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E.4.3

BOARD OF GOVERNORS OF IBB FEDERAL RESERVE SYSTEM
(For Immediate Release)
June 2, I960
CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES

A S S E T S

New York City
Chicago
Change since
June
Change since
Jtine
May
25, IJune 3,
1*. May 25, June 3,
h
I960
i960
I960
1959
I960 1 1959
(in millions of doU Lars)

Total loans and Investments
25,294
Loans and Investments adjusted 1/
24,517
Loans adjusted l/
17,280
10,464
Commercial and industrial loans
8
Agricultural loans
Loans to brokers and dealers for
purchasing or carrying:
U. S. Govt, securities
134
Other securities
953
Other loans for purchasing or
carrying: U. S. Govt, securities
31
Other securities
324
Loans to nonbank financial
institutions:
Sales finance, personal
finance, etc.
i,44l
Other
339
Loans to foreign banks
473
Loans to domestic commercial banks
777
884
Real estate loans
Other loans
2,640
U* S. Government securities - total
Treasury bills
Treasury cert, of indebtedness
Treasury notes and U. S. 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

5,256
554
350
74
3,433
845
1,981

+
+
+
+

136
248
218
31

423
n.a.
n.a.
n.a.
7

7,346
7,305
4,632
2,808
20

+
+

26
105

56
408

19
139

10
74

17
159

n.a.
89
n.a.
5
2) +
128
112)
2 t *39
n.a.
19

531
67
40
'41
265
706

+
-

-

-

+
-

+

+
+
-

+

20
11
4
12)
35)
20)
10

3,926
152
84
1,422
35,100

32
6
+
19
17
+1,164

l4,506
1,507

+

+
-

-1,323
494
8
—

1,928
64
70

-

61
71
26
13

+ 73
n.a.
n.a.
n.a.
+ 5

- 5
- 16

+ 1
+ 28
** mm

+

+ 2
+ 1)
+ 10)
+

6
36

-

1

9

n.a.
n.a.
+ 55
+ 12
n.a.
-617
-143
-l4l

46$

56
1,308
430
745

2)
34)
+ l)
9

203
14
+
13
+ 230
+1,010

1,001
43
131
118
9,451

+ 30
+ 5
+ 6
+ 70

-122
+ 8
- 6
+ 15
+ 26

876
594

4,043
4ll

-

53
5

-175
+160

372
116
592
223

+ 69

3
3
l
4l
+ 2

- 74
+ 9
+ 10
+ 50
-100
+ 37
+ 17

+

+ 34

-

821

-

+

-

-333
- 42

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
C A P I T A L

A C C O U N T S

3,310
1,027
993
2/3,356

+
+
-

4
46
4o6
46
34
18

+
+

286
4

+
+

224
507

1,078
48
41
1,845
2
188
159

12

+

147

824

-

— —

866
1,895
3,418

-

+

-

+

9

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 $2,185 million, an increase of $1 million from the
previous Wednesday and $39 million from a year earlier.
n.a. - Not available on comparable basis; reporting form revised July 8, 1959*