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NEDER AL statistical RESERVE release For immediate release November 19, 1964 - ; V H .i.3" , j CONDITION OF WEEKLY REPORTING MEMBER BANKS IN NEW YORK AND CHICAGO Q* New York City Chicago Nov. Nov. Change since Change since 18, Nov. 11, Nov. 20, 18, Nov. 11, Ho t . 20, 1964 196U ... 1964 1964 1963 . 1963 millions of dollars] • (in I-*- ' ASSETS Total loans and investments +657 +2 ,935 10,523 + 89 35,692 +883 + 569 Loans and investments adjusted l/ +2 ,600 10,294 4- 55 3*1,589 +244 + 586 Loans adjusted l/ +2 ,398 6,671* + 57 23,907 + 99 + 3,648 30* Commercial and industrial loans + +283 944 12,996 +161 30 + 1 18 - 2 -- 9 Agricultural loans Loans to brokers and dealers for purchasing + 112 124 + 11 or carrying: U. S. Govt, securities 356 -157 + 37 - 101 Other securities 1,838 - 33 340 - 3 - 18 Other loans for purchasing or carrying: -- 10 U. S. Govt, securities 8 12 - 4 ■ 7 Other securities + 62 601 - 3 292 + 6 + 59 Loans to nonbank financial institutions: Sales finance, personal finance, etc. + 178 1*93 + 21* + 92 1,332 + 23 --* + 8 Other 310 + 144 818 + 3 Loans to foreign banks + 299 112 - 4 693 + 5 + 37 Real estate loans + 371* 2,242 + 24 480 + 1 + 50 Other loans + 395 l,06l - 2 + 87 3,576 + 78 Loans to domestic commercial banks + + 88 1,103 +639 229 + 34 335 - 12 U. S. Government securities - total - 114 1,922 + 44 5,1*92 +269 Treasury bills + 255 492 - 9 1,603 +129 +153 — Treasury certificates of Indebtedness -• 147 -— - 44 Treasury notes and U. S. bonds maturing: Within 1 year 682 -117 + 230 2l4 _ 20 + 16 1 to 5 years - 489 2, 040 +274 718 + 4 -103 After 5 years + 37 498 + 22 1,167 - 17 13 Other securitj es + 316 5,190 -124 1,698 + 10 - 61 Reserves with R. Banks - 266 1,039 + 22 + 34 3,31*3 -121 Currency and t .'.in + 13 + 6 60 • 1 273 - 5 Balances with a* mestic banks + 16 90 - 38 + 24 153 + 30 Other assets - net — 2,543 + 198 + 95 12 311 Total assets/liabilities +964 47, 312 +905 + 352 +3j 689 13,21^ LIABILITIES - 279 Demand deposits adjusted 2/ 15,290 - 93 - 85 3,957 -126 Demand deposits - total 37 25,086 +564 6,864 +283 +248 +1, 144 Individuals, partnerships, and corporations 16,658 +359 + 138 + 43 4,669 +123 States and political subdivisions 294 -131 2 + 11 295 - 15 U . S • Government + 510 420 +184 +154 1,327 +517 Domestic interbank: Commercial + 120 3,090 - 46 + 31 1,327 + 1 _ Mutual savings 296 - 22 2 1 - 1 Foreign: Govts., official insts., etc. 566 - 89 + 56 + 2 13 + 1 Commercia] banks 854 +■ 4l + 66 49 + 6 + 9 Time and savings deposits - total 4/ 13,438 + 65 +2,167 +662 4,779 + 21 Individuals, partnerships, and corporations Savings deposits 4,580 + 13 + 167 +24^4 2,958 + 5 Other time deposits 5,280 - 38 +1, 238 +308 1,297 + 16 States and political subdivisions + 45 228 + 1 443 + 3 + 45 ' Domestic interbank + 128 256 - 7 15 + 3 Foreign: Govts., official insts., etc. + 589 268 - 1 + 60 2,739 + 93 Commercial banks 1 8 83 + 2 + 3 Memo: Negotiable Time CD's included above 4,807 - 11 NA NA 1,219 + 14 Borrowings: From F. R. Banks -- - 77 - 172 - 6 2 + 2 From others - 19 l,4o4 +118 + 4 283 + 25 Other liabilities + 245 238 + 22 + l 3,h i * +242 1,080 - 1 CAPITAL ACCOUNTS + 324 It,270 - 7 + 55 1/ Exclusive of loans to domestic commercial banks and after deduction of valuation reserves; individual loan items are shown gross. NA Not available. 2/ Includes all demand deposits except those of U. S. Government and domestic commercial banks, less cash items in process of collection. 3/ Includes certified and officers checks not shown separately, 5/ Includes time deposits of U. S. Government and postal savings not shown separately. * November 1.1 figures revised. |