Member Bank Call Report

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1 Member Bank Call Report No. 53 Condition of all Member Banks September 29, FEDERAL RESERVE BOARD WASHINGTON UNITED STATES * GOVERNMENT PRINTING OFFICE WASHINGTON :

2 T h e M E M B E R B A N K CALL REPORT is published following each official call upon member for statements of their condition. It contains tables showing resources and liabilities and a classification of loans, investments, deposits, and borrowings for all member (National and State) in the country as a whole, by Federal districts and by classes of. Tables are also given, by States and cities, showing resources and liabilities for all member. All figures included in this report relating to the condition of national were furnished by the Comptroller of the Currency. The abstract of condition reports of national issued by the comptroller gives detailed statistical data regarding the condition of national. ( n )

3 MEMBER BANK CALL REPORT Washington, November 25, CONDITION OF ALL MEMBER BANES [Amounts in thousands of dollars] Condition on Change since Sept. 29, June 30, Sept. 24, 1930 June 30, Sept. 24, 1930 RESOURCES Loans (including overdrafts) United States Government securities... Other securities T ota l loa n s a n d in v estm en ts Customers liability on account of acceptances Banking house, furniture, and fixtures... Other real estate o w n e d Cash in vault Reserve with Federal Items with Federal in process of collection Due from in United States Due from in foreign countries (including own branches) Exchanges for clearing house and other checks on local... Outside checks and other cash items Redemption fund and due from United States Treasurer Acceptances of other and bills of exchange or drafts sold with indorsement Securities borrowed Other assets 20,874,084 5,54,41, 34,89 33,073,234 2,415 1,220, , , 339, ,91 1, 935, , , ,9 31, , ,07 21, 81,243 5, 343,032, 73, ,922, ,454 1, 234,404 20,59 519,135 2, 39,421 29,418 2, 517,09 351, 320 1, 771, , , , ,279 20,254 24, 738,011 4,095,270,38, 99 35,472, ,852 1, 230, ,89 470, 37 2,414,991 98,871 2,42, ,447 1,14, , 70 32, , , 8 242,02-942, , , ,288-22,039-14,087 +2, ,015-57, , , ,28-812, 094-3, ,289-3,129-11,187-3,83,927 +1,49,191-4,280-2,399,01 250,437 -, ,49 +83, ,71-17, , , ,97-1, 0-1,080-22, 97 -, 71 +7, ,378,777 45,2 4, 153,113-2, 909, 811-3, 774, 33 LIABILITIES Capital stock paid i n Surplus Undivided profits n e t... Reserves for dividends, contingencies, etc Reserves for interest, taxes, and other expenses accrued and unpaid Due to Federal Due to other in United States Due to in foreign countries (including own branches) Certified and officers checks outstanding. Cash letters of credit and traveler s checks outstanding Demand deposits Time deposits United States deposits deposits Agreements to repurchase U. S. Government or other securities sold... Bills payable and rediscounts: W ith Federal All other _ Acceptances of other and bills of exchange or drafts sold with indorsement Acceptances executed for customers Acceptances executed by other for account of reporting... National-bank notes outstanding... Securities borrowed Other liabilities 2,580,550 2,95, ,45 271,408 12, ,070 3, 222,4 747,282 17,053 23, , 52,182 12,77, ,11 33,480,247 25, , , ,75 81,145 13,197 28,334 17,150 21,728 2,20, 0 2, 741, ,199 24,08 127, ,073 4,004,077 57, , 3 33,231 1,22,224 13,515,48 395, 397 3,28,05 15,371 14,819 70, , ,351 11,514 3,041 20, ,455 2, 728, 4 2,903,258 1,009, ,02 182, ,147 3, 817,132 0,12 771, 941 2,38 1, 838, , 944,88 257,185 3,33,874 38, , , , , ,127 48,999 23,8 212,98-40,05-4,0 +7, , , ,11 +89, , 257-9,530-1,09, , ,74-2, 787,818 +9, , , , ,20 +1, 83-7,707-3,129 +7, , , , , 80-19,890 -, , +8, ,888-2,937-1,312,19-1,18,53 +28,97-2,883,27-12, ,77-1,045-22,97-248,192-4,930-20,5 -, 71 +4,030 42,378,777 45,288,588 4,153,113-2, 909,811-3,774,33 Number of. 7,782 8, ( 1 )

4 ALL MEMBER BANKS CONDITION ON CALL DATES DECEMBER 31, 1928, TO SEPTEMBER 29, [Amounts in thousands of dollars] Dec. 31 Mar. 27 June 29 Oct. 4 Dec. 31 Mar. 27 June 30 Sept. 24 Dec. 31 Mar. 25 June 30 Sept. 29 RESOURCES Loans (including overdrafts)... United States Government securities Other securities loans and investments... Customers liability on account of acceptances Banking house, furniture, and fixtures... Other real estate owned Cash in vault - Reserve with Federal Items with Federal in process of collection. Due from in United States Due from in foreign countries (including own branches) Exchanges for clearing house and other checks on local Outside checks and other cash items Redemption fund and due from United States Treasurer Acceptances of other and bills of exchange or drafts sold with indorsement... Securities borrowed Other assets LIABILITIES Capital stock paid in Surplus Undivided profits net Reserves for dividends, contingencies, etc Reserves for interest, taxes, and other expenses accrued and unpaid Due to Federal Due to other in United States... Due to in foreign countries (including own branches) Certified and officers checks outstanding... Cash letters of credit and travelers checks outstanding Demand deposits Time deposits United States deposits deposits Agreements to repurchase U. S. Government or other securities sold Bills payable and rediscounts: With Federal All other Acceptances of other and bills of exchange or drafts sold with indorsement... Acceptances executed for customers... Acceptances executed by other for account of reporting National-bank notes outstanding... Securities borrowed Other liabilities... Number of Digitized for FRASER, 155,255,311,790,21,890,83, ,540,7, ,71 54,384!, 409,37 97,83!, 124, ,299 1,493,01 203,884 32,995 77,994 35, ,149 2,474,223 2,440, ,54 151, ,7 5, 5 3,49, ,273 2,184,138 23,128 18,903,58 13,453,311 21,505 39,074,50 134,084 1, 040,08 121,570 77, ,329 43,3 49,893 35, ,9 48,935,4 8,837 24,944,41 4,453,953 5,994,432 35,393,02 83,028 1,118, ,873 51,742 2,338, ,0 1, 741, , ,395 32, ,155 48, , 751 2,53,278 2,548, , , ,144 51,433 3,070, ,49 1,739,947 27,385 17,708, 29 13,328, 712 4,87 3,799,34 2, , ,01, 475,155 84,370 45,025 47,354 48, ,581 4,73,097 8,755 25,58,491 4,154, ,541 35,7,91 802,188 1,19, , ,491 2,359, ,822 1,885,17 272, 82 1,44,18 117,298 32, ,82 3, , 21 2,4,928 2, 50, , ,883 3, 091,39 44, ,20 43,182 17,814,03 13, 325,0 347,97 35,892,831 3,758 1,029,391 18, ,423 42,075 48,944 3, ,11 45,908,001 8,707 2,14, 829 4,021,3 5, 727,30 35,913, ,912 1,175, , ,212 2,321, , 004,938 24,99 2,132, , , , , 700 2,739, 45 2,811, , , ,193 55, 720 3,153, ,9 1,405,44 27, 13 17,937,478 13,317,49 315,479 3,94, ,090 2,150,01 3,82,98 5,920,921 35,933,950 1,252,147 1,190,30 183, ,450 2,373,70 994,373 2,17, 75 23,834 2, 72,43 139,05 32, ,193 35, ,379 2, 757,113 2,84,12 909, , ,0 54,458 3,517,325 57,4 1,03,52 23,40 18,81,582 13,233, ,203 38,013,735 13,957 4, , ,193 1,27,159 25,118, 783 4,085,00 5,851,908 35,055,97 1,111,153 1,202,48 188,815 49,33 2,352, , 201 1,901, ,12 1,1,954 5,331 32, ,193 25, ,482 45,80,379 2,744,975 2,881,944 95,053 17, 175,89 51,915 3,204,31 25,213,770 4,01,395,380,494 35,55,59 928,807 1,217,93 190, ,22 2,407,90 83,471 2,30, , 793 2, 45, , , ,748 2, ,114 47,90, 740 2,721,997 2,870, , , ,90 4,20 3,831,5 571,7 1,493,437 41, ,79 38,139,178 24,738,011 4,095,270,38,99 35,472, ,852 1,230, ,89 470,37 2,414,991 98,871 2,42, ,447 1,14,915 51,70 32,04 23,870,488 4,124,77,84,247 34,859,511 1,117,833 1,240, ,19 592,504 2,474, ,21 2,455,948 20,818 2,07,189 92,7 32, ,732 2,8 23,8 21,09 242,02 222,911 4M53,113 47,057,891 2,728,4 2,903,258 1,009, ,02 182,397 47,147 3,817,132 2,5,151 2,822, , , ,190 49,27 3,872,842 34,927 1,223,777 20,90 17,501,550 13,54,201 27,415 37,11,939 22,839,94 5,002,22,88,357 34,728,55 1,035,978 1,239, ,935 41,27 2,34, ,75 2, 791,204 29,37 975,215 43,344 32,24 524,4 24, ,024 45,542,27 2,57,172 2,804,90 9, , ,41 43,323 4,23,451 21,81,243 5,343,032,73,247 33,922, ,454 1,234,404 20,59 519,135 2,39,421 29,418 2,517,09 351,320 1,771,312 87,358 32, ,045 20,279 20,254 45,288,588 2,20,0 2,741, ,199 24,08 127,345 41,073 4,004,077 57, ,3 33,231 1,22,224 13,515,48 395,397 3,28,05 15,371 14,819 70,079 20,874,084 5,54,41 33,073,234 2,415 1,220, , ,150 2,339, ,935, ,218 50,9 31, ,75 17, ,07 42,378,777 2,580,550 2,95, ,45 271,408 12,507 41,070 3,222,4 747,282 17,053 23,701 15,52,182 12,77,332 52,11 33,480,247 25, , , ,75 81,145 13,197 28,334 17,150 21,728

