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H.4.2 BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) May 17, 1961 CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES The condition statement of weekly reporting member banks in leading cities shows the following principal changes for the week ended May 10: Decreases of $349 million in holdings of Treasury tills, $330 million in balances with domestic banks, $304 million in demand deposits adjusted, and $610 million in U. S. Government demand deposits, and increases of $92 million in savings deposits and $116 million in "Other" time deposits. Commercial and industrial loans decreased a net of $95 million. Loans to brokers and dealers for purchasing or carrying D« S . Government and other securities increased $46 million. Loans to nonbank financial institutions decreased $60 million. Borrowings of weekly reporting member banks from Federal Reserve Banks increased $167 million and borrowings from others increased $349 million. Loans to domestic commercial banks increased $160 million. Change since May 11, May 10 I960 A S S E T S Total loans and investments Loans and investments adjusted 1/ Loans adjusted 1/ Commercial and industrial loans Agricultural loans Loans to brokers and dealers for purchasing or carrying: U. S. Govt, securities Other securities Other loans for purchasing or ' carrying: U. S. Govt, securities Other securities Loans to nonbank financial institutions: Sales finance, personal finance, etc. Other Loans to foreign batiks Loans to domestic commercial banks Real estate loans Other loans U. S. Government securities - total Treasury bills Treasury certificate of indebtedness' Treasury notes,and U. S. bonds maturing: 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 * L I A B I L I T I E S Demand deposits adjusted U. S. Government demand deposits Demand deposits of commercial banks in the U. S. Savings deposits Time deposits of foreign banks, governments, etc. Other time deposits Borrowings: From F. R. Banks From others 1/ Exclusive of loans to domestic commercial banks and reserves; individual loan items are shown gross-. 2/ Increase in total of demand deposits adjusted, based on demand deposits due to foreign banks; excludes change savings banks. N A - not available. * May 3 figures revised. (In millions of dollars) 112,698 111,272 70,109 31,810 1,185 174 - 334 44 95 + 1 - 594 1,952 + 109 1,275 + - 20 66 +7,378 +7,266 +1,655 + 556 + 253 + + 276 501 3 4 37 + 157 83 23 2 160 33 34 -1,084 6 - 215 + 112 74 +1,421 300 349 75 +4,220 +2,138 +1,013 40 32 34 10 +2,887 -2, o4o + 222 +1,391 12,4l8 1,347 2,765 4,421 145,102 + 91 + 69 - 330 54 - 680 -1,029 + 109 + 54 + 709 +7,864 62,246 2,244 10,897 28,007 1,890 8,871 192 1,626 304 610 - 193 + 92 + 22 + 116 + 167 + 349 3,292 1,608 576 1,426 12,803 16,462 30,290 3,379 1,485 4,512 16,071 4,843 10,873 - - + - + + + - - + + - + - 2/(+1,012) -1,863 N A N A N A HA - 421 - 478 former definition, and in In deposits due to mutual H.4.2(a) ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES, MAY 10, 1961 Boston Federal Reserve District New Phila- Cleve-1 RichAtlanta York delphia land 1 mond A S S E T S Total loans and investments Loans and investments adjusted 1/ Loans adjusted 1/ Commercial and industrial loans Agricultural loans Loans to brokers and dealers for purchasing or carrying: U. S. Govt, securities Other securities Other loans for purchasing or carrying: U. S. Govt. securities Other securities • Loans to nonbank financial institutions: Sales finance, personal finance, etc. Other Loans to foreign, banks Loans to domestic commercial banks Real estate loans Other loans 4,574 4,535 2,987 1,472 10 33,555 32,895 21,374 11,829 23 4,352 4,295 2,979 1,24-5 2 2 28 368 1,280 41 53 12 93 6 32 3 42 4 17 