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Transcription:

Member Bank Call Report No. 56 Condition of all Member Banks September 30,932 FEDERAL RESERVE BOARD WASHINGTON UNITED STATES GOVERNMENT PRINTING OFFICE W ASHINGTON: 932

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 )

MEMBER BANK CALL REPORT CONDITION OF ALL MEMBER BANKS famounts in thousands of dollars] Washington, S $ $ n 2 J r k9+h$32 Condition on- Change since Sept. 30, 932 June 30, 932 Sept. 29, 93 June 30, 932 Sept. 29, 93 RESOURCES Loans (including overdrafts)...... 5,923,84 6,587,85 20,874,084-663,344-4,950,243 United States Government securities. 6,366,099 5,627. 854 5,564,46 +738,245 +80,638 Other securities 5,754, 743 5,785,764 6,634,689-3,02-879, 946 loans and investments... 28,044,683 28,000,803 33,073,234 +43,880 5,028,55 Customers liability on account of acceptances 440,276 458, 952 662, 45-8,676-222,39 Banking house, furniture, and fixtures...,67, 763,66,263, 220, 37 +,500-5 2, 554 Other real estate owned 253, 342 233, 04 209, 58 +20, 328 +43, 824 Cash in vault 406, 688 478,224 554,50-7, 536-47,462 Reserve with Federal... 2,234,99,997,656 2,339,230 +237, 263-04, 3 Items with Federal in process of collection 387, 225 49, 706 53,69-32, 48-44, 466 Due from in United States 2,048,644,730,770, 935,9 +37, 874 +3,525 Due from in foreign countries (including own branches) 75, 377 92,69 25,692-7,242-40, 35 Exchanges for clearing house and other checks on local 802, 88 859, 340 959,28-56, 459-56, 337 Outside checks and other cash items 47,02 58, 092 50,696-0, 990-3,594 Redemption fund and due from United States Treasurer... 37,627 32,548 3,524 +5, T)79 +6,03 Acceptances of other and bills of exchange or drafts sold with indorsement........ 8,558 55, 022 329,756-36,464-3,98 Securities borrowed...,259, 664 7,50-405 -5,89 Other assets 233, 50 26, 388 249,067 +7,3-5,566 T otal 36, 309, 845 35, 9, 06 42, 378, 777 +398, 784-6, 068, 932 LIABILITIES Capital stock paid in 2,43, 688 2,440,467 2, 580, 550-8, 779-48, 862 Surplus _ 2,262,22 2, 366,239 2,695, 285-04,7-433,63 Undivided profits net 56, 49 50,696 8,456 +5,795-294, 965 Reserves for dividends, contingencies, etc... 360, 860 343, 58 27,408 +7, 342 +89,452 Reserves for interest, taxes, and other expenses accrued and unpaid 29, 969 09, 927 62, 507 +20, 042-32, 538 Due to Federal 32,96 38, 362 4, 070-6,66-8, 874 Due to other in United States 3, 268, 854 2, 870,029 3, 222,466 +398,825 +46, 388 Due to in foreign countries (including own branches)... 262, 676 200,569 747,282 +62,07-484, 606 Certified and officers checks outstanding... 464,006 503, 336 67,053. -39,330-53,047 Cash letters of credit and travelers checks outstanding 7, 958 24, 475 23,70-6, 57-5,743 Demand deposits...... 3, 08, 243 3, 203, 732 5,526,82-22,489-2,444, 939 Time deposits 0, 60, 689 0, 636,02 2,776, 332-3 4, 332-2,74, 643 United States d e p o sits...... 737, 769 387,463 526,6 +350, 306 +2,608 deposits... 28,466,39 27,863,987 33,480,247 +602,404-5,03,856 Agreements to repurchase U. S. Government or other securities sold 42, 62, 983 25, 303-20,872 +6,808 Bills payable and rediscounts: W ith Federal... 33, 345 440,504 323, 354-09,59 +7,99 All other......... 365,404 374,69 42, 357-9,25 +223,047 Acceptances of other and bills of exchange or drafts sold with indorsement 8, 558 55,022 329, 756-36, 464-3,98 Acceptances executed for customers 448,440 483, 064 68,45-34, 624-232, 705 Acceptances executed by other for account of reporting... 5,46 6,92 3,97 -,496-7,78 National-bank notes outstanding...... 739, 793 648,906 628, 334 +90,887 +,459 Securities borrowed, 259, 664 7,50-405 -5,89 Other liabilities 79, 998 92,553 26, 728-2, 555-36,730 36, 309,845 35, 9,06 42, 378, 777 +398, 784-6, 068, 932 Number of...... 6,904 6,980 7,599-7 6 695 ( )

