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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