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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) H.4.2 October 21, 1959 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 ended October 14: Decreases of $204 million in holdings of U. S. Government securities and $1;074 million in U. S. Government demand deposits, and an increase of $80l million in demand deposits adjusted. Commercial and industrial loans increased $206 million at all reporting member banks. Loans for purchasing or carrying U. S. Government and other securities decreased $156 million and loans to nonbank financial institutions decreased $60 million. Real estate loans and "other" loans increased $42 million and $47 million, respectively. Borrowings of weekly reporting member banks from Federal Reserve Banks decreased $189 million and borrowings from others increased $146 million. Loans to domestic commercial banks increased $119 million. Increase or decrease since October 14, Oct . 7, Oct. 15, 1959 1958 1959 * (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 Loans to domestic commercial banks Real estate loans Other loans 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 Cash in vault Balances with domestic banks Other assets - net Total assets/liabilities + 112 n • St • n.a. n.a. + 133 104,122 102,842 65,288 29,715 941 + 65 184 77 + 5 284 1,627 - 27) 113) + 169 159 - 1) 15) + 65 1,180 3,743 1,608 671 + 206 14,220 77 + 17 6) + 119) + 42 + 47 27,461 1,478 1,075 + 1,280 12,501 1,539 16,735 6,634 10,093 12,969 1,254 3,014 3,255 136,898 - + - 204 174 3 36) 26) 29) 57 147 120 365 32 +2,695 + + + n.a. n.a; + 359 +1,377 n.a. -7,373 - 601 -3,290 -3,482 - 335 - 758 + 110 26 + 223 + 337 L I A B I L I T I E S Demand deposits adjusted + 801 60,852 + 523 U. S. Government demand deposits -1,402 -1,074 1,719 Interbank demand deposits: Domestic banks + 583 11,839 - 551 Foreign banks 26 1,422 + 13 Time deposits: Interbank 1, 520 27 - 579 Other + 4l6 4 30,621 Borrowings: From Federal Reserve Banks + 119 - 189 277 From others + 146 + 650 1,898 1/ Exclusive of loans to domestic commercial banks and after deduction of valuation reserves; individual loan items are shown gross. n.a. - Not available on comparable basis; reporting form revised July 8, 1959, * October 7 figures revised (San Francisco District). H.4.2(a) ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES, OCTOBER l4, 1959 (in millions of dollars) Federal Reserve District New Phila- Cleve-| RichAtlanta Boston York delphia land I mond 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 Loans to domestic commercial banks Real estate loans Other loans 4,308 4,250 2,781 1,391 12 30,801 30,118 20,383 11,252 19 3,911 3,891 2,631 1,166 2 2 19 191 1,156 19 21 16 89 7 18 6 33 3 13 41 410 12 53 27 138 9 20 5 67 151 77 128 78 10 20 340 882 240 112 44 1,297 1,098 124 97 1 58 370 650 121 130 58 436 741 1,379 345 461 683 2,120 3,509 U. S. Government securities - total Treasury bills Treasury cert, of indebtedness Treasury notes and U. S. bonds maturing: Within 1 year 1 to 5 years After 5 years Other securities 1,052 64 58 6,587 471 153 904 43 22 2,507 1,152 1,286 231 87 33 105 85 47 107 555 268 417 219 3,983 1,761 3,148 54 518 267 356 199 1,664 328 859 61 721 290 303 114 734 246 364 Reserves with F. R. Banks Cash in vault Balances with domestic banks Other assets - net Total assets/liabilities 1,080 3,816 529 523 505 280 68 l4l 81 76 22:3 122 228 153 159 1,408 142 116 100 123 5,621 40,813 5,300 10,497 4,859 521 65 329 ill 5,811 - - 8,227 3,511 4,188 8,183 3,453 4,155 4,817 1,998 2,505 1,886 731 1,070 19 3 7 «»«» 33 262 837 L I A B I L I T I E S Demand deposits adjusted U. S. Government demand deposits Interbank demand deposits: Domestic banks Foreign banks Time deposits: Interbank Other Borrowings: From F. R. Banks From others Other liabilities C A P I T A L A C C O U N T S 3,146 88 18,339 541 2,620 88 4ll 33 3,270 1,117 540 32 594 10 535 8 897 11 28 728 1,183 5,897 6 840 — «* 2,942 3 815 10 1,051 8 57 129 16 825 1,554 11 51 94 28 111 128 7 37 68 39 34 94 530 3,785 489 962 354 422 4,902 2,439 2,585 l4l 90 71 l/ Exclusive of loans to domestic commercial banks and after deduction of valuation reserves; individual loan items are shown gross. H.4.2(b) ASSETS AMD LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES, OCTOBER 14, 1959 (Cont'd) Federal Reserve D] strict San St. Minne- Kansas Chicago Louis apolis City Dallas Francisco A S S E T S 14,208 2,969 1,678 3,753 Total loans and investments 14,171 2,898 1,676 3,694 Loans and investments adjusted 1/ 8,032 1,786 1,084 2,223 Loans adjusted 1/ 966 493 723 3,715 Commercial and industrial loans 183 24 17 30 Agricultural loans Loans to brokers and dealers for purchasing or carrying: 1 7 15 3 U. S. Govt, securities 6 24 13 165 Other securities Other loans for purchasing or 8 6 26 carrying: U. S. Govt, securities 32 22 184 5 Other securities Loans to nonbank financial institutions: Sales finance, personal 143 76 131 743 finance, etc. 26 89 87 174 Other - 18 Loans to foreign banks 2 59 71 37 Loans to domestic commercial banks 204 327 1,402 293 Real estate loans 490 265 508 1,757 Other loans mm mm U. S. Government securities - total Treasury bills Treasury cert, 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 Cash in vault Balances with domestic banks Other assets - net Total assets/liabilities 4,521 22,047 4,492 21,861 2,889 14,159 1, 518 4,804 591 34 1 13 16 70 13 182 9 54 131 121 Jlk 376 272 181 186 5,238 2,769 a» — 29 212 4,669 217 211 862 51 34 441 7 15 1,139 78 87 1,248 36 47 5,614 160 211 278 2,823 1, l4o 1,470 57 571 149 250 39 280 100 151 83 682 209 332 37 817 311 355 291 3,387 1,565 2,088 1,931 160 354 241 18,572 405 38 181 44 4,071 188 17 73 44 2,267 7,879 236 1,668 53 891 32 2,396 72 1,851 53 839 3 378 4 932 1 1,028 15 564 135 31 4,631 2 671 385 1 765 8 1,229 248 10,667 100 411 280 1 14 53 29 59 4l 32 58 47 4 98 83 2 143 702 1,422 333 181 422 536 1,757 2,456 482 533 230 46 52 488 352 353 649 185 92 5,248 6,299 27,540 L I A B I L I T I E S Demand deposits adjusted U. S. Government demand deposits Interbank demand deposits: Domestic banks Foreign banks Time deposits: Interbank Other Borrowings: From F. R. Banks From others Other liabilities C A P I T A L A C C O U N T S 2,710 11,277 68 239 1/ Exclusive of loans to domestic commercial banks and after deduction of valuation reserves; individual loan items are shown gross.