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V

Form J*'"R . 2Qk

STATEMENT FOR THE PRESS

Board of Governors
of the Federal Reserve System
March 16, l^lj.2

For immediate release

Condition of Weekly Reporting, Member Banks in Leading Cities
The condition statement of weekly reporting member banks in 101 leading cities
the following principal changes for the week ended March 11: Increases of
,000,000 in commercial, industrial and agricultural loans, $61,000,000 in United
States Government obligations, $68,000,000 in reserve balances with Federal Reserve
Banks, and $31%,000,000 in demand deposits-adjusted, and a decrease of $82,000,000
in deposits credited to domestic banks.
Commercial, industrial and agricultural loans increased $1+0,000,000 in New
York City and $57*000,000 at all reporting member banks,
.
Holdings of Treasury Dills increased $32,000,^00 in the Chicago District and
$59)000,000 at all reporting member banks•
Demand deposits-adjusted increased $116,000,000 in Hew York City,v $56,000 000
H.hi
nn <rnDistrict,
z>-t-1^43,000,000
<:M .1 AAA aaa in• „the San
^ Francisco
^
. I_. ' • 9
in the! Chicago
District. .and $3lit,
000,000
at all reporting member banks.
Deposits credited to domestic banks declined $31,000,000 in New York City,
$43,000,000 in the Chicago District, and $82,000,000 at all reporting' member banks.
ii summary of the principal assets and liabilities of reporting member banks,
together with changes for the week and the year ended March 11, 1942, follows;

x

'

Increase or decrease
since
ivfar # 4,
Mar. 12,
1942

Mar.

n,
w

w

S 8 3 T S
Loans and Investments - total

31,03k

+116

Loans - total
Commercial, industrial, and agricultural loans
Open market paper
Loans to brokers and dealers in securities
Other loans for purchasing or carrying sees.
Real estate loans
Loans to banks
Other loans

+4,290

11,411
6,959
h2b
455
4io
1,2^6

+ 37
+ 57
- 5
- 5

+1,722
+1,585
+
92
43
48

Treasury bills
Treasury notes
U. S. bonds
Obligations guaranteed by U, S. Government
Other securities
Reserve with Federal Reserve Banks
Cash in vault
Balances with domestic banks

— —

29
1,888

-

2

-

3
5

1,238

+ 39
+ 9

2,346
9,631

2,720

+ 16

+

17

10

+

129

3,683
10,301
556
3,263

+ 30
+ 3

-1,675
+
29
- 209

25,129
5,153
1,809

+31 h
- 35
+ 8

+1,6L2
- 3Q9
, +1,157

8,9liU

- 82

82

L I A B I•L I T I E S
Demand deposits-adjusted
Time deposits
U. S. Government deposits
Interbank deposits•
Domestic banks
Foreign h,6nks
Borrowings




ok0

1 •

+ 13

v

+ 329
- 199 '
+2,566
46

- 3
+ 18

+ 60 -

!

-

407
9

Form F^. k.

28^-a
STATEMENT FOR THE PRESS

'

Board of Governors
of the Federal Reserve System
March 12, 19^2

For immediate release

CONDITION. OF T.EEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES
(In millions of dollars)

Mar,

11
W
AS

- New York City
Increase or
decrease since
Mar. 12,
'Mar. 4,
19k2
1911

Mar.

11

19h2

Chicago
IncreaseD or
decrease since
Mar, U, |Mar• 12,
1912 11 1911

S iiTS

Loans and Investments-total
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 banks
Other loans
Treasury bills
Treasury notes
U. S. bonds
Obligations guaranteed by
U. S. Government
Other securities
Reserve with F. R. Bank
Cash in vault
Balances with domestic banks
Other assets - net

+ • 3h

+1,613

2,963

3.915

+ 37

+

690

2,77k
79
$28

+

1
1

*

1U9

+

1

12,505

h5h

-

hoi

+ 13

1,153

3,809
1,189

3
1

+ h

- 16
6
2

i,bhO

+

h,922

+ 38
+ 5
+ 6

79
89
515

+

265

929

+

+

203

699
17
26

731
111
33

+ 7
- 1
2

+

209

-

+

17
8
3
62

51
23

+

2

-

77

-

1

+

+

190
69
906

Ii53

9k

105

+ ho

105
26

+ 36

-

-

-

+
-

138

95L

38U

-1 ,833
j

1,119

-

h

-

10,633
711
860

+116
- 11;
+ 3

-

3,3U2
577

- 31

-

6
12 •
28 '

Ul
267

h3

8
2

•

3
3

.