5 ALL MEMBER BANKS LOANS, INVESTMENTS, DEPOSITS, AND BORROWINGS ON CALL DATES SINCE DECEMBER, 1928 [Amounts in thousands of dollars] Dec. 31 Mar. 27 [ June 29 Oct. 4 Dec. 31 Mar. 27 June 30 Sept. 24 Dec. 31 Mar. 25 June 30 Sep 129 L oa n s... 25,155,255 34,944,41 25,58,491 2,14,829 2,150,01 25,118,783 25,213,770 24,738,011 23,870,488 22,839,94 21,81,243 20,874,084 Acceptances payable in United States... 8, ,754, 7,993 93,7 211, ,509 19,8 205,432 Bills, acceptances, etc., payable in foreign countries 3,245 J92, ,001 9,51 79,577 79,219 71,438! 1, ,801 31, ,534 28,490 Commercial paper bought in open market... 54,94 0,18 112, ,50 375,501 9, ,09 227, , ,28 507,392 j 523,129 35,875 Loans to On securities , ,873 29,433 All other } 537, ,152 70,277 40, ,07 / 20, ,1 j 174, ,78 218, ,02 3,909 I 2, ,141! 290,93 315, , ,25 287,21 Loans on securities, excl. of loans to.. 9,902,85 9,418,942 9,758,885 9,993,77,147,8,073,809,425,353,335,938 9,439,10 9,053, 749 8,334,479 7,770,142 T o brokers and dealers in New York... 2,555, 78 1,879,477 2,024,592 1,884,88 1,0,150 2,344,242 2,34, 735 2,471,781 1,497,530 To brokers and dealers elsewhere... 1,30,494 1,217, ,5 1,013,79 921, , ,08 802,715 70, , ,775 To others 75,28 574, ,84,372,504,525,78 521,157,812,805 7,19,813 7,85,001 7,023,514 7,241,784 7,090,382 7,2,344,848,277,02,344,321,172 Real-estate loans On farm land... On other real estate... All other loans (including overdrafts) ,57 403, , ,07 387, ,117 38,03 j 387,3 38, 72 2, 7,8 2,719,57 2,70,435 2, 70,422 2,803,281 2, 775,73 2,79,22 2, 77,344 2,847,045,990,735 11,240,459 11,18, , 988,021 11,514,775,595,089,349,314 9,982,075 9,831,390 4,10,43 4,343,404 4,389,853 j 4,598,240 4,39,904' 4,204,395" 3,904,98 3,812,19 3,538,001 4,311,790 4,453,953 4,154,929 ; 4,031,3 3,82,98 4,085,00 4,01,395 4,095,270 4,124,77 385,558 2,833,559 9,297,5 388,124 2,830,9 8,921, ,973 2, 772,0 8,721,937 Loans eligible for rediscount with F. R. 3,418,472 3,197,984 2,997,17 United States G overnm ent securities 5,002, ,54,41 3,028,095 3,121,552 3, 004,83 2,992,184 3,094,275 3,287,98 3,339,834 Treasury notes 3,342,974 3,270,871 3,771,08 729, ,739 4,038, ,41 4,278,845 4, , ,452 42,924 Certificates of indebtedness , , , , , , ,45 371, , ,59 234, ,404 Treasury bills 1 284,953 29, ,852 38,054 82,41 71,841,99 553,99 113,239 97,051 38,043 4,233 48,848 72,57 173,029 22,83 30,12 Other securities,31,890 5,994,433 5,897,541! 5,727,30 5,920,921 5,851,908,380,494,38,99,84,247,88,357,73,347 Domestic securities Totul _.,34,89 5,533,129 5,341,37 5,22,502 5,114,902 5,292,123 5,242,297 5,91,850 5,938,307,149,319,181,525,121,345 5,972,752 State, county, and municipal bonds 1,221,9 1,18,501 1,144,32 1,11,27 1,224,030 1,18,275 1,232,040 1,379,471 Railroad b on d s ,492,89 1,553,3 895,759 1,535,157 83, ,913 1,582,81 787, ,87 781, , ,89 982,85 Other public service corporation bonds 1,003, ,30 1,01, , , , ,74 905,0 980,2 1,047,87 1,074,27 All other bonds... 1,1,38 1,2,91 1,115,84 1,417,25 1,339,802 1,028,292 1,31,859 1,227,883 1,253,49 1,222,847 1,340,789 1,330,420 1,354,258 Stock of Federal 1,295,253 14, ,834 1,25,8 1,198, ,290 1,8 170, ,384 19, ,20 Stock of other corporations 17,297 17, ,735 15, ,75 14,327 49, , , ,917 55, ,941 58,970 Collateral trust and other corporation notes.. 573,11 199, ,99 587,30 51,772 18, ,00 1,049 14, ,93 217, ,1 Municipal warrants 214,222 14, ,593 22,9 150,81 235,44 19,501 18,947 13, , ,958 All other , ,19 84,55 15,887 87,43 15,57 90,425 8,750 58,844 0,545 70,84 71,837 5,190 5,917 42, ,294 Foreign securities... 83,71 52,795 35,039! 12,404 28,798 09,11 88,44 700,2 714, ,832 41,902 1,937 Government bon d s 343, , , , , ,835 34, ,439 30,745 Other foreign securities 39, ,51 318,54 333,55 32,2 317, , ,75 328, ,425 35, , , , ,22 D em a n d deposits... 18,903,58 17,708,29 17,814,03 17,937,478 18,81,582 17,078,905 18,01,977 1,838,351 17,501,550 1,338,738 1,33,334 15,52,182 Individual deposits subject to check... 1,99,05 15,840,8 15,742,528 1,17,047 1,935,43 15,194,883 15,930,39 15,7,131 Certificates of deposit 15,50,443 14,387,45 234,73 14,520, ,050 13,702,57 200,98 188, ,71 182, ,041 19,73 192,399 State, county, and municipal deposits ,078 1,299, ,334 1,384,87 171,582 1,511,70 1,224,375 1,335,485 1,44,3 1,58,470 1,27,471 All other ,32,482 1,478, ,455 1,55,292 27, ,383 1,349, , , ,828 35, ,07 38,22 293,592 34,73 302,441 Net demand deposits (see p. ) 19,943,583 18,833,11 18,977,213 18,951,00 19,797,028 18,488,9' 19,170,357 18,57, ,380 18,481,083 18,357,000 17,445,203 T im e deposits... 13,453,311 13,338,712 13,325,0 13,317,49 13,233,481 13,518,731 13,811,978 13,944,88 13,54,201 13,3,358 13,515,48 12,77,332 States, counties, and municipalities , ,25 Banks in United States... Banks in foreign countries Other time deposits Evidenced b y savings pass books... Certificates of deposit... Open accounts, Christmas savings, etc... Postal savings Bills payable a n d red iscou n ts With Federal Bills payable... Rediscounts... All other Bills payable... Rediscounts... } 124,22 113,443 47,554 / 79,894 \ 77, , , , ,89 95, , ,54 2, , ,79 111, , ,004 1, , ,029 7, , ,35 135,43 201, , , , ,571 8,13 112,14 9,809,851 9,728,154 9,834,33 9,03,720 9,592,09 9,2,033 9,77,521 9,31,588 9,590,953 9,44,35 9,31,020 1,895,223 1,831, 1,745,134 8,78,492 1,743,212 1,740,944 1,811,315 1,81,504 1,959,775 1,884,919 1,928,323 1,90,471 1,071,43 1,1,132 99,97 1,78,74 1,13, ,902 1,139,518 1,232,79 1,302,785 1,027,209 1,179,744 1,237, ,255 11, ,37 1,222, ,02 122,44 127, ,52 143, ,5 242, ,974 30,291 1,12,178 1,153,035 1,198,3 1,149, ,522 34, , ,18 281,442 21,898 45, , ,205 2,243 19,327 7di, ,79 148,504 23,097 1 Prior to 1930 represents items reported as all other United States securities. 738,78 290,23 149,57 19, ,5 315,4 22,742 23, , ,70 214,209 17,979 5,209 0, ,71 5,70 147,82 12, ,189 5,901 7,85 95, ,890 5, ,843 9,174 1,7 5,441 81,242 83,84 112,0 12 4,324 1,994 84,825 5,428 4,51 209, , ,002 9,355

6 ALL MEMBER BANKS CONDITION ON SEPTEMBER 29,, JUNE 30,, AND SEPTEMBER 24, 1930, BY CLASSES OF BANKS [Amounts in thousands of dollars]. Central city Other city Sept. 29, New York June 30, Sept. 24, 1930 Sept. 29, Chicago June 30, Sept. 24, Q June 30, Sept. 24, 1930 Sept. 29, June 30, Sept. 24, 1930 RESOURCES 5,220,493 5,485,877,359,8 1,129,328 1,190,35 1, 524,1 7,325,353 7,27,240 8,500,409 7,198,9 7,512,770 8,354,384 1,830,393 1,5,429 1,090, , , , 379 1,992, 88 2,01,87 1,27,722 1,433,425 1,279,015 1, 219,381 1,202,088 1,144,788 1,7,40 20, , ,03 2,054,011 2,124, 77 1,909, 433 3,172,353 3,27,43 3,370,07 8,352,974 8,287,094 8,557,302 1,43,520 1,753,57 1,933,552 11,372,052 11,813,04 12,037,54 11,804,88 12,08,248 12,943, ,302 5,374 12, 74 39,9 55,071 78,74 127,30 171, ,9 5,897 5,829 11, , ,82 213,330 25,118 29,021 41, ,52 448, ,17 523, , ,259 11,942 13,58,778 4, ,078 78,729 72, , , ,193 8,409 54,292 49,015 13,217 1,734 9,229 13, , , ,330 29,75 283, ,112 84, , ,203 19, , , ,45 772, , ,954, , ,0 235,040 27,287 30,421 33,79 257, , ,81 98, ,188 2,24 1, ,353 5,940 15, 7 175,217 15,97 880, 505 1,188,32 1,219, ,34 1,017,14 970,954 2,49 Due from in foreign countries (including own branches) , ,89 133,184 3,98 5,477,98 52,830 8,780 59,28 3,807 4,17 712,912 1,392,7 84,872 30, 221 4,003 50, ,50 23, ,48 43,525 9,02 44, 545 Outside checks and other cash items 4,88,851 4,83 1,581 2,014 2,251 28,90 48,947 27,929 15,557 25, 54 1,90 Redemption fund and due from United States Treasurer 2,008 1,80 1, ,40 7,502 7, ,03 22,270 22,85 Acceptances of other and bills of exchange or drafts sold with indorsement 219, , ,049 40,492 3,742 52,125 7,118 80,219 80,033 2,387 1,85 2,525 9,2 11,222 12,972 7,884 9,057,894 8,087 88,725 83,09 14,70,33 9,914 0,902 0,249 94,701 5,372 0,917 54,378 11,350,333 12,498,38 12,187,59 2,191,997 2,330,559 2, 559,0 14,478,1115,534,224 15,7,270 14,357,83 14,925,17 15,729,578 LIABILITIES 'Capital stock paid in 81,114 83,54 722, , , , , ,752 85, ,009 94, , ,80 9, 247 1,038, , , , , ,471 88,88 804,54 822, ,78 272,21 270, ,289 20,909 23,283 28,54 218,5 219,21 259,74 299, 290,89 380,854 7,482 51,001 Reserve5 for dividends contingencies, etc 78,381 83,715 52,925 19,20 18,408 21, ,801 94,43 59,87 1,020 49,7 Reserves for interest, taxes, and other expenses accrued and unpaid. 33,401 29,037 39,42 1,088 18,39 20,39 7,04 43,703 72,892 45,972 35, ,182 8,85 11,040 33,888 32,387 3,5 nnn fn n+viar hflnks in TTnitftd StatftS 1,135,327 1,351,744 1,5, ," ," ,"794 1,471,79 1,901,955 1,953, ,33 405, ,05 Due to in foreign countries (including own branches) 51,838 57,993 54,58 45,231 27,41 22,197 48,98 49,232 70,898 1,245 3,419 2,949 Certified and officers checks outstanding 29,118 9, , , ,083 13,985 17,02 4, , 42 5,872 84,795 7, 545 n oevi nf prphit nnd travplprs checks outstanding 15,701 21,991 17, 232 1,57 2,117 1,935,137 8,00, ,953,020 5, 250,081 4,908, , ,452 1,044,94 4,95,517 5,421,975 5,522,734 4,35,803 4,971,71 5,32,082 1,135,015 1,274,880 1,513, , ,70 57,87 4,979,317 5,281,431 5,159,875,20,91,41,397,94, , ,908,00 59,774 United States deposits 128,902 11,477 5,4 11,775 25,299 5, ,57 135,927 8,41,48 9,349,978 8,744,875 1,783,185 1,893,3 2,035,931 11,83,817 12,998,541 12,957,253 11,398,597 12,02,23 12,25,815 a M JL.^A i.~ MAr\iii*nVinc<n TT Q r im T o m m f lir if AT* AfnDt* Q O PnntlAQ n 99 22,32 8,574 4,895 Agreements to repuxcnstse u. o. ijrovernmeni or umci oetuiititjo 14,7,98,887,27 ouxu._ Bills payable and rediscounts: With vpw vp hanks _ ,881 4,97, ,198 11, 79 27, , , ,375 57,733 All other - 22,700 11,745 40, ,500 51,301 11,278 22,81 8,331 47,05 Acceptances of other and bills of exchange or drafts sold with! 219, , ,049 40,492 3,742 52,125 7,118 80,219 80,033 2,387 1,85 2, 525 I 505,55 7,70 24, ,417 55,798 79, , , ,40 4,7 5,484 9, ,808 Acceptances executed by other for account of reporting.. 8,193 7,87 12, ,085 2,897 4,152 1,742 39,958 35,93 34, ,4501 8, , , , ,83 443,30 455,313 9, 2 11,222 12,972 7,884 9,057,894 55, , 41 50, , ,754 14, 28 7,385 1, 34 77,049 8,3 71,709 70, 508 Digitized for FRASER 11, 350, ,498,38 12,187,59 2,191,997 2,330,559 2, 559, 0 14, 478,11 15,534, 224: 15, 7,270 14,357,83 14,925,17 15,729, ' I ,1791 7,338 7,757 i 1

