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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) October 7, 1959 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 September 30: Decreases of $440 million in loans to domestic commercial banks and $240 million in holdings of U . S . Government securities; increases of $4l4 million in loans adjusted, $462 million in U. S. Government demand deposits, and $4?1 million in demand deposits credited to domestic banks; and a decrease of $1,230 million in borrowings. Commercial and industrial loans increased $104 million at all reporting member banks. Loans to brokers and dealers for purchasing or carrying U. S. Government and other securities increased $154 million, and loans to nonbank financial institutions increased $70 million. "Other" loans increased $82 million. Increase or decrease since Sept. 23,1Oct. 1, 1959 1 1958 (In millions of dollars) 104, 303 2d? +1,137 + 153 103,540 n.a. + kik n.a. 65,315 + 10k 29,478 n.a. + ik 943 + 145 Sept. 30, 1959 * _SSETS~ Total loans and investments Loans and investments adjusted 1/ 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 376 1,660 + + 80) 7h) + 206 ) 162 1,193 3,943 1,602 675 763 12,451 14,192 29) + + + 28,118 1,990 1,033 ho 30 31) 440) n.a. n.a. - 390 82 +1,469 n.a. 240 52 7 -5,985 + 513 -3,312 158) 5) 10,107 84 11 18) 1,568 16,913 6,6l4 + -3,186 21 - 257 12,989 200 1,155 2,941 3,211 135,782 74 + + 269 82 26 96 + + 182 82 862 +2,167 L I A B I L I T I E S Demand deposits adjusted 60,157 + 39 75 U. S. Government demand deposits + 462 4,281 +1,661 Interbank demand deposits: Domestic banks + 471 10,998 - 712 Foreign banks + 1,457 + 29 30 Time deposits: Interbank 1,568 10 - 536 Other + 577 18 30,741 Borrowings: From Federal Reserve Banks + 22 173 433 From others 936 369 797 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. * Preliminary (San Francisco District). H.4.2(a) ASSETS AND LIABILITIES OF MEEKLY REPORTING MEMBER BANKS IN LEADING CITIES, SEPTEMBER 30, 1959 (in millions of dollars) Federal Reserve District Phila- Cleve- RichNew Boston York delphia mond Atlanta land A S S E T S 4,866 1,886 3 3,507 3,471 1,991 731 7 4,172 4,144 2,489 1,075 18 17 90 8 18 2 32 8 29 57 143 9 19 8 71 124 100 1 36 365 644 117 128 28 26l 822 1,174 54 47 1,286 86 107 63 720 290 306 117 741 235 369 457 75 151 100 504 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 4,321 4,289 2,794 l,4o6 9 30,781 30,491 20,303 11,118 18 3,968 3,950 2,693 1,174 2 8,279 3 19 201 1,154 44 44 3 13 43 4ll 159 72 1 32 431 742 1,500 331 466 134 82 10 18 340 275 112 3,491 878 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 1,083 101 *8 7,017 793 150 907 53 24 298 52 513 1,687 412 4,018 1,758 3,171 350 850 Reserves with F. R. Banks Cash in vault Balances with domestic banks Other assets - net Total assets/liabilities 493 69 123 121 5,533 4,062 242 216 1,381 40,833 496 61 131 122 5,206 1,026 131 210 143 10,398 4,722 3,071 197 18,193 1,380 2,659 208 4,855 359 2,363 158 2,566 374 28 3,269 1,151 447 22 524 11 475 781 9 11 29 727 1,222 5,965 7 841 2,941 3 828 10 1,053 12 33 128 10 235 1,475 10 94 116 11 18 72 47 38 89 528 3,782 490 961 353 427 34 637 263 290 2,070 265 8,256 23 1,297 1,104 2,540 258 81 193 321 — 61 328 ill 5,677 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 16 6 154 1/ 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 OP WEEKLY REPORTING MEMBER B A M S IN LEADING CITIES, SEPTEMBER 30, 1959 (Cont'd) Federal Reserve D][strict St. Minne- Kansas San # Chicago Louis apolis City Dallas Francisco 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 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 14,350 14,277 8,088 3,677 29 2,941 1,786 720 18 1,675 1,672 1,078 488 22 3,727 3,712 2,231 62 183 5 24 26 186 6 774 180 18 ,73 l,4oi 1,748 181 4,499 4,490 2,893 1,506 35 22,083 21,897 14,103 4,737 2 5 22 14 1 13 9 64 22 1 5 8 31 13 181 54 132 84 74 30 143 91 134 127 — — -•» 2,891 - - 50 -- 960 601 8 377 265 179 186 5,243 264 15 325 491 9 223 711 44l 7 16 1,144 90 81 1,250 40 46 5,698 142 41 99 153 83 697 193 337 37 835 292 347 312 3,409 1,617 190 16 64 45 2,231 472 43 333 92 5,112 512 50 518 177 2,566 223 333 18,368 376 36 160 45 3,926 6,268 27,508 7,863 1,606 871 150 86 2,330 166 2,688 173 11,092 1,716 60 713 4 349 4 839 2 972 14 539 l4l 27 4,635 2 671 385 769 8 1,233 10,693 6 266 274 11 19 50 19 54 41 37 56 48 4 56 73 651 1,424 332 181 420 535 1,744 3 292 203 511 4,721 302 175 857 64 40 280 2,824 l,l4o 1,468 58 554 l4l 248 1,835 148 374 247 278 2,786 218 2,096 627 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 683 567 260 145 1/ Exclusive of loans to domestic commercial banks and after deduction of valuation reserves; individual loan items are shown gross. * Preliminary (San Francisco District).