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H.4.2 BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) July 15, 1959 CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES Note: Beginning with this statement, this series is revised "both in coverage and in format. The revised form includes several new items, the most important of which is loans to financial institutions, previously reported against other loan categories. The new report shows comparable week-ago figures, but year-ago figures are approximations or are not available for some items. A summary of assets and liabilities of reporting member banks follows: Increase or decrease since July 1, July 9, 1958 1959 (In millLions of dollars) + 436 +3,028 105,431 + 925 n.a. 104, 401 n.a. 92 63, 259 n.a. 28,483 45 + 122 880 3 July 8, 1959 A S S E T S Total loans and investments Loans and investments adjusted l/ Loans adjusted l/ Commercial and industrial loans Agricultural loans Loans to brokers and dealers for purchasing or carrying: U. S. Govt, securities Other securities Other loans for purchasing or carrying: U. S. Govt, securities Other securities Loans to non-bank financial institutions: Sales finance, personal finance, etc. Other Loans to foreign banks Loans to domestic commercial banks Real estate loans Other loans U. S. Government securities - total Treasury bills Treasury certificates of indebtedness Treasury notes and U. S. bonds maturing: Within 1 year 1 to 5 years After 5 years Other securities Reserves with F. R. Banks Cash in vault Balances with domestic banks Other assets - net Total assets/liabilities L I A B I L I T I E S Demand deposits adjusted U. S. Government demand deposits Interbank demand deposits: Domestic banks Foreign banks Time deposits: Interbank Other Borrowings: From Federal Reserve Banks From others l/ Exclusive of loans to domestic commercial banks and reserves; individual loan items are shown gross * Preliminary (San Francisco District), Digitizednfor FRASER .a.Not available. 422 1,778 + 165 1,248 + 3,727 1,452 591 1,030 12,211 13,644 - - - + - + + 129) 116) 8) 5) 86 2 2) 489) 13 16 30,958 2,845 2,097 + 978 +1,,098 60 l, 667 17,649 6,700 10,184 32) 47) + 19) + 39 + 347 + 25 352 21 -1;,089 13,334 1,150 2,629 3,193 135,779 60,316 3,829 11,063 1,545 Ope: jc-s - 43 n.a. n.a. 1 +1,894 n.a. -3,531 + 667 + 352 - - - + + + 519 773 222 22 -4,550 + 206 - 319 + 32 - 407 + 159 +3,427 +1,979 - 912 -1,186 + 53 1,802 23 - 460 30,938 29 +1,644 + 879 418 + 779 + 1,350 - 439 282 after deduction of valuation ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER H.4.2(a) BANKS IN LEADING CITIES, JULY 8, 1959 (in millions of dollars) Federal Reserve District Phila-| Cleve- Rlc New 5"IAtlanta I Boston York delphia| land moud i A S S E T S 4,197 4,l4o 2,437 1,060 15 Total loans and investments i 4,312 31,582 Loans and investments adjusted l/ ' 4,270 31,092 2,760 19,535 Loans adjusted l/ 1,369 10,593 Commercial and industrial loans 17 Agricultural loans 7 Loans to brokers and dealers for purchasing or carrying: 1 321 U. S. Govt, securities 21 1,285 Other securities Other loans for purchasing or carrying: U. S. Govt, securities 45 3 Other securities 407 17 Loans to non-bank financial institutions: Sales finance, personal finance, etc. 1,364 178 Other 291 74 - Loans to foreign banks 380 Loans to domestic commercial banks 42 490 Real estate loans 432 1,987 Other loans 721 3,328 3,992 3,958 2,604 1,157 2 8,323 8,283 4,755 1,808 3 3,586 3,526 1,975 727 7 12 30 30 81 6 22 7 6l 31 175 12 31 11 71 162 265 81 89 - 3 40 34 332 1,284 837 1,079 121 91 1 60 363 