View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

FEDERAL
statistical

RESERVE

release

S

• f*AL RB .

H.4.2

For immediate release
July 17, 1968

WEEKLY CONDITION REPORT OF LARGE COMMERCIAL BANKS

Total loans and investments (adjusted) at large commercial banks
decreased $734 million in the week ended July 10.

This reflected a decrease

of $554 million in loans (adjusted), a decrease of $118 million in U. S.
Government security holdings and a decrease of $62 million in holdings of
"other" securities.

Demand deposits adjusted increased $1,045 million while

U. S. Government demand deposits decreased $1,643 million.

Total time and

savings deposits increased $445 million.
Commercial and industrial loans decreased a net of $57 million;
during the comparable week a year ago these loans decreased $230 million.
Loans to brokers and dealers for purchasing or carrying U. S. Government
securities decreased $75 million, and their loans for purchasing or carrying
"other" securities decreased $119 million.

Loans to sales and personal finance

institutions decreased $132 million as compared with a decrease of $449 million
during the corresponding week in 1967.

Real estate loans increased $55 million,

and consumer instalment loans increased $46 million.
Savings deposits declined $133 million and "other" time deposits
increased $578 million.

Negotiable CD's issued in denominations of $100,000 or

more, included in the latter figure, increased $383 million.
Total U. S. Government securities held decreased $118 million.
Holdings of Treasury bills decreased $68 million and holdings of "other" U. S.
Government securities maturing within 1 year increased $31 million.
term Treasury note and bond holdings decreased $81 million.




Longer

H.4.2

WEFKLY CONDITION REPORT OF LARGE COMMERCIAL

RANKS

CHANGE S INCE
JULY
JULY
JULY
12,
3, * *
10,
1967
1968
1968 *
( I N MILLIONS DF DOLLARS)
A S S E T S
211,803
151,900
69,165
1,999
781
4,?10

5,756
4,651
30,281
3,759
1,420
17,302
1,062
12,243
25,209
1,877

-

+

75
1 19

-

2
4

-

+
-

+
-

+
-

—

132
69
55
I t 002
21
46
19
165
118
68
- -

5,084
12,221
6,027

-

3,939
26,673

-

1,441
2,641
25,505
15,981
2,870
4,074
9,795
270,028

1, 7 3 6
1, 556
57
7

+
-

+

+13,189
+12,104
+ 5,306
+
102
59
987

+
+

00

95
2,411

-

+

TOTAL LOANS AND INVESTMENTS
LOANS (NET OF VALUATION RESERVES) ( 1 )
COMMERCIAL AND INDUSTRIAL LOANS
AGRICULTURAL LOANS
LOANS TO BROKERS AND DEALERS FOR PURCHASING
OR CARRYING— U . S . GOVT. SECURITIES
OTHER SECURITIES
OTHFR LOANS FOR PURCHASING OR CARRYING—
U . S . GOVT. SECURITIES
OTHFR SECURITIES
LOANS TO NONBANK F I N A N C I A L I N S T I T U T I O N S —
SALES FINANCE, PERSONAL FINANCE, ETC.
OTHER
REAL ESTATE LOANS
LOANS TO DOMESTIC COMMERCIAL BANKS
LOANS TO FOREIGN BANKS
CONSUMER INSTALMENT LOANS
LOANS TO FOR. GOVTS., O F F I C I A L I N S T S . , ETC.
OTHFR LOANS
U . S . GOVERNMENT SECURITIES - TOTAL
TREASURY B I L L S
TREASURY CERTIFICATES OF INDEBTEDNESS
TREASURY NOTES AND U . S . BONDS MATURING—
W I T H I N 1 YEAR
I YEAR TO 5 YEARS
AFTER 5 YEARS
OBLIGATIONS OF STATES AND P O L I T I C A L S U B D I V I S I O N S —
TAX WARRANTS AND SHORT-TERM NOTES AND B I L L S
ALL OTHER
OTHER BONOS, CORPORATE STOCKS, AND SECURITIES
PART If, IPAT ION CERTIFICATES I N FED. AGENCY LOANS
ALL OTHER (INCLUDING CORPORATE STOCKS)
CASH ITEMS IN PROCESS OF COLLECTION
RESERVES WITH F . R . BANKS
CURRENCY AND COIN
BALANCES WITH DOMESTIC BANKS
OTHER ASSETS
TOTAL A S S E T S / L I A B I L I T I E S