7 ALL MEMBER BANKS LOANS, INVESTMENTS, DEPOSITS, AND BORROWINGS, BY CLASSES OF BANKS [Amounts in thousands of dollars] Central re serve city New York Chicago Other city Sept. 29, June 30, Sept. 24, 1930 Sept. 29, June 30, Sept. 24, 1930 Sept. 29, June 30, Sept. 24, 1930 Sept. 29, June 30, Sept. 24, 1930 L oa n s ,220,493 5,485,877,359,8 1,129,328 1,190,35 1,524,1 7,325,353 7,27,240 8,500,409 7,198,9 7,512,770 8,354,384 Acceptances payable in United States , , 7 148,10 2,315 3, , 71 87,418 4, ,073 3,523 Bills, acceptances, etc., payable in foreign countries... 32, , , 55 13,334 12, ,71 17,311 1,974 1,771 Commercial paper bought in open m arket-... 3,57 48, ,805 22,055 24,49 20,829 42, ,720 18, ,794 81,158 1,099 Loans to On securities 13,87 124,919 5,88 52,57 58,075 57,88 35,15 1,3 88, 745 7,55 17, 279 1,481 All oth er.,59 125,428 84,442 11,441 7, , ,159 11,791 4, 73 43, Loans on securities, exclusive of loans to T o brokers and dealers in New Y ork_._... T o brokers and dealers elsewhere... T o others. 2,54, 583 2,90,49 3,745,304 05,44 18, ,131 2, 542, 519 2,93,52 3,354,881 1,97, 57 2,01,413 2,315,22 839,041 1,03, 242 1,714,404 27,355 51,11 233,28 29,047 73, ,277 32,370 29, ,832 11, ,271 8,332 15, , , , ,02 30,08 42,851 47, ,99,093 1, 79,95 1,944, , ,920 2,308, 375 2,412,801 2, 585, 53 1,892,355 1, 984,340 2,112,358 Real estate loans On farm land ,502 1, 559 1, ,039 1, ,520 20, ,994 On other real estate , ,50C 17, ,439, 84 1,47,5 1, 397, 770 1,157,117 1,177,020 All other loans (including overdrafts) 1, 205,093 1, , 781,815 2,089, , , ,23 2,784,113 2,873,311 3,084,9 3,72,14 3^849,119 4,325,25 Loans eligible for rediscount with Federal 70, , , , , ,1 991,345 1, 271,257 1,2,152 1, 327,930 1, 540,88 U nited States G o v ern m en t securities... 1,830,393 1,5,429 1,090, , , ,379 1,992,88 2,01,87 1,27,722 1,433,425 1,279,015 1,219,381 1,21,3 1,124, , , ,024 1,93,959 1,47,278 1,347,48 Treasury notes... 1,27, 02 1,130,471 1,038,7 153, ,1 139,774 38,045 32,319 23,828 58,034 88, , Certificates of indebtedness 4, ,2 138,05 141,19 55,154 13, ,39 32, ,9 295, ,290 32, 519 Treasury b ills , , , , 21 20,03 14,184 15,424 19,929 20, ,823,79 2,72 3,373 2,177 O ther securities T o t a l-... 1,202,088 1,144,788 1,7,40 20, , ,03 2,054,011 2,124,77 1,909,433 3,172,353 3,27,43 3,370,07 Domestic securities _ 1,017,89 1,005,942 1,004, , , ,929 1,898, 08 1, 974, 878 1, 743,413 2,83, 550 2,937, 728 2,90,748 State, county, and municipal bonds- 321, ,833 29,141 3,454 38, 70 52,37 594,995 05,443 Railroad bonds 491,551 29,97 1,175 5, , , ,4,828 14,832 12, , ,48 22, , 585 Other public-service corporation bonds 519, ,331 78,55 1,128 89,087 20,877 31,859 20, , , , 31 All other bonds. 732, , , , ,480 41,804 2, , , ,354 41,489 Stock of other Federal... 81, ,34 51,099 50,920 52,881 7,712 7,592 8,23 50,981 51,35 52,511 54,535 Stock of other corporations 55,272 5,05 135,52 14,278 15,438 5, , ,98 177,373 Collateral trust and other corporation notes , , 554,930 5,341 50,2 21,085 7, 573 8,940 92, 570 5, ,480 54, 81 Municipal warrants 57,398 2,878 3, 325,020 1,28 5, ,811 41, , ,752 3,80 All o th e r, 730 3, , ,17 15, ,425 28,834 28,509 27,314 Foreign securities 184, ,84 3,189 12,792 14, , , 799 1, , , ,319 Government bonds 84,854 81,88 51,22,704,18 12,98 7, 272 5, , ,485 Other foreign securities 14, ,545 57,158 51,93. C88 7,904 9,43 79, 71 84,427 85, , , , 743 D em a n d deposits TotaL... 4,953,020 5,250,081 4,908, , ,452 1,044,94 4,95,517 5,421,975 5,522,734 4,35,803 4,971,71 5,32,082 Individual deposits subject to check 4,2,171 4,823,271 4,50, ,882 87, ,12 4,473, 059 4, , 025,482 3,709, 545 Certificates cf deposit 3, 93,954 4,43,35 38,121 27, ,528 2, 009 2, 111 2,92 3, ,45 42,015 95,412 State, county, and municipal deposits 7,00 114,18 13, ,184 8, 02 75, 25 8, , , , ,131 All other 747, ,2 759,74 152, , , ,05 8,7 51, 82,970 48,130 51,515 Net demand deposits (see p. ),178,039 i,142,948 5,873,175 1,5, 704 1, 147, 737 1, 231,34 5,458,452,031,11,120,338 4, 703, 008 5, 034, 704 5,432,379 T im e deposits... 1,135,015 1,274,880 1,513, , ,70 57,87 4,979,317 5,281,431 5,159,875,20,91,41,397,94,888 18, ,132 17,198 20, , ,94 312, ,153 11, , ,949, ,952 39,732 17,4 1, ,504 51, 515 1,455 34, , ,137 79,3 115,402 19,445,000 13, , , 014 2,182 31, Banks in United States Banks in foreign countries Other time deposits Evidenced b y savings pass books Certificates of deposit Open accounts, Christmas savings accounts, etc Postal savings Bills payable and rediscounts With Federal Bills payable Rediscounts... All other Bills payable Rediscounts , 454 8, , ,99 35,581 11, , , , ,172 49,59 1,712 4, ,745 42, , ,272 1,20 47,053 4, , ,83 51, , ,953 5, , " 25" 22, ,447 : 3,533,357 81,503 50,88 151,27 383, 539 3, , ,500 18,499 0,145 17,053 45,349 5,952 3, 78, , , ,957 7,85 3,994,147 1, , ,79 415,317 47,040 50,219 20, 542,81 22, ,94, 998 1,04, , ,920 4,925,81 1,122, , ,425 5,04,290 1,22, ,929 7,157 20,90 177,204 19,8 9,19 50,115 51,238 9, , ,137 4,928 43,53 52,394 3,403 3,520 5,339

8 i Member only, i. e., exclusive of national in Alaska and Hawaii. Digitized for FRASER NATIONAL AND STATE MEMBERS CONDITION ON SEPTEMBER 29,, BY CLASSES OF BANKS [Amounts in thousands of dollars] RESOURCES Due from in foreign countries (including own branches) ,92 959,218 Redemption fund and due from United States Treasurer... Acceptances of other and bills of exchange or drafts sold with All member National 1 State bank members Central city Other city! 1 Central city Other city Central city Other city b an k s 20,874,084,349,821 7,325,353 7,198,9 12,45,55 2, 82, 877 4, 459, 882 5, 322, 797 8,408,528 3,,944 2,85,471 1,87,113 5,54,41 2,138,348 1,992,88 1,433,425 3,283,905! 797,512 1, 322,5 1,13, 737 2, 280, 55 1, 340, 83 70,032 29,88,34,89 1,408,325 2,054,011 3,172,353 4,372,508; 72,777 1, 221,24 2,478,485 2,22, , , 75 93,88 33,073,234 9,89,494 11,372,052 11,804,88 20,121,99 4,153,1 7,003,784 8,95,019 12,951,25 5,743,328 4, ZtiS S, few, DOS 2, , ,30 5, ,438! 24,997 95,02 2, , ,215 2, 244 5,18 1,220,317 25,52 440,52 523, , , ,873 40, ,474 15,979 15,53 11, ,518 1, , , ,085!,404 31,59 8,112 85,433 9,88 47, , ,150 81,2 13, , ,045' 30,09 111, , ,5 51,017 51,729 4,359 2, 339,230 1,05, , ,318 1,35, ,32 478,55 431, ,89 09, , , ,91 175, , , ,830 0,1 174,77 8, ,81 75,72 82, ,438 1,935,119 27, , ,34 1,338,4211,37 2,023 45, 71 '59,98 200,13 254, ,03 159,055 52, 830 3, ,597, 4,141 47,151 2,305 2,095 54,914 5,79 1, , ,50 43, , ,09 121,859 28, , , , ,158 50,9,449 28,90 15, ,233 3,279 17,202 12, ,43 3,170 11,488 2,805 31, 524 2,028 7,40 22,03 31, 524; 2,028 7,40 22,03 329, 75 20, 251 7,118 2,387 98, 01i 81,48 14, 752 2, , ,783 52,3 17,150 9,2 7,884 9,534 3,992 5, 542 7,1 5, ,07 82, 793 0,902 5, , ,380 54,753 39, ,532 51,413 4,149 2,342 25,970 42,378, , 542,330 14,478,11 14,357,83 25,702,824 5,,827 9,072,28, 93, 711 1, 75,953 7, 875,503 5,40, 325 3,394,125 LIABILITIES 2,580, ,04 817, ,009 1,52,949j 379, ,19 737, ,01 431,2 282, ,1 2,95,285 1,072, , ,54 1,48, , , ,948 1, 227,05 38, , ,1 811,45 293, ,5 299, 454,701 93,54 127,1 233,989 35, ,579 91, ,25 58, 'PocorroQ fnr rlivihpnds POnt.iTlETfincieS. 0tC 271,408 97, ,801 1, ,19 30,322 53,954 31, ,789 15,947 Reserves for interest, taxes and other expenses accrued and un paid- 12,507 49,489 7,04 45,972 82,90 14,201 38,80 30,025 79,01 35,288 28,3 41,070 7,182 33,888 31,359,279 25,080 9, ,808 7,140 Due to other in United States 3,222,4 1,419,04 1,471,79 331,33 1,917,909 5,772 1, 095,44 255, 493 1, 304, ,292 37,125 1, Tino tn v»q-nir<5 in fnrpicm pnnntrips finoliidintr own branches) 747,282 97,09 48,98 353,37 311,033 41, ,45 38,03 7,18 17, ,830 4,351 15,412 Certified and ofiiceres checks outstanding 5,872 29, , 5,014 41,40 320,913 2,14 39,337, Cash letters of cred t and travelers checks outstanding 23,701 17,277, ,11 5, ,44 13, ,52,182 5,924,82 4,95, 517 4, 35,803 9,379,32 2, 592,005 3, 29,90 3, 517, 397,14,820 3,332,857 1,95,557 1,118,40 12, 77, 332 1, 590,054 4,979, 317,20,91 8,134,514 54,509 2, 841,473 4, 728, 532 4,41,818 1,025,545 2,137,844 1, 478, ,57 85,429 3,150 31,93 United States deposits ,11 140, , , , ,42 0, ,272,244,833 5,91,484 4,30,27 2,729,431 T otal deposits 33,480,247 11,83,817 11,398,597 20,429,05 4,283,349 7,47,550 8,9,1 13,051,182i 7, 551 5,153 2,398 Agreements to repurchase U. S. Government or other securities sold 25, ,7,27 17,752 9, 523 8, 229 Bills payable and rediscounts: "With Federal - 323,354 13, , , , 77, , ,059 89,578 3,381 38,81 47, 51 19,1 20, 79 All other 142,357 22, , 301 8,331 90,422,725 32,135 47, 52 51,935 12,000 Acceptances of other and bills of exchange or drafts sold with indorsement , 75 20, 251 7,118 2,387 98, 01 81,48 14, 752 2, , ,783 52,3 33,280 Acceptances executed for customers 81,145 54, ,487 4,7 ' 354,443 25,378 ; 9,207 1,858 32, ,04 Acceptances executed by other for account of reporting. 13,197 8,370 3,085 1, , , , ,83!,257 2,71 2,882 59,940 5, ,83 Sec urities borrowed ,150 9,2 7,8841 9, 534!! 3,992 5,542 7,1 5, 274 2,342 7, ,38 5,735 21, , 240 8,3 0, 23j 29,220 19,48 15,492 52,020 47,737 42,378, , 542,330 14,478,11 14,357,83 25, 702,824' 5,,827 9,072,28,93, 711 1,75,953 7,875,503 5,40,325 3,394,125 Number of -- 7,599 ~ 54 ~ 3I 7,179j,53 24: 22, T ,818 1,083

