h42_19620221.pdf

5
9.9.x?-* F E D E R A L R E S E R V E statistic H.U.2 For immediate release February 21, 19&2 CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES The condition statement of weekly reporting member banks in leading cities shows the following principal changes for the week ended February lk: An increase of $394 million in loans adjusted; decreases of $350 million in holding of U. S. Govern- ment securities and $374 million in demand deposits adjusted; and increases of $165 million in U. S. Government demand deposits and $150 million in time and savings deposits. Commercial and industrial loans increased in 10 districts and a net of $79 million; in the comparable week a year ago these loans increased $243 million. Loans to brokers and dealers for purchasing or carrying U. S. Government securities increased $206 million. Real estate loans increased $37 million. Holdings of Treasury bills by weekly reporting member banks decreased $282 million; Treasury certificates increased $25 million; and the combined total of Treasury notes and U. S. Government bonds decreased by $93 million. Twmd deposits adjusted decreased $237 million i n New York City and $128 million in the Francisco District. Savings deposits increased in a l l but one district and a net of $105 million. Borrowings of weekly reporting member banks from Federal Reserve Banks in- creased $37 million but borrowings from others decreased $23 million. Loans to do- mestic commercial banks decreased $78 million. » Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

Transcript of h42_19620221.pdf

9.9.x?-*

F E D E R A L R E S E R V E

s t a t i s t i c

H.U.2 For immediate re l ease

February 21, 19&2

CONDITION OF WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES

The condi t ion statement of weekly report ing member banks in l eading c i t i e s

shows the f o l l o w i n g p r i n c i p a l changes f o r the week ended February l k : An increase of

$394 m i l l i o n i n loans adjusted; decreases of $350 m i l l i o n i n holding of U. S. Govern-

ment s e c u r i t i e s and $374 m i l l i o n in demand depos i t s adjusted; and increases of $165

m i l l i o n in U. S. Government demand depos i t s and $150 m i l l i o n in time and savings

d e p o s i t s .

Commercial and i n d u s t r i a l loans increased in 10 d i s t r i c t s and a net of

$79 m i l l i o n ; i n the comparable week a year ago these loans increased $243 m i l l i o n .

Loans t o brokers and dea ler s f o r purchasing or carrying U. S. Government s e c u r i t i e s

increased $206 m i l l i o n . Real e s t a t e loans increased $37 m i l l i o n .

Holdings of Treasury b i l l s by weekly report ing member banks decreased

$282 m i l l i o n ; Treasury c e r t i f i c a t e s increased $25 m i l l i o n ; and the combined t o t a l

of Treasury no te s and U. S. Government bonds decreased by $93 m i l l i o n .

Twmd d e p o s i t s adjusted decreased $237 m i l l i o n in New York City and $128

m i l l i o n in the Francisco D i s t r i c t . Savings depos i t s increased in a l l but one

d i s t r i c t and a net of $105 m i l l i o n .

Borrowings of weekly report ing member banks from Federal Reserve Banks i n -

creased $37 m i l l i o n but borrowings from others decreased $23 m i l l i o n . Loans t o do-

mest ic commercial banks decreased $78 m i l l i o n .

»

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

H.4.2 CONDITION OP WEEKLY REPORTING MEMBER BANKS IN LEADING CITIES

February Feb.. 7,

Change since Feb. 15,

1961 (In mil l ions of dol lars) A S S E T S

Total loans and investments Loans and investments adjusted 1 / Loans adjusted 1 /

Commercial and industrial loans Agricultural loans Loans t o brokers and dealers for purchasing

or carrying: U. S. Govt. secur i t i e s Other secur i t i e s

Other loans for purchasing or carrying: U. S. Govt, s ecur i t i e s Other s ecur i t i e s

Loans to noribank f inanc ia l ins t i tu t ions : Sales finance, personal finance, e t c . Other

Loans to foreign banks Real es tate loans Other loans

Loans to domestic commercial banks U. S. Government secur 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 to 5 years After 5 years

Other secur i t i e s Reserves with F. R. Banks Currency and coin Balances with domestic banks Other asse 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 deposits adjusted 2 / Demand deposits - t o t a l 3/

Individuals, partnerships, and corporations States and p o l i t i c a l subdivisions U. S. Government Domestic interbank: Commercial

Mutual savings Foreign: Govts., o f f i c i a l i n s t s . , e t c .

