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FEDERAL statistical UIU RESERVE release * For Immediate release May 11, 1966 - >H.4.2 ' CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEAT>TWPr RTTTF.S The condition statement of weekly reporting member banks in leading cities shows - the following principal changes for the week ended May 4: an increase of $770 million in « „loans adjusted, a decrease of $130 million in holdings of U. S. Government securities, an ( «r increase of $600 million in reserves with Federal Reserve Banks, a decrease of $2,365 million in demand deposits adjusted, and increases of $1,247 million in U. S. Government demand * > deposits, and $562 million in demand deposits credited to domestic commercial "banks. • > Commercial and industrial loans increased in ten districts and a net of $542 million; "during the comparable week a year ago these loans increased $511 million. r Loans to brokers and dealers for purchasing or carrying U. S. Government securities decreased $162 million, and \ -y > their loans for purchasing or carrying "other" securities increased $240 million. Loans to * sales and personal financing institutions increased $302 million and loans to "other" noribank * financial institutions decreased $118 million, as compared with an increase of $188 million and a decrease of $51 million, respectively, during the similar week in 1965. increased $8 million. Real estate loans "Other" loans decreased $29 milllion. Holdings of Treasury bills by weekly reporting member banks decreased $124 million, k -> , Treasury certificates increased $19 million, and the combined total of Treasury notes and > > U. S. Government beads decreased $25 million. » 1 "Other" securities decreased $172 million. Demand deposits adjusted decreased in all districts including decreases of $1,053 million in New York City, $392 million in the San Francisco District, $257 million in the Chicago District, $207 million in the Cleveland District, $ll4 million in the Dallas District, . and $99 million in the St. Louis District. Savings deposits decreased $79 million and *- Mother" time deposits of individuals, partnerships, and corporations increased $99 million. Borrowings of weekly reporting member banks from Federal Reserve Banks increased f" $68l million and borrowings from others increased $457 million. L, tanks decreased $157 mil l ion. r Loans to domestic commercial CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADING C I U E S H.4.2 ASSETS TOTAL LOANS AND INVESTMENTS LOANS AND INVESTMENTS ADJUSTED (1) LOANS ADJUSTED U ) COMMERCIAL AND INDUSTRIAL LOANS AGRICULTURAL LOANS LOANS TO BROKERS AND DEALERS FOR PURCHASING OR C A R R Y I N G — U. S. GOVT. SECURITIES OTHER SECURITIES OTHER LOANS FOR PURCHASING OR C A R R Y I N G — U. S. GOVT. SECURITIES OTHER SECURITIES LOANS TO NONBANK FINANCIAL I N S T I T U T I O N S SALES