View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

H.4.3

BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
(For Immediate Release)
July 28, i960
CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES
Chicago
New York City
July
July
Change since
Change since
27, July 20, July 29,
27, July 20, July 29,
i960
i960
I960
I960
1959
1959
of
dol]
(In millions
Lars)

A S S E T S
Total loans and investments
Loans and investments adjusted l/
Loans adjusted l/
Commercial and industrial loans
Agricultural loans
Loans to brokers and dealers for
purchasing or carrying:
U. S. Govt, securities
Other securities
Other loans for purchasing or
carrying: U. S. Govt, securities
Other securities
Loans to nonbank financial
institutions:
Sales finance, personal
finance, etc.
Other
Loans to foreign banks
Loans to domestic commercial banks
Real estate loans
Other loans
U. S. Government securities - total
Treasury bills
Treasury cert, of indebtedness
Treasury notes and U. 8. bonds
maturing:
Within 1 year
1 to 5 years
After 5 years
Other securities
Reserves with F. R. Banks
Currency and coin
Balances with domestic banks
Other assets - net
Total assets/liabilities

25,746
25,142
17,129
10,319
5
149
837
29
339

+

-

-

-

+

-

1,603 308 432 ~
6o4 +
857 2,661 +
5,891
1,161
358

_
-

57 3,413 902 +
2,122 +

129 324 212 +
43 +
-+
in
30
1
7

6
11
1
453
6
3

387
408
554
611
4
154
396

-

15
68

-

+
+
+
+

7,649
7,606
4,659
2,787
18

—

—

21 155 +
16
160

+

154 —
100 8 +

718
121
107

2,163 +
321 59 +

24
23 +
1
42 -

300
37
44i
244

1,384 +
351 784 +

+

946 —
38
137
127 +
9,662 -

-

-

9
49
- -

530 69 38 43 +
266 738 +

.

277
+ 264
51 + 505
15 + 290
+
4
+

27 4 +

-

267
23
37
21
63
200

+

-17

+

kQ

1 +

1

+

73
6
21
13
13
81

11
1
1
17
2
3

-

+
+
+
+

27 - 239
9 + 166
1 - 136
--

-

43
8
24

-

59
1
209
2

201
1
10
11 8 +
27
301 + 126

267

3,937
152 +
54 l, 588 +
34,939 -

195
1
7
26
4l8

+

203
6
6
396
664

15,042 +
1,258 -

231 112 +

650
27

4,235 +
368 -

67 24 +

261
86

2,978 1,027 ~
998 +
2/ 3,552

+

201
78
401
+
46
38
+
90
+ 884

1,126 42 50
1,887
4
199 +
159 +

52 +
1 +
-+
—
270 44 +
5 +

49
2
18
64
34
92
44

—

38

+

+

+

+

• -

-

+

L I A B I L I T I E S
Demand deposits adjusted
U. S. Government demand deposits
Interbank demand deposits:
Domestic banks
Foreign banks
Time deposits: Interbank
Other
Borrowings: From F. R. Banks
From others
Other liabilities
CAPITAL

A C C O U N T S

159
54
4
39
— —
61
26
950 +
2,242 +
43
+

3,430

-

•

3 +

143

-

827

1/ Exclusive of loans to domestic commercial banks and after deduction of valuation
reserves; individual loan items are shown gross.
2/ Includes savings deposits of $2,234 million, an increase of $1 million from the
previous Wednesday and $80 million from a year earlier.