The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
H.4.2 BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) October 9# 1957 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 2; Increases of $1,117 million in holdings of U, S. Government securities and $1,833 million in U. S. Government deposits, and a decrease of $773 million in demand deposits adjusted. Commercial and industrial loans decreased in most districts and a total of $82 million at all reporting member banks; the principal decreases were #38 million in Chicago, $15 million in New York City, and $11 million in the Dallas District. Changes according to industry appear in another press release. Loans to brokers and dealers for purchasing or carrying U, S. Government and other securities increased $273 million. "Other" loans increased $33 million. Holdings of Treasury certificates of indebtedness increased $226 million. Treasury notes $891 million, and U, S» Government bonds $109 million, reflecting the sale of new Treasury issues. Holdings of Treasury bills decreased $109 million. Demand deposits adjusted decreased $285 million in New York City, $156 million in the San Francisco District, $88 million in the Chicago District, and by smaller amounts in all of the other districts. Time deposits increased v62 million, of which $39 million was in the San Francisco District, Demand deposits credited to domestic banks increased $385 million. Borrowings from Federal Reserve Banks decreased $77 million and borrowings from others decreased $15 million. Loans to banks increased $2 million. Oct. 2, 1957 Increase or decrease since Oct. 3, Sept. 25, 1956 . . . 19572L a s s e t s +1,340 + 231 82 + 5 +2,243 +2,765 +2,514 32 + + + + 273 4 2 33 + + 91 112 67 556 25,654 1,197 1,732 4,559 18,166 7,681 +1,117 - 109 + + 325 711 779 + + 891 109 8 - 777 197 Loans to banks Reserves with Federal Reserve Banks Cash in vault Balances with domestic banks 1,189 13,325 953 2,385 + + - 2 197 72 3 + 229 + - 302 26 122 Demand deposits adjusted Time deposits except U, S, Government U, S, Government deposits Interbank demand deposits: Domestic banks Foreign banks Borrowings: From Federal Reserve Banks From others 54,015 23,900 4,189 10,737 1,696 595 841 - 773 + 62 +1,833 + 385 - 900 + + + 994 243 136 307 175 Loans and investments adjusted Jl/ Loans adjusted l/ Commercial and industrial loans Agricultural loans Loans to brokers and dealers for purchasing or carrying securities Other loans for purchasing or carrying securities Real estate loans Other loans 87,898 54,563 31,885 446 U, S. Government securities — total Treasury bills Treasury certificates of indebtedness Treasury notes U, S, bonds Other securities 2J * 2,021 1,118 8,727 11,427 + 226 + 81 - 77 15 -1,038 +1,860 Exclusive of loans to banks and after deduction of valuation reserves; individual loan items are shown gross, September 25 figures revised. ASSETS AMD LIABILITIES OF WEEKLY REPORTING MEMBER BANKS HI LEADING CITIES, OCTOBER 2, 1957 1 F e d e r a l R e s e r v e D i s t r i c t Total San St. Minne- Kansas RichPhila- CleveNew All Dallas Francisco Atlanta Chicago Louis Boston mond land delphia York Districts (In millions of dollars) A S S E T S 11,848 2,727 1,548 3,379 3,979 17,579 3,4l6 3,483 87,898 3,867 26,536 3,273 6,263 Loans and investments adjusted l/ 6,728 1,652 938 1,821 2,449 10,761 1,914 1,923 2,579 17,875 2,255 3,668 54,563 Loans adjusted l/ 4,554 844 494 4,254 977 1,474 1,032 919 1,561 12,643 1,216 1,917 31,885 Commercial and industrial loans 243 23 10 17 95 6 19 2 9 1 8 13 446 Agricultural loans H.4.2(a) Loans to brokers and dealers for purchasing or carrying securities Other loans for purchasing or carrying securities Real estate loans Other loans 2, ©21 1,118 8,727 11,427 34 1,282 59 120 60 41 244 30 8 25 19 99 18 367 649 386 140 787 766 34 346 590 50 176 639 179 810 1,388 24 280 8 178 248 27 1,187 2,749 36 200 804 286 155 193 435 628 61 3,917 2,049 6,446 402 249 1,188 4,607 2,215 788 35 86 106 2,001 71 83 528 1,319 594 1,300 40 120 184 1,201 79 136 212 774 301 4,076 87 178 851 42 64 1,230 74 104 286 562 224 1,249 91 130 215 813 281 5,109 185 3,115 1,044 453 34 36 91 292 157 33 24 937 98 160 104 45 537 79 176 84 36 478 50 28 403 34 142 45 1 219 15 76 31 20 533 39 300 76 72 1,853 114 254 149 482 U. S. Government securities - total Treasury bills Treasury certificates of indebtedness Treasury notes U. S. bonds Other securities 25,654 1,197 1,732 4,559 18,166 7,681 950 57 48 127 718 338 Loans to banks Reserves with Federal Reserve Banks Cash in vault Balances with domestic banks Other assets - net 1,189 13,325 953 2,385 2,742 28 513 60 98 113 622 4,532 216 158 1,295 54,015 23,900 4,189 2,887 627 176 17,007 4,854 1,551 2,279 533 2,470 787 2,208 788 128 7,041 3,307 548 1,582 851 2,208 599 121 333 84 628 181 3,957 1,857 294 10,737 358 29 3,033 1,407 459 21 541 9 504 8 718 10 1,740 47 697 4 595 841 3,045 3 1 132 466 97 454 1,603 30 87 25 59 6 68 178 23 105 17 15 70 92 190 52 711 350 338 561 230 508 49 87 99 956 260 267 696 L I A B I L I T I E S Demand deposits adjusted Time deposits except U. S. Government U. S. Government deposits Interbank demand deposits: Domestic banks Foreign banks Borrowings: From Federal Reserve Banks From others Other liabilities C A P I T A L A C C O U N T S l/ Exclusive of loans to banks and after 1 1,696 9,474 3,353 53 77 416 183 183 8 1,147 293 shown gross. 766 328 498 743 3,683 1,709 46 436 178 247 2,186 153 231 507 2,570 1,009 151 212 8,955 8,578 377 4 883 2 907 520 137 33 24 34 55 1 43 12 150 36l 1 138 579 1,435 61 33 626 18 24 92 454 560