FINANCE, PERSONAL FINANCE, ETC. OTHER LOANS TO FOREIGN BANKS REAL ESTATE LOANS OTHER LOANS LOANS TO DOMESTIC COMMERCIAL BANKS U. S. GOVERNMENT SECURITIES - TOTAL TREASURY BILLS TREASURY CERTIFICATES OF INDEBTEDNESS TREASURY NOTES AND U . S. BONDS M A T U R I N G — WITHIN 1 YEAR 1 TO 5 YEARS AFTER 5 YEARS OTHER SECURITIES RESERVES WITH F . R. BANKS CURRENCY AND COIN BALANCES WITH DOMESTIC BANKS OTHER ASSETS - NET TOTAL ASSETS/LIABILITIES CHANGE SINCE MAY MAY . APRIL* 5. 4,* 27, 1965 1966 1966 (IN MILLIONS OF DOLLARS) 168,834 166,333 120,264 53,037 1,645 818 3,678 311 468 770 542 1 + + + + - 162 240 + + + + + + + 13,424 13,530 14,295 7,929 95 135 32 • 89 2,156 6,317 4,656 1,500 23,049 25,918 2,501 21,719 3,157 523 2,817 9,265 5,957 24,350 14,349 1,947 3,225 7,330 214,081 3 — + 302 118 6 8 29 157 130 124 19 - - + + 15 19 9 172 600 252 175 236 1 ,745 + + + + + + + + + + + + + + + 23 227 1,509 624 91 2,426 1,960 106 2,348 137 523 617 1,601 516 1,583 674 179 11 601 16,909 L I A B I L I T I E S DEMAND DEPOSITS ADJUSTED (2) DEMAND DEPOSITS - TOTAL (3) INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS STATES AND POLITICAL SUBDIVISIONS U. S. GOVERNMENT DOMESTIC I N T E R B A N K — COMMERCIAL MUTUAL SAVINGS F O R E I G N — GOVTS., OFFICIAL INSTS., ETC. COMMERCIAL BANKS TIME AND SAVINGS DEPOSITS - TOTAL (4) INDIVIDUALS, PARTNERSHIPS, AND C O R P O R A T I O N S SAVINGS DEPOSITS OTHER TIME DEPOSITS STATES AND POLITICAL SUBDIVISIONS DOMESTIC INTERBANK F O R E I G N — GOVTS., OFFICIAL INSTS., ETC. COMMERCIAL BANKS M E M O — NEGOTIABLE TIME CD'S INCLUDED ABOVE B O R R O W I N G S — FROM F. R. BANKS FROM OTHERS OTHER LIABILITIES C A P I T A L A C C O U N T S 65,556 101,551 71,076 6,024 5,230 12,369 572 708 1,417 81,801 43,298 26,139 7,095 62 3 4,287 206 17,413 739 4,471 8,044 17,475 + • + + + + + + - + + + + + + , 2 ,365 469 2 ,227 555 1 • 247 562 29 93 5 12 79 99 30 18 28 10 89 681 457 62 88 + + + + - + + + -+ + + + + + + + + + + 2,714 3,831 4,177 7 1,228 303 22 97 178 9,580 1,062 7,008 1,273 128 145 19 2,666 428 417 1,254 1,399 11) EXCLUSIVE OF LOANS TO DOMESTIC COMMERCIAL BANKS AND AFTER DEDUCTION OF VALUATION RESERVES, INDIVIDUAL LOAN ITEMS ARE SHOWN GROSS. 12) INCLUDES ALL DEMAND DEPOSITS EXCEPT THOSE OF U. S. GOVERNMENT AND DOMESTIC COMMERCIAL BANKS, LESS CASH ITEMS IN PROCESS OF COLLECTION. (3) INCLUDES CERTIFIED AND OFFICERS CHECKS NOT SHOWN SEPARATELY. (4) INCLUDES TIME DEPOSITS OF U. S. GOVERNMENT AND POSTAL SAVINGS NOT SHOWN SEPARATELY. * PRELIMINARY (SAM FRANCISCO DISTRICT). ** REVISED. -k H.4.2(A) > CONDITION OF WEEKLY REPORTING MEMBER BANKS, BY DISTRICTS, MAY 4, 1966 BOSTON FFHFRA1 RFSFRVF DTSTR ir.T PHILA- CLEVE- RICHNEW MOND YORK DELPHIA LAND (IN MILLIONS i OF DOLLARS) ATLANTA A S S E T S TOTAL LOANS AND INVESTMENTS ^ bOANS AND INVESTMENTS ADJUSTED (1) LOANS ADJUSTED (1) > COMMERCIAL AND INDUSTRIAL LOANS AGRICULTURAL LOANS LOANS TO