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For immediate release
November 27, 1964
H .r&uGiyl
^ ,cj ^CONDITION.
WEEKLY
REPORTING
MEMBER BANKS IN NEW YORK AND CHICAGO
.wUi OF
v ...
.. ....
.. . . .
New York City
Chicago
of Sf!D r,'-:
•'.r.-'
Change since
Change since
Nov.
Nov.
Nov.
18,
Nov.
27,
Nov.
18, Nov. 27,
25,
NOV 3 ■ 196«
1964
J i
1964
1963 1964
1963
millions of dollars) •
Total loans and investments
+2,740 10,526 + 3
+624
35,9^9 +257
Loans and investments adjusted l/
+2,406 10,254 - 40
34,624 + 35
+672
Loans adjusted l/
23,724 -183
6,632 - 42
+ 592
+1,829
+
Commercial and industrial loans
818
+269
65
3,629 - 19
12,931
««•
18
•*
1
- 10
Agricultural loans
30
Loans to brokers and dealers for purchasing
__
+ 93
384 + 28
or carrying: U. S. Govt, securities
124
+ 47
Other securities
** 350
l,7*to - 98
- 25
315 - 25
Other loans for purchasing or carrying:
U. S. Govt, securities
8
16 + 4
- 4
9 + 1
+
Other securities
58
598 - 3
+ 59
293 + 1
Loans to nonbank financial institutions:
Sales finance, personal finance, etc.
+ 42
1,250
- 82
485 - 8
+113
Other
+ 144
820 + 2
313 + 3
+ 19
Loans to foreign banks
+ 277
708 + 15
112
+ 35
Real estate loans
+ 384
483 + 3
2,255 + 13
+ 53
Other loans
3,582 + 6
+ 371 1,060 - 1
+ 69
Loans to domestic commercial banks
+ 33*t
272 + 43
- 48
1,325 +222
U. S. Government securities - total
+ 172
5,678 +186
+ k8
- 11
l,9H
Treasury bills
+ 524
486 - 6
1,761 +158
+155
Treasury certificates of indebtedness
—
-—
- 157
—
- 44
Treasury notes and U. S. bonds maturing:
+ 248
Within 1 year
708 + 26
236 + 22
+ 35
2,001 - 39
514
1 to 5 years
680 - 38
-l4l
+ 71
1,208 + 4l
After 5 years
+ 43
509 + 11
+ 405 1,711 + 13
5,222 + 32
Other securities
+ 32
+ 218
Reserves with .?• R. Banks
3,*H3 + 70
1,038
- 1
+151
+
Currency and coin
258 - 15
6
61 + 1
+ 8
Balances with dcmestic banks
84 - 6
18
- 8
139 - l4
Other assets - net
+ 108
2,517 - 26
309 - 2
+ 97
Total assets/liabilities
*♦8,301 +989
+3j,622 1.3,085 -161
+993
LIABILITIES
Demand deposits adjusted 2/
15,230 -126* - 431 4,126 +169
-l4l
Demand deposits - total 37
25,779 +628* + 763 6,716
- lW
+221
- 563 4,704 + 35
Individuals, partnerships, and corporations16,781 +123
- 22
States and political subdivisions
- 38
278 - 16
284 - 11
+ 5
U. S. Government
+ 568
1,231 - 96
+181
383 - 37
Domestic interbank: Commercial
3,238 +l4l* + 58 1,195 -132
+ 60
28l - 15
Mutual savings
10
——
1
- 1
+ 54
...
Foreign: Govts., official insts., etc.
561 - 5
13
+
3
Commercial banks
875 - 37* + 5*t
48 - 1
+
3
Time and savings deposits - total 4/
- 27
13,1m
+2j 076 *t,791 + 12
+661
Individuals, partnerships, and corporations ••
Savings deposits
+ 173 2,961 + 3
+247
*>,583 + 3
Other time deposits
5,276 - 4
+1,153
1,310 + 16* +307
+ 49
States and political subdivisions
444 + 1
——
231
+ 48'
247 - 9
+ 121
Domestic interbank
15
+ 3
Foreign: Govts., official insts., etc.
+ 583
2,721 - 18
26l ~ 7
+ 54
- Commercial banks
84 + 1
8
+ 3
Memo: Negotiable Time CD's included above
NA 1,227 + 8
1*,759 - 48
NA
—
Borrowings: From F. R. Banks
—
22
- 2
- 25
+ 262
From others
1,721 +317
256 - 27
+ 70
+
219
Other liabilities
+
85*
3,13*t
241 + 3
+ 15
+ 324 1,081 + 1
CAPITAL
ACCOUNTS
It,256 - l4
+ 51
l/ 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.
Includes time deposits of U. S • Government and postal savings not shown separately.
November 18 figures revised.