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Board of Governors of the Federal Reserve System July 17, 19^5 Condition of Weekly Reporting Member Banks in Leading C i t i e s Form F, R. 281* For immediate r e l e a s e STATEMENT FOR THE PRESS The condition statement of weekly reporting member banks in 101 leading c i t i e s shows the f o l l o w i n g p r i n c i p a l changes for the week ended July l i t A decrease of $271,000,000 in loans; increases of $222,000,000 in holdings of United States Government o b l i g a t i o n s of which $158,000,000 was in Treasury b i l l s , and $1*33,000,000 i n demand deposits adjusted; and a decrease of $61*i*,000,000 in United S t a t e s Government d e p o s i t s . Loans t o brokers and dealers f o r purchasing or carrying United States Government obligations declined $151*,000,000 and other loans for the same purpose dec l i n e d $97,000,000, both l a r g e l y in New York City. Commercial, i n d u s t r i a l , and a g r i c u l t u r a l loans declined $16,000,000 in New York City and $7,000,000 at a l l reporting member banks, and increased $11,000,000 in the Philadelphia D i s t r i c t , Holdings of Treasury b i l l s increased $106,000,000 in New York City,$51»000,000 in the Chicago D i s t r i c t , and $158,000,000 at a l l reporting member banks. Holdings of Treasury c e r t i f i c a t e s of indebtedness declined $52,000,000 in New York City, $21,000,000 i n the Chicago D i s t r i c t , and increased i n most of the other d i s t r i c t s ; the net decrease at a l l reporting member banks was $17,000,000. Holdings of Treasury notes and of United S t a t e s Government bonds increased $19,000,000 and $68,000,000, r e s p e c t i v e l y . Demand d e p o s i t s adjusted increased and United States Government d e p o s i t s decreased i n a l l d i s t r i c t s . Time deposits increased in nearly a l l d i s t r i c t s , and the t o t a l increase a l l reporting member banks was $5U,000,000. Deposits c r e d i t e d t o domestic banks declined $10l*,000,000 in New York C i t y and $51,000,000 at a l l reporting member banks. A summary o f the a s s e t s and l i a b i l i t i e s of reporting member banks f o l l o w s : Increase or decrease since ^ July 12* July 3, 19l*l* 191*5 ASSETS Loans and Investments - t o t a l Loans - t o t a l Commercial, i n d u s t r i a l , and a g r i c u l t u r a l loans Loans t o brokers and dealers f o r purchasing or carrying: U. S. Government o b l i g a t i o n s Other s e c u r i t i e s Other loans for purchasing or carrying: U. S. Government Obligations Other s e c u r i t i e s Real e s t a t e loans Loans t o banks Other loans Treasury b i l l s Treasury c e r t i f i c a t e s of indebtedness Treasury notes U. S. bonds Obligations guaranteed by U. S. Government Other s e c u r i t i e s Reserve with Federal Reserve Banks Cash in vault Balances with domestic banks L I A B I L I T I E S Demand deposits adjusted Time deposits U. S, Government d e p o s i t s Interbank d e p o s i t s : Domestic banks Foreign banks Borrowings July 11, 19U5 ( I n m i l l i o n s of d o l l a r s ) +7,02 u - 56 6k,235 +1,1*1*1 - 271 13,772 - 112 5,928 7* + 1*25 + 221* 1,667 877 - 15k - 2 2,287 397 1,051 - 3,125 9,599 + + + - 97* l 3 4 9 158 17* 19* 68 6 7 133 2,415 - 9 -1,533 - 1*51 +2,205 +5,811* - 611* + 162 + 880 1* 10 + 133 + 5It - 61*1* - 51 + 7 + lit +3,827 +1,793 + 13b + 72a + 162 + 11* + 61* 1,501 2,090 10,61*7 9,626 24,967 8 582 36,308 8,596 15,535 9,996 i,ol*o 78 + Uo + 712 + 65 19 - + 10 156 Debits t o demand d e p o s i t accounts, except interbank and U. S. Govt, accounts, during week ll*,360 • J u l y 3 f i g u r e s revised(Chicago D i s t r i c t ) Form F. R, 284a STATEMENT FOR THE PRESS Board of Governors of t h e F e d e r a l Reserve System ' J u l y 12, lcjk5 For immediate r e l e a s e CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES ( I n m i l l i o n s of d o l l a r s ) New York C i t y I n c r e a s e or decrease since J u l y 3, 1 J u l y 12, I9u5 1 W July 11, 19^5 July 11, 19^5 Chicago I n c r e a s e or decrease since J u l y 3, J u l y 12, I9h5 19^ A S S E T S Loans and I n v e s t m e n t s - t o t a l Loans - t o t a l Commercial, i n d u s t r i a l , and a g r i c u l t u r a l loans Loans t o b r o k e r s and d e a l e r s f o r p u r c h a s i n g or c a r r y i n g : U. S . G o v t . . o b l i g a t i o n s Other s e c u r