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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