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FEDERAL RESERVE statistical release f*AL RE^ For immediate release March 20, 1974 H.4.2 WEEKLY CONDITION REPORT OF LARGE COMMERCIAL BANKS AND DOMESTIC SUBSIDIARIES Total loans and investments (adjusted) at large commercial banks increased $337 million in the week ended March 13. This reflected an increase of $105 million in loans (adjusted), a decrease of $286 million in U.S. Treasury security holdings and an increase of $518 million in holdings of "other" securites., Demand deposits adjusted increased $819 million while U.S. Government demand deposits decreased $418 million. $1,078 million. Total time and savings deposits increased Gross liabilities of banks to their foreign branches increased $5 million. Commercial and industrial loans increased a net of $900 million; during the comparable week a year ago these loans increased $1,018 million. Loans to brokers and dealers for purchasing or carrying U.S. Treasury securities decreased $466 million, and their loans for purchasing or carrying "other" securities decreased $242 million. Sales of Federal funds and purchase of securities under agreements to resell with brokers and dealers involving U.S. Treasury securities decreased $73 million and those involving "other" securities remained unchanged. Loans to sales and personal finance institutions increased $130 million as compared with an increase of $83 million during the corresponding week in 1973. Real estate loans increased $132 million, and consumer instalment loans decreased $25 million. Total U.S. Treasury securities held decreased $286 million. Holdings of Treasury bills decreased $173 million and holdings of "other" U.S. Treasury securities maturing within 1 year increased $13 million. Longer term Treasury note and bond holdings decreased $126 million; Savings deposits increased by $232 million (the previous week's figure was revised to a $273 million increase). All other consumer-type time deposits (i.e. other time IPC less large negotiable CD's IPC) increased by $192 million (the previous week's figure was revised to a $55 million decrease). H.4.2 WEEKLY CONDITION REPORT OF LARGE COMMERCIAL BANKS CHANGE SINCE MARCH MARCH 14, 6, * 1973 1974 MARCH 13,** 1974 A S S E T S TOTAL LOANS AND INVESTMENTS, (GROSS) FEDERAL FUNDS SOLD AND SECURITIES PURCHASED UNDER AGREEMENTS TO RESELL—TOTAL COMMERCIAL BANKS BROKERS AND DEALERS INVOLVING U. S. TREASURY SECURITIES INVOLVING OTHER SECURITIES OTHERS OTHER LOANS—TOTAL (1) COMMERCIAL AND INDUSTRIAL LOANS (1) AGRICULTURAL LOANS LOANS TO BROKERS AND DEALERS FOR PURCHASING OR C A R R Y I N G — U . S. TREASURY SECURITIES OTHER SECURITIES OTHER LOANS FOR PURCHASING OR CARRYING— U. S. TREASURY SECURITIES OTHER SECURITIES LOANS TO NON-BANK FINANCIAL INSTITUTIONS SALES FINANCE, PERSONAL FINANCE, ETC. OTHER REAL ESTATES LOANS LOANS TO DOMESTIC COMMERCIAL BANKS LOANS TO FOREIGN COMMERCIAL