——
--

——

10

-

5

+ 28
+ 1
— 2

it

- 28
+
+

1
3

+

6h
7

•

175
21
21

-

- -

+

h

-

+
+

-

167
5

h

1

-

1

+ 27
- 1

-

2h2
hS
19k

L I A B I L I T I E S
Demand deposits-adjusted
Time deposits .
U. S. Government deposits
Interbank deposits :
Domestic banks
Foreign banks
Borrowings
Othur liabilities
CAPITAL ACCOUNTS




+ 10

-

405
1:2
81+6

2,289

621
15

1,083
8

h62
290

- 12

2I4.8

-

+
+

2
3

-

+

62
33

18
283

See other side.

-

1
- -

20
1
--

mm

mm mm

1,539

+

- -

+

h
17

Perm- F# R. 28i|-b

ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN 101 L&IDING CITIES,MARCH II,
(In millions of dollars)

4

Total
All
Boston
districts!
A S S
T S
Loans and Investments - total

31,034

Loans - total
Commercial, industrial, and
6,959
agricultural loans
424
Open market paper
Loans to brokers & dealers in sees.
' '455
Other loans for purchasing
-bio
or carrying securities
-1,21*6
Real estate loans
• 29
Loans to banks
•
1
,
6
88
Other loans
Treasury bills
Treasury notes
U.S. bonds
Obligations guaranteed by U. S.Gov 't
Other securities
Reserve with F.R. Banks
Cash in vault
Balances with domestic banks
Other assets - net

1,238
2,316

9,631
2,720
3,688

10,301
556
3,263

D i s t r i c t
R e s e r v e
F e d e r a l
MinneSt.
•Phila- Clave-- RichNew
Atlanta!Chicago
apolis
Louis
mond
York ' delphia land

1,562

13,6140

1,437

2,434

922

836

80^

4,328

563

879

340

404

iiia

2,938
92
333

303
111

425
• 33
15

167
21

227
8

4

5

192
192
26

33
49
1

115
13
15
76

1
143
51
42
478
54

26

555

110

454

15

26
472

1,522
4,158

1,588

1

94'

133

1,590

267

1*69
137

5,123

446
27

108

17
183
** mm

206
:

28

200
883
165
279
740

61

12 '
52
— —

9
32
1

359

1,139

147

300

256
2

499

4

1

30
3

5

9

58

10

145

59

6
16

32

12
22

36
388

- -

- -

530

453

975
40
37

281
24

2

— —

- 161

5
73
335
• 102 •

29
46
185

517

228

94

85

27
42

27
15

19
42
148

29
42

227
19
265
48

1,533
85

273

.16

117
8

221
21

90
15

3,585
944

655

367
106

190

72

1*18

70

90

46

25,129
5,153
1,809

1,544

11,602
1,070
900

1,281
„ 186
40

1,940
703
75

735

587
189

51

05

6,944

330
22
1
22
252

3,430
578

426
6

524
l

408

434

592
77

- -

75 .

260

61
111

10

62

1,485
: 294
591

218

1,227

2,621

954

122

176

339

696

266

871
460

4,531
1,416

- 84:

67
300
30
241

San
Kanaas
Dallas
Francisco
City

58
114

151
30
41

;

I63
80 • : 38
122
65
190
258
16
17
308
303
32
19

16

- -

191

68

37

913
156

308
625
32

320
319

L I A'B I L I T I E S
Demand deposits-adjusted
Time'deposits
U. S. Government deposits
Interbank deposits:
Domestic banks
Foreign banks
Borrowings
Other liabilities
CAPITAL ACCOUNTS



640

1
775
3,930

216
29

— —

255
1,6Q4

— —

218

26
395

2

- •m —«

— —

13

198

45

102

— —

19

99
See other side.

183

351

47

1,470

493

10
.

24
, 434

684
134
9- • . 35

— —

204
1

— —

—

6
101

505
- — —

8
65

.

3

112

129

1,503
1,095

44

155

318
1

402
19

646

- —•"*

6

93

348
395