629 117 133 - - 35 57 257 783 U* S. Government securities - total Treasury bills Treasury cert, of indebtedness Treasury notes and U. S. bonds maturing: Within 1 year 1 to 5 years After 5 years Other securities 1,101 64 89 8,388 l,44o 4l8 982 86 78 29 651 268 409 542 4,206 1,782 3,169 171 34 540 1,732 244 324 851 372 Reserves with F. R. Banks Cash in vault Balances with domestic banks Other assets - net Total assets/liabilities 504 1,163 521 4,355 61 134 68 250 114 186 183 100 142 123 133 1,337 5,481 41,139 5,173 10,510 468 521 64 75 316 136 io4 93 4,738 5,706 3,H6 18,374 2,664 4,889 413 140 178 1,517 2,407 2,579 120 120 2,677 283 167 1,245 1,332 101 87 216 67 52 732 307 306 59 719 237 371 L I A B I L I T I E S Demand deposits adjusted U. S• Government demand deposits Interbank demand deposits: Domestic banks Foreign banks Time deposits: Interbank Other Borrowings: From F. R. Banks From others Other liabilities C A P I T A L A C C O U N T S 383 38 3,083 1,223 433 23 545 11 32 729 18 35 121 1,411 5,975 222 703 1,457 7 842 28 45 88 2,948 66 25 99 522 3,745 486 949 - - 480 9 875 12 15 3 828 1,042 61 50 22 42 67 58 350 420 1/ Exclusive of loans to domestic commercial banks and after deduction of valuation reserves; individual loan items are shown gross. H.4.2(D) ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES, JULY 8, 1959 (Cont'd) (in millions of dollars) Federal Reserve D: strict San St. Minne- Kansas Chicago Louis apolis City Dallas Francisco* A S S E T S 14, 170 2,971 1,673 3,822 Total loans and investments 14, ill 2,910 1,663 3,779 Loans and investments adjusted l/ 7,664 1,738 1,043 2,210 Loans adjusted l/ 481 956 675 3,501 Commercial and industrial loans 180 21 28 15 Agricultural loans Loans to "brokers and dealers for purchasing or carrying: 1 28 7 9 U. S. Govt. securities 4 13 26 172 Other securities Other loans for purchasing or 6 9 26 carrying: U. S. Govt, securities 6 18 31 196 Other securities Loans to non-hank financial institutions: Sales finance, personal 148 153 70 684 finance, etc. 96 25 83 150 Other - 14 Loans to foreign banks 10 43 61 59 Loans to domestic commercial hanks 320 291 199 1,382 Real estate loans 480 252 495 1,679 Other loans ee w U. S. Government securities - total Treasury hills Treasury cert. of indebtedness Treasury notes and U. S. bonds maturing: Within 1 year 1 to 5 years After 5 years Other securities Reserves with F. R. Banks Cash in vault Balances with domestic banks Other assets - net Total assets/liabilities L I A B I L I T I E S Demand deposits adjusted U. S. Government demand deposits Interbank demand deposits: Domestic banks Foreign banks Time deposits: Interbank Other Borrowings: From F. R. Banks From others Other liabilities C A P I T A L A C C O U N T S 4,612 22,191 4,591 22,078 2,857 13,681 4,660 1,496 32 553 1 15 6 74 10 184 5 51 137 109 21 223 701 328 230 193 113 5,141 2,660 W «• 4,942 324 357 923 63 57 469 1,216 1,389 121 40 91 80 21 135 6,294 145 412 235 2,850 1,176 1,505 78 571 154 249 36 273 99 151 45 821 322 345 314 3,838 1,585 2,103 1,857 150 316 231 18,038 72 716 202 353 466 2,330 574 201 374 205 50 14 43 36 428 319 312 70 149 686 169 42 44 89 3,908 2, 220 5,185 6,260 27,421 2,304 2,690 10,946 322 102 173 7,749 l, 670 86 551 928 107 1,750 53 714 4 344 4 965 2 34 4,652 186 108 235 2 680 4 37 48 383 6 15 34 295 3 764 1,292 10,803 24 119 95 198 21 99 642 44 57 i,4o6 329 179 4ll 950 16 529 541 150 1,739 1/ Exclusive of loans to domestic commercial banks and after deduction of valuation reserves; individual loan items are shown gross. * Preliminary (San Francisco District).