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Form F. R. 284 STATEMENT FOR TEE PRESS For immediate release Board of Governors of the Federal Reserve System June 23P 1941 Condition of Weekly Reporting Member Banks in Leading Cities The condition statement of weekly reporting member bonks in 101 leading cities shows the following principal changes for the week ended June 181 An increase of 628,000,000 in commercial, industrial, and agricultural loans, decreases of $54,000,000 in holdings of "Other securities", $163,000,000 in reserve balances with Federal Reserve Bonks. and $199,000,000 in demand deposits—adjusted, and an increase of $67,000,000 in'deposits credited to domestic banks. Commercial, industrial, and agricultural loans increased 217,000,000 in New York City and $28,000,000 at all reporting member banks. Loans to brokers and dealers in securities decreased $7,000,000* Holdings of Treasury bills increased $22,000,000 in tne Chicago district and $26,000,000 at all reporting member banks. Holdings of United States Government bonds increased $17,000,000 in the Cleveland district and $30,000,000 at all reporting member banks. Holdings of "Other securities" decreased $24,000,000 in the Chicago district, $21,000,000 in New York City,and $54,000,000 at all reporting member banks. . Demand deposits-adjusted decreased $169,000.000 in New Tor;-: vity, ^45,000,000 in the Chicago district, and $199,000,000 at all reporting Berber banks, and increased $41,000,000 in the New York district outside New York City. Deposits credited to domestic banks increased $22,000,000 in hew York City, $17,000,000 in the Kansas City district, and $67,000,000 at all reporting member banks. ,. , , . A summary of the principal assets and liabilities 01 reporting nenber banks9 together with changes for the week and the year ended June Id, 1941, follows * (In millions of dollars) Increase or decrease since June 19, June 11, 1940 A S S E T S Loans and Investments - total + 24 + 24 + 28 - 3 - 7 - 3 + 5 4" 2 + 2 +4,559 + 26 - 3 + 30 + 1 - 54 + 271 + 174 +1,578 + 638 + 80 10,883 581 3,500 -163 - 15 + 35 + > 23,872 5,407 481 -199 - 1 + 3 +3,377 + 101 - 101 9,236 666 + 67 - 1 + - 28,155 10,262 Loans - total 5,792 Commercial, industrial, and agricultural loans 370 Open market paper 471 Loans to brokers and dealers in securities 444 Other loans for purchasing or carrying securities 1,246 Real estate loans 42 Loans to banks 1,897 Other loans 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 1,056 2,232 7,961 3,038 3,606 +1,818 +1,405 61 + 58 + - 26 + 47 + 279 — 6 712 82 221 L I A B I L I T I E S Demand deposits-adjusted Time deposits U. S. Government deposits Interbank deposits; Domestic banks Foreign banks Borrowings 702 21 Form F. R.284-a STATEMENT FOR THE PRESS Board of Governors of the Federal Reserve System June 19, 194l For immediate release CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES (in millions of dollars) New York City Increase or decrease since June IS, June 11. June 19, 1940 1941 1941 Chicago Increase or decrease since June 18, June 11, June 19, 1940 1941 1941 11,761 - +2,520 2,640 — 6 4- 417 A S S E T S 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 8 3,420 + 14 + 656 815 + 5 + 218 2,227 + 17 93 - 1 340 - 7 + 555 6 46 594 25 32 + 2 + 1 + + + 169 7 8 54 21 + 9 3 + 1 8 8 78 2 + 4o + 22 + + 95 35 95 + + 5 39 - + 159 114 33 + 454 + 1 Treasury bills Treasury notes U.S. bonds Obligations guaranteed by U. S. Gov't Other securities 587 1,454 + 3,229 + 2 l 6 + + + 178 454 710 367 125 809 1,716 — 6 1,355 - 21 + + 437 85 139 385 - 21 Reserve m t h F. R. Bank Cash in vault Balances with domestic banks Other assets - net 5,640 125 87 309 -112 + 2 - 13 - 19 -1 ,105 + 45 6 + — 17 1,132 42 271 38 - 24 - 1 + 4 - 5 10,879 -169 — 721 19 +1,338 + 53 — 24 2,194 493 100 - 43 + 1 + + 297 11 16 102 31 1,039 8 + 7 4" 4* 80 1 1 2 + — 3 3 - — 89 + — — • - 12 — • — 4* — 27 2 14 3 L I A B I L I T I E S Demand deposit s-adjusted 'fine deposits J, S. Gov't deposits ;:t,erbank deposits: Domestic banks Foreign banks . .tcrro-'iings j oner liabilities CAPITAL ACCOUNTS n nmm 3,839 602 » 292 1,520 +22 - 1 + - — , - 1 - 1 — - + 8 19 — — — 16 273 + + — — 1 19 Form F. R. 284-b ASSETS AND LIABILITIES OF REPORTING MEMBER BANKS IN 101 LEADING CITIES ON JUNE 18, 1941 Reserve D i st r i c t F e d e r a 1 Total St. Minne- Kansas „ RichNet? I Phila- CleveAll Atlanta Chicago Boston 0 City apolis Louis no lid York., J delphia land districts 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 with domestic banks Other assets - net L I A B I L I T I E S Demand deposits-adjusted Time deposits U. S, Govlt deposits Interbank deposits: Domestic banks Foreign banks Borrowings Other liabilities CAPITAL ACCOUNTS 28,155 1,368 12,733 1,299 I San " |prancjuSCO a > 2,167 777 722 4,000 829 434 760 60S 2,458 10,262 736 3,822 539 849 308 377 1,274 400 215 359 315 1,068 5,792 370 471. 395 80 11 2,372 108 347 286 39 25 397 13 15 147 11 3 194 5 6 522 46 42 227 19 5 106 3 1 212 25 4 211 3 3 423 18 9 AAA 16 81 4 149 19 40 371 68 134 206 198 33 558 601 1,498 3,499 1,814 1,499 31 52 13 48 40 386 3 19 123 35 39 10 32 1 75 7 42 106 107 139 12 23 I63 368 218 1,230 329 581 13 60 1 75 1 35 338 69 116 6 14 2 57 254 88 68 11 36 2 123 7 45 112 65 116 67 134 106 1 --25 391 83 261 19 182 1 222 9 168 736 156 249 63 38 34 119 43 59 192 1 51 812 181 345 558 151 206 67 5,836 151 230 431 505 25 217 79 788 52 379 86 259 26 276 . 42 171 16 259 52 1,552 82 621 69 238 14 192 22 111 7 133 15 206 18 330 19 143 12 326 31 516 27 331 293 11,714 1,133 261 1,088 16 44 1,736 746 45 630 208 31 502 192 47 3,357 995 135 556 191 20 336 112 2 595 144 13 556 137 36 1,340 1,103 78 532 1 371 363 2 1,380 9 424 180 1 469 294 1 372 19 5 91 327 386 1,2A6 42 1,897 1*056 2,232 7,961 3,038 3,606 10,883 581 3,500 1,206 23,872 1,417 230 5,407 14 481 9,236 666 1 789 3,873 392 23 1 25 248 3,986 604 299 1,646 — - 473 6 •1 17 219 + — 86 — — 21 391 39 101 — 85 — — 17 97 — 22 426 7 97 — — — — 7 62 3 109