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FEDERAL statistical UIIU RESERVE release For immediate release May 26, 1965 H.4.2 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 ehded May 19: increases of $365 mil- lion in loans adjusted, $147 million in holdings of U. S. Government securities, a decrease of $ 1 , 5 8 3 million in demand deposits adjusted, an increase of $1,517 million in U. S. Government demand deposits, and a decrease of $357 million in demand deposits credited to domestic commercial banks. Commercial and industrial loans increased in eight districts and a net of $165 million; during the comparable week a year ago these loans increased $22 million. Loans to brokers and dealers for purchasing or carrying U. S. Government securities decreased $8 million, and their loans for purchasing or carrying "other" securities decreased $50 million. Loans to sales and personal financing institutions increased $101 million and loans to "other" nonbank financial institutions increased $17 million, as compared with increases of $56 million and $16 million respectively, during the similar week in 1964. Real estate loans increased $4l million. "Other" loans increased $67 million. Holdings of Treasury bills by weekly reporting member banks increased $92 million the combined total of Treasury notes and U. S. Government bonds increased $55 million. "Other" securities decreased $44 million. Demand deposits adjusted decreased in eleven districts including decreases of $557 million in New York City, $246 million in the San Francisco District, $198 million in the City of Chicago, $171 million in the Cleveland District, and $118 million in the Philadelphia District. Savings deposits increased $74 million and "other" time deposits of individuals, partnerships, and corporations increased $313 million. Borrowings of weekly reporting member banks from Federal Reserve Banks increased $284 million but borrowings from others decreased $303 million. domestic commercial banks decreased $259 million. Loans to CONDITION OF WEEKLY REPORTING MEMBER BANKS H H.4.2 LEADING CITIES Change since May May 20, May 12, 19, 1964 1965* 1965 (in millions of dollars) 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 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 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 + + + 209 468 365 + 18 +14,375 +13,924 +13,202 + 7,042 + 27 - 8 50 + - 282 Ill 73 1,953 + + 3 12 + 22 116 4,698 + + 101 + + + 320 500 48l 155,495 153,109 106,477 45,458 1,565 916 3,612 4,078 1,582 20,734 24,102 2,386 - + + - 24,239 3,361 + + 3,690 10,073 7,115 22,393 12,834 1,949 3,066 6,571 195,705 + - + » + ~ 165 17 1 41 67 259 147 92 197 773 + 2,729 + 451 - 2,249 4il - 3,o44 631 + 1,260 44 45 33 + 2,971 168 • + 2,076 136 -1,525 - + + + + 106 171 116 687 +17,142 L I A B I L I T I E S Demand deposits adjusted 2/ Demand deposits - total 37 Individuals, partnerships, and corporations States and political subdivisions U« S. Government Domestic interbank: Commercial Mutual savings Foreign: Govts., official insts., etc. Commercial banks Time and savings deposits - total 4/ Individuals, partnerships, and corporations: Savings deposits Other time deposits States and political subdivisions Domestic interbank Foreign: Govts., official insts., etc. Commercial banks Memo: Negotiable Time CD's included above Borrowings: From F. R. Banks From others Other liabilities C A P I T A L AC CO U N T S 1,254 72,694 -1,583 -1,865 -2,388 483 +1,517 357 + 6 15 + 25 + 340 42,387 19,538 + + 60,570 95,812 65,367 5,075 8,218 11,234 522 610 5,722 525 4,084 228 15,067 339 - + - + + + 3,881 6,892 + 16,087 + - 74 313 62 10 38 2 165 284 303 2 17 122 + 4,677 + 658 + 36 + 2,785 + 327 2 12 + 129 + 9,905 + 3,755 + 4,296 + 1,028 + 205 + 479 + 85 + 3,331 138 + 1,039 + 529 + 1,130 reserves; individual loan items are shown gross. 2/ Includes all demand deposits except those of U. S. Government and domestic commercial banks"7 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. * Revised. " .k.2(a) CONDITION OF WEEKLY REPORTING MEMBER BANKS, BY DISTRICTS,. MAY 19, 1965 4 F • Boston - t Federal Reserve District New Phila- Cleve-I RichAtlanta land | mond York delphia (In millions of dollars) A S S E T S Total loans and investments Loans and investments adjusted l/ Loans adjusted l/ Commercial and industrial loans w * 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 k . Other securities [ Loans to nonbank financial institutions: •* Sales finance, personal finance, etc. Other e 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 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 12,088 5,583 11,952 5,547 7,457 3,779 2,829 1,307 x 20 2 5,995 5,841 4,238 1,988 1 47,113 46,234 33,111 16,970 48 5,626 5,500 3,973 1,543 6 1 49 444 2,324 7 105 53 170 61 5 13 64 <— mm 18 8 567 5 72 6 250 15 34 3 59 176 133 31 801 l,l4l 154 1,658 207 1,144 122 48 . 