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of GOV/ FEDERAL RESERVE statistical release H.4.2 For immediate release January 14, 1970 WEEKLY CONDITION REPORT OF LARGE COMMERCIAL BANKS AND DOMESTIC SUBSIDIARIES Total loans and investments (adjusted) at large commercial banks decreased $4,038 million in the week ended January 7.v This reflected a decrease of $3,577 million in loans (adjusted), a decrease of $417 million in U. S. Treasury security holdings and a decrease of $44 million in holdings of "other" securities. Demand deposits adjusted decreased $4,994 million and U. S. Government demand deposits decreased $7 million. million. Total time and savings deposits decreased $470 Gross liabilities of banks to their foreign branches increased $846 million. Commercial and industrial loans decreased a net of $1,725 million; during the comparable week a year ago these loans decreased $195 million. Loans to brokers and dealers for purchasing or carrying U. S. Treasury securities decreased $3 million, and their loans for purchasing or carrying "other11 securities decreased $694 million. Sales of Federal funds and purchase of securities under agreements to resell with brokers and dealers involving U. S. Treasury securities decreased $158 million and those involving "other" securities increased $75 million. Loans to sales and personal finance institutions decreased $804 million as compared with a decrease of $888 million during the corresponding week in 1969. Real estate loans decreased $104 million, and consumer instalment loans decreased $61 million. Total U. S. Treasury securities held decreased $417 million. Holdings of Treasury bills decreased $395 million and holdings of "other" U. S. Treasury securities maturing within 1 year increased $55 million. Longer term Treasury note and bond holdings decreased $77 million. Savings deposits declined $179 million and "other" time deposits declined $291 million. Negotiable CD's issued in denominations of $100,000 or more, included in the latter figure, decreased $59 million. o * R o n WEEKLY CONDITION REPORT OF LARGE COMMERCIAL BANKS# BY DISTRICT, H.4.2 CHANGE SINCE JAN. 7, 1970 1969 £/ JAN. 8, * 1969 (IN MILLIONS OF DOLLARS) ASSETS TOTAL LOANS AND INVESTMENTS# (GROSS) FEDERAL FUNDS SOLD AND SECURITIES PURCHASED UNDER AGREEMENTS TO RESELL — T O T A L COMMERCIAL BANKS BROKERS AND DEALERS INVOLVING U. S. TREASURY SECURITIES INVOLVING OTHER SECURITIES OTHERS OTHER LOANS—TOTAL COMMERCIAL AND INDUSTRIAL LOANS AGRICULTURAL LOANS LOANS TO BROKERS AND DEALERS FOR PURCHASING OR C A R R Y I N G — U . S. TREASURY SECURITIES OTHER SECURITIES OTHER LOANS FOR PURCHASING OR CARRYING— U.S.TREASURY SECURITIES OTHER SECURITIES LOANS TO NONBANK FINANCIAL INSTITUTIONSSALES FINANCE# PERSONAL FINANCE# ETC. OTHER REAL ESTATE LOANS LOANS TO DOMESTIC COMMERCIAL BANKS LOANS TO FOREIGN COMMERCIAL BANKS CONSUMER INSTALMENT LOANS LOANS TO FOR. GOVTS.