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WEEKLY* CONDITION REPORT OF URGE COMMERCIAL BANKS I N NEW YORK AND CHICAGO* H.4.3 f.HANfiF SIh&£ 3F DOLLARS! A S S E T S 94,070 TOTAL LOANS AND INVESTMENTS, FEDERAL FUNDS SOLD AND SECURITIES 4,427 PURCHASED UNDER AGREEMENTS TO RESELL—TOTAL 2,080 COMMERCIAL BANKS BROKERS AND DEALERS INVOLVING U. S . TREASURY SECURITIES 1,231 4 INVOLVING OTHER SECURITIES 1,112 OTHERS " ,, , 70,334 OTHER LOANS * 34,552 COMMERCIAL AND INDUSTRIAL LOANS 164 AGRICULTURAL LOANS LOANS TO BROKERS AND DEALERS FOR PURCHASING OR CARRYING—U. S . TREASURY SECURITIES 2,200 OTHER SECURITIES 4,777 OTHER LOANS FOR PURCHASING OR CARRYING— U . S . TREASURY SECURITIES 25 OTHER SECURITIES 342 LOANS TO NON-BANK FINANCIAL INSTITUTIONS SALES FINANCE, PERSONAL FINANCE, ETC. 2,513 OTHER 4,895 REAL ESTATE LOANS 8,986 LOANS TO DOMESTIC COMMERCIAL BANKS 669 LOANS TO FOREIGN COMMERCIAL BANKS 2,765 CONSUMER INSTALMENT LOANS 4,345 LOANS TO FOR. GOVTS., OFFICIAL I N S T S . , ETC. 323 OTHER LOANS 3,778 LOAN LOSS RESERVE AND UNEARNED INCOME ON LOANS 1,645 TOTAL OTHER LOANS, NET 68,689 U. S. TREASURY SECURITIES—TOTAL 11,106 TREASURY BILLS 2,251 TREASURY CERTIFICATES OF INDEBTEDNESS TREASURY NOTES AND U . S . BONDS MATURING— WITHIN 1 YEAR 1,199 1 YEAR TO 5 YEARS 6,569 AFTER 5 YEARS 1,087 OTHER SECURITIES—TOTAL 9,848 OBLIGATIONS OF STATES AND POLITICAL S U B D I V I S I O N S TAX WARRANTS AND SHORT-TERM NOTES AND BILLS 745 ALL OTHER 6,996 OTHER BONDS, CORPORATE STOCKS, AND SECURITIES PARTICIPATION CERTIFICATES I N FED. AGENCY LOANS 425 ALL OTHER (INCLUDING CORPORATE STOCKS) 1,682 CASH ITEMS I N PROCESS OF COLLECTION 16,670 RESERVES WITH FEDERAL RESERVE BANKS 4,154 CURRENCY AND COIN 955 BALANCES WITH DOMESTIC BANKS 8,037 INVESTMENTS IN SUBSIDIARIES NOT CONSOLIDATED 1,591 OTHER ASSETS 27,228 TOTAL A S S E T S / L I A B I L I T I E S 152,705 +4,021 4,550 36,735 982 •3,427 277 -1,098 2,304 844 2,080 1,244 469 908 245 142 438 2 381 • 2,251 76 2 792 >4 664 1,910 778 44 792 456 88 44 25,785 13,061 176 633 199 3 •3,213 / •2*015 / ' 20/ • • i^V •1,521 694 154 317 16 1,512 15 314 199 *78 3 14 30 13 306 6 7 26 146 157 9 79 118 32 •2 ,283 • 1,944 • I ,180 246 323 173 108 427 363 68 361 73 1,837 994 856 1,270 2,496 2,771 138 264 1,611 54 2,097 460 25,325 3,851 1,593 14 52 11 10 6 5 1 39 18 651 589 624 141 263 597 22 11 394 19 357 32 • 3 1,181 612 +' 183 52 518 298 71 324 470 8 1,403 417 1,627 214 5,479 90 30 25 231 - 1 66 79 1,030 669 3,337 98 33 19 106 4 • 3 ,982 - 1 ,207 70 • 1,840 20 • 1, 2 6 4 • 9,850 212 240 3,874 1,745 114 2,629 393 8.674 +21,979 131 1,342 2,529 1,309 213 230 184 3,717 44,917 26 74 200 717 17 244 2 479 685 26 462 547 641 41 22 29 143 •4,806 * 131 21 482 284 29 613 L I A