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^

J J . D ERA L
statistical

R

5

»E R V E

release

F e d e r d * % ^ m e Bank

of Sen Francisco
Mj-j,, 0
all V u

H . 1+.3

1963

For immediate release
November 7 , 1963

CONDITION OF WEEKLY REPORTING MEMBER BANKS IN NEW YORK AND CHICAGO
Chicago
New York City
Change since
Change
since
Nov.
Nov.
Oct. 30, Nov. 7,
1962
196^
1963
1962
1963 . 1963
million.
of
doU
(In
Lars)
A 8 S E T 8
+968
9,926
+I+7 I+ +3,265
+197
Total loans and investments
32,931
9,826 +263 +900
Loans and Investments adjusted 1/ .
+2,9^
+199
31,997
+1+29 +2,077
6,089 +118 +923
Loans adjusted 1/
21,33*+
11,900 +250 + 556 3,367 + 63 +1+80
Commercial and industrial loans
—
+ 6
+ 5
37
Agricultural loans
+
3
17
Loans to brokers and dealers for purchasing
lll+ + 6
+ 39
23!+ - 22
- 1+05
or carrying: U. S. Govt, securities
+ 21
+138
1,834 + 4o + 81+2
303
Other securities
Other loans for purchasing or carrying:
.... + 7
18
18
- 1
U. S. Govt, securities
+
5
- 1
+ ll+l
+ 59
532
233
Other securities
+ 9
Loans to nonbank financial Institutions;
+105
1+1+5 + 13
1,290 + 82 + 176
Sales finance, personal finance, etc.
+ 6
- 5
Other
669 + 8 + 101
305
78 - 2 + 29
+ 122
Loans to foreign banks
394 - 1
—
+ 56
+ 670
1+27
1,81+8 + 8
Real estate loans
+ 33
+
60
.61
+
7
Other loans
957
3,173
100 - 66 + 68
934 +275 + 321
Loans to domestic commercial banks
1,994 +111
- 3^2
-303
5,754
- 36
U. S. Government securities - total
+121+ +118
+ 468
- 28
1,514
393
Treasury bills
1+9
- 25
160 + 3 - 289
- 5
Treasury certificates of indebtedness
Treasury notes and U. 8 . bands maturing:
160 - 1
-515
Within 1 year
601 + 32 - 560
- 7*+
851
- 3
- ll+l
1 to 5 years
2,169
- 15
1
+
51+1
+193
After 5 yearB
- 28
+ 180
1,310
+280
+ 3^
1,743
Other securities
-19!+ +1,209
4,909
28
Reserves with F. R. Banks
- 7
-265 + 7l+
927
3,457
Currency and coin
- 2
52
268 + 11
+ 5
+
13
+ 20
+ 29
Balances with domestic banks
125
3l+
117
+ 3!+ +
Other assets - net
2,270 + 1
215
+
7
- 3
+ 237
+81+0
Total assets/liabllities
+169
M +,278
+3,645
12,127
+927
L I A B I L I T I E S
Demand deposits adjusted 2/
-567 + 317 l+,07l+ - 78 4183'
15, *+13
Demand deposits - total 3/
2^,878 +709 + 1+91+ 6,1+69 + 71 - 29
Individuals, partnerships, and corporations 16,571
-336 + 399 l+,l+65 -121 + 15
8tates and political subdivisions
+ 23
468
+ 190
- 19
+ 67
303
U. 8 . Government
21+1 + 50 - 17
822 +159 - 68
Domestic interbank: Commercial
+111+ - 33
1,272
3,1+08 +1+1+5 + 223
SBC*
Mutual savings
2
+ 21
+
3
317
Foreign: Govts., official insts., etc.
+
2
+
1
1
+
1
+
13
1*87
39
Commercial banks
1+0 - 13 + 1+
802 + 22 + 57
Time and savings deposits - total k/
+852
+ 20
+2,662
l+,07i
- 33
11,033
Individuals, partnerships, and corporations:
Savings deposits
+362
+ 3
2,711
4,391 + 11
+ 513
Other time deposits
+
12
+253
3,076
- 59
953
+1,309
States and political subdivisions
+ 1
+159
•177
381+ + 1+ + 196
Domestic interbank
12
6
+ 7
+ 1
125
Foreign:• Govts., official insts., eta.
+ 1+ + 80
207
+ 8
2,117
+ 5^3
Commercial banks
- 8
85 + 2 + ll+
5
Borrowings: From F. R. Banks
23
1+ - 9 -165
+ 37
37
From others
1 ,63!+ +206 + 298
352
+ 88
+171
Other liabilities
+
72
2,734
" 23
- *+3
199
- 7
C A P I T A L
A C C O U N T S
+ 1 I+2
1,032
+ 6 .-f-Jft___
3,962
+ 31
1/ Exclusive of loans to domestic ccraneroial banks and after deduction of valuation
reserves; Individual loan items are shown gross.
2/ Includes all demand deposits except those of U. 8 . Government and domestic commercial
banks, less cash items in process of collection.
3 / Includes certified and officers checks not shown separately.

T+/ Includes time deposits of U. 8. Government and postal savings not shown separately.

LIB R A R Y