9 NATIONAL AND STATE MEMBERS LOANS, INVESTMENTS, DEPOSITS, AND BORROWINGS ON SEPTEMBER 29, [Amounts in thousands of dollars] L oa n s... 20,874,084 Acceptances payable in United States... 28,490 Bills, acceptances, etc., payable in foreign countries... 9,973 Commercial paper bought in open market... 29,433 Loans to On securities... 3,909 A ll other ,21 Loans on securities, exclusive of loans to T c brokers and dealers in New Y crk... T o brokers and dealers elsewhere... T o others... Real estate loans On farm land... On other real estate... All other loans (including overdrafts)... Loans eligible for rediscount with Federal.. All member National 1 State bank members Central city Other city Central city Other city Central city,349, ,838 7,325,353 4,71 7,198, ,45, ,82,877 70, 84 4,459,882 1, C02 5,322, ,408, ,700 3,, ,974 55, , 218 1,974 29,51 19,404 8, ,412 3,317 72, ,720 81, ,301 18, , 044,059 1C1,132 54, , , 799 1,3 8,08 17,279 4, ,53 194,8C2 5,914 72,455 79,8 79, ,25 92, ,080 0,344 7, 770,142 3, , 542,5i9 1,97, 57 4,158,70 1,329,141 1,427, , ,813 8, , , ,85 25,174 27, , , ,097 42, ,31 74,219 12,147 27,995,321,172 2,120,442 2,308,375 1,892,355 3, 552, , 237 1, 27,497 1,34, , , , , ,43 202,159 2, ,43 1, ,157,117 1, 20,881 14, 291 2,772 19,818 8,721, f 5, 2 2,784,113 3,72, , 091,931 1,970,201 2t973, 552 Other city 2,85,471 1,87,113 3, , ,7 15, C99 30,82 3,350 28, 704 3, ,472 1,930,90 1,114, ,85 549,90 540,711 3,873 5, ,79 198,990 78,950 14,85 2,78, 770 1,191,205 1,031, ,87 77, 759 1,511,725 2, , 352 1,173, , , ,912 51,31 537,299 99,02 2,997, ,2, , ,917 71,922 1, 014, , , ,8 U n ited States G o v e rn m e n t securities... 5,54,41 2,138,348 1,992,88 1,433,425 3,283, ,512 1,322,5 Bonds... 4,278,845 1, , il, 27, , ,913 1,5,744 Treasury notes , ,252 58, , ,820 74, ,30 Certificates of indebtedness ,99 301, , ,391 97, 74 1,821 Treasury bills... 30,12 33,9 20, ,72 224,175 j 200, , 785 O th er securities...,34,89 1,408,325 2,054,011 3,172,353 Domestic securities... 5,972,752 1,211,13411,898,08 2, ~ State, county, and municipal bonds... 1, 582, ,995 29,97 1, 081, , ,174 Railroad bends , , , , , , ,802 Other public-service corporation bonds... 1,028,292 99, , ,31 775,58 4, ,01 All other bonds... 1,198,078 17, ,09 41, , ,973 Stock of Federal... 14,327 58, ,535 9,95 25, ,934 Stock of other corporations... 51, , , ,373 9,90 28,985 48,49 Collateral trust and other corporation notes ,44 88, ,570 54,81 127,8 28, , 037 Municipal warrants ,57 59, ,822 3,80 111, , ,91 All other ,294 5,088 15,372 28,834 38, ,52 1,13,737 2,280,55 1,038,82 1, 709,32 98,307 19,74 23,89 25,05 2, 72 J 135,951 1,340,83 883, , ,951 70,032 29,88 588, ,14 28, ,901 53, 089 8,23 4,372, 08 3, , , 78 1,221,24 1,117,459 2,478,485 2,214, 730 2,22,181 2,089, ,548 0, ,75 780,09 93,88 48, ,59 500, , C81 177, , , ,973 85, ,49 3, , ,34 52,28 79, , , 09 34,235 81, , ,393 41, 750 7,371 33, , , , ,8 111, , ,948 47,921 7, 70 59, ,940 53,23 54,035 31,505 11,90,024 2,313 2, 521,94 4,805 3,84 Foreign securities... 1, ,191 i 155, , , ,992 3, , ,199 52,15 45, 048 Government bonds ,315 91, 558 7, ,422 4, 89 52,84 12, 89 90, Other foreign securities ,71 159, ,112 75,123 51,3 13, 88 81, , ,432 D em a n d deposits T otal... 15,52,182 5,924,82 4,95,517 4,35,803 9,379,32 2,592,005 3,29,90 3,517,397,1*,820 3,332,857 1,95,557 1,118,40 Individual deposits subject to check... 13, 702,57 5, 520,053 4,473. C59. 3, 709, 545 8, 158,3 2,390, 275 2,953,114 2,815,274 ' 5,543,994 3,129, 778 i, 519, ,271 Certificates of deposit ,582 40,13C 3. C40 95, ,492 19,171 22, ,818 54, ,959 13, , 594 State, county, and municipal deposits , , , 732 1C , ,17 379, , 700 All other ,8, , ,475 73, , ,478 32,47 5,841 Net demand deposits (see p. )... 17,445, 203 7, ,452 4,703, , 703 3, ,012 3, , 070, , / 9^, T im e deposits.... States, counties, and municipalities... Banks in United States... Banks in foreign countries... Other time deposits Evidenced by savings pass books... Certificates of deposit... Open accounts, Christmas savings accounts, etc... Postal savings ,77, ,13 112, ,492 1,78, ,590,054 39, ,3 540,137 10, C ,979, ,94 51,515 23,014,20, , ,134,514 3, , ,357 50, , 330 4,94,998 1,04, , C Bills payable a n d red iscou n ts... With Federal Bills payable... 45,711 2C9,024 3,30 12,83 18,499 0,145 20, Rediscounts ,053 9,379 All other Bills payable , , , I?ef,isf>rnT'^<!... P SRR i i Member only, i. e., exclusive of national in Alaska and Hawaii. 5,9,12 1, 234,50 522, ,509 23,45 5,823 33,3 194,730 42,377 22, ,841,473 4,728,532 4,41,818 1,025,545 19,7 35,807 22, , I 128,837 37,551 5,120 15,88 18, 040 5, , ,17 179,49 0,11 3,50,043 ; 880,953 11, ,823 3, 072, C 700,288 94, , , 59 82,18C 88, ,925 9,00 00,725 1,52 70, ,21 71,417 73,42 i 45, ,513 57,428 32,150 44, , , , ' ,137,844 1,478,429 87, ,382 15, 708 3, , ,92 204, , ,847 29,5 9,115 13,414 5, 752 1,188, ,998 58,174 18, 097 8,285 24, ,184 1, 585

10 ALL MEMBER BANKS CONDITION ON SEPTEMBER 29,, BY FEDERAL RESERVE DISTRICTS [Amounts in thousands of dollars] Federal Reserve District Boston New York Philadelphia Cleveland Richmond Atlanta Chicago St. Louis Minneapolis Kansas City Dallas San Francisco RESOURCES 20,874,084 1,542,900 7,15,117 1,19,22 2,012, ,02 35,187 2,89,312 83,152 45,02 13, ,185 1,973,313 5,54,41 330,322 2,195,881 35,901 57, ,417 10,517 4, , , ,52 131, ,857,34,89 558,913 2,154, ,149 23,8 211, , , , , , ,17 ' loans and investments 33,073,234 2,432,135 11,514,998 2,740,27 3,202,78 1,137,095 90,22 4,237,929 1,8, ,172 1,04,251 77,309 3,077,337 2,415 49, , ,2 15,321 2,809 4,95 47, , ,29 22,209 1,220,317 72, , 718 9, ,440 59,123 53, ,015 38,09 28,721 41,784 44,28 127, ,518 9,79 31,450 31,30 29,73 15,297 1,29 30,4 12,551 4,090 5,39 9,537 13, ,150 37, ,913 47,883 2,285 32,492 22,351 81,812 20,429 17,534 28,838 22,4 52,838 2,339, ,309 1,037, ,911 18,032 58,083 52, ,09 5, 778 4,932 77,447 5,759 15, ,91 49, ,157 40,802 57,85 27,790 13,09 3,974 22,07 5,050 23,330 1,452 21,314 1,935, , , , ,488 88,874 9,22 372,45 92,140 1,47 183, ,82 23,32 Due from in foreign countries (including own branches) 215,92 35, ,427 1,593 2, , , ,509 Exchanges for clearing house and othe checks on local ,218 22,77 730,83 37,918 27, 732 9,593 8,85 51,38 8,231,433 9,739 5,973 40,18 50,9 2,051 8,889 2,07 4,514 1, 795 2,092 11,411 1,938 1,12 2,433 2,002 9,883 31,524 2,243 4, 743 2,877 3,5 2,33 2,173 3,95 1,338 1,22 1,529 2,188 3,457 Acceptances of other and bills of exchange or drafts sold with indorsement , 75, ,395 3,958 5,351 2,20 1,71 45, ,73 Securities borrowed , ,702 3,72 1,113 2,383 1,519 3, Other assets ,07 11,93 89,358 19,403 29,322 11,292 5,252 35,032 4,901 11,048 3,71 2,707 25,343 42, 378, 777 2,999,8 15,219,42 3,31,43 3,928,543 1,450,558 1,241,137 5,45,998 1,380,711 1,049,439 1,443,875 1,04,777 3,817,948 LIABILITIES Capital stock paid in 2,580, , ,38 183, ,731 4,00 95, ,88 99, 99 1,20 91,802 8, ,7 S u rp lu s.. 2,95,285 17,945 1,1?, ,89 280,47 75,352 4, ,815 57,120 35,288 44,000 44, ,29 Undivided profits net 811,45 3, , ,99 70, 37 27,303 18,115 9,777 21,578 13,373 23,053 24,24 50,1 Reserves for dividends, contingencies, etc 271,408 22,59 1,114 32,48 23, 905, 983 3,778 38,75 5, ,383 3,857 3,479 14,489 Reserves for interest, taxes, and other expenses accrued and unpaid ,507 13,233 47,121,570 17, 530 5,959 4,455 31,79 4,023,057 3,009 3,033 15,748 Due to Federal. 41,070 7,227 12, 49 4,233 4, 371 5,047 1,800 2, ,80 92 Due to other in United States 3,222,4 157,447 1,230, , , ,97 9,132 45, ,447 93, ,188 9,2 24,017 Due to in foreign countries (including own branches) 747,282 2,404 53,501 3,401 2, ,273 4, ,485 Certified and officers checks outstanding 17,053 14,92 455,121 14,991 19, 721 7, 704 4,9 33,135 7,818 8,053,888 9,407 30,287 Cash letters of credit and travelers checks outstanding 23, , , , ,482 Demand deposits ,52,182 1,159,434,115,948 1,03,337 1, 223, 85 41, ,512 2,042,204 50, ,959 41,21 478,073 1,091,18 Time deposits , 77,332 1,003,08 2,939,879 1,17,170 1,54,01 540, ,049 1,882,320 48, , , ,033 United States deposits 52, ,720 1, , 41 43,127 29,55 17,752 9,848 13,542 39,27 1,785,507 31,09 deposits... 33,480,247 2,393,87 11,589,900 2, , 142, 128 1,132,082 91,924 4,495,205 1,11,59 893,97 1,229, ,125 3,197,97 Agreements to repurchase U. S. Government or other securities sold.. 25,303 7,450 2, , , , ,047 5 Bills payable and rediscounts: With Federal 323,354 11, 971 0, , ,337 27,244 1,547 13,175 3,777 14,228 12,47 44,153 All other 142,357 13,30 34, ,081 24, 99,483 7,15,597, ,170 4,350 7,417 Acceptances of other and bills of exchange or drafts sold with indorsement 329, 75, ,395 3,958 5, 351 2,20 1, 71 45, ,73 Acceptances executed for customers. 81,145 50,89 511, ,38 15,32 2,88,15 48, ,99 7 1,281 23,292 Acceptances executed by other for account of reporting 13, ,793 1, National-bank notes outstanding.. 28,334 44,559 94, ,078 72,39 4,938 43,12 74,20 2,5 24,99? 30,47 43,54 8,88 Securities borrowed 17, ,702 3,72 1,113 2,383 1,519 3, Other liabilities ,728 8,21 2,897 20,251 7,543 9,352 2,884 35,757 22,244 1, , ,378,777 2,999,8 15,219,42 3,31,43 3,928,543 1,450,5581,2^1,137 5,45,998 1,380,711 1,049,439 1,443,875 1,04,777 3,817,948 Number of 1-7,599) i Digitized for FRASER 1

11 ALL MEMBER BANKS LOANS, INVESTMENTS, DEPOSITS, AND BORROWINGS ON "SEPTEMBER 29,, BY DISTRICTS [Amounts in thousands of dollars] Loans Acceptances payable in United States... Bills, acceptances, etc., payable in foreign countries. Commercial paper bought in open market. Loans to On securities All other. Loans on securities, exclusive of loans to To brokers and dealers in New York To brokers and dealers elsewhere. To others Real estate loans On farm land On other real estate All other loans (including overdrafts) Loans eligible for rediscount with Federal. United States Government securities Bonds Treasury notes Certificates of indebtedness. Treasury bills. Other securities Domestic securities State, county, and municipal bonds Railroad bonds Other public-service corporation bonds. All other bonds Stock of Federal Stock of other corporations. Collateral trust and other corporation notes. Municipal warrants. All other... Foreign securities. Government bonds Other foreign securities. Demand deposits. Individual deposits subject to check... Certificates of deposit State, county, and municipal deposits. All other... Net demand deposits (see p. ) Tim e deposits. States, counties, and municipalities. Banks in United States. Banks in foreign countries. Other time deposits Evidenced by savings pass books. Certificates of deposit... Open accounts, Christmas savings accounts. etc Postal savings...^... Bills payable and rediscounts With Federal Bills payable. Rediscounts. All other Bills payable. Rediscounts. CD

