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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.




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