238

+
77
+
226
+ 2,577
+
500
+
37
+ 1,161
12
+ 1,216
- 1,642
- 3,520
237

31
63
18

+ 2,247
661
+
529

64
38

+
275
+ 2,363

9
79
3 , 131
134
391
412
87
5 , 109

+

4 , 561
1, 6 5 9
29 5
I t 643
832
4
140
445

+
+
+
+
+
+
+
+

133
486
3
86
29
76
889
30
2

+
539
+ 4,712
+
379
276
473
+
212
+ 2,184
+ 4,913
+ 1,370

+

554
734
1, 045

+11,604
+12,689
+ 3,969

+
+
+

383
323
60

-

+
-

161
72
+ 3,720
+ 1,130
+
105
169
+ 1,204
+19,179

L I A B I L I T I E S
DEMAND DEPOSITS - TOTAL 12)
I N D I V I D U A L S , PARTNERSHIPS, AND CORPORATIONS
STATES AND P O L I T I C A L SUBDIVISIONS
U. S . GOVERNMENT
DOMESTIC INTERBANK — COMMERCIAL
MUTUAL SAVINGS
FOREIGN—GOVTS., O F F I C I A L I N S T I T U T I O N S , ETC.
COMMERCIAL BANKS
TIME AND SAVINGS DEPOSITS - TOTAL ( 3 )
I N D I V I D U A L S , PARTNERSHIPS, AND CORPORATIONSSAVINGS DEPOSITS
OTHFR TIME DEPOSITS
STATES AND P O L I T I C A L SUBDIVISIONS
DOMESTIC INTERBANK
FOREIGN—GOVTS., O F F I C I A L I N S T I T U T I O N S , ETC.
BORROWINGS— FROM F . R . BANKS
FROM OTHERS
OTHER L I A B I L I T I E S
TOTAL CAPITAL ACCOUNTS

1 18,869
86,339
5,907
1,150
15,005
815
724
1,724
104,563

-

—
-

+

48,464
40,523
9,936
740
4,417
251
9,205
15,853
21,287

-

148,141
208,044
77,209

-

-

+
-

+
-

+

5,541
4,840
562
3,599
1,451
98
4
169
4,959

M E M O R A N D A
TOTAL LOANS NET ADJUSTED 1 4 )
TOTAL LOANS NET ADJUSTED AND INVESTMENTS ( 4 )
DEMAND DEPOSITS ADJUSTED ( 5 )
NEGOTIABLE TIME C D ' S ISSUED I N DENOMINATIONS OF
$ 1 0 0 , 0 0 0 OR MORE INCLUDED IN TIME AND SAVINGS
DEPOSITS - TOTAL
TO I N D I V I D U A L S , PARTNERSHIPS, AND CORPS.
TO OTHERS

19,921
12,672
7,249

-

+
+
+

494
308
186

1 1 ) I N D I V I D U A L LOAN ITEMS ARE SHOWN GROSS.
( 2 ) INCLUDES C E R T I F I E D AND O F F I C E R S ' CHECKS NOT SHOWN SEPARATELY.
( 3 ) INCLUDES TIME DEPOSITS OF U . S . GOVERNMENT AND FORFIGN COMMERCIAL RANKS NOT SHOWN SEPARATELY.
( 4 ) EXCLUSIVE OF LOANS TO DOMESTIC COMMERCIAL BANKS.
<5> ALL DEMAND DEPOSITS EXCEPT U . S. GOVERNMENT AND DOMESTIC COMMERCIAL BANKS, LESS CASH ITEMS
I N PROCESS OF COLLECTION.
*
**

PRELIMINARY (SAN FRANCISCO DISTRICT.)
REVISED.




