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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM H.4.2 (For Immediate Release) September 2, 1959
CONDITION OF WEEKLY REPORTING- MEMBER BANKS IN LEADING CITIES
The condition statement of weekly reporting member tanks in leading c i t i e s shows the fo l lowing principal changes for the week ended August 26: Decreases of $ l 8 l mi l l i on in holdings of U. S. Government s e c u r i t i e s , $'+37 mi l l ion in U. S. Gov-ernment demand deposi ts , and $456 mi l l ion in demand deposi ts credited t o domestic banks, and an increase of $756 mi l l ion in demand deposi ts adjusted.
Commercial and industr ia l loans increased $98 mi l l i on; loans t o brokers and dealers for purchasing or carrying U. S. Government and other s e c u r i t i e s decreased $65 mi l l ion; and loans t o noribank f inanc ia l i n s t i t u t i o n s decreased $64 mi l l ion at a l l reporting member banks.
Borrowings of weekly reporting member banks from Federal Reserve Banks decreased $56 m i l l i o n and borrowings from others increased $171 m i l l i o n . Loans t o domestic commercial banks increased $177 m i l l i o n .
Increase or August 26, decreac 5e since
1959 August 19, August 27, 1959 1953
A S S E T S (In millions of dol] Lars) 105,249 103,876
64,609 29,008
927
406 1,697
166 1,259
4,033 1,528
613 1,373
12,350 13,984
29,267 2,378 1,095
+ +
28 149
21 98
2
4) 69)
1) 5)
- 27 - 37 - 6) + 177) + 26 + 42
181 82
1
Total loans and investments Loans and investments adjusted 1 / Loans adjusted l /
Commercial and industr ia l loans Agricultural loans Loans t o brokers and dealers for purchasing
or carrying: U. S. Govt, s e c u r i t i e s Other s e c u r i t i e s
Other loans for purchasing or carrying: U. S. Govt, s e c u r i t i e s
Other s e c u r i t i e s Loans t o nohbank f inanc ia l i n s t i t u t i o n s :
Sales f inance, personal finance, e t c . Other
Loans t o foreign banks Loans t o domestic commercial banks Real e s ta t e loans Other loans
U. S. Government s e c u r i t i e s - t o t a l Treasury b i l l s Treasury c e r t i f i c a t e s of indebtedness Treasury notes and U. S. bonds maturing:
Within 1 year 1 t o 5 years After 5 years
Other s e c u r i t i e s
Reserves with F. R. Banks Cash in vaul t Balances with domestic banks Other a s s e t s - net Total a s s e t s / l i a b i l i t i e s
L I A B I L I T I E S Demand deposi ts adjusted U. S. Government demand deposits Interbank demand depos i t s : Domestic banks
Foreign banks Time depos i t s : Interbank
Other Borrowings: From Federal Reserve Banks
From others 1 / Exclusive of loans t o domestic commercial ban:
reserves; individual loan items are shown gross . n . a . - Not avai lable on comparable bas i s ; reporting form revised July 8, 1959• * August 19 f igures revised.
+1,579 n .a. n • a • n . a .
+ 113
+ 4l6
+ 147
n .a . n . a .
+ 358 +1, 503
n . a .
-6,317 + 837 -3,534
1,762 • 38*) 17,379 - 39*) -3,620
6,653 - 21 ) - 362 10,000 + 11 - 362
13,153 + 36 - 424 1,195 + 37 + 10 2,612 - 113 - 93 3,072 - 54 - 15
134,489 - 881 +2,047
60,776 + 756 + 823 3,856 - 437 - 25
10,239 - 456 - 952 1,403 • 38 - 216 1,701 + 7 - 439
30,690 - 28 + 433 326 - 56 + 215
2,037 + 171 +1,015 and a f t e r deduction of valuatioi
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM H.4.3 (For Immediate Release) August 27, 1959
CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES
( i n mi l l i ons of do l lars ) New York City Chicago
Aug. 2 6 ,
1 9 5 9
Increase or decrease s ince Aug.
