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STATEMENT FOR THE PRESS Board of Governors F e d e r a l Res3r Form F. R. 28i+ 7 ® System For immediate r e l e a s e February 5 , 194 Condition of Weekly Reporting Member Banks i n Leading C i t i e s of the The c o n d i t i o n statement of weekly r e p o r t i n g member banks in 101 l e a d i n g c i t i e s shows t h e f o l l o w i n g p r i n c i p a l changes f o r t h e week ended January $0: Decreases of $li+8,000;000 i n r e s e r v e b a l a n c e s w i t h F e d e r a l Reserve Banks, $lll+,000,000 i n balances w i t h domestic banks, and $14.31 *000,000 in d e p o s i t s c r e d i t e d t o domestic banks, and an i n c r e a s e of $196,000,000 i n United S t a t e s Government d e p o s i t s . Loans t o b r o k e r s and d e a l e r s f o r purchasing or c a r r y i n g United S t a t e s Government o b l i g a t i o n s d e c l i n e d $28,000,000, and o t h e r loans f o r t h e same purpose d e c l i n e d $27,000,000; lonne . f o r p u r c h a s i n g or c a r r y i n g o t h e r s e c u r i t i e s i n c r e a s e d $30,000,000; t h e s e changes were l a r g e l y i n New York C i t y . Holdings of Treasury b i l l s i n c r e a s e d $90,000,000 in New York City and decreased i n most of t h e o t h e r d i s t r i c t s i n c l u d i n g $1+5,000,000 i n the San Francisco D i s t r i c t ; a t a l l r e p o r t i n g member banks t h e r e was a nominal d e c r e a s e , Holdings of Treasury c e r t i f i c a t e s of indebtedness i n c r e a s e d $62,000,000, Holdings of United S t a t e s Govemment bonds i n c r e a s e d $26,000,000 i n the Minneapolis D i s t r i c t , $23,000,000 in t h e San Francisco D i s t r i c t , and $95,000,000 a t a l l r e p o r t i n g member banks> Demand d e p o s i t s a d j u s t e d i n c r e a s e d $1+9 ,000,000 i n t h e Chicago D i s t r i c t and decreased $27,000,000 in t h e Cleveland D i s t r i c t ; t h e n e t change a t a l l r e p o r t i n g member banks was a decrease of only $11,000,000. United S t a t e s Government d e p o s i t s i n c r e a s e d in a l l d i s t r i c t s • Deposits c r e d i t e d to do me t i c banks d e c l i n e d i n a l l d i s t r i c t s ; the p r i n c i p a l dec r e a s e s were $107,000,000 i n New York C i t y , $71,000,000 i n the Chicago D i s t r i c t , a n d $1+9,000,000 i n t h e Kansas City D i s t r i c t , Borrowings i n c r e a s e d $21,000,000 i n t h e Cleveland D i s t r i c t , $19*000,000 in t h e Kansas City D i s t r i c t , and $72,000,000 a t a l l r e p o r t i n g member banks. A summary of t h e a s s e t s and l i a b i l i t i e s of r e p o r t i n g member banks f o l l o w s ; A S S E T S Loans and Investments - t o t a l Loans - t o t a l Commercial, i n d u s t r i a l , and a g r i c u l t u r a l loans Loans to brokers and d e a l e r s f o r purchasing or carrying; U. S. Government o b l i g a t i o n s Other s e c u r i t i e s Other loans f o r purchasing or c a r r y i n g ; U. S. Government o b l i g a t i o n s Other s e c u r i t i e s Real e s t a t e loans Loans t o banks Other loans Treasury