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statistical

r el eas e

For immediate release1'
August 13, 1964
H.4.3
iQQTO^^IiqgXWEEKLY REPORTING MEMBER BANKS IN NEW YORK AND CHICAGO
Chicago
New York City
Change since
Change since
Aug.
Aug.
LIBRARY
12, Aug. 5, Aug. 14, 12, Aug. 5, Aug. 14,
1964 1964
1964 1964
1963
1963
(In millions of dollars)
ASSETS
Total loans and investments
10,074 + 18 +485
3^,511 -131 +2,730
Loans and investments adjusted l/
9,858 + 32 +442
33,673 -4o4 +2,755
Loans adjusted l/
23,150 -316 +2,782
6,3^9 + 35 +633
Commercial and industrial loans
12,259 - 9 +1,077
3,38l + 27 +261
+
2
18
Agricultural loans
- 5
23 - 1
Loans to brokers and dealers for purchasing
106 + 6 + 74
or carrying: U. S. Govt, securities
567 -173 + 328
Other securities
1,860 - 51 + 133
331 + 18 + 57
Other loans for purchasing or carrying:
12
U. S. Govt, securities
l4
+
3
- 7
-- + 52
606 + 7 + 77
Other securities
282
Loans to nonbank financial institutions:
8
12 + 44
508
Sales finance, personal finance, etc.
1,371 - 99
2 + 36
Other
+
837 + 18 + 240
331
Loans to foreign banks
636 + 8 + 272
105
3 + 28
Real estate loans
2,083 - 2 + 298
453 + 4 + 24
3,462 - 15 + 353
Other loans
6 + 91
1,032
838 +273 - 25
i4 + 43
216
Loans to domestic commercial banks
-272
1,854 + 1
U. S. Government securities - total
5,333 - 75 - 35
-- - 22
Treasury bills
1 ,381 - 84 + 637
365
---- - 328
-- -127
Treasury certificates of indebtedness ’
Treasury notes and U. S. bonds maturing:
661 + 25 + 232
Within 1 year
197 + 9 - 40
1,870 + 6 - 590
-263
1 to 5 years
675 + 1 1
1,421 - 22 + 14
After 5 years
19 +180
617
8
4 + 81
5,190 - 13 +
Other securities
1,655
3,236 -298 + 353
Reserves with F. R. Banks
39 - 1 8
939
+ 21
58 + 4 + 8
Currency and coin
265 + 1 1
Balances with domestic banks
142 + 60 + 46
131 + 17 - 7
-- + 57
2,482 + 39 + 103
Other assets - net
279
Total assets/liabilities
45,307 + 43 +3,376
12,523 +143 +531
LIABILITIES
Demand deposits adjusted 2/
15,577 -222 + 397
3,891 - 24 - 64
Demand deposits - total 37
24,137 - 59 + 525
6,490 + 91 - 9
Individuals, partnerships, and corporationsl6,310 + 33 + 44
4,487 +l4l + 25
States and political subdivisions
4 - 86
347 + 91 + 103
287
i,o4i -109 + 24
U. S. Government
29 - 3
297
2,8h8 - 90 - 19
Domestic interbank: Commercial
1,260 + 1 + 52
304 - 29 +
6
- 1
1
1
Mutual savings
554 - 61 + 105
12 + 1 + 3
Foreign: Govts., official insts., etc.
862 - 16 + 80
47 + 2 + 2
Commercial banks
Time and savings deposits - total 4/
12,822 + 30 +2,420
4,456 + 9 +595
Individuals, partnerships, and corporations
+ i44
*4,488 + 1 1
Savings deposits
2,885 + 5 +244
Other time deposits
*<•,931 - 22 +1,516
1,073 + 2 +185
4o4 + 9 + 68
-- + 67
States and political subdivisions
203
258 - 1
+ 6
+ 138
Domestic interbank
17
2,590 + 31 + 532
Foreign: Govts., official insts., etc.
265 + 2 + 91
81 + 1
Commercial banks
+ 10
8
+ 3
NA
Memo: Negotiable Time CD’s included above
4,394 + 9
NA
983 + 4
8 - 22 +
16
- l4
6
Borrowings: From F. R. Banks
5
281 + 56 - 5^
1 ,3^5 + 50 + 175
From others
2,750 + 38 - 71
229 + 4 - 33
Other liabilities
CAPITAL
ACCOUNTS
1,061
4,245 + 6 + 322
1 + 46
l/ Exclusive of loans to domestic commercial banks and after deduction of valuation
reserves; individual loan items are shown gross. NA Not available.
2/ Includes all demand deposits except those of U. S. Government and domestic commercial
banks, less cash items in process of collection.
3/ Includes certified and officers checks not shown separately.
%/ Includes time deposits of U. S. Government and postal savings not shown separately.




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