BANKS CONSUMER INSTALMENT LOANS LOANS TO FOR. GOVTS,, OFFICIAL INSTS., ETC. OTHER LOANS U. S. TREASURY SECURITIES—TOTAL TREASURY BILLS TREASURY CERTIFICATES OF INDEBTEDNESS TREASURY NOTES AND U. S. BONDS MATURING— V WITHIN 1 YEAR 1 YEAR TO b YEARS AFTER 5 YEARS OTHER SECURITIES—TOTAL OBLIGATIONS OF STATES AND POLITICAL SUBDIVISIONSTAX WARRANTS AND SHORT-TERM NOTES AND BILLS ALL OTHER OTHER BONDS, CORPORATE STOCKS, AND SECURITIES PARTICIPATION CERTIFICATES IN FED. AGENCY LOANS ALL OTHER (INCLUDING CORPORATE STOCKS) CASH ITEMS IN PROCESS OF COLLECTION RESERVES WITH FEDERAL RESERVE BANKS CURRENCY AND COIN BALANCES WITH DOMESTIC BANKS INVESTMENTS IN SUBSIDIARIES NOT CONSOLIDATED OTHER ASSETS TOTAL ASSETS/LIABILITIES 374,797 - 703 41,948 15,598 13,990 * 1,181 1,077 2,783 2,528 73 31 246 900 10 117 20 118 +31,615 13,713 719 595 4,894 466 242 46 2,360 144 2,816 3 32 95 121 8,422 18,309 55,814 3,656 4,970 33,074 1,474 20,292 25,703 5,267 130 195 132 37 5 25 6 455 286 173 547 4,535 8,432 292 112 4,429 219 1,463 393 818 1,050 342 216 270,633 112,390 3,783 - + + -- —— 4,351 11,916 4,169 62,863 + - 13 77 49 518 — + • 735 3,153 1,993 7,157 7,822 41,145 292 13 814 2,892 2,528 11,368 32,872 23,071 4,336 11,422 1,449 22,307 470,254 95 118 514 1,132 370 421 3 289 156 • 761 4,318 3,138 2,873 405 2,333 217 3,235 +54,149 156,256 111,895 6,068 1,948 22,317 730 1,061 4,492 7,745 194,146 1,538 + 1,167 402 418 1,425 36 41 31 424 1,078 4,955 1,781 176 3,049 2,582 56 152 1,781 1,476 +21,016 57,650 99,870 23,473 4,720 7,804 232 938 36 20 86 743 +17,763 1,530 1,767 695 56,817 1,362 5,665 766 691 262 +19,992 226 3,282 - 449 26 26 20 2,085 580 • • 42 • 2,423 268,585 357,151 99,119 + + • 105 337 819 +31,578 +39,128 • 2,284 66,492 45,785 20,707 1,604 • + + 592 746 154 5 + +12,694 +10,206 + 2,488 1 8 5 L I A B I L I T I E S DEMAND DEPOSITS - TOTAL INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS STATES AND POLITICAL SUBDIVISIONS U. S. GOVERNMENT DOMESTIC INTERBANK — COMMERCIAL MUTUAL SAVINGS FOREIGN—GOVTS., OFFICIAL INSTITUTIONS, ETC. COMMERCIAL BANKS CERTIFIED AND OFFICERS CHECKS TIME AND SAVINGS DEPOSITS—TOTAL (2) INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS— SAVINGS DEPOSITS OTHER TIME DEPOSITS STATES AND POLITICAL SUBDIVISIONS DOMESTIC INTERBANK FOREIGN—GOVTS., OFFICIAL INSTITUTIONS, ETC. FEDERAL FUNDS PURCHASED AND SECURITIES SOLD UNDER AGREEMENTS TO REPURCHASE BORROWINGS—FROM FEDERAL RESERVE BANKS FROM OTHERS OTHER LIABILITIES AND MINORITY INTEREST IN CONSOLIDATED SUBSIDIARIES RESERVES FOR LOANS RESERVES ON SECURITIES TOTAL CAPITAL ACCOUNTS 18,539 4,982 105 32,382 - + * M E M O R A N D A TOTAL LOANS, GROSS ADJUSTED (3) TOTAL LOANS AND INVESTMENTS, GROSS ADJUSTED (3) DEMAND DEPOSITS ADJUSTED <4) NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE INCLUDED IN TIME AND SAVINGS DEPOSITS-.TOTAL TO INDIVIDUALS, PARTNERSHIPS, AND CORPS. TO OTHERS GROSS LIABILITIES OF BANKS TO