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Form F, R. 284 STATEMENT FOR THE PRESS For immediate release Board of Governors of the Federal Reserve System March 10, 1941 Condition of Weekly Reporting Member Banks In 101 Leading Cities The condition statement of weekly reporting member banks in 101 leading cities shows the following principal changes for the week ended March 5? Increases of *60,000,000 in commercial, industrial, and agricultural loans, and $113,000,000 in holdings of United States Treasury bills, decreases of $93,000,000 in reserve balances with Federal Reserve Banks and $69,000,000 in demand deposits—adjusted, and an increase of $69,000,000 in deposits credited to domestic banks. Commercial, industrial, and agricultural loans increased $33,000,000 in New York City, $11,000,000 in the Chicago district, and $60,000,000 at all reporting member bonks. Loans to brokers and dealers in securities increased $2-4,000,000* Holdings of United States Treasury bills increased $72,000,000 in the Chicago district, $48,000,000 in the St. Louis district, and $113,000,000 at all reporting member banks. Demand deposits-adjusted decreased $41,000,000 in the San Francisco district, $32,000,000 in the Chicago district, and $69,G00,000 at all reporting member banks, and increased $22,000,000 in Hew York City. Time deposits increased $16,000,000. Deposits credited to domestic banks increased $40,000,000 in Hew York City and $69,000,000 at all reporting member banks. Deposits credited to foreign banks increased $18,000,000. A summary of the principal assets and liabilities of reporting member banks, together with changes for the week and the year ended March 5, 1941, follows i (in millions of dollars) 1 Mar. 5, 1941 Increase or decrease since Feb. 26, Mar. 6, 194! 1940 ASSETS Loans and Investments - total 26,668 +218 +3,313 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 9,592 5,287 323 502 455 1,229 39 1,757 + 97 + 60 + 4 + 24 3 + 3 + 9 +1,001 + 932 12 - 136 22 + 45 17 + 211 Treasury bills Treasury notes U. 8, bonds Obligations guaranteed by U, S. Gov't Other securities 840 2,554 7,064 2,774 3,844 +113 1 + 12 + 8 — 11 + + + + + Reserve with Federal Reserve Banks Cash in vault Balances with domestic banks - 168 829 56l 374 380 11,910 509 3,427 — 93 21 46 +1,499 + 52 + 316 23,362. 5,470 357 69 + 16 + 1 +4,021 + 167 - 215 9,322 644 1 + 69 + 18 + 1 +1,103 — 84 + 1 - L I A B I L I T I E S Demand deposits—adjusted Time deposits U. S. Government deposits Inter—bank deposits 1 Domestic banks Foreign banks Borrowings Form F. K. 284 STATEMENT POP. THE PRESS Board of Governors of the Federal Reserve Systen March 6, 1941 For immediate release ASSETS AI1D LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES (in nillions of dollars) New York City Increase Or Mar. decrease since Fob. 26, Mar. 6, 5, 1940 1941 1941 Mar. 5, 1941 Chicago Increase or decrease since Feb. 26, Mar, 6, 1940 | 1941 ASSETS + 67 +1,949 3,159 + 59 + 206 2,022 91 348 33 2 16 4- + + 1 4" Loans and Investments - total 10,81+3 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 bonks Other loans 165 ill 29 393 - + S2 + 372 720 + 5 + 156 358 26 134 512 21 35 + - 7 1 + 6 1 21 24 55 20 1 76 43 813 1428 510 149 777 + 72 - 3 + 5 334 211 126 408 + + 1 2 4* 558 7 19 20 939 36 272 43 — 96 - 5 - 3 + + + 22' 2 2 +2,030 101 30 2,040 509 96 ~ 14 W+ 78 1,049 7 - 28 18 3-3 266 - - — + - 6 3 11 7 13 - 4- Treasury bills Treasury notes U. S. bonds Obligations guaranteed by U. S. GovTt Other securities 147 1,523 2,901 - 1,597 1,516 + 8 + - 9 + Reserve with. F, R. Bank Cash in vault Balances v/ith domestic banks Other assets — net 6,756 82 99 3 bh + 27 5 3 2 + + - + - 44- + .+ 4- 2,690 • — -r — — — — — - 1 — — 125 3 2 + 8 6 + 1 27 4- 148 13 37 4- 4- 24 68 - 41 10 38 6 — L I A B I L I T I E S Demand deposits—adjusted Tine deposits U. S. Gov't deposits Inter-bank deposits{ Domestic banks Foreign banks Borrowings 0 bhor liabilities CAPITAL ACCOUNTS 11,007 751 14 + + - + 3,947 587 + + 4o 16 + 308 1,510 + 6 4 + - + + — 9 + 138 - — — — -H + 281 7 13 + + 1 4* 3 19 Form F. R. 28A~b ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN 101 LEADING CITIES ON I1ARCH 5, 1941 (In millions of dollars) Total Fed e r a I R e serv e D i str i c t St., CleveRichNew PhilaAll jMinnea--1 KansasDallas San Boston! Atlanta Chicago districts York delphia land mond Louis i polis ! City SFrancisco ASSETS Loans and Investments — total 26,668 1,255 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. Govrt Other securities Reserve with F. R. Banks Cash in vault Balances with domestic banks Other assets — net 11,760 1,238 2,017 775 703 3,959 827 452 727 591 2,364 9,592 662 3,537 486 802 299 377 1,134 380 214 354 320 1,027 5,287 323 502 334 66 20 2,152 102 358 244 34 28 359 10 16 140 11 3 199 5 7 702 43 41 222 12 4 113 3 1 215 22 3 221 1 4 386 14 17 455 1,229 39 1,757 16 81 4 l4l 212 190 29 494 31 49 14 48 12 35 1 118 68 132 1 147 12 59 1 70 6 12 10 32 100 20 182 1 214 42 386 1 181 840 2,554 7,064 2,774 3,844 31 49 327 56 130 147 1,579 3,145 1,678 1,674 29 356 89 278 11 154 635 136 279 162 189 55 70 3 52 98 57 116 510 285 1,115 299 616 11,910 509 3,427 1,248 689 146 204 69 6,962 103 244 481 538 22 208 81 804 50 389 92 271 25 241 39 170 15 242 49 11,827 1,104 261 1,114 10 31 1,633 753 24 604 207 24 4,042 588 476 5 535 1 379 314 1,634 14 217 18, 388 • •* * — 83 — — - 79 72 12 23 1 58 61 42 164 66 114 29 26 109 32 42 16 58 93 79 127 29 41 100 39 62 3 77 733 188 336 1,342 72 626 76 202 13 213 23 109 7 110 15 207 17 324 21 154 13 297 31 462 26 329 271 474 189 29 3,109 1,010 124 546 192 12 325 115 2 589 1449 535 138 23 1,199 1,114 58 376 2 1,389 9 427 182 1 444 296 1 364 17 13 96 18 4l6 4 89 310 390 — - L I A B I L I T I E S Demand deposits—adjusted Time deposits U. S. Gov,t deposits Inter-bank deposits: Domestic banks Foreign banks Borrowings Other liabilities CAPITAL ACCOUNTS http://fraser.stlouisfed.org/ Federal ReserveABank of St. Louis 23,362 1,417 5,470 233 11 357 9,322 644 1 764 3,842 » < + -1 412 20 1 21 248 J- ^ — 37 100 — 7 61 5 96 * r_ < — - 3 107 ' i