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Form F. B. 284 STATEMENT FOR THE P.BESS For iamediate release « Board of Governors of the Federal Reserve System July 28, 1941 Condition of. Weekly Reporting Member Banks in Leading Cities , ^ l e condition statement of weekly reporting member banks in 101 leading w s the followin urtf g Principal changes for the week ended July 23: Increases ol 6ol,000,000 in obligations guaranteed by the United States Government and $1^1,000,000 in demand deposits-adjusted, and a decrease of $194,000,000 in deposits credited to domestic banks. Commercial, industrial and agricultural loans increased $23,000,000 at all reporting member banks. Loans to brokers and dealers in securities declined *30,000,000 in New York City and $44,000,000 at all reporting member banks. Holdings of United States Government direct obligations increased $44,000,000 in the Chicago district and $18,000,000 in the Richmond district, and dec/aned $76,000,000 in New York City; the net increase at all reporting member barus was §6,000,000, Holdings of obligations guaranteed by the United States Government increased $45,000,000 in New York City and $81,000,000 at all reporting v member banks. • 4.x, D e n a n d deposits-adjusted increased $80,000,000 in New York City, $25,000,000 m the Cleveland district, and $121,000,000 at all reporting member banks. . Deposits credited to domestic banks declined in all districts, and prinJ cipal decreases being $74,000,000 in New York City and $25,000,000 in the Chicago district; the total decrease at all reporting member banks was $194,000,000. A summary of the principal assets and liabilities of reporting member banks, together with changes for the week and the year ended July 23, 1941, follows* 1 ' —- • , July 23 1941 Increase or decrease since July 16, July 24, 1941 1940 ASSETS Loans and Investments - total 28,646 Loans - total Commercial, industrial and agricultural loans Open market paper Loans to brokers and dealers in securities Other loans for purchasing or carrying securities Real estate loans Loans to banks Other loans 10,504 6,011 Treasury bills Treasury notes U. S, bonds Obligations guaranteed by U. S. Gov*t Other securities Reserve with Federal Reserve Banks Cash in vault Balances with domestic banks 388 - 19 + 23 6 44 +4,699 +1,990 +1,549 + 98 + 50 35 + 46"' + 1 + 281 46l 441 1,252 37 1,914 4- 3* 2 + 1* 1,081 2,251 7,959 3,302 3,549 6 4- 4 + 8 4- 81 4- 1 + 287 + 158 +1,394 + 8S3 10,855 548 3,496 44 4* 2 87 + + 671 50 315 - 6 - — — - 13 " LIABILITIES Denaryl deposits-adjusted Tine deposits U. S, Government deposits Interbank depositss Domestic banks Foreign banks Borrowings + 69 24,381 5,4l4 494 +121 9,115 654 1 -194 - + 2 3 +3,397 + 100 — 36 + 807 - 22 *July 16 figures revised, • (Chicago district) Form F. R. 284-a STATEMENT FOR THE PRESS Board of Governors of the Federal Reserve System July 24, 1941 For immediate release CONDITION OF I7EEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES (in millions of dollars) New York City Increase or July decrease since July 23 July 16, July 24, 23 1941 1941 1940 1941 ASSETS Loans and Investments-'total Loans - total Commercial, industrial, and agricultural loans Open market paper Loans to brokers and dealers