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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) March 1, 1950 H.4.2 CONDITION OF WEEKLY REPORTING MEMBER BAMS IN LEADING CITIES The condition statement of weekly reporting member banks in leading cities ncr shows the following principal changes for the week ended February 21: of $187,000,000 in holdings of United States Government securities, ettd decreases or $177,000,000 in loans, $285,000,000 in reserve balances with Federal Reserve Banks, $306,000,000 in demand deposits credited to domestic banks, and $23o,000,uuu in borrowings. Commercial, industrial, and agricultural loans decreased $21,000,000 in New York City and by smaller amounts in nearly all of the other distric s, er net decrease of $51,000,000 at all reporting member banks. Holdings of Treasury bills increased $117,000,000 in New York City and a total of $96,000,000 at all reporting member banks. Holdings of T r e a s u r y notes incre $40,000,000. Holdings of United States Government bonds increased $55,000,000 a all reporting member banks; the principal changes were an increase of $60,000,000 in New York City and a decrease of $16,000,000 in the Atlanta District* Demand deposits adjusted decreased $55,000,000 in the Atlanta District, s S K t f City; the net decrease at all reporting member banks was $82,000,000.United inn U ; in all districts. Borrowings decreased $217,000,000 in New York City and $38,000,000 in Chicago. - . ..... 4-j „ ~ V>nnlrs f nl 1 fiVA! Increase or decrease since Feb. 23, Feb. 15, 1949 1950 (In millions of dollars) 66,985 + 8 +5,039 24,600 - 177 - 265 24,974 - 175 - 183 13,854 - 51* -1.368 •Feb. 21, 1950 ASSETS Loans and investments - total Loans - net Loans - gross Commercial, industrial, and agricultural loans Loans to brokers and dealers for purchasing or carrying: U. S. Government obligations Other securities Other loans for purchasing or carrying: U. S. Government obligations Other securities Real estate loans Loans to banks Other loans U. S. Government securities - total Treasury bills Treasury certificates of indebtedness Treasury notes U. S. bonds Other securities Reserve with Federal Reserve Banks Cash in vault Balances with domestic banks S T A B I L I T I E S 403 994 137 431 4,410 306 4,439 37,162 2,402 5,858 3,988 24,914 5,223 12,012 757 2,155 46,848 Demand deposits adjusted 15,395 Time deposits except Govt. 2,938 U. S. Government deposits 8,991 Domestic banks Interbank demand deposits: 1,249 Foreign banks 257 Borrowings ____________ Debits"to demand deposit accounts, except interbank 20,386 and U. S. Govt, accounts, during week http://fraser.stlouisfed.org/ ^February 15 figures revised (Philadelphia District) Federal Reserve Bank of St. Louis - i4o + 58 + 270 571 + + + + + + + + + 52 23 324 45 590 4 1 11* 45 5 187 96 4 40 55 2 +4,348 + 622 + 822 +2,966 - 62 + 956 - 285 + 7 - 100 -2,259 60 + 66 + + + - + 549 + 332 +1,035 + 745 - 190 36 82 19 181 306 28 236 ASSETS AND LIABILITIES OF WEEKLY BEPPRSC^Gr- lffiMBEE. BANKS. INLEADIHx PITIES, FEBRUARY 21* 1950 District F e d e r a ]L R e s e r v e Total Sen all New Phila- Cleve- Rich- Atlanta Chicago St. Minne- Kansas Dallas Boston Francisco City Louis apolis districts York delphia land mond (In millions of dollars) ASSETS ,262 2,611 2,539 11,673 2,736 2,455 9,466 2,274 4,667 66,985 3,021 21,518 2,763 Loans and investments - total 965 1,181 4,978 432 886 881 2,578 972 1,453 24,600 1,039 8,293 9%2 Loans - net# 628 843 1,973 208 540 401 531 1,610 799 648 5,189 484 Commercial, industrial, and agr'l loans 13,854 Loans to brokers and dealers for purchasing or carrying: 2 1 10 1 1 9 374 403 5 U. S. Government obligations 19 6 71 808 25 7 27 994 9 Other securities Other loans for purchasing or carrying: 4 8 7 18 7 12 3 10 2 25 10 31 137 U. S. Government obligations 4l 23 11 12 21 20 5 41 53 178 7 19 431 Other securities 139 95 2,186 194 75 218 370 300 146 77 107 4,410 503 Real estate loans 1 4 29 2 5 10 7 245 306 3 Loans to banks 842 200 184 218 145 240 456 238 267 1,108 320 221 4,439 Other loans 713 1,410 1,229 5,751 1,814 11,632 1,476 2,845 1,699 1,369 6,097 1,127 37,162 U, S. Government securities - total 147 107 15 165 614 58 110 146 126 147 692 2,402 75 Treasury bills 1,077 287 323 174 211 936 246 331 185 317 300 1,471 5,858 Treasury certificates of indebtedness 86 134 187 735 144 177 758 149 334 131 3,988 135 1,018 Treasury notes 665 3,792 438 681 771 784 3,789 2,068 1,158 1,304 8,451 1,013 24,914 U. S. bonds 944 129 236 117 175 205 791 151 369 168 345 1,593 5,223 Other securities H.4.2(a) 12,012 Reserve with Federal Reserve Banks 757 Cash in vault 2,155 balances with domestic banks 1,198 Other assets - net LIABILITIES 46,848 Demand deposits adjusted 15,395 Time deposits except Govt. 2,938 -II, -S. -Government deposits Interbank demand deposits: Domestic banks 8,991 1,249 Foreign banks 257 Borrowings 1,207 Other liabilities 6,222 CAPITAL ACCOUNTS Debits to demand deposit accounts, except interbank and U. S. Govt, accounts 7 t 20,386 465 51 90 82 4,725 166 111 458 454 42 105 58 2,410 16,449 2,092 423 479 2,450 920 179 136 2,807 270 355 11 1,034 27 19 167 11 667 29 49 2,484 314 327 776 8,788 729 459 33 303 56 1,612 6,668 621 4 7 20 183 817 1,915 1,988 254 390 451 93 102 74 279 775 642 3 1 7 11 4 1 17 14 17 103 210 210 534 365 2,514 454 62 150 48 404 40 189 56 1,729 100 323 92 367 28 106 26 3,066 2,064 1,386 596 6,247 2,625 560 1,415 46 13 70 734 1,400 486 2,801 687 79 143 69 207 462 7 4 38 475 131 391 5 14 19 230 1,732 537 94 539 10 4 33 195 1,074 661 692 80 199 12 88 16 457 29 287 27 739 713 115 260 210 5,318 362 435 94 2 234 757