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FEDERAL £°t& statistical RESERVE release f*4L R$S^. For immediate release J u l y 1 7 , 1963 CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES H.4.2 The condition statement of weekly reporting member banks in leading cities shows the following principal changes for the week ended July 10: Decreases of $295 million in loans adjusted and $l,2l6 million in reserves with Federal Reserve Banks, and an increase of $125 million in holdings of U. S. Government securities; decreases of $1,725 million in U. S. Government demand deposits, $109 million in demand deposits credited to domestic commercial banks, and an increase of $738 million in demand deposits adjusted. Commercial and industrial loans decreased a net of $134 million; during the comparable week a year ago these loans increased $95 million. Loans to brokers and dealers for purchasing or carrying U. S. Government securities increased $75 million, and their loans for purchasing or carrying "other" securities decreased $195 million. Loans to sales and personal financing institutions decreased $82 million and loans to "other" nonbank financial institutions increased $27 million, as compared with decreases of $232 million and $2 million, respectively, during the similar week in 1962. Real estate loans increased $43 million. "Other", loans decreased $27 million Holdings of Treasury bills by weekly reporting member banks increased $260 million; Treasury certificates decreased $20 million; and the combined total of Treasury notes and U. S. Government bonds decreased $115 million. Demand deposits adjusted increased in all but three districts and included increases of $323 million in the San Francisco District, $211 million in the Chicago District, $ 8 7 million in the Richmond District, and $82 million in the Atlanta District Savings deposits increased $103 million and "other" time deposits of individuals, partnerships, and corporations increased $80 million. Borrowings of weekly reporting member banks from Federal Reserve Banks decreased $455 million but borrowings from others increased $570 million. to domestic commercial banks increased $505 million. Loans CONDITION OF VZEEKLY REPORTING MEMBER BANKS IN LEADING CITIES H.4.2 A S S E T S Total loans and investments Loans and investments adjusted 1/ 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 nonbank financial institutions: Sales finance, personal finance, etc. Other Loans to foreign banks Real estate loans Other loans Loans to domestic commercial banks U. 6. 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 Currency and coin Balances with domestic banks Other assets - net Total assets/liabilities Change since July 3, July 11, 1962 ions of dollars] (In mill 133,954 132,083 84,016 35,304 1,529 443 3,156 76 1,522 4,090 3,114 752 16,872 19,069 1,871 29,914 4,027 1,749 2,508 * 14,363 7,267 18,153 12,052 1,715 3,006 5,334 169,866 + - • + - + + + + + + + - 286 219 295 134 10 75 195 3 . l 82 27 10. 43 27 505 125 260 20 19 39 > 95 49 -1,216 240 127 + - + + 60 +10,020 9,577 8,477 + + 2,026 + 145 + 60 + + 1,380 15 211 + 619 630 18 + + + + + + - + + + + + 2,472 1,192 443 2,323 131 356 4,270 445 2,617 3,423 443 99 85 578 -2,322 +10,521 + + + + t + L I A B I L I T I E S Demand deposits adjusted 2/ Demand deposits - total 3/ Individuals, partnerships, and corporations States and political subdivisions U. S. Government Domestic interbank: Commercial , Mutual savings Foreign: Govts., official inots., etc. Commercial banks Time end savings deposits - total 4/ Individuals, partnerships, and corporations: Savings deposits Other time deposits States and political subdivisions Domestic interbank . Foreign: Govts., official insts., etc. Commercial banks Borrowings: From F. R. Banks From others Other liabilities 61,692 92,537 65,501 4,705 5,154 11,886 621 564 1,101 55,086 738 -2,661 - - 223 287 -1,725 - +. - + 109 28 5 60 176 125 908 311 73 704 103 10 50 + 70 + 7,831 103 + 3,734 + 2,899 + 547 3,866 + ,27 + + 679 tIK + 19 104 + 82 72 801 + + 570 2,717 1*8 + + 263 5,487 646 + C A P I T A L A C C O U N T S 13,957 1/ Exclusive of loans to domestic commercial banks and after deduction of valuation reserves; individual loan items are shown gross. 2/ Includes all demand deposits except those of U. S. Government and domestic commercial banks, less cash items in process of collection. 