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Assets of Weekly Reporting Member Banks Tabulated from Reports of Condition March 4, 1958 (in millions of dollars) L.3.2 ASSETS Total all districts Boston San St. Minne- Kansas Chicago Phila- Cleve- RichNew York City Outside delphia land mond Atlanta City Outside Louis apolis City Dallas Francisco Loans, net Valuation reserves Loans, gross Commercial and industrial Agricultural To brokers and dealers Other loans for purchasing or carrying securities Real estate To banks Other loans 54,232 1,144 ^37_9_ 29,942 458 16,218 2,366 2,489 59 .2^48 1,441 9 33 1,219 8,733 1,542 11,120 14 359 74 618 409 541 705 2,201 22 623 14 577 U. S, Gov't securities - total Treasury bills Treasury certificates Treasury notes U. S. bonds Other securities 27,529 2.,012 1,104 4,930 19,485 8,426 1,050 "63" 72 223 692 365 6,173 721 177 1,004 4,270 2,150 1,052 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. Banks 25,660 9,031 2,475 50 885 13,219 1,015 339 91 5 59 521 .TZ.554 3,127 48 23 128 4,227 -747 215 112 2 70 349 Other assets 3,005 119 1,350 83 Total assets 118,858 5,038 33,444 4,282 SB 355 16.572 11,260 1 1,430 1,909 69 666" 14 64 W 49 146 774 490 1,916 2 122 1,932 35 1,967 858 10 55 38 203 55 781 126 785 31 736 45 354 15 631 55 177 51 635 773 18™ 70 120 545 311 2,144 ""So 95 585 1,384 613 48 193 982 307 .1*212 W 85 248 801 297 2,174 67 2,242 1,094" 1 69 3,559 64 21 1,881 |90—lj.6: ?9Q_ h&l. 3 A 3 i 36 353 178 150 83 1 2 3 89 45 75 894 491 525 n 4,346 3,789 116 35 1>9?2_ JU22L 987 2,773 8 9 159 39 2,412 53 2,464 1^047 4 l4l 205 5 613 56 627 32 637 2,566 .1*944. "276" 83 408 1,800 681 l,28l_ 2,064 " T29 313 46 492 61 ' '672" 127 3 39 1,224 65 40 305 1,533 452 1,602 27 1,630 Bl2 13 39 24 278 865 15 881 "S29 16 8 8 11 454 184 2 234 919 61 42 189 628 229 451 25 21 90 316 151 1,316 W 128 3 70 676 883 292 148 32 411 199 71 1 13 219 1,879 28 1,907 930 114 62 2,630 M93 30 39 10,904 175 11*222^,306 227 186 181 202 77 608 72 3,911 404 1,973 65 281 783 322 61 192 835 271 ..I? 607 322 196 946 4,142 1,787 1,274 383 350 1M5. 37 504 3& 482 2 44 556 3*802 1,33c 194 5 138 2,130 28 284 66 422 .1*211 "62" ui 91 89 80 84 55 31 67 192 552 8,067 4,733 4,795 9,181 6,206 3,690 2,002 4,753 5,669 22,652 Note. - Condition report tabulations shown above have been adjusted for current "adjustment bank" totals to make them comparable with published weekly reporting member bank data that are similarly adjusted, and also, in a few loan items, for certain continuing differences resulting from the weekly estimating procedures used for loans at large branch'•banking organizations in the San Francisco District. Details may not add to totals because of rounding. L ^ 2(a) T AT fllH TI fD Q L IT A B 2ITLTI T TI Liabilities of Weekly Reporting Member Banks Tabulated from Reports of Condition March 4, 1958 (in millions of dollars) Total all JDVB uOIl districts New 3fork Phila- Cleve- Rich- A "f" 1 r> y<i 4-o Chicago St. Minne- Kansas T\n 1 1 A fi San B. UXu,Il UU JJUXX&s City Outside delphia land mond City Outside Louis apolis City Francisco Demand deposits - total Individuals, partnerships, and corporations U. S. Government States and political subdivisions Domestic banks Foreign banks Certified and officers' checks, etc. 78,571 3,757 23,562 2,575 3,281 5,190 3,440 3,514 6,389 3,964 2,690 1,451 3,653 3,996 11,109 57,355 2,407 2,963 108 17,029 789 1,866 79 2,512 94 4,058 159 2,589 94 2,248 71 4,532 208 2,820 180 1,735 69 914 43 2,365 83 2,712 79 9,013 351 4,345 10,805 1,501 206 366 28 369 2,977 1,210 94 4 145 471 20 341 541 10 212 486 7 363 786 12 361 1,171 36 359 541 8 122 740 4 135 341 4 282 876 2 212 919 18 803 496 138 2,160 87 1,188 97 39 81 52 35 81 57 19 15 46 56 308 Time deposits - total Individuals, partnerships, and corporations U. S. Gov't and postal savings States and political subdivisions Domestic banks Foreign banks 26,114 641 4,604 1,309 567 1,919 858 843 1,765 1,664 620 348 660 1,075 9,240 22,536 605 2,912 1,275 547 1,837 790 804 1,703 1,631 589 341 634 863 8,005 138 7 23 3 2 3 24 5 3 9 6 1 5 12 35 1,473 57 1,905 l 28 3 11 2 5 78 1 38 2 4 33 1 20 1 38 20 198 1 27 166 35 1,468 826 12 362 1,068 3,365 9,741 13 148 479 470 1,668 3,140 158 132 737 118,856 5,038 33,444 54,829 52,690 2,917 2,415 15,459 15,513 Borrowings Other liabilities Capital accounts Total liabilities and capital Memoranda: Demand deposits adjusted Loans net, adjusted 435 -- — — * - - -- - - - - - - 12 36 155 18 51 372 16 104 478 183 664 1,455 4,795 9>181_. 6,206 3,690 2,002 4,753 5,669 22,652 2,217 1,865 4,302 3,784 1,584 1,591 865 863 2,310 1,813 2,599 2,507 10 59 365 15 76 348 4,282 4,346 8,0$% 4,733 2,183 1,895 2,328 2,119 3,981 3,528 2,500 1,917 «•» — -- 14 66 301 105 129 725 3 67 327 - - 51 84 441 80 418 , 6 24 24 - * 2,798 2,380 1 8,788 • 10,500