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Federal R ec~rve Bank , H.4.3 For release of San Francisco July l, 1965 CONDITION OF WEEKLY REPORTING MEMBER BANKS IN NEW YORK AND CHICAGO jUL 6 1965 New York City Chicago June Change since Change since June 23 , July 1, 30, June 23, July 1, 1964 1964 1965 1965 1965 1965 (In millions of dollars) June 30, 1 i b r a r y A S S E T S Total loans and investments 40,4^5 Loans and investments adjusted l/ 110,153 Loans adjusted l/ 29,5V* Commercial and industrial loans 15,759 Agricultural loans 15 Loans to brokers and dealers for purchasing or carrying: U. S. Govt, securities 796 Other securities 2,838 Other loans for purchasing or carrying: U. S. Govt, securities 17 Other securities 53^ Loans to nonbank financial institutions: Sales finance, personal finance, etc. 1,775 Other 993 Loans to foreign banks 821 Real estate loans 2,600 Other loans 4,006 Loans to domestic commercial banks 312 U. S. Government securities - total M57 1,038 Treasury bills — Treasury certificates of indebtedness Treasury notes and U. S. bonds maturing: Within 1 year 604 1 to 5 years 1,1*55 1,560 After 5 years Other securities 5,952 Reserves vith F. R. Banks l*,199 Currency and coin 289 Balances vith domestic banks 192 Other assets - net 2 ,851* Total assets/liabillties 55,272 + 858 +1,573 +1,316 + 259 1 + + +5,039 +5,532 +5,531 +3,1*87 11 318 + 357 + 261 512 „ + 20 + + 111 49 4 + + + + 32 18 715 288 336 — + + + + + + - 8 7,583 4,l4l 28 82 4oi +301 +346 +240 + 77 - 1 +1,115 +1,1**7 +1,108 + 782 + 2 + 27 + 68 + 78 29 + 63 „ 10 69 342 - 47 662 351* + 55 + 8 -+ 3 + 4 - 45 +111 169 204 591 533 1*93 817 342 — - 250 29 - 915 2 + 690 31 + 818 + 452 + 362 - 11,327 11,216 17 154 537 1,139 111 1,873 1*57 +138 + + + + + + + — — 180 633 603 1,760 1 ,051* 1 + + - 8 1 36 5 56 -- 34 + 30 4 80 18 52 96 119 32 3 59 — 49' - 284* + 277 + 36 26 . + 15 47 + 95 +1,213 l + 62 + 119 + 3,267 + 24 + • 109 + 303 +7,031 70 119 404 14,080 +326 + 149 +2,709 + 816 + 125 + 290 + 493 + 104 + 6l + 3 42 + 35 +2,167 + 778 + 57 + 452 + 486 + 18 + 40 + 35 +3,862 1*,065 7,098 1*,692 284 708 1,219 2 15 61 5,H7 + 85 +277 +217 - 68 + 44 + 63 + 1 - 3 + 11 + 37 + + + + + 30 + 558 +2,556 26 + 140 3,201 1,439 184 + 26 + 17 - 8 + + - + 208 + 341 + 44 +2,432 + 237 - 655 + 719 9 L I A B I L I T I E S Demand deposits adjusted 2/ 15,897 Demand deposits - total 37 29,447 Individuals, partnerships, and corporations 17,538 States and political subdivisions 459 U. S. Government 2,538 Domestic interbank: Commercial 3,739 378 Mutual savings 606 Foreign: Govts., official insts., etc. Commercial banks 941 Time and savings deposits - total 4/ 16,247 Individuals, partnerships, and corporations Savings deposits 5,018 Other time deposits 7,19l* States and political subdivisions 532 426 Domestic interbank 2,856 Foreign: Govts., official insts., etc. Commercial banks 135 Memo: Negotiable Time CD's included above 6,438 250 Borrowings: From F. R. Banks 1,068 From others 3,352 Other liabilities + - 59 + + + 9 23 1 81 250 6 + 61 263 1 7 1,276 111 309 310 + + + — + 3 - 1 + 13 +111 - 95 - 10 + + + + + + 108 320 242 46 121 30 — 4 l4 680 338 336 17 8 23 9 290 5 11 119 + 6 + 78 1,135 l/ Exclusive of loans to domestic commercial banks and after deduction of valuation reserves; individual loan items are shovn 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 shovn separately. %/ Includes time deposits of U. S. Government and postal savings not shovn separately. C A P I T A L A C C O U N T S 4,908 + 295 + 701