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WEEKLY CONDITION REPORT OF LARGE COMMERCIAL BANKS I N NEW YORK AND CHICAGO CHICAGO" CHANGE OCT. NOV. NOV. 30, 6, * 7* 1974 1974 1973 WTCXTOKI S OF 0 OLLAR S ) NEW YORK C I T Y CHANGE SINCE OCT. 30, 1974 NOV. 6, * 1974 nw SINCE NOV. 7, 1973 A S S E T S TOTAL LOANS AND INVESTMENTS, (GROSS) FEDERAL FUNDS SOLD AND S E C U R I T I E S PURCHASED UNDER AGREEMENTS TO RESELL—TOTAL COMMERCIAL BANKS BROKERS AND DEALERS I N V O L V I N G U . S . TREASURY S E C U R I T I E S I N V O L V I N G OTHER S E C U R I T I E S OTHERS OTHER LOANS—TOTAL COMMERCIAL AND I N D U S T R I A L LOANS AGRICULTURAL LOANS LOANS TO BROKERS AND DEALERS FOR PURCHASING OR C A R R Y I N G — U . S . TREASURY S E C U R I T I E S OTHER S E C U R I T I E S OTHER LOANS FOR PURCHASING OR CARRYING— U . S . TREASURY S E C U R I T I E S OTHtR S E C U R I T I E S LOANS TO NON-BANK F I N A N C I A L I N S T I T U T I O N S SALES F I N A N C E , PERSONAL F I N A N C E , E T C , OTHER REAL ESTATLS LOANS LUANS TO DOMESTIC COMMERCIAL BANKS LOANS TO FOREIGN COMMERCIAL BANKS CONSUMER INSTALMENT LOANS LOANS TO FOR. G O V T S . , O F F I C I A L I N S T 5 . , E T C . OTHER LOANS U . S . TREASURY S E C U R I T I E S — T O T A L TREASURY B I L L S TREASURY C E R T I F I C A T E S OF INDEBTEDNESS TREASURY NOTES AND U . S . fcCNDS MATURING— W I T H I N 1 YEAR 1 YEAR TO 5 YEARS AFTER 5 YEARS OTHLR SLCU. T T I E S — T O T A L OBLIGATIONS OF STATES Uit> P O L I T I C A L S U B D I V I SION'STAX WARRANTS AND SHORT-TERM NOTES AND B I L L S ALL OTHER OTHER BONDS, CORPORATE STOCKS, AND S E C U R I T I E S P A R T I C I P A T I O N C E R T I F I C A T E S I N F E D . AGENCY LOANS ALL OTHER ( I N C L U D I N G CORPORATE STOCKS) CASH ITEMS I N PROCESS OF COLLECTION RESERVES WITH FEDERAL RESERVE BANKS CURRENCY AND COIN BALANCES WITH DOMESTIC BANKS INVESTMENTS I N S U B S I D I A R I E S NOT CONSOLIDATED OTHER ASSETS TOTAL A S S E T S / L I A B I L I T I E S L I A I L I T I 91,882 1,537 1,374 112 5 46 75,431 39,423 124 752 2,647 21 55 f; 3,624 6,536 7,350 1,564 2,867 2,637 8(1 4,295 4,435 676 336 1,825 1,396 10,419 2,011 5,536 524 2,406 14,646 7,077 511 5,267 722 10,212 130,317 *1, 09* 16? 195 - + 26 5 3 • 1, 165 510 + 1 - 32,145 + 274 +4, 432 477 434 1,283 970 + + 133 171 - + 117 9fc 8 5 46 +12,160 8,640 307 34 - 221 +12,632 + + - 17 6 25,081 13,968 220 566 934 18 471 9 135 16 399 — 690 2,666 1,179 196 917 226 176 905 455 858 + + 41 396 - 1 - 12 36 1,478 3,218 1,605 174 MB 1,099 72 1,725 1,831 517 - 29 69 1 38 349 106 646 450 393 714 207 3,950 + 104 22 24 59 300 468 167 2,750 + + 35 9 87 369 1,858 + 1,358 + 3 2,705 + 59 + 4,267 +13,756 108 905 2,608 1,794 176 320 112 1,833 38,988 2,453 1,215 190 2 2,628 + 14 120 710 1,692 +12,330 10,083 7,189 207 148 2,082 2 21 167 267 17,520 22 189 3 31 144 + 2,539 11,293 1,653 849 1,122 620 370 110 + 436 - 387 - + 5 - + 109 134 26 43 130 7 29 215 113 246 _ 23 28 82 17 + — - 34 3 - 19 67 + 2 ,, 2 0 4 861 13 96 2 73 +2,253 - + - + + - ,+ + 49,574 26,943 274 475 13,056 414 983 3,691 3,738 46 , 3 8 6 +2,392 894 92 + 347 + 968 + 49 78 307 3 + 20 + + - - 115 + + 138 165 63 + - 170 891 145 82 55 317 211 426 164 372 + 90 19 137 184 - 221 2 + + 39 64 + 778 + 652 13 + 13 + 1 + • 144 + 1,849 15 20 969 506 + 37 + 54 + 42 + 71 + 6 ', 1 1 1 790 98 47 106 563 +1 , 1 9 4 + 612 6 + 28 + 470 + 1 2 27 60 +3,481 - - + + + 4,967 27,657 1,874 4,100 6,453 + 13,526 + 2,030 8,482 1,432 8,885 + - + * 74,030 88,944 21,397 29,532 19,858 9,674 „ + 4 190 29 7 44 - 6,979 10 178 +1,044 6 15 • + • + 984 1,476 471 1 2,270 +12,007 +12,002 + 2,035 25,120 30,901 5,245 9,506 7,415 + 2,091 9,230 6,942 2,288 1 8,547 200 364 + 2,362 + + 119 * + 84 181 97 + + 2 13 59 165 442 24 + 1, 1 5 0 + 1, 2 4 6 - 1 ,127 + - - 2,738 108 M E M O R A N D A TOTAL LOANS, GROSS ADJUSTED ( 2 ) TOTAL LOANS AND INVESTMENTS, GROSS ADJUSTED ( 2 ) DEMAND DEPOSITS ADJUSTED ( 3 ) NEGOTIABLE T I M E C E R T I F I C A T E S OF DEPOSIT ISSUED I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE INCLUDED I N T I M E AND SAVINGS DE P O S ITS — TO TAL TO I N D I V I D U A L S , PARTNERSHIPS, AND CORPS. TO OTHERS * — - 894 210 79 61 65 657 +4,600 +4 , 2 5 2 273 151 147 4 + — . 43 +2 , 7 0 4 179 429 184 * 493 94 7 166 110 INCLUDES T I M E DEPOSITS OF U . S . GOVERNMENT AND FOREIGN COMMERCIAL BANKS NOT SHOWN SEPARATELY. EXCLUSIVE OF LOANS AND FEDERAL FUND TRANSACTIONS W I T H DOMESTIC COMMERCIAL BANKS. ALL DEMAND DEPOSITS EXCEPT U . S . GOVERNMENT AND DOMESTIC COMMERCIAL BANKS, LESS CASH ITEMS I N PROCESS OF COLLECTION. http://fraser.stlouisfed.org/ * REVISED Federal Reserve Bank of St. Louis + E S DEMAND DEPOSITS - TOTAL I N D I V I D U A L S , PARTNERSHIPS, AND CORPORATIONS STATES AND P O L I T I C A L S U B D I V I S I O N S U . S . GOVERNMENT DOMESTIC INTERBANK — COMMERCIAL MUTUAL SAVINGS F O R E I G N — G O V T S . , O F F I C I A L I N S T I T U T I O N S , ETC. COMMERCIAL BANKS C E R T I F I E D AND OFFICERS CHECKS TIME AND SAVINGS D E P O S I T S — T O T A L ( 1 ) I N D I V I D U A L S , PARTNERSHIPS, AND C O R P O R A T I O N S SAVINGS DEPOSITS OTHER T I M E DEPOSITS STATES AND P O L I T I C A L S U B D I V I S I O N S DOMESTIC INTERBANK FOREIGN—GOVTS., O F F I C I A L I N S T I T U T I O N S , ETC. FEDERAL FUNDS PURCHASED AND S E C U R I T I E S SOLD UNDER AGREEMENTS TO REPURCHASE BORROWINGS—FROM FEDERAL RESERVE BANKS FROM OTHERS OTHER L I A B I L I T I E S AND MINORITY INTEREST I N CONSOLIDATED S U B S I D I A R I E S RESERVES FOR LOANS RESERVES ON S E C U R I T I E S TOTAL CAPITAL ACCOUNTS (1) (2) (3) 6 +4,897 +3, 439 + 66 - 74 290 - 4 15 4.4 ' 4 63 60 - + + + + - + +3,119 +21,3 57 762