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WEEKLY REPORTING MEMBER BANKS TABULATED FROM REPORTS OF CONDITION MARCH 1 2 , 1959 L.%2 ASSB MAY 1 0 IfrS&al, a i r Lets R E S E A R C H LII ( T O F F 55,862 Loans, net 1,257 Valuation reserves 57,096 Loans, gross Boston 2,51*6 & 15,879 372 1,992 71 2,226 22 1,323 21 27 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 Real estate To banks Other loans 1,319 9,757 1,1*13 11,859 21 1*02 26 651 U. S. Gov't s e c u r i t i e s - total Treasury bills Treasury c e r t i f i c a t e s Treasury notes U. S. bonds Other s e c u r i t i e s 30,61*8 1,119 1*21 61*7 820 2,392 22 672 60 587 2.U6U 3,521 6,827 17,837 9,175 7,51*9 13 " H O T 909 151* 3 2 5 1,762 598 3,6LU 379 2,172 1,103 51 26,177 985 7,1*08 3lh 3,186 751 231* 12,910 161 55 516 3 , 9 7 7 Other assets 2.771 116 1,11*8 Total assets 121,927 5,1W* 3U,U56 Cash, reserves, and bank balances - total Cash items in process Balances with domestic banks Balances with f o r e i g n banks Currency and coin Reserves with F.R. Banks Note 1/ 9.770 2,1*30 71 992 76 2,607 16,251 2,061* 2,301 XWr 10,61*6 "389" T 7 W 1 It* 1 9 30,162 633 1,921 (In millions of d o l l a r s ) | Phila- Cleve- RichNew York Atlanta delphia i a a i - 92 7 51 33 109 27!* 669 586 52 227 22 788 902 W 150 3,632 2,016 2 , 1 3 0 70 38 39 3,703 2,055 2 , 1 6 7 1,090 17727 W 11 9 3 109 31 37 H* 133 17 1* 173 32 37 19 319 71* 196 10 38 313 33 196 219 1* 61* 1*,1*37 21*7 2,109 228 688 U9 22 276 15 637 39 701* 21 661* 16 667 37 1*93 2 253 2 , 2 1 9 1,378 1,317 109 199 2,898 1§1 290 521 1,665 709 2,007 73T 151 522 1,258 515 91*9 38 1*89 1 , 2 7 9 251 556 257 288 1,11*8 1,1*17 T 2,002 938 108 321 995 1,61*6 366 551 17 126 252 953 31*6 67 225 781* 326 163 83 100 117 98 91 87 1*, 5bh 8,228 1,986 5,281 9,505 6,072 112™ 708 1,119 1,133 919 31*8 1,329 1*1*8 1,616 1*,060 1 1*86 1,1*18 io 1*72 2 1*7 215 8 399 538 227 72 1 11* 223 608 2,239 1*9 38 81* 180 1*90 6,1*38 3,861 2,155 5,123 6,267 21*,1*25 90 836 2 96 1,367 3S 710 31*9 6 37 1,069 2 72 31*1 161 61*6 120 272 526 299 1 55 535 768 121 19 1*8 118 305 1*81* 190 l,3WK 505 132 1* 75 629 81* 1* 1*8 1*91* It, 511* 31* 222 1*6 397 155 1 76 519 102 7 18 55 1*00 178 830 71 781* 263 677 1,171 615 221 502 May 7 , 1959 San St. Minne- Kansas Chicago Dallas City,,, apolis firangjgco City, 1 .Qutft3.deIFIBTS. 11,711 9 3 0 2,082 2 , 7 5 7 3,810 2,1*82 1 , 6 6 9 201* 50 1 6 27 3b 123 55 2,806 1 1 , 915 2 , 1 1 5 1,696 91*6 3 , 9 3 3 2,537 1*,666 1*63 1,01*2 17385 2,708 "T7W TO 101* 3ltl* 160 316 525 2,092 180 Condition report t a b u l a t i o n s shown above h a w been adjusted f o r current -adjustment bank" t o t a l s to make them comparable with P o l i s h e d weekly reporting member bank d a t a t h a t are similarly adjusted, and also, i n a few loan items, tor c e r t a i n continuing differences r e s u l t i n g from the weekly estimating procedures used for loans at 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* lass t h a n $ 5 0 0 , 0 0 0 . fa) t T L I AA Bo I TL Ti T i VXT nU*bC! LIABILITIES OF WEEKLY REPORTING MEMBER BANKS TABULATED FROM REPORTS OF CONDITION MARCH 12, 1959 (In millions of d o l l a r s ) May 7, 1959 San Total, a l l CleveNew York RichPhilaChicago S t . Minne- Kansas d i s t r i c t s Boston City Outslae delphia land mond Atlanta City Outside Louis apolis Citv Dallas Francisco 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 o f f i c e r s * checks,, etc* 81,506 3,766 23,9k2 2,623 3,336 61,605 1,398 3,032 18,011 60 k57 1,928 6k 2,650 k,2k9 2,770 2,516 106 k6 53 57 it, 121 10,562 1,58k 221 289 2,81*6 337 29 1,260 kkl 93 3 156 kl5 23 327 k98 10 208 k65 7 381 82k lk 28k 1,12k kk 329 k98 8 133 702 3 109 339 k 2,2)4 86 1,079 93 39 83 67 57 82 81 21 18 Time deposits - t o t a l Individuals, partnerships, and corporations U. S. Gov't and postal savings States and p o l i t i c a l subdivisions Domestic banks Foreign banks 28,575 699 5,256 l,kl8 652 2,006 908 932 1,813 1,806 659 2k,81k 660 3,39k 1,372 633 1,920 850 883 1,757 1,75k Borrowings Other l i a b i l i t i e s Capital accounts Total l i a b i l i t i e s and capital Memoranda* Demand, deposits adjusted Loans n e t , adjusted 5,273 3,57k 3,837 6,595 3,983 2,79k 1,51k 3,&k6 k,363 12,060 k,953 2,982 1,891 1,021 2,568 2,923 10,111 107 86 23 65 177 5k k3 298 259 871 1,02k 2 16 686 526 161 88 398 38k 728 1,281 10,053 630 373 703 1,089 8,796 k2 178 10 27 5 2 3 28 k 7 8 6 2 k 8 6k 1,560 10k 1,919 3 153 73 1,608 ko 1 v 9 1 7 83 1/ 27 2 1 k3 1/ 18 3 29 k3 1/ "1 21 2 y 9 1/ 20 1/ 183 2 908 20 2kk 1,508 3,107 10,238 52 572 138 l,k28 U89 3,258 56 73 3k5 55 79 k23 62 Ilk 773 57 72 375 63 70 378 18k 139 775 91 90 k69 3k 58 317 k6 36 175 92 55 k05 21 81 522 123 676 1,53k 122^927 5Ahb 3k»k56 k.Slk k, 5kk 8,228 k,986 5,281 9,505 6,k38 3,861 2,155 5,123 58,191 5k,169 3,025 16,19k 2,520 15,059 2,228 1,933 2,k80 k, 109 2,6k8 2,k27 2,20k 3.561 2,001 2,091 27 k,55l 2,887 1,701 3,789 2,k66 1,632 — 6,267 2k,k25 921 2,k60 2,783 928 2,0k9 2,752 9,777 ll,k6k