2 6 , 1 9 5 9
Increase or decrease s ince Aug.
2 6 , 1 9 5 9
Aug. 1 9 , 1 9 5 9
Aug. 2 7 , 1 9 5 8
Aug. 2 6 ,
1 9 5 9 Aug. 1 9 ,
1 9 5 9 Aug • 27,
1 9 5 8
A S S E T S
Total loans and investments Loans and investments adjusted l / Loans adjusted if
Commercial and i n d u s t r i a l loans Agricul tural loans Loans to brokers and dealers f o r
purchasing or carrying: U. S. Govt, s e c u r i t i e s Other s e c u r i t i e s
Other loans f o r purchasing or carrying: U. S. Govt. s e e s .
Other s e c u r i t i e s Loans to nonbank f i n a n c i a l
i n s t i t u t i o n s : Sa les f inance , personal
f inance , e t c . Other
Loans t o fore ign banks Loans to domestic commercial banks Real e s t a t e loans Other loans
U.S.Government s e c u r i t i e s - t o t a l Treasury b i l l s Treasury c e r t , of indebtedness Treasury notes and U. S. bonds
maturing: Within 1 year 1 to 5 years A f t e r 5 years
Other s e c u r i t i e s Reserves with F. R. Banks Cash i n v a u l t Balances with domestic banks Other a s s e t s - ne t Total a s s e t s / l i a b i l i t i e s
L I A B I L I T I E S
2 5 , 6 9 1 7 3 6 4 7 , 4 0 7 + 5 5 - 8 2 5 , 2 2 6 1 0 n . a . 7 , 2 8 2 - 27 n . a . 1 6 , 8 5 9 W 4 n . a . 4 , 2 0 0 - 16 n .a .
9 , 8 9 0 + 5 4 n . a . 2 , 5 3 7 + 6 n . a . 1 1 3 + 7
2 2 5 1 5 + 8 6 2 0 - 4 + 8 1 , 2 2 2 - 4 8 + 3 2 3 1 0 4 - 2 2 + 9
4 3 l + 1 6 16 - 5 4 1 6 + 3 + 7 0 1 5 5 - 1 + 3 3
1 , 4 1 7 - 2 7 3 0 4 - l 4 1 2 + 7 ) 4 6 5 - 6 3 ) 8 0 5 + 7
2 , 5 2 0 + 1 7
6 , 0 1 1 27 831 - 4 1 1 7 - 9
n . a . n . a .
+ 54 + 218
n . a .
- 1 , 9 7 4 + 394 - 1 , 0 4 5
4 8 1 8 5 16
1 2 5 2 5 4 6 4 6
2 , 3 4 6 160
9 3
+ 9 - 1 - 1) + 82) - 2
n . a . n . a . + 28
+ 5 1 n .a .
- 9 - 6 8 4 - 16 -117
- 3 9 7
3 7 5 - 7 ) 1 2 6 + 5 ) 3 , 3 5 0 - 6 ) -1 ,323 1 , 4 2 0 + 9 ) - 1 7 0 1 , 3 3 8 - 1 ) 5 4 7 - 7 ) 2 , 3 5 6 + 2 1 - 119 7 3 6 - 2 6
3 , 6 4 6 + 3 5 - 268 1 ,081 - 5 -136 1 4 5 + 6 3 7 - - - 1
5 0 - 10 + 5 1 2 4 - - - 1 5 1 , 1 9 4 - 52 - 5 8 92 2 - 4 2
3 3 , 6 5 8 - 1 7 5 + 16 9 , 4 3 9 - 8 - 1 5 5
Demand depos i t s adjusted 1 5 , 2 3 4 + 1 9 5 - 1 4 5 4 , 3 7 9 + 1 4 3 - 1 0 0 U. S. Government demand depos i t s 1 , 0 5 8 - 1 9 0 - 1 4 5 3 0 6 - 3 5 - 52 Interbank demand deposi ts :
1 , 0 5 8
Domestic banks 2 , 8 0 6 - 5 1 - 1 2 0 1 , 0 7 1 - 90 -203 Foreign banks 1 , 0 9 0 - 1 2 mi 166 3 8 - 4 - 4
Time deposi ts : Interbank 1 , 3 2 8 - 1 4 - 3 5 3 2 8 — •» - 7 Other 2 / 3 , 4 9 4 + 6 - 1 1 1 , 8 1 8 - 4 + 3 5
Borrowings: From F. R. Banks 1 3 - 21 + 2 2 1 - 10 + 1 4 From others 1 , 0 0 1 + 20 + 636 165 + 4 6 + 9 4
Other l i a b i l i t i e s 1 , 3 9 6 - 18 ~ 1 6 7 119 + 5 - 10 C A P I T A L A C C O U N T S 3 , 3 0 6 - 9 8 4 796 + 1 + 3 i
l / Exclusive of loans to domestic commercial banks and a f t e r deduction of valuation reserves; indiv idual loan items are shown gross .