# OFFICIAL INSTS.# ETC. OTHER LOANS U. S. TREASURY SECURITIES—TOTAL TREASURY BILLS TREASURY CERTIFICATES OF INDEBTEDNESS TREASURY NOTES AND U. S. BONDS MATURING— WITHIN 1 YEAR 1 YEAR TO 5 YEARS AFTER 5 YEARS OTHER SECURITIES—TOTAL OBLIGATIONS OF STATES AND POLITICAL SUBDIVISIONSTAX WARRANTS AND SHORT-TERM NOTES AND BILLS ALL OTHER OTHER BONDS, CORPORATE STOCKS, AND SECURITIES PARTICIPATION CERTIFICATES IN FED. AGENCY LOANS ALL OTHER (INCLUDING CORPORATE STOCKS) CASH ITEMS IN PROCESS OF COLLECTION RESERVES WITH FEDERAL RESERVE BANKS CURRENCY AND COIN BALANCES WITH DOMESTIC BANKS INVESTMENTS IN SUBSIDIARIES NOT CONSOLIDATED OTHER ASSETS TOTAL ASSETS/LIABILITIES DEC. 31, 237,, 74{f -2,433 + 2,954 6,,155 s i ,576 +1 ,510 -u ,568 NA NA 172 248 159 172,,347 79,,909 2,,031 158 + 75 + 25 -3,482 -1,725 18 NA NA NA +10 ,400 + 5,988 + 3 3 694 354 953 5 79 33 214 1,,134 3.,315 - 100 2,,500 , 804 6,,188 5.,956 33,,472 478 - + + 1 ,, 5 1 4 2 0 ,, 3 5 1 . 969 - + 14.,430 2 3 , ,495 - 3,, 676 181 104 37 64 61 48 139 417 395 + + + + 459 847 1 ,334 1 ,607 + 63 1:,607 76 + 248 - 4,,733 534 3,,525 13,,373 2,,921 35,,751 + + 3,,424 28,,567 + 59 85 - 1.,627 1,,103 + 13 31 316 + 158 + 4,,828 + 700 + 210 + 482 2,,657 33,,290 17,,078 3,,382 5,,353 591 13,,308 310,,750 55 24 101 44 -3., 5 6 2 892 41 704 1 223 - 6 , ,072 + - 1.,776 + 1.,225 - 3,,648 - 2.,713 928 NA + 1,,832 +11. ,006 L I A B I L I T I E S DEMAND DEPOSITS—TOTAL INDIVIDUALS# PARTNERSHIPS# AND CORPORATIONS STATES AND POLITICAL SUBDIVISIONS U. S. GOVERNMENT DOMESTIC INTERBANK — COMMERCIAL MUTUAL SAVINGS FOREIGN—GOVTS.* OFFICIAL INSTITUTIONS# ETC. COMMERCIAL BANKS CERTIFIED AND OFFICERS CHECKS TIME AND SAVINGS DEPOSITS—TOTAL(l) INDIVIDUALS# PARTNERSHIPS# AND CORPORATIONSSAVINGS DEPOSITS OTHER TIME DEPOSITS STATES AND POLITICAL SUBDIVISIONS DOMESTIC INTERBANK FOREIGN—GOVTS.# OFFICIAL INSTITUTIONS, ETC. FEDERAL FUNDS PURCHASED AND SECURITIES SOLD UNDER AGREEMENTS TO REPURCHASE BORROWINGS—FROM FEDERAL RESERVE BANKS FROM OTHERS OTHER LIABILITIES AND MINORITY INTEREST IN CONSOLIDATED SUBSIDIARIES RESERVES FOR LOANS RESERVES FOR SECURITIES TOTAL CAPITAL ACCOUNTS 141,,073 98,,703 6 , ,485 2 ,,984 19,,292 907 778 2 , ,195 9,,729 96,,318 -10,,122 - 7,,118 - 1,,476 7 - 1,,559 + 86 9 262 + 223 470 + 9,,071 + 2,,634 + 169 + 860 + 2 ,,688 + 33 + 89 + 178 + 2 ,,420 -15,,446 179 362 61 46,453 36,219 6 , ,646 281 6 , ,379 + + 124 - 2 ,,505 - 8,,792 - 5,,346 361 + 1,,770 17,,242 96 2 ,,806 + 3,,770 14 + 39 21 + 8,,508 25,,785 3,,959 100 23,,371 + + + - 562 212 7 56 + 7,,082 + 452 25 + 1,,385 - 3,,577 - 4,,038 - 4,,994 + 8,,793 + 1,,347 + 695 - 2 NA M E M O R A N D A TOTAL LOANS# GROSS ADJUSTED (2) TOTAL LOANS AND INVESTMENTS# GROSS ADJUSTED (2) DEMAND DEPOSITS ADJUSTED (3) NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE INCLUDED IN TIME AND SAVINGS DEPOSITS—TOTAL TO INDIVIDUALS, PARTNERSHIPS, CORPS. TO OTHERS GROSS (1) (2) (3) * £/ 172,,448 231,,694 85,,507 -11,,561 59 10,, 8 1 0 121 - 8 , ,941 5,,280 + 62 - 2 ,,620 5,,530 13,847 LIABILITIES OF BANKS TO THEIR FOREIGN BRANCHES + 6 .,305 + 846 INCLUDES TIME DEPOSITS OF U.S. GOVERNMENT AND FOREIGN COMMERCIAL BANKS NOT SHOWN SEPARATELY. EXCLUSIVE OF LOANS AND FEDERAL FUND TRANSACTIONS WITH DOMESTIC COMMERCIAL BANKS. ALL DEMAND DEPOSITS EXCEPT U.S. GOVERNMENT AND DOMESTIC COMMERCIAL BANKS, LESS CASH ITEMS IN PROCESS OF COLLECTION. REVISED. PRELIMINARY. (SAN FRANCISCO DISTRICT). W H4.2.A WEEKLY CONDITION REPORT OF LARGE COMMERCIAL BANKS, BY DISTRICT, JANUARY 7, 1970 BOSTON NEW YORK FEDERAL RESERVE DISTRICT PHILA- CLEVERICH DELPHIA LAND MOND ATLANTA (IN MILLIONS OF DOLLARS) ASSETS TOTAL LOANS AND INVESTMENTS, (GROSS) 9,,986 FEDERAL FUNDS SOLD AND SECURITIES PURCHASED UNDER AGREEMENTS TO RESELL—TOTAL 324 COMMERCIAL BANKS 239 BROKERS AND DEALERS INVOLVING U. S. TREASURY SECURITIES INVOLVING OTHER SECURITIES -OTHERS 85 OTHER LOANS—TOTAL 7 ,257 j COMMERCIAL AND INDUSTRIAL LOANS 3,,401 AGRICULTURAL LOANS 7 LOANS TO BROKERS AND DEALERS FOR PURCHASING OR C A R R Y I N G — U . S, TREASURY SECURITIES 7 OTHER SECURITIES 27 OTHER LOANS FOR PURCHASING OR C A R R Y I N G — U.S.TREASURY SECURITIES 1 OTHER SECURITIES 24 LOANS TO NONBANK FINANCIAL INSTITUTIONSSALES FINANCE, PERSONAL FINANCE, ETC. 168 OTHER 231 REAL ESTATE LOANS 1,564 LOANS TO DOMESTIC COMMERCIAL BANKS 11 LOANS TO FOREIGN COMMERCIAL BANKS 22 CONSUMER INSTALMENT LOANS 936 LOANS TO FOR, GOVTS., OFFICIAL INSTS., ETC. 23 OTHER LOANS 835 U. S. TREASURY SECURITIES—TOTAL 874 TREASURY BILLS 175 TREASURY CERTIFICATES OF INDEBTEDNESS TREASURY NOTES AND U, S. BONDS M A T U R I N G — WITHIN 1 YEAR 128 1 YEAR TO 5 YEARS 234 AFTER 5 YEARS 337 OTHER SECURITIES—TOTAL 1,531 OBLIGATIONS OF STATES AND POLITICAL SUBDIVISIONSTAX WARRANTS AND SHORT-TERM NOTES AND BILLS 148 ALL OTHER 1,260 OTHER BONDS, CORPORATE STOCKS, AND SECURITIES PARTICIPATION CERTIFICATES IN FED. AGENCY LOANS 13 ALL OTHER (INCLUDING CORPORATE STOCKS) 110 CASH ITEMS IN PROCESS OF COLLECTION 1:,248 RESERVES WITH FEDERAL RESERVE BANKS 638 CURRENCY AND COIN 189 BALANCES WITH DOMESTIC BANKS 237 INVESTMENTS IN SUBSIDIARIES NOT CONSOLIDATED 50 OTHER ASSETS 507 TOTAL ASSETS/LIABILITIES 12,,855 73,641 9 ,144 17 ,509 11,662 • 9,702 1,788 1,541 255 249 361 353 399 399 451 434 15 169 63 55,425 30,554 54 mm • 5 3 11 ,598 = 5,,137 8 8,082 2,811 67 12 4 1 6,770 2,878 67 6 6,,873 3,, 125 9 931 2,210 13 45 5 97 17 75 75 9 816 4 67 9 141 17 59 3 78 2,322 2,135 6,646 327 861 3,738 622 4,200 6,497 1,480 383 269 1,192 9 62 916 65 714 753 428 227 2,625 213 237 270 897 280 22 1,195 2,087 304 1,771 6 10 1,951 7 798 1,407 96 1,078 1,083 99 905 3,442 670 9,931 108 525 98 1,263 276 1,284 223 3 ,463 371 830 110 1,774 273 624 87 1:,398 1,779 7,142 29 1,140 422 2,,856 84 1 ,491 1 . ,193 236 774 16,515 5,437 849 761 291 5,474 102,968 22 72 781 606 200 209 44 383 H ,,367 47 138 57 142 1;,081 730 295 278 5 480 14.,531 36 119 1,,531 698 165 531 6 510 13,,143 6,539 4 ,935 443. 