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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (For Immediate Release) October 10, I9I46 H.U.3 CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES (In millions' of dollars) ' New York City Increase or Oct, decrease since Oct, Oct, 2, Oct, 10, 9, 9, I9b6 19U6 19U5 W Chicago Increase or decrease since Oct, 2, X9U'6 Oct, 10, I9k5 ASSETS Loand and investments - total Loans - total 19,552 - 61 - 1,709 li,9L5 * h3 - 556 5>U68 - 60 + 220 1,371 + 11 + 500 + 75 + 1,119 998 + 25 + 299 559 581 68 - 10 - Commercial, industrial, and agricultural loans 5,539 Loans to brokers and dealers for purchasing or carrying: U.S. Govt, obligations heh Other securities 268 Other loans for purchasing or carrying: U.S. Govt, obligations 321* Other securities 161 Real estate loans 70 Loans to banks 107 Other loans 515 Treasury b i l l s Treasury cert, of iridebt. Treasury notes U.S,bonds(incl. guar, oblig.) Other securities Reserve with F.R. Banks Cash in vault Balances with domestic banks Other assets - net • — + * 251 1,855 1,522 9,516 1,11+0 5,755 + - 109 27 + 51i; + 11,529 + + — 119 22 lh 9 19 10 mm - 98 20 3h 65 - 5 2 + 2 58 50 + 55 102 98 + 1 80 692 517 2, lit5 + 5U0 - 32 lU 1 16 1 + 18 99 22 10 50 - 59 5 2 1 + + + + 5 11 6 45 + 168 199 1,905 - it* - 127 906 1,652 753 17 895 51 156 Ui - 8 - lh - 19 h 2h 4+ - - + + - + hi 5 l 1 lh - + — - - + h3 h3l 123 282 21 52 5 25 2 LIABILITIES Demand deposits adjusted Time deposits U, S. Government deposits Interbank deposits: Domestic banks Foreign banks Borrowings Other l i a b i l i t i e s CAPITAL ACCOUNTS 1,292 1,565 2,870 1,1^ J>1 155 1,991 Debits to demand deposit accounts, except interbank and U.S.Govt, accounts, during week 6,360 - - - - + + 27 5 hi 87 15 - 111* + 2 21 2 + 16k 5 76 109 5,28a 4- 10 818 + 3 U51 9 1,072 25 5 58 595 1,198 - + + 2 1 5 1 - •f 152 100 - 556 - 59 5 5 + + - + 1 26