2/' Includes savings depos i t s of $2,166 m i l l i on , a decrease of $1 m i l l i on from the previous Wednesday and an increase of $194 m i l l i o n from a year e a r l i e r .
n . a . - Not ava i lab le on comparable bas i s ; reporting form rev i sed July 8 , 1959-
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
H.4.2(a) ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES, AUGUST 26, 1959
Federal Reserve Dis1 ;r ic t
Boston New York
Phila-delphia
Cleve-land
Rich-mond Atlanta
A S S E T S
Total loans and investments 4,285 31,285 4,017 8 ,341 3,510 4,184 Loans and investments adjusted l / 4,268 30,778 3,954 8,314 3,465 4,157 Loans adjusted l / 2,785 20,049 2,630 4,812 1,976 2,480
Commercial and industr ia l loans 1,400 10,834 1,159 1,842 736 1,069 Agricultural loans 9 17 2 3 8 17 Loans to brokers and dealers f o r
purchasing or carrying: 228 18 14 U. S. Govt, s e c u r i t i e s 4 228 18 14 3 7
Other s e c u r i t i e s 19 1,237 24 86 26 32 Other loans f o r purchasing or
44 13 carrying: U. S. Govt, s e c u r i t i e s 4 44 7 29 13 7 Other s e c u r i t i e s 13 442 59 159 24 71
Loans to nonbank f i n a n c i a l i n s t i t u t i o n s :
Sales f inance, personal 149 282 124 f inance , e t c . 170 1,544 149 282 115 124
Other 69 330 83 101 93 128 Loans to fore ign banks - - 4 l4 10 - - 1 - -
Loans to domestic commercial banks 17 507 63 27 45 27 Real e s t a t e loans 428 2,027 342 1,291 362 256 Other loans 733 3,432 857 1,094 631 8 l4
U. S. Government s e c u r i t i e s - t o t a l 1,083 7,600 972 2,645 1,185 1,307 Treasury b i l l s 83 1,005 102 306 53 102 Treasury c e r t , of indebtedness 58 159 37 100 53 108 Treasury notes and U. S. bonds
maturing: 54 58 134 Within 1 year 29 434 54 207 58 134
1 to 5 years 648 4,240 530 1,711 727 726 Af ter 5 years 265 1,762 249 321 294 237
Other s e c u r i t i e s 400 3,129 352 857 304 370
Reserves with F. R. Banks 520 4,133 495 1,032 484 533 Cash in vaul t 70 247 65 144 77 66 Balances with domestic banks 94 168 111 184 126 299 Other a s se t s - net 119 1,314 115 140 96 103 Total a s s e t s / l i a b i l i t i e s 5,415 40,326 5,159 10,383 4,660 5,632
L I A B I L I T I E S
Demand deposits adjusted 3,063 18,288 2,644 4,862 2,396 2,652 U. S. Government demand deposits 165 1,237 226 314 133 133 Interbank demand deposits:
432 769 Domestic banks 351 2,906 425 511 432 769 Foreign banks 34 1,094 32 10 8 10
Time deposits: 8 Interbank 29 1,331 8 3 11
Other 728 5,896 844 2,937 827 1,052 Borrowings:
56 From F. R. Banks 3 56 7 22 11 39 From others 61 1,073 42 116 63 19
Other l i a b i l i t i e s 123 1,501 88 114 69 75
C A P I T A L A C C O U N T S 531 3,765 487 955 351 425
1 / Exclusive of loans t o domestic commercial banks and a f t e r deduction of valuation ~~ reserves; individual loan items are shown gross .
