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RSEKAL MSERVE B A W
of K Ajr-C

DEC

ASSETS OF WEEKLY REPORTING BANKS TABULATED FROM REPORTS OF CONDITIONS
JUNE 30, 1969

Prf"
L.3.2
ASSETS

Total, all
districts Boston

Total loans and investments
Fed. Funds Sold/Secur. Purch.
Under Agree, to Resell-Total
Commercial Banks
Brokers and Dealers
Others

235,258
3,544
2,846
641
57

171,309
Other Loans — Total
78,945
Commercial and Indust. Loans
2,126
Agricultural Loans
4,710
Loans to brokers and dealers
Other loans for purchasing or
2,857
carrying—Other Securities
Loans to Nonbank Financial Inst 11,947
33,500
Real Estate Loans
2,346
Loans to Commercial Banks
19,708
Consumer Instalment Loans
15,170
All Other Loans

Phila- Cleve- RichNew York
mond
City Outside delphia land

9.874 54.614

17.923

8.957

871
866
1
5

196
108
88

115
114

97
97

1

17.280 11.261
406
402
4

139
136
3

San
Chicago
St. Minne- Kansas
City Outside Louis apolis City Dallas Francisco
8.954 50.576
5.121
9.532 15.523 18.007
5,297 2.340

Atlanta

179
148
26
5

218
218

291
286
3
2

98
63
35

9
9

54
54

135
135

734
210
484
41

7,099 42,994
3,486 25,575
13
9
36 3,334

12,061 6,722
4,200 2,908
9
49
76
172

11,308
5,018
8
106

7,932
2,834
77
90

6,659 11,091
2,704 6,538
45
46
392
50

12,606
4,056
55
63

3,666
1,639
36
39

1,733
746
12
9

3,683
1,483
217
30

6,310
3,173
117
39

37,444
14,584
1,433
273

34
368
1,432
37
847
851

876
3,539
3,547
1,065
1,564
3,481

86
72
639
693
3,529 1,151
75
241
997
2,074
780
1,031

262
586
2,584
115
1,524
1,106

69
462
1,780
15
1,859
746

86
432
960
24
1,180
1,176

410
1,172
949
179
596
811

90
811
4,695
79
1,843
915

53
348
601
27
482
442

58
178
278
16
202
233

90
340
529
15
453
527

383
602
627
21
651
697

289
1,778
10,837
438
5,439
2,373

U.S. Treasury Securities
Oblg. of States/Political Subd.
Other Bonds,Corp.Stocks/Secur.

23,085
33,608
3,712

841
1,743
94

4,202
5,959
587

1,771
3,605
289

794
1,254
72

2,018
3,362
185

1,419
1,609
162

1,183
1,305
206

1,840
2,073
302

2,196
2;584
330

660
770
103

185
389
24

542
674
168

949
1,443
117

4,488
6,838
1,071

Cash Items in Process of Collect.
Reserves with F.R. Banks
Currency and Coin
Balances with Domestics Banks
Investments in Subsid. not Consol.
Other Assets

40,683
14,744
2,845
4,994
496
13,022

1,364 20,878
673 3,931
360
145
406
143
261
27
477 4,817

1,242
985
337
399
4
646

976
570
171
250
40
359

1,526
1,001
256
326
3
518

1,281
777
249
284
4
410

1,535 1,906
706
528
93
145
164
494
16
13
853
. 485

1,928
995
293
576
25
596

772
300
57
210
5
182

424
81
16
63
2
111

887
371
51
264
3
227

1,344
769
75
519
7
415

4,620
3,057
596
897
86
2,928

312,041

12,702 85,266

12,732 19,260 22,419

6,823

3,036

6,924

12,081

62,759

Total Assets




21,535 11,324 20,911 14,266

L.3.2(a)

LIABILITIES OF WEEKLY REPORTING BANKS TABULATED FROM REPORTS OF CONDITION
JUNE 30, 1969
iln millions of dollars)

