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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM L.5-5 C Q N F n p m m M PRESERVE B A N K May 18, 1962 -.—CONDITION OF WEEKLY REPORTING MONEY MARKET BANKS of K A N S A S I f l / n v\<nl A'f +V\A *v»n o -? rl -i -l n 1 ^ V 1 M A Y 2 4 1962 — Research Library — A S S E T S Money Market Change Apr. Apr. 18, 25, 1962 1962 (In Total loans and investments 88,777 Loans and investments adjusted 1/ . 87,607 Loans adjusted 1/ 54,986 26,120 Commercial and industrial loans Agricultural loans 830 Loans to brokers and dealers for purchasing or carrying: U. S. Govt, securities 749 Other securities 1,934 Other loans for purchasing or carrying: U. S. Govt, securities 79 1,051 Other securities Loans to nonbank financial institutions: Sales finance, personal finance, etc. 2,519 Other 1,749 672 Loans to foreign banks Real estate loans 9,152 11,422 Other loans 1,170 Loans to domestic commercial banks 22,340 U. S. Government securities - total 3,026 Treasury bills 1,828 Treasury certificates of indebtedness Treasury notes and U. S. bonds maturing: Within 1 year 4,534 1 to 5 years 9,938 After 5 years 3,014 Other securities 10,281 Reserves with F. R. Banks 10,094 Currency and coin 947 Balances with domestic banks 1,326 Other assets - net 3,788 Total assets/liabilities ll4,377 - + - + 33,312 32,875 19,497 6,658 534 + 50 + 61 + 96 257 423 117 374 + 57 22 11 99 38 361 - 14 11 8 37 52 3 317 324 9 90 543 161 700 134 165 ,413 + 387 + 840 747 575 28 4,688 5,809 437 9,757 1,011 537 2 +1; 575 1,805 4,870 1,534 3,621 2,704 624 1,448 905 4i,402 645 648 284 209 9 +6,806 +6,971 +3,062 + 804 + 157 216 11 + + + + - - + + + + + + - + + 1 • w w. 4 47 + 312 + 23 14 2 -1,,908 - - Other WRMB Banks Change since since Apr. Apr. 18, Apr. 26, Apr. 26, 25, 1961 1962 1962 1961 millions of dol]Lars ) - + + + + -1,Ibk 245 +2,496 +1,016 + 110 79 + 168 -7,944 + 1 +2,665 +2,452 +1,620 + 239 + 51 - - + 97 + 6 59 + 2 3 4 + 46 + 20 11 27 20 + 5 + + + + + + + + + 67 193 2 368 584 213 344 70 218 4 26 + 18 8 -206 +17 83 3 -461 + 351 - 189 — 106 + 488 8 + 63 80 + 119 +2,938 1 - - - L I A B I L I T I E S Demand deposits adjusted 2/ 46,401 + + 394 17,920 - 97 73 - 137 Demand deposits - total 3/ 65,845 -1,710 + 936 +1,182 23,719 -522 Individuals, partnerships, and corporations^921 -1,059 + 611 + 245 17,353 -358 States and political subdivisions 2,717 + l4l 22 61 2,429 + 72 U. S. Government • 1,997 + 517 + 225 +1,292 596 + 82 Domestic interbank: Commercial 8,002 - 718 + 138 + 104 2,79k -271 Mutual savings 413 + 28 2 85 - 4 35 Foreign: Govts., official insts., etc. 669 + + + 121 89 23 + 7 5 Commercial banks 960 + 14 63 - 8 25 3 Time and savings deposits - total 4/ 32,322 + 43 +5,629 13,191 + 25 +1,709 Individuals, partnerships, and corporations: Savings deposits + 920 10 +2,984 10,178 21,545 + 35 Other time deposits + 577 +1,764 5,850 32 1,971 13 States and political subdivisions + 454 + 204 2,444 + 1 29 937 Domestic interbank + + 6 28 160 1 47 Foreign:- Govts., official insts., etc. + 8 1 2,072 + 15 + 344 Commercial banks + 4 10 113 3 Borrowings: From F. R. Banks + 173 20 82 .62 174 92 From others + 364 62 27 227 1,749 - 220 Other liabilities + 64 880 2 4,438 + 56 57 C: A- P I T A L A^ C C O U N T S 4 217 532 9,8^9 3 — 2,293 1j Exclusive of loans to domestic commercial 1)sinks and after deduction of valuation reserves; individual loan items are shown gross. 2/ Includes all demand deposits except those of U. S. Government and domestic commercial banks, less cash items in process of collection. 3/ Includes certified and officers' checks not shown separately. %J includes time deposits of U S• Government and postal savings not shorn separately. 3 t