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For immediate release - *, October 8, 1964 H.4Jipdera' ‘CONDITION OF WEEKLY REPORTING MEMBER BANKS IN NEW YORK AND CHICAGO Ui « OCT 1 ; ^ - New York City Oct. Change since 7, Sept. 30jOct. 9, 1964 1964 1963 Chicago Oct. Change since 7, Sept. 30; oct. y, 1964 1964 1963 (in millions of dollarbJ !, Lmk SETS Total loans and investments 35A03 Loans and investments adjusted l/ 3^,389 23,416 Loans adjusted l/ 12,770 Commercial and industrial loans 16 Agricultural loans Loans to brokers and dealers for purchasing 283 or carrying: U. S. Govt, securities 1,869 Other securities Other loans for purchasing or carrying: 7 U. S. Govt, securities 606 Other securities Loans to nonbank financial institutions: 1,286 Sales finance, personal finance, etc. 813 Other 677 Loans to foreign banks 2,160 Real estate loans 3,500 Other loans 714 Loans to domestic commercial banks 5,286 U. S. Government securities - total 1,510 Treasury bills Treasury certificates of indebtedness Treasury notes and U. S. bonds maturing: Within 1 year 753 1,846 1 to 5 years 1,177 After 5 years 5,687 Other securities 3,476 Reserves with F. R. Banks 276 Currency and coin Balances with domestic banks 79 Other assets - net 2,535 46,090 Total assets/liabilities -1,110 -1,057 - 834 - 182 1 +2,684 +2,702 +2,551 +1,129 — 375 515 866 12,915 Individuals, partnerships, and corporations • 4,557 Savings deposits 4,910 Other time deposits 423 States and political subdivisions 264 Domestic interbank 2,625 Foreign: Govts., official insts., etc. 74 Commercial banks 4,305 Memo: Negotiable Time CD’s included above Borrowings: From F. R. Banks From others Other liabilities __ -179 -290 -131 + 15 + 1 +532 +430 +552 +237 - 2 - 225 + - 186 + 21 79 95 338 - 49 - 27 + 5 + 72 4 82 22 286 - 1 + - 2 + 3 + 54 - 226 + — + + 3 + + 6 + 22 + - 53 - 385 - 312 + — - 57 188 284 346 369 18 347 83 160 479 322 115 468 1,048 232 1,823 372 -- - 73 + 2 + 2 + 1 - 1 +111 -156 -133 + 15 + 22 + 34 + 42 +100 +102 -126 +125 - 63 + 256 - 326 - 200 + 498 + 316 + 24 - 15 + 246 +3,694 223 727 501 1,704 893 58 132 302 12,571 - 12 + 48 - 59 - 3 -122 — + 6 - 32 -424 + 66 -140 -13.4 + 4 - 77 + 3 + 14 + 92 +602 -124 -435 -206 - 3 -225 + 11 63 + 34 69 + 98 17 + 107 15* +2,204 3,899 6,524 4,377 307 398 1,281 1 14 49 4,542 -100 + 30 - 30 - 42 + 59 + 33 - 1 + 2 + 7 +600 9* + 173 22* +1,332 2 + 39 3 + 146 4 + 522 3 - 14 NA 32 — - 30 221 - 48 91* + 59 2,940 1,077 217 17 278 8 1,018 — 229 203 + 2 + 42 + 5 - 31 + 12 - 54 + 162 + 32 + 16 - 20 - 112 -2,644 LIABILITIES 15,922 + 180 + 693 Demand deposits adjusted 2/ -2,784 +1,188 24,918 Demand deposits - total 3f Individuals, partnerships, and corporations 16,731 - 640 + 788 2 States and political subdivisions 309 - 63 + + 288 745 1,585 U. S. Government 2,790 - 769 - 232 Domestic interbank: Commercial Mutual savings Foreign: Govts., official insts., etc. Commercial banks Time and savings deposits - total 4/ 10,240 10,008 6,481 3,509 26 + + + + + + + 1,130 + 2,872 - mm — + 2 + 1 + 45 — - 5 + 1 + 43 - 3 - 25 - 8 +241 +238 + 41 + 6 + 71 + 4 NA - 5 - 42 - 30 1,073 + 2 + 49 5 + 321 l/ Exclusive of loans to domestic commercial banks and after deduction of valuation reserves; individual loan items are shown gross. NA Not available. 2/ Includes all demand deposits except those of U. S. Government and domestic commercial banks, less cash items in process of collection. 3/ Includes certified and officers checks not shown separately. %/ Includes time deposits of U. S. Government and postal savings not shown separately. CAPITAL ACCOUNTS * September 30 figures revised. 4,255