Total, all
districts

L IA B IL ITIES
Demand deposits - total
141.753
IPC
96,069
States etc.
7,870
U. S. Govt.
3,949
Domestic interbank: Commercial
19,657
Mutual savings
942
Foreign--Govt,, Official, Inst. Etc
778
Commercial Banks
2,058
Certified & Officers' Checks
10,429
103,613
Time and Sav. Deposits — Total
Indiv., Part., and Corporation-47,900
Savings Deposits
40,939
Other time Deposits
244
U. S. Government
9,422
States and Political Subdivisions

Boston

428
34
4,425
222
10,358
2,830

Commercial Banks
Mutual Savings Banks
Foreign--Govt&, Official, Inst. Etc
Commercial Banks
Federal Funds Purch. and Sec. Sold
Under Agreement to Repurchase
Borrowings-Other Liabilities
Reserves for Loans
Reserves for Securities
Total Capital Accounts
Total Liabilities and Capital
Demand Deposits Adjusted
Note:

6.067
4,629
496
136
513
141
5
49
97
3,473

Phila- CleveNew York
City Outside delphia land

45.260
23,700
1,180
950
9,028
636
619
1,486
7,661
14,269

3
20
72
4,021

8,337 8,303 3,406
6,067 6,122 2,203
118
326
691
68
292
255
966
1,306
954
-2
1
-- 17
8
69
44
39
235
258
5,942 10,636 2,150

4,939
2,702
1
961

2,695
2,017
10
349

1,819
1,798
6
344

2,565 4,776
2,634 4,743
3
1
421 1,055

251
8
2,768
139

8
5
58
2

463
259

2,539
602

805
204

4,053 14,404

MinneSt.
Louis apolis

6,579
4,332
747
108
1,298

19
17
70
2

77,463

Chicago
City Outside

6.940
5,466
469
238
572
9
59
14
113
5,121

5,075
2,809
57
930

1,280 15,515
148 1,050
3
3
1,010 6,027
12,702 85,266

Atlanta

8.600
8.937 5.306
6,713 3,999 . 6,855
225
517
1,330
162
351
209
665
680
191
40
9
78
—
—
10
8
27
49
54
177
141
355
8,700
8,945 3,926

1,577 4,644
1,446 5,903
53
8
503
334

26,998
3,565
113
22,809
312.041

Richmond

1,669
2,016
1
108

--

839
1,060
--

232 "

17

14

27

10

23

— mm

— •

mmmm

— —

— —

- -

—

113
4

77
7

48
1

28
1

295
15

15
19

13

479
96

541
95

305
109

428
190

883
351

720
204

405
43

466
792
155
282
3
895
1,569
21,535 11.324

875
219
25
1,855
20.911

836
348
1,857
584
229
297
132
146
6
9
6
6
1,486
1,586
1,055 1,027
14.266 12,732 19,260 22,419

163
61
10
585
6,823

3,488

6,059

5,164

1,598

•

7,296

•»

1

4,849

3,639

4,832

5

— —

Dallas

San
Francisco

8
40
836

4
71
2,146

6,058 22.763
4,167 18,424
1,106
355
800
164
1,113
1,219
20
2
53
4
201
25
1,048
121
3,666 29,781

200
581

796
1,135
17
192

1,017
1,943
12
659

15,288
10,151
75
3,288

5

27
1
6

21
1
931
26

233
53

735
271

1,498
343

136
90
30
71
1
5
608
221
3,036 6,924

259
118
12
963
12,081

3,799
627
26
3,922
62.759

1,833

3,330

16,232

1,520 3,677
970 2,423
222
89
162
53
356
795
-4
— —

-—

44
1
1
3
6
324
10

687

Condition report tabulations shown above have been adjusted for current "adjustment bank11 totals and hypothecated deposits.
Details may not add to totals because of rounding. No figures are shown for amounts less than $500,000.




Kansas
City

— —

--— —