148 658 131 4 74 146 3,,043 50 ,981 30 ,638 1,829 828 7,532 700 617 1 ,552 7 ,285 21.,845 5,294 4 ,158 210 126 566 45 16 57 116 3;,746 6,808 4,543 537 125 1,498 35 246 8 ,127 7,239 5 ,810 464 158 580 8 53 17 149 4,,962 3 25 77 3,760 1;,699 1,,146 80 18 98 9,,332 7,,063 658 156 ,476 4j 1.,689 1;,824 84 12 124 4.,800 2,,582 640 6 95 2j,710 1,,869 317 3 55 1,736 1,690 287 22 19 834 607 10 110 1,,046 50 5 ,482 j 16 530 113 420 6 73 802 45 200 1,151 165 3 1,070 14,960 1,506 3 7,645 515 168 917 1,,139 248 29 1,920 547 165 7 1,112 328 139 8 1,053 7,331 9,736 4,485 55,345 71,773 26,106 6,870 8,886 3,821 11,604 17,154 6,475 8,076 11,257 5,420 6,777 9,258 3,654 374 3,385 1,015 2,370 238 140 98 778 328 450 373 225 148 422 245 177 2 58 1,655 11 1 . ,263 1.,361 309 337 24 523 21,326 10 5 1,172 50 LIABILITIES DEMAND DEPOSITS—TOTAL INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS STATES AND POLITICAL SUBDIVISIONS U. S. GOVERNMENT DOMESTIC INTERBANK — COMMERCIAL MUTUAL SAVINGS FOREIGN—GOVTS., OFFICIAL INSTITUTIONS, ETC. COMMERCIAL BANKS CERTIFIED AND OFFICERS CHECKS TIME AND SAVINGS DEPOSITS—TOTAL*1) INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONSSAVINGS DEPOSITS OTHER TIME DEPOSITS STATES AND POLITICAL SUBDIVISIONS DOMESTIC INTERBANK FOREIGN—GOVTS., OFFICIAL INSTITUTIONS, ETC. FEDERAL FUNDS PURCHASED AND SECURITIES SOLD UNDER AGREEMENTS TO REPURCHASE BORROWINGS—FROM FEDERAL RESERVE BANKS FROM OTHERS OTHER LIABILITIES AND MINORITY INTEREST IN CONSOLIDATED SUBSIDIARIES RESERVES FOR LOANS RESERVES FOR SECURITIES TOTAL CAPITAL ACCOUNTS -- —— 8,704 6 ,948 504 258 708 5 — —— M E M O R A N D A TOTAL LOANS, GROSS ADJUSTED (2) TOTAL LOANS AND INVESTMENTS, GROSS ADJUSTED (2) DEMAND DEPOSITS ADJUSTED (3) NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE INCLUDED IN TIME AND SAVINGS DEPOSITS—TOTAL TO INDIVIDUALS, PARTNERSHIPS, CORPS. TO OTHERS (1) (2) (3) 222 152 INCLUDES TIME DEPOSITS OF U.S. GOVERNMENT AND FOREIGN COMMERCIAL BANKS NOT SHOWN SEPARATELY. EXCLUSIVE OF LOANS AND FEDERAL FUND TRANSACTIONS WITH DOMESTIC COMMERCIAL BANKS. ALL DEMAND DEPOSITS EXCEPT U.S. GOVERNMENT AND DOMESTIC COMMERCIAL BANKS, LESS CASH ITEMS IN PROCESS OF COLLECTION. NOTE: DISTRICT DATA ARE NOT STRICTLY COMPARABLE WITH THE PREVIOUS WEEK'S DATA BECAUSE OF ADJUSTMENTS TO ALLOW FOR MERGERS AND CONSOLIDATIONS DURING 1969. FIGURES WILL BE PUBLISHED IN MARCH 1970 BULLETIN. W E E K L Y C O N D I T I O N REPORT O F L A R G E COMMERCIAL RANKS# BY D I S T