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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM g ^ g (For Immediate Release) March 18, 1959 CONDITION OF WEEKLY REPORTING MEMBER B A M S IN LEADING CITIES The condition statement of weekly reporting member banks in leading cities Is^^million^i^loan^adjustedCand^|l,459 ^ 1 1 1 0 ^ 1 ^ % ! ^ deposits adjusted, and a decrease of $830 million in U. S. Government deposits. Commercial and industrial loans increased in all districts and a total ° f the Cleveland District, $31 million in the Boston District, and ^ 5 million 1 Chicago. This week's increases included loans for quarterly tax date Changes according to industry appear in another press release. Loans to brokers and dealers for purchasing and carrying U. S. Government and other securities decreased $57 million. Real estate loans increased $32 million. Holdings of Treasury bills increased $98 million. Holdings of Treasury certificates of indebtedness and Treasury notes decreased $37 million each, and U. S. Government bonds decreased $43 million. Holdings of "other securities increased $l4l million. j r s in the Cleveland District, $76 million in the St. Louis District, and by smaller amounts in most of the other districts. Time deposits increased $52 million. Borrowings of weekly reporting member banks from Federal Reserve Banks decreased $67 million and borrowings from others decreased $90 million. Loans to banks increased $6 million. reporting member banks follows: 1 1 liabilities of L A summary of assets 1and ' " • 1 Tn/*r*on a# or Increase decrease since March 11, March 4, March 12, 1958 ,195.9. millions of dollars) ln A S S E T S Loans and investments adjusted l/ Loans adjusted l/ Commercial and industrial loans Agricultural loans Loans to brokers and dealers for purchasing or carrying securities Other loans for purchasing or carrying securities Real estate loans Other loans U. S. Government securities - total Treasury bills Treasury certificates of indebtedness Treasury notes U. S. bonds Other securities Loans to banks Reserves with Federal Reserve Banks Cash in vault Balances with domestic banks L I A B I L I T I E S + * + - 3 1,847 - 57 - 708 1 + 145 + 694 1,330 9,775 336* 373 - 32 7* 2,333 3,539 6,845 17,891 9,395 + 98 1,675 12,556 + 11,856 30,608 998 2,441 57,665 Demand deposits adjusted 28,365 Time deposits except U. S. Government 1,528 U. S, Government deposits 10,685 Domestic banks Interbank demand deposits: 1,585 Foreign banks 337 Borrowings: From Federal Reserve Banks 1,196 From others 1/ Exclusive of loans to banks and after deduction of loan items are shown gross. * March 4 figures revised (Richmond District). 458* +4,840 . +1,469 94,248 54,245 30,097 574 + - - + - + + 19 37 37 43 141 6* 64 92 14 + 250 + 129 +1,050 +2,583 + 264 +2,403 +1,932 -2,016 + 788 + - 123 901 2 69 +1,634 +2,101 - 590 830 26 53 + 80 40 + + 182 67 + 202 90 individual reserves; 4"1,459 + 52 • ASSETS AMD LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES, MARCH 11, 1959 F e d e r a l R e s e r v e D 1 s t r let Total San St. Minne- Kansas RichClevePhilaNew All Dallas Atlanta Chicago Francisco Louis apolis City mond land delphia Districts Boston York 3.4.2(a) A S S E T S 3,663 2,027 l,o4o 171 4,485 2,751 17 1,576 928 462 18 35 269 l6l 31 4 17 22 74 66 211 914 1,331 21 285 491 11 195 254 34 313 485 183 218 66l 4,447 2,117 1,390 56 122 254 958 332 28 496 77 164 96 1,320 4,936 509 454 1,037 2,936 1,218 946 36 103 253 554 259 488 17 34 131 1,288 96 193 288 711 348 499 54 47 1,748 114 88 188 43 398 35 155 42 7 184 15 71 39 42 316 82 1,385 72 122 272 919 349 28 558 49 483 182 4,057 2,003 106 2,628 882 79 2,386 927 46 7,365 3,603 199 1,693 47 911 381 25 2,434 723 62 2,765 1,276 59 9,734 9,968 233 512 10 465 835 1,625 53 710 3 337 4 887 10 2 1,028 16 530 163 11 16 57 66 28 26 67 l4l 240 241 14 14 52 4 17 38 47 28 51 9 24 85 7 120 702 424 381 1,245 317 10,248 374 490 773 3,597 C A P I T A L A C C O U NTS 1/ Exclusive of loans to banks and after deduction of valuation reserves; individual loan items are shown gross 175 406 523 1,543 6,200 2,828 1,623 3,740 20 805 34 Loans and investments adjusted l/ Loans adjusted 1/ Commercial and industrial loans Agricultural loans Loans to brokers and dealers for purchasing or carrying securities Other loans for purchasing or carrying securities Real estate loans Other loans 94,248 5M45 30,097 574 3,997 2,513 1,474 9 28,496 16,954 11,335 13 3,426 2,197 1,177 1 6,394 3,556 1,720 3 3,714 1,992 931 7 3,739 2,094 1,092 11 12,354 1,847 23 1,315 26 112 28 1,330 9,775 20 401 648 44l 1,326 2,967 55 224 789 177 833 44 400 621 U. S. Government securities - total Treasury bills Treasury certificates of indebtedness Treasury notes U. S. bonds Other securities 30,608 1,113 35 150 338 590 371 18 502 62 98 121 8,514 1,160 1,029 2,033 4,292 3,028 909 35 150 219 505 320 2,226 100 993 4,254 231 155 1,247 28 425 51 83 102 53 834 100 146 108 28,365 1,528 2,971 690 71 18,325 2,396 650 52 10,685 1,585 344 30 2,987 425 23 337 1,196 3,126 4o 20 142 10 534 1,500 10 Loans to banks Reserves with Federal Reserve Banks Cash in vault Balances with domestic banks Other assets - net 11,856 2,333 3,539 6,845 17,891 9,395 1,675 12,556 998 2,441 2,817 782 263 714 1,149 612 219 710 110 200 229 781 325 21 305 261 306 160 L I A B I L I T I E S Demand deposits adjusted Time deposits except U. S. Government U. S. Government deposits Interbank demand deposits: Domestic banks Foreign banks Borrowings: From Federal Reserve Banks From others Other liabilities 57,665 6,611 549 1,263 56 79 60 103 8 651 29 508 1,681 19,576 11,410 4,64o 67 6,093 107 719 1,077 4,190 2,073 380 2,150 168 204 522