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STATEMENT FOR THE PRESS For immediate r e l e a s e Board of Governors of the Federal Reserve System January 6, . Condition of Weekly Reporting Member Banks in .101 Leading C i t i e s The condition statement of weekly reporting member banks in 101 leading c i t i e s on December J1 shows a decrease f o r the week of $44,000,000 in t o t a l loans and i n vestments, and increases of $131,000,000 in reserve balances with Federal Reserve banks, $103,000,000 in demand deposits-adjusted and $61,000,000 in deposit balances standing to the c r e d i t of domestic banks. Loans to brokers and dealers in Hew York City increased $62,000,000; loans to brokers and dealers outside New York increased $12,000,000' and loans on s e c u r i t i e s to others (except banks) showed no net change f o r the week. Holdings of acceptances and commercial paper bought increased $6,000,000? real e s t a t e loans declined $4,000,000; and "Other loans" increased $8,000,000 in the Chicago d i s t r i c t • $7,000,000 in the Hew York d i s t r i c t and $9,000,000 at a l l reporting member banks* Holdings of United S t a t e s Government d i r e c t o b l i g a t i o n s increased $32,000,000 in the Chicago d i s t r i c t , and declined $136,000,000 in the Hew York d i s t r i c t and $148,000,000 at a l l reporting member batiks; holdings of o b l i g a t i o n s f u l l y guaranteed by the United S t a t e s Government declined $5,000,000; and holdings of "Other s e c u r i t i e s " increased $26,000,000 in the Hew York d i s t r i c t and $24,000,000 at a l l . reporting member banks. Demand deposits-adjusted increased $84,000,000 in the Hew York d i s t r i c t , $20,000,000 i n the San Francisco d i s t r i c t , $15,000,000 in the Philadelphia d i s t r i c t , $9,000,000 in the Chicago d i s t r i c t and $103,000,000 at a l l reporting member banks. Time d e p o s i t s increased $28,000,000. Deposits balances of other domestic banks increased $771000,000 i n the Hew York d i s t r i c t and $6l,000,000 a t a l l reporting member banks. A summary of the p r i n c i p a l a s s e t s and l i a b i l i t i e s of the reporting member banks, together with changes for the week and the year ended December 31, 1935» f o l l o w s : (In m i l l i o n s of d o l l a r s ) Increase or decrease since Dec* 24, Jan. 2 I Dec. 31, ASSETS Loans and investments - t o t a l I 1935 1935 1935 20,895 -44 +1,413 980 183 +62 +12 +223 +7 Loans to brokers and dealers: In Hew York City Outside Hew York City Loans on s e c u r i t i e s to others (except banks) 2,111 Acceptances & commercial paper bought Loans on real e s t a t e Loans to banks Other loans 362 1.136 J6 3,4OI +6 -4 U. S. Gov't d i r e c t o b l i g a t i o n s 8,46s Obligations f u l l y guaranteed by U.S.Govt . 1,126 Other s e c u r i t i e s 3.052 -148 +697 +485 Reserve with F. R. banks Cash in vault Due from domestic banks U.597 369 2.309 +131 +1.379 +48 13,888 4,911 +103 +2,474 +6l +883 +304 LIABILITIES Demand deposits - adjusted Time deposits U. S. Government d e p o s i t s Inter-bank d e p o s i t s : Domestic banks Foreign banks Borrowings 701 % 1 -148 -+9 .