R I C T • H4.2.B JANUARY 7, 1970 CHICAGO (IN M I L L I O N S OF D O L L A R S ) ASSETS TOTAL L O A N S AND INVESTMENTS# (GROSS) FEDERAL F U N D S SOLD AND S E C U R I T I E S P U R C H A S E D UNDER A G R E E M E N T S TO R E S E L L — T O T A L COMMERCIAL BANKS B R O K E R S AND D E A L E R S INVOLVING U. S. TREASURY S E C U R I T I E S INVOLVING OTHER S E C U R I T I E S OTHERS OTHER L O A N S — T O T A L C O M M E R C I A L AND INDUSTRIAL LOANS A G R I C U L T U R A L LOANS L O A N S TO B R O K E R S AND D E A L E R S FOR PURCHASING OR C A R R Y I N G — U . S. TREASURY SECURITIES OTHER S E C U R I T I E S OTHER LOANS FOR P U R C H A S I N G OR C A R R Y I N G — U.S.TREASURY SECURITIES OTHER S E C U R I T I E S L O A N S TO NONBANK FINANCIAL I N S T I T U T I O N S SALES FINANCE* P E R S O N A L F I N A N C E , E T C . OTHER R E A L ESTATE L O A N S L O A N S TO D O M E S T I C C O M M E R C I A L BANKS L O A N S TO FOREIGN C O M M E R C I A L B A N K S CONSUMER INSTALMENT L O A N S L O A N S TO F O R . G O V T S . , O F F I C I A L INSTS.T ETC. OTHER LOANS U. S . TREASURY S E C U R I T I E S — T O T A L 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 AND U . S. B O N D S M A T U R I N G — WITHIN 1 YEAR 1 YEAR TO 5 Y E A R S AFTER 5 Y E A R S OTHER S E C U R I T I E S — T O T A L O B L I G A T I O N S OF S T A T E S AND POLITICAL S U B D I V I S I O N S — TAX W A R R A N T S AND SHORT-TERM N O T E S AND BILLS ALL OTHER OTHER B O N D S , CORPORATE S T O C K S , AND SECURITIES P A R T I C I P A T I O N C E R T I F I C A T E S IN F E D . AGENCY LOANS ALL OTHER (INCLUDING CORPORATE S T O C K S ) CASH ITEMS IN P R O C E S S OF COLLECTION R E S E R V E S WITH FEDERAL RESERVE BANKS CURRENCY AND COIN B A L A N C E S WITH D O M E S T I C B A N K S INVESTMENTS IN S U B S I D I A R I E S NOT CONSOLIDATED OTHER ASSETS TOTAL A S S E T S / L I A B I L I T I E S FEDERAL R E S ERVE DISTRICT SAN DALLAS KANSAS MINNE ST. FRANCISCO £' CITY APOLIS LOUIS 33,715 5,544 2,243 5,261 9,196 50,145 951 900 345 328 29 29 310 310 459 446 483 348 -- — 11 2 83 52 46 5 23,833 10,433 107 7 10 3,702 1,654 28 1,651 816 14 3,577 1,411 216 6,123 3,061 112 37,456 14,628 1,342 120 361 4 53 7 5 25 1 43 31 297 31 486 2 53 52 3 81 1 394 20 249 1,044 891 5,803 23 225 2,494 137 1,678 3,780 547 171 162 605 15 32 500 129 152 526 9 423 688 111 64 91 289 16 7 207 1 87 177 25 481 568 83 153 352 643 12 7 728 1 615 948 64 876 896 10,911 38 225 5,515 102 2,326 4,633 670 459 2,048 726 5,151 136 346 95 809 12 108 32 386 109 327 49 806 153 611 120 1,666 595 2,994 374 7,573 382 4,205 13 716 1 327 16 645 17 1,525 483 6,067 208 356 3,047 2,187 480 962 91 1,374 41,856 12 68 754 341 71 195 4 169 7,078 28 30 435 193 22 47 2 141 3,083 17 128 1,017 396 57 268 3 249 7,251 57 67 1,204 733 90 514 11 497 12,245 370 653 4,414 3,758 655 