12 ALL MEMBER BANKS RESERVE POSITION ON SEPTEMBER 29, [Amounts in thousands of dollars] Class of bank and Federal district Demand deposits, exclusive of bank and Government deposits 1 Net demand deposits Due to, n e t 2 Time deposits Net demand plus time deposits Reserve with Federal Required Held Excess* Ratio of required s to net demand plus time deposits (per cent) All member ,52,182 1,919,021 17,445, ,77,332 30,221,535 2, 205,231 2,339, , Central city ,82 1,358,881 7,283,743 1,590,054 8,873, ,05,315 70, Reserve city... 4,95, ,935 5,458,452 4,979,317,437,79 95, ,597 24, ,35,803 7, 205 4,703,008,20,91,909,99 515, , , All member : Boston... 1,159,434 50,374 1, 209,808 1,003,08 2, , , 309,7.0 New Y ork,115, 948 1, ,32,71 2, 939, ,40 978, 34 1,037, , Philadelphia , 03,337 83,728 1,120,05 1,17,170 2, 29, , 2 142,911 9, Cleveland , 223, 85 11,893 1,340,578 1, ,904, ,02 18, Richmond ,473 25, ,11 540, 789 1,027, , , Atlanta , , , , , 2 50, ,125 1,352.0 Chicago 2, 042, , , 91 1,882, , 011 2S , 09 29, St. Louis 50, , , ,508 1,01, 595 2,44 5, 778 3,332.1 Minneapolis , , , ,888 44,47 4,932 2, Kansas C ity , 21 47, , ,119 1, 07,127 72,083 77,447 5,34.8 Dallas ,073 17, , ,033 70,881 47,9 5, 759 8, San Francisco ,091, 18 71, 247 1,12,85 1, 785, 507 2, 948, ,49 15,053 3, Central city : New Y ork 4,953,020 1, 225,019,178, 039 1,135,015 7,313, , ,112 45, Chicago , ,82 1,5, ,039 1, 50, , , ,8.1 Reserve city : Boston 58, 57 42,144 28, , , 4 71,425 78,942 7, New Y ork 140, 08 4, , , ,134 22, Philadelphia....,* ,330 81, , , , ,98 79,403 4, Cleveland , , , ,823 1, 791, ^e 117, ,1-2, 202. R ich m on d ,845 20,14 241, , ,899 29, 2 28,319 1, Atlanta 237, , , , ,828 31, Chicago ,011 25, ,950 8,397 1, 29,347 78,887 80,197 1, 3.2 St. Louis 289,438 34, , , , 4 39, ,148 2, Minnaapolis 149,31 24, , 390 1, , , 4 21,811 1,147 7,3 Kansas C ity , , , , 30 14, 20 47, 15 49, 212 1, Dallas ,91 11, , , , 751 2, , 082 7, San Francisco 817,74, , 38 1, 518, 84 2,403, , ,882 1, : Boston ,777 8, , , 223 1, 299, 230 2, 217 5,37 3, New York 1,022, 320 1,993 1,039,313 1, 551, 758 2, 591, , , 5 12,30 4. Philadelphia 45,007 2, , , 38 1, 319, , 2S8 3, 508 5, Cleveland ,15 1, , ,193 1,112,938 50, 58 52,8 2, Richm ond 239, 28 5, , ,881 05,051 27,958 29, 74 1,80 4. Atlanta , 792 4, , , , ,945 20, 18 1, Chicago ,351 5, 8 519, ,884 1, 259,921 58, 559 1, 9 3, St. Louis 20,880 7, , ,031 4, , 55 23, 30 1, Minneapolis , 598 3,12 201, , , , ,121 1, Kansas C ity ,184 1, , , ,87 24,48 28, 235 3, Dallas ,157 5,80 25, 017 8, ,130 21,135 22,77 1, San Francisco ,944 4, ,497 2, ,320 27,499 29,171 1, Exclusive also of certified and cashiers or treasurers checks outstanding and letters of credit and travelers checks sold for cash and outstanding. 2 Combined excess of amounts due to over amounts due from as shown by individual bank reports. When, for a given bank, am om ts due from exceed amounts due to, the excess due from can not be deducted in determining deposits on which s are computed and for this reason amounts in this column do not agree with the difference between aggregate amounts due to and due from. In this calculation the amounts due to include due to Federal, bankers, and trust companies, certified and cashiers of Treasurers* checks o itstanding, and letters of credit and travelers checks sold for cash and outstanding, while amounts due from include items with Federal in process of collection, amounts due from and trust companies in United States, balances payable in dollars due from forei ;n branches of other American, and exchanges for clearing house and other checks on local. 8 Deficiencies in s indicated by a minus ( ) sign.

13 STATE BANK MEMBERS CONDITION ON SEPTEMBER 29,, BY FEDERAL RESERVE DISTRICTS fin thousands of dollars] Federal Reserve District Boston New York Atlanta Chicago St. Louis Philadelphia Cleveland Richmond Minneapolis Kansas City Dallas San Francisco RESOURCES Loans (including overdrafts) United States Government securities... Other securities T ota l loan s a n d investm en ts... Customers liability on account of acceptances... I Banking house, furniture, and fixtures... Other real estate owned... Cash in vault Reserves with Federal Items with Federal in process of collection... Due from in United States Due from in foreign countries (including own branches) Exchanges for clearing house and other checks on local Outside checks and other cash item s... Acceptances of other and bills of exchange or drafts sold with indorsement Securities borrowed... Other assets T o t a l... 1,75,953 LIABILITIES Capital stock paid in... Surplus Undivided profits net... Reserves for dividends, contingencies, e t c... Reserves for interest, taxes, and other expenses accrued and unpaid Due to Federal... Due to other in United States... Due to in foreign countries (including own branches) Certified and officers checks outstanding Cash letters of credit and travelers checks outstanding... Demand deposits... Tim e deposits... United States deposits T ota l deposits Agreements to repurchase U. S. Government or other securities sold Bills payable and rediscounts: With Federal... All other Acceptances of other and bills of exchange or drafts sold with indorsement... Acceptances executed for customers " Acceptances executed by other for account of reporting b an ks Securities borro'wed Other liabilities ,75,953 Number of ,408,528 2,280,55 2,22,181 12,951,25 317, ,474 85, ,5 973,89 187, 81 59,98 2, ,383 17,43 231,155 7,1 123, , 01 1,227,05 35, , , 01 9, 711 1, 304, ,45 320, ,44,14, 820 4, 41, 818 '220, ,051,182 7,551 89, , ,155 32, 702,940 7,1 15, ,535 3, ,75 17,043 1,91, 318 1, 918 9, 94 30,138,032 23, , ,728 3,841,975 1,2, ,98,042,79 20, ,887 14, 340 4, , , , , ,91 2, , , ,493,8,5,902 39,705 48,388 13, 99,393 4, , , 58 27, , 311, ,747 1, , , ,45 50, 221,5 7,153 30,439 5, , 504 '352,930 23,134 12, 252 3,288,422 1,400, 42 91,877,153, ,71 1,159 17, ,045,51 71,37 519, ,81 248, ,92 1, 05 34,772 14,931 11,427 45,2 15,288 37,14 24, ,181 2,000, 22 1,078, , , ,123 21,144 5, 345 1, , , , , , , ,238 5,419 2,181 1,899 2,000 1, ,071,4 228, ,888 1,539,495 11,42 5, , 759 2,231 75, , , 242 1, 00 13,090 4, , 331 0, , ,958 14,008 9,423 1,543 91, 731 1,000 11, , ,022 40, 581 1,534,0 4,019 17,12 11,911 4,139 11, , ,493 8,5,902 1,078,387 1,888, ,139 22,720 54, ,31 2,08 14,7 3,072 5, ,21 11, , , , ,54 334, , 315 1,5,000 2,03 2, , ,47 1, 4, 009 3, ,28 7,811 5,090 1,511 2, ,235,277 43, ,452 2,382 15,598 2,95 2,418, 20 1,903 13, , , 02 2,22 1,529, ,13 315,419 2,185,4 30,114 0,437 14,524 2, ,17 22, ,29 2,775 28,99, ,04 1,033 20, 5 25, 28 2, 775,029 18,705 13,029 5, , , 84 1, ,9 83,9,931 19,98 1,750, 772 3, , ,02 2,031 11,33 155,452 30,519 28, , , 74 35,00 19, , 978 1,025, ,950 2,22, ,097 4,470 45,04 29, , ,912 49, , , ,139 7,400,538 28,1,754 29, ,735 1,032 2,513 2,51 50,905 41,995 23,94 8,331 2,578 2,141 40, , ,85 194,850 5,19 450, ,37 1,93 2,513 21,004 50,905 24,399 5,171 14,04 44,174 "1, ,503 1, , ,132 3,120 1, ,541 18,245 2, , ,30 21,305 24,44 91,309 2,"940" 1,371 1,970 8,119 4,123 20, , 234 3,220 2, , "5, l37 28, 81 1,89 115, ,040 5,3,770 4, , ,121 3, , ,843,890 2,191 1, ,328 """04 27,935 9,138 4,42 48, ,187 4,12 125, ,247 7,330 13,42,149 8,97 30,177,009 42,74 8 5,42 1,394 9,913 5, 718,32 39,170 24,785,59 2,244 3, ,499 3,095 4, , ,25 1,088 14,74$ 435 2,425 1,797 9,913 7,49 2 > 1,507

14 1 Outlying in above cities, which have been authorized to carry country bank leserves, are included with country. * Includes both central city and city. Digitized for FRASER ALL MEMBER BANKS CONDITION ON SEPTEMBER 29,, OF BANKS IN CENTRAL RESERVE AND RESERVE CITIES 1 AND OF BANKS OUTSIDE SUCH CITIES (COUNTRY BANKS) [Amounts in thousands of dollars. Federal bank and branch cities are shown in bold*face type] District No. 1 District No. 2 District No. District No. 4 BOS TON NEW YORK 2 Buffalo PHIL ADEL PHIA CLEVE LAND Cincinnati Pittsburgh Columbus Toledo RESOURCES Loans (including overdrafts) United States Government securities Other securities. loans and investments... Customers liability on account of acceptances.-... Banking house, furniture, and fixtures Other real estate owned Cash in vault -... Reserve with Federal Items with Federal in process of collection Due from in United States Due from in foreign countries (including own branches) Exchanges for clearing house and other checks on local Outside checks and other cash items. Redemption fund and due from United States Treasurer Acceptances of other and bills of exchange or drafts sold with indorsement Securities borrowed Other. 84,97 134, , ,048 47,982 31, 57 4,597 7, ,942 29,808 0,292 34,171 17, ,425, ,924 19, , ,087 i r ~ 40,27 5,172 29,31 5,37 19,193 4, ,424 1,282 2, , S 5, 239,412 1,833, 915 1, 211,923 8,285, , , ,15 9, , ,975 2, , ,192 '4,r ~ 2, , ,327 57, 78, ,4 2j 5,409 1,719 2,34 2,255 20,87,145 1,03 1,541 4, , 521 2,254,39, ,933 83,773, 808,084 2,502 98,985 1,51 5, ,5 3,037 9,458 1, , 505 3,21 2, ,73 717, , , 2«7,201/05 18,739 31,005 11,25 12,502 79,403 30,3 53,435 1, , ,94 2,50 13, , ,34 479,882,538, ,250 20,041 35,381 3,508,99 0,9 12 3, 97 1,145 2, ,40 1,324,477 1,75,209 11, 389, ,847 3, 299,079 1,495,41 1,820, ,735 83,897 9, ,841 14, 54 30,124 8,974,440 35,197 1,1 55,87 1,771,49 1, , ,994 32,009 50, 44 20, ,44 2,820 4,2 1,959 7, f 8,: 11 4, , , , ,981 29, , , ,412 4,814 8,780 53,518 22,374 25, , t52 9, ,054 11,54 15,91 84,399 5, ,42 5, 77 4, 717 5, , ,70 33,44 15,945,737 5, ,09 3,1 3,725 2,032 3, , , ,45,201,07$ 48 4,950 13,033 32,775 52,8 4,20 72, ,74 1,094 2, ,459 8,302 72,870 1,459,48 LIABILITIES Capital stock paid in Surplus Undivided profits net Reserves for dividends, contingencies, etc Reserves for interest, taxes, and other expenses accrued and unpaid.. Due to Federal Due to other in United States Due to in foreign countries (including own branches) Certified and officers checks outstanding Cash letters of credit and travelers checks outstanding Demand deposits Tim e deposits United States deposits T o ta l deposits... Agreements to repurchase U. S. Government or other securities sold. Bills payable and rediscounts: W ith Federal All other Acceptances of other and bills of exchange or drafts sold with indorsement Acceptances executed for customers Acceptances executed by other for account of reporting National-bank notes outstanding Securities borrowed Other liabilities T o t a l Number of 1, 71, 1, 14, 5, 113, 2, 58, 284,, 1,032, 1, 11,, 48, 92,970 9,492 47,173 8,381 7,304 7,227 43, ,85 572, , ,753 1,31,49 5, 300 2,150 5,338 1,83 2, , ,9 52 2,878 8,489 91, 3 272,82 78, 55 33, 474 1,135, , ,009 15, 701 4,99, 1,145,! 129, 430 8,489,830 13, , ,55 8,193 40,07 55, ,300 32,850 9,321 15,43 1»! 28,485 1,395 2, ,0 29,521 5,409, , 17, 8, 1, 11, 12,, 1,324,477 1,75,209 11,389, ,847 3,299,079 1,495,41 1,820,822, 124,390 1,022, 242, 225 1,551,,819 30, 405,9 2,94, 2, 4,831, ,001 1,00 53, , , ,840 30,559 23, ~~~, ,921 3,401, , , , 119, ,05 48,140 8, 530 4,2 3,994 14,13 4, , ,38 1*5,185, 134,0911,355,91 3uu 24,503 8,091 3,94 18,281 1,313 4,743 2,50 5, ,725 12, , , ,50 3,450 14,112 5, 274 5,78 51,37 1,042 4,1 252,754 48,907 28, ,387 2,479 5,502 5,339 14,894 2, ,220 19,950 18,350 7,004 1,17 1,953 25, , , ,34 4,84 24, , ,021 37, ,050 14,903 12,753 4, ,495 1,450,394 3, , ,783 24,019 73,003 13,27 5, ,07 14,474 1, ,859 2, ,204 4,700,0 1,' ,179 11,. 34 1,02 52, 57 22,512 2,81 92,290 1, , , ,407 5, '30,"49 1,275 2, ,3 2, , ,15 3,724 4,533 1,785 11, , ,15 81,193,54 1,140,379 1,123 18, "SI,"439 2,459 1,99 72,870 1,459,48 4

