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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.