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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.