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H.l*,3

BOARD OF ' GOVERNORS OF TEE FEDERAL REoERVE SYSTEM
(For Immediate Release)
October 28, I9I4.8
CONDITION OF WEEKLY R
EPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES
1
(In millions of dollars)

ASSETS
Loans and investments - total
Loans - get
Loans - gross#
Commercial,industrial, and
agricultural loans
Loans to brokers and dealers
for purchasing or carrying;
U.S. Govt, obligatlons
Other securities
Other loans for purchasing or
carrying*
U.S.Govt, obligations
Other securities
Real estate loans
Loans to banks
Other loans
U. S. Government securities-total
Treasury b i l l s
Treasury cert, of indebt.
Treasury notes
, U.S.bonds callable or maturing*
Within 1 year
1 to 5 years
After 5 years
Other securities
Reserve with F. R. Banks
Cash in vault
Balances with domestic banks
Other assets - net
LIABILITIES
Demand deposits adjusted
Time deposits except Govt.
U, S. Government deposits
Interbank demand deposits*
Domestic banks
Foreign banks
Borrowings
Other liabilities
CAPITAL ACCOUNTS

New York City
Increase or
Oct* decrease since
Oct . 20, Oct, 2 9 ,
27,
I9J48
191*7
w

Chicago
Increase or
Oct.
decrease since
Oct. 20, Oct. 2 9 ,
27,
191*8
#8
W

+ 105 -1,71*6
+ 51* + 500
+ 51* + 519

5,313
1,878
1,891*

- 96
- 16
- 17

-283
+ 33
+ 1*2

5,601

+

16 + 573

1,1*83

- 15

+ 39

173
327

+
+

h 28 -

11*3
55

11
28

+ 7
- 1

- 22
- 9

2 51*
+ . 7 +
k
1 + 97
+ 29
+
2 + 68
+ 109 • 2,103
+ 171* + 873
19 + 72
8 - 213

21
57
72
5

—

3,01*0
211
322
267

- 89
- 1*7
- 33
- 5

- 8
- 2
+ 1*
+ 5
+ 35
-303
+151
-115
+ 1*5

- 862
16 - 380
22 -1,593
58 - 11*3
25 +1,105
2
12
10 1*
5 + 106

103
1,398
739
395
1,1*16
38
158
51

+
+

93
3
16
2

+272

199 - 620
3 + 138
22 + 120

3,955
1,273
173

+ 22
+ 3
- 11

- 55
* 75
+ 79

123 - 192
26
1*1
65 83
7 + 111
+ 26
2

1,031
21*
9
1*7
1*61*

- 25

+
+
+

18,302
7,1*1*7
7,533

26
197
201*
185
820
9,799
1,198
816
286
319
5,695
1,155
1,056
5,375
135
31
132
15.1+57
1,510.
1*61
2,715
1,218
87
580
2,219

Debits to demand deposit accounts,
except interbank and U.S.Govt.
accounts, during week
9,371*

mm
•

-

+
—

+
+

+

—

—

+
—

+ 1
- 9

217

3
1
*•«*»

+ 9

- 11
+ 2

-121*
+ 85
-31*5
- 13
+ 3
- 23
+ 1*

98
1
52
1*
19

1,91*0

# Beginning June 30, 191*8, individual loan items are reported gross, i,e$, before
deduction of valuation reserves, instead of net as previously reported. Year-ago
figures have been adjusted to a gross basis.