BROKERS AND DEALERS FOR PURCHASING OR C A R R Y I N G — U. S. GOVT, SECURITIES * OTHER SECURITIES OTHER LOANS FOR PURCHASING OR C A R R Y I N G — F ~ U. S. GOVT. SECURITIES OTHER SECURITIES LOANS TO NONBANK FINANCIAL I N S T I T U T I O N S SALES FINANCE, PERSONAL FINANCE, ETC. OTHER ^ LOANS TO FOREIGN BANKS REAL ESTATE LOANS r * OTHER LOANS LOANS TO DOMESTIC COMMERCIAL BANKS W. S. GOVERNMENT SECURITIES - TOTAL TREASURY BILLS TREASURY CERTIFICATES OF INDEBTEDNESS TREASURY NOTES AND U. S. BONDS M A T U R I N G — 1 WITHIN I YEAR , 1 TO 5 YEARS > F AFTER 5 YEARS I OTHER SECURITIES 1 RESERVES WITH F. R . BANKS „CURRENCY AND COIN BALANCES WITH DOMESTIC BANKS ^OTHER ASSETS - NET TOTAL ASSETS/LIABILITIES 13,268 13,153 8,698 3,537 2 6,251 6,178 4,398 1,551 21 6,681 6,581 4,555 1,932 52 47 47 168 2 75 9 69 15 683 5 75 7 267 15 29 4 63 242 174 29 895 1,240 90 701 161 30 2,353 1,513 883 4,992 5,767 911 5,328 1,041 171 279 186 49 755 1,436 158 767 163 52 453 211 38 1,885 2,227 115 2,004 365 53 225 210 1 884 1,470 73 1,006 103 34 180 231 2 588 1,519 100 1,178 105 23 68 247 195 970 550 111 157 245 8,497 779 1,880 1,457 7,685 4,654 469 379 3,256 67,742 79 339 134 686 499 120 184 212 7,812 310 702 574 2,451 1,040 189 212 300 15,858 135 549 185 774 495 144 121 191 7,925 245 563 242 848 564 92 405 237 8,838 3,568 4,880 3,760 297 201 364 132 12 37 2,385 19,913 32,233 20,796 1,297 1,863 3,576 367 592 1,025 23,333 2,812 4,231 3,113 180 281 503 45 9 44 2,591 4,966 6,907 5,263 418 504 588 4 3,064 5,094 3,322 539 141 1,030 23 6,871 3,083 4,487 3,356 331 209 472 9 31 12 2,393 1,276 769 241 35 59 1 799 35 97 334 8,148 10,075 1,358 466 3,072 137 8,085 345 2,077 3,913 1,348 986 153 12 85 6 507 1,565 622 174 2 10 1 250 29 100 260 1,612 803 198 15 5 94 257 4,271 1,803 737 27 27 4 1,295 48 182 372 766 5,841 639 1,478 656 729 6,687 6,597 4,926 2,386 8 52,103 51,192 38,179 19,945 53 14 33 430 2,493 3 9 6,162 6,004 4,551 1,839 9 — L I A B I L I T I E S , DEMAND DEPOSITS ADJUSTED (2) \ D E M A N D DEPOSITS - TOTAL <3> INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS v STATES AND POLITICAL SUBDIVISIONS U. S. GOVERNMENT * DOMESTIC I N T E R B A N K — COMMERCIAL l, MUTUAL SAVINGS ^ F O R E I G N — GOVTS., OFFICIAL INSTS., ETC. COMMERCIAL BANKS TIME AND SAVINGS DEPOSITS - TOTAL (4) ^ INDIVIDUALS, PARTNERSHIPS, AND C O R P O R A T I O N S — SAVINGS DEPOSITS OTHER TIME DEPOSITS STATES AND POLITICAL SUBDIVISIONS ^ - DOMESTIC INTERBANK F O R E I G N — GOVTS., OFFICIAL INSTS., ETC. | > COMMERCIAL BANKS M E M O — NEGOTIABLE TIME CD'S INCLUDED ABOVE B O R R O W I N G S — FROM F. R. BANKS FROM OTHERS ' ^OTHER LIABILITIES " * C A P I T A L A C C O U N T S *SEE FOOTNOTES ON FIRST TABLE. — — — 3 11 2,636 — 386 37 128 214 • » H.4.2(B) * CONDITION OF WEEKLY REPORTING MEMBER BANKS, BY DISTRICTS, MAY 4, 1966 > CHICAGO FEDERAL RESE RVE DISI RICT SAN MINNE- KANSAS DALLAS ST. FRANCISCO