THEIR FOREIGN BRANCHES (1) THE PRELIMINARY REPORTED FIGURE ON THE OUTSTANDING AMOUNT OF LOANS SOLD OUTRIGHT (I.E., EXCLUDING REPURCHASE AGREEMENTS), TO BANKS OWN SUfaSIDIARIES, FOREIGN BRANCHES, HOLDING COMPANIES, AND OTHER AFFILIATES WAS $ 4,935 MILLION, OF WHIvH $ 2,768 MILLION WERE COMMERCIAL AND INDUSTRIAL LOANS* THE REPORTED OUTSTANDING AMOUNT OF LOANS SOLD OUTRIGHT TO ALL OTHERS EXCEPT BANKS WAS $1,418 MILLION, OF WHICH $ 339 MILLION WERE COMMERCIAL AND INDUSTRIAL LOANS. (2) INCLUDES TIME DEPOSITS OF U. S. GOVERNMENT AND FOREIGN COMMERCIAL BANKS NOT SHOWN SEPARATELY. (3) EXCLUSIVE OF LOANS AND FEDERAL FUND TRANSACTIONS WITH DOMESTIC COMMERCIAL BANKS. (4) ALL DEMAND DEPOSITS EXCEPT U. S. GOVERNMENT AND DOMESTIC COMMERCIAL BANKS, LESS CASH ITEMS IN PROCESS OF COLLECTION. ** PRELIMINARY (SAN FRANCISCO AND PHILADELPHIA DISTRICTS). http://fraser.stlouisfed.org/ Federal Reserve Bank of *St.REVISED. Louis H.4.2(A) W E E K L Y C O N D I T I O N REPORT OF L A R G E C O M M E R C I A L B A N K S , BY D I S T R I C T , MARCH 13, 1974 ' BOSTON FEDERAL RESERVE DISTRICT PHILA-** C L E V E RICH NEW MOND YORK DELPHIA LAND ATLANTA ASSETS TOTAL L O A N S AND I N V E S T M E N T S , (GROSS) F E D E R A L F U N D S S O L D AND S E C U R I T I E S P U R C H A S E D UNDER A G R E E M E N T S TO R E S E L L — T O T A L COMMERCIAL BANKS B R O K E R S AND D E A L E R S INVOLVING U. S. T R E A S U R Y S E C U R I T I E S INVOLVING OTHER S E C U R I T I E S OTHERS OTHER L O A N S — T O T A L (1) C O M M E R C I A L AND I N D U S T R I A L L O A N S (1) AGRICULTURAL LOANS L O A N S TO B R O K E R S AND D E A L E R S FOR P U R C H A S I N G OR C A R R Y I N G — U . S . T R E A S U R Y S E C U R I T I E S OTHER S E C U R I T I E S OTHER L O A N S FOR P U R C H A S I N G OR C A R R Y I N G — U , S. T R E A S U R Y S E C U R I T I E S OTHER S E C U R I T I E S L O A N S TO N O N - B A N K F I N A N C I A L I N S T I T U T I O N S SALES FINANCE, PERSONAL FINANCE, ETC. OTHER REAL E S T A T E S L O A N S L O A N S TO D O M E S T I C C O M M E R C I A L B A N K S L O A N S TO F O R E I G N C O M M E R C I A L B A N K S CONSUMER I N S T A L M E N T L O A N S L O A N S TO F O R . G O V T S . , O F F I C I A L I N S T S . , E T C . OTHER L O A N S U . S. T R E A S U R Y S E C U R I T I E S — T O T A L TREASURY BILLS T R E A S U R Y C E R T I F I C A T E S OF I N D E B T E D N E S S T R E A S U R Y N O T E S AND U . S . B O N D S M A T U R I N G — W I T H I N 1 YEAR 1 YEAR TO b Y E A R S AFTER 5 Y E A R S OTHER S E C U R I T I E S — T O T A L O B L I G A T I O N S OF S T A T E S AND P O L I T I C A L S U B D I V I S I O N S — TAX W A R R A N T S AND S H O R T - T E R M N O T E S AND B I L L S ALL OTHER OTHER B O N D S , C O R P O R A T E S T O C K S , AND S E C U R I T I E S P A R T I C I P A T I O N C E R T I F I C A T E S IN F E D . AGENCY L O A N S ALL OTHER (INCLUDING C O R P O R A T E S T O C K S ) CASH ITEMS IN P R O C E S S OF C O L L E C T I O N R E S E R V E S WITH F E D E R A L R E S E R V E B A N K S C U R R E N C Y AND COIN B A L A N C E S WITH D O M E S T I C B A N K S I N V E S T M E N T S IN S U B S I D I A R I E S NOT C O N S O L I D A T E D OTHER A S S E T S TOTAL A S S E T S / L I A B I L I T I E S 14,879 104,710 15 ,107 25,586 19 ,355 17,968 414 357 1,527 1,375 384 354 1,109 1,059 794 792 1,603 1,569 82 62 8 80,844 38,505 203 12 10 8 11 ,205 4,682 12 15 35 2 37 20 10,814 4,850 10 10 29 533 3,056 4 27 169 862 2,465 87 128 1,223 13 937 764 115 -- —— 16,505 6,568 8 14 ,016 4 ,861 105 9 3 22 12,308 4,458 74 59 2 157 7 43 10 44 41 687 6 69 8 107 12 58 3 96 3,400 7,056 11,244 1,637 2,774 5,576 745 5,387 6,902 1,520 557 550 2 ,487 52 208 1 ,493 47 983 863 25 403 664 3,925 294 338 2,683 76 1,272 1,956 214 278 516 3 ,157 58 122 3 ,481 34 1 ,284 1 ,145 151 206 669 2,119 86 33 2,309 18 2,183 1,082 44 — — —— -- -- — — — — 130 383 136 2,887 955 2,762 1 ,665 15,437 167 521 150 2 ,655 400 1,030 312 6,016 288 668 38 3 ,400 247 645 146 2,975 760 1,490 3,352 8,454 149 2 ,113 761 4,076 254 2 ,635 165 2,319 53 907 584 2,724 13,338 1,218 822 7,351 997 227 6,190 377 698 63 7,892 910 18,496 141,176 110 283 925 508 260 440 81 835 18,156 285 894 1,366 1,246 387 488 30 1,423 30,526 50 461 1 ,545 944 379 341 8 851 23 ,423 11 480 1,847 1,068 221 426 49 1,068 22*647 6,757 4,959 565 98 629 269 10 100 127 7,100 54,773 31,461 1,476 513 11,774 390 850 3,421 4,888 48,182 5,525 4,346 213 86 626 36 13 84 121 7,611 9 ,064 7 ,527 462 178 *50 7 1 68 171 14 ,283 8,758 7,318 380 152 622 7 71 55 153 9,684 8,026 5,946 564 88 1,273 2,146 3,521 957 184 287 10,884 26,291 3,798 3,019 4,048 2,325 4,336 558 103 271 6 ,078 5 ,874 2 , 066 65 197 3,941 4,510 1,140 14 44 2,152 4,515 1,560 219 8 2,326 85 126 15,611 123 3,131 2,479 256 2 .612 238 437 2,107 63 47 2,982 63 277 568 190 1 1,343 7,156 1,704 10,496 700 168 26 1,391 1 ,024 288 25 2 ,555 866 239 3 1,656 1,110 184 3 1,547 10,784 79,359 14,435 1 0 1 , 6 9 8 4,812 29,148 11,183 14*701 3,888 16,261 24,233 6,870 13,960 18,505 6,439 12,256 16,313 4,818 2,431 L,80L 630 3,684 2,192 1,492 2,070 1,393 677 2,866 1,713 1,153 LIABILITIES D E M A N D D E P O S I T S - TOTAL I N D I V I D U A L S , P A R T N E R S H I P S , AND C O R P O R A T I O N S S T A L E S AND P O L I T I C A L S U B D I V I S I O N S U. S. GOVERNMENT DOMESTIC INTERBANK — COMMERCIAL MUTUAL SAVINGS F O R E I G N — G O V T S . , OFFICIAL INSTITUTIONS, ETC. COMMERCIAL BANKS C E R T I F I E D AND O F F I C E R S C H E C K S TIME AND S A V I N G S D E P O S I T S — T O T A L (2) I N D I V I D U A L S , P A R T N E R S H I P S , AND C O R P O R A T I O N S — SAVINGS DEPOSITS OTHER TIME D E P O S I T S S T A T E S AND P O L I T I C A L S U B D I V I S I O N S DOMESTIC INTERBANK F O R E I G N — G O V T S . , OFFICIAL INSTITUTIONS, ETC. F E D E R A L F U N D S P U R C H A S E D AND S E C U R I T I