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Board of Governors STATEMENT FOR THE PRESS of bhe Federal Reserve System January 17, 1933 Forn FRr-284 For immediate release QonoA olon of Weekly Reporting Member Banks in 101 Leading Cities The condition statement of weekly reporting member banks in 101 leading cities shows the following principal changes for the week ended January 12$ Increases of $41,000,000 in holdings of United States Government direct obligations and^ $68,000,000 in ''Other securities" and a decrease of $16,000,000 in commercial, industrial and agricultural loans; increases of $39,000,000 in balances with domestic banks and #127,000,000 in reserve balances with Federal Reserve banks; an increase of $244,000,000 in demand deposits—adjusted, a decrease of §22,000,000 in time deposits, and an increase of $40,000,000 in deposits credited to domestic banks. Commercial, industrial and agricultural loans declined $6,000,000 in New York City and $16,000,000 at all reporting member banks. Open market paper declined $5,000,000 in New York City and at all reporting member banks. Holdings of United States Government direct obligations increased #17,000,000 in Hew York City, $14,000,000 in the Boston district, $9,000,000 in the Chicago district and $41,000,000 at all reporting member banks. Holdings of obligations fully guaranteed by the United States Government increased $8,000,000 in New York City and $6,000,000 at all reporting member banks. Holdings of "Other securities" increased $55,000,000 in New York City and $68,000,000 at all reporting member banks* _ . Demand deposits-adjusted increased in nearly all districts, the principal increases being $121,000,000 in New York City, $31,000,000 in the Chicago district, #26,000,000 in the Kansas City district, $23,000,000 in the San Francisco district, $14,000,000 in the Dallas district and $12,000,000 each in the Boston and Richmond districts, and the total increase being $244,000,000* Time deposits declined $11,000,000 in New York City and $22,000,000 at all reporting member banks. Deposits credited to domestic banks increased $49,000,000 in Hew York City and $40,000,000 at mil reporting member banks, and declined $10,000,000 in the Dallas district. Deposits credited to foreign banks declined $12,000,000 in New York City. Borrowings of weekly reporting member banks were $6,000,000 on January 12. A summary of the principal assets and liabilities of the reporting member banks, ... . - .. , i , j. j (in millions of dollars' Jan. 12, 1938 A S S E T S Loans and Investments — total 21,333 Loans — total 9,195 Commercial, industrial, and agricultural loansi On securities 569 Otherwise secured and unsecured 3,932 Open market paper 460 Loans to brokers and dealers in securities 842 Other loans for purchasing or carrying securities 625 Real estate loans 1,164 Loans to banks 66 Other loans: On securities 720 Otherwise secured and unsecured 817 U. S. Government direct obligations 8,097 Obligations fully guaranteed by U.S. Gov't 1,131 Other securities 2,910 Reserve with Federal Reserve banks 5,600 Cash in vault 330 Balances with domestic banks 1,957 L I A B I L I T I E S Demand deposits—adjusted 14,463 Time deposits 5,203 U. S. Government deposits 675 Inter-bank deposits; Domestic banks 5,264 Foreign banks 432 Borrowings & •^Comparable figures not available. 1 n T Q-3Q -fVl "I/-w»ra« Increase or decrease since Jan. 13, Jan. 5, 1937 1938 +84 -31 -1,464 +156 * -1 "*15 "5 +2 ~3 +1 —3 —3 ™4 +4l +° +68 +127 +8 +39 -1,178 -109 -333 +297 -83 -397 4-244 ""22 —4 +40 —9 -1,099 +150 +20 -857 +19 * * -386 * +12 +9 * * +6 Form Fft-284-a STATEMENT FOR THE PRESS Board of Governors of the Federal Reserve System January 13, 1938. For immediate release ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES (In millions of dollars) Chicago New York City 1 9 3 8 1938 1937 1 9 3 8 1938 1937 Jan. 12 Jan. 5 Jan. 13 Jan. 12 Jan. 5 J an. 13 A S S E T S Loans and Investments - total 7,852 7,776 8,634 1,941 1,937 2,127 Loans - total 3,413 3,417 3,544 622 624 630 222 1,518 186 682 * 223 * 1,523 * 191 674 1,021 30 389 26 37 30 385 27 38 * * 74 13 1 * * Commercial, industrial, and agricultural loanst On securities Otherwise secured & unsecured Open market paper Loans to brokers and dealers Other loans for purchasing or carrying securities Real estate loans Loans to banks Other loans I On securities Otherwise secured & unsecured 213 129 37 214 128 38 * 130 26 73 13 1 234 192 233 193 * * 21 32 21 35 46 14 5 * U. S. Gov't obligations Obligations fully guaranteed by U. S. Gov't Other securities 3,069 3,052 3,573 962 958 1,126 383 987 454 375 932 1,063 102 255 102 253 95 276 Reserve with F. R. bank Cash in vault Balances with domestic banks Other assets - net 2,660 56 71 475 2,586 2,544 58 56 81 73 489 463 618 28 149 58 582 28 169 58 571 36 183 74 Demand deposits - adjusted Time deposits U.S. Gov't deposits Intel—bank deposits! Domestic banks Foreign banks 5,785 64a. 364 5,664 652 365 1,430 465 65 1,417 465 65 1,575 456 67 2,083 392 2,034 2,431 378 4o4 564 6 557 5 626 4 Borrowings Other liabilities Capital account 6 361 1,482 — — 7 349 347 1,481 1,466 — —• — L I A B I L I T I E S 6,392 597 193 — 15 249 — 15 250 — 25 238 ^Comparable figures not available. Form FRr28-4-b ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IU 101 LEADING CITIES OH JANUARY 12, 1938 (in millions of dollars) Total New All ! Boston iYork districts A S S E T S 1,216 21,333 Loans and Investments - total 643 9,195 Loans - total Commercial, industrial, and agricultural loans I 38 569 On securities 260 3,932 Otherwise secured & unsecured 80 460 Open market paper 29 842 Loans to brokers and dealers in securities Other loans for purchasing or 34 625 carrying securities 84 1,164 Real estate loans 66 5 Loans to banks Other loansi 59 720 On securities 54 817 Otherwise secured and unsecured 421 8,097 U. S. Gov't obligations 22 1,131 Obligations fully guaranteed by U.S.Gov't 130 2,910 Other securities 304 5,600 Reserve with F. R. bank 39 330 Cash in vault 122 1,957 Balances with domestic banks 78 1,275 Other assets - net L I A B I L I T I E S 982 14,463 Demand deposits - adjusted 266 5,203 Time deposits 28 675 U. S. Gov't deposits Inter-bank deposits: 212 5,264 Domestic banks 9 432 Foreign banks — — 6 Borrowings 826 23 Other liabilities 239 3,626 Capital account Federal Phila- Cleve- Richmond delphia land Reserve Atlanta Chicago District San St. Minne- Kansas Dallas Francisco City Louis 1,108 1,815 457 707 640 251 548 291 2,979 955 649 319 387 178 665 273 497 243 2,115 1,034 234 1,639 197 689 46 164 23 19 46 238 17 24 14 99 l4 3 12 148 4 6 49 533 47 45 51 147 10 5 . 10 77 8 1 17 156 19 4 11 144 3 3 4l 327 38 14 288 235 38 35 59 2 39 174 2 18 30 2 15 27 2 88 87 4 13 47 7 9 6 13 21 1 15 20 58 374 3 265 259 3,285 433 1,152 2,792 73 148 553 50 59 301 91 259 250 19 146 84 125 42 792 60 256 334 4l 189 103 29 42 282 46 61 137 19 114 36 25 52 152 31 74 105 12 110 37 45 57 1,443 190 391 832 64 329 89 11 28 192 45 93 155 11 116 23 12 55 155 14 40 73 6 76 16 14 28 234 44 114 169 13 218 22 11 36 175 29 50 117 11 170 27 74 105 665 126 290 332 22 219 207 6,320 1,052 375 785 1,044 733 275 20 25 415 196 13 322 182 18 2,163 883 89 408 184 8 256 122 2 486 145 l4 396 128 22 886 1,037 61 2,150 394 6 372 1,611 273 3 317 1 207 194 2 760 7 257 114 1 347 188 1 245 14 20 226 17 350 5 89 19 372 7 90 7 56 3 92 6 81 323 329 8,714 3,844 — — 24 91 — — — —