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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.




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