E S SOLU UNDER A G R E E M E N T S TO R E P U R C H A S E B O R R O W I N G S — F R O M FEDERAL RESERVE BANKS FROM OTHERS OTHER L I A B I L I T I E S AND M I N O R I T Y I N T E R E S T IN C O N S O L I D A T E D S U B S I D I A R I E S R E S E R V E S FOR L O A N S R E S E R V E S ON S E C U R I T I E S TOTAL C A P I T A L A C C O U N T S — -- 4 47 104 8,455 M E M O R A N D A TOTAL L O A N S , G R O S S A D J U S T E D (3) TOTAL L O A N S AND I N V E S T M E N T S , G R O S S A D J U S T E D (3) D E M A N D D E P O S I T S A D J U S T E D (4) N E G O T I A B L E T I M E C E R T I F I C A T E S OF D E P O S I T ISSUED IN D E N O M I N A T I O N S OF $ 1 0 0 , 0 0 0 OR M O R E INCLUDED IN TIME AND S A V I N G S D E P O S I T S — T O T A L TO I N D I V I D U A L S , P A R T N E R S H I P S , AND C O R P S . TO O T H E R S SEE F O O T N O T E S ON F I R S T T A B L E . http://fraser.stlouisfed.org/ ** Bank PRELIMINARY. Federal Reserve of St. Louis 3,554 2,265 1,289 24,073 16,107 7,966 H.4.2(B) WEEKLY CONDITION REPORT OF LARGE COMMERCIAL BANKS# BY D I S T R I C T , MARCH 13, 1974 CHICAGO ASSETS TOTAL LOANS AND INVESTMENTS, (GROSS) 57,077 FEDERAL FUNDS SOLD AND SECURITIES PURCHASED UNDER AGREEMENTS TO R E S E L L — T O T A L 3,100 COMMERCIAL HANKS 2,639 BROKERS AND DEALERS INVOLVING U. S. TREASURY SECURITIES 460 «• w INVOLVING OTHER SECURITIES OTHERS 1 OTHER L O A N S — T O T A L (1) 40,270 COMMERCIAL AND INDUSTRIAL LOANS (1) 17,249 AGRICULTURAL LOANS 284 LOANS TO BROKERS AND DEALERS FOR PURCHASING OR C A R R Y I N G — U . S. TREASURY SECURITIES 9 OTHER SECURITIES 927 OTHER LOANS FOR PURCHASING OR C A R R Y I N G — U. S. TREASURY SECURITIES 28 OTHER SECURITIES 622 LOANS TO NON-HANK FINANCIAL INSTITUTIONS SALES F I N A N C E , PERSONAL F I N A N C E , ETC" 1,637 OTHER 3,554 REAL ESTATES LOANS 8,098 LOANS TO DOMESTIC COMMERCIAL BANKS 542 LOANS TO FOREIGN COMMERCIAL BANKS 634 CONSUMER INSTALMENT LOANS 3,918 LOANS TO FOR. G O V T S . , OFFICIAL INSTS., ETC. 315 OTHER LOANS 2,453 U. S. TREASURY SECURITIES—.TOTAL 4,238 TREASURY BILLS 1,007 w w TREASURY CERTIFICATES OF INDEBTEDNESS TREASURY NOTES AND U. S. BONDS M A T U R I N G — WITHIN 1 YEAR 629 1 YEAR TO b YEARS 2,076 AFTER 5 YEAHS 526 OTHER S E C U R I T I E S — T O T A L 9,469 OBLIGATIONS OF STATES AND POLITICAL S U B D I V I S I O N S TAX WARRANTS AND SHORT-TERM NOTES AND BILLS 915 ALL OTHER 6,456 OTHER B O N D S , CORPORATE S T O C K S , AND SECURITIES PARTICIPATION C E R T I F I C A T E S IN FED. AGTNCFY LOANS 340 ALL OTHER (INCLUDING CORPORATE STOCKS) 1,758 CASH ITEMS IN PROCESS OF COLLECTION 3,458 RESERVES WITH FEDCRAL RESERVE DANKS 2,929 CURRENCY AND POLN 578 BALANCES WITH DOMESTIC BANKS 1,220 INVESTMENTS IN S U B S I D I A R I E S NOT CONSOLIDATED 160 OTHER ASSETS 2,428 TOTAL A S S E T S / L I A B I L I T I E S 67,850 FEDERAL RESERVE DISTRICT ST. MINNEDALLAS SAN ** KANSAS APOLIS FRANCISCO LOUIS CITY (IN MILLIONS OF