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H.4.2

BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
(For Immediate Release)

June 21, 1961

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 June l4: Increases of $801 million
in loans adjusted, $1,693 million in U. S. Government securities, and $1,223 million in
both demand deposits adjusted and in U. S. Government demand deposits.
Commercial and industrial loans increased a net of $358 million, reflecting quarterly tax date needs. Loans to brokers and dealers for purchasing or carrying U- S.
Government and other securities increased $299 million.
Holdings of Treasury bills increased $1,683 million, largely reflecting new
Treasury financing.
Time and savings deposits increased $171 million.
Borrowings of weekly reporting member banks from Federal Reserve Banks decreased
$10 million and borrowings from others decreased $823 million. Loans to domestic conimercial banks decreased $569 million.
Change since
June l4,
June 15,
June 7,
1961
i960
1961
(In millions of dollars)
A S S E T S
+1,832
+7,799
114,744
Total loans and Investments
+8,286
+2,401
113,807
Loans and Investments adjusted l/
+
801
69,848
Loans adjusted 1/
- 211
+ 358
31,519
Commercial and industrial loans
+ 184
l
1,148
Agricultural loans
Loans to brokers and dealers for purchasing
+ 197
- 255
360
or carrying: U. S. Govt, securities
+
+
472
102
2,098
Other securities
Other loans for purchasing or
— «"»
58
103
carrying: U. S. Govt, securities
+
200
+
6
1,332
Other securities
Loans to noribank financial institutions:
-1,222
+
57
3,314
Sales finance, personal finance, etc.
+
40
+
75
1,703
Other
209
551
7
Loans to foreign banks
- 487
- 569
937
Loans to domestic commercial banks
+
31
3
12,863
Real estate loans
+1,124
+
18
16,420
Other loans
+7,017
+1,693
33,124
U. S. Government securities - total
+1,683
+3,755
5,177
Treasury bills
+1,446
+
28
2,330
Treasury certificate of indebtedness'
Treasury notes,and U. S. bonds maturing:
16 +4,191
5,164
Within 1 year
+
4
-2,307
15,945
1 to 5 years
68
6
4,508
After 5 years
+1,269
93
10,835
Other securities
-1,204
+ 169
12,369
Reserves with F. R• Banks
+ 210
+
103
1,423
Currency and coin
+ 242
+ 671
3,373
Balances with domestic banks
48 + 689
4,341
Other assets - net
+8,072
+5,401
149,890
Total assets/liabilities
L I A B I L I T I E S
Demand deposits adjusted
U. S. Government demand deposits
Demand deposits of commercial banks in the U. S.
Savings deposits
Time deposits of foreign banks, governments, etc.
Other time deposits
Borrowings: From F. R. Banks
From others

63,433
2,788
11,749
28,466

1,906
9,090
17

882

+1,223 ^(+1,135)
+1,223
-1,534
+ 862
N A
+
41*)
2 ) +6,708
+ 132*)
- 189
10
-1,186
- 823

reserves; individual loan items are shown gross.
2J increase in total of demand deposits adjusted, based on former definition, and in
depend deposits due to foreign banks; excludes change in deposits due to mutual
savings banks.
Digitized for N
FRASER
A - not available.
http://fraser.stlouisfed.org/
* June 7 figures revised.
Federal Reserve Bank of St. Louis

H,4.2(a)

ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER
BANKS IN LEADING CITIES, JUNE 14, 1961

Boston

Federal Reserve District
Phila- Cleve- RichNew
Atlanta
delphia
land
mond
York

A S S E T S
Total loans and investments
Loans and investments adjusted l/
Loans adjusted l/
Commercial and industrial loans
Agricultural loans
Loans to brokers and dealers for
purchasing or carrying:
U. S. Govt, securities
Other securities
Other loans for purchasing or
carrying: U. 8. Govt, securities
Other securities •
Loans to nonbank financial
institutions:
Sales finance, personal
finance, etc.
Other
Loans to foreign banks
Loans to domestic commercial banks
Real estate loans
Other loans

4,670
4,636
3,001
1,483
9

34,742
34,257
21,269
11,692
23

4,352
4,341
2,968
1,248
2

8,953
8,912
4,966
1,927
3

4,043
4,013
2,390
943
13

4,437
4,423
2,64l
1,160
24

5
24

264
l,4l8

9
60

10
101

2
33

4
4o

4
16

18
443

6
67

8
137

8
31

11
52

139
69

152
68
20
11
397
1,031

197
77
10
4l
1,331
l, 260

104
83

34
475
849

1,195
344
283
485
2,120
4,031

30
412
808

124
116
1
14
268
895

U. S. Government securities - total
Treasury bills
Treasury cert. of indebtedness
Treasury notes and U. S. bonds
maturing:
Within 1 year
1 to 5 years
After 5 years
Obher securities

