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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

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t

f

City; the net decrease at all reporting member banks was $82,000,000.United

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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