b i l l s Treasury c e r t i f i c a t e s of indebtedness Treasury n o t e s U. S. bonds O b l i g a t i o n s guaranteed by U, S t Government Other s e c u r i t i e s Reserve w i t h F e d e r a l Reserve Banks Cash i n v a u l t Balances w i t h domestic banks L I A B I L I T I E S Demand d e p o s i t s a d j u s t e d Time d e p o s i t s U, S. Government d e p o s i t s Interbank d e p o s i t s ; Domestic banks Foreign banks Borrowings Debits t o demand d e p o s i t accounts , except i n t e r b a n k and U. S. Govt, a c c o u n t s , during week Increase or decrease eince Jan. 3±, Jan. z j , 191+5 1946 ( I n m i l l i o n s of d o l l a r s ) 68,211 15A90 7,300 + 99 - .31 + 25 +8,96k ;,082 9k9 1,608 729 - 28 - 3 + - 2,225 1462 - 27 +1,132 + 93 + 58 1,107 56 1,703 1,7U2 12,778 7,9Ul 27,181+ ' 8 3,565 10,088 585 2,238 38,026 9,522 16,271 10,162 1,201+ 259 14,929 + 33 + 1 - 27 1+87 19 16 - 17 + 95 - 1 + 5 + 398 - 811 +2,807 -1,252 +5,21+7 - 592 + 1+83 -li+8 + 17 -111+ + + + - 11 + 15 +1,950 +1,708 +3,911 +1,305 + 279 + 90 - 5 - Ik + 62 +196 -U31 + 23 + 72 78*6 22 128 Form F. R, 28l*a STATEMENT FOR THE PRESS Board of Governors of the Federal Reserve System January $1, 191*6 For immediate r e l e a s e CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES(In, m i l l i o n s of d o l l a r s ) New Jan# 30# 19U6 York C i t y Increase or decrease s i n c e Jan . 2 3 ; Jan . 51, 1915 19U6 Jan. 50, I9U6 Chicago Increase or decrease s i n c e Jan.85, Jan. 51, 19U6 191*5 A S S E T S Loans and Investments total Loans - t o t a l Commercial, i n d u s t r i a l , and a g r i c u l t u r a l loans Loans t o b r o k e r s and d e a l e r s f o f purchasing or carryings Ue S. Govt, o b l i g a t i o n s Other s e c u r i t i e s Other loans f o r purchasing or carrying; Ue S. Govt, o b l i g a t i o n s Other s e c u r i t i e s Real e s t a t e l o a n s Loans t o banks Other loans 25,758 6,515 .*• a, m 1,279 51*1 8l*6 215 62 1*2 1*79 • - * - + 60 +2,172 6,056 • 51 + 586 20 +1,299 1,271 • lit + 171 11 + 1*16 745 • 0 + 9 + 59l 28 119 55 • 2 4- 59 15 50 1 18 1 4* 522 + 57 7 12 157 182 75 57 - 05 - 444 w 4* 78 18 11 1 17 185 226 620 +1,, 777 245 1,606 662 1,90b 21* 6 Treasury b i l l s Treasury c e r t , of i n d e b t , Treasury notes U* S, bonds O b l i g a t i o n s guaranteed by U. S # Government Other s e c u r i t i e s 560 5,527 2,715 9,556 4- 90 + 2 5 2 - 2 1,085 - Reserve w i t h F.R.Banks Cash i n v a u l t Balances w i t h d o m e s t i c banks Other a s s e t s - n e t 5,651 92 2k 295 - + - 5 4- 165 158 2 mm mm rnmmrn 2 57 4- 11* 4* 5 45 —w 567 «• 4- •WW - - - 4- 195 592 93 121* 53 10 44- 9 1 4- 10 906 56 185 U6 4- 1* 4- 6 2 70 4- 675 4* 220 ,006 5,298 757 1,559 4- 2 5 52 47 4* 120 4. 