i t i e s Other l o a n s f o r p u r c h a s i n g or carrying: U. S, Govt, o b l i g a t i o n s Other s e c u r i t i e s Real e s t a t e l o a n s Loans t o banks Other l o a n s Treasury b i l l s T r e a s u r y c e r t , of i n d e b t . Treasury notes U. S . bonds Obligations guaranteed by U. S . Government Other s e c u r i t i e s Reserve w i t h F.R. Banks Cash i n v a u l t Balances w i t h d o m e s t i c banks Other a s s e t s - n e t 23,052 ' 6,137 2,227 - l,3ko — +1,960 5,772 • It + 31+8 232 + 898 1,21+7 • 5 4- 130 66 676 l - 68 363 181 131 35 3 1 4- + + 52 5 31+3 1+1+ 16 6 55 2/4.0 - 6 1 4- 16 .155 5 + - 52 l + - 7 68b 1,193 180 65 51 397 178 - 4- 4* - 508 3,039 3,227 9,069 + b + 106 + 563 - 1 ,000 4I+69 +2,263 52 36 38 - + l 1,071 - - - - 2 3,1+33 - 9b 4- 28 292 4- 13,211 1,015 + + 4* 11+5 10 5 l 4- 197 90 52 25 1 - 197 1,222 826 1,931 10 32 -P 26* 42* 6 4h - + 4 mm mm 31+9 +l,i+/+6 218 + 290 3,251+ 683 1,396 + + 1.191 21 4- 4- - - 83 892 35 203 38 4- + 120 9 2 4- - - 299 1 2 3 4- - 4- 4- - + 4- l 9 1 6 1 4- 4- 197 2 227. 223 31 2 56 9 10 5 L I A B I L I T I E S Demand d e p o s i t s a d j u s t e d Time d e p o s i t s U. S. Government d e p o s i t s Interbank deposits: Domestic banks F o r e i g n banks Borrowings Other l i a b i l i t i e s CAPITAL ACCOUNTS D e b i t s t o demand d e p o s i t a c c o u n t s , e x c e p t i n t e r b a n k and U.S. Govt, a c c o u n t s , d u r i n g week 6,36b 3,11+3 930 23 363 1,917 6,720 - + - 107 1+ 302 10li 9 23 + + 2 + 58 133 9 15 112 44- 4- 83 h 71 7 1 44- 44- 231 125 22 35 7 mm mm 3h + 361 1,1^9 *July 3 figures revised 1 44- # 2 22 Form F. R. 284b ASSETS MID LIABILITIES OF'WEEKLY REPORTING MEMBER BANKS IN 101 LEADING CITIES^-: JULY 11, 1945 Total F e d e r a 1 E~1 e r v e D i s t r i c t All New P h i l a CleveRichS t . Minne- Kansas J San Boston A t l a n t a Chicago Dallas districts York d e l p h i a land mond Loui s a p o l i s C i t y j Francisco A S S E T S ( I n m i l l i o n s of d o l l a r s ) Loans and Investments - t o t a l 64,235 3,569 25,279 2,773 5,089 2,089 1,931 9,561 1,977 1,253 2,224 1,887 6,553 Loans - t o t a l 13,772 717 6,506 474 313 1,782 992 365 223 468 364 470 1,098 Commercial, i n d u s t r i a l * & a g r ' l loans 5,928 402 2,369 204 120 381 184 242 116 912 216 288 494 Loans t o brokers and dealers for purchasing or carryingt U. S. Government o b l i g a t i o n s 1,667 51 1,348 2 6 2 2 79 9 134 3 31 Other s e c u r i t i e s 22 877 689 25 6 2 37 6 47 9 4 25 5 Other loans f o r purchasing or carrying: U. S. Government o b l i g a t i o n s 2,287 38 205 60 39 1,245 63 26 336 47 120 71 37 Other s e c u r i t i e s 18 204 11 397 17 60 14 7 22 9 4 24 7 Real e s t a t e loans 1,051 65 144 153 33 25 66 45 145 23 24 291 37 Loans- t o banks 2 64 —— —— 1 2 51 1 4 3 Other loans 1,501 118 l4l 456 132 63 148 61 73 87 115 49 58 Treasury b i l l s 2,090 240 551 124 149 320 66 121 57 38 99 250 75 Treasury c e r t i f i c a t e s of indebtedness io,6L7 700 3,394 912 2,004 351 359 269 354 197 410 398 1,299 t r e a s u r y notes 9,626 508 3,557 471 738 318 305 1,409 318 192 270 1,087 453 U„ S. bonds 1,326 10,123 1,145 24,967 2,080 748 3,510 727 959 556 613 2,421 759 .Obligations guaranteed by U.S.Government 8 1 - —— 1 2 1 3 Other s e c u r i t i e s 3,125 62 78 1,147 175 243 128 138 129 534 47 49 395 Reserve with Federal Reserve Banks 412 448 3,681 316 756 9,599 1,426 363 181 325 430 367 894 Cash i n v a u l t 582 62 129 28 31 22 76 38 10 92 23 24 47 Balances with domestic banks 2,415 129 120 80 214 213 168 123 106 413 306 270 273 Other a s s e t s - net - 1,346 71 20 57 334 71 4o 71 20 45 14 30 573 L I A B I L I T I E S Demand d e p o s i t s adjusted 36,308 2,077 14,519 1,726 2,938 1,203 1,207 5,448 1,013 1,278 1,221 650 3,028 Time d e p o s i t s 208 382 1,614 8,596 1,148 318 1,683 311 260 251 I89 379 1,853 U. S. Government deposits 1,166 6,842 15,535 1,029 2,118 749 .325 555 328 383 1,254 387 399 Interbank d e p o s i t s $ Domestic banks 306 3,213 386 420 9,996 528 1,671 602 575 306 931 587 471 Foreign banks 20 l,o4o 2 6 2 2 933 25 4 9 3 34 Borrowings — - 78 l —— 52 2 3 1 15 4 Other l i a b i l i t i e s 1,822 16 16 372 32 103 11 35 1,168 8 47 7 7 CAPITAL ACCOUNTS 4,802 276 1,998 125 82 247 128 119 465 142 124 567 529 mm w •»«- Debits t o demand d e p o s i t accounts, except interbank and U.S.Govt, accounts 14,360 624 848 * 379 e 343 0 1,918 263 364 > *» mm 457 344 i 1,103