View original document

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

r.P

statistical

D

E R A

L

R .7 % E

R V

E

release

For immediate release.
March 21, 1963
OF WEEKLY REPORTING MEMBER BANI IN NEW YORK AND CHICAGO
H.4.3
New York City
Chicago
Change since
Mar.
Mar.
Change since
i-i
20, Mar. 13, Mar. 21,
20, Mar. 13, Mar. 21,
1962
1962
1963
1963. -. 1963
1963
millions
(In
of
dollars)
ASSETS
+394
+2,287
Total loans and investments
31,679 - 5
9,437 - 9
31,012 - 45
+2,134
+
9
+916
Loans and investments adjusted l/ .
9,413
20,110 +101
+1,588
+670
Loans adjusted l/
5,619 + 33
11,658 +267
+ 566
3,065 + 38
+225
Commercial and industrial loans
+
2
28
+ 6
-Agricultural loans
13
Loans to "brokers end dealers for purchasing
+ 229
+ 50
480 -483
105 - 53
or carrying: U. S. Govt, securities
+
1,388
192
22
6
+
9
+ 46
+ 73
Other securities
Other loans for purchasing or carrying:
1
- 1
19 “ 3
15 - 1
U. S. Govt, securities
- 49
217 + 3
+ 27
-397
Other securities
Loans to nohbank financial institutions:
+ 92
458 + 43
+ 382
1,498 +246
Sales finance, personal finance, etc.
2
502
252
+
48
+
11
Other
- 3
-+
2
48
4
299
29
Loans to foreign banks
+
1,336
443
1
+
13
Real estate loans
+103
407
- 129
3,080 - 9
990 - 1
+135
Other loans
24 - 18
- 22
667 + 4o
+ 153
Loans to domestic commercial banks
- 46o
2,420 + 27
- 32
6,545 - 94
U . S . Government securities - total
- 62
570 + 66
1,648 + 17
- 73
Treasury bills
212
-428
-126
369
77 - 85
Treasury certificates of indebtedness
Treasury notes and U. 8. bonds maturing:
_ 994
- W
205 -100
477 -303
Within 1 year
4
101
2,521
967
+350
-245
+
19
1 to 5 years
+456
601 +127
1,687 +270
+ 864
After 5 years
+278
1,374 - 51
+1 ,006
4,357 - 52
Other securities
- 443
- 88
979 + 90
3,475 -io4
Reserves with F. R. Banks
+
44
+
4
23
239 - 7
Currency and coin
22
+
88
20
118
+
26
- 25
Balances with domestic banks
+ 42
237 - 4
48
Other assets - net
2,077 - 80
32
+893
11,707
Total assets/liabilities
+2,452
42,423 -135
L I A B I L I T I E S
. 766
Demand deposits adjusted
- 27
15,402 -673
3,991 -237
-Demand deposits - total ' f
+
+118
138
6,46l - 64
24,737
- 505
Individuals, partnerships, and corporations 16,392 -660
4,444 -248
- 24
States and political subdivisions
- 11
259 - 15
277 - 6l
+ 35
U. 8. Government
- 201
- 18
1,17 0 +501
377 +200
Domestic interbank: Commercial
1,201 + 57
+ 492
+ 30
3,300 +207
Mutual savings
—
—
1
•4- 24
324 + 16
Foreign: Govts., official insts., etc.
—
10 + 1
483 + 29
36
Commercial banks
842 + 75
+ 96
40 - 1
- 3
Time and savings deposits - total 4/
9,698 - 57
3,544
+838
- 38
+2,055
•
Individuals, partnerships, and corporations
Savings deposits
2,502 + 6
+ 916
4,175 + 14
+473
Other time deposits
+272
742
+
3,110 - 27
799 - 62
States and political subdivisions
+ 42
+
56 + 17
270 - 4
58
Domestic interbank
l4o + 3
+
11
10
+ 3
Foreign:* Govts., official insts., eto.
4- 315
166 + 1
+ 52
1,873 - 36
Commercial banks
-+
2
76 - 7
4
- 6
Borrowings: From F. R. Banks
2 - 7
-144
39 + 39
53
From others
384 + 72
1,374 - hS ‘ 4- 34o
+ 35
Other liabilities
+106
2,742 -177
- 172
327 + 6
CAPITAL
A C C OUNT S
+ 144
989 - 1
+ 58
3,833 - 10
1/ Exclusive of loans to domestic commercial banks and after deduction of valuation
reserves; individual loan items are shown gross.
2/ Includes all demand deposits except those of U. S. Government and domestic commercial
^

^ Xi Kv4^

fokJ$ ,*
V

—

—

banks, less cash items in process of collection.
3/ Includes certified and officers checks not shown separately.
4/ Includes time deposits of U. S. Government and postal savings not shown separately.