Commercial banks Time and savings deposits - t o t a l 4 /

Individuals, partnerships, and corporations: Savings deposits Other time deposits

States and p o l i t i c a l subdivisions Domestic interbank

. Foreign: Govts., o f f i c i a l i n s t s . , e t c . Commercial banks

Borrowings: From F. R. Banks From others

Other l i a b i l i t i e s C A P I T A L A C C O U N T S

119,637 - 67 +7,021 117,877 + 11 +6,753

72,099 + 394 +2,613 32,117 + 79 + 600 1,318 + 4 + 202

595 + 206 - 17 1,966 + 20 + 593

110 + 1 - 17 1,362 + 5 + 187

3,058 + 22 - 486 2,295 + 3 + 700

61*3 - 6 - 55 13,452 + 37 + 677 16,894 + 29 + 4oo

1,760 - 78 + 268 33,564 - 350 +2,444

5,497 - 282 +1,590 1,461 + 25 + 288

5,553 + 44 +1,675 17,581 - 87 - 600

3,472 - 50 - 509 12,214 - 33 +1,696 12,419 - 226 - 114

1,542 + 85 + 194 2,960 + 303 - 161 4,962 + 26 + 798

154,972 +2; ,280 +7,099

63,071 374 +1,092 90,519 +2, 036 - 994 67,171 +2,229 n.a

4,648 - 324 - 154 2,489 + 165 - l , 236

11,507 + 86 n.a, 540 - 25 n.a, 572 - 5 n.a, 998 + 8 n.a,

43,359 + 150 +6,573

30,899 + 105 n.a. 6,764 + 35 n.a. 3,108 + 10 + 576

169 + 1 n.a, 2,140 «>* «•» n.a,

108 - 2 n.a, 142 + 37 - 293

2,137 - 23 + 346 5,766 + 94 + 680

13,049 l 4 + 787 ZJ ~ - — — - -

r e se rves ; ind iv idua l loan items are shown gross . 2/ Includes a l l demand depos i t s except those of U. S. Government and domestic commercial

banks, l e s s cash items In process of c o l l e c t i o n . Year-ago comparison excludes change in depos i t s due t o mutual savings banks.

3 / Includes c e r t i f i e d and o f f i c e r s ' checks not shown sepa ra t e ly . 4 / inc ludes time depos i t s of U. S. Government and p o s t a l savings not shown separa te ly , n . a t not a v a i l a b l e .

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

11.4.2(a) CONDITION OF WEEKLY REPORTING MEMBER BANKS, BY DISTRICTS, FEBRUARY l4, 1962

Federal Reserve D i s t r i c t Boston New Phila- Cleve- Rich-

York delphia land mond (In mil l ions of dol lars)

Atlanta

A S S E T S Total loans and investments 4,810 35,691 4,405 9,271 4,335 4,642 Loans and investments adjusted 1/ 4,723 35,216 4,329 9,172 4,297 4,581 Loans adjusted 1 / 3,046 21,904 2,893 5,000 2,531 2,738

Commercial and industr ia l loans 1,466 11,800 1,187 1,868 959 1,175 Agricultural loans 9 35 5 3 15 45 Loans to brokers and dealers for purchasing

or carrying: U. S. Govt, s ecur i t i e s 2 434 18 5 2 Other secur i t i e s 31 1,119 73 125 44 51

Other loans for purchasing or carrying: 6 U. 8. Govt, s ecur i t i e s 4 25 5 7 12 6

Other secur i t i e s 22 479 70 142 35 44 Loans t o noribank f inanc ia l ins t i tu t ions :

Sales finance, personal finance, e t c . 125 1,077 148 179 126 126 Other 81 609 68 103 104 142

