View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

y>l

FEDERAL RESERVE BANK
of KANSAS CITY
AUG

2

1962

Research Library —
L.3.2
ASSETS
Loans, net
Valuation reserves
Loans, gross
Commercial and industrial
Agricultural
To "brokers and dealers
Other loans for purchasing
or carrying securities
Loans to domestic commercial
and foreign banks
Loans to other financial
institutions
Real estate
Other loans
U.S. Govt, securities - total
Treasury hills
Treasury certificates
Under 1 year (Botes
(Bonds
After 1 year ,(?0tf
'
(Bonds
Other securities
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. "Rar'Vg
Other assets
Total assets
l/ Less than $$00,000.




ASSETS OF WEEKLY REPORTING MEMBER BASKS TABULATED FROM REPORTS OF OOHDHEIOIT
MARCH 26, 1962
Total, all
districts
76,021
1,715
77,736
33,135
1,377
3,318

Boston
3,175
78
3,253
1,529
9
41

New York
City Outside
19,646 4,144
494
136
20,140 4,281
11,050 1,180
11
28
2,059
77

Philadelphia
2,990
97
3,087
1,236
4
79

July 27, 1962

Cleve- RichChicago
St. Minne- Konanc,
San
land
mond
Atlanta City Outside Louis apolis City Dallnfl Francisco
5,250 2,614 2,854 4,933 4,419 2,103 1,145 2,663 3>35
16,650
102
166
84
40
49
58
61
19
35
297
5,352 2,663 2,912 5,099 4,503 2,138 1,163 2,703 3,495
16,946
2,016
804
989 1,193 2,818 1,281
5,642
534 1,073 1,787
44
22
23
3
27
832
255
33
35
53
65
155
131
110
219
12
52
74
191
52

1,511

29

466

38

75

157

48

48

203

72

38

11

46

18?

92

2,328

48

784

130

94

87

32

87

89

108

93

8

83

123

563

5,401
13,620
17,045
32,179
4,617
2,389

221
512
863
1,153
198
145

1,447
272
898 1,424
3,426 1,131
6,748 1,716
1,468
151
101
595

202
400
995
1,094
120
92

283
1,368
1,282
2,889
267
299

213
427
867
1,346
137
62

256
315
917
1,443
152
67

598
305
844
2,479
693
208

309
1,313
1,255
2,395
194
95

204
310
588
963
109
130

99
203
260
- 480
36
26

230
347
616
1,272
189
107

250
245
742
1,567
123
82

817
5,553
3,256
6,637
781
380

5,146
1,258
7,856
10,913
13,208

167
2
435
205
468

269
56
602
536
956

154
34
320
374
330

671
34
936
681
1,279

232
62
359
494.
396

294
76
330
525
393

222
20
563
775
1,088

388
159
590
969
- 975

199
11
209
305
249

84
20
126
187
172

203
54297
422
373

233
59
30T
763
46T

1,046
219
1,338
2,873
2,730

29,009
11,863
2,899
166
1,480
12,601
4,625
155,042

1,143
419
108
8
83
524
150
6,088

1,193 1,843
602
465
207
153
18
7
151
77
866
492
140
184
5,746 11,445

1,103
4o4
146
2
101
449
126
5,584

1,499 1,829
612
567
115
350
1
12
80
42
501 1,048
l4l
190
6,330 10,519

1,658
564
218
9
135
732
176
9,623

895
302

522
260
56
3
18
185
56
2,374

1,284
439
325
1j
52
468
107
5,698

983
454
1,445
. 1,804
3,334

8,086 1,027
4,448
351
60
144
82
4
225
123
404
3,271
181
2,000
39,815 8,024

f45

384
63
4,274

1,748
562
537"
3
56*
591
197
7,413

. 5,180
1,868
317
17
293
2,685
914
32,111

L.3.2(a)
LIABIL ITIES
Demand deposits - total
Individuals, partnerships,
and corporations
Foreign governments, etc.
U.S. Government
States and political
subdivisions
Domestic commercial "banks
Mutual savings banks
Foreign banks
Certified and officers1
checks, etc.

T.TAPTT.M'TRq OF WEEKLY REPOKEUKJ MEMBER BANKS TABOLftlED FROM REPORTS OF OOHDITION
MARCH 26, 1962
(in mil Hons of dollars)
San
St. M i n n e - Kansas
Chicago
Phila- Cleve- RichSew York
Total, all
Francisco
Dallas
apolis
City
Louis
mond Atlanta City Outside
districts Boston City Outside delphia land
4,103 24,735 3,840 3,814 6,145 3,715 4,262 6,256 4,964 2,846 1,565 3.921 4,732 14,573
89,470
64,136
644
4,714
4,701

10,861
508
1,094

2,812

3,182 16,786
484
5
220 1,386

2,868
3
196

2,927
6
206

4,735
i/
397

2,744
26
194

2,714
2
182

4,389
14
394

3,518

1,816

999

2,522

335

137

84

232
1,096
1
39

432
600

151
717

272
238
112
29

229
2,925
289
812

587
70
38
18

91
475
41
26

393
531
5
14

285
419
9

420
906

6

8

' 45
1,096
806
239
7

1,826

61

4o

70
3,840

31
1,209
906
204
26

30
1,409
1,042
231
3

y

X

64
92
2,741 3,696
2,040 3,034
666
356
7
; _ 5.

18

159

3,146
3
154

11,790
102
671

108
346
4
5

299
898

1,108

260

941
532
8
99

19
558
336
209
2

39
1,164
898
210
2

3

Ik
47
1,893
882
663
7

430
14,138
11,090
1,463
62

941
7,652 3,360 1,256
44,952.
Time deposits - total
650
919 2,986
3,301 2,590
Savings deposits
31,479
244
612
301
3,900
433
Other deposits
9,731
4.
4
2
2
42
U.S. Govt, and postal savings
176
States and political
1,492
11
52
43
333
15
119
28
238
72
326
; 294
209
3,264
30
subdivisions
Domestic com'l banks (in14
y
6
1
k
1
1/
129
187
3
5
5
cluding mutual)
5
17
y
2
10
1
1
8
70
3
115
IJ
it
Foreign banks
368
42
71
26
24
9
365
117
25
2
836
42
37
7
1,972
Borrowings
834
64
4o
92
208
63
166
120
227
248
229
135
245 2,886
5,557
Other liabilities
2,198
625
508
203
731
397
931
457
515
602 3,705
569
539 1,113
13,092
Capital accounts
6,088 39,815 8,024 5,746 11,445 5,584 6,330 10,519 9,623 4,274 2,3T4 5,698 7,413 32,111
155,042
Total liabilities and capital
Memoranda:
866 2,421 2,891 11,293
1,683
2,656 2,597 4,101
3,080 14,393 3,16
59,786
Demand deposits adj. (rev. basis
1,691
2,607
4,155
2,697
3,224
15,978
3,226
Demand
deposits
adj.
(old
2/J
1
62,032
|
3,22b
|
l?,y(o
I
I
a,ooo
.
4,01.3
I
l
a.wt
I
3
.
^
1
1
"17 |2.424 [8,908
4,7^ 111.502
old
basis
2
J
S
remand
(
f£
2/ remand depositsadjusted fold basis) based on demand deposits other than interbank and U.S. Government, less cash items reported in process of collection;
on the revised basis this measure is based on demand deposits other than domestic commercial interbank and U.S. Government less cash items reported as in
process of collection.
Ijote Condition report tabulations shown above have been adjusted for current adjustment bank totals. Details may not add to totals because of rounding.




ill