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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