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FEDERAL

RESERVE

s t a t i s t ! ca
For Immediate release
November 24, 1965
H. 4.2

CONDITION OF WEEKLY REPORTING MEMBER B A M S IN LEADING CITIES
The condition statement of weekly reporting member banks in leading cities

shows the following principal changes for the week ended November 17:

an increase of

$1,279 million in loans adjusted, a decrease of $270 million in holdings of
U. S. Government securities, increases of $28l million in reserves with Federal
Reserve Banks, $101 million in demand deposits adjusted, $1,403 million in
U. S. Government demand deposits, and a decrease of $297 million in demand deposits
credited to domestic commercial banks.
Commercial and industrial loans increased in eleven districts and a net of
$566 million; during the comparable week a year ago these loans increased $90 million.
Loans to brokers and dealers for purchasing or carrying U. S. Government securities
increased $103 million, and their loans for purchasing or carrying "other" securities
increased $199 million.
$162 million

Loans to sales and personal financing institutions increased

loans to "other": nonbank financial institutions increased $19 million,

as compared with decreases of $9 million and $12 mill ion, respectively, during the
similar week in 1964.

Real estate loans increased $78 million.

"Other" loans increased

$146 million.
Holdings of Treasury bills by weekly reporting member banks decreased
$49 million and the combined total of Treasury notes and U. S. Government bonds
decreased $221 million.

"Other" securities decreased $99 million.

Demand deposits adjusted increased $628 million in New York City, $60 million
in the San Francisco District, and $43 million in the Kansas City District, and
decreased $149 million in the Chicago District and $ll4 million in the Philadelphia
District.

Savings deposits increased $47 mill,ion and "other" time deposits of

individuals, partnerships, and corporations decreased $98 million.
Borrowings of weekly reporting member banks from Federal Reserve Banks
increased $124 million but borrowings from others decreased $31 million.
domestic commercial banks decreased $24 million.




Loans to

A

4

H.4.2

CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES

*

1

A S S E T S
*

*

,
>

'

*

•

TOTAL LOANS AND INVESTMENTS
LOANS AND INVESTMENTS ADJUSTED (1)
LOANS ADJUSTED ill
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
I 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
NOV.
NUV.
NOV.
18,
10, *
17,
1965
1964
1965
(IN MILLI'ONS OF DOLLARS)
163,222
160,618
113,816
49,303
1,682

+
+
+
+

886
910
1,279
566
25

580
3,174

+
+

103
199

94
2,064

+

5,123
4,882
1,604
22,356
25,271
2,604
23,268
3,576

+

+
+
+
+

— .

+ 15,043
+ 14,925
+ 15,818
+ 8,652
+
47

-

176
137

1
4

+
+

33
114

162
19
22
78
146
24
270
49

+
+
+
•

955
834
312
2,514
2,880
118
3,764
1,271

-

•

+
-

—

130
36
55
99
281
34
263
23
1,494

3,922
9,234
6,536
23,534
13,173
2,083
3,454
6,794
207,166

•
-

+

•
•

+
+

21
2,642
128
2,871
63
205
100
751
18,255

L I A B I L I T I E S
>
*

>
>

>

K

DEMAND DEPOSITS ADJUSTED 12)
DEMAND DEPOSITS - TOTAL 13)
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 CORPORATIONSSAVINGS DEPOSITS
OTHER TIME DEPOSITS
STATES AND POLITICAL SUBDIVISIONS
DOMESTIC INTERBANK
FOREIGN— 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 — F R O M F. R. BANKS
FROM OTHERS
OTHER LIABILITIES
C A P I T A L

A C C O U N T S

64,435
98,834
71,611
4,909
2,871
13,088
567
761
1,272
77,342
44,972
21,333
6,058
572
4,041
205
16,388
210
5,651
8,015
17,114

+
+
+
+

+
+
+
•
+
-

101
1,214
1,313
333
1,403
297
8
11
35
34
47
98
38
10
15
4
14
124
31
245
24

+

4
•
-

+
+

+

-

+

1,153
1,604
2,629
178
2,133
491
27
64
19
11,781

+

4,745
5,069
1,447
208
241
54
3,648
107
1,975
1,224

+

1,564

+

t

•

•
+
•
• +

(1) EXCLUSIVE OF LOANS TO DOMESTIC COMMERCIAL BANKS AND AFTER DEDUCTION OF VALUATION
RESERVES, INDIVIDUAL LOAN ITEMS ARE SHOWN GROSS.
<2) 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.
*
REVISED.
v

>
, >




*H24.2t A)

CONDITION OF WEEKLY REPORTING MEMBER BANKS, BY DISTRICTS,
NOV. 17, 1965

»

"

BOSTON

FEDERAL RESERVE DISTRICT
PHILA- CLEVE- RICHNEW
MOND
LAND
DELPHIA
YORK
I IN MILLIONS Uh UULLAK5)

ATLANTA

A S S E T S
TOTAL LOANS AND INVESTMENTS
LOANS AND INVESTMENTS ADJUSTED (1)
r LOANS ADJUSTED 111
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
i OTHER LOANS
1
L-OANS 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
1
.
AFTER 5 YEARS
ffTHER SECURITIES
RESERVES WITH F. R . BANKS
CURRENCY AND COIN
^BALANCES WITH DOMESTIC BANKS
OTHER ASSETS - NET
r JtpTAL ASSETS/LIABILITIES

