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BOARD OB' GOvLiilV-JRS OF :2iE I'SDcaAL RESERVE SYtiYEM H.4.3 (For Immediate Release) November 5, 1959 CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES (in millions of dollars) Chicago New York City Increase or Increase or Nov. Nov. decrease since decrease since 4, 4, Oct. 28, Nov. 5, Oct. 28, Nov. 5, 1959 1959 1958 1959 1958 1959 ASSETS +248 +120 Total loans and investments 25,493 +383 + 313 7,555 n.a. + 63 n . a . 7,441 Loans and investments adjusted l / 25,134 +326 n.a. + 47 Loans adjusted l / n . a . 4,294 17,516 +309 n.a. Commercial and i n d u s t r i a l loans n . a . 2,547 - 29 10,290 +107 + 1 + 7 1 Agricultural loans 19 2 + 1 + Loans to brokers and dealers f o r purchasing or carrying: + 4o + 24 61 367 + 37 + 228 U. S. Govt, s e c u r i t i e s + 11 + 10 + 204 — 118 Other s e c u r i t i e s 1,197 Other loans f o r purchasing or + 2 18 7 - 9 carrying: U. S. Govt, sees. 36 + 2 + + 24 + 5 386 - 1 + 46 153 Other securities Loans to nonbank f i n a n c i a l institutions: Sales finance, personal + 21 n.a. n.a. finance, e t c . 459 1,359 +121 n.a. + 8 + 9 n. 3.. Other 325 95 — ) 18 Loans t o foreign banks 4?2 + 17) + 157 + 50 114 + 57) Loans to domestic commercial banks 359 + 57) + 40 -256 879 - 17 + 246 Real estate loans + 6 n.a. n . a . + 34 677 2,597 Other loans U. S. Government s e c u r i t i e s - t o t a l 5,386 + 57 -1,941 2,373 -457 - 9 168 Treasury b i l l s 6 - 43 - 25 571 - 49 -204 +13 Treasury c e r t , of indebtedness 174 229 +116 - 801 Treasury notes and U. S. bonds maturing: + 8)3 147 Within 1 year 173 + 46) - 5)* -210 1 to 5 years 3,080 - 50) -1,134 1,329 ) 6) After 5 years 555 1,333 + 40 + 25 Other s e c u r i t i e s 2,232 - 40 774 98 -116 - 51 Reserves with F. R. Banks 3,648 -323 - 390 1,042 1 163 + 2 - 3 Cash in vault - 5 35 + 12 + 5 + 28 + 31 133 Balances with domestic banks 93 2 + 5 109 1,172 52 - 38 Other assets - net + 3 + 76 9,620 +1,079 Total a s s e t s / l i a b i l i t i e s 35,056 +973 L I A B I L I T I E S + 26 - 10 Demand deposits adjusted 15,058 -439 - 398 4,392 + 68 + 9 252 U. S. Government demand deposits 1,057 - 47 + 511 Interbank demand deposits: - 44 +136 Domestic banks 3,159 +353 + 139 1,224 + 3 4l 10 98 1,031 Foreign banks - 3 26 -10 Time deposits: Interbank - 15 - 494 1,155 + 4 + 4l 3 1,825 Other 2/ 3,423 - 23 + 84 18 + 17 Borrowings: From F. R. Banks 107 - 13 - 5 + 20 + 18 From others 153 927 +276 + 302 + 5 1,312 - 51 - 171 Other l i a b i l i t i e s 139 CAPITAL A C C O U N T S : 3,340 + 21 + 90 + 6 804 + 33 l / Exclusive of loans to domestic commercial banks and a f t e r deduction of valuation ~~ reserves; individual loan items are shown gross. 2/ Includes savings deposits of $2,129 million, an increase of $1 million from the previous Wednesday and $112 million from a year e a r l i e r . n . a . - Not available on comparable basis; reporting form revised July 8, 1959• " ^October 28 figures revised.