B I L I T I E S DEMAND DEPOSITS - TOTAL INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS STATES ANO POLITICAL SUBDIVISIONS U . S . GOVERNMENT DOMESTIC INTERBANK — COMMERCIAL MUTUAL SAVINGS FOREIGN—GOVTS., OFFICIAL INSTITUTIONS, ETC. COMMERCIAL BANKS CERTIFIED ANO OFFICERS CHECKS TIME AND SAVINGS DEPOSITS—TOTAL 11) SAVINGS DEPOSITS INDIVIDUALS AND NONPROFIT ORGANIZATIONS PARTNERSHIPS AND CORPORATIONS FOR PROFIT ( 2 ) DOMESTIC GOVERNMENTAL UNITS ALL OTHER ( 3 ) TIME DEPOSITS-TOTAL ( 1 ) INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS STATES AND POLITICAL SUBDIVISIONS DOMESTIC INTERBANK FOREIGN—GOVTS., OFFICIAL INSTITUTIONS. ETC. FEDERAL FUNDS PURCHASED AND SECURITIES SOLD UNDER AGREEMENTS TO REPURCHASE BORROWINGS—FROM FEDERAL RESERVE BANKS FROM OTHERS OTHER L I A B I L I T I E S (INCLUDING L I A B I L I T I E S DUE TO OWN FOREIGN BRANCHES) TOT. EQUITY CAPITAL, SUBORDINATE NOTES/DEBENTURES 55,996 27.645 442 656 14,084 586 1,401 5,040 6,142 45,289 10,012 9,316 485 200 11 35,277 26,859 1,690 1,444 4,600 • 6 ,537 855 121 219 • 2, 8 0 4 187 261 585 • 2 ,917 189 39 43 7 5 6 228 • 112 • 11 89 255 23,335 +2 , 8 3 8 2,893 388 1.029 127 44 12,262 12,930 - 375 99 1,821 977 1,904 3,049 140 51 72,012 92,966 24,586 - 3,262 3,671 476 26,483 35,813 5,904 • 1,062 • 1,882 88 • 3 ,294 •3 ,295 170 4.812 4,197 3,585 612 615 746 131 12,679 9.726 6,712 3.014 2,953 1,978 975 18 2 10 8 16 62 46 • 2 ,709 • 2,574 • 2,143 431 135 131 4 • • 6,920 104 17 527 2,995 64 536 841 2,078 3,678 936 574 76 220 66 4.614 4,028 407 601 862 10,865 7,574 274 241 2,191 2 15 192 376 18,890 3,550 3,374 163 13 673 71 60 59 326 + 2 5 164 32 28 32 5 1 4 31 66 • 2 ,350 374 167 125 62 15,340 11,338 1,499 1,001 1,393 4 56 95 11 50 •2 ,724 •2 ,284 208 51 180 7,554 10,082 113 • 1, 0 1 8 7 53 • • 712 271 13 195 140 486 194 M E M O R A N D A TOTAL LOANS, GROSS ADJUSTED ( 4 ) TOTAL LOANS ANO INVESTMENTS, GROSS ADJUSTED ( 4 ) DEMAND DEPOSITS ADJUSTED ( 5 ) TIME DEPOSITS ISSUED IN DENOMINATIONS OF S100,OOO OR MORE—TOTAL NEGOTIABLE TIME CERTIFICATES OF DEPOSIT TO INDIVIDUALS, PARTNERSHIPS, AND CORPS. TO OTHERS ALL.bTHER TIME DEPOSITS TO INDIVIDUALS, PARTNERSHIPS, AND CORPS. TO OTHERS 111 <21 (3) <4) 15) * 30,332 24,504 17,444 7,060 5,828 4,625 1,203 •2,926 • 4 ,941 468 234 233 64 297 1 49 50 + + INCLUDES TIME DEPOSITS OF U . S . GOVERNMENT AND FOREIGN COMMERCIAL BANKS NOT SHOWN SEPARATELY. OTHER THAN COMMERCIAL BANKS. DOMESTIC AND FOREIGN COMMERCIAL BANKS. AND OFFICIAL INTERNATIONAL ORGANIZATIONS. EXCLUSIVE OF LOANS ANO FEDERAL FUND TRANSACTIONS WITH DOMESTIC COMMERCIAL BANKS. ALL DEMAND DEPOSITS EXCEPT U . S . GOVERNMENT AND DOMESTIC COMMERCIAL BANKS. LESS CASH ITEMS I N PROCESS OF COLLECTION. REVISED. $$ PRELIMINARY. v'