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FEDERAL RESERVE E
of KANSAS G H
AUG 2 6

1£63

JIBE 29, 1963

— Research Librar

L.3.2

ASSETS
Valuation reserves
Loans, gross
Commercial and i n d u s t r i a l
Agricultural
To "brokers and dealers
Other loans f o r purchasing
or carrying s e c u r i t i e s
Loans t o domestic commercial
and foreign banks
Loans t o other f i n a n c i a l
institutions
Real e s t a t e
Other loans
U.S. Govt, s e c u r i t i e s - t o t a l
Treasury "bills
Treasury c e r t i f i c a t e s
°

r

1

Total,
86,079

Loans, net

0n4

ASSETS OF WEEKLY REPORTING MEMBER BANKS TABULATED FROM REPORTS OF CONDITION

88,028
357B73
1,592
4,162

fin millions of dollars
Cleve- RichNew York
mond
delohia
Outside
Cit

Mlnne-

Dallas

Outside

Atlanta

21,285

19,5'

21,851

19,837

3ko

566

1,909

1,297
2,350

1,593

7,309

16,875

19,025

2,017
1,731
3,H5
6.16

289

282

1,552

552

487
1,123
1.042

1,069

1,264

1,251
6,700

320
382

1,103

1,601

1,360

3,977
5,995

1,795

****•

After 1 y e t r [ J J J J
Other s e c u r i t i e s
Cash reserves and "bank
"balances - t o t a l
Cash items i n process
Balances with domestic hanks
Balances with f o r e i g n "banks
Currency and coin
Reserves with F.R. Banks
Other a s s e t s
Total a s s e t s




10,544
11,161

18,081
1,292

1,421

2,197

5,797

889

16,207
3,230

1,328
12,650
5,291

12,940

10,878

35,717

T.TA-RTr.wnaa

L.3.2(a)

OF WEEKLY REPORTING MEMBER BANKS TABULATED FROM REPORTS OF CONDITION
JUNE 29, 1963

Demand d e p o s i t s a d j . ( O l d basis 2/)

61,893
59,476

6,636

20
251
632
9,158

3,142
2,997

15,566
13,793

3,369
3,300

269
636

4,547
5
594

3,843

1,975

992

2,506

537

225

131

272

3,158
3
251

12,691
59
1,051

448
877

376
1,153

429

137

158

307
907

288
1,159

^8

,k6

?

3

13

1,020
585
10
112

37
1,727

114

35
1,177
724

45
1,462

70

589

2,313
1,083

1,062
6

83
4,308
3,392
577
6

150

134

328

20
1/
42
126
559

3
2
4l
221
778
10,878

5
72
424
4,836

3,480
3,466

1,679
1,674

1,497
1,113
269

25

342
2

68

328

88

13
1
4
28
32
224
154
571 1,180
6,355 12,940

2

55,154
36,664
14,010
153

795
2,783
3,900
44,537

2,859
3
316

1,556
1,031
435
2

Time d e p o s i t s - t o t a l
Savings deposits
Other d e p o s i t s
U.S. Govt, and p o s t a l savings
S t a t e s and p o l i t i c a l
subdivisions
Domestic com'l hanks ( i n cluding mutual)
Foreign hanks
Borrowings
Other l i a b i l i t i e s
Capital accounts
T o t a l l i a b i l i t i e s and c a p i t a l
Memoranda:
Demand d e p o s i t s a d j . ( R e v . basis 2/)

23

y

16,117

41

83
4,047
2,906
727
3

96
1,369
5,663
13,971
173,359

4,942

83
4,867
3,321
1,200
3

2,162
1 , 3 6 0 10,018
912 4,310
5,139
355
6
59

93
43

10

4,04i

49

612

120
66

1,647

299
429
8
8

333
3,482
350
917

7
3
25

3,158

434
540
6
17

3,028
3
322

232

5,531

105
474
38
26

3,219 17,244
4
506
369 2,047

4oi

6,838

340

67,005
617
7,371

324

4,549

502

4,046

77

San
Francisco

2,952

4,208

4,000

Dallas

4,955

27,041

57

Kansas
City

3,035
7
312

4,346

3,472

Minneapolis

4,io4

97,202

294
112
29

St.
Louis

6,637

Deaaand d e p o s i t s - t o t a l
Individuals, partnerships,
and corporations
Foreign governments, e t c .
U.S. Government
States and p o l i t i c a l
subdivisions
Domestic commercial "banks
Mutual savings banks
Foreign banks
C e r t i f i e d and o f f i c e r s 1 '
checks, e t c .

262

Chicago
City
Outside

Atlanta

Boston

5,206
11,730
574
1,226

August 22, 1963

Richmond

P h i l a - CleveNew York
City
Outside delphia land

Total, a l l
districts

L I AB I L I T I E

'

16

2,686
2,615

4,634
4,611

28

1,213

2

3,872
2,655

41
173
501
6,315

7,002

11
5
H3
220
1,009
12,053

2,767
2,723

2,673
2,662

4,123
4,070

y

781

1/

5

332
- 5
5
24

1,051

4

748
372
342
2

349
2

890
6

16,203
12,582
1,941
28

68

31

59

318

1,626

$

2

1

14
3

21
47
216

40
71

62

382

2,678
883

873

549
6,162

670
8,091

14
12
105
948
2,344
35,717

2,298
2,295

2,792
2,776

11,803
11,622

105

l/ Less than $$00,000.
U. S. Government, less cash items reported in process of collection; on
2/ Demand deposits adjusted (old basis) based on demand deposits other than interbank and
interbank and U. S. Government less cash items reported as in process
the revised basis this measure is based on demand deposits other than domestic commercial
of collection.
MOTE--Condition report tabulations shown above have been adjusted for current
Details may not add to totals because of rounding.




adjustment bank" totals.