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H.4.2

BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
(For Immediate Release)
July 24, 1957
CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES

The condition statement of weekly reporting member banks in leading cities
shows the following principal changes for the week ended July 17t Decreases of
$293 million in holdings of Treasury bills and $760 million in U, S, Government
deposits, and an increase of $417 million in demand deposits adjusted.
Commercial and industrial loans decreased $114 million at all reporting
member banks; the principal changes were decreases of $85 million in New York
City, $15 million in the San Francisco District, and $14 million in the Cleveland
District, and an increase of $11 million in the Kansas City District. Changes
according to industry appear in another press release.
Holdings of Treasury bills decreased in all but the Kansas City District,
Holdings of Treasury notes increased $112 million in the San Francisco District,
and decreased $54 million in New York City; there was a net increase of $83 million at all reporting member banks* Holdings of Treasury certificates of inr
debtedness and of U. S, Government bonds decreased $41 million and $127 million
respectively.
Demand deposits adjusted increased $169 million in New York City, $90 million in the Kansas City District, $76 million in the San Francisco District, $74
million in the Cleveland District, and $58 million in the Boston District, but
they decreased $58 million in the Chicago District. Demand deposits credited to
domestic banks increased $150 million. Time deposits increased $40 million.
Borrowings from Federal Reserve Banks decreased $228 million, and borrowings
from others increased $120 million. Loans to banks increased $81 million.
July
17,
1957
A S S E T S

Increase or
decrease since
July 10,
July 18,
1956
1957

(In millions of dollars)

Loans and investments adjusted 1/
87,090
Loans adjusted
53,852
Commercial and industrial loans
31,641
Agricultural loans
429
Loans to brokers and dealers for
purchasing or carrying securities
1,679
Other loans for purchasing or carrying securities 1,157
Real estate loans
8,657
Other loans
11,345

-491
-120
-114
- 2

+2,185
+2,976
+3,446
33

- 31
- 5
+ 12
+ 21

-

683
107

+

521

U, S, Government securities — total
Treasury bills
Treasury certificates of indebtedness
Treasury notes
U, S, bonds
Other securities

25,642
1,720
1,414
4,319
18,189
7,596

-378
-293
- 41
+ 83
-127
+ 7

- 622
+1,182
+1,042
-1,645
-1,201
- 169

Loans to banks
Reserves with Federal Reserve Banks
Cash in vault
Balances with domestic banks

1,170
13,400
988
2,513

+ 81
+ 49
- 38
+154

+
+
-

55,167
23,608
3,243
10,814
1,660
564
664

+417
+ 40
-760
+150
- 2
-228
+120

- 607
+1,738
+ 730
- 107
+ 124
+ 184
- 397

+

30

204
19
9
49

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

2J Exclusive of loans to banks and after deduction of valuation reserves; individual
loan items are shown gross.



H.4.2(a)

ASSETS AMD LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES, JULY 17, 1957
F e d e r a 1
Total
R e s e r v e
D i s t r let
All
New
Phila- Cleve- RichSt. Minne- Kansas
San
Boston
Atlanta Chicago
Districts
delphia
land
mond
York
Louis apolis City Dallas Francisco
(In millions of dollars)

A S S E T S
Loans and investments adjusted l/
Loans adjusted l/
~
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

87,090
53,852
31,641
429

3,914
2,582
1,569
10

25,960
17,481
12,506
13

3,297
2,295
1,260
2

6,321
3,670
1,937
2

3,465
1,872
881
8

3,382
1,888
1,031
9

11,782
6,722
4,266
11

2,716
1,609
822
15

1,507
928
492
17

3,422
1,807
962
89

4,002
2,4l8
1,457
23

17,322
10,580
4,458
230

1,679

24

1,019

45

109

44

39

216

26

7

35

33

82

1,157
8,657
11,345
25,642
1,720
1,414
4,319
18,189
7,596
1,170
13,400
988
2,513
2,427

22
363
651

37
197
815

42
338
591
1,330
93
91
189
957
263

183
799
1,400

26
278
468

8
178
241

1,189
92
96
234
767
305

878
80
54
195
549
229

427
28
21
86
292
152

1,304
198
115
167
824
280

63
3,920
1,989
5,080
198
409
876
3,597
1,662

25
530
82
183
79

25
509
55
273
73

3,981
127
135
631
3,088
1,079
26
1,770
119
257
138

29
429
37
145
41

15
209
15
81
32

26
282
437
1,276
126
62
309
779
339
15
574
43
335
61

148
194
606

13
489
48
103
98

142
781
762
2,058
153
86
489
1,330
593
15
984
96
160
104

47
172
624

978
64
48
l4l
725
354
25
616
64
100
108

413
1,155
2,761
6,382
502
250
918
4,712
2,097
788
4,439
216
157
1,080

9
609
47
463
149

185
2,242
166
256
464

55,167
23,608
3,243

2,985
613
169

17,391
4,789
1,086

2,286
515
150

4,097
1,838
251

2,524
768
126

2,260
773
125

7,132
3,301
46l

1,651
595
116

872
326
91

2,324
621
110

2,627
999
197

9,018
8,470
361

10,8l4
1,660

368
30

3,031
1,360

470
22

537
11

489
8

731
11

1,707
52

690
4

351
4

955
3

917
18

568
137

564
664
2,641

9
71
119

92
299
1,392

69
58
68

24
118
15
1
8
26
8
32
166
42
54
59
C A P I T A L
A C C O U N T S
463
410
3,200
9,227
699
349
331
1,123
290
l/ Exclusive of loans to banks and after deduction of valuation reserves; individual loan Items are shown gross.

23
12
31

38
1
4l

149

357

12
5
56
448

32
128
513
l,4o8

U. S. Government securities - total
Treasury bills
Treasury certificates of indebtedness
Treasury notes
TJ. S. Bonds
Other securities
Loans to banks
Reserves with Federal Reserve Banks
Cash in vault
Balances with domestic banks
Other assets - net
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
Other liabilities




759
59
47
84
569
243

131
16
100