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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