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board of governors op the federal reserve system (For Immediate Release) July 18, I9U6 H.U.3 CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES (In millions of dollars) New July 17, I9U6 York City Increase or decrease since "July 16, July IB, 19U5 19'46 July 17. 19U6 Chicago Increase or decrease since July 10, July lQr, I9b5 19U6 + A S S E T S Loans and Investments - total Loans - total 20,690 * 73 -2,190 5,213 5# 582 - )11 - Ul9 1,276 Commercial, industrial, and 2,9U2 + agricultural loans 9 Loans to brokers and dealers for purchasing or carrying: 831 „ 271 U. S. Govt, obligations Other securities 111 w 36 Other loans for purchasing or carrying* U, S. Govt, obligations U90 9 202 3 Other securities c-k+ l Real estate loans 8 105 4Loans to banks Other loans kn - 7 Treasury bills Treasury cert, of indebt. Treasury notes U.S. bonds Obligations guaranteed by U. S. Government Other securities 375 2,775 1,412 9.UU9 Reserve with F. R. Banks Cash in vault Balances with domestic banks Other assets - net 3,710 96 29 322 l 1,096 4mm + 328 86 25 122 + 83b + U05 223 80 • 20 1 - + 4- hi Ik 10 207 -1,818 + 31U - U5 w. 22 8 4- 27 + 11 + - + + h - + 33 9 3 3 5 - hk + + -- 97 109 9 19 10 1 f 29 l,ohh 28 9 U35 41,925 + 10 27 160 370 8 175 4- — mm ## + 70 21 h9 ill 61 - U72 + 722 Gil 80 50 358 4* 200 10 5 28 871 37 178 Uo 4- 810 218 3,311 3,239 803 675 4- 19 180 5 1,169 2U 4- 126 388 - + 4- u 21 1 5 2 22 3 16 hh 31 120 L I A B I L I T I E S Demand deposits adjusted Time deposits U. S. Government deposits Interbank deposits« Domestic banks Foreign banks Borrowings Other liabilities CAPITAL ACCOUNTS 11,255 1/239, 2,691 3A9 1,123 89 L29 1,972 Debits to demand deposit accounts, except interbank and U.S.Govt, accounts, during week 7,639 4•f + + - + - 6 Ik 12 16 10 1 - - + 4* + 4- Ik hi 1,508 2 5 44- 57 1 — 4- h h 6L2 + + 13 3 30