-17 +03 +28 -4 2 -88 -47 +187 ' +336 +101 -736 (B-S04) STATEMENT FOE THE PRESS Board of Governors of the Federal Reserve System January 2, 1936 For immediate release ASSETS AND LIABILITIES OF WEEKLY RZPORTIITG MEMBER BANKS IS CE1TTRAL RESERVE CITIES (In millions Of dollars) Hew York City .Chicago 1935 -1235 Dec. 311 Dec. 24 Jan, 2 1935 .193 Dec. 311f dDec.24] e c . S k iJan. £ ASSETS Loans and investments - t o t a l 1,872 1,816 1,576 54 28 25 26 25 746 773 149 i4s 171 Acceptances & commercial paper bought 174 Loans on real egtate 127 Loans to "banks 42 Other loans l,l6l 170 128 42 1,150 227 15 15 15 U.S. Gov't direct obligations Obligations f u l l y guaranteed by U. S. Gov't Other s e c u r i t i e s 3,243 Loans to "brokers and dealers: In Few Yorlc City Outside Hew York City Loans on s e c u r i t i e s to others(except banks) 7,917 7,955 7,346 955 59 895 59 598 743 1,160 16 6 257 6 251 61 19 10 213 3,37s 3.103 1,069 1,025 750 383 382 1,005 966 243 241 223 Reserve with F. R. bank Cash in vault Due from domestic banks Other a s s e t s - net LIABILITIES 2,446 57 ,77 471 2,264 63 1,501 50 608 t8 232 86 4l 204 S3 413 4o ,79 514 39 Demand deposits - adjusted Time deposits U. S. Gov't deposits Inter-bank deposits: Domestic banks Foreign banks 5,322 566 198 5.769 4,727 598 197 735 1,434 421 98 1,432 4i4 98 1,184 2,200 4ll 2,125 403 i 534 5 447 40 225 *41 228 42 220 Borrowings Other l i a b i l i t i e s Capital account 1,030 472 % 273 568 313 1,458 1,797 119 1 301 1,465 89 51 90 78 198 97 *4 2 (B~SQUa) ASSETS AH) LIABILITIES OF WEEKLY BEPOBTIHGr MEMBER BAMS III 101 LEA.DBTG- CITIES Oil DECEMBER 31, 1935 B-804b District Reserve Federal | Total 1 ITew (Phila- jCleve- Rich- (Atlanta | Chicago1| S t , j Minns- j ILansas a a s 1 San I All j£rancisco (Louisjapolis} City j d i s t r i c t s Boston jYork jdelphiaj land mond ASSETS Loans and investments - t o t a l Loans to brokers and dealers: In Eew York City Outside Hew York CityLoans on s e c u r i t i e s to others (except hanks) Acceptances and commercial paper bought Loans on real e s t a t e Loans to banks Other loans U. S. Gov't d i r e c t obligations Obligations f u l l y guaranteed by U.S.Govt. Other s e c u r i t i e s Reserve with F . R. bank Cash i n vault Due from domestic banks Other a s s e t s - net 20,895 980 183 2,111 362 1,136 J6 3.401 8,468 1,126 3.052 4.597 369 2,309 1,395 1,114 £ 961 6l 155 42 85 274 898 177 243 42 1,299 20 153 412 1,212 266 103 131 85 2,525 11 190 540 912 300 6,314 2 372 3.473 9 1.748 —- 613 523 2,755 602 390 624 l 33 5 2 60 12 32 10 m^rnrnrn 16 15 3 6 149 20 67 2 170 297 96 221 68 5 1S 7 7 20 48 5 6 178 — 258 74 244 103 295 35 73 193 15 l66 98 24s 32 217 ll4 104 16 130 43 818 21 1 145 225 30 65 10 76 357 1,550 l4l 343 65 662 181 4o 10 i4i 43 64 462 125 45s 2,156 3 2 2 11 43 28 15 5 132 42 2 21 133 14 45 47 117 51 47 116 12 130 27 53 5 104 104 38 7 115 208 58 99 6 127 154 22 2 232 12 279 mum* 160 78 10 170 24 368 1 362 72s 135 355 183 19 196 37 163 30 447 145 16 321 121 27 778 i,o4i 358 I89 257 10 2 88 ~6 279 317 231 LIABILITIES Demand deposits-adjusted Time deposits U. S . Gov't deposits Inter-bank deposits: Domestic banks Foreign banks Borrowings Other l i a b i l i t i e s Capital account 13,888 4,911 701 % 15 227 1 765 3,506 967 226 2,263 9 412 26 230 325 1,596 1 754 250 45 291 4 19 223 673 55 365 190 33 294 170 32 2,081 762 130 375 172 11 270 120 114 1 310 1 200 1§4 1 70S 5 239 12 30 38 8 S3 "*44 9 81 331 33s 8 56 75 103 'v i