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
H.4.2(b) ASSETS AND LIABILITIES OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES, AUGUST 26, 1959 (Cont'd)
(In mi l l ions of d o l l a r s ) Federal Reserve Di Lstrict
Chicago S t . Louis
Minne-apol i s
Kansas a t y Dallas San
Francisco A S S E T S
Total loans and investments Loans and investments adjusted l / Loans adjusted 1 /
Commercial and industr ia l loans Agricultural loans Loans t o brokers and dealers for
purchasing or carrying: U. S. Govt. s e c u r i t i e s
14,366 2,946 1,670 3,766 4,641 22,238 14,098 2,888 1,656 3,732 4,572 21,994
7,922 1,782 1,069 2,212 2,881 14,011 3,628 698 481 962 1,500 4,699
26 16 22 177 35 595
36 8 83 Other s e c u r i t i e s l 4 l 28 5 16 13 70
Other loans for purchasing or 13 70
carrying: U. S. Govt, s e c u r i t i e s 26 6 1 10 12 7 Other s e c u r i t i e s 197 21 6 31 183 53
Loans t o nonbank f inanc ia l 53
i n s t i t u t i o n s : Sales f inance, personal
f inance, e t c . 770 153 79 153 134 360 Other 169 78 23 85 123 246
Loans t o fore ign banks 17 — •» • «» — — « • — 171 Loans t o domestic commercial banks 268 58 14 34 69 244 Real e s t a t e loans 1,395 291 201 324 215 5,218 Other loans 1,715 511 267 485 716 2,729
U. S. Government s e c u r i t i e s - t o t a l 4,716 859 438 1,181 1,358 5,923 Treasury b i l l s 236 57 6 104 124 200 Treasury c e r t , of indebtedness 166 44 16 84 48 222 Treasury notes and U. S. bonds
maturing: Within 1 year 278 53 39 87 42 347 1 t o 5 years 2,875 557 278 706 843 3,538 After 5 years 1,161 148 99 200 301 1,616
Other s e c u r i t i e s 1,460 247 149 339 333 2,060
Reserves with F. R. Banks 1,902 369 177 490 555 2,463 Cash in vaul t 155 39 17 46 52 217 Balances with domestic banks 309 143 64 326 460 328 Other a s s e t s - net 224 4 l 42 89 164 625 Total a s s e t s / l i a b i l i t i e s 18,136 3,818 2,191 5,121 6,322 27,326
L I A B I L I T I E S
Demand depos i t s adjusted 8,102 1,684 862 2,390 2,759 11,074 U. S. Government demand depos i ts 613 106 92 139 232 466 Interbank demand depos i t s :
613
Domestic banks 1,597 625 366 859 907 491 Foreign banks 47 4 4 3 16 l 4 l
Time depos i t s : 47
Interbank 30 2 m m — • 8 279 Other 4,640 676 384 768 1,252 10,686
Borrowings: 4,640 10,686
From F. R. Banks 84 18 21 42 12 11 From others 170 45 21 47 87 293
Other l i a b i l i t i e s 257 47 40 50 64 682
C A P I T A L A C C O U N T S l , 4 l 6 331 180 419 535 1,748
1 / Exclusive of loans t o domestic commercial banks and a f t e r deduction of valuation reserves; individual loan items are shown gross .
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis