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FEDERAL

52%

statistical

(fill

RESERVE

release
For immediate release
June 24, 1964

H.4.2

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 17:

Increases of

$1,721 million in loans adjusted, $109 million in holdings of U. 8. Government securities, $130 million in holdings of "other" securities, $146 million in demand
deposits adjusted, $1,959 million in U. S. Government demand deposits, $570 million
in demand deposits credited to domestic commercial banks and a decrease of $19-7 million in time and savings deposits.
Commercial and industrial loans increased in all districts and a net of
$651 million, reflecting quarterly tax date needsj during the comparable week a year
ago these loans increased $455 million.

Loans to brokers and dealers for purchasing

or carrying U• 8. Government securities decreased $136 million, and their loans for
purchasing or carrying "other" securities increased $2l6 million.

Loans to sales

and personal financing institutions increased $7lB million and loans to "other"
nonbank financial institutions increased $91 million, as compared with increases of
$387 million and $82 million, respectively, during the similar week in 1963•
estate loans increased $72 million.

Real

"Other" loans increased $73 million.

Holdings of Treasury bills by weekly reporting member banks increased
$150 million, and the combined total of Treasury notes and U • S. Government bonds
decreased $4l million.
Demand deposits adjusted increased $128 million in New York City, $93 million in the Boston District and $66 million in the Cleveland District, but they
decreased $140 million in the San Francisco District. Savings deposits increased
$26 million and "other" time deposits of individuals, partnerships, and corporations
decreased $159 million.
Borrowings of weekly reporting member "banks from Federal Reserve Banks
decreased $84 million but borrowings from others increased $185 million. Loans to
domestic commercial banks increased $74 million.




CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES

H.4.2

——

—

—

:

Change since
June 10, June 19,
1963
1964

June
17,
1964

A S S E T S
l44, lVf
142,013
95,573
38,885
1,563

Total loans and investments
Loans and investments adjusted 1/
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. S. Govt, securities
Other securities
Loans to nonbank 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 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

853
3,996
92

1,852
5,051
3,732
1,159
18,836

21,611
2,13k
26,500
4,055

+
+

651*
8

+10,928
+10,078
+11,406
+ 3,436
+
13

+

136
216

+
+

259
687

2
1

+

+

16
354

+2,034
+1,960

+ 718
+
91
+
28
+
72
+
73*
+
74
+ 109
+ 150
- -

+
+

+

+
859
+
719
+
398
+ 2,133
+ 2,651
+
850
3,291
13
1,761
-

+ 1,452

1,776
3,169
5,944
183,807

14
300
355
+ 130
+ 289
16
+ 223
37
+4,348

63,286
96,377
68,578
4,790
5,665
11,661
525
606
1,207
63,024

+ 146
+4,530
+2,189
190
+1,959
+ 570
+
4
7
+
59
197

+ 1,095
+ 2,917
+ 2,189
106
+
+
78
+
175
20
+
13
+
74
+ 8,423

38,800
15,387
4,623
319
3,599
l4i
11,595
157
3,154
6,062

+

15,033

-

3,924
13,147
5,374
19,940

13,006

-

-

-

1,347
1,622
+ 1,963
132
+
106
+
2
+
693
+13,166
-

-

-

L I A B I L I T I E S
Demand deposits adjusted 2/
Demand deposits - total 37
Individuals, partnerships, and corporations
States and political subdivisions
U« S. Government
Domestic interbank: Commercial
Mutual savings
Foreign: Govts., official insts., etc.
Commercial banks
Time and savings deposits - total 4/
Individuals, partnerships, and corporations:
Savings deposits
Other time deposits
States and political subdivisions
Domestic interbank
Foreign: Govts., official insts., etc.
Commercial banks
Memo: Negotiable Time CD's included above
Borrowings: From F. R. Banks
From others
Other liabilities
C A P I T A L

A C C O U N T S

X/ JtiXC-LUSlve UJL j-uaiio UV

v+v,

—

" , _

-

-

-

-

+
-

+
-

26
159
58
1
6
4
322*
84
185
62

+ 2,580
+ 4,181
+
695
+
91
+
832
+
37
NA
559
+ 1,075
+
171

24

+ 1,139

-

reserves; individual loan items are shown gross.
NA Not available.
2/ Includes
demand deposits except those of U. S. Government and domestic commercial
banks7 less cash items in process of collection.
3/ Includes certified and officers' checks not shown separately.
V Includes time deposits of U. S. Government and postal savings not shown separately.
* June 10 figures revised.



CONDITION OF WEEKLY REPORTING MEMBER BANKS, BY DISTRICTS,
JUNE 17, 196k
Federal Reserve District
Phila- Cleve- Rich- Atlanta
New
Boston
mond
land
York delphia
(In millions of dollars)

H.4.2(a)

A S S E T S
Total loans and investments
Loans and investments adjusted 1/

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. S. Govt, securities
Other securities
Loans to nonbank 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 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

43,306
42,715
29,160
13,843
51

5,223
5,107
3,635
1,422
7

11,287
11,084
6,688
2,384
2

16
38

489
2,531

20
82

30
292

4
36

7
75

7

28
636

7
67

7
191

12
29

4
45

171
153
33
668
1,034
96
818
114

2,039
999
673
3,691
4,908
591
6,944
1,456

199
126
29
581
1,209
116
943
177

301
145
36
1,628
1,799
203
2,239
328

180
163

186. 1,020
388
3,275
1,193
130
6,6ll
793
4,167
453
4l8
102
292
161
181
2,751
7,051 56,367

180
445
i4i
529
476
105
158
170
6,711

34o
1,191
380
2,157
904
179
243
236
13,684

L I A B I L I T I E S
Demand deposits adjusted 2/
Demand deposits - total 3*7
Individuals, partnerships, and corporations
States and political subdivisions
U. S. Government
Domestic interbank: Commercial
Mutual savings
Foreign: Govts., official insts., etc.
Commercial banks
Time and savings deposits - total 4/
Individuals, partnerships, and corporations:
Savings deposits
Other time deposits
States and political subdivisions
Domestic interbank
Foreign: Govts., official insts., etc.
Commercial banks
Memo: Negotiable Time CD's included above
Borrowings: 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.




5,212 5,609
5,095 5,500
3,408 3,554
1,207 1,447
45
17

5,561
5,465
3,854
1,813
6

147
199
2
644
419
1,179 1,233
109
117
1,321
1,129
160
77
- -

161
675
216
558
483
129
100
160
6,701

212
731
218
625
529
87
374
166
7,513

3,302 19,692 2,631
4,397 30,062 3,977
3,394 20,465 2,966
107
865
283
26l
1,702
237
506
265
3,235
4o
346
ll4
504
4
9
865
34
34
1,694 16,824 1,891

4,760 2,893 2,760
6,698 4,204 4,683
5,053 3,128 3,045
407
293
396
240
217
510
454
958
593
8
6
2
24
10
38
9
5,325 1,692 1,980

7,445 1,114
567
5,582
105
853
16
210
82
2,568
6
92
4,839
399
38
84
1,588
170
2,959

3,541 1,181 1,308
502
354
1,395
145
105
365
2
19
14
4
6
29
2
292
886
229
2
10
17
80
109
73
144
188
286

4,896

1,256

1,015
472
104
17
77
4
504
12
46
2ko
662

589

535

616

CONDITION OF WEEKLY REPORTING MEMBER BANKS, BY DISTRICTS,

H.4.2(b)

JUNE 17, 196k (Continued)
Federal Reserve DiLstrict
San
St. Minne- Kansas Dallas
Chicago Louis apolis City
Francisco
A S S E T S
Total loans and investments
Loans and investments adjusted 1/
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. S. Govt, securities
Other securities
Loans to nonbank 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 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
L I A B I L I T I E S
Demand deposits adjusted 2/
Demand deposits - total 37
Individuals, partnerships, and corporations
States and political subdivisions
U. S. Government
Domestic interbank: Commercial
Mutual savings
Foreign: Govts., official insts., etc.
Commercial banks
Time and savings deposits - total 4/
Individuals, partnerships, and corporations:
Savings deposits
Other time deposits
States and political subdivisions
Domestic interbank
Foreign: Govts., official insts., etc.
Commercial banks
Memo: Negotiable Time CD's included above
Borrowings: 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.




19,610
19,422
12,169
4,918
57

4,013
3,911
2,599
930
4l

197
525

8
93

21
346

1
41

906
446
io4
2,238
2,729
188
4,255
648
586
2,225
796
2,998
1,836
210
386
531
24,693

2,125 4,809
2,109 4,700
1,417 3,177
583 1,268
243
38

6,373 31,019
6,245 30,660
4,179 21,733
7,063
2,007
999
57

15
33

8
48

55
212

4

35

66

2
273

6
116

154
158
3
438
772
102
791
115

119
66

142

261
302
16
451
30

482
815
109
1,015
116

124
272
2
363
1,099
128
1,351
84

569
847
277
7,423
4,532
359
5,243
750

122
419
135
521
390
50
176
78
5,212

72
220
129
241
185
20
72
75
2,847

171
565
163
508
473
59
315
149
6,469

115
771
381
715
551
61
448
266
8,387

759
2,242
1,492
3,684
2,559
356
444
1,181
38,172

4
31
mm mm

158

— -

837 2,256 2,710 12,158
7,596 1,691
12,579 3,123 1,696 4,065 4,649 16,244
8,676 2,015 1,045 2,607 3,117 13,067
194
260
953
l46
129
757
877
190
190
98
163
980
596
391
955 1,061
764
1,883
8
2
l
45
5
13
127
15
3
62
5
5
2,641
17,673
1,691
849
9,305 1,459
mm

—

328
481
37

1,120 1,152 13,279
501 1,114 1,969

1

65
1
2

330
5
68
82

240
9
18
50

575
23
1,233
11
409
1,220

475

225

6,576
1,829
609
18
250
12
1,433
to
4o8
485

741
621
90

1,868

- -

4

1,784

307
2
45
70

361
8
1
2
903
3
226
168

596

700

2,615

— —

14