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Form F. R. 28^ 3TATS/SNT FOR THE PRESS For immediate release Board of Governors of the Federal Reserve System October 13, 19Ul Condition of Weekly Reporting Member Banks in Leading Cities The condition statement of weekly reporting member banks in 101 leading cities shows the following principal changes for the week ended October 8: An increase of 000,000 in commercial, industrial and agricultural loans, decreases of v51 *000,000 in "Other securities11, #73,000,000 in balances with domestic banks, ^133,000,000 in United States Government deposits, and 360,000,000 in deposits credited to domestic banks, and an increase of $123,000,000 in demand depositsadjusted. Commercial, industrial and agricultural loans increased #33,000,000 in New York City and Si>5I4.,000,000 at all reporting member banks. Holdings of Treasury bills increased $22,000,000 in the Boston district and 330,000,000 at all reporting member banks. Holdings of Treasury notes declined /35,000,000 in New York City and 330,000,000 at all reporting member banks. Holdings of "Other securities" declined ::^7,000,000 in New York City and ,51,000,000 at all reporting member banks. Demand deposits-adjusted increased in nearly all districts, the principal increases being '£29,000,000 in New York City, ^26,000,000 in the Boston district, and ^21,000,j00 in the Richmond district. United States Government deposits declined in nearly all districts, the principal decreases being *35,000,000 in the San Francisco district and 323,000,000 in the Chicago district. Deposits credited to domestic banks declined %%L,000,000 in New York City and d>60*000,000 at all reporting member banks, and increased ^19,000,000 in the St. Louis distr'ict and 717,000,000 in the Atlanta district. A summary of the principal assets and liabilities of reporting member banks, together with changes for the week and the year ended October 8, 19Ul, follows; (In millions of dollars) Increase or decrease Oct. 6, Oct, 1, 19Ul W since Oct. 9, 1*0 a S S a T S Loans and Investments - total 29,132 + 7 +4,305 Loans - total Commercial, industrial,and agricultural loans Open market paper Loans to brokers and dealers in securities Other loans for purchasing or carrying secur. Real estate loans Loans to banks Other loans 11,076 6,501 U03 493 427 1,256 + 52 + 54 + 6 1 1 - "1 + l +2,276 +1,829 + 104 Treasury bills Treasury notes U. S. bonds Obligations guaranteed by U. S. Gov't Other securities Reserve with Federal Reserve Banks Cash in vault Balances with domestic banks UD 1,956 6 815 2,250 7,920 3,322 3,749 + 30 10,804 84 35 35 l + 258 + 153 + 436 +1,124 + 736 + 80 - 30 + 3 + 3 - 51 + 12 + 21 + + + + 966 47 553 3,523 - 73 + 2U,4uO 5,444 +123 + 15 +3,162 + 91 L61 -138 - 68 9,609 633 1 - 60 + 690 + - 58 279 L I A B I L I T I % S Demand deposits-adjusted Time deposits U. S. Government deposits Interbank deposits: Domestic banks Foreign banks Borrowings 9 2 Form F. R. 28l+-a STATELIENT FOR THE PRESS Board of Governors of the Federal Reserve System October 9, 1941 For immediate release CONDITION OF "WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES (In millions of'dollars) Oct. 8 1940 19U1 19-Ul ,1 S S Chicago Increase or decrease since Oct. 1, Oct.9, New York City Increase or Oct. decrease since Oct. 1, Oct. 9, , 8 1940 1941 1941 jj]T S Loans and Investments-total Loans - total Commercial, industrial, and agricultural loans