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FEDERAL

RESERVE

release
* f^AL RE^ •

For immediate release
June 22, 1966
H.4.2

CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADTTOft CTTTRR
The condition statement of weekly reporting member banks in leading cities

shows the following principal changes for the week ended June 15:

increases of

$2,309 million in loans adjusted, $332 million in holdings of U. S. Government
securities, $3,947 million in demand deposits adjusted, a decrease of $371 million
in U. S. Government demand deposits, and an increase of $384 million in demand
deposits credited to domestic commercial banks.
Commercial and industrial loans increased in all districts and a net of
$1,242 million; during the comparable week a year ago these loans increased $1,215
million. Loans to brokers and dealers for purchasing or carrying U. S. Government
securities increased $152 million, and their loans for purchasing or carrying "other"
securities increased $190 million.

Loans to sales and personal financing institutions

increased $705 million and loans to "other" nonbank financial institutions increased
$126 million, as compared with increases of $700 million and $79 million, respectively,
during the similar week in 1965. Real estate loans increased $91 million.

"Other"

loans decreased $155 million.
Holdings of Treasury bills by weekly reporting member banks increased
$233 million, Treasury certificates increased $17 million, and the combined total
of Treasury notes and U. S. Government bonds increased $82 million.

"Other"

securities decreased $243 million.
Demand deposits adjusted increased in all districts including increases
of $2,020 million in New York City, $369 million in the City of Chicago, $356 million
in the Cleveland District, $200 million in the Chicago District outside the City of
Chicago, $193 million in the Philadelphia District, $150 million in the Richmond
District, and $128 million in the Boston District. Savings deposits increased $22
million and "other" time deposits of individuals, partnerships, and corporations
decreased $932 million.
Borrowings of weekly reporting member banks from Federal Reserve Banks
decreased $153 million but borrowings from others increased $525 million.
domestic commercial banks increased $883 million.




Loans to

H.4.2

CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES

ASSETS
TOTAL LOANS AND INVESTMENTS
LOANS AND INVESTMENTS ADJUSTED I1)
LOANS ADJUSTED (1)
COMMERCIAL AND INDUSTRIAL LOANS
AGRICULTURAL LOANS
LOANS TO BROKERS AND DEALERS FOR PURCHASING
OR C A R R Y I N G — U. S. GOVT. SECURITIES
OTHER SECURITIES
OTHER LOANS FOR PURCHASING OR C A R R Y I N G —
U. S. GOVT. SECURITIES
OTHER SECURITIES
LOANS TO NCNBANK FINANCIAL INSTITUTIONS—
SALES FINANCE, PERSONAL FINANCE, ETC.
OTHER
LOANS TO FOREIGN BANKS
REAL ESTATE LOANS
OTHER LOANS
LOANS TO DOMESTIC COMMERCIAL BANKS
U. S. GOVERNMENT SECURITIES - TOTAL
TREASURY BILLS
TREASURY CERTIFICATES OF INDEBTEDNESS
TREASURY NOTES AND U. S. BONDS M A T U R I N G —
WITHIN I 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

CHANGE SINCE
JUNE
JUNE
JUNE
15,
8,
16,
1966
1966*
1965
<IN MILLIONS OF DOLLARS)
170,496
167,585
122,294
54,889
1,675

+
+
+
+
+

3,281
2,398
2,309
1,242
15

668
3,465

+
+

152
190

86
2,146
6,409
4,683
1,557
23,371
25,950
2,911
20,586
2,471
563
2,706
8,879
5,967
24,705
13,246
2,114
3,545
7,277
217,413