Loans t o foreign banks 15 320 23 11 l Real es tate loans 497 2,278 4oo 1,368 420 302 Other loans 870 4,357 1,012 1,279 861 901

Loans to domestic commercial banks 87 475 76 99 38 61 U. S. Government s ecur i t i e s - t o t a l 1,218 9,445 1,113 3,000 1,383 1,473

Treasury b i l l s 259 2,163 135 356 183 159 Treasury c e r t i f i c a t e s of indebtedness 71 519 61 128 51 48 Treasury notes and U. S. bonds maturing:

Within 1 year 237 1,457 190 824 232 £41 1 to 5 years 584 4 , 4 i o 603 1,495 785 887 After 5 years 67 896 124 197 132 138

Other.securit ies 459 3,867 323 1,172 383 370 Reserves with F. R. Banks 436 4,143 444 895 438 523 Currency and coin 84 364 85 158 107 81 Balances with domestic banks 119 265 164 213 148 358 Other asse t s - net 159 2,426 147 200 119 .143 Total a s s e t s / l i a b i l i t i e s 6,039 47,974 5,805 11,427 5,651 6,373

L I A B I L I T I E S Demand deposits adjusted 2/ 3,362 19,605 2,709 4,826 2,725 2,599 Demand deposits - t o t a l 3 f 4,177 28,521 3,877 6,307 3,826 4,327

Individuals, partnerships, and corporations 3,317 20,585 3,063 5,023 2,871 2,809 States and p o l i t i c a l subdivisions 290 877 90 405 285 373 U. S. Government 124 802 120 213 123 100 Domestic interbank: Commercial 260 3,029 488 578 474 1,002

Mutual savings 109 369 34 7 8 « » ,

Foreign: Govts., o f f i c i a l i n s t s . , e t c . 9 462 8 — — 26 3 Commercial banks 25 743 27 12 6 7

Time and savings deposits - t o t a l hj 1,039 10,485 1,203 3,715 1,177 1,370 Individuals, partnerships, and corporations: . Savings deposits 793 5,700 904 2,952 890 1,031

Other time deposits 160 2,474 225 536 176 237 States and p o l i t i c a l subdivisions 29 470 22 219 72 82 Domestic interbank 4 120 2 — 1 10 Foreign: Govts., o f f i c i a l iijtsts., e t c . 42 1,605 45 5 12 7

Commercial banks 4 71 3 1 — —

Borrowings: From F. R• Banks 5 60 3 1 7 From others l 4 1,251 52 96 23 49

Other l i a b i l i t i e s 209 3,392 131 202 171 106

C A P I T A L A C C O U N T S 595 4,265 542 1,104 453 514

See foo tno tes on f i r s t tab le ,

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

H.4.2(b) CONDITION OP WEEKLY REPORTING MEMBER BANKS, BY DISTRICTS, FEBRUARY l 4 , 1962 (Cont'd)

Federal Reserve Dj Lstrict Chicago S t .

Louis Minne-apo l i s

Kansas City Dallas San

Francisco

A S S E T S ( In mi l l ions of d o l l a r s )

Tota l loans and investments 15,864 3,359 1,785 4,252 5,366 25,857 Loans and investments ad jus ted l / 15,589 3,278 1,760 4,189 5,266 25,477 Loans adjus ted 1 / 8,920 2,008 1,105 2,541 3,250 16,163

Commercial and i n d u s t r i a l loans 3,905 815 503 1,045 1,762 5,632 Agr icu l tu ra l loans 55 24 33 263 47 784 Loans t o brokers and dea l e r s f o r purchasing

or carrying: U. S. Govt, s e c u r i t i e s 69 2 1 24 15 23 Other s e c u r i t i e s 219 73 9 24 59 139

Other loans f o r purchasing or carrying: 8 U. S. Govt, s e c u r i t i e s 27 4 1 7 4 8

Other s e c u r i t i e s 251 32 11 37 172 67 Loans t o 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 f inance, e t c . 558 107 73 121 81 337 Other 326 93 26 98 161 484