1,014 60 3,001 63,047 16,521 12,140 792 508 2,492 1 16 104 468 15,372 3,631 2,203 194 74 1,101 1,612 1,004 61 40 457 3 4,057 2,636 223 84 1,044 6,065 4,112 260 115 1,422 10 49 1,987 11 36 756 5 65 1,822 4 27 125 3,302 23,622 19,576 968 520 1,234 14 65 278 967 27,596 6,982 6,880 1,006 17 444 811 974 160 2 7 208 538 8 767 910 130 1 — 936 1,667 669 19 8 14,783 9,076 2,607 25 1,051 2,669 9 724 574 490 1,127 17 326 7 39 46 279 2,865 3 625 2,821 569 9 3,162 190 70 10 599 79 33 2 229 131 75 630 356 136 14 966 3,568 685 15 4,068 23,861 32,792 10,474 3,704 5,201 1,702 1,635 2,198 680 3,568 4,942 1,912 6,124 8,738 3,324 37,553 49,759 17,454 1,205 564 641 276 148 128 80 71 9 295 184 111 1,040 763 277 2,344 1,375 969 — -» —— 539 -— L I A B I L I T I E S DEMAND D E P O S I T S — T O T A L INDIVIDUALS, P A R T N E R S H I P S , AND C O R P O R A T I O N S S T A T E S AND P O L I T I C A L S U B D I V I S I O N S U. S. GOVERNMENT D O M E S T I C INTERBANK — COMMERCIAL MUTUAL SAVINGS F O R E I G N — G O V T S . , OFFICIAL I N S T I T U T I O N S , ETC. COMMERCIAL BANKS C E R T I F I E D AND O F F I C E R S CHECKS TIME AND S A V I N G S D E P O S I T S — T O T A L ! 1 ) INDIVIDUALS, P A R T N E R S H I P S , AND C O R P O R A T I O N S SAVINGS DEPOSITS OTHER TIME D E P O S I T S S T A T E S AND P O L I T I C A L S U B D I V I S I O N S D O M E S T I C INTERBANK F O R E I G N — G O V T S . , O F F I C I A L I N S T I T U T I O N S , ETC. FEDERAL F U N D S PURCHASED AND S E C U R I T I E S SOLD UNDER A G R E E M E N T S TO R E P U R C H A S E B O R R O W I N G S — F R O M FEDERAL R E S E R V E BANKS FROM O T HERS OTHER LIABILITIES AND MINORITY INTEREST IN C O N S O L I D A T E D S U B S I D I A R I E S RESERVES FOR LOANS RESERVES FOR S E C U R I T I E S TOTAL CAPITAL A C C O U N T S -— —— —— 2 —— —• —— —— —— -- M E M O R A N D A TOTAL L O A N S , G R O S S A D J U S T E D (2) TOTAL L O A N S AND I N V E S T M E N T S , GROSS ADJUSTED (2) DEMAND D E P O S I T S A D J U S T E D (3) N E G O T I A B L E TIME C E R T I F I C A T E S OF DEPOSIT ISSUED IN D E N O M I N A T I O N S OF $ 1 0 0 , 0 0 0 OR MORE INCLUDED IN TIME AND SAVINGS D E P O S I T S — T O T A L TO INDIVIDUALS, P A R T N E R S H I P S , CORPS. TO O T H E R S (1) (2) (3) INCLUDES TIME D E P O S I T S OF U . S . GOVERNMENT AND FOREIGN COMMERCIAL BANKS NOT SHOWN SEPARATELY. E X C L U S I V E OF LOANS AND FEDERAL FUND TRANSACTIONS WITH DOMESTIC C O M M E R C I A L B A N K S . A L L DEMAND D E P O S I T S EXCEPT U . S . GOVERNMENT AND DOMESTIC COMMERCIAL B A N K S , L E S S CASH ITEMS IN P R O C E S S OF C O L L E C T I O N . p/ PRELIMINARY. NOTE: DISTRICT DATA ARE NOT STRICTLY COMPARABLE WITH THE PREVIOUS WEEK'S DATA BECAUSE OF ADJUSTMENTS TO ALLOW FOR MERGERS AND CONSOLIDATIONS DURING 1969. FIGURES WILL BE PUBLISHED IN MARCH 1970 BULLETIN.