—

+
+
-

+
-

+
+
+
+
+
-

+
-

+
+
-

+

+ ll,867
+ 11,262
+ 12,833
+ 8,416
+
81

-

363
285

11
4

+
+

14
179

705
126
41
91
155
883
332
233
17

+
+

941
459
25
2,363
1,362
605
3,121
463
563

270
246
58
243
57
30
234
211
7,653

—

+
+
+
-

+
—
-

+
-

+
+
+
ti-

918
1,102
1,201
1,550
933
186
184
770
14,771

LIABILITIES
DEMAND DEPOSITS ADJUSTED (2)
DEMAND DEPOSITS - TOTAL (3)
INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS
STATES AND POLITICAL SUBDIVISIONS
U. S. GOVERNMENT
DOMESTIC I N T E R B A N K — COMMERCIAL
MUTUAL SAVINGS
F O R E I G N — GOVTS. , OFFICIAL INSTS., ETC.
COMMERCIAL BANKS
TIME AND SAVINGS DEPOSITS - TOTAL (4)
INDIVIDUALS, PARTNERSHIPS, AND C O R P O R A T I O N S SAVINGS DEPOSITS
OTHER TIME DEPOSITS
STATES AND POLITICAL SUBDIVISIONS
DOMESTIC INTERBANK
F O R E I G N — GOVTS., OFFICIAL INSTS., ETC.
COMMERCIAL BANKS
M E M O — NEGOTIABLE TIME CD'S INCLUDED ABOVE
B O R R O W I N G S — FRCM F. R. BANKS
FROM OTHERS
OTHER LIABILITIES
C A P I T A L

A C C O U N T S

60,911
104,082
76,770
5,450
1,711
12,725
507
707
1,376
81,861

' + 3,947
+ 8,336
+ 7,515
132
371
384
22
47

20

+
+

3,846
2,124
5,136
479
4,982
563
28
67
100
8,828

43,079
26,512
6,911
646
4,349
224
17,133
566
4,920
8,481

22
932
103

+
+
+
+
+

385
6,842
1,216
88
341

17,503

-

1

025

1

9

1

+

+

+
+
+
+

640
153
525
7
37

12

2,135
70
825
1,635
+

1,429

(1) EXCLUSIVE OF LOANS TO DOMESTIC COMMERCIAL BANKS AND AFTER DEDUCTION OF VALUATION
RESERVES, INDIVIDUAL LOAN ITEMS ARE SHOWN GROSS.
EMAND

D E P 0 S I T S E X C E P T THQ
ram*c 2 , |ccc L rAcu frLr
S E OF U. S. GOVERNMENT AND DOMESTIC COMMERCIAL
BANKS, LESS CASH ITEMS IN PROCESS OF COLLECTION.
(3) INCLUDES CERTIFIED AND OFFICERS CHECKS NOT SHOWN SEPARATELY.
(4) INCLUDES TIME DEPOSITS OF U. S. GOVERNMENT AND POSTAL SAVINGS NOT SHOWN SEPARATELY.
*
REVISED.




»

'

H.4.2(A)

CONDITION OF WEEKLY REPORTING MEMBER BANKS, BY DISTRICTS,
JUNE
15, 1966
BOSTON

>

ASSETS
TOTAL LOANS AND INVESTMENTS
LOANS AND INVESTMENTS ADJUSTED 11)
LOANS ADJUSTED (1)
COMMERCIAL AND INDUSTRIAL LOANS
AGRICULTURAL LOANS
LOANS TO BROKERS AND DEALERS FOR PURCHASING
OR C A R R Y I N G — U. S. GOVT. SECURITIES
OTHER SECURITIES
OTHER LOANS FOR PURCHASING OR C A R R Y I N G —
U. S. GOVT. SECURITIES
OTHER SECURITIES
LOANS TO NONBANK FINANCIAL I N S T I T U T I O N S SALES FINANCE, PERSONAL FINANCE, ETC.
OTHER
LOANS TO FOREIGN BANKS
REAL ESTATE LOANS
OTHER LOANS
LOANS TO DOMESTIC COMMERCIAL BANKS
U. S. GOVERNMENT SECURITIES - TOTAL
TREASURY BILLS
TREASURY CERTIFICATES OF INDEBTEDNESS
TREASURY NOTES AND U. S. BONDS M A T U R I N G —
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

6,, 662
6,,601
4, 974
2,,468
9

FEDERAL RESERVE DISTRICT
NEW
PHILA- CLEVE- RICHYORK
DELPHIA
LAND
MOND
(IN MILLIONS OF DOLLARS)
53,116
51,984
39,213
20,837
53