Loans t o fo re ign banks 43 •1 • — 2 227 Real e s t a t e loans 1,587 306 202 344 246 5,502 Other loans 2,127 586 265 616 766 3,254

Loans t o domestic commercial banks 275 81 25 63 100. 380 U. S. Government s e c u r i t i e s - t o t a l 4,735 1,028 490 1,285 1,589 6,805

Treasury b i l l s 778 124 56 201 163 920 Treasury c e r t i f i c a t e s of indebtedness 203 23 13 64 66 214 Treasury notes and U. S. bonds maturing:

. Within 1 year 712 271 103 247 212 827 1 t o 5 years 2,625 538 272 645 799 3,938 Af te r 5 years 417 72 46 128 349 906

Other s e c u r i t i e s 1,934 242 165 363 427 2,509 Reserves with F. R. Banks 1,640 375 193 486 549 2,297 Currency and coin lBo 45 17 52 58 311 Balances with domestic banks 348 156 64 316 470 339 Other a s s e t s - ne t 371 64 57 104 212 960 Total a s s e t s / l i a b i l i t i e s 20,164 4,373 2,368 5,739 7,216 31,843

L I A B I L I T I E S Demand depos i t s ad jus ted 2 / Demand depos i t s - t o t a l Jj/

Individuals , par tnersh ips , and corporat ions S ta tes and p o l i t i c a l subdivisions U. S. Government Domestic in terbank: Commercial <

Mutual savings Foreign: Govts., o f f i c i a l i n s t s . , e t c .

Commercial banks Time and savings depos i t s - t o t a l 4 /

Individuals , par tnersh ips , and corporat ions: Savings depos i t s Other time depos i t s

S ta tes and p o l i t i c a l subdivisions Domestic interbank Foreign: Govts., o f f i c i a l i n s t s . , e t c .

Commercial banks Borrowings: From F. R. Banks

From others Other l i a b i l i t i e s

C A P I T A L A C C O U N T S

7,723 1,705 937 2,435 2,834 11,611 11,700 2,942 1,597 4,041 4,587 14,617 8,552 1,911 1,074 2,615 3,072 12,280

699 145 89 302 263 830 370 71 47 92 77 350

1,846 792 361 985 1,115 577 1 4 • 8

14 M M 3 47 51 5 4 4 14 100

6,155 910 520 1,111 1,846 13,828

4,940 673 330 881 860 10,945 794 190 175 182 642 973 288 4o 11 45 328 1,502

10 — *» - - 1 4 17 102 2 2 — «* 3 315

10 m *» tmtm 2 17 28 35 w e e 3 • «

210 28 7 14 60 333 419 65 44 66 97 864

1,652 393 200 504 626 2,201

See footnotes on f i r s t t a b l e .

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

H.4.3 CONDITION OF WEEKLY REPORTING MEMBER BANKS IN CENTRAL RESERVE CITIES New York City Chicago

Feb. Change since Feb. Change since 14, Feb. 7, Feb .15, l4 , Feb ' 1) Feb. 15,

1962 1962 1961 1962 1962 1961 . A S S E T S (In mill ions of do l l a r s )

Total loans and investments 28,975 -121 +1; ,684 8,195 +107 +279 Loans and investments adjus ted 1J . 28,563 + 72' +1; .833 8,032 +103 +135 Loans adjusted l / 17,913 +304 ' + 754 4,720 + 52 - 83

Commercial and i n d u s t r i a l loans 10,653 + 11 + 162 2,692 + 21 - 31 Agricul tural loans 11 - - + 1 21 - 1 - 11 Loans t o brokers and dealers for purchasing

or carrying: U. S. Govt, securit ies 426 +203 + 106 49 + 17 - 22 Other securit ies 1,077 + 6 + 277 171 + 14 + 35

Other loans f o r purchasing or carrying: 14 U. S. Govt, s e c u r i t i e s 23 - 1 - 5 14 - 1 - 6

Other s e c u r i t i e s 443 - 1 + 95 191 + 17 Loans t o nonbank f i n a n c i a l inst i tut ions:

