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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
H.4.2

(For Immediate Release)

September 23, 1959

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 September 16: Increases of
$617 million in loans adjusted, $446 million in reserve balances with Federal Reserve Banks, $505 million in demand deposits adjusted, $581 million in U.S. Government demand deposits, and $517 million in demand deposits credited to domestic tanks.
Commercial and industrial loans increased $341 million at all reporting member
banks, which included loans for quarterly tax date needs. Loans to nonbank financial
institutions increased $173 million. Real estate loans increased $53 million; other
loans increased $50 million.
Holdings of Treasury bills increased $73 million and holdings of Treasury notes
and U.S. Government bonds decreased $117 million Borrowings of weekly reporting member banks frcm Federal Reserve Banks increased $15 million and borrowings from others decreased $202 million. Loans to
domestic commercial banks decreased $1 million.
Increase or
decrease since
Sept. 9, Sept. 17,
1958
1959
(In millions of dol].ars)

Sept. 16,
1959
A S S E T S
Total loans and investments
Loans and investments adjusted 1/
Loans adjusted 1/
Commercial and industrial loans
Agricultural loans
Loans to brokers and dealers for purchasing
or carrying: U. S. Govt, securities
Other securities
Other loans for purchasing or
carrying: U. S. Govt, securities
Other securities
Loans to nonbank financial institutions:
Sales finance, personal finance, etc.
Other
Loans to foreign banks
Loans to domestic commercial banks
Real estate loans
Other loans
U. S. Government securities - total
Treasury bills
Treasury certificates of indebtedness
Treasury notes and U. S. bonds maturing:
Within 1 year
1 to 5 years
After 5 years
Other securities
Reserves with F. R. Banks
Cash in vault
Balances with domestic banks
Other assets - net
Total assets/liabilities

105, 592
104,137
65,092
29,346
924

+
+
+
+
+

594
595
617
341

6

333
1,609

1)
5)

161
1,240

U3i

4,080
1,569
647
1,455
12,435
14,107

+
+
+
+

28,890
2,312
1,087
1,637
17,225
6,629
10,155
13,267
1,195
3,078
3,133
138,211

160
13
4)
1)
53
50
54
73

10
-

+
+

49)
81)
13)
32

+

+1,986

n.a.
n.a.
n.a.
+ 125

+ 228
+

111
n.a.
n *8. •

+

333

+1,502
n.a.
-5,689
+ 627
-3,343
-2,973
-

182

446*
8*
+ 236
15
+3,272

- 196
+
53
+
25
+ 101
+4,086

+

+ 190
+1,025
- 200
29
- 568
+ 472
+ 149
+ 640

-

L I A B I L I T I E S
Demand deposits adjusted
U. S. Government demand deposits
Interbank demand deposits: Domestic banks
Foreign banks
Time deposits: Interbank
Other
Borrowings: From Federal Reserve Banks
From others

61,129
3, l4l
ll,84i
1,474
1,594
30,678
313
1,878

+
-

+
-

+
-

505
581
517
89
79
50
15
202

reserves; individual loan items are shown gross.
n. a.. - Not available on comparable basis; reporting form revised July 8, 1959 •
Digitized*for FRASER
September 9 figures revised (Atlanta District).


H.4.2(a)

ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER
B A M S IN LEADING CITIES, SEPTEMBER 16, 1959

Boston

Federal Reserve Dis1srict
New
Phila- Cleve- RichAtlanta
York delphia
land
mond

A S S E T S
Total loans and investments
Loans and investments adjusted l/
Loans adjusted 1/
~
Commercial and industrial loans
Agricultural loans
Loans to brokers and dealers for
purchasing or carrying:
U. S. Govt, securities
Other securities
Other loans for purchasing or
carrying: U. S. Govt, securities
Other securities
Loans to nonbank financial
institutions:
Sales finance, personal
finance, etc.
Other
Loans to foreign banks
Loans to domestic commercial banks
Real estate loans
Other loans

4, 311
4,294
2,794
1,4l4
9

31,564
30,915
20,227
10,986
17

3,924
3,912
2,630
1,180
2

2
18

173
1 147

5
24

17
90

2
25

2
32

3
13

43
435

8
58

29
152

12
22

7
71

166
67

l4l
82
10
12
339
861

281
108
54
1,297
1,100

123
98
1
65
365
639

118
123

17
429
736

1,623
331
440
649
2,072
3,459

50
257
821

U. S. Government securities - total
Treasury bills
Treasury cert, of indebtedness
Treasury notes and U. S. bonds
maturing:
Within 1 year
1 to 5 years
After 5 years
Other securities

