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H.4.2 BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES 2* 1958 The condition statement of weekly reporting member banks in leading cities shows the following principal changes for the week ended June 25$ Decreases of $451 million in loans adjusted, $2,168 million in demand deposits adjusted, and $541 million in demand deposits credited to domestic banks, and an increase of $2,268 million in U, S, Government deposits* Commercial and industrial loans decreased $23 million at all reporting member banks; the principal changes were decreases of $24 million in the Chicago District and $16 million in the Cleveland District, and increases of $17 million in the Dallas District and $13 million in the Boston District, Changes according to industry appear in another press release. Loans to brokers and dealers for purchasing or carrying U, S, Government and other securities decreased $501 million, of which $393 million was in New York City, "Other11 loans increased $55 million. Holdings of all categories in U, S, Government securities increased: Treasury bills by $94 million, Treasury certificates of indebtedness $23 million, Treasury notes $25 million, and U, S, Government bonds by $74 million. Holdings of "other" securities increased $80 million. Demand deposits adjusted decreased $1,142 million in New York City, $190 million in the San Francisco District, $127 million each in the New York District outside of New York City and in the Cleveland District, $117 million in the Philadelphia District, $105 million in the Boston District, and $101 million in Chicago, Time deposits increased $77 million in the San Francisco District and a total of $192 million at all reporting member banks. Borrowings from Federal Reserve Banks decreased $46 million and borrowings from others decreased $206 million. Loans to banks decreased $181 million, A summary of assets and liabilities of reporting member banks follows: Increase or decrease since June 25$ June 18, June 26, 1958 1957 (In millions of dollars) A S S E T S Loans and investments adjusted 1/ Loans adjusted 1/ Commercial and industrial loans Agricultural loans Loans to brokers and dealers for purchasing or carrying securities Other loans for purchasing or carrying securities Real estate loans Other loans 1,381 8,891 11,170 U, S, Government securities - total Treasury bills Treasury certificates of indebtedness Treasury notes U, S, bonds Other securities Loans to banks Reserves with Federal Reserve Banks Cash in vault Balances with domestic banks 32,615 2,421 1,621 6,823 21,750 9,417 1,423 13,387 1,010 2,696 95,833 53,801 29,856 500 3,170 + 155 451 23 6 +8,861 - 653 -2,241 + 72 - 501 +1,328 - - «* + + + + + + + + - - + 7 21 55 + + - 212 224 131 216 94 23 25 74 80 181 161 11 29 +7,698 +1,436 + 192 +2,672 +3,398 +1,816 + 199 + 37 16 + 287 2,168 - 463 +4,652 +4,162 + 967 - 163 - 555 *» 48 L I A B I L I T I E S Demand deposits adjusted Time deposits except U, S # Government U, S, Government deposits Interbank demand deposits; Domestic banks Foreign banks Borrowings: From Federal Reserve Banks From others Digitized 1/ for FRASER Exclusive of loans to banks http://fraser.stlouisfed.org/ loan items are shown gross. Federal Reserve Bank of St. Louis and after e 55,266 28,259 7,465 10,870 1,511 60 707 + 192 + 2,268 - - 541 48 46 206 Ion of valuation reserves; ind: ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES, JUKE 25, 1958 Total F e d e r a 1 R eserve D is t r i c t All New ClevePhilaRichBoston Atlanta Chicago St. MinneDistricts York delphia land mond Louis apolis A S S E T S (In millions of dollars) Loans and investments adjusted 1/ 4,117 30,090 3,553 6,663 3,723 3,606 95,833 12,585 2,847 1,630 Loans adjusted l/ 53,801 2,509 17,826 2,199 3,557 1,943 6,132 1,568 1,929 917 Commercial and industrial loans 29,856 1,478 11,723 1,130 1,742 885 462 1,039 744 3,734 8 500 Agricultural loans 1 8 10 13 2 11 14 15 Loans to brokers and dealers for 6l purchasing or carrying securities 3,170 2,163 60 41 178 44 230 14 99 Other loans for purchasing or carrying 1,381 14 434 securities 143 8 54 40 267 47 52 8,891 1,170 212 Real estate loans 184 846 375 374 274 185 797 606 11,170 Other loans 635 761 2,754 248 1,215 770 639 479 9. S. Government securities - total 32,615 1,225 1,344 9,363 978 2,461 1,466 5,229 1,025 536 104 2,421 40 Treasury bills 84 16 1,233 36 93 77 375 1,621 Treasury certificates of indebtedness 208 71 378 21 65 87 98 179 49 Treasury notes 218 6,823 320 1,940 1,010 260 238 112 272 745 U. S. bonds 5,812 21,750 730 890 700 3,636 655 l,46o 1,048 367 Other securities 2,901 9,417 383 1,224 645 314 254 376 333 177 Loans to banks 1,423 108 4 11 6 29 52 793 59 37 Reserves with Federal Reserve Banks 2,001 211 478 13,387 538 4,613 415 938 495 519 Cash in vault 1,010 108 222 16 63 51 85 54 117 37 Balances with domestic banks 88 68 180 2,696 160 289 153 332 177 75 Other assets - net 2,888 108 100 130 212 83 1,325 89 43 37 L I A B I L I T I E S Demand deposits adjusted 55,266 2,970 17,582 2,295 4,055 2,551 2,255 7,251 1,635 907 Time deposits except U. S. Government 665 28,259 710 1,988 6,673 920 366 909 657 3,587 U,-S. Government deposits 284 218 316 3,216 1,126 7,465 524 269 132 199 Interbank demand deposits: 10,870 Domestic banks 438 449 1,766 687 3,135 343 499 717 375 1,511 1,218 8 Foreign banks 10 21 31 46 12 4 4 Borrowings: 60 From Federal Reserve Banks 1 6 1 21 3 3 3 3 From others 20 18 10 298 12 78 707 27 15 99 Other liabilities 3,128 204 116 136 1,550 63 72 51 67 35 C A P I T A L A C C O U N T S 482 421 1,212 362 308 3,521 9,971 170 365 747 l/ Exclusive of loans to banks and after deduction of valuation reserves; individual loan items are shown gross. H.4.2(a) 1 Kansas San Dallas City Francisco 3,654 4,366 1,931 2,596 960 1,539 138 28 86 18,999 10,694 4,420 252 43 151 38 183 289 217 449 631 1,341 1,454 106 87 86 90 268 342 822 994 382 316 101 3,968 1,983 6,193 170 289 1,098 4,636 2,112 34 467 45 363 65 23 602 50 582 166 267 2,110 162 229 530 2,345 2,663 704 1,280 209 225 8,757 9,800 747 906 2 12 25 41 384 1,038 14 -* mm 6 75 488 517 141 7 99 718 1,511