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BOARD or GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) July 11, I9L6 H.U.3 CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES (In millions of dollars) Chicago New York City Increase or " Increase or decrease since decrease since I July July 11, J u l y 3 , Tu&y 3, July 11, 10, 19U5 19^6 I9L6 19L5 I 19U6 ASSETS Loans and Investments - total Loans - total 20,617 "353 " 5,893 +107 - Commercial, industrial, and agricultural loans 2,933 Loans to brokers and dealers for purchasing or carrying: 1,105 U. S. Govt, obligations 513 Other securities Other loans for purchasing or carrying1 U99 U. S, Govt, obligations 205 Other securities 63 Real estate loans 97 Loans to banks U78 Other loans 2 5#133 - 3U - 639 2UU | 1,276 - 10 + 29 ,U35 11 + 137 - 18 + - 1 66' - 1 + 32 706 813 +151 235 171 89 69U lib 2 hh + 81 98 + U6l 178 1,790 1U6 + U26 258 1,915 + 20 35U 299 10 3 3 1,052 22U 3,679 - 10 - 20 - 3 - hi + U 25 1+6 + + -328 Treasury b i l l s Treasury cert, of indebt, Treasury notes U. S, bonds Obligations guaranteed by U. S. Government Other securities U7 2,861 1»U37 9,327 Reserve with **. R. Banks Cash in vault Balances with domestic banks Other assets - net 3,732 10U 25 295 + Uo + 5 1 + 2 + + lli,266 1,239 2,685 -108 + + -111 - 23 + 2 1 1,051 + 5 2 - 3 1 U2 17 - 126 + lit + 19 + 10 10 - - ~k + 5 850 38 173 38 + + + 9 11 k 1 + - I4.2 3 30 3,195 - 21 1,016 <+ 3h 3 l - 51 206 Loo 16 L I A B I L I T I E S Demand deposits adjusted Time deposits U. S. Government deposits Interbank depositsj Domestic banks Foreign banks Borrowings Other l i a b i l i t i e s CAPITAL ACCOUNTS 2,975 1,111 105 U-19 1.973 Debits to demand deposit accounts, except interbank and U.S.Govt* accounts, during week 5,976 - 7 - 91 - 68 - 3h + 1 + + + + 168 181 82 56 126 801 670 + - 59 118 1 20 726 1,112 + 25 25. + 1 79 13 37 392 1,086' k + 4- 3 31