Other loans for purchasing or carrying securities Real estate loans Loans to banks Other loans Chicago Increase or •decrease since July 16, July 24, 1941 1940 • 11,896 58 -7-2,438 2,741 + 47 3,477 30 + 691 870 + 7 + 2,300 4- 5 88 3 30 333 + 587 + 1 45 643 26 37 + 7 + 1 - 1 + 210 + 7 + 9 7 11 1 75 54 21 - 162 112 30 452 3 - - 1 2 Treasury bills Treasury notes U. S. bonds Obligations guaranteed by U. S. Gov't Other securities 1,847 + 45 1,333 + 3 Reserve vdth ?. R. Bank Cash in vault Balances vjith domestic banks Other assets — net 5,66 0 + 67 91 3 86 2 315 + + — 443 — - — — + 263 6 3 — — 89 + 40 + + 198 : 382 + 606 396 122 822 + 37 + 1 + 2 + 75 37 94 + 559 + 2 159 372 + 7 - 7 + + 24 24 975 11 3 7 1,115 41 273 41 - 41 — 11,088 + 80 745 1 17 2 +1.312 60 18 2,287 496 100 + 25 - 1 + 308 11 + 6 3,807 74 591 + 3 + 122 32 1,032 8 — 20 + + 92 1 288 — 3 1,512 + 1 + + + 1 18 587 1,433 3,214 43 5 28 + — - - — 1 — + - 50 1 25 2 LIABILITIES Demand deposits — adjusted Time deposits U. S. Gov't deposits Interbank deposits* Domestic banks Foreign banks Borrowings Other liabilities CAPITAL ACCOUNTS — — — — + 3 23 17 271 — + — 1 — Forn F. R. 284—b ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS EI 101 LEADIUG CITIES ON JULY 23, 194l (in nilllons of dollars) Total, ~ e d™e r a l " ~ Reserve F District All l l e « 7 PhilaCleve— RichBoston San Atlanta Chicago St. Minne- Kansas Dallas districts York delphia land nond Louis apolis City Franciscc 28,646 10,504 1,408 757 6,011 388 461 410 86 11 2,451 102 338 441 1,252 37 1,914 16 81 <4 149 208 196 30 557 1,081 2,251 7,959 3,302 3,549 10,855 548 3,496 1,159 23 38 386 77 127 554 150 203 69 24,381 5,414 494 1,458 9,115 654 1 768 3,877 386 22 230 14 1 24 249 12,871 1,320 3,882 552 2,209 862 790 312 730 377 4,127 1,336 849 405 455 296 40 25 409 20 14 147 13 3 191 6 6 876 45 43 30 52 I83 20 13 49 87 11 37 2 124 503 24 216 78 2 182 730 180 253 792 52 395 91 2 87 220 102 67 268 26 277 44 8 46 114 71 114 185 17 254 51 1,152 260 44 17 1,806 745 42 653 209 33 527 192 48 532 1 367 357 610 1,472 3,467 1,967 1,473 5,815 116 244 38O f 1—i H ASSETS Loans and Investments - total Loans - total Commercial, industrial, and agricultural loans Open market paper Loans to brokers and dealers in securities Other loans for purchasing or carrying securities Real estate loans Loans to banks Other loans Treasury bills Treasury notes •U. S. bonds Obligations guaranteed by U. S. Gov't Other securities Reserve with F. R. Banks Cash in vault Balances vzith domestic banks Other assets - net LIABILITIES Demand deposits-adjusted Time deposits U. S. Gov't deposits Interbank deposits I Domestic banks Foreign banks Borrowings Other liabilities CAPITAL ACCOUNTS — — 109 — 25 390 92 261 1,112 3,904 593 — 295 1,638 472 6 -we— 16 218 1 215 — — — 20 393 2 41 102 230 782 374 614 322 2,491 1,095 234 20 4 117 3 1 220 27 3 215 3 3 445 23 10 137 61 13 60 15 6 10 33 14 23 39 386 174 74 88 64 192 30 34 122 47 59 148 13 312 31 51 823 178 344 515 27 316 286 573 134 37 1,358 1,090 82 397 215 1,252 361 15 199 21 3,451 999 585 191 26 34.9 111 2 629 1,375 9 415 182 1 472 278 1 375 19 6 7 62 3 109 4 91 316 395 566 1,521 81 616 73 136 - T1 13 98 o 3 21 122 38 41 111 8 125 15 35 219 79 111 236 45 114 110 133 207 19 339 20 141 13 * 23 425 97