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B.4.3 CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES Chicago New York City Change since Change since Jan. Jan. 17; J a n . 10> Jan. 18, 17, J a n . 10, Jan., 18, 1962 1961 1962 1962 1962 1961 (In pillions of dollars) A S S E T S Total loans and investments + 593 8,187 29,171 -139 +2,363 79 Loans and investments adjusted l/ . +2,296 28,637 - 68 4" 589 8,159 76 Loans adjusted l/ 17,984 -338 + 808 4,801 28 + 139 Commercial and industrial loans 10,768 -133 4 174 2,659 95 5 Agricultural loans 4 2 -11 k 23 Loans to brokers and dealers for purchasing or carrying: U. S. Govt, securities 160 -121 2 74 65 + 32 Other securities 201 1,193 -123 4 342 1 4- 43 Other loans for purchasing or carrying; 22 - 1 U. S. Govt, securities 3 14 5 7 + 448 Other securities 98 4188 16 11 Loans to nonbank financial institutions: Sales finance, personal finance, etc. 1,060 + 4? 173 12 409 50 Other 144 455 - 12 240 + 4 4- 153 Loans to foreign banks 151 309 + 6 46 6 39 446 4i Real estate loans 833 41 290 433 43,215 + 6 Other loans 477 4835 92 7 Loans to domestic commercial banks 67 534 - 71 428 4 3 4U. S. Government securities - total 7,664 +224 4. 808 4224 2,337 45 Treasury bills 1,993 +184 4- 643 599 4- 32 4- 379 101 Treasury certificates of indebtedness 451 - 3 88 2 4- 4l Treasury notes and U. S. bonds maturing: 1,090 + 3 + 649 + 127 Within 1 year 263 178 1 to 5 years 3,507 + 31 1,246 255 9 623 + 9 205 After 5 years l4l 68 16 Other securities 2,989 + 46 4- 680 1, 021 4226 53 Reserves with F, R. Banks 3,659 - 7 4 246 l, 045 + 62 4- 39 241 - 17 432 Currency and coin 42 1 43 42 109 + 22 4Balances with domestic banks 108 42 15 2,130 - 66 4- 423 Other assets - net 182 7 4- 46 40,112 +116 +3 ,905 Total assets/liabilities 4- 802 10,563 4- 156 L I A B I L I T I E S Demand deposits adjusted 2/ 16,686 -347 13 4,326 125 19 4Demand deposits - total 3/ 25,204 -183 905 6,729 4- 55 4- 102 n.a. Individuals, partnerships, and corporations 17,84$ + 69 n.a. 4,914 459 States and political subdivisions 289 + 9 51 2 253 13 U. S. Government 72 534 + 15 4 26 129 4Domestic interbank: Commercial n.a. 3,182 -174 1,276 4 n . a. Mutual savings n.a. 368 - 38 2' n .a. Foreign: Govts., official insts., etc. n.a. •483 - 36 12 n .a * Commercial banks n.a. 730 - 67 42 4n.a. 5 Time and savings deposits - total UJ 7,059 + 92 4-1,884 2, 486 4. 15 4* 499 Individuals, partnerships, and corporations: n.a. Savings deposits 3,004 + 19 n.a. 1,912 4* 10 Other time deposits n.a. 2,036 + 43 .a • n 439 47 States and political subdivisions 182 + 19 32 1 13 Domestic interbank n.a. 116 6 n .a. Foreign:' Govts.> official insts., etc. n.a. 1,611 + 2 102 n .a. 2 Commercial banks n.a. 68 n .a. 9 Borrowings: From F. R. Banks 15 + 15 4- 15 61 4- 59 4- 60 From others 1,161 +207 4- 356 4158 4- 39 63 Other liabilities 2,998 - 16 4- 596 204 432 7 C A P I T A L A C C O U N T S 925 3,675 + 1 4- 149 ? 4- 46 - - - - - - - - — - - - - - ; - - - - - - - - / ^ reserves; individual loan items are shown gross. 2/ Includes all demand deposits except those of U. S. Government and domestic commercial banks, less cash items in process of collection. Year-ago comparison excludes change in deposits due to mutual savings banks. 3 / Includes certified and officers checks not shown separately. 7\j includes time deposits of U• S® Government and postal savings not shown separately• n.a. -Not available.