15 ALL MEMBER BANKS CONDITION ON SEPTEMBER 29,, OF BANKS IN CENTRAL RESERVE AND RESERVE CITIES1AND OF BANKS OUTSIDE SUCH CITIES (COUNTRY BANKS) Continued [Amounts in thousands of dollars. Federal bank and branch cities are shown in bold-face type] District No. 5 District No. RICH M OND Baltimore Charlotte Washington ATLAN TA New Orleans Birmingham Jacksonville Nashville Savannah RESOURCES Loans (including overdrafts)... United States Government securities Other securities loans and investments..... Customers liability on account of acceptances Banking house, furniture, and fixtures Other real estate owned Cash in vault Reserve with Federal Items with Federal in process of collection.... Due frcm in United States Due from in foreign countries (inqluding own branches) Exchanges for clearing house and other checks on local Outside checks and other cash items Redemption fund and due from United States Treasurer Acceptances cf other and bills of exchange or drafts sold with indorsement Securities borrowed Other assets. 72,083,139 20,19 98,391 1, ,273 7,54 13, ,183 7, , , ,053,494 8,9 9, , ,23 ' ~ T m 242,841 2, ,022 35, , , 794 2,035 5, ,153 81,34 38, , , ,184 2, , 758 2,113 13, , , ,02 483,97 78,99 1, , , 71 11,981 21,97 29, 74 7,122 47, ,491 1,042 1,911 1, ,74 835,09 2,178 28, ,259,42 1, ,3 2,94 18,141 1, ,994 48,180 9, ,94 1,812 3, ,130 1,885 5, ,878 1,978 22, ,59 3, , 349 1, 230 7, "191 8,973 47,979 3, 513,194 57, ,857 1,241 3, , , , ,711,22 2,414 9, , ,00 1,829 47,459 8,295 4,323 0, ,412 3,508 1,583 4,543 1,300 11, , ,745 75, , ,184 7,232 15,873 20,18 2,305 40, , , , ,002 LIABILITIES Capital stock paid in Surplus Undivided profits net Reserves for dividends, contingencies, etc Reserves for interest, taxes, and other expenses accrued and unpaid. _ Due to Federal Due to other in United States Due to in foreign countries (including own branches) Certified and officers checks outstanding Cash letters of credit and travelers checks outstanding Demand deposits Time deposits United States deposits deposits Agreements to repurchase U. S. Government or other securities sold. Bills payable and rediscounts: With Federal... All ether Acceptances of other and bills of exchange or drafts sold with indcrsement _ Acceptances executed for customers Acceptances executed by other for account of reporting.. JSTational-bank notes outstanding Securities borrowed Other liabilities Number of.,0c 7,0 2,90 1, , , 043 3,809 1,340 1, , , ,350 4, 957 1, 7C2 1, , , , 584 2, , m 4,375 4,751 1, 23 2,44 2,451 '8,1' 242,841 3, 700 3, 0C0 2,173 22C 228 9,198 """207 15,324 11, , ,147 48,153 11,175 8, C73 1, ,2C0 11, ,893 2, 539 3, ,08 3 1, , ,02 44,177 14,140 2, 775 3,000 3,847 2, , ,28 359,881, , ,31 5, 232 1, C , ,09 8, 9C0 8, , ,857 42,903, , , ,994, 500, , , , , ,080 " I54' 82,878,000 2, 2C , , 85 21, 085 4,591 59, " 1 8, 973 3,90C 3,450 1, ,484 " "295" 20, ,9 4, , ,094 13,125 9,0 3, , 03 2,91 1,035 1, ,812 57, ,075 1, 750 5,72 2, , ,800 1,00 1,71 22,381,00 4, , ,098 3C, 878 1,03 72, ,500 29,928 8,955 1, 232 1,52 1, 72 20, , , ,827 13, , ,570 4, , , Outlying in above cities, which have been authorized to carry country bank s, are included with country *

16 ALL MEMBER BANKS CONDITION ON SEPTEMBER 29,, OF BANKS IN CENTRAL RESERVE AND RESERVE CITIES 1 AND OF BANKS OUTSIDE SUCH CITIES (COUNTRY BANKS) Continued [Amounts in thousands of dollars. Federal bank and branch cities are shown in bold-face type] District No. 7 District No. 8 (see also p. 15) CHI CAGO 2 Detroit Cedar Rapids Des Moines D u buque Grand Rapids Indianapolis M ilwaukee Peoria Sioux City ST. LOUIS Little Rock Louisville RESOURCES Loans (including overdrafts) United States Government securities Other securities loans and investments... Customers liability on account of acceptances Banking house, furniture, and fixtures... Other real estate owned Cash in vault Reserve with Federal Items with Federal in process of collection Due from in United States Due from in foreign countries (including own branches) Exchanges for clearing house and other checks on local Outside checks and other cash items Redemption fund and due from United States Treasurer Acceptances of other and bills of exchange or drafts sold with itirl nrqom an t 1,175, ,044 23, 251 1,72,553 39,93 30,14 4,84 1, ,794 28, , 551 3,735 31,0 1, , ,122 1,304 72,357 4,12 27,027 7,052,0 41,098 13,37 42, 093 1,48,080, ,454 2,088 4,195 19, , , , ,492 4, SflpnritioQ hnrrnwafl ,720 Other assets ,142 7, , ,525 2, ,990 1,915 13,783 43,88 "1, ,43 3,097 1, 589,432 """592" ,14 1,280 4, 529, " " ,844 4,083,824 1, , ,858 3, , , ,334 17, ,937 4, ,238,774 3,89 21, ,214 30,900 21, ,132 3, 344, ,002 13,01 3, , , ,18,11 7,792 37,52 2, 315 1,127 2, ,19 " " ,338 3,34 5,82 17,5 " 548" 877 1, ,935 " "451" , , ,3 1,299, ,301, , ,37 59,3 12,407 83, , ,430 48,789 24,94 1, 20, ,415 31, ,151 LIABILITIES Capital stock paid in Undivided profits net Reserves for dividends, contingencies, etc Reserves for interest, taxes, and other expenses accrued and unpaid. 140, ,385 22, 57 21,1 1,799 35,000 52, 00 9,180 8,222,142 1, T)nft fn FAdpfAl wprvp hfltiks _ 1, Due to other in United States ,817 55, 8 7,73 8,9 598,2 18,908 28, 51 2,58,414 35,741 1,15 TX J in lit) a f l/u a Vvonlrc UaXiAo in 1X1 friroicrn 1U1UI5U tuiliil/l pnnntn'ftq ltjo yxiii/iuuixig fin p ln H in cr HWTI u w u hrfttlfiha m i.o , 248 1, Certified and officers checks outstanding ,19 7, ,439 3, Cash letters of credit and travelers checks outstanding... 1, Demand deposits ,003, ,8 7,277 25,97 3,223 2,915 58,922 91,423 1,470 9, , , 98 11,42 Tim e deposits , , 511 8,441 1,479,952 38,297 32,049 89,048 18,540 5, , ,941 9,417 United States d ep osits , , ,157 9, T otal deposits ,88, ,909 23,592 52,25 19,881 72, , ,03 38,04 22,057 1,308, ,221 27,7 Agreements to repurchase U. S. Government or other securities ,592 Bills payable and rediscounts: T?orlorQ l to qo tva 1, ,145 2, All other - 2, ,111 1,2 300 Acceptances of other and bills of exchange or drafts sold with i n rl n r c u m f l n f 40,492 4, a v a m i't a r f f n r micfnmtfvtq 41,417 3,40 9 3, Acceptances executed b y other for account or reporting h c in lrq National-bank notes outstanding... - P la P iiritia Q horrnwoh _ 195 1,08 3,750 1, ,850 3, ,750 5, 550 2, ,900 8, 550 4, 50 1,08 1, , 777 3,20 3, , ,770 1,82 42,450 1,9,454 97, ,784 1,813 2, , ,0 5,23 24, 508 9,972 2, , ,373 4,978 3,598 30,709 13,37 23, , ,970 17, 289 8,857 1,400 1, , ,124 23, , , , ,42 15, ,214 1, ,301 5, 525 3,47 9, ,750, ,374 18, l8l 27,23 1, ,424 3,432 1, , , , ,840 1,720 1,500 2,038 1, ,78 3 5, ,022 2,301, ,387 27,37 59,3 12,407 83, , ,430 48,789 24,94 1,20, ,415 31, , ,140 i Outlying in above cities, which have been authorized to carry country bank s are included with country. Digitized for FRASER 2 Includes both central city and city.

17 ALL MEMBER BANKS CONDITION ON SEPTEMBER 29,, OF BANKS IN CENTRAL RESERVE AND RESERVE CITIES1 AND OF BANKS OUTSIDE SUCH CITIES (COUNTRY BANKS) Continued [Amounts in thousands of dollars. Federal bank and branch cities are shown in bold-face type] District No. 8 (Contd.) District No. 9 District No. (see also p. 1) Memphis M IN NEAP OLIS Helena St. Paul KAN SAS CITY Denver Oklahoma City Omaha Kansas City, Kans. Lincoln Pueblo RESOURCES Loans (including overdrafts) United States Government securities Other securities T ota l loa n s a n d investm en ts... Customers liability on account of acceptances Banking house, furniture, and fixtures Other real estate owned Cash in vault * Reserve with Federal Items with Federal in process of collection... Due from in United States Due from in foreign countries (including own branches) Exchanges for clearing house and other checks on local Outside checks and other cash items Redemption fund and due from United States Treasurer Acceptances of other and bills of exchange or drafts sold with indorsement Securities borrowed Other assets... LIABILITIES Capital stock paid in.. Surplus. Undivided profits net Reserves for dividends, contingencies, etc Reserves for interest, taxes, and other expenses accrued and unpaid. Due to Federal Due to other in United States Due to in foreign countries (including own branches) Certified and officers checks outstanding Cash letters of credit and travelers checks outstanding Demand deposits. Time deposits United States deposits i T ota l d e p o s its Agreement to repurchase U. S. Government or other securities sold. Bills payable and rediscounts: W ith Federal All other Acceptances of other and bills of exchange or drafts sold with indorsement Acceptances executed for customers Acceptances executed b y other for account of reporting. National-bank notes outstanding Securities borrowed Other liabilities 43,733 3,094,853 57,80 5,002 1,73 1,133 4,42 1,132 17, ,358 7,500, , ,917 30,49 1,444 73, ,191 3, , ,580 21,902 5,054 14,089 23, 30 3,042 38, , , ,040 1,457 17, 515 4,829 2,01,48 2,0 1, ,393 2, , ,031 5, ,8 1,184 9,19 4, ,9 2, ,304 33,12 32, ,57 1,35 2, ,788 12,972 2,222 2, , , ,9 12,200! 7,550 i 1,728 49! 1,234 44, , ,755 3,81 1,37 201, , , ,427 1,199 4,901, , , , ,959 3, , ,95 1,798 1, 744 5, ,35 1,177 8,205 1,11 12, , ,11,850 4, 750 1, ,149 22, , 47 43, , ,375 70, , , ,205 3,470 14,43 25, , , , ,877 7,305 42,020 22,538 9,859 4, 529 3, , , , ,029 7,41 557, , , ,985 38,075 43, ,507 3,481 1,205 1,701 15,034,713 35, , , , 35 14,300 5,055 4, , , ,020 33,30 5, ,234 1, ,279 4,921 21, ,144 2, ,29 9,711 3,788 17, , ,33, 300 5,02 3, , , , , , ,3 4,373 18,247 9,283 1, ,82 2, 315 8, , 740 7, 200 1,5 1, , 220 "851' 8 3,414 2, , ,404 1,21 7, , ,141 5,821 2,900 19, , ,278 5,000 2, , ,924 1,297 4,98 20, ,874 1, , ,52 2,58 1,573 11, , , ," 233 3, , ,232 3,490 3,189 20, , , ,209 1, , ,519 3, ,59 5 4,551 1,54 5,08 11, , , , "4," ,47, , (,358 17, ,931 14, ,11 7, ,35 17, 33 87, 740 4,278 14,781 28,209 20,85 Number of Outlying in above cities, which have been authorized to carry country-bank s, are included with country.