LOUIS APOLIS CITY < IN MILLIONS OF DOLLARS) 23,225 22,799 16,011 6,897 73 4,486 4,394 3,047 1,201 16 55 469 2 43 — 19 369 1 41 — 1,155 580 233 3,212 3,367 426 3,465 510 57 181 153 2 565 892 92 661 79 18 312 366 12 365 19 3 367 1,640 891 3,323 1,959 279 361 800 28,869 83 328 153 686 406 55 173 118 5,747 8,363 13,458 9,325 898 937 1,913 1 11 83 11,914 1,709 3,165 2,047 134 117 830 6 1,753 7 1,079 4 2,076 7,388 3,199 992 28 290 11 2,132 32 522 795 854 750 143 2 1 1 293 44 164 100 304 715 57 1 1 1,225 764 84 1 276 16 88 59 2,148 521 259 A S S E T S 'T0TAL LOANS AND INVESTMENTS LOANS AND INVESTMENTS ADJUSTED 11) LOANS ADJUSTED 111 ^COMMERCIAL AND INDUSTRIAL LOANS AGRICULTURAL LOANS K- TLOANS TO BROKERS AND DEALERS FOR PURCHASING OR C A R R Y I N G — U. S. GOVT. SECURITIES O OTHER SECURITIES OTHER LOANS FOR PURCHASING OR C A R R Y I N G — U. S. GOVT. SECURITIES OTHER SECURITIES * LOANS TO NONBANK FINANCIAL I N S T I T U T I O N S SALES FINANCE, PERSONAL FINANCE, ETC. K * OTHER , LOANS TO FOREIGN BANKS REAL ESTATE LOANS ,, OTHER LOANS LOANS TO DOMESTIC COMMERCIAL BANKS 1&. S. GOVERNMENT SECURITIES - TOTAL TREASURY BILLS , -TREASURY CERTIFICATES OF INDEBTEDNESS TREASURY NOTES AND U. S. BONDS M A T U R I N G — -» WITHIN 1 YEAR 1 TO 5 YEARS AFTER 5 YEARS OTHER SECURITIES RESERVES WITH F. R . BANKS CURRENCY AND COIN 'BALANCES WITH DOMESTIC BANKS OTHER ASSETS - NET TOTAL ASSETS/LIABILITIES 5,339 5,231 3,683 1,465 280 7,104 6,956 4,778 2,298 58 35,049 34,781 25,654 9,160 1,030 7 26 3 47 249 192 54 3 88 3 322 14 156 122 73 17B 172 555 971 108 856 130 26 165 262 7 452 1,249 148 1,145 64 20 784 891 256 7,954 5,414 268 4,243 417 36 28 154 161 318 199 19 61 76 3, 192 113 424 163 692 434 57 282 177 7,011 106 605 350 1,033 564 62 424 330 9,321 504 1,834 1,452 4,884 2,985 350 466 1,388 43,269 826 1,691 1,062 93 83 424 2 2,217 4,026 2,529 363 111 976 2,718 4,752 3,114 343 151 1,046 3 19 3,200 12,317 16,627 13,389 1,131 632 64 7 12 47 146 21,570 353 60 109 91 1,293 1,381 506 15 1 1 1,071 50 345 161 14,014 4,272 2,452 19 736 44 1,966 43 565 1,488 649 813 2.976 2,479 2,467 1,784 826 43 16 — . . L I A B I L I T I E S DEMAND DEPOSITS ADJUSTED (2) DEMAND DEPOSITS - TOTAL <3) INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS • ^STATES AND POLITICAL SUBDIVISIONS U. S. GOVERNMENT 1 > DOMESTIC I N T E R B A N K — COMMERCIAL MUTUAL SAVINGS > F O R E I G N — GOVTS., OFFICIAL INSTS., ETC. COMMERCIAL BANKS TIME AND SAVINGS DEPOSITS - TOTAL (4) k ^INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS— SAVINGS DEPOSITS OTHER TIME DEPOSITS v STATES AND POLITICAL SUBDIVISIONS ^ DOMESTIC INTERBANK 1 F O R E I G N — GOVTS., OFFICIAL INSTS., ETC. L~ COMMERCIAL BANKS [ M E M O — NEGOTIABLE TIME CD'S INCLUDED ABOVE ^BORROWINGS— FROM F. R. BANKS | FROM OTHERS fOTHER LIABILITIES C A P I T A L A C C O U N T S SEE FOOTNOTES ON FIRST TABLE. • PRELIMINARY. — — — — — — — — — —