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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.




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