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Form 5B-2S4

STATEMENT FOR THE PRESS

For immediate release

Board of Governors
of the Federal Reserve System
December 30, 1940

Condition of Weekly Reporting; Member Banks in 101 Leading Pities
The condition statement of weekly reporting member banks in 101 leading cities
shows the following principal changes for the week ended December 24$ Increases of
$15,000,000 in commercial, industrial and agricultural loans, $42,000,000 in reserve balances with Federal Reserve Banks, and $103,000,000 in demand depositsadjusted, and a decrease of $53>000,000 in deposits credited to domestic banks*
Holdings of United States Government direct and guaranteed obligations increased $27,000,000 in New York City and $26,000,000 at all reporting member banks.
Holdings of "Other securities" increased $40,000,000 in New York City and
$33,000,000 at all reporting member banks.
Demand deposits-adjusted increased $165,000,000 in New York City and
$103>000,000 at all reporting member banks, and decreased $50,000,000 in the
Boston district, $25,000,000 in the Cleveland district, and $21,000,000 in the
San Francisco district. Time deposits increased $14,000,000,
Deposits credited to domestic banks decreased $70,000,000 in New York City and
$53;000,000 at all reporting member banks. Deposits credited to foreign banks decreased $5,000,000.
A summary of the principal assets and liabilities of reporting member banks,
together with changes for the week and the year ended December 24, 1940, follows t
(in millions of dollars)

Increase or decrease
since
Dec . 27,
Dec* 18,
1940
1939

Dec.
24,
1940
ASSETS
Loans and Investments - total

25,604

+ 72

+2 ,344

Loans - total
Commercial, industrial, and agricultural loans
Open market paper
Loans to brokers and dealers in securities
Other loans for purchasing or carrying securities
Real estate loans
Loans to banks
Other loans

9,354
5,016
- 303
545
466
1,230
40
1,754

+ 13
+ 15

+
+

Treasury bills
Treasury notes
U. S, bonds
Obligations guaranteed by U. S. Gov't
Other securities

732
2,137
6,959
2,740
3,682

27
+ 44
+ 3
+ 6
+ 33

+
+
+
+
+

11,715
562
3,387

+ 42
15
39

+2 ,026
+
18
+ 326

22,382
5,419
475

+103
+ 14
1

+3,662
+ 145
107

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

-

13
1
+ 2
-

-

-

10
-

—

596
616
—
19
170
40
4* 41
3
+ 17.1
137
372
571
326
342

L I A B I L I T I E S
Demand deposits-adjusted
Time deposits
U. S. Government deposits
Inter-bank depositsi
Domestic banks
Foreign banks
Borrowings




8,919
663
—

—

-

—
—

53
5
1

+
—

942
73

Form F. R. 284
STATEMENT FOR THE PRESS
Board of Governors
of the Federal Reserve System
December 26, 1940

For immediate release

ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES
(In millions of dollars)

Dec.
24
1940

iew York City
Increase or
decrease since
Dec. 18, Dec. 26,
1940
1939

Dec.
24
1940

Chicago
Increase or
decrease since
Dec. 18, Dec. 26,
1940
1939

A S S E T S
Loans and Investments-total
Loans - total
Commercial,industrial, and
agricultural loans
Open market paper
Loans to brokers and dealers
Other loans for purchasing
or carrying securities
Real estate loans
Loans to banks
Other loans

2,392

+

4

+ 279

34

686

-

1

+ 109

217
23
164

482
19
39
54
20

3

7
2
9
18

+ 6l

+1,483

3,093

-

6

+

1,906
91
387

+ 3
+ 1
- 13

+

10,323

172
114
26
397

-

—

—

—•

-

-

~

+
-P

+

*"»

-

—

1

—

1

-

—

*-•

—

M

+

84
451
544

312
147
762

+
+

4
1
2

-

+

1,567
1,380

+ 1
+ 40

+

336
202

107
378

Reserve with F. R. Bank
Cash in vault
Balances with domestic banks
Other assets - net

