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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.