6,, 146
6,,060
4,,679
1,,928
7

ATLANTA

13,027
12,855
8,661
3,618
2

6 ,293
6 ,164
4 ,426
1 ,585
21

6 ,766
6 ,665
4 ,653
1 ,976
54

3
28

325
2,361

15
45

33
162

2
61

7
59

3
9

10
686

6
74

8
264

13
29

4
60

223
169
28
896
1, 244
61
617
92
33

2,532
1,507
918
5,047
5,892
1,132
5,201
1,031
210

274
193
47
781
1, 438
86
691
83
47

443
207
51
1,916
2,101
172
1,804
211
57

213
211
1
914
1 ,461
129
966
83
34

190
231
3
612
1 ,551
101
1 ,154
97
16

80
227
185
1, 010
537
117
156
248
8, 448

617
1,767
1,576
7,570
4,225
488
378
3,264
69,649

96
328
137
690
474
132
213
217
7, 874

288
678
570
2,390
990
210
277
298
15,865

140
533
176
772
505
154
131
191
8 ,093

238
560
243
858
581
104
424
222
9 ,042

3, 558
4, 689
3, 772
263
88
315
120
13
35
2, 433

21,645
34,041
23,369
1, 182
480
3,738
325
576
1,007
23,143

2, 857
4, 152
3, 281
111
68
535
37
11
42
2, 642

5,273
7,095
5,786
407
148
611
5

3 ,151
5 ,262
3 ,540
485
91
1 ,075

22
6,721

3 ,246
4 ,676
3 ,622
321
113
498
8
37
10
2 ,407

1, 257
836
230
38
67
2
813
29
174
356

8, 115
9,866
1,368
469
3, C98
155
7,741
168
2,278
4, 189

It 291
1, 073
165
14
92
6
510
40
173
230

4,280
1,631
739
40
25
4
1,338
24
168
373

1 »569
633
177
2
9
1
221
4
96
253

1 ,628
827
200
14
8

767

5,830

637

1,484

657

731

L I A B I L I T I E S
DEMAND DEPOSITS ADJUSTED (2)
DEMAND DEPOSITS - TOTAL (3)
INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS
STATES AND POLITICAL SUBDIVISIONS
U. S. GOVERNMENT
DOMESTIC I N T E R B A N K — COMMERCIAL
MUTUAL SAVINGS
F O R E I G N — GOVTS. , OFFICIAL INSTS., ETC.
COMMERCIAL BANKS
TIME AND SAVINGS DEPOSITS - TOTAL (4)
INDIVIDUALS, PARTNERSHIPS, AND C O R P O R A T I O N S —
SAVINGS DEPOSITS
OTHER TIME DEPOSITS
STATES AND POLITICAL SUBDIVISIONS
DOMESTIC INTERBANK
F O R E I G N — GOVTS. , OFFICIAL INSTS., ETC.
COMMERCIAL BANKS
M E M O — NEGOTIABLE TIME CD'S INCLUDED ABOVE
B O R R O W I N G S — FROM F. R. BANKS
FROM OTHERS
OTHER LIABILITIES
C A P I T A L

A C C O U N T S

SEE FOOTNOTES ON FIRST TABLE.




— —

2
11
2 ,679

— —

394
31
123
216

k

H.4.2(B)

