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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).