H.4.2(A)

WEEKLY CONDITION REPORT OF LARGE COMMERCIAL BANKS*
JULY
10,
1968
BOSTON

A S S E T S
TOTAL LOANS AND INVESTMENTS
a,as?
LOANS (NET OF VALUATION RESERVES) I I )
6,405
COMMERCIAL AND INDUSTRIAL LOANS
3,087
AGRICULTURAL LOANS
10
LOANS TO BROKERS AND DEALERS FOR PURCHASING
OR CARRYING— U . S . GOVT. SECURITIES
7
OTHER SECURITIES
25
OTHER LOANS FOR PURCHASING OR CARRYING—
U . S . GOVT. SECURITIES
1
OTHER SECURITIES
23
LOANS TO NONBANK FINANCIAL I N S T I T U T I O N S SALES FINANCE, PERSONAL F I N A N C E , ETC.
201
OTHER
206
REAL ESTATE LOANS
1,273
LOANS TO DOMESTIC COMMERCIAL BANKS
183
LOANS TO FOREIGN BANKS
11
CONSUMER INSTALMENT LOANS 787
LOANS TO FOR. GOVTS., O F F I C I A L I N S T S . , ETC.
14
OTHER LOANS
707
U . S . GOVERNMENT SECURITIES - TOTAL
757
TREASURY B I L L S
51
TREASURY CERTIFICATES OF INDEBTEDNESS
TREASURY NOTES AND U . S . BONDS MATURING—
W I T H I N 1 YEAR
153
1 YEAR TO 5 YEARS
273
AFTER 5 YEARS
280
OBLIGATIONS OF STATES AND P O L I T I C A L SUBDIVISIONS
TAX WARRANTS AND SHORT-TERM NOTES AND B I L L S
495
ALL OTHER
1,090
OTHER BONDS, CORPORATE STOCKS, AND SECURITIES
P A R T I C I P A T I O N CERTIFICATES I N F E D . AGENCY LI
IS
16
ALL OTHER (INCLUDING CORPORATE STOCKS)
94
CASH ITEMS I N PROCESS OF COLLECTION
990
RESERVES WITH F . R . BANKS
618
CURRENCY AND COIN
159
BALANCES WITH DOMESTIC BANKS
128
OTHER ASSETS
369
TOTAL A S S E T S / L I A B I L I T I E S
11,121

BY D I S T R I C T ,

NEW
PHILACLEVERICH
YORK
PflfHiA
LAND
MONO
I I N MILLIONS OF DOLLARS)

