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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM

H.4.3

(For Immediate Release)

July 24, 1958

CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES

(In m i l l i o n s of d o l l a r s )
New York City
Increase or
July
decrease since
23, July l 6 , J u l y 24,
1958
1957
1958

July
23,
1958

Chicago
Increase or
decrease since
J u l y 16, July 24,
1957
1958

ASSETS
7,197
3,614
2,606
6

50
- 16
- 40
- 1

+309
-542
-449
- 1

477
158

68
105

+ 26

1

+ 54
- 25

84
36
7
31

33
120
195
599

2
+ 1
— 1

+ 19
- 1
+ 7
-132

- 45
- 36
+ 31
— 69

+2 ,577
+ 530
+ 142
+ 815

2,863
233
160
559

724
2,170
2,101
2,351

+123
- 59
- 35
+ 40

+
+

+
+

554
273
263
688

857
4,087
136
54
1,238

+ 25
+140
- l
- 3
+ 40

+
+
+
+

15,621
2/5,185
1,204
3,286
1,317

Loans and investments a d j u s t e d l /
Loans a d j u s t e d l /
Commercial and i n d u s t r i a l loans
A g r i c u l t u r a l loans
Loans t o b r o k e r s and d e a l e r s
f o r purchasing or c a r r y i n g :
U. S. Govt, o b l i g a t i o n s
Other s e c u r i t i e s
Other loans f o r purchasing
or c a r r y i n g :
U. S. Govt, o b l i g a t i o n s
Other s e c u r i t i e s
Real e s t a t e loans
Other loans

25,246
14,982
10.607
L

-111
-106
-162

519
1,052

+ 80
- 20

+
+

93
347
557
2,168

t
+
-

+
4*
+

U. S. Government s e c u r i t i e s - t o t a l
Treasury b i l l s
Treasury c e r t , of indebtedness
Treasury notes
U. S. bonds maturing:
Within 1 y e a r
1 to 5 years
After 5 years
Other s e c u r i t i e s

7,913
912
323
1,683

Loans t o banks
Reserves w i t h F. R. Banks
Cash i n v a u l t
Balances with domestic banks
Other a s s e t s - n e t

+2,973
292
973

mm w

3
5
5
7

+

- -

-

-

48
8

-

8

+742
+188
+ 68
+213

194
659
1,058
720

- 2
- 20
- 10
14

+101
-211
+383
+109

8
8
2
7
225

68
1,198
36
176
126

+ 39
5
-+ 6
+ 1

+
+
+

+305
+ 1
-376

+ 249
+1 ,660
+ 490

4,476
1,813
287

+119
—

- 78

+116
+119
+ 82

+ 58
- 18

+
-

412
77

1,301
38

- 51
+ l

+138
- 3

309
1,487

-—
+ 87
+ 29

+
+

-— j
124
43

3
5
120

3,209

+

318

758

-

32
12
3
26
63

L I A B I L I T I E S
Demand d e p o s i t s a d j u s t e d
Time d e p o s i t s except U. S. Govt.
U. S. Government d e p o s i t s
Interbank demand d e p o s i t s :
Domestic banks
Foreign banks
Borrowings:
From F e d e r a l Reserve Banks
From o t h e r s
Other l i a b i l i t i e s
CAPITAL

ACCOUNTS

- «•

4

+

2
1

- 21
- 90
+ 22

+

1

+ 52

•-

-

l / Exclusive of loans t o banks and a f t e r deduction of v a l u a t i o n reserves# i n d i v i d u a l
loan items a r e shown g r o s s .
2 / Inc lu d e s savings d e p o s i t s of $1,940 m i l l i o n , an i n c r e a s e of $3 m i l l i o n from
p r e v i o u s Wednesday and $ 4 l l m i l l i o n from a year e a r l i e r .