19 4l2 5 66 8 131 7 30 12 53 137 66 158 60 19 57 392 1,030 204 69 10 34 1,323 1,244 96 77 39 472 850 i,i46 332 302 660 2,131 4 091 29 4io 796 123 109 l 65 265 888 U. S. Government securities - total Treasury bills Treasury cert, of indebtedness Treasury notes and U. S. bonds maturing: Within 1 year 1 to 5 years After 5 years Other securities 1,119 163 39 8,183 1,051 747 976 99 20 2,789 375 96 1,285 ll4 62 i,4o4 212 71 186 607 124 429 1,102 4,167 1,116 3,338 152 549 156 340 526 1,470 322 999 185 755 169 333 180 753 188 371 Reserves with F. R. Banks Currency and coin Balances with domestic banks Other assets - net Total assets/liabilities 477 77 86 152 5,759 3,923 310 229 2,070 44,672 492 82 120 134 5 646 916 137 189 183 10,721 478 99 i4o 119 5,272 503 70 338 122 6,035 3,291 94 19,440 722 2,735 122 4,714 197 2,654 94 2,652 87 266 731 3,064 4,975 454 835 526 2,811 448 788 885 975 42 139 37 346 3 553 14 142 199 11 238 5 71 130 7 263 25 198 l,46o 2 628 127 647 2,890 580 4,134 L I A B I L I T I E S Demand deposits adjusted U. S. Government demand deposits Demand deposits of commercial banks in the United States Savings deposits Time deposits of foreign banks, governments, etc. Other time deposits Borrowings: From F. R. Banks From others Other liabilities C A P I T A L A C C O U N T S 19 116 8 , 7 8 9 4,033 4,468 8,755 4,oo4 4,403 4,967 2 , 3 8 6 2,628 1,964 967 1,155 12 31 3 «*> •» 27 112 516 1,055 430 493 1/ Exclusive of loans to domestic commercial banks and after deduction of valuation reserves; individual loan items are shown gross. H.4.2(b) ASSETS AMD LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES, MAY 10, 1961 (Cont'd) Federal Reserve Djistrict San St. Minne- Kansas Chicago Dallas Louis apolis City Francisco A S S E T S Total loans and investments Loans and investments adjusted 1/ Loans adjusted l/ Commercial and industrial loans Agricultural loans Loans to brokers and dealers for purchasing or carrying: U. S. Govt. securities Other securities Other loans for purchasing or carrying: U. S. Govt, securities Other securities Loans to nonbank financial institutions: Sales finance, personal finance, etc. Other Loans to foreign banks Loans to domestic commercial banks Real estate loans Other loans U. S. Government securities - total Treasury bills Treasury cert. of indebtedness Treasury notes and U. S. bonds maturing: 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 15,047 14,956 8,898 3,9^0 74 3,129 3,095 1,910 787 15 1,676 1,667 1,101 500 28 3,958 3,902 2,4l8 1,013 279 4,908 4,857 2,982 1,511 38 24,209 23,908 15,479 5,427 670 122 203 8 38 1 6 8 19 3 37 20 121 32 249 4 26 7 4 26 8 203 6 55 685 174 32 91 1,483 2,134 109 80 64 30 121 100 89 144 34 289 586 9 201 282 56 331 555 51 218 788 360 367 212 301 5,288 3,218 4,317 445 l4l 947 118 14 434 36 7 1,144 135 33 1,449 115 44 6,243 516 211 504 2,495 732 1,741 210 495 110 238 76 247 68 132 204 604 168 340 191 610 489 426 996 3,319 1, 201 2,186 l, 567 374 161 40 160 360 64 336 18,766 4,104 188 15 57 53 2,225 468 47 303 97 5,331 554 56 463 190 6,623 2,478 253 320 901 29,948 7,708 371 1,684 61 915 43 2, 328 2,709 83 83 11,4l6 287 1,730 4,384 734 637 341 323 914 765 83 l, 031 8 153 4ll 3 177 27 77 2 113 1 12 45 174 . 28 43 62 1,592 367 194 476 mm mm •* — L I A B I L I T I E S Demand deposits adjusted U. S. Government demand deposits Demand deposits of commercial banks in the United States Savings deposits Time deposits of foreign banks, governments, etc. Other time deposits Borrowings: From F. R. Banks From others Other liabilities C A P I T A L A C C O U N T S — — — *» 1, 002 533 763 10,020 1 871 57 103 241 2, 338 9 403 871 582 2,043 — — 1/ Exclusive of loans to domestic commercial banks and after deduction of valuation reserves; individual loan items are shown gross.