The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
ASSETS OF WEEKLY REPORTING MEMBER BANKS TABULATED PROM REPORTS DECEMBER 31, 1958 (in millions of dollars) New York Phila- Cleve- RichTotal, a l l d i s t r i c t s Boston City | Outs ide delphia land mond Atlanta 56,162 2,537 16,238 1,967 2,201 3,621 2,054 2,088 62 70 1,230 76 72 369 37 39 16,607 2,276 3,691 2,092 2,125 2,598 2,039 57,387 1,479 10,975 697 1,190 39,724 1,775 943 1,094 1 12 1 638 8 14 9 3 126 2,521 31 1,665 49 35 35 53 L.3.2 ASSETS Loans, net Valuation reserves Loans, gross Commercial and industrial Agricultural To brokers and dealers Other loans f o r purchasing or carrying tg s e c u r i t i e s Real estate FEDERAL To banks Other loans 1,335 -mm : ' ' j f 1,875 tret 10 ioi:g § , 20 401 3 655 409 628 496 2,434 20 669 590 42 224 3 763 18,556 9,326 1,25611 7,366 1,208 632 119 91 221 1,106 135 306 1,557 280 638 4,070 673 357 2,305 575 30,241 12,671 3,234 110 1,058 13,172 1,183 9,274 465 4,549 124 76 7 57 163 64 523 4,430 857 316 117 2 75 347 1,214 546 Other assets 2,823 113 1,124 81 100 Total assets 130,396 U. S. Gov't securities - t o t a l :::::: Treasury notes U. S. bonds Other securities i Cash, reserves, and bank . balances - t o t a l Cash items in process Balances with domestic banks Balances with foreign banks Currency and coin Reserves with F.R. Banks 1/ 6,904 5,445 36,307 4,687 1 971 68 . 171 213 520 333 138 4 51 476 O CM OO Note; ' * 31,845 }Agy293 l/V W093i 170 837 l 779 54 403 8 639 65 222 7 689 OF CONDITION February 13, 1959 S t . MinneChi cago City Outside Louis apolis 922 3,954 2,488 1,677 16 28 121 55 1,705 938 4,075 2,542 856 454 2,735 1,055 18 15 23 7 11 271 36 47 Kansas City 2,094 33 2,126 1,060 175 43 11 196 1 246 35 153 224 10 669 57 687 1 689 25 276 3 487 2,418 1,429 1,394 t 2,872 2,125 lfOB5 122 86 7d 90 1 245 173 115 217 153 297 123 393 480 252 790 252 279 591 611 807 1,158 968 i,644 1,370 260 510 656 713 331 337 1,742 1,268 1,416 691 517 589 184 183 338 1 1/ 3 60 103 84 761 483 429 119 97 8,5571 5,178 94 2,314 904 220 15 42 1,133 91 1,478 1,056 606 417 159 194 6 1/ 312 8 . 494 607 286 105 2 1,524 502 486 y 630 407 16 198 45 491 96 57 38 82 5,329 1 9,9451 6,697 4,106 207 226 3 645 522 1,335 1 1,1440 30 12911 97 164 178 60 326 114 273 906 318 703 164 363 3^4 38 78 San Dallas Francisco 2,840 11,481 202 50 11,683 2,890 4,700 1,7H 291 55 42 77 1,932 611 688 3 67 4,294 151 2,096 6,454 333 760 1,191 4,170 2,078 4,376 1.672 222 10 581 50 189 2,283 200 531 2,252 ; 5,397 6,756 24,920 Condition report tabulations shown above have been adjusted for current "adjustment bank" t o t a l s to make them comparable with published weekly reporting member bank data that are similarly adjusted, and a l s o , in a few loan items, for certain continuing differences resulting from the weekly estimating procedures used for loans a t large branch banking organizations in the San Francisco D i s t r i c t . Details may not add to t o t a l s because of rounding, Less than $500,000. L,3.2 (a) L I A B I L I i l i i o Demand deposits - t o t a l Individuals, partnerships, and corporations U. S, Government States and p o l i t i c a l subdivisions Domestic banks Foreign banks Certified and officers* checks, e t c . LIABILITIES OF WEEKLY REPORTING MEMBER BANKS TABULATED FROM REPORTS OF CONDITION DECEMBER 31, 1958 (In millions of dollars) February 13, 1959 San : St. Minne- Kansas Hal Chicago P h i l a - Cleve- Rich- AuJLdTTvEL New York Total, a l l cosuon "1 QQ 1/cU.lqO Francisco City City Outside delphia .City Outside Louis apolis land mond districts 4,876 12,715 4,215 3,073 1,656 3,652 5,664 3,835 3,940 7,180 4,350 4,151 26,455 2,877 88,639 A 4- ™1 n yx 4" n 64,408 2,834 3,225 18,855 126 971 2,097 102 2,799 123 4,449 211 2,845 106 2,513 5,147 269 91 3,181 179 1,984 90 1,082 54 2,811 108 3,150 99 10,270 305 307 364 906 1,318 13 43 321 559 12 107 863 4 110 383 4 262 985 2 241 1,252 16 973 563 155 95 98 25 23 47 118 450 4,441 12,518 1,579 278 398 32 329 3,517 1,252 457 107 4 116 546 23 360 540 11 216 581 8 2,861 92 1,532 110 45 94 79 Time deposits — t o t a l Individuals, partnerships, and corporations U, S. Gov f t and postal savings States and p o l i t i c a l subdivisions Domestic banks Foreign banks 28,579 677 5,168 1,399 669 2,014 908 940 1,859 1,796 654 385 724 1,278 10,108 24,730 633 3,310 1,360 617 1,943 845 888 1,802 1,742 626 375 693 1,060 8,836 189 9 36 5 2 3 28 5 7 8 6 2 5 8 65 1,543 110 2,002 3 33 1 31 2 1 45 1 1 15 3 31 45 1/ 1 21 1/ 37 6 6 69 1/ 31 113 75 1,633 8 1/ 26 1/ 203 2 5 894 20 293 Borrowings Other l i a b i l i t i e s Capital accounts 22 2,974 10,181 1 131 485 1/ 1,423 3,261 5 66 340 130,396 5,445 36,307 59,041 55,466 3,130 16,167 2,533 15,742 Total l i a b i l i t i e s and capital Memoranda: Demand deposits adjusted Loans net, adjusted 53 — 37 174 15 47 396 4,106 2,252 1,699 1,675 929 921 — — 72 378 129 778 85 466 1 65 313 5,178 5,329 9,945 6,697 2,623 2,045 2,342 4,645 2,081 3,945 2,994 2,487 —*• 73 426 118 760 68 366 4,687 4,820 8,557 2,349 1,967 2,413 2,198 4,211 3,620 —— — — 102 500 558 1,538 5,397 6,756 24,920 2,619 2,086 2,899 2,837 10,021 11,329