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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