $2,000,000;
and holdings of "Other s e c u r i t i e s " increased $11,000,000 in the New York d i s t r i c t
and $18,000,000 at a l l reporting member banks.
Time deposits increased $5,000,000 in the New York d i s t r i c t , $7,000,000 in
the San Francisco d i s t r i c t and $15,000,000 a t a l l reporting member banks. Deposit
balances of other domestic banks increased $10,000,000 in the Chicago d i s t r i c t and
declined $53,000,000 in the New York d i s t r i c t and $47,000,000 at a l l reporting
member banks,
A summary of the principal assets and l i a b i l i t i e s of the reporting member
banks, together with changes for the week and the year ended December 24, 1935»
follows:

ASSETS
Loans and investments - t o t a l

Dec. 24,
1935

Increase or decrease since
Dec. 26,
Dec. IS,
1934
1935

20,939

-31

+1.395

Loans to brokers and dealers:
In New York City
Outside New York City
Loans on s e c u r i t i e s to others
(except banks)

918
171

+3
-6

+184
-1

2,111

-169

Acceptances & commercial paper bought
Loans on r e a l e s t a t e
Loans to banks
Other loans

356
1,140
76
3,392

-7
-1
+2
-3
-18

U. S. Gov't d i r e c t obligations
Obligations f u l l y guaranteed by U.S.Govt.
Other s e c u r i t i e s

8,6l6
1,131
3,029

-27
+2
+18

+840
+508
+6

Reserve with F. R. banks
Cash in vault
Due from domestic banks

4,466
386
2,246

-26
-1
-47

+1,355
+30
+381

13,785
4,883
705

-58
+15

+2,366
+102
' -732

5,289
43s
5

-47

LIABILITIES
Demand deposits - adjuotod
Time deposits
U. S. Government deposits
Inter-bank deposits:
Domestic banks
Foreign banks
Borrowings




—

-93
+
3
-36
+153

-^74
+295
+3

—

+4
(B-804)

STATEMENT JOB THE PRESS
Board, of Governors
of the Federal Reserve System
December 26, 1935

For immediate release
'

ASSETS AUD LIABILITIES OF WEEKLY REPORT IKS MEMBER BASKS IS CENTRAL RESERVE CITIES
(In millions of dollars)
Chicago
Hew York City
1934
1935
1935
i 1934
Dec. 24 Dec, 18|Dec. 26 Dec. 24 Dec.18 Dec. 26
ASSETS
7,955

7.993

7,335

1,816

1,823

1,615

895
59

886

59

573
53

25

28

26
26

746

757

790

l4s

147

169

Acceptances & commercial paper bought 1J0
Loans on real estate
128
Loans to banks
42
Other loans
1,150

169

222

15

1,167

%
1,174

251

16
16
5
253

62
19
11
214

1,023

750
J8
260

Loans and investments - total
Loans to brokers and dealers:
In Hew York
Outside Hew York City
Loans on securities to others(except
banks)

124
45

.1

U,S, Gov1t direct obligations
Obligations fully guaranteed by
V. S. Gov't
Other securities

3,378

3,^15

3,086

1,025

1,005

382

376
995

267

977

90
241

£

Reserve with F.3. bank
Cash in vault
Due from domestic banks
Other assets - net

2,264
63
79
4/2

2.265
. 61
88
476

1,415
59
73
752

608

616

5,769

5,767

563
196

4,726
595
735

2,125

2,173
401

1,680
124

313

325
1,458

LIABILITIES
Demand deposits - adjusted
Time deposits
U. S, Gov't deposits
Inter-bank deposits:
Domestic banks
Foreign banks
Borrowings
Other l i a b i l i t i e s
Capital account




568

197
403

1/458

1,467

4i
204
83

l,

39
202
78

4n
42
186
99

SS98

1,452
415

$S

1,213
380
46

534

5

525
4

445
2

~4l
228

228

36

4l

226

(B-804a)

ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN 101 LEADING CITIES ON DECEMBER 24, 1935
'. .
(In millions of dollars)
B-804b
Total Federal
Reserve
District
New P h i l a - j Cleve- RichAll
San
St. Minne- Kansas
d i s t r i c t s Boston York delphiaj land mond jAtlaata Chicago Louis apolis City Dallas Francisco
ASSETS
Loans and investments - t o t a l
Loans to brokers and dealers:
In Hew York City
Outside New York CityLoans on s e c u r i t i e s to others
(except banks)
Acceptances and commercial paper bought
Loans on r e a l e s t a t e
Loans to banks
Other loans
U. S. Gov't d i r e c t obligations
Obligations f u l l y guaranteed by U.S.Govt.
Other s e c u r i t i e s
Reserve with F. B. bank
Cash in vault
Due from domestic banks
Other a s s e t s - net

20,939

1,146

918
171

4
24

8,822 M , l l 4
900
6l

9
l4

902
153
42
173
245
85
42
2
280 1,292
384 3,509
20
412
152 1,186
258
105
123
S3

1,750
——

617

528

2,708

6

1
30

——

13

3

148
20
68
2
170
300
95
288

224
5
188
5
178
818
74
245

68
6
20
109
299
39
73

222
47 •
30
5
21
65
10
2
146
349
182 1,518
4l
142
341
78

2,337
78
1601
542:

189
17
155
95

237
33
209
113

107
18
131
4i

59
10
150
43

746
65
428
121

13,725
4,883
705

911 6,230
964
299
226;
15

739
252
46

975

366
190
32

300
171
33

5,289
438
5
804
3,51s

2,186
4o4
—
5
328
27
229 1,596

282
5

299
1

206

23

17
331

2 * 111
355
i,i4o
76
3,392
8,616
1,131
3,028
4,466
386
2,246
' 1,390

—

393

628

4

2

2
3

60
12
38
7
116
209
58
100

32
10
6

6o4
——

467
— -

2
4i
2
21

2,162
2
9

129
154
15
45

43
28
15
5
130
2,57
45
117

132
170
52
47

171
23
368
1
361
736
135 •
356

122
12
133
29

54
5
103
22

107
13
286
37

70
11
175
29

180
19
193
235

2,072
755
129

383
171
11

271
119
8

452
145
16

328
122
31

758
1,031
103

192
1

719
6

244

116
1

367

I89

264
11

9
84

45
342

9
82

5
57

2
89

• ••

'

——

LIABILITIES
Demand deposits-adjusted
Time deposits
U. S. Gov't deposits
Inter-bank deposits:
Domestic banks
Foreign banks
Borrowings
Other l i a b i l i t i e s
Capital account




225
9

223

6o4

55

——

33
87

——

6
76

300
322