1. 092
102
52

7. 455
1,003
157

923
60
33

2,620
296
100

1,176
45
53

1,317
110
109

26
647
265
408

351
4,186
1,758
3,233

51
518
261
359

204
1,699
321
855

63
722
293
313

117
750
231
366

Reserves with F. R. Banks
Cash in vault
Balances with domestic banks
Other assets - net
Total assets/liabilities

624
70
118
120
5,690

3,991
252
228
l 347
4l,189

600
65
151
118
5,330

1,063
139
224
142
10,701

490
77
l4o
98
4,819

524
62
357
110
5,884

3,110
148

18,772
875

2,626
163

4,859
279

2,409
128

2,601
127

396
32

3,198
1,154

519
23

6l8
11

537
8

906
11

29
728

1,245
5,910

7
844

2,930

3
827

10
1,055

34
108
129

109
884
1,477

13
85
91

8
177
115

1
16
72

25
24
87

529

3,758

487

958

353

425

- -

8,387 3,549 4,218
8 333 3,484 4,168
4,858 1,995 2.485
1,871
737 l,08l
17
3
7

«• —

— mm

L I A B I L I T I E S
Demand deposits adjusted
U. S. Government demand deposits
Interbank demand deposits:
Domestic banks
Foreign banks
Time deposits:
Interbank
Other
Borrowings:
From F. R. Banks
From others
Other liabilities
C A P I T A L

A C C O U N T S

reserves; individual loan items are shown gross.




H.4.2(b)

ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN
LEADING CITIES, SEPTEMBER l6, 1959 (Cont'd)
(In millions of dollars)
Federal Reserve District
St. Minne- Kansas
Chicago
Dallas

San

A S S E T S
Total loans and investments
Loans and investments adjusted 1/
Loans adjusted 1/
Commercial and industrial loans
Agricultural loans
Loans to brokers and dealers for
purchasing or carrying:
U. S. Govt, securities
Other securities
Other loans for purchasing or
carrying: U. S. Govt, securities
Other securities
Loans to nonbank financial
institutions:
Sales finance, personal
finance, etc.
Other
Loans to foreign banks
Loans to domestic commercial banks
Real estate loans
Other loans
U. S. Government securities - total
Treasury bills
Treasury cert, of indebtedness
Treasury notes and U. S. bonds
maturing:
Within 1 year
1 to 5 years
After 5 years
Other securities
Reserves with F. R. Banks
Cash in vault
Balances with domestic banks
Other assets - net
Total assets/liabilities

14,297
14,189
8,022
3,679
27

2,954
2,880
1,776
705
17

1,675
1,670
1,083
499
22

3,788
3,750
2,243
964
176

4,543
4,513
2,890
1,507
35

22,382
22,029
14 069
4,723
592

45
149

26

U

1
5

34
14

l
12

47
67

24
198

6
22

1
5

9
31

11
180

8
53

758
180
18
108
1,400
1,742

131
86

73
29

149
90

136
125

- -

— —

— <•»

74
292
515

5
202
262

38
325
486

30
219
715

381
250
178
353
5,238
2,771

4,714
288
178

855
72
36

436
6
16

1,173
100
79

1,290
55
51

5,839
175
223

273
2,835
1,140
1,453

58
546
143
249

39
275
100
151

84
709
201
334

4l
846
297
333

330
3,492
1,619
2,101

1,845
152
400
235
18,554

396
38
165
43
4,009

185
16
71
43
2,266

539
45
357
90
5,356

591
51
520
170
6,423

2 417
228
347
617
27,990

7,864
524

1,649
108

858
77

2,402
145

2,709
138

11,270
429

1,942
54

732
3

400

k

946
2

1,043
17

6o4
155

28
4,633

2
671

384

769

8
1,232

262
10,695

84
117
268

1
50
51

15
32
40

7
80
48

3
126
65

13
179
646

1,415

331

180

420

534

1,738

L I A B I L I T I E S
Demand deposits adjusted
U. S. Government demand deposits
Interbank demand deposits:
Domestic banks
Foreign banks
Time deposits:
Interbank
Other
Borrowings:
From F. R. Banks
From others
Other liabilities
C A P I T A L

A C C O U N T S

reserves; individual loan items are shown gross,