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FfDERAL RESERVE BANK of KANSAS CITY AUG 2 0 1962 L-5-5 CONFIDENTIAL BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM August 14, 1962 [(forarV * • CONDITION OF WEEKLY REPORTING MONEY MARKET BANKS (and, of the residual WRKB series) Money Market Banks Other WRMB Change since Change since June June June 14, June 6, June ±k, June 6 7 13, 13, 1962 1962 1962 1961 1962 1961 of dollars) (In millions A S S E T S Total loans and Investments 89,799 + 924 Loans and investments adjusted 1/ 88,3U1 + 812 Loans adjusted 1/ 55,292 + 301 Commercial and industrial loans 26,093 + 56 Agricultural loans 857 + 7 Loans to brokers and dealers for purchasing or carrying: U. S. Govt, securities 638 + 214 Other securities 1, 585 67 Other loans for purchasing or carrying; — mm , U. S. Govt, securities 61 Other securities l, 016 18 Loans to nonbank financial institutions: Sales finance, personal finance, etc. 2, 678 19 Other 1,784 + 37 Loans to foreign banks 666 + 14 Real estate loans 9,4oi + 58 Other loans 11,802 + 20 Loans to domestic commercial banks 1,458 + 112 U. S. Government securities - total 22,446 4- 100 Treasury bills 3,050 + 199 Treasury certificates of indebtedness '1,559 - 12 Treasury notes and U. S. bonds maturing: Within 1 year 10 4, 780 + 1 to 5 years 6 9,805 After 5 years 91 3,252 Other securities . 10,603 + 4 n Reserves with F. R. Banks 9,885 + 240 Currency and coin 961 + 83 Balances with domestic banks 1,428 + 47 Other assets - net 44 3,791 Total assets/liabilities 116,977 +2 ,475 +6,158 +5,510 +3,519 +1,059 + 181 33,748 +127 33,299 + 12 19,783 + 97 . 6,801 + 47 532 + l + 349 231 75 355 - 15 1 17 32 + 1 338 - 9 - + +2,645 +2,323 +1,708 + 316 + 60 + + 4 4 73 9 5 67 484 140 909 669 648 963 972 280 752 601 41 4,760 5,926 449 9,809 l, 015 579 + 13 + 14 + 3 + 19 + 23 +115 -111 -114 + 9 + 49 + 198 4 16 + 389 + 639 + 322 4 94 i4o + 88 +1,177 -1,128 4240 +2,954 4* 222 4 106 189 4 259 +6,715 1,938 4,601 1,676 3,707 2,895 622 1,517 881 42,499 + 57 - 64 + 1 + 26 -233 + 54 + to - 5 +221 + 377 4ll + 180 + 521 + 189 + 54 239 + 72 +2,,871 897 820 345 67 4 327 409 ' 10 29 4 82 +5,578 17,740 24,441 17,518 2,457 870 2,995 92 19 66 13,509 +229 +331 +546 -116 -112 - 16 - 5 + 2 + 2 + 28 10,281 2,189 929 29 34 5 22 279 923 3,325 + + 4 - 4. + + + + 4. - - - - - - L I A B I L I T I E S 4s,029 +1,036 Demand deposits adjusted 2/ 67,046 +1,815 Demand deposits - total 3/ Individuals, partnerships, and corporations 49,243 +2,497 2,421 - 187 States and political subdivisions 2,444 - 48i U. 8. Government Domestic interbank: Commercial 8,460 4 35 Mutual savings 417 24 Foreign: Govts., official insts., etc. 553 + 7 Commercial banks 1,016 15 Time and savings deposits - total 4/ 33,321 + 147 Individuals, partnerships, and corporations: Savings deposits 21,982 + 73 Other time deposits 6,341 + 115 States and political subdivisions 24 2,482 Domestic interbank 168 3 Foreign:- Govts., official insts., etc. 14 2,095 Commercial banks 4 110 w Borrowings: From F. R• Banks 51 + 49 From others 2,018 + 464 Other liabilities 4 4,601 + C A P I T A L A C C O U N T S 9,940 - - - - - +2,946 +1,817 + 4ll 4 46 4 311 425 + 51 +1,329 + 23 4 + 554 19 7 13 4 2 233 697 + 295 + 54 + 199 + 115 + 8 3 + 12 +1,790 4 + - + 868 + 739 + 178 + 4 + 3 1 + 5 + 86 + 73 + 220 - - 2 -146 + 15 - 5 lvgo> individual loan items are shown gross. reserves: 2/ Includes all demand deposits except those of U. 8. Government and domestic commercial bonks, less cash items in process of collection. » 3/ Includes certified and officers' checks not shown separately. includes* time deposits..of, U . S . Government and postal savings not shown separately.