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FEDERAL RESERVE BANK of KANSAS CITY JAN L.3.2 ~ 9 1962 library - 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 bills Treasury certificates Under 1 year After 1 year (Notes (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. Banks Other assets Total assets ASSETS OF WEEKLY REPORTING MEMBER B A M S TABULATED FROM REPORTS OF CONDITION SEPTEMBER 27, 1961 * Total, all districts Boston Cleve- RichPhilaNew York mond Atlanta City Outside delphia land 2,696 18,025 2,549 4,115 3,054 5,118 46 441 54 125 91 95 18,466 4,240 3,146 5,213 2,750 2,595 1,244 1,122 10,506 1,269 1,946 981 16 6 2 2 29 25 60 151 83 36 49 1,633 Chicago St. City Outside Louis 4,619 4,251 1,993 156 78 31 4,776 4,329 2,025 2,652 751 1,257 18 19 27 201 44 85 January 3, 1962 Minne- Kansas San apolis City Dallas Francisco 1,168 16,054 3,220 2,548 18 54 273 37 1,186 2,585 3,274 16,327 1,031 503 1,717 5,457 46 26 203 736 42 130 87 7 72,615 1,573 74,188 31,937 1,161 2,651 3,205 73 3,278 1,501 8 42 1,444 24 458 37 72 156 42 60 199 72 34 7 38 172 73 2,116 153 525 174 90 59 45 53 60 62 96 69 88 91 551 5,400 13,166 16,314 34,401 6,747 1,544 211 489 850 1,203 227 60 1,544 786 3,008 8,279 2,573 498 223 1,403 1,070 1,756 216 67 285 215 394 1,353 1,021 1,260 1,127 3,108 226 639 136 54 220 424 831 1,298 125 44 242 293 905 1,438 224 50 512 277 856 2,511 739 105 336 1,266 1,234 2,387 284 91 188 302 583 980 89 22 93 203 277 493 84 11 257 347 581 1,243 178 57 259 226 676 1,711 324 57 8l4 5,402 3,164 6,869 819 293 3,376 3,107 8,359 11,268 11,693 162 58 457 238 439 674 696 1,555 2,283 2,862 177 142 589 565 921 121 470 186 54 299, 979 699 373 330 1,031 128 146 368 487 386 123 208 342 492 363 189 208 518 752 9&7 187 199 637 9§8 889 213 98 232 326 229 54 58 124 162 138 152 145 305 406 351 117 159 324 731 421 611 750 1,629 2,768 2,387 28,362 11,657 ' 2,824 150 1,500 12,230 986 402 94 8 86 396 8,033 4,110 64 77 199 3,584 942 297 136 3 128 377 1,897 621 211 16 159 890 1,162 447 151 1 109 454 1,367 491 331 1 79 465 1,976 846 92 13 40 985 1,682 606 222 11 138 704 915 333 163 1/ 45 374 537 247 67 2 19 203 i,m 474 321 1 54 461 157 5.991 1,987 to. 186 161 7.891 183 5,767 11.^6 123 134 162 52 2,387 185 905 5,998 62 4.179 101 5,517 163 10.216 5,554 7,165 3LO20 4,510 151.581 1,120 434 122 6 89 469 136 9,371 1,62T 507 531 2 62 527 4,805 1,841 320 10 293 2,339 * Comparisons of weekly and official reports of condition at this date disclose more discrepancies than usual. In loans, they were largely incident to the new classification of commercial and industrial loans "by industry begun on that date; some revisions were made on the weekly but not on the official report, and vice versa. LIABILITIES OF WEEKLY REPORTING MEMBER BANKS TABULATED FROM REPORTS OF CONDITION SEPTEMBER 27, 1961 * L. 3.2(a) T iTl f A iTtD T i l iTi TfPTTPC* il X D Total, all districts Boston Phila- Cleve- RichNew York City mond Outside delphia land Atlanta 4,04l 24,630 4,062 3,818 6,388 3,786 Chicago City Outside St. MinneLouis apolis Kansas San City Dallas Francisco 14,541 4,728 3,940 Demand deposits - total 6,654 4,193 2,856 1,673 90,347 5,039 Individuals, partnerships, 2,884 4,786 16,883 2,945 and corporations 4,484 64,462 2,630 3,224 1,838 1,010 2,747 3,024 11,922 3,562 2,523 y 6 — 682 Foreign governments, etc. 2 1/ 84 2 29 15 535 5 3 266 U. S. Government 140 1,483 188 269 501 196 145 5,561 292 511 632 195 371 371 States and political subdivisions 244 622 112 4l6 4,658 456 8l4 296 341 201 265 107 383 263 137 Domestic commercial banks 616 11,044 82 506 2,916 1,067 267 1,179 928 455 552 798 715 390 573 — — 8 Mutual savings banks 486 4 1 281 1/ 114 1/ 4 30 38 7 6 Foreign banks 16 12 22 4 4 24 698 13 13 96 7 955 37 3 Certified and officers' checks, etc. 40 86 64 60 28 18 414 76 49 1,538 2,497 25 17 49 34 Time deposits - total 462 1,107 41,007 2,346 867 13,141 1,023 965 1,315 1,655 3,533 62950 3,055_ 1,246 3,335 Savings deposits 10,484 2,784 2 , % 2 ~SS3~ 2,Wf S3S" 1,000 T;£L5 2,902 813 674 782 29,322 33'8 753 Other deposits 200 241 112 8,445 510 178 183 165 1,322 302 149 3,702 319 505 558 U.S. Govt, and postal savings 4 162 4 2 2 50 36 2 30 9 3 3 7 3 7 States and political subdivisions 106 1,260 14 264 208 181 2,828 10 62 42 300 38 13 255 75 Domestic com'l banks (including mutual) 6 160 HO 6 1 2 4 1/ 1 2 2 15 3 3 5 Foreign banks 1/ 1/ 11 2 1/ 2 2 63 90 5 5 Borrowings 10 26 2,062 1,112 14 119 15 96 96 31 94 25 350 36 37 Other liabilities 88 116 208 216 4o 62 187 222 2,851 149 207 143 67 5,458 903 Capital accounts 2,084 443 714 1,076 524 502 3,643 378 12,707 915 554 199 493 585 599 Total liabilities and capital 31,020 39,186 7,893 11,336 5,517 151,581 4,179 2,387 7,165 5,998 10,216 9,371 5,554 5,767 5,991 Memoranda: Demand deposits adj.(rev.basis)2,' 2,660 4,118 16,120 3,391 1,663 11,494 3,446 4,714 2,638 62,085 896 2,556 2,350 3,258 2,783 Demand deposits adj.(old basis2? 888 2,602 4,065 14,607 3,334 2,346 11,309 1,659 4,697 2,593 2,547 3,432 2,767 59,960 3,115 : re]ported in process of collLection; on 2/ Demand deposits adjusted (old basis) based on demand depos:Its other than interbank and U.S., Government, less cash Items 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. Note - Condition report tabulations shown above have been adjusted for current "adjustment bank" totals. Details may not add to totals because of rounding. WW WW " WW " WW