18 ALL MEMBER BANKS CONDITION ON SEPTEMBER 29,, OF BANKS IN CENTRAL RESERVE AND RESERVE CITIES1 AND OF BANKS OUTSIDE SUCH CITIES (COUNTRY BANKS) Continued [Amounts in thousands of dollars. Federal bank and branch cities are shown in bold-face type] District N o. Continued District N o. 11 Cou ntry T op eka Tulsa W ich ita { St. Joseph DAL LAS San Antonio El Paso Houstonj F ort W orth G alveston W aco C ou n try RESOURCES 12,35 7,549 4,122,90 270,911 98, 5,079 70,0 29, 22 37,501 13,311 9, ,577 3,334,503,293 7,94 71,181 24,027 3,52 24,78 4,447 9,25 4, 540 4,230 5,43 2,487 5,780 12,7 9,150 1,978 17,488 1,979 17,489 3, 745,824 5, 343 3,585 5,081 18,177 19,832 5,091 27,78 453, ,025 11,7 112,935 37,418 53,590 23,194 17,13 380, ,938 1,3 20,73, , 37 5,29 2, , ,448 1, , , ,532 1, ,812 3, ,774 1,380 1,1 4,334 2,525 28, 235 9,941 1,174 7,749,843 5,0 1, 52 1, , ,082, ,349 1,272 2, ,459 4,417 4,488 9,053 5,531 7,374 14,801 3,347 22,175 4,58,33,38 1,58 0, ,375 1, " 1, ,23 1, "Dom T 'ltinn fnnh anh H u p frntti TTtiitfiH RtiltPS TrPflSlirftr , , 244 Acceptances of other and bills of exchange or drafts sold with , ,308 25,570 28,013 85, , , ,130 17, ,549 0,5 7,493 34,097 21, ,772 L ABILITIES C apital stock paid in j 1,300 1,400 5,950 2,400 45,052 15, ,400 4, 950 4,550 2,150 1,50 48,353 Surplus , ,50 1, ,80 4, , 450 2, , , ,978 U n d iv id ed profits net , ,895 7, ,487 1, , Reserves for dividends, contingencies, e t c , , ,29 Reserves for interest, taxes, and other expenses accrued and unpaid ,3 24,59 D u e to other in U nited States,53 5,559 8, 974 8, ,815 24, , 43 4, ,338 5,20 1, Certified and officers checks outstanding , 93 2, , , D em a n d deposits 8,130 14, ,03 17, ,184 70,25 9,53 2, ,141 34,720 9, 955 8, ,157 25,751 12,830 T im e deposits - 7,44 4,293 7, 7 180,813 34,05 3,8 35,878 1,289 15,830,351 8,113 1,182,45 U nited States deposits , 7 1, 958 9, 213 3,153 1, , , 5 deposits 22,543 25,233 74,192 34,57 478,18 148,747 15,28 133, 33 48,000 4,24 28,29 17,794 Agreem ents to repurchase U. S. G overnm ent or other securities sold Bills payable and rediscounts: 825 9, ,03 1, ,9 Acceptances of other and bills of exchange or drafts sold with Acceptances a n /i/m fn n n A o executed V*tt Dy oiner Kduqkb o n V c fm i u r * odcouuiit n o A it n t un f i rlepui A n n r nug t i n o 1hu»u».o- f i i i l r s N ational-bank notes outstanding , 53 5, , 834 2, 729 2,029 1,389 1,32 24, T o ta l. 25,570 28,013 85,781 39, , ,130 17, , 549 0,5 7,493 34,097 21,99 511, Outlying in above cities, which have been authorized to carry country bank s, are included with country.

19 ALL MEMBER BANKS CONDITION ON SEPTEMBER 29,, OF BANKS IN CENTRAL RESERVE AND RESERVE CITIES 1 AND OF BANKS OUTSIDE SUCH CITIES (COUNTRY BANKS) Continued [Amounts in thousands of dollars. Federal bank and branch cities are shown in bold face type] District No. 12 Recapitulation SAN FRAN CISCO Los Angeles Salt Lake City Seattle Ogden Portland Spokane Oakland Federal bank cities Federal branch cities Other cities RESOURCES Loans (including overdrafts) United States Government securities Other securities loans and investments.-... Customers liability on account of acceptances.. Banking house, furniture, and fixtures Other real estate owned Cash in vault Reserve with Federal Items with Federal in process of collection Due from in United States D ue from in foreign countries (including own branches).. Exchanges for clearing house and other checks on local Outside checks and other cash items Redemption fund and due from United States Treasurer... Acceptances of other and bills of exchange or drafts sold with indorsement Securities borrowed Other assets. LIABILITIES Capital stock paid in Surplus.. Undivided profits net Reserves for dividends, contingencies, etc Reserves for interest, taxes, and other expenses accrued and unpaid Due to Federal Due to other in United States Due to in foreign countries (including own branches) Certified and officers' checks outstanding Cash letters of credit and travelers checks outstanding... Dem and deposits.. Tim e deposits. United States deposits deposits Agreements to repurchase U. S. Government or other securities sold Bills payable and rediscounts: W ith Federal All other Acceptances of other and bills of exchange or drafts sold with indorsement Acceptances executed for customers Acceptances executed by other for account of reporting National-bank notes outstanding Securities borrowed Other liabilities. Number of. 032,95 22, , ,894 17,257 4,259 5,343 19,280 73,523 8,299 2,71 4,85 27,407 1,975 1,523 13, ,749 1,850,99 97,25 81,723 20,240 4,909 9, ,02 7,492 1,03 1, , ,17 19,57 1,530,52 35,573 5,475 13,483 18, , ,890 43,923 95,114 8,42 40,43 3,90 25,930 1,905,005 38,348 4,712 51, 707 1,792 5,277, , ,181 45,500 31,055 11,072 4,233 3,0 35, 235 1,293 5, , , , I. 2, 7 " 93' 3, 74 38,3 38, , , ,551,89 1,543 19, , ,037 27,95,5 14,402 48, , ,490 1,930 8, ,235 5,829 7,00 3,380 2, , , 52 3,07 3,19 131, , ,150 2, , ' 23, 21,98 1 5, ,550,91 37,799 23, , ,09 5 1,2 8, 727 1, , , ~757 14,09 14,300 3,00 2, ,593 1,012 1, ,345 43,012 4,51 135, , ,08 3,902 5, ,79 1, , 417 1,071 4, , , IS, , ,1 2,000 21,359 3,319 5,397 30, ,051 3," ,128 2, 200 1, , ,094 9,418 30, ,500 5,581 1,037 1,548 8, ,545 12, , ,528 2,525, ,033 71, , , , 347 5,153 18,39 29,171 1,871 7, , , ,2,128, 788 3,037, 549 2,471,850 15,38,187 30, , 40 57, ,912 1,421, ,18 40, , ,92 14,258 4, ,115 5, , 917 '8, , 794,051 52,335 23,893 11,3 3,542 1, , , , 944 2,823 3,15 572,78 5, 25 1, , ,850,99 795, ,235 5,829 14,09 44,842 37,128 12,141 >98, , 794, 051 5,559,941 1 Outlying in above cities, which have been authorized to carry country bank s, are included with country ,244,058 1,487,911 40, ,395 82, ,121, ,354 5, 55 19, 074 8,403, 279 4,039, ,477 1,118,738,85 80,84 57, ,115 49, , ,45 5, , ,729,47 877,30 785,407 4,392,243 20,35 184,8 28, 713 0,44 273,052 99, ,94 7,9 57,053 17,481 3,053 35, 950 2,35 35, , ,338 82,2 52,499 2,33 554, 33 8,873 39, 219 4,209,827,82, 033, 21 85, 724,553,4 2, 50 41,372 15,355 35,950 21, ,28 2,35 43, ,9 21, ,079 1,238,11 5,575 4,430 9,274 37,24 90,353 28, 71 14,909 1,153 13, 714 3,400 1, , 512,95 7,198,9 1,433,425 3,172,353 11,804,88 5, , , , ,318 98, ,34 3,807 43, , ,03 2,387 7,884 5,372 1,949 14,357,83 42,378,777 98,485 7,472 22, 13 5,494 8,187, , 75 8, , ,150 20,052 1,409,44 1,20 8,543 1, , , 558 1,512 5, , ,54 299, 1, , , ,33 1,245 5, ,35,803, 20,91 131,908 11,398,597, ,575 8,331 2, 387 4,7 1, ,83 7,884 8,3 7,179 20,874,084 5,54,41,34,89 33,073,234 2,415 1,220, , ,150 2,339, ,935, ,218 50,9 31, , 75 17, ,07 2,580,550 2,95, ,45 271,408 12,507 41,070 3,222,4 747, ,053 23,701 15,52,182 12,77,332 52,11 33,480,247 25, , , ,75 81,145 13, m 28,334 17,150 21,728 42,378, 777 7,599