923 4,320 654 5,496 1,326 126 879 5,820 892 808 201 287 183 144 26 1,758 2,029 136 2,157 349 1 747 1,309 36 1,099 94 696 112 134 285 165 907 486 107 133 2l4 7,481 1,096 2,119 1,797 7,303 4,277 462 274 2,965 61,134 130 381 189 227 926 655 2,338 943 194 224 180 635 491 117 153 170 7,125 14,516 2,602 4,038 6,672 263 169 158 609 238 669 484 145 118 177 7,106 6,117 6,050 4,008 1,684 46 234 3 492 1,345 67 1,294 170 282 619 223 748 538 95 396 189 8,101 L I A B I L I T I E S Demand deposits adjusted 2/ •" "Demand deposits - total 37 Individuals, partnerships, and corporations States and political subdivisions U. S. Government Domestic interbank: Commercial Mutual savings Foreign: Govts., official insts., etc. » Commercial banks Time and savings deposits - total 4/ Individuals, partnerships, and corporations: Savings deposits Other time deposits States and political subdivisions * Domestic interbank * Foreign: Govts., official insts., etc. Commercial banks » "Memo: Negotiable Time CD's included above From F. R. Banks — Borrowings: From others - * Other liabilities )v « C A P I T A L A C C O U N T S See footnotes on first table. 3,202 4,382 3,297 236 364 270 121 7 33 1,963 18,123 30,237 19,091 908 2,719 3,352 332 482 905 20,755 2,904 130 423 445 39 10 4l 2,046 1,201 615 285 8,075 7,909 1,120 4i6 2,970 139 7,297 42 1,496 3,441 706 5,163 616 1,156 550 163 20 62 7 626 6 139 123 11 86 9 425 3 244 178 2,846 4,225 3,054 294 345 435 8 31 10 1,954 2,795 4,745 3,048 46l 275 909 1,454 182 317 1,356 399 156 2 19 1 202 10 92 223 1,344 602 675 4,624 4,921 403 689 555 5 — — 22 6,001 3,943 1,475 544 14 21 2 1,033 —— 5 10 2,350 689 183 18 3 -- 405 38 105 188 H. k.2(b) CONDITION OF WEEKLY REPORTING MEMBER BANKS, BY DISTRICTS, MAY 19, 1965 (Continued) Federal Reserve Di[.strict St. Minne- Kansas San Chicago Dallas Louis apolis City Francisco (In millions of dollars) A S S E T S Total loans and investments Loans and investments adjusted l/ 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 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 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 as sets/liabilities 21,324 2,275 5,094 2,260 4,995 1,552 3,425 705 :,36l • 237 39 5,942 63 4,197 4,i4l 2,795 1,059 15 88 465 35 42 3 14 3 28 44 13 376 2 4o -«» 46 3 81 298 878 140 153 1 503 849 56 736 21,023 13,922 538 224 2,609 3,U2 301 3,883 505 -- 207 -- 493 1,730 1,155 3,218 1,783 247 98 328 103 610 399 56 674 26,426 88 5,393 7,394 12,595 1,654 3,104 1,948 150 233 740 381 176 90 71 mmmm 283 325 15 422 28 -- 45 179 170 286 148 22 60 73 2,905 157 6,592 33,491 6,514 33,052 4,470 23,747 2,146 7,924 61 1,021 mm wm 2 6 122 124 654 864 317 7,64l 5,078 439 5,013 649 187 274 1 532 7 394 1,203 78 889 99 969 143 -- 264 246 1,258 95 -- -- 236 626 1,891 1,847 601 786 4,292 2,305 437 543 66 61 377 4ll 283 457 166 302 1,290 6,684 8,635 40,199 165 460 201 546 381 L I A B I L I T I E S Demand deposits adjusted 2/ Demand deposits - total 37 Individuals, partnerships, and corporations States and political subdivisions U. S. Government Domestic interbank: Commercial Mutual savings Foreign: Govts., official insts., etc. Commercial banks Time and savings deposits - total 4/ Individuals, partnerships, and corporations: Savings deposits Other time deposits States and political subdivisions Domestic interbank Foreign: Govts., official insts., etc. Commercial banks Memo: Negotiable Time CD's included above Borrowings: 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. 8,306 830 1,406 1,778 1 18 68 10,649 7,366 2,207 759 14 277 17 1,781 73 2,129 2,725 3,867 4,6oo 2,469 3,013 264 309 226 270 869 930 6 1,584 5 923 3 1,916 11,679 15,744 12,314 996 1,143 597 11 54 3 18 133 2,852 19,701 775 309 1,242 1,290 126 1 45 1 10 1 3 957 41 --- 678 2 -- 797 1,603 1,002 94 125 354 5 -- 566 — -- 580 1,211 91 333 1 -- 225 456 632 306 7 104 98 2,021 496 238 9 77 55 — — 318 47 137 89 230 169 628 743 14,220 2,659 2,079 18 642 50 1,492 63 619 1,217 2,855