1,193
181
92

9,623
2,084
929

1,032
128
69

2,946
493
201

1,283
102
68

l,4l6
204
93

196
632
92
442

1,402
4,131
1,077
3,365

153
531
151
341

590
1,375
287
1,000

204
744
165
340

226
727
166
366

Reserves with F. R. Banks
Currency and coin
Balances with domestic banks
Other assets - net
Total assets/liabilities

456
80
120
168
5,951

4,116
313
300
2,025
46,964

453
88
158
135
5,693

838
150
255
172
11,059

4l6
103
194
109
5,339

489
74
384
126
6,117

3,282
120

20,394
950

2,668
102

4,808
256

2,651
84

2,587
95

321
733

3,309
5,037

468
838

566
2,816

474
801

892
981

42
143

1,467
2,869
6
284
3,049

36
376

4
575

- -

"

55
127

74
211

11
245
4
29
134

7
289
1
48
115

L I A B I L I T I E S
Demand deposits adjusted
U. S. Government demand deposits
Demand deposits of commercial banks
in the United States
Savings deposits
Time deposits of foreign banks,
governments, etc.
Other time deposits
Borrowings: From F. R. Banks
From others
Other liabilities
C A P I T A L

A C C O U N T S

- -

- -

4o
233

- —

580
4,131
516
1,058
432
495
1/ Exclusive of loans to domestic commercial banks and after deduction of valuation
reserves; individual loan items are shown gross.




HA.2(b)

ASSETS AMD LIABILITIES OF WEEKLY REPORTING MEMBER
BANKS IN LEADING CITIES, JUNE l4, 1961 (CONT'D)
Federal Reserve DJLstrict
San
St. Minne- Kansas
Chicago
Dallas
Francisco
Louis apolis City
A S S E T S

Total loans and investments
Loans and investments adjusted 1/
Loans adjusted 1/
Commercial and industrial loans
Agricultural loans
Loans to brokers and dealers for
purchasing or carrying:
U. 8. Govt, securities
Other securities
Other loans for purchasing or
carrying: U. 6. Govt, securities
Other securities
Loans to nonbank financial
institutions:
Sales finance, personal
finance, etc.
Other
Loans to foreign banks
Loans to domestic commercial banks
Real estate loans
Other loans
U. S. Government securities - total
Treasury bills
Treasury cert» of indebtedness
Treasury notes and U. S. bonds
maturing:
Within 1 year
1 to 5 years
After 5 years
Other securities
-Reserves with F. R. Banks
Currency and coin
Balances with domestic banks
Other assets - net
Total assets/liabilities

15,237
15,168
8,720
3,897
44

3,135
3,102
1,902
768
17

1,699
1,698
1,115
499
26

3,923
3,895
2,390
1,003
243

5,078
5,065
3,028
1,505
35

24,475
24,297
15,458
5,394
709

28
209

2
39

6
6

15
19

9
43

6
106

30
247

4
28

8

4
29

4
216

6
58

658
176
39
69
1,497
2,126

106
92

67
34

117
110

93
146

- -

— —

- -

- -

33
294
584

1
201
286

28
335
552

13
221
813

362
388
198
178
5,312
3,185

4,745
683
298

970
128
28

450
50
6

1,161
127
70

l,64o
266
72

6,665
731
4o4

6o4
2,512
648
1,703

239
472
103
230

101
229
64
133

211
612
l4l
344

202
643
457
397

1,036
3,337
1,157
2,174

1,708
171
428
332
19,528

352
43
178
60
4,165

201
17
94
52
2,355

469
52
361
96
5,431

544
57
567
188
6,969

2,327
275
334
878
30,319

7,792
501

1,685
48

916
76

2,345
78

2,718
196

11,587
282

1,894
4,584

742
651

376
331

953
777

1,121
775

633
10,142

80
896
3
105
4l8

3
190
1
10
70

2
113

1
856
1
. 80
99

253
2,353

11
44

185
1
28
56

1,603

368

194

478

587

2,049

L I A B I L I T I E S
Demand deposits adjusted
U. S. Government demand deposits
Demand deposits of commercial banks
in the United States
Savings deposits
Time deposits of foreign banks,
governments, etc.
Other time deposits
Borrowings: From F. R. Banks
From others
Other liabilities
C A P I T A L

A C C O U N T S

~ —

— —

118
872

1/ Exclusive of loans to domestic commercial banks and after deduction of valuation
reserves; individual loan items are shown gross.