20 18 ALL MEMBER BANKS CONDITION OF BANKS RESOURCES (in thousands of dollars) State N um ber of Loans (including overdrafts) United States Government securities Other securities loans and investments Customers liability on account of acceptances Banking house, furniture, and fixtures Other real estate owned Cash in vault Reserve with Federal T o ta l ,599 20,874,084 5,54,41,34,89 33,073,234 2,415 1,220, , ,150 2,339,230 New England: 4 71,480 11, , , 429 2, ,284 5, ,125 12,884 18,445 73,454 2, , 099 4, , 087,473 22,390 3,950 1, ,401 2, , 040, ,92 345, 747 1,587,535 48,21 51,590 7, ,879 7, ,75 71, ,88 333,83 1,05 2,724 32, , ,388 33,921 50, 73 28, ,511 1, 735,474 13,89 Middle Atlantic: 21,48,517 2,059,944 1, 79, 758, 325, , , , 0 3, , ,811 15,97 412,2 1,409,440 1, 2,401 12,072 28,24, ,05,521 79, ,59 3, 735,530 19, ,07 3,080 2, ,985 East North Central: 33 1,23,31 204, ,49 1, 749,155 15,170 87,405 18, ,373 8, ,524 5,08 74, , , 7 3,51 14,418 18, ,445,1 395,592 3, 0 2,207,88 39,93 55, 340,738 34, , ,507 13,41 204,818 1,244,741 4,220 0, 70 12,942 22,941 3,4 Wisconsin ,04 2,204 95,172 44, 440 3,349 18,924 1, 538,84 25, 348 West North Central: Minnesota , 49 79,25 128,84 499,751 2,01 15, 554 2, 219 7, 17 31,022 Iowa ,307 27,180 72, , ,85 4, 302 9,091 1,098 Missouri ,31 135, ,97 799, ,387 7,572, 94 5,94 North Dakota 91 35,020 7,037 1,897 58,954 2, ,452 2,943 South Dakota 90 32,389 7,407 19,052 58,848 2, ,478 3,184 Nebraska , ,957 3,04 173, , ,934 13,542 TTansns ,195 33,9 38, ,788 9,074 1,254 4, 71 11,8 South Atlantic: Delaware ,295 8, 72 1, 72 80,93 2 1, ,429 3,95 Maryland ,3 33,90 92,931 29,527 2,32 13,47 1,092,57 14,918 District of Columbia 12 81,34 38,300 19, , ,184 2,2 5,941 9,758 Virginia ,759 37,228 4,98 344, ,009 3,8 8,501 1,978 Wpsit Virginia ,53 18,95 28, ,488 8,97 4,421 5,53 8,403 North Carolina. 0 8,802 23, 38 14,98 147, ,087 2,520 3,85,954 South Carolina 35 42,400 7,215 12,379 1,994 2,870 1,503 2, 7 2,542 Georgia 93 15,580 47,389 31, , ,947,2 4,841 13, 23 Florida , ,991 34, , , ,44 7,818 East South Central: ttnnhiplrv - _ , ,88 33, ,124,31 1, 827 5,11 11,194 Tennessee ,139 21,083 29, , ,31 3,980 5,192 13,284 A labam a , 79 24,975 29, , ,372 5,344 4,945 9, 301 A/T icqicamril 29 35, 577 3,950 13,17 52,94 1, ,351 2,27 West South Central: Arlrsi n * ,99, ,183 84, 72 2,852 1,14 2,270 4,325 Louisiana 35 19,90 19,9 48, , ,75 18,9 1,07 3,170 13,403 Oklahoma ,42 30,354 71, , , ,047 1,925 Texas , ,148 0, ,980 1,29 41,490 8,928 20,834 53,174 Mountain: A/fnntana 74 44, ,170 33, ,89 3, ,343 4, 722 Idaho 52 25, 23,25 9, , 712 2, ,757 2,194 Wvrnnitiff , 544 5, 243,00 31,793 1, ,933 1,919 Hnlnrfldn 115 1, 32 58,13 44, ,74,059 1,188 9,83 14,90 Mow TVToYim 27 14, 01 4,83 5,814 24,558 1, ,1 1, 5 AnV.ftTift 14 14, 317 9,447,182 29,94 1, ,933 1,832 Utah 38 47,242 9,422 17,53 74, ,8 1,299 4, 824 H,484 2,98 3,21 17, Pacific: Washington ,98 1,789 5, , , ,708 18,122 Oregon 8 80, ,733 57,453 18, , ,52,727 California 195 1,38, , ,828 2,449,374 20,953 2,891,02 35, ,009 S TATE S L O C A T E D IN TW O F E D E R A L R E S E R V E D IS T R IC T S C O N D IT IO N Connecticut district No. 2.. New Jersey district No. 2_.. Kentucky district No Pennsylvania district No. 4. West Virginia district No. 4 Louisiana district No.... Mississippi district No.... Tennessee district No Illinois district No Indiana district No Michigan district No Wisconsin district No Missouri district No New Mexico district No.. Oklahoma district N o. --. Arizona district No ,032 7,498 9,431 4, , ,739 2,93 243,58 128, ,811 1,142,818 1,08 45,405,97 22,773 53, ,870 8,315 11,458 79,43 2, ,470 3, , , ,997 1,342, ,74,389 21,731 7, ,895 4,37 4,157 31,419 1, , ,815 15,923 41, ,2 2,75 1,78 1,1 2,411 11, ,578 3,225 11,003 42,80 1, ,047 1, ,70 17,014 17, , ,92 1,97 3,1 8, ,370,039 37,33 318,45 2,04,840 39,93 48,951 9,304 30,04 207, ,82 49,138 58, ,59 1,54 2,874 12,514 1, ,84 15, ,33 1,178,747 4,220 58,53 12,37 21,034 0, ,420 55,243 80, ,711 3,349 1,982 1,349 9,9 23, ,47 45,573 51,9 213,158 4,551 1,491 2,977 17,71 9 8,083 3,014 4,229 15, , ,297 30,033 9, , , ,90 1,85,591 5,181 4,587 20,359 1, ,435 1,314

21 19 BY STATES, ON SEPTEMBER 29, RESOURCES (In thousands of dollars) Items with Federal in process of collection Due from in United States Foreign countries (including own branches) Exchanges for clearing house and other checks on local Outside checks and other cash items Redemption fund and due from U. S. Treasurer Acceptances of other and bills of exchange or drafts sold with indorsement Securities borrowed Other State 531,91 1,935, ,92 959,218 50,9 31, ,75 17, ,07 42,378, , ,523, ,92 17, ,033,270 33,583 1,425 4,857 3,74 5,012 25, ,415 2,114 1,470 9,007 2,113,204 2,58 3, ,081 1,772 3,757 3,18 2, ,017 2,798 2,71 1,073 1, , , ,992 1,553 14,13 7,780 4,333 2,4 85,145 8,749 18,84 179,55 2, ,099 9,851 39, ,2 73,959 40,283,43 30,481 77,47 5,719 5,549 32,429 31,139 8,091 14,543 13,082 29,411 9,918 1,43 7, ,112 17,591 33,11 14,181 4,94 11,379 15,4 34, ,474 13,155,794 4, ,95 3,598 11,2 1,14 38,843 27, , , , ,1 2, ,742 1, , i l , , ,884 1,495 2, ,787 9,275 49,583 14,58 2,014 33,3 12, 9 2,42 5,372 1,841 8, , ,803 2,388 1, , ,088 1, ,923 1,077 5, , ,788 1,513 34, , ,91 1, 325 2,70 3, ,821, , , , 72 1,227 4,144 1,30 1,014 1, , ,273, , ,98 5,340 40,492 4, , ,922 3, , , ,733 2, ,447 12,43 25,97 19,782 3,0 18,541 11,229 2,334 7, , ,112 1,332 5, 737 1, , , ,34 1, ,123 22, ,358 89,324 73,973 2,015, , ,385 13,805,022 1,84,80 4,495,171 2,188,21 457,328 2,911,491 1,538,84 57,902 45,131 35,900 1,017,748 74,139 73, , ,030 98,425 3, ,02 43, ,37 194,118 80, , , ,087 31,57 228,295 4,50 8, ,01 334,40 985,33 119,93 55,270 41,17 279,192 32,02 41,38 98,498 21, ,709 2,99,783. New England: Maine. New Hampshire. Vermont. Massachusetts. Rhode Island. Connecticut. Middle Atlantic: New York. New Jersey. Pennsylvania. East North Central: Ohio. Indiana. Illinois. Michigan. Wisconsin. West North Central: Minnesota. Iowa. Missouri. North Dakota. South Dakota. Nebraska. Kansas. South Atlantic: Delaware. Maryland. District of Columbia. Virginia. West Virginia. North Carolina. South Carolina. Georgia. Florida. East South Central: Kentucky. Tennessee. Alabama. West South Central: Arkansas. Louisiana. Oklahoma. Texas. Mountain: Montana. Idaho. Wyoming. Colorado. New Mexico. Arizona. Utah. Nevada. Pacific: Washington. Oregon. California. OF BANKS LOCATED IN F ED ERAL RESERVE DISTRICT SPECIFIED 1,05 2, ,297 15,139 47, ,500 1, ,759 1,355, , ,807 23,184 54, , , ,40 1,0, , ,805 2,458 11, , ,75 1,81 255, , ,384 2,48 14, ,99 32, ,59 3,742 32,882 2, , ,994 2, 734, 280 5,539 35, , , , 231 1,420 7,7 1,812 12,47, , ,045 1,458, 74 4,849 35, , , , 913,99 43, , , , , ,385 2,71 34,0 13 1, , , ,755 Connecticut district No. 2. New Jersey district No. 2. Kentucky district No. 4. Pennsylvania district No. 4. West Virginia district No. 4. Louisiana district No.. Mississippi district No.. Tennessee district No.. Illinois district No. 7. Indiana district No. 7. Michigan district No. 7. Wisconsin district No. 7. Missouri district No.. New Mexico district No.. Oklahoma district No.. Arizona district No. 12.

22 20 ALL MEMBER BANKS CONDITION OF BANKS, LIABILITIES (in thousands of dollars) State Capital stock paid in Surplus Undivided profits, net Reserves for dividends, contingencies, etc. Reserves for expenses accrued Due to Federal Due to other in United States Foreign countries (including own branches) Cash f1"t oerunea A a/4 letters of and credit officers and checks travelers checks Demand deposits... 2,580,550 2, 95, ,45 271,408 12,507 41,070 3,222,4 747,282 17,053 23,701 15,52,182 New England:,715,5 4, , ,338 5,15 5,083 3, , ,77 5,20 3,095 2, , ,34 Massachusetts 141,1 7,487 37,35 17,547 8,302 3,47 132,545 2,151 11, ,447 Rhode Island 14,720 24,3,0 3,318 2, , ,845 24,112 24,92 11,950 1,204 1,549 3,133 11,033 2, ,502 Middle Atlantic: New Y o rk 809,420 1,088, , 533 5,50 42,072, 5 1,204,187 53, ,295 15,71 5,1,47 9,8 94, ,03 5, 25 5,915 5, , 20 30, , , ,489 97, 90 45,825 15,457 3, , 72 4,855 21,873 3,784 1,375,912 East North Central: 138, 523 5,314 3, 871 8,747,590 4,151, 0, 555 1,141 11, ,819 33,117 20,85, ,500 1,142 28, , ,834 Illinois. 185, ,53 34, ,743 18,44 303, 52 45,248 17,957 1,595 1,228,80 73, 5 82, ,291 13,139 8, ,303 1,409, ,82 Wisconsin 3, ,00 11,913 2,371 3,327 1, , , ,34 West North Central: Minnesota - 37,40 21,78 7,042 1,858 3, , , , ,95 11,34 3, ,10 30, , ,702 Missouri 71,4 32,115 17,4 2,801 2, , , ,958 North Dakota 4,85 2, , ,482 South Dakota 4,5 2,412 1, , ,492 Nebraska , 575 7,233 2,91 1, ,475 1, ,994 TTonooc. 17, 587 8,53 3, , 092 1,11 1 9,40 South Atlantic: Delaware 9,519 1, 730 3, , ,313 Maryland 21,134 19,825 7,131 1,828 1, , , ,94 District of Columbia 11,175 8, 725 3,073 1, , , ,893 Virginia - 3, ,075 7,977 2,257 1,83 1,44 28, , ,485 West Virginia 1, 47 12, 593 5, ,13, ,285 North Carolina , 305,518 3,747 1, ,055 17, 943 2,32 1,242 South Carolina 5,850 3,881 1, , ,8 Georgia 24,945 18, 29 5, 47 1, , ,99 Florida 15,715 7,13 2, , ,359 East South Central: Kentucky _ 17,303 15,991 3,789 1,193 1,19 19,427 1,284 94,08 Tennessee - 24, 074 1,330 3,758 2,715 1,055 1,17 25,44 1, ,883 Alabama 20,145 15,4 3, , ,990 Mississippi 4, 735 3, , ,812 West South Central: Arkansas 8,020 4,294 2, , ,789 Louisiana 19,400 12,127 3, , , 219 1,035 1,7 5 9,3 Oklahoma - 25,25 8,982 4, ,195 3, ,724 Texas 81,418 41,982 23,945 3,03 2,730 1,173 90, , ,472 Mountain: Montana,425 4,020 2, , ,54 Idaho 3,425 1, , , ,952 Wyoming 2,435 1, , ,439 Colorado 13,345 9,888 4, , , ,787 New Mexico - 1,940 1, ,405 Arizona - 2,875 1, ,91 Utah,795 3,544 1, , ,743 Nevada 1, , ,788 Pacific: Washington- 29,595 9,827 5,244 1, , 598 1,140 2, ,11 Oregon 15,10,805 3, , , ,9 California 19,0 124,40 38,02,22 13, ,272 8,787 25,309 1,43 785,01 STATES LOCATED IN TW O FED ERAL RESERVE DISTRICTS CONDITION Connecticut- ~district N o 2 3,333 3,57 1, , ,820 New Jersey district No. 2 79, 33 9,990 23,119 4,474 4,82 4,957 23, , ,1 Kentucky district No 4 7,230 5,31 1, ,53 Pennsylvania district No. 4 9,338 17, 53 30,280 14,753, , 243 1,454 7,903 3, ,239 Woof ViroiTiifl distript. Mn 4 2,40 2,25 1, ,481 5,04 Louisiana district No. 1,000,34 3, ,123 28,18 1,035 1, ,319 A/Ti <j«i ccsi nni d i <?tri rt No 3, 540 2, , ,412 Tennessee district No 15,180 9, 727 2,885 1, ,15 15, ,43 Illinois district No , , 51 31, , , ,290 45,248 17,172 1, 595 1,18,848 Indiana district No. 7 27,770 17,912 5, , , , ,400 Michigan district No. 7 9,430 80,077 17,990 11,957 8, ,90 1,409 9, ,877 Wisconsin district No. 7 32,825 19,31,917 1,897 3,147 1,825 38, , ,377 Missouri district No 17, 30 7,007 5, , , ,8 New Mexico district No. 1, ,547 'Oklahoma district No. 25,0 8,82 4, ,12 3, ,72 Arizona district No 12 2,225 1, ,497

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