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FEDERAL RESERVE B A N K

of KANSAS CITY
APR

L.3-2

9

1962

-Research Library
A S S E T S

Loans, net
Valuation reserves
Loans, gross
Commercial and industrial
Agricultural
To brokers and dealers
Other loans for purchasing
or carrying securities
Loans to domestic commercial
and foreign banks
Loans to other financial
institutions
Real estate
Other loans
U.S. Govt, securities - total
Treasury bills
Treasury certificates
(Notes
Under 1 year
(Bonds
After 1 year
Other securities
Cash reserves and bank
balances - total
Cash items in process
Balances with domestic banks
Balances with foreign banks
Currency and coin
Reserves with F.R. Banks
Other assets
Total assets
i/ Less than 000, COO.

http://fraser.stlouisfed.org/
Federal
Reserve Bank of St. Louis
L

ASSETS OF WEEKLY REPORTING MEMBER BANKS TABULATED FROM REPORTS OF CONDITION
DECEMBER 30, 19^1
April 5, 1962
(in millions of dollars)
-nTotal, all
San
Minne- Kansas
Chicago
St.
Phila- Cleve- RichNew York
City Dallas Francisco
Atlanta City Outside Louis apolis
mond
Outside delphia land
districts Boston City
2,821 5,056 4,391 2,138 1,125 2,753 3,466 16,331
2,667
5,243
3,029
3,129 19,407 4,175
75,731
40
292
19
163
34
102
85
59
50
57
97
489
135
76
1,698
16,623
1,144
2,794 3,526
3,126 5,345 2,717 2,878 5,218 4,476 2,172
3,205 19,896 4,310
77,429
848
1,091 1,854
5,763
502
2,016
1,024
1,174
2,741
1,305
1,231
1,479 11,265 1,163
33,456
264
783
44
52
31
25
23
28
85
25
3
5
23
1,343
9
18
153
134
50
64
113
180
89
108
378
147
73
2,004
63
3,573
1,565

26

478

40

73

151

960

18

365

32

48

13

6,184
13,424
16,924

237
496
877

1,690
839
3,233

310
1,435
1,156

237
399
1,025

362
1,366
1,254

266

34,229
6,243
1,414
4,157
1,328
9,751
11,335
12,138

1,310

7,798 1,749

3,062

1,381
182

543
914

1,152
204
55
159
13
328
392
333

37,433
19,255

1,417

8
82

1,483
727
174
7
76
499
138
6,136

2,223

240
1,450

11,139 1,320
497
7,335
163
134
4
146
119
234
538
3,290
2,045
175
43,310 8,332

3,688

3

2,110
56

222
6
456
258
447

622
132

12,801

572

4,661

158

164,192

6,46l

437

662

434
1,838
2,318

2,922

222
62

183
57

682

451
111
744
38
985
732
1,095

46

423
863

46

179
65
428
481
4o6

250

1,451
716
169

148
929
174

100
463
117

11,795

6,022

870
26

2

51

209

77

35

10

42

245

83

15

54

35

23

11

48

52

241

296
311
914

694
289
831

367

218
305
6o4

101
203

249
346
619

286

873
5,479
3,248

1,057
175

490

1,335
265
54

1,609
209
63

7,093
1,077

53
356
428
363

718

1,424
170
47
171
114
484
437
362

1,818
777
451
1
78
512
137
6,563

1,292
1,286

2,322 2,448
505
96
258
48
616
799
1,050

297

66

275

160
715
936
896

2,753 2,109
1,556
963
186
276
14
13
46
124
732
952
176
183
11,364 10,020

268

28
220

63
11
78

250

140
178
158

9
304
321

1,210
539
220
^3
407
64
4,720

20

695
347
95

2

15
235
52
2,520

178

242
745

162
82
374

417

1,687 2,151
922
675
636
438
1
2
51
53
522
537
218
103
6,241 7,861

282

667
230
2,045
2,791
2,523

5,978
2,707
364
14

281
2,612

921
32,846

J

L.3.2
L I A B 1

LIABILITIES OF WEEKLY REPORTING .MEMBER BANKS TABULATED FROM REPORTS OF CONDITION
DECEMBER 30, 19&1
(In millions of dollars)
Minne
Phila- Cleve- RichNew York
Total,
Louis
mond
delphia
districts

29,684
103,850
Demand deposits - total
Individuals, partnerships,
13,166
19,674
and corporations
44
544
Foreign governments, etc.
576
1,272
U.S. Government
States and political
5,408
subdivisions
14,235
Domestic commercial banks
579
Mutual savings "banks
1,254
Foreign banks
Certified and officers'
6l4
checks, etc.
13,507
1,305
1,172
41,629
Time deposits - total
10,797
1,022
2,533
30,287
Savings deposits
1,176
256
7,992
Other time deposits
61
4
172
U.S. Govt, and postal savings
States and political
2,908
subdivisions
161
Domestic banks
109
Foreign banks
412
Borrowings
5,326
Other liabilities
1,100
12,977
Capital accounts
11,364 10,020
11,795
43,310
164,192
Total liabilities and capital
Memoranda:
12,416
2,555
17,091
Demand deposits adj.(rev. basis;?/) 66,152
12,261
2,546
15,257
Demand deposits adj.(old basis2/) 63,671
based on d e L i aeposits o t M ^ « « interba£ana u
.
£
£
°
r
e
p
o
e
%
^°based™n"demand^posits~otoer than domestic commercial interbank and U.S. Government less cash items reported as in
K e - 3 t o L £ £ T " p o r t tabulations shorn above have been adjusted for current "adjustment bank" totals.




Details may not add to totals because of rounding