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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
H.4.3
(For Immediate Release)
October 8, 1959
CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES
(In millions of dollars)
Chicago
New York City
Increase or
Increase or
Oct*
Oct.
decrease since
decrease since
7,
7,
Sept.30, Oct. 8,
Sept.30, Oct. 8,
1959
1959
1958
1959
1958
1959
ASSETS
Total loans and investments
+110
25,329 + 81
7,417
43
33
Loans and investments adjusted l /
24,829 -170
n.a.
n.a.
7,379 - 42
- 28
n.a.
17,146 + 4l
n.a.
Loans adjusted 1/
4,312
Commercial and i n d u s t r i a l loans
n.a.
10,192 + 21
2,611 + 18
n.a.
Agricultural loans
1
+ 7
15
Loans to brokers and dealers f o r
purchasing or carrying:
U. S. Govt, s e c u r i t i e s
18
170 " 16 +
+ 7
27 - 17
+16
Other s e c u r i t i e s
1,249 + 111 + 262
122 - 26
Other loans f o r purchasing or
carrying: U. 8 . Govt. sees.
6
17 + 1
39 - 2 +
- 9
Other s e c u r i t i e s
+
+ 20
146 + 2
389 + 3
55
Loans to nonbank f i n a n c i a l
institutions:
Sales finance, personal
finance, e t c .
n.a.
n.a.
1,316
474 - 3
- 78
Other
n.a.
n.a.
308 + 6
85 - 5
Loans to foreign banks
460 - 4) 4- )
17
+ 29
223
Loans to domestic commercial banks
500 +251)
38 — 1)
Real e s t a t e loans
+ 13 + 269
870
252 - 2
+ 39
Other loans
+ 4
n.a.
n.a.
2,547 - 18
671
U.S. Government s e c u r i t i e s - t o t a l
-221 - 2 >,100
5,286
-606
2,308
29
Treasury b i l l s
24
62
126
-151 529
-113
Treasury c e r t , of indebtedness
128 + 7
-308
135 + 34
999
Treasury notes and U. S. bonds
maturing:
Within 1 year
180 - 53)
134 . 1)
1 to 5 years
2)
3,114
- 19) -1,077
1,382
-185
A f t e r 5 years
- 5)
1,335
531 + 2)
Other s e c u r i t i e s
61
+ 47
2,397 + 10 759 + 15
Reserves with F. R. Banks
-101
1,077
3,507 - 83
377
75
Cash in vault
1
153 + 11 +
3
35
Balances with domestic banks
2
121
16
- 16
57 - 25 +
Other assets - net
+
+16
1,269
26
100 - 3
- 8
Total a s s e t s / l i a b i l i t i e s
+ 48
-748 + 284
9,481 -208
33,403
L I A B I L I T I E S
Demand deposits adjusted
42
4,238
15,178 +113 - 196
-105
U. S. Government demand deposits
-145
174
791 -427
225
- 65
Interbank demand deposits:
Domestic banks
+ 18
2,924
16
1,180
-243 -107
+
Foreign banks
1,109
4o
2
- l
- 39
7
Time deposits: Interbank
1,204
28 + 2
- 17 - 452
- 9
+ 3
Other
- 48
2/3,514
+ 38
51 1,820
Borrowings: From F. R. Banks
+
+ 56
40
65
98 + 95
+ 75
From others
+5 68
803
61
+129
191
365
Other l i a b i l i t i e s
86
1,409 + 40 - 4
130 - 1
CAPITAL
ACCOUNTS
3,318
+ 34
- 3 +
87 I 800
«. mm

mm

-

• -

i / Exclusive of loans to domestic commercial banks and a f t e r deduction of valuation
reserves; individual loan items are shown gross.
2/ Includes savings deposits of $2,142 million, a decrease of $4$ million from the
previous Wednesday and an increase of $138 million from a year e a r l i e r .
n . a . - Not available on comparable basis; reporting form revised July 8, 1959*