3/ y * ** 36, 621 11,314 + + 80 17 10 11 1 455 Includes certified and officers' checks not shown separately. includes time deposits of U. 8. Government and postal savings not shown separately. Preliminary (San Francisco District). July 3 figures revised. CONDITION OF WEEKLY REPORTING MEMBER BANKS, BY DISTRICTS, JULY 10, 1963 H.4.2(a) A S S E T S Total loans and investments Loans and investments adjusted l/ Loans adjusted 1/ 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 fionbank financial institutions: Sales finance, personal finance, etc. Other Loans to foreign banks Real estate loans Other loans Loans to domestic commercial banks 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 Currency and coin Balances with domestic banks Other assets - net Total assets/liabilities Boston Federal Reserve District Phila- Cleve- RichNew Atlanta land mond York delphia (In millions of dollars) 5,179 5,122 3,499 1,665 6 39,734 4,850 10,653 4,761 5,213 39,245 4,798 10,545 4,697 5,056 5,886 2,984 3,161 24,888 3,321 2,093 12,665 1,327 38 2 17 42 7 26 4 45 4 75 9 14 31 4 43 272 121 150 139 175 18 80 268 1,843 99 239 10 11 485 4 60 158 156 143 18 553 932 57 957 146 109 1,506 715 374 3,289 4,410 489 8,018 1,800 385 185 94 35 484 1,132 52 1,021 6b 84 105 397 200 666 484 3,421 1,928 6,339 3,749 399 146 462 26l 17 1,524 1,539 534 1,047 64 108 2,620 1,233 183 99 84 150 368 1,087 157 1,339 131 100 666 284 480 44l 126 148 136 6,101 116 713 456 1,468 494 2,039 514 93 139 159 885 170 201 195 3,167 18,828 2,655 4,193 28,380 3,813 3,199 19,175 2,887 116 926 253 215 1,665 245 460 3,130 285 421 128 39 11 452 4 33 791 31 1,565 1,351 4,620 456 100 103 175 6,509 250 2,494 51,383 6,238 149 107 272 556 . 487 88 371 156 6,965 L I A B I L I T I E S A C C O U N T S See footnotes on first table, 1 C A P I T A L •a Demand deposits adjusted 2/ Demand deposits - total 37. Individuals, partnerships, and corporations States and political subdivisions U. S• Government Domestic interbank: Commercial Mutual savings Foreign: Govts., official inste., etc. Commercial banks Time and savings deposits - total 4/ Individuals, partnerships, and corporations: . Savings deposits Other time deposits States and political subdivisions Domestic interbank Foreign: Govts., official i^sta., etc. Commercial banks Borrowings: From F. R < Banks From others Other liabilities 2,788 6,354 3,976 2,930 254 407 4,810 438 586 6 17 4,912 230 469 10 32 11 1,429 2,679 4,540 2,867 412 234 977 2 8 1,702 96 232 1,447 8,961 145 143 3,339 1,077 1,200 232 353 1,227 132 323 73 2 9 13 6 21 7 1 2 11 5 36 56 152 124 143 215 637 4,525 572 1,179 915 291 72 7 57 3 7,190 1,033 378 3,903 69 710 16 127 63 1,998 4 73 486 558 CONDITION OF WEEKLY REPORTING MEMBER BANKS, BY DISTRICTS, JULY 10, 1963 (Cont'd) H.4.2(b) Federal Reserve District San St. Minne- Kansas Dallas Chicago Francisco* Louis apolis City ' (in millions of dollars) 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 nonbank financial institutions: Sales finance, personal finance, etc. Other Loans to foreign banks Real estate loans Other loans Loans to domestic commercial banks 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 Currency and coin Balances with domestic banks Other assets - net Total assets/liabilities 18,200 17,940 10,711 4,472 60 2,032 3,720 3,584 2,014 2,292 C A P I T A L A C C O U N T S See footnotes on first table. * Preliminary. 5,891 29,039 3,638 1,796 47 19,363 6,303 970 5,802 28,668 848 45 1,331 589 36 113 363 1 104 41 28 59 36 180 20 2 293 39 31 3 54 2 236 7 82 723 429 128 121 134 148 104 244 3 314 903 89 1,576 120 134 501 720 215 6,714 3,980 371 5,982 539 226 136 507 3,021 1,689 3,323 2,369 350 348 89 2,041 2,396 260 4,570 568 221 367 2,229 1,185 2,659 1,568 200 409 431 22,467 7,471 11,768 8,122 743 768 1,870 2 10 1,206 259 8 92 55* mm mm 665 136 910 131 100 4ll 108 382 382 50 17 i 4,838 236 267 18 471 32 33 1,648 3,097 1,949 119 158 838 436 711 70 1,217 210 116 102 547 242 453 484 56 317 35 237 134 212 171 21 58 73 2,660 132 6,298 818 2,220 i,6o4 979 116 4,130 2,527 275 202 1,081 L I A B I L I T I E S Demand deposits adjusted 2/ Demand deposits - total 3/ Individuals, partnerships, and corporations States and political subdivisions U. S. Government Domestic interbank: Commercial Mutual savings Foreign: Govts., official insts., etc. Commercial banks Time and savings deposits - total 4/ Individuals, partnerships, and corporations: Savings deposits Other time deposits States and political subdivisions Domestic interbank Foreign: Govts., official insts., etc. Commercial banks Borrowings: From F. R. Banks From others Other liabilities 4,682 4,612 2,942 88 393 4 a* mm — mm mm mm 6 8,184 1,178 5 743 2 1,473 6,066 718 389 64 343 364 30 1,058 62 1,463 452 13 173 7 22 2 1 2 235 467 68 1,791 426 67 2 2 1 50 47 215 352 58 1 716 470 588 546 62 491 234 7,818 2,748 4,667 3,019 248 177 1,148 — — 2 15 2,306 1,078 899 306 2 13 1 25 52 78 67 551 1 87 672 1,087 35,775 12,050 16,015 13,037 836 734 649 11 51 120 16,173 12,604 1,463 1,577 14 476 12 6 302 934 2,345