6,645
96
88
322

+ 46
- 8
+ 2

+1;,138
+
7
+
7
36

10,479
723
28

+165
+ 3
- 1

3,807
605

- 70
- 5

318
1,514

+
+

w

12
6
«•

1

- 19
+ 37
+ 8

3

+

+

281
1,167
2,835

97
—

72

Treasury bills
Treasury notes .
U, S. bonds
Obligations guaranteed
by U. S. Gov't
Other securities

+

+
—

ww

21

+ 176

6

30
57
70
37

—

+

1,103
47
324
41

— 16

+

+
+

7
1

+

+2,158
+
68
21

1,997
514
95

+

5
2

+ 189
8
+
+ 12

+

408
65

1,011
8

17
34

18
264

—

—*

—

—

14
1
59
4

L I A B I L I T I E S
Demand deposits-adjusted
Time deposits
U. S. Gov't deposits
Inter—bank deposits>
Domestic banks
Foreign banks
Borrowings
Other liabilities
CAPITAL ACCOUNTS




6
2

—

+
+

—

—»

—

—

—

—

-

1

121
1

+

1
17

rorm F. R. 284-b

ASSETS AND LIABILITIES OF 1EEXLX REPORTING MEMBER BANKS IS. l&L HEADING CITIES ON DECEMBER 24, 1940
(in millions of dollars)
D i s t r i c t
R e s e r v e
F e d e r a l
Total
San
Minne—!Kansas
St.
Richi-sew Philar- Cleve—
All
Atlanta Chicago Louis anclis City |Dallas Francisco
Boston York
mond
delphiaI land
districts

A S S E T S
Loans and Investments — total

25,604

Loans - total
Commercial, industrial, and
agricultural loans
Open market paper
Loans to brokers and dealers in securities
Other loans for purchasing or
carrying securities
Real estate loans
Loans to banks
Other loans

9,354

Treasury bills
Treasury notes
U. S. bonds
Obligations guaranteed by U. S. Gov l-h
Other securities
Reserve with F. R. Bank
Cash in vault
Balances with domestic banks
Other assets — net

5,016

1,231 11,215
652
3,458

322

2,032

758

426

726

588

2,368

374

3,639
1,078

377

218

345

314

1,002

137
11
4

196
4
7

656
36
46

220
10
4

114
3
2

206
21
4

215
1

A

370
13
10

14
48
1
84

11
34
2
120

b4
132
1
143

13
58
3
69

7
12

10
31

103

23
181
1
210

73

13
24
1
56

41
387
1
180

17
149
637
137
279

3
154
175
53
68

3
43
110
63
117

315
284
1,093
281
5oo

16
39
148
64
114

20
117
29
42

2,6
53
97
79
126

37
38
99
42
58

6
70
739
195
356

734
53
377
91

229
27
243
38

152
16
198
49

1,447
89
658
73

264
14
186
22

119
7
126
17

208
18
310
20

148
13
278
31

469
29
334
270

576
200
36

449
190
41

2,980
1,002
136

542
192
12

330
116
2

569
145
13

519
137
30

1,242
1,116
53

344

335
2

1,345
9

397

177
1

445

278
1

366
17

12
96

23
411

5
96

8
61

3
107

4
89

295
38I

1,21/4 1,977

752

710

479

758

299

234
34
25

314
8
21

33
50

303
545

65
25

466
1,230

17
80
4
139

220
193
26
497

732
2,137
6,959
2,740

25
40
340
57
117

284
1,219
3,064
1,540

28
340
90
277

11,715
562
3,387
1,187

626

6,815
120
243
423

504
26
237
80

40
1,754

3,682

150
197
73

97
393

1,650

—

—

—

80
—

—

—

—

L I A B I L I T I E S
Demand deposits-adjusted
Time deposits
U. S. Gov't deposits
Inter-bank deposits:
Domestic banks
Foreign banks
Borrowings
Other liabilities
CAPITAL ACCOUNTS



1,360 11,204
230
14

1,091
53

,068 1,543
740
260
44
41

8,919
663

382

3,897
606

453
5

500
1

770
3,827

23
247

326

18
216

20
384

22,382
5,419
475

21

1,639

—

—

33
100