Sales f inance, personal f inance, e t c . 957 + 73 - 182 333 - 8 -116 Other 443 + 1 + 158 231 + 2 +l4o

Loans t o foreign banks 308 + 4 - 142 39 - 3 + 3 Real e s t a t e loans 852 + 17 + 71 298 + 1 + 4o Other loans 3,213 - 6 + 282 844 + 10 -116

Loans t o domestic commercial banks 412 -193 - 149 163 + 4 +144 U. S. Government s e c u r i t i e s - t o t a l 7,695 -209 + 632 2,320 + 76 + 51

Treasury b i l l s 1,928 -163 + 567 545 + 42 + 98 Treasury c e r t i f i c a t e s of indebtedness 469 — + 23 131 + 20 +100 Treasury notes and U. 8 . bonds maturing:

1,236 260 + 68 Within 1 year 1,236 + 27 + 502 260 + 13 + 68 1 t o 5 years 3,409 - 51 - 303 1,250 + 7 -153 After 5 years 653 - 22 - 157 134 ~ 6 - 62

Other s e c u r i t i e s 2,955 - 23 + 447 992 - 25 +167 Reserves with F. R. Banks 3,709 +154 + 175 967 - 6 -117 Currency and coin 231 + 10 + 30 43 + 3 + 4 Balances with domestic banks 70 + 10 + 3 108 + 3 - 20 Other asse t s - net 2,230 + 11 + 492 191 + 7 + 4o Total a s s e t s / l i a b i l i t i e s 39,887 +818 +1; ,861 10,523 +392 +158

L I A B I L I T I E S Demand deposi ts adjus ted 2/ 16,IU7 Demand deposi ts - t o t a l 3/ 24,438

Individuals , par tnerships , and corporations 17,502 Sta tes and p o l i t i c a l subdivisions 233

. U. 8 . Government • 68l Domestic interbank: Commercial 2,938

Mutual savings 326 Foreign: Govts., o f f i c i a l i n s t s . , e t c . 460

Commercial "banks 727 Time and savings deposi ts - to ta l 4 / 7,304

Individuals, par tnerships , and corporations: Savings deposi ts 3,137 Other time deposi ts . 2,128

States and p o l i t i c a l subdivisions 211 Domestic interbank 116 Foreign:• Govts., o f f i c i a l in s t s . , e t c . 1,601

Commercial banks 70 Borrowings: From F. R* Banks 60

From others 1,225 Other l i a b i l i t i e s 3,158

C A P I T A L A C C O U N T S

-237 +574 +691 - 43 - 29 + 86 - 17 - 11 + 6 + 9

+ 26 - 27 + 11

- 2 + 8 +220 + 6

- 81 -1,162

2 1 . a .

- 54 - 334

n.a. n.a. n.a. n.a.

+1,919

n.a. n.a.

43 n .a. n.a. n.a.

25 250 679

+ + +

4,192 6,599 4,778

296 191

1,197 1

14 37

2,585

1,970 478

14 6

102 10 21

170 221

- 38 +293 +262 - 17 + 18 + 35 - 1 + 4 + 1 + 20

+ 16 + 4

+ 4 + 63 + 19

+ 25 -192 •n.a. + 6 -128 n . a . n . a . n . a . n . a .

+419

n . a . n . a .

n . a . n . a . n . a .

- l 6 l + 29 + 13

=. 3,702 + 1 + 1 5 0 927 - 7 t % 1/ Exclusive of loans t o domestic commercial banks and after deduction of valuation

reserves; individual loan items are shown gross. . . . . . . 2/ Includes a l l demand deposi ts except those of U. S. Government and domestic commercial

banks, l e s s cash items in process of col lect ion. Year-ago comparison excludes change in deposi ts due t o mutual savings banks.

3/ Includes c e r t i f i e d and o f f i cers checks not shown separately \J includes time deposi ts of U t i .a- not ava i lab le .

sre cnccjiB nvu owwuu -S. Government and pos ta l savings not shown separately.

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis