The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
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