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board of governors of the f e d e r a l reserve system

(For Immediate Release)
October 2k, I9I46
CONDITION OF WEEKLY REPORTING tIEMBER BANKS IN CENTRAL RESERVE CITIES
(In millions of dollars)
New York City"
Increase or
Oct,
decrease
since
Oct,
Oct,
2l±,
23,
Oct, 16,
2?,
19U6
19U5

1

Chicago
Increase or
decrease since
Oct, 16, Oct. 2k,
19U5
19^6

ASSETS

Loans and jLn vestments-total
Loans - total

19,863

+

371

-1,553

5 , 0 6 0

59

233

5,506

+

23

+ 187

1 , 3 9 1

7

316

lk

+1,155

1 , 0 3 1

31

-

639
1,923
1,299
9.U19

•Reserve with F,R, Banks
Cash in vault
Balances with, domestic banks
Other assets - net

3,551

+

2

-

+
+
+
+

30U

6

1
11
3

4- 385
f 57
f

2

-

71
25

-

4-

177
5
l
k

h29
355
20

13

*

1,077

105
29

-

+

lit
3
51

55
32

59
51

+
+

96

+

225

-

893

155

-1,700

+ 565
37
+
+
+

302
18

3

28.

19

+

+

27

2

2

+

15
k
25

+

ill

4

1

+

31:5
30

9

w

62

1 GO
CN

Treasury b i l l s
Treasury cert, of indebt.
Treasury notes
U,S,bonds(incl. guar; oblig.)
Other securities

•

I1

Commercial, industrial, and
agricultural loans
3,571
Loans to brokers and dealers for
purchasing or carrying:
U.S, Govt, obligations
510
256
Other securities
Other loans for purchasing or
carrying;
U,S, Govt, obligations
30U
168
Other securities
71
Real estate loans
107
Loans to banks
516
Other loans

723
312

18
39
1
k
8

+
-

2 , 1 5 0

+

3 2 9

-

888
32
16k
kl

-

7
1
8

+
-

"

27

-

+

105
h3h
297

%

-

-

3#
k
1

"

L I A B I L I T I E S

Demand deposit adjusted
Time deposits
U. S. Government deposits
Interbank depositsj
Domestic banks
Foreign banks
Borrowings
Other l i a b i l i t i e s
CAPITAL ACCOUNTS

ik,5k3

1,281

1,585

2,818

+

302
1k
+ 12

-

1,11*8

+

13
bhd

-

1,989

Debits to demand deposit accounts,
except interbank and U.S.Govt,
accounts, during week
6,797




+
-

-

+

71
6

38
k
1

267
166

-l. ,581
+
+
+

I9l
159
ho
h8

106

3,330
818
k35

+
+

U3

•f

3

-

1,11*2

-

5

-

2 6

39
395

1,537

2

2

mm mm**

t
-

+

92
261
5
5
7
26