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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*