CONDITION OF WEEKLY REPORTING MEMBER BANKS, BY DISTRICTS,
JUNE
15, 1966

*

ASSETS

* TOTAL LOANS AND INVESTMENTS
LOANS AND INVESTMENTS ADJUSTED II)
LOANS ADJUSTED (1)
. t COMMERCIAL AND INDUSTRIAL LOANS
AGRICULTURAL LOANS
» LOANS TO BROKERS AND DEALERS FOR PURCHASING
OR C A R R Y I N G — U. S. GOVT. SECURITIES
»
OTHER SECURITIES
OTHER LOANS FOR PURCHASING OR C A R R Y I N G —
>
u. S. GOVT. SECURITIES
OTHER SECURITIES
>
LOANS TO NONBANK FINANCIAL I N S T I T U T I O N S SALES FINANCE, PERSONAL FINANCE, ETC.
OTHER
LOANS TO FOREIGN BANKS
REAL ESTATE LOANS
OTHER LOANS
LOANS TO DOMESTIC COMMERCIAL BANKS
Uf S. GOVERNMENT SECURITIES - TOTAL
TREASURY BILLS
> TREASURY CERTIFICATES OF INDEBTEDNESS
TREASURY NOTES AND U. S. BONDS M A T U R I N G —
WITHIN 1 YEAR
I TO 5 YEARS
AFTER 5 YEARS
OTHER SECURITIES
•PRESERVES WITH F . R . BANKS
CURRENCY AND COIN
"BALANCES WITH DOMESTIC BANKS
OTHER ASSETS - NET
'TOTAL ASSETS/LIABILITIES

QJUL_,.VH
,
CHICAGO 11 ST. 1 MINNE- [ KANSAS DALLAS
SAN
I LOUIS 1 APOLIS 1 CITY
FRANCIS!
( IN MILLIONS OF OOLl ARS)
23,263
22,914
16,368
7,227
70

4,499
4,374
3,053
1,206
17

2,496
2,458
1,800
826
44

5,367
5,241
3,708
1,471
278

7,001
6,870
4,708
2,303
56

35,860
35,399
26,051
9,444
1,064

43
443

2
40

5
15

4
27

44

22 9
180

21
368

1
41

53

2
88

3
320

15
154

1, 167
588
228
3,266
3,364
349
3,298
372
58

166
160
1
566
903
125
645
57
15

110
89

181
182

312
374
38
353
17
3

559
978
126
832
108
21

158
278
6
461
1,167
131
1,119
44
20

752
868
274
8,041
5,477
461
3,906
276
49

351
1,632
885
3,248
1,824
290
433
796
29,311

111
309
153
676
367
58
185
116
5,804

31
143
159
305
193
23
73
76
3,289

115
425
163
701
423
67
286
181
7,108

134
566
355
1,043
490
68
453
326
9,275

505
1,711
1,365
5,442
2,637
403
536
1,342
43,655

8,614
13,533
10,093
858
222
1,992
1
15
75
11,911

1,798
3,260
2, 187
145
58
825

910
1,779
1,159
138
25
416
3

2,321
4,163
2,733
318
88
970

2,751
4,815
3,320
268
75
1,052

5
1,787

5
1.C91

4
2,101

3
18
3,094

12,787
16,617
13,908
954
255
698
8
50
142
21,852

7,348
3,274
964
31
278
11
2,024
147
659
891

859
780
143
2
1
1
299
10
123
101

305
721
62
1
1

1,185
827
86
1

282
8
96
57

350
28
77
86

1,299
1,273
501
16
1
1
1,068
7
376
172

13,943
4,771
2,276
18
769
43
2,093
70
577
1,557

2,170

523

258

653

811

2,982

• —

L I A B I L I T I E S

dEMAND DEPOSITS ADJUSTED 12)
DEMAND DEPOSITS - TOTAL (3)
INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS
' STATES AND POLITICAL SUBDIVISIONS
U. S. GOVERNMENT
- DOMESTIC I N T E R B A N K — COMMERCIAL
MUTUAL SAVINGS
* F O R E I G N — GOVTS., OFFICIAL INSTS., ETC.
COMMERCIAL BANKS
TIME AND SAVINGS DEPOSITS - TOTAL <4)
INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONSSAVINGS DEPOSITS
OTHER TIME DEPOSITS
k
STATES AND POLITICAL SUBDIVISIONS
a DOMESTIC INTERBANK
F O R E I G N — GOVTS., OFFICIAL INSTS., ETC.
COMMERCIAL BANKS
M E M O — NEGOTIABLE TIME CD'S INCLUDED ABOVE
S O R R O W I N G S — FROM F. R. BANKS
.
FROM OTHERS
tJTHER LIABILITIES
>

C A P I T A L

A C C O U N T S

ScE FOOTNOTES ON FIRST TABLE.

r

1

>




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