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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
(For immediate Release)

February 18# 1959

smssmmw
H.4.2

CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES

deposits and $206 million in demand deposits credited to domestic banks,

decreased $110 million. Real estate loans increased $34 million.

interbank deposits in New York City,
Borrowings from Federal Reserve Banks decreased $79 million and borrowings
from others increased $30 million. Loans to banks decreased $64 million.
A summary
of assets
and liabilities of reporting member banks follows^ 1
• 1111'" 1 1
'i1! i 111
increaSor
Increase
decrease since
February 11.
Feb. 12,
Feb. h,
1959
1958
1959
(In millions of dollars)
A S S E T S
Loans and investments adjusted l/
Loans adjusted 1/
Commercial and industrial loans
Agricultural loans
Loans to brokers and dealers for
purchasing or carrying securities
Other loans for purchasing or
carrying securities
Real estate loans
Other loans

94,294
53,648
29,571
585

+

569
53
4

+7,138
+ 969

1,904

-

110

-

1,316
9,719
11,781

+
+

4
34

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

31,555
1,928
3,559
7,962

-

399
140
126

+5,242
+ 528
+1,472

18,106

-

131
117

+
+

32
927

1,631

+
+

64
299
89
27

+
-

98
572
4

Loans to banks
Reserves with Federal Reserve Banks
Cash in vault
Balances with domestic banks
u

a

u

n

n

s

9,091

12,692
1,009
2,403

+

Si

2

18

+ 199
+ 981
r/+

2

30
57,510
Demand deposits adjusted
142
28,168
Time deposits except U. S. Government
455*
2,589
U. S. Government deposits
206*
10,611
Interbank demand deposits: Domestic banks
61*
1,459
Foreign banks
186
79*
Borrowings; From Federal Reserve Banks
30*
1,157
From others
i/ J1XCIU BJLVB VJL 1UOUD VV */«***»»
individual loan items are shown gross.
* February 4 figures revised.
lQrft
r/ Revised; revised figures for the period January 8 thru September 17* 15v

appear in February Bulletin.


399

370

+3,210

-

100

+1,962
+2,735
+1,234

+
-

85
26

+
+

43
104

will

E.4.2(a)

A S S E T S

ASSETS AMD LIABILITIES 6F WEEKLY REPORTING MEMBER BARKS IK LEADING CITIES, FEBRUARY 11, 1959
F e d e r a l
R e s e r v e
D i s t r i c t
Total
San
St. Minne- Kansas
CleveRichNew
PhilaAll
Atlanta Chicago Louis apolis City Dallas Francisco
Boston
land
mond
delphia
Districts
York
(In millions of dollars)

Loans and investments adjusted 1/
Loans adjusted 1/
Commercial and industrial loans
Agricultural loans
Loans to brokers and dealers for
purchasing or carrying securities
Other loans for purchasing or carrying
securities
Real estate loans
Other loans

94,294
53,648
29,571
585

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

I 4,015 28,369
2,489 16,820
1,444 U,l8l
13
9

3,456
2,158
l,l4l
1

6,463
3,546
1,701
3

3,753
1,992
916
6

3,737
2,044
1,072
11

12,264
6,177
3,698
19

2,897
1,610
793
16

1,569

896

439
19

3,724 4,471
1,989 2,722
1,014 1,650
169
43

19,576
11,205
4,522
276

1,904

30

1,341

29

128

37

30

l6l

34

4

20

23

67

1,316
9,719
11,781

20
402
645

429
1,325
2,973

56
225
782

173
840
771

47
4o4
621

65
215

214
911
1,349

24
275
495

11
196
243

32
312
475

179
219
657

66
4,395

31,555
1,928
3,559
7,962
18,106
9,091

1,168
39
168
372
589
358

8,730
712
1,093
2,510
4,415
2,819

980
45
153
262
520
318

2,301
118

1,365
128
182

616

1,433
59
111
306
957
328

4,891
327
430
1,148
2,986
1,196

1,035
46
98
317
574
252

515
23
44
l4l
307
158

1,379
123
174
361
721
356

1,404
73
115
300
916
345

1,631

80

80
820
104
151
113

22
510
81
165
99

45
48l
57
308
92

98
1,760
119

17

533
59
97
122

27
471
50
73
105

405

36
145
46

13
216
15
74
40

13
557
4l
318
82

22
574
50
456
194

304
2,257

1,009
2,403
2,964

910
4,108
228
148
1,319

3,072
668

112

2,440
654
111

4,102
1,991
184

2,656
875
129

2,407
931
90

7,48?
3,596

2,589

17,905
6,465
910

1,684
647
89

909
381
52

2,442
721
101

2,748
1,269
96

9,658
9,970
333

10,611

339
27

2,980
1,156

401
25

489
9

476

811

988

4

348
5

907

13

1,625
47

716

7

2

15

531
149

9

13
552
1,493

1
54
70

82
110

20
27
69

15
9
64

15

2
35
54

7
10
40

72
39
48

23
22
89

702

1,244
426
380
315
3,608
764
487
371
1/ Exclusive of inar^H tr, "hqnk« and after deduction of valuation reserves: individual loan items are shown gross.


175

403

517

1,530

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

12,692

306

709
1,168

689

276

779
328

258

199

2,081

6,354
235

685
1,260

4,174

2,017

169

210
553

L I A B I L I T I E S
Demand deposits adjusted
Time deposits except U. S. Government
U. S. Government deposits
Interbank demand deposits:
Domestic banks
Foreign banks
Borrowings:
From Federal Reserve Banks
From others
Other liabilities
C A P I T A L



A C C O U N T S

57,510

28,168

1,459

186
1,157
3,093

10,220

60

132

382

80

222

9

187