ATLANTA

64,828
48,539
26,751
69

8,108
6,029
2,557
10

15,710
10,003
4,194
6

10,138
7,021
2,298
64

8,578
5,930
2,471
64

507
2,881

13
62

19
119

19
90

26
60

17
852

3
87

8
259

17
45

4
72

1,890
1,524
6,347
1,034
834
3,223
697
3,124
6,406
574

446
193
1,024
142
60
898
113
568
860
39

400
185
2,406
214
39
1,387
13
952
2,280
159

230
213
1,587
271
2
1,531
7
781
1,524
164

205
186
890
128
4
886
1
i f 048
1,354
86

1,305
2,692
1,835

157
462
202

438
1,065
618

280
897
183

281
804
183

1,747
7,092

32
1,084

375
2,801

91
1,364

64
1, 0 7 1

219
825
12,068
5,412
686
673
3,895
87,562

23
80
723
549
171
163
268
9,982

92
159
970
1,152
271
294
386
18,783

31
107
865
650
254
253
321
12,481

64
95
1 , 172
659
140
435
379
11 , 3 6 3

5,443
4,278
363
62
419
171
6
44
3,624

41,055
26,534
1,551
183
5,161
573
588
1,253
26,681

4,584
3,620
161
62
560
. 38
12
48
3,886

7,701
6,237
487
139
611
4
1
26
8,484

6,313
5,083
406
101
538
10
49
17
4,623

6,093
4,056
612
90
1,255
3
19
3,761

1,585
1,385
449
148
40
16
273
836
929

9,663
11,390
2,100
461
2,814
104
3,498
9,017
7,207

1,602
1,934
183
15
148
4
401
276
829

4,892
2,567
948
20
52
410
453
1,735

2,562*
1,662
355
4
25
16
187
383
959

1,976
1,404
343
25
10
4
277
276
952

6,222
8,674
3,972

47,505
63,794
23,643

1887
,966
239

9,789
15,496
5,981

6,750
9,867
4,809

5,802
8,450
3,576

1,147
557
590

7,377
4,789
2,588

592
338
254

1,489
828
661

399
244
155

592
350
242

L I A B I L I T I E S
DEMAND DEPOSITS - TOTAL 1 2 )
I N D I V I D U A L S , PARTNERSHIPS, AND CORPORATIONS
STATES AND P O L I T I C A L SUBDIVISIONS
u . S . GOVERNMENT
DOMESTIC INTERBANK — COMMERCIAL
MUTUAL SAVINGS
FOREIGN—GOVTS.* O F F I C I A L I N S T I T U T I O N S , ETC.
COMMERCIAL BANKS
TIME AND SAVINGS DEPOSITS - TOTAL 13)
I N D I V I D U A L S , PARTNERSHIPS, ANO CORPORATIONSSAVINGS DEPOSITS
OTHER TIME DEPOSITS
STATES AND P O L I T I C A L S U B D I V I S I O N S
DOMESTIC INTERBANK
FOREIGN—GOVTS., O F F I C I A L I N S T I T U T I O N S , ETC.
BORROWINGS— FROM F . R . BANKS
FROM OTHERS
OTHER L I A B I L I T I E S
TOTAL CAPITAL ACCOUNTS

——

m e m o r a n d a
TOTAL LOANS NET ADJUSTED ( 4 )
TOTAL LOANS NET ADJUSTED AND INVESTMENTS 1 4 )
DEMAND DEPOSITS ADJUSTED 1 5 1
NEGOTIABLE T I M E C D ' S ISSUED I N DENOMINATIONS OF
* 1 0 0 , 0 0 0 OR MORE INCLUDED I N TIME AND SAVINGS
DEPOSITS - TOTAL
TO I N D I V I D U A L S , PARTNERSHIPS, AND CORPS.
TO OTHERS
SEE FOOTNOTES ON F I R S T TABLE.




X

H.4.2(B)

WEEKLY CONDITION REPORT OF LARGE COMMERCIAL BANKS,
JULY
10,
1968
CHICAGO

BY D I S T R I C T t

FEDERAL RESERVE D I S T R I C T
SAN
*
KANSAS
DALLAS
MINNEST.
FRANC I SCR
CITY
APOLIS
LOUIS
( I N MILLIONS OF DOLLARS)

A S S E T S
30,433
TOTAL LOANS AND INVESTMENTS
21,297
LOANS (NET OF VALUATION RESERVES) ( 1 1
9,380
COMMERCIAL AND INDUSTRIAL LOANS
98
AGRICULTURAL LOANS
LOANS TO BROKERS AND DEALERS FOR PURCHASING
OR CARRYING— U . S . GOVT. SECURITIES
15
525
OTHER SECURITIES
OTHER LOANS FOR PURCHASING OR CARRYING—
29
U . S . GOVT. SECURITIES
419
OTHER SECURITIES
LOANS TO NONBANK F I N A N C I A L I N S T I T U T I O N S —
1,072
SALES FINANCE, PERSONAL F I N A N C E , ETC.
684
OTHER
4,981
REAL ESTATE LOANS
515
LOANS TO DOMESTIC COMMERCIAL BANKS
253
LOANS TO FOREIGN BANKS
2,267
CONSUMER INSTALMENT LOANS
LOANS TO FOR. GOVTS., O F F I C I A L I N S T S . , ETC.
91
OTHER LOANS
1,443
4,461
U . S . GOVERNMENT S E C U R I T I E S - TOTAL
465
TREASURY B I L L S
——
TREASURY C E R T I F I C A T E S OF INDEBTEDNESS
TREASURY NOTES AND U . S . BONDS MATURING—
767
W I T H I N I YEAR
2,285
1 YEAR TO 5 YEARS
944
AFTER 5 YEARS
OBLIGATIONS OF STATES AND P O L I T I C A L S U B D I V I S I O N S —
TAX WARRANTS AND SHORT-TERM NOTES AND B I L L S
261
3,782
ALL OTHER
OTHER BONDS, CORPORATE STOCKS, AND SECURITIES
P A R T I C I P A T I O N CERTIFICATES I N FED. AGENCY LOANS
291
ALL OTHER ( I N C L U D I N G CORPORATE STOCKS)
341
2,611
CASH ITEMS I N PROCESS OF COLLECTION
1,906
RESERVES WITH F . R . BANKS
402
CURRENCY AND COIN
747
BALANCES WITH DOMESTIC BANKS
1,180
OTHER ASSETS
37,279
TOTAL A S S E T S / L I A B I L I T I E S