6,406
6,317
4,618
2,217
7

49,602
48,728
35,402
18,411
55

5,812
5,738
4,329
1,688
10

12,720
12,582
8,057
3,102
2

6,017
5,914
4,143
1,469
19

6,459
6,402
4,372
1,833
53

11
27

371
2,026

26
51

46
163

2
54

7
81

9

30
634

5
70

7
267

17
27

3
58

181
173
32
859
1,205
89
793
168

1,792
1,414
938
4,769
5,752
874
5,694
1,085

235
169
47
727
1,422
74
754
107

325
259
50
1,852
2,131
138
2,136
351

184
217
1
832
1,393
103
1,046
102

185
265
1
546
1,422
57
1,257
115

2?04
264
157
906
559
119
188
207
8,180

873
2,012
1,724
7,632
4,056
492
334
2,997
64,041

159
329
159
655
450
128
179
192
7,519

492
729
564
2,389
1,052
207
289
272
15,474

200
556
188
725
549
157
139
195
7,785

308
617
217
773
574
101
433
206
8,707

3,393
4,584
3,559
276
151
339
149
8
34
2,290

19,093
29,915
20,543
890
766
3,496
355
610
895
21,942

2,646
4,087
3,095
165
134
549
39
11
39
2,326

5,026
6,880
5,407
434
246
674
5

2,963
5, 132
3,333
499
119
1,116

24
6,483

3,110
4,552
3,418
301
160
554
7
35
11
2,212

1,264
697
231
26
64
4
822
60
199
314

8,511
8,602
1,271
417
2,933
127
7,670
15
2,536
3,820

1,266
781
172
11
90
5
496
30
210
237

4,183
1,531
685
53
24
5
1,214
1
358
364

1,512
506
155
2
19
1
248
23
113
253

1,548
761
198
16
6

733

5,813

629

1,388

632

706

—

L I A B I L I T I E S
REMAND DEPOSITS ADJUSTED (2)
DEMAND DEPOSITS - TOTAL (3)
• INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS
STATES AND POLITICAL SUBDIVISIONS
' U. S. GOVERNMENT
DOMESTIC INTERBANK— 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 CORPORATIONS—
i*
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
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.
»
>

7
-4
»>




—

5
12
2,532

417
11
116
210

CONDITION OF WEEKLY REPORTING MEMBER BANKS, BY DISTRICTS,
NOV. 17, 1965

H.4.2(B)

THTCW
A S S E T S
TOTAL LOANS AND INVESTMENTS
•LOANS AND INVESTMENTS ADJUSTED (1)
LOANS ADJUSTED (11
- 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 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 M A T U R I N G —
WITHIN 1 YEAR
1 TO 5 YEARS
AFTER 5 YEARS
H OTHER SECURITIES
RESERVES WITH F. R . BANKS
CURRENCY AND COIN
BALANCES WITH DOMESTIC BANKS
K OTHER ASSETS - NET
TOTAL ASSETS/LIABILITIES
•

pSLCfiSr

I STe

FEDERAL RESERVE DISTRICT

IMlNkE- KANSAS I
CITY |
IAPOLIS
(IN millions OF DOLLiUsi

1 LOUIS

22,409
22,103
15,282
6,542
64

4,539
4,414
3,077
1,188
28

55
442

13
45

18
386

38

48

1*029
617
241
3,011
3,263
306
3,494
495

141
167
1
552
947
125
698
83

111
74

—

2,416
2,412
1,728
790
41
—

17

I

—

—

„ •

309
362
4
403
34
— —

5,232
5,181
3,577
1,391
271

6,911
6,782
4,645
2,203
67

SAN

FRANCISC

34,699
34,045
24,586
8,469
1,065

43

45
197

2
82

2
309

9
136

170
189
2
566
927
51
947
157

128
289
3
444
1,237
129
1,210
96

642
1,049
288
7,889
5,210
654
4,836
783

4
28

—

—

—

—

439
1,563
997
3,327
1,773
275
375
717
27,961

160
302
153
639
352
58
185
96
5,871

63
150
156
281
176
23
64
75
3, 199

204
415
171
657
427
63
317
172
7,013

167
610
337
927
548
67
456
303
9,136

653
1,687
1,713
4,623
2,657
393
495
1,362
42,280

7 ,802
12 ,773
9 ,228
669
478
2 ,081
1
18
74
11 ,387

1 ,679
3 ,372
2 ,148
136
93
959

811
1,780
1,115
109
49
475
3

2, 196
4, 160
2, 709
235
102
1, 060

2, 714
4, 770
3, 186
297
87
1, 118

7
1 ,712

5
993

4
2, 015

2
21
3, 114

13, 002
16, 829
13, 870
898
486
667
8
72
146
20, 336

7 ,853
2 ,396
827
15
272
15
1 ,959
36
852
810

832
727
147
1
2
1
320
7
156
114

311
623
56
1
1

1, 306
610
96
1

261
17
91
63

328
10
92
103

1, 345
1, 331
421
10
1
2
1, 042

15,041
2, 768
1, 799
19
629
45
1» 611

2 ,103

510

255

633

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 INTERBANK— 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 CORPORATIONSSAVINGS 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
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.




—

'

—

—

—

—
—

—

—

—

271
185

657
1, 542

796

2, 916