Open market paper Loans to brokers and dealers Other loans for purchasing or carrying securities Real estate loans Loans to banks Other loans 2,526 12,188 - 49 +2,588 3,686 * 32 + 8W 2,515 72 356 + 33 + 684 + 4" 73U 6 68 150 - - 13 13 53 22 107 30 456 - — - 2 1 — *• —» — - 922 - - - — ~ 4- • 2 4- 25 8 -1 - - 49 4- 19 e 1 4- 459 158 35 X - 1,305 4l 277 41 - 6 964 52 85 2,239 + 10 129 66 1,075 7 1,369 1,534 + 7 - 47 4- Reserve with F. R. Bank Cash in vault Balances with domestic banks Other assets - net 5,157 4 2 -1,408 32 + 87 - 3 5 21 4- 107 2 - - 243 11 15 4- 4- 196 4- 292 - 3 152 457 573 4- + 4- 4- 89 5 - 35 - 1 l 5 296 — — 70 474 1,1+02 3,223 + + 33 41 + Treasury bills Treasury notes U. S. bonds Obligations guaranteed by U. ,o. Gov't Other securities 315 " 4- 5 3 — — • - 2 6 + llo 781 + + 15 •- 19 ' 54 I 31 1 5 3 4- + L I A B I L I T I S S Demand deposits-adjusted Time deposits U. S. Gov't deposits Interbank deposits: Domestic banks Foreign banks Borrowings Other liabilities CAPITaL ACCOUNTS 10,701 771 120 3,882 570 + 29 + 11 + + - 9 + - 94 + 7 + - - - mm 263 1,522 + + l 2 - 495 80 •- 15 - 7 1 15 279 11 14 - 74 4- - - 27 25 261 4- " - - - 4- 18 Form F. R. 28l+-b ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN 101 LEADING CITIES, OCTOBER 8, I9I+I (In millions of dollars) Total F < 5 d e r a 1 Re s e r v e D i s t r i c t All New Phila- CleveRichSt. . 1 Minne- Mansas San Boston Atlanta Chicago Dallas districts York mond City delphia land Louis japolis Francisco A S S STS Loans and Investments - total Loans - total Commercial, industrial, and agricultural loans Open market paper Loans to brokers & dealers in secur. Other loans for purchasing or carrying securities Real estate loans Loans to banks Other loans Treasury bills Treasury notes U. S. bonds Obligations guaranteed by U.S.Gov*t Other securities Reserve with F.R. Banks Cash in vault Balances with domestic banks Other assets - net 29,132 1,1+614. 13,166 1,351 2,21+1+ SU3 71+6 3,906 909 ' 1+86 830 652 2,535 1+58 256 1+32 31+9 1,130 27l+ 23 5 13l+ 3 266 29 3 238 6 15 733 i+,108 568 866 327 398 1,1+01 6,501 1+03 1+93 1-+27 91 13 2,678 30l+ 1+18 91 360 i+2 27 21+ 15 158 ll+ 3 206 5 6 925 51+ 1+7 i+27 1,256 l+o i,956 16 195 193 30 32 51 13 50 12 60 12 ll+2 60 2 82 96 90 5 37 218 80 111 7 23 121 37 1+2 9 1+2 112 100 135 1+3 33 117 U8 12 72 802 177 31+2 21+3 115 8 165 15 237 31 557 15 217 19 310 20 295 366 111 61+1 ll+2 1,090. 2 15 591+ 133 203 1 1+85 11,076 815 2,250 7,920 3,522 3,71+9 10,801+ 558 3,525 1,205 79 1+ 153 35 1+1 1+12 70 123 — — 561 112 1+83 1,14+5 3,1+62 1,995 1,673 1 29 388 97 268 19 185 1 201+ 89 13 1+ 181 181+ 261+ 80 257 108 67 771+ 55 325 28 736 129 6 i+i+ 117 66 115 196 175 197 223 1,178 360 51+7 15 18 265 51 1,738 71+6 33 692 212 537 193 1,001 21+ 36 503 5 580 1 l+l+o — — 395 l — — - - — — - - 16 218 21 39-1+ 1+9 101 202 69 222 76 401 277 89 1,506 229 9 11,590 1,139 ll+O 1,253 256 13 396 23 1 3,981 571 152 2 1,700 83 620 73 59l+ 5,369 108 275 1+20 5i+9 38 26 16 202 21 2 11 33 - - 129 2 3 11+ 21+ 1 67 62 1+75 25 9 37 386 - - 198 30 333 L I A B I L I T I E S Demand deposits-adjusted Time deposits U. S. Gov't deposits Interbank deposits: Domestic banks Foreign banks Borrowings Other liabilities CAPITAL ACCOUNTS 2l4.ji4.00 5,1+1+1+ I461 9,609 653 1 782 3,392 22 250 — — 270 1,61+7 15 99 3,380 99 1,1+1+1+ 9 - - 22 1+27 oOO 192 18 -1+75 - - - - 7 99 " 7 63 — l, I4I+8 25 1+7 300 1 U07 21 — — 3 110 5 92 31+5 392