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H.U.2

BOARfl OF G O V E R N S OF THE FEDERAL RESERVE SYSTEM
(For Immediate Releasfe)
September 2, 1953
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 August 26s An increase
of $659 million in demand deposits adjusted and decreases of $551 million in demand
deposits credited to domestic banks and $27l* million in borrowings*
Commercial, industrial, and agricultural loans decreased $22 million in New
York City and $16 million in Chicagoj the net decrease at all reporting member
banks was $1*9 million. Changes according to industry appear in another press
release* Loans to brokers and dealers for purchasing or carrying securities
decreased $1*8 million. Loans to banks increased $1*3 million.
Holdings of Treasury bills decreased $37 million in the Kansas City District,
$28 million in the Cleveland District, and a total of $59 million at all reporting
member banks. Holdings of Treasury certificates of indebtedness decreased $1*6
million. Holdings of "other securities" increased in nearly all districts and a
total of $92 million at all reporting member banks.
Demand deposits adjusted increased in all districts; the principal increases
were $21*9 million in New York City, $192 million in the Chicago District, and $63
million in the Cleveland District. Demand deposits credited to domestic banks
decreased in all districts.
Borrowings decreased $152 million in New York City, $79 million in Chicago,
and $1*6 million in the Cleveland District.
A summary of assets and liabilities of reporting member banks follows:

Aug.
26,
1953

Increase or
decrease since
Aug 19,
Aug. 27,
1952
19%
(In millions of dollars)

A S S E T S
1*8
1*7
1*6
1*9

+2,861
+3,711
+3,766
+1,783

1*8
10
+ 10
+ 1*3
+ 8

+ 163
57
+ l*6l
32
+
+1,381*

93
59
- 1*6
1*
+ 16
+ 92

- 678
- 320
+1,326
• 651*
-1,030
- 172

Loans and investments «• total
Loans - net
Loans - gross
Commercial, industrial, and agricultural loans
Loans to brokers and dealers for
purchasing or carrying securities
Other loans for purchasing or carrying securities
Real estate loans
Loans to banks
Other loans

79,301
39,687
1*0,309
22,891

U* S. Government securities - total
Treasury bills
Treasury certificates of indebtedness
Treasury notes
U. S. bonds
Other securities

32,005
2,133
L,729
5,388
19,U55
7,609

Reserves with Federal Reserve Banks
Cash in vault
Balances with domestic banks

li*,36i*
957
2,35k

+ 31

53,330
18,623
5,213
9,560
1,21*3
906

+659
- 17
—
21*
-551
- 10
-271*

1,666
735
6,358
651*
8,005

-

-

-

-

82
-

90

+

319
22
68

L I A B I L I T I E S
Demand deposits adjusted
Time deposits except Government
U. S. Government deposits
Interbank demand deposits: Domestic banks
Foreign banks
Borrowings




+ 211*
+1,382
+ 897
- 133
1*6
- 233

H.4.2(a)

A

T S

ASSETS AITD LIABILITIES OF MEEKLY REPORTING MEMBER B A M S IFEEADIITG CITIES. August 26. 1953
R e s e r v e D i s t r i c t
F e d e r a
Total
San
St. Minne- Kansas Dallas
RichPhilaCleverNew
All
Atlanta Chicago
Boston
Francisco
City
apolis
Louis
mond
delphia
land
York
Districts
(In millions of dollars)

Loans and investments - total
Loans - net#
Commercial, industrial, and agr'l loans
Loans to brokers and dealers for
purchasing or carrying securities
Other loans for purchasing or carrying
securities
Real estate loans
Loans to banks
Other loans

79,301 3,574
39,687 1,888
22,891 1,114

24,425
13,479
8,893

3,061
1,686
947

5,718
2,552
1,497

3,170 2*975 11,215
4,463
1,393 1,225
2,866
687
627

2,548
1,332
678

1,421
697
346

3,177
1,320
796

3,216

14,801

1,780
1,157

7,872
3,283

1,666

19

1,283

46

41

14

15

179

9

3

8

11

38

735
6,358
654
8,005

25
305
42
418

248
849
383
2,045

19
158
6
542

72
481
13
498

63
262
28
415

38
91
13
403

113
535
43
809

18
253
35
357

11
135
12
199

22
188
25
293

72
134
15
410

34
2,967
39
1,616

U . S . Government securities - total
Treasury bills
Treasury certificates of indebtedness
Treasury notes
U. S. bonds
Other securities

32,005 1,360
101
2,433
150
4,729
114
5,388
995
19,455
326
7,609

8,578
748
1,131
1,051
5,648
2,368

1,022
39
125
106
752
353

5,650 1,011
70
351
207
847
1,161
195
539
3,291
205
1,102

570 1,526 1,249
168
271
35
205
265
86
176
320
119
700
670
330
187
331
154

5,369
167
760
927
3,515
1,560

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

14,364
957
2,354
1,540

526
67
91
92

5,254
208
124
584

515
49
105
62

961
99
157
91

2,222
124
319
112

440
36
126
34

223
15
76
19

575
48
413
89

2,060
143
258
297

Demand deposits adjusted
Time deposits except Government
U . S . Government deposits
Interbank demand deposits:
Domestic banks
Foreign banks
Borrowings
Other liabilities
CAPITAL ACCOUNTS

53,330
18,623
5,213

2,752
576
205

17,323
3,369
1,988

2,277
467
217

3,860
1,611
349

7,294 1,635
503
3,006
146
889

890
263
119

2,234 2,508
566
508
132
160

8,035
6,535
649

9,560
1,243
906

292
28
13
84
400

2,743
1,011
250
1,140
2,771

371
16
43
47
354

511
7
55
71
562

591
2
43
36
228

312
3
21
27
119

710
16
46
45
318

533
101
171
492
1,043

2,182

2,639 1,545 1,486
167
129
187
238
223
492
359
275
585
722
918
1,375
264
232
527
531
78
174
60

2,359 2,163
572
647
208
151
419
7
54
44
275

7,459
Individual loan items are reported gross, i.e., before deduction of valuation reserves.




488
48
210
59

552
9
46
42
245

1,652
41
114
121
875

569
42
301
41

874
2
50
33
269