521 107 + 26 + 17 4- 2 6 4* 288 4- 259 476 459 4- 119 1,197 19 55 2 44- + 59 6 9 4- 216 + 1* - 65 8 1 2 L I A B I L I T I E S Demand d e p o s i t s a d j u s t e d Time d e p o s i t s U. S e Government d e p o s i t s Interbank d e p o s i t s : Domestic banks Foreign banks Borrowings Other l i a b i l i t i e s CAPITAL ACCOUNTS 15,728 l,ia 6,251 5,155 1,076 1 130 1*12 1,919 1 Debits t o demand d e p o s i t accounts, except interbank and U*S+Govt* accounts, during week 7,080 + 4- 4- - "»"» —— u5 571* 1,555 161* 3 + 4- 1 4* 2 25 ASSETS AND LIABILITIES OF WEEKLY REPORT IN G MEMBER BANKS IN 101 LEADING CITIES, JANUARY 3 0 , 1?46 F e d e r a 1 R e s e r v e D i es t r i C t Total Minne- Kansasj Dallas San St. CleveRich- Atlanta Chicago New P h i l a All Boston Francisco a p o l i s Louis City 1 mond d e l p h i a land York districts ( I n m i l l i o n s of d o l l a r s ) 7 ,620 10*004 2,218 1,398 2 , 4 8 6 2 , 1 7 4 5 , 4 0 6 2,237 2,299 68,211 3 M 3 26,077 2 , 8 4 9 Form F. R. 284b A S S E T S Loans and investments - t o t a l Loans - t o t a l Commercial, i n d u s t r i a l , & a g r ' l loans Loans t o brokers and d e a l e r s f o r purchasing or c a r r y i n g : U. S. Government o b l i g a t i o n s Other s e c u r i t i e s Other l o a n s f o r purchasing or carryings U. S. Government o b l i g a t i o n s Other s e c u r i t i e s Real e s t a t e loans Loans to banks Other l o a n s 15,190 7,300 818 481 6,694 3,003 554 251 1,108 433 397 174 511 246 1,842 995 605 343 257 125 437 254 666 388 1,301 607 1,608 729 52 24 1,290 546 9 33 71 23 5 6 2 10 125 42 5 5 1 3 2 4 1 4 45 29 2,225 462 1,107 56 1,703 51 18 70 2 120 73 11 32 2 143 261 14 157 129 8 24 3 89 281 82 165 152 68 14 70 2 98 45 5 27 l 50 54 9 4i l 72 136 27 31 1 78 163 28 293 149 78 10 50 2 72 Treasury b i l l s Treasury c e r t i f i c a t e s o f indebtedness Treasury n o t e s U, S» bonds O b l i g a t i o n s guaranteed by U. S . Government Other s e c u r i t i e s 1,742 12,778 7,944 27 ,1814. 8 3,365 10,088 585 2,238 1,397 105 583 386 1,478 145 405 292 1,249 67 1,066 644 2,241 69 421 211 1,066 330 2,534 1,158 3,567 27 304 326 820 15 238 159 671 64 566 386 886 56 526 2l4 650 —— — ——~ —— — —— — 73 886 236 147 42 544 615 3,927 2,967 10,693 2 1,179 573 . 136 147 62 449 58 114 71 1,473 92 405 82 339 23 112 22 58 200 11 95 16 192 1,705 960 3,027 5 430 461 25 266 21 386 26 271 33 1,029 51 283 578 38,026 9,522 16,271 10,162 1,204 25'9 2,080 4,995 5,451 .1,066 1,856 344 486 2,369 l ,698 657 2 22 15 9 12 59 132 592 679 211 372 341 2 19 9 87 1,383 293 500 896 3,509 2,027 1,599 483 42 32 8 147 1,364 285 485 609 3 3 8 133 14,929 2,007 246 434 366 1,167 Reserve w i t h Federal Reserve Banks Cash i n v a u l t Balances w i t h domestic banks Other a s s e t s - n e t L I A B I L I T I E S Demand d e p o s i t s a d j u s t e d Time d e p o s i t s U# S. Government d e p o s i t s Interbank d e p o s i t s : Domestic banks Foreign banks Borrowings Other l i a b i l i t i e s CAPITAL ACCOUNTS Debits to demand d e p o s i t a c c o u n t s , except interbank and U. S. Govt, accounts http://fraser.stlouisfed.org/ • 0 Federal Reserve Bank of St. Louis C • m ——— ——— - - - 204 280 73 57 503 24l 836 l 150 3,871 123 106 339 430 31 83 47 738 76 205 73 332 38 151 76 380 31 147 39 2,134 433 915 297 27 7 34 288 15,086 l ,805 6,687 3,227 1,078 134 423 2,076 1,818 226 728 377 12 3 21 255 2,957 1,269 1,148 577 4 25 38 480 1,304 349 515 428 4 2 98 134 1,275 424 467 572 8 10 17 123 647 7,458 545 897 395 387 - —— </ , - - - ——— JL • 380 e —— — 136 ' 1,353 548