The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
FEDERAL statistical RJ: S E R V E release a c F'or immediate release* February ll, 1963 H.l -3 CONDITION OF WEEKLY REPORTING MEMBER BANKS IN NEW YORK AND CHICAGO Chicago New York City Feb. Change since Feb. Change since 13, 1963 Feb. 6, Feb. 11, 1962 1963 13 , 1963 Feb. 6, Feb. ll, 1962 1963 (In millions of dollars) ASSETS - 95 4- 981* 96 +2, 016 30,991 Total loanB and investments 9,179 170 +1 ,69I 30,257 Loans and Investments adjusted l/ . 9,153 85 +1, 121 4- 662 2 19,llo - 25 +1,527 5,382 Loans adjusted 1/ + 4 - 258 22 n,352 1 2,950 699 Commercial and Industrial loans + 12 1 + -8 Agricultural loans 29 Loans to brokers and dealers for purchasing I52 86 + 26 78 + 1 + 29 or carrying: U. S. Govt, securities 18 + 302 209 4* 10 4- 38 1,379 + Other securities Other loans for purchasing or carrying: —— 1 ll U. S. Govt, securities ll 9 Other securities 11 205 + 6 4- ll 5 399 Loans to nonbank financial institutions: 1,198 4* 51 + 2ll Sales finance, personal finance, etc. 112 16 4- 79 80 4Other 523 - 13 + 251 3 23 -4 296 17 Loans to foreign banks 8 12 3 4* 10I 1,252 + + ll 4“ loo Real estate loans 102 2 1 - 93 4- 130 Other loans 3,120 971* - 1 ~ 137 26 10 Loans to domestic commercial banks 7l + 322 73** + - 11 4- 77 U. S. Government securities - total 6,779 - 126 - 916 2,397 - 39 I90 Treasury bills 2,077 .- ill + 1 I9 55 + + + 508 + 11 Treasury certificates of indebtedness 136 39 5 Treasury notes and U. S. bonds maturing: 4- 157 701 _ 1 _ 535 1 Within 1 year I17 1 -1; 092 91*5 + 6 - 305 2,317 + 1 to 5 years - 8 4* 275 1,176 - 19 + 523 I09 After 5 years 1 ,038 - 19 +1,083 Other securities 1 ,371* - 39 4- 382 - 17 4- 51 Reserves with F. R. Banks 950 3,513 59 - 196 258 4* 13 4- 27 + 4 8 Currency and coin 52 9 4 . 27 + 4 * 101 + Balances with domestic banks 9 31 135 19 2,20I + 35 - 26 2lo + 3 4- 19 Other assets - net 12 ,3Mi- +1,113 +2,1*57 11,707 +298 181 Total assets/liabilities L I A B I L I T I E S Demand deposits adjusted 2/ -122 1,062 130 15,350 375 . 797 2k, 890 + 981 + I52 6,606 +139 4Demand deposits - total 3 / 7 Individuals, partnerships, and corporations 17,018 + 669 - 181 39 1*,739 +206 - 9 4- 27 2V7 - 15 + ll States and political subdivisions 323 + 4- 67 U . 8 . Government 1 278 258 36 959 - 62 Domestio Interbank: Commercial 3,30U + 181 + 366 17 l, 135 -4Mutual savings l l 2 325 - 22 Foreign: Govts., official insts., etc. + l - 2 181 - '-27 + 21 12 Commercial banks -41 722 + 2 ll 5 Time and savings deposits - total 1/ + + + 908 +2, 019 9,323 3,1*93 29 13 Individuals, partnerships, and corporations: Savings deposits + 6 4- 1*93 962 ^,099 + 15 2,1*63 Other time deposits + ll 4- 3l2 2,889 - 27 + 761 820 States and political subdivisions 4* 16 + 12 + 1 8 223 30 Domestic interbank — + _ -— 6 133 17 Foreign:* Govts., official insts., etc. 4- 53 + 1 1,856 + 23 + 255 155 Commercial banks — + 2 2 72 + 12 3 + Borrowings: From F. R. Banks b - 71 - 56 60 4- 53 4- 39 From others 1,388 + 155 + 163 25I 4- 72 4- 81 Other liabilities 4- 86 2,891 + 35' - 261 4- 12 307 C A PITAL A C C O U N T S -- + 113 + 60 987 7 3,81*5 1/ Exclusive of loans to dcmestic commercial banks and after deduction of valuation reserves; individual loan items are shorn gross. 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. — - - -