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L.3.2 0; 1&A *4 Assets of Weekly Reporting Member Banks Tabulated from Reports of Condition June 23, 1958 August 14, 1958 (In millions of dollars) Chicago St. Minne- Kansas Phila- Cleve- RichNew York Total, all San City Outside delpbia land mond Atlanta City Outside Louis apolis City Dallas Francisco districts Boston 15 83 2,249 68 W17 1,131 1 111 3,636 66 3,702 1,764 5 207 2,035 37 2,071 W 11 102 1,957 37 1,994 1,022 9 42 3,915 118 4,032 2,727 453 542 814 20 630 22 575 60 215 18 780 143 795 31 757 47 373 51 625 189 33 642 V 1,227 110 70 319 729 390 7»??7 294 1,685 4,935 2,344 1,260 131 77 255 797 529 m3t 65 222 660 380 2,46o W 170 744 1,451 645 1.414 77 77 227 13,519 1,085 359 85 5 63 573 8,239 3,597 45 40 145 4,412 809 "255 108 2 73 381 969 " W 86 3 48 449 1,667 539 149 3 96 881 2,838 123 1,235 84 99 Loans, net Valuation reserves Loans, gross Commercial and industrial Agricultural To brokers and dealers Other loans for purchasing or carrying securities Real estate To banks Other loans 55,623 1,170 56,790 29,777 569 3,345 2,522 62 2,584 1,459 7 48 16,804 361 17,165 1,945 70 2,015 1 2,159 l,44o 8,884 1,643 11,136 20 370 46 634 U. S. Gov*t securities - total Treasury bills Treasury certificates Treasury notes U. S. bonds Other securities 32,364 2%3lT 1,580 6,846 21,619 9,425 26,667 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 2,684 100 986 11,018 2,180 1,022 m. 1,032 318 J*l8l W 190 1 83 543 183 2,439 54 2,492 1,001 5 76 1,642 27 1,669 753 14 48 931 15 946 W 17 12 157 200 165 592 109 659 18 624 39 274 69 473 185 17 245 W98 2.991 271 163 558 1,999 734 2,228 102 46 431 1,649 491 1,030 "TT 50 260 704 259 1,301 397 306 2,049 559 158 35 38 867 "276* 156 1,260 1,342 W 126 2 77 700 80 84 48 1.331 271 899 333 54 544 87 8 36 398 1,944 28 1,972 W 137 85 2,645 46 2.691 1,552 34 39 10,959 181 11,140 35 196 218 42 609 96 3,946 301 1,955 528 1,334 "25" 88 21 111 344 821 369 376 177 W 1,431 6,208 209 275 1,148 4,576 2,136 1,316 43 510 1,613 403 577 1 45 586 2,086 69 168 516 8 514 222 78 3 15 196 288 16 445 w377 S 271 998 313 XW305 150 3,715 1,210 243 5 170 5,008 9,769 6,584 3,844 2,185 5,039 6,170 23,533 5,038 5,347 36,559 4,626 4,682 8,527 Note. - Condition report tabulations shown above have been adjusted for current "adjustment bank" totals to make them comparable with published weekly reporting member bank data that are similarly adjusted, and also, in a few loan items, for certain continuing differences resulting from the weekly estimating procedures used for loans at large branch-banking organizations in the San Francisco District* Details may not add to totals because of rounding. Total assets 126,911 Liabilities of Weekly Reporting Member Banks tabulated from Reports of Condition June 23, 1958 (In millions of dollars) , August 14, 1958 84,472 4,034 57,619 7,219 3,011 283 16,904 2,947 1,882 223 2,520 267 4,077 498 2,600 225 2,320 216 4,446 740 2,872 412 1,781 198 932 136 2,482 191 2,855 175 4,541 10,780 1,561 248 364 33 333 3,084 1,245 455 100 5 149 453 21 390 499 10 283 439 7 330 728 14 460 1,215 38 350 511 8 122 678 4 183 332 4 261 888 2 195 1,012 16 2,752 95 1,635 110 45 101 100 38 81 95 24 20 43 66 Time deposits - total Individuals, partnerships, and corporations U. S. Gov't and postal savings States and political subdivisions Domestic banks Foreign banks 28,339 674 5,241 1,436 719 1,987 929 923 1,823 1,778 662 367 708 1,28? 9,80? 24,022 625 3,193 1,342 631 1,892 840 871 1,759 1,725 617 358 680 l,04i 8,448 149 9 28 3 2 2 25 5 4 9 7 1 5 13 36 1,963 111 2,091 12 87 4 77 2 7 92 1 57 3 4 45 1 1 20 3 36 43 38 7 22 233 2 28 272 78 1,670 958 17 344 961 3,184 9,963 24 134 482 487 1,489 3,195 15 71 329 12 72 424 90 127 747 21 68 367 10 67 363 86 127 755 28 73 457 13 55 307 6 35 170 36 44 384 3 74 486 130 748 1,497 126,911 5,347 36,559 4,626 4,682 8,527 5,038 5,008 9,769 6,584 3,844 2,185 5,039 6,170 23,533 55,538 53,981 2,995 2,476 15,274 15,991 2,203 1,923 2,332 2,232 4,030 3,605 2,619 1,984 2,291 1,924 4,428 3,749 2,880 2,421 1,652 1,573 912 914 2,401 1,928 2,713 2,603 8,808 10,658 Memoranda: Demand deposits adjusted Loans net, adjusted $ Total liabilities and capital 1 §53 Borrowings Other liabilities Capital accounts Total, all Boston districts §£ | 00 Demand deposits - total Individuals, partnerships, and corporations U.S. Government States and political subdivisions Domestic banks Foreign banks Certified and officers' checks, etc. St. Minne- Kansas Dallas San Chicago Phila- Cleve- Rich- Atlanta New York Francisco City Outside Louis apolis City City Outside delphia land mond 26,147 2,776 3,455 5,576 3,654 3,645 6,979 4,249 2,808 1,607 3,868 4,318 11,356 LIABILITIES