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