4,777
3,339
1,312
30
3
87
2
46
163
136
546
134
——

389
—

549
664
14
—

4,780
3,375
1,348
204

8,053
5,596
2,782
96

45,517
32,842
12,202
U 3 38

7

3
22

10
20

159
112

49

2
58

329

147
144
473
206
I
422

155
320
562
211
5
587

2,024
1,524
783
10
—

—

83
85
236
26
—

173
6
91
188
7
——

—

411
613
46

—

—

627
1,094
16

—

—

12
17?
764
775
9 , 9 56
695
211
4,750
120
1,942
5,008
256
—

209
318
123

19
117
45

157
313
97

238
587
253

1,080
2,408
1,264

12
689

20
255

16
616

23
1 , 136

803
5,693

20
53
607
441
61
182
146
6,214

13
24
315
151
16
42
63
2,611

30
130
703
400
56
211
172
6,322

136
68
986
687
83
429
360
10,598

506
665
3,495
3,356
571
517
2,256
55,712

14,343
10,833
716
137
2,158
2
15
92
16,603

3,159
2,008
115
31
967

1,308
848
53
8
362
3

3,445
2,239
215
67
873

5,324
3,648
288
58
1,210

5
2,113

5
890

5
2,088

20,101
16,955
940
212
891
14
46
187
28,183

7,685
6,895
1,674
20
309
81
1,414
2,096
2,742

861
997
244
I
8
3
272
124
543

189
618
77
3
1

855
1,073
145

156
51
206

20,782
29,918
9,437

3,205
4,643
1,554

2,758
1,706
1,052

395
210
185

L I A B I L I T I E S
DEMAND DEPOSITS - TOTAL ( 2 )
I N D I V I D U A L S , PARTNERSHIPS, AND CORPORATIONS
STATES AND P O L I T I C A L S U B D I V I S I O N S
U . S . GOVERNMENT
DOMESTIC INTERBANK — COMMERCIAL
MUTUAL SAVINGS
FOREIGN—GOVTS., O F F I C I A L I N S T I T U T I O N S , ETC.
COMMERCIAL BANKS
TIME AND SAVINGS DEPOSITS - TOTAL 13)
I N D I V I D U A L S , PARTNERSHIPS, AND CORPORATIONSSAVINGS DEPOSITS
OTHER TIME DEPOSITS
STATES AND P O L I T I C A L S U B D I V I S I O N S
DOMESTIC INTERBANK
FOREIGN—GOVTS., O F F I C I A L I N S T I T U T I O N S , ETC.
BORROWINGS— FROM F . R . BANKS
FROM OTHERS
OTHER L I A B I L I T I E S
TOTAL CAPITAL ACCOUNTS

—
—

—

—
—

—

4
23
3,625

15,539
8,684
2,797
21
1,005

7
115
95
572

1,054
1,914
621
22
5
16
521
195
917

1,498
1,998
623

3,169
4, 574
1,802

5,385
7,842
3,070

32,147
44,822
15,503

253
176
77

431
338
93

1,388
1,112
276

3,100
2,024
1,076

—

—
—

—

1,681
2,051
3,696

M E M O R A N D A
TOTAL LOANS NET ADJUSTED 1 4 )
TOTAL LOANS NET ADJUSTED AND INVESTMENTS ( 4 )
DEMAND DEPOSITS ADJUSTED ( 5 )
NEGOTIABLE TIME C D ' S ISSUED I N DENOMINATIONS OF
$ 1 0 0 , 0 0 0 OR MORE INCLUDED I N TIME AND SAVINGS
DEPOSITS - TOTAL
TO I N D I V I D U A L S , PARTNERSHIPS, AND CORPS.
TO OTHERS
SEE FOOTNOTES ON F I R S T T A B L E .
*

PRELIMINARY.