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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