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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