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H.4.2 BOARD OF GOVERNORS OF THE FEDERAL, RESERVE SYSTEM (For Immediate Release) October 8, 1952 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 1: Increase of $384 million in loans; decreases of $460 million in reserve balances with Federal Reserve Banks and $916 million in United States Government deposits; and an increase of $352 million in borrowings. Commercial, industrial, and agricultural loans increased $59 million in New York City and $14 million in the San Francisco District, and they decreased $24 million in the Cleveland District and $10 million in the Chicago District; the net increase at all reporting member banks was $65 million. Changes according to industry are available in another press release. Loans to brokers and dealers for purchasing or carrying securities increased $115 million. Loans to banks increased $134 million. "Other loans" increased $62 million, with increases occuring in nearly all districts. Holdings of Treasury certificates of indebtedness decreased and holdings of Treasury notes increased in all districts, reflecting the exchange of a maturing certificate issue for a new note issue. Holdings of Treasury bills decreased $44 million in New York City and a total of $6l million at all reporting member banks. Holdings of "other securities" decreased $37 million. Demand deposits adjusted increased $43 million; the principal changes were increases of $53 million in the Chicago District and $52 million in the Cleveland District, and a decrease of $98 million in New York City. Time deposits increased $46 million, about $16 million of which resulted from banks being added to the series through merger. United States Government deposits decreased in all districts. Borrowings increased $163 million in New York City and $87 million in the San Francisco District. A summary of assets and liabilities of reporting member banks follows: Increase or Oct. decrease since 1, Sept. 24, Oct. 3, 1952 1951 1952 (In millions of dollars) A S S E T S Loans and investments - total 75,773 +241 +4,550 Loans - net 36,680 +384 +3,036 Loans - gross 37,240 +384 +3,130 Commercial, industrial, and agricultural loans 21,671 + 65 +1,500 Loans to brokers and dealers for purchasing or carrying; U. S. Government obligations 184 +21 41 Other securities 1,232 + 9k + 279 Other loans for purchasing or carrying: U. S. Government obligations 128 - 4 + 5 Other securities 639 - 3 + 72 Real estate loans 5,890 +15 + 275 Loans to banks 826 +134 + 272 Other loans 6,670 +62 + 768 U. S. Government securities - total 31,579 -106 + 701 Treasury bills 2.513 - 61 - 198 Treasury certificates of indebtedness 2,617 -453 - 151 Treasury notes 6,328 +387 + 62 20,121 +21 + 988 U. S. bonds Other securities 7.514 - 37 + 813 Reserves with Federal Reserve Banks 14,690 -460 - 154 Cash in vault 875 - 57 + 2 0 Balances with domestic banks 2,386 -255 - 61 L I A B I L I T I E S Demand deposits adjusted 52,317 + 43 +1,800 Time deposits except Government 17,146 + 46 +1,186 U. S. Government deposits 3,748 -916 89 Interbank demand deposits: Domestic banks 10,434 - 88 + 206 Foreign banks 1,323 +22 + 9 1 Borrowings 1,055 +352 + 605 Debits to demand deposit accounts, except interbank U. S. Government accounts, during week Digitized for and FRASER 29,997 H.4.2(a) ^gpTrrrg AND LIABILITIES OF WEEKFjY R1PGRTIKG 1GMBER BANKS IN LEADING CITIES ^ Og tcbev- -1. , 1952 . — — — — — — —F e- d e r a 1 Dn i4 sct+r-wi c t IR e s e r v e Total San New Chicago St. Minne- Kansas Phila- Cleve- RichAll Dallas Atlanta Boston Francisco City apolis Districts York delphia land mond V Louis A S S E T S total Loans and investments Loans - net# Commercial, industrial, and agr'l loans Loans to brokers and dealers for purchasing or carrying: U. S. Government obligations Other securities Other loans for purchasing or carrying: U. S. Government obligations Other securities Real estate loans Loans to banks Other loans U. S. Government securities - total Treasury bills Treasury certificates of indebtedness Treasury notes U. S. bonds Other securities Reserves with Federal Reserve Banks Cash in vault Balances with domestic banks Other assets - net L I A B I L I T I E S Demand deposits adjusted Time deposits except Govt. U. S. Government deposits Interbank demand deposits: Domestic banks Foreign banks Borrowings Other liabilities CAPITAL ACCOUNTS Debits to demand deposit accounts, except interbank and U. S. Govt, accounts (In millions of dollars) 2,822 10,543 5,356 3,109 1,139 2,434 1,295 3,975 2,628 601 656 1,424 75,773 3,375 23,750 2,956 21,671 1,035 8,423 853 184 1,232 4 10 102 970 2 37 24 34 128 639 4 29 249 772 2 11 36,680 5,890 826 6,670 31,579 2,513 2,617 6,328 20,121 7,514 14,690 875 2,386 1,452 1,634 21 270 9 312 1,449 82 12,642 601 1,703 8,596 670 1,490 29 145 13 438 1,105 53 327 1,573 6,026 80 162 810 292 576 60 98 90 2,512 361 5,415 193 137 561 534 46 134 52,317 17,146 3,748 10,434 1,323 1,055 2,053 7,100 2,655 558 171 311 17,439 2,854 1,378 3,160 1,077 352 1,141 2,284 437 149 425 15 27 42 347 29,997 1,157 135 208 1,024 33 25 69 377 2,655 56 2,502 1,303 692 2 2 11 35 118 2 7 13 64 68 254 438 81 13 400 358 2,417 1,574 194 189 148 311 291 535 941 1,382 240 505 15 28 91 3 353 1,423 118 228 364 713 23 59 510 33 641 5,521 412 501 1,248 3,360 1,047 5 14 259 25 315 573 75 173 55 536 42 217 59 2,187 110 329 456 3,681 2,340 7,001 2,839 587 1,692 45 149 112 840 1,542 492 114 60 528 173 459 9 77 34 263 2,067 557 128 598 9 45 42 230 1,803 1,060 . 920 4,010 898 87 146 81 1,451 291 515 8 34 6 630 260 96 1,005 1,358 639 344 2 2 7 124 1 168 570 3,119 1,305 838 3,048 1,651 1,116 13,835 7,173 3,061 1 7 11 10 19 7 17 177 11 258 1,494 10 56 124 6 578 42 77 2,119 137 257 275 7,884 6,130 430 555 109 128 398 989 3,478 2,176 464 134 35 217 860 251 74 352 4 33 24 113 2 83 58 253 2,388 483 119 784 9 44 38 288 840 491 1,035 984 194 32 130 32 691 3 58 197 311 703 320 574 37 280 52 892 30 1,380 283 169 609 2,726 344 1,228 163 154 193 718 169 35 58 122 355 149 244 14 77 18 99 128 7 27 408 5,197 215 350 1,152 3,480 1,465