DOLLARS) 8 ,689 4 ,270 9,012 16,121 82,023 929 814 265 235 1,061 954 2,072 1,959 2,340 1,883 9 104 9,794 4,298 297 308 98 51 60,517 20,926 2,262 50 24 420 168 5 448 34 303 126 326 923 9 11 1,099 120 727 1,464 39 53 1,038 1,323 2,809 18,545 777 627 9,144 205 3,118 6,129 1,734 46 67 2 5 ,629 2 ,493 46 — • 30 w«> 2 ,909 1 ,464 20 «* mm 79 3 97 107 — — • • 5,822 2,036 462 — • 12 .w w 134 137 333 975 73 13 869 14 497 643 63 66 243 412" 2 29 241 7 279 312 41 w * w*» wmmm 18 — — — — 644 624 187 w w — 1,255 1,045 166 •W W wee 87 436 57 1 ,488 99 96 76 784 116 259 62 1,505 148 531 200 3,210 1,085 2,509 801 13,037 26 1 ,101 —•» 455 27 1,250 112 2,806 1,301 7,990 110 219 459 270 22 64 75 153 1,016 571 74 224 62 299 805 442 95 190 11 512 10 ,744 — — — • 231 5 ,316 408 11,305 1 ,679 1 ,191 54 19 364 2 4,059 2,839 210 68 876 13 512 279 3,234 1,505 5,390 1,186 5,734 123 973 497 965 22 327 822 4,927 20,276 100,339 L I A B I L I T I E S DEMAND DEPOSITS - TOTAL INDIVIDUALS, P A R T N E R S H I P S , AND CORPORATIONS STATES AND POLITICAL S U B D I V I S I O N S U. S. GOVERNMENT DOMESTIC INTERBANK — COMMERCIAL MUTUAL SAVINGS F O R E I G N — G O V T S . , OFFICIAL INSTITUTIONS, ETC. COMMERCIAL BANKS CERTIFIED AND OFFICERS CHECKS TIME AND SAVINGS D E P O S I T S — T O T A L (2) INDIVIDUALS, P A R T N E R S H I P S , AND C O R P O R A T I O N S SAVINGS DEPOSITS OTHER TIME DEPOSITS STATES AND POLITICAL S U B D I V I S I O N S DOMESTIC INTERBANK F O R E I G N — G O V T S . , OFFICIAL INSTITUTIONS, ETC. FEDERAL FUNDS PURCHASED AND SECURITIES SOLD UNDER AGREEMENTS TO R E P U R C H A S E B O R R O W I N G S — F R O M FEDERAL RESERVE BANKS FROM OTHERS OTHER LIABILITIES AND MINORITY INTEREST IN CONSOLIDATED SUBSIDIARIES RESERVES FOR LOANS RESERVES ON SECURITIES TOTAL CAPITAL ACCOUNTS 18,069 13,708 745 243 2,259 2 30 203 879 30,598 3 ,684 2 ,566 106 68 879 18 47 3 ,779 1> 32 1 ,612 8 58 4,131 8,690 16,734 3,717 498 915 1 ,156 2 ,023 417 54 2 311 1 ,207 81 12 11,239 433 373 2 ,028 40 23 1 ,129 20 268 2,061 758 8 4,311 330 93 9 758 40,189 53,896 12,109 9,697 6,607 3,090 2 58 103 7,428 28,771 24,901 787 345 1,166 17 80 413 1,062 51,283 948 2,330 700 62 1,166 4,085 2,063 86 13 17,853 24,444 6,416 404 2,019 1,860 17 45 3,575 83 129 8,869 197 553 3,768 1,035 1 5,862 W W — — ••W 7,091 5,133 506 90 1,199 194 50 281 98 w « — — 364 814 481 175 29 1,285 5 ,671 7 ,802 1 ,932 2 ,937 4 ,033 837 5,920 8,049 2,099 9,868 14,123 4,297 60,197 79,363 21,870 852 597 255 858 769 89 1,537 1,048 489 3,560 2,660 900 11,310 8,633 2,677 M E M O R A N D A TOTAL L OANS, GROSS ADJUSTED (3) TOTAL LOANS AND INVESTMENTS, GROSS ADJUSTED (3) DEMAND DEPOSITS ADJUSTED (4) NEGOTIABLE TIME C E R T I F I C A T E S OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE INCLUDED IN TIME AND SAVINGS DEPOSITS,-TOTAL TO INDIVIDUALS, P A R T N E R S H I P S , AND CORPS. TO OTHERS SEEFRASER FOOTNOTES ON FIRST T A B L E . Digitized for ** PRELIMINARY.