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H,4*2

BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
(For Immediate Release)
CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES

May 27# 1947

The condition statement of weekly reporting member banks in lOl leading cities
|hows the following principal changes for the week ended May 21# Decreases of
$121,000,000 in loans and $344,000,000 in demand deposits credited to domestic
banks, and an increase of $$20,000,000 in demand deposits adjusted,
Commercial, industrial, and agricultural loans declined in nearly all districts and the total decrease at all reporting member banks was $97,000,000; the
principal decrease was $53*000,000 in New York City, Loans to brokers and dealers
for purchasing or carrying United St-vbas Government securities increased
$36,000,000 at all reporting member banks, and loans to brokers and dealers for
purchasing or carrying other securities declined $34,000,000; these changes were
largely in New York City,
'
Holdings of Treasury bills increased $145,000,000 in New York City and
$111*,000,000 at all reporting member banks and decreased $26,000,000 in the Chicago
District, Holdings of Treasury certificates of indebtedness decreased $43,000,000
in New York City and $1*0,000,000 at all reporting member banks, and increased
$29,000,000 in the Chicago District.
Demand deposits adjusted increased in nearly all districts; the principal
increases were $176,000,000 in New York City, $39,000,000 in the Chicago District,
and $29,000,000 in the Atlanta District, Time deposits increased $1^,000,000,
United States Government"deposits declined in all districts and the total decrease
at all reporting member banks was $100,000,000, Demand deposits credited to domestic bstnks also declined in all districts.
Borrowings declined $65,000,000 in New York City and $61,000,000 at all reporting member banks, and increased $17,000,000 in the Chicago District,
A summary of the assets and liabilities of reporting member banks follows 1

A S S E T S
Loans and investments - total
Loans - total
Commercial* industrial, and agricultural loans
Loans to brokers and dealers for
purchasing or carrying;
U, S» Government obligations
/
Other securities
Other loans for purchasing or carrying;
U. S, Government obligations
Other securities
Real estate loans
Loans to banks
Other loans
Treasury bills
Treasury certificates of indebtedness
Treasury notes
U, S, bonds
Other securities
Reserve with Federal Reserve Banks
Cash in vault
Balances with domestic banks
L I A B I L I T I E S
Demand deposits adjusted
Time deposits except Gov't
U, S, Government deposits
Interbank demand deposits; Domestic banks
Foreign banks
Borrowings
Debits to demand deposit accounts,except interbank
and U, S,Govt, accounts, during wpek



Increase or
May
decrease since
21,
May 22,
May 14,
I9L6
W
w
(In millions of dollars)
- 9,267
60
54,893
4 2,035
4 3,295

-

121

-

97

540

+

361*

36
34

-

-

475
1*28
1,755

11
17

-

+
+

1,196

+
4
4

534
15

16,81*7
10,762

106

-

10
42

2,1*17

656
4,21*9
2,446

524
606

-

6,168
4,364
247
4
83

+

4o

1
,1

3,466

-

15

10,130

+

17

625
2,089

—

29

-

120

16,054

29

-

-

1,301
89

.

754
354

+ 114

27,229

39,723
10,757
1,313
8,447

-

* 320

•
-

—
-

13
100
344

24
61

4
4"
-

4
4

152
51

29
996
791

-10,403
-

+
-

800
73
33

ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN IPX LEADING CITIES, M Y 21, Iglt?
F e d e r a I R e s e r iT e D i s t r i c t
total
St.
Minne- Kansas Dallas San
Cleve- RichPhilaNew
All
Atlanta Chicago
Boston
Francisco
apolis CityLouis
land
mond
delphia
York
districts
A S S E T S
Loans and investments - total
Loans - total
Commercial,industrial, & agr*1 loans
Loans to brokers and dealers for
purchasing or carrying*
U. S. Government obligations
Other securities
Other loans for purchasing or carrying;
U, S. Government obligations
Other securities
Heal estate loans
'
Loans to banks
Other loans

54,893
16,847
10,762

2,813

20,126

909

6,164
4,230

540
364

12

442
243

1
17

17

18

1
5

475
428
1,755
106
2,4l?

20
15
103
5
163

103
193
190
77

86

22

686

13
7
53
2

186

17
234
1
217

15
85
1

Treasury bills
Treasury certificates of indebtedness
Treasury notes
U. S. bonds
Other securities

656
4,249
2,144.6
27,229
3,466

30
193
89
1,1*90

181
1,106

34
141
52

29
219
159

207

321

Reserve with Federal Reserve Banks
Cash in vault
Balances with domestic banks
Other assets - net

10,130
625
2,089
1,438

488

420
33

762
91
177
75

330
41

L I A B I L I T I E S
Demand deposits adjusted
Time deposits except Gov't.
U* S, Government deposits
Interbank demand deposits t Domestic banks
Foreign banks
Borrowings
Other liabilities
CAPITAL ACCOUNTS

39,72$
10*757
1,313
8,14*.7
1,301
89
2,223
5,322

2,327
1*97
75
269

15,682 1,822 3,329

1,373
394
54
315
5

43
312

Debits to demand deposit accounts, except
interbank and U.S.Govt, accounts

16,054

734




582

9

102

63
111
79

21
10

865
10,643
1,167
3,972
142
119
352

2,207

4,571
692 1,317
1*13
727

1,081 2,526

82

49

24
427
2,183

309
53
306
10
4
24
263

1,432
126
44o
4
5
44
496

6,670

627

1,135

2,Oil
427
2,767

1,160

1,846 1,906

8,120

1,809

1,098

2,111

1,841

573
331

2,337
1,584

687
389

34o
195

569
375

735
493

6,445
2,033
1,189

5

56
29

2
4

l
l

3

6

8
24

49
24
46
4
114

51
63
272
12
270

22
14
111
2
143

11
6
45

17
9
68

47
29
486
1
249

22
237
114
801
159

155
723
315
4,020
570

14
83
120
772
133

8
35
74
581
60

97
69
288
142
878
165

34
36
62
1
103
43
218
111
647
87

53
825
336
2,792
406

364
31
143
35

1,450
93
392
83

336
23
111
23

204
11
79
16

422
23
252
21

397
25
24o
35

985
49
271
595

1,403
463
37
415
6
1
8
18
104
136
151

5,565
2,110
179
1,543
31
20
55
635

1,190
386
51
503
7
4
15
146

526

2,569

470

491
254

108
18
181
69
998
89

112
75

505

— —

81

745 1,519
328
239
51
30
753
279
2
- - 4
7
11
12
163
94
328

654

1,529 3,439
333 2,225
36
194
468
389
52
3
1
1
12 1,458
156
587
540

1,296