ALL MEMBER BANKS CONDITION ON CALL DATES OCTOBER 4, 929, to SEPTEMBER 30, 932 [Amounts in thousands of dollars] 929 930 93 Oct. 4 Dec. 3 Mar. 27 June 30 Sept. 24 Dec. 3 Mar. 25 June 30 Sept. 29 Dec. 3 932 June 30 Sept. 30 RESOURCES Loans (including o v e r d r a fts )... -... 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 collec- tion. Due from in United States.... Due from in foreign countries (including own branches)......... Exchanges for clearing house and other checks on local ban ks.... Outside checks and other cash item s... Redemption fund and due from United States Treas- 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)...r... -.... Certified and officers checks outstanding------------------ Cash letters of credit and travelers checks outstanding. Demand deposits.... Time deposits...... United States deposits...... T otal deposits... Agreements to repurchase U. S. Government or other securities sold... -... Bills payable and rediscounts: W ith Federal... All o th er...-... -... 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 borrow ed... Other liabilities...-... T o ta l... Number of. Digitized for FRASER 26,64,829 4,02,636 5,727,306 35,93,77 988,92,75,393 82, 796 497, 22 2,32,806 923.363 2,004,938 246,996 2,32,33 02.363 32,828 55,587 32,592 98, 700 2,739,645 2,8,269 980,928 43,603 72,93 55,720 3,53,077 48,696,405,446 27,63 7,937,478 3,37,649 35,479 36,694,58 49,090 899,3 250,587 55,586 984,670 40,400 640,60 32,592 24,946 26,50,06 3,862,968 5,920,92 35,933,950, 252,47,90,306 83,989 558,450 2, 373, 760 994,373 2,67, 756 263,834 2, 762,463 39,056 32,889 735,93 35,533 29,379 2,757,3 2,864,62 909,548 77,252 37,660 54,458 3,57,325 576,664,603,562 23,460 8,86,582 3,233,48 43,203 38,03,735 36,957 646,334 232,88 735,93,276,59 29,647 645,562 35,533 245,585 25,8,783 4,085,006 5,85,908 35,055,697,, 53,202,486 88,85 496,633 2,352,738 79, 20,90,57 247,62,66,954 65,33 32,823 62,93 25, 744 23,482 2,744,975 2,88,944 956,053 76,60 75,896 5,95 3,204,36 498,075,34,283 25,038 7,078,905 3,58,73 324,893 35,836,56 66,24 206,24 40,467 62,93,25,907 24,654 647,48 25,744 239,96 25, 23, 770 4,06,395 6, 380,494 35,655,659 928,807, 27,963 90,995 484, 262 2,407,960 836,47 2, 360,377 220, 793 2,645,057 8,552 32,658 557, 748 26,324 223,4 2,72,997 2,870,800 950,072 82,940 48,960 46,206 3,83,656 57,766,493,437 4,389 8.06.977 3.8.978 280,769 38,39,78 37,64 273,880 6,090 557,748 925,576 34,998 649,098 26,324 226,95 24, 738,0 4,095, 270 6,638,969 35,472,250 92,852, 230, 754 97,869 470,367 2,44,99 698,87 2,462,827 202,447,46,95 5,706 32,604 592, 732 23.866 242,062 2, 728,664 2,903,258,009,435 85,602 82,397 47,47 3,87,32 660,62 77,94 26,638 6,838,35 3,944,868 ' 257,85 36,363,874 38,44 72,578 43,402 592,732 929,337 8,27 648,999 23,866 22,698 23,870, 488 4,24, 776 6,864, 247 34,859,5,7,833, 240,444 9,69 592,504 2,474, 509 757,26 2,455,948 260,88 2,076,89 92, 766 32,38 662,686 2,069 222,9 2,665,5 2,822,09 894,388 2,407 2,90 49,267 3,872,842 634,927,223,777 20,960 7,50,550 3,546,20 267,45 37,6,939 58,4 248,07 07,5 662,686,38,624 5,03 639,640 2,069 236,366 22,839,946 5,002, 262 6,886, 357 34,728,565,035,978, 239,935 99,935 46, 267 2,364, 478 524, 765 2,79,204 296, 376 975, 25 43, 344 32,264 524,04 24,822 300,024 2,657,72 2,804,906 90,480 225,483 58,46 43,323 4,236,45 566,579 626,747 22,506 6,338,728 3,663,258 502,204 35,999,796 23,599 65,06 6,336 524,04,063,334 5,553 642,284 24,822 20,885 2,86,243 5, 343,032 6, 763,247 33,922,522 888,454, 234,404 206,569 59,35 2,396,42 629,48 2,57,096 35,320, 77,32 87,358 32,00 452,045 20,279 260,254 2,620,606 2,74,35 804,99 264,068 27,345 4,073 4,004,077 657,285 999,30 33,23 6,622,224 3,55,468 395,397 36,268 065 5,37 46,89 70,079 452,045 90,35,54 636,04 20,279 209,455 20,874,084 5, 564,46 6, 634,689 33,073,234 662,45, 220,37 209,58 554,50 2,339,230 53.69,935,9 25.692 959,28 50,696 3,524 329,756 7,50 249,067 2,580,550 2,695,285 8,456 27,408 62,507 4,070 3,222,466 747,282 67,053 23,70 5,526,82 2,776,332 526,6 33,480,247 25,303 323,354 42,357 329,756 68,45 3,97 628,334 7,50 26,728 9,260, 5,38, 5,995, 30,575, 78,,74, 2, 522,,975, 598,285,662,226 74,83,388,409 08,28 3,372 30,502 3,473 223,687 2,499,098 2,524,460 605,403 370,368 98,668 48,38 2,832,296 433,740 729,30 9,58 4,955,400,35,842 4,845 30,746,386 8,583 622,652 26,476 30,502 732,253 4,69 624,234 3,473 228,597 6,587,85 5,923,84 5,627,854 6,366,099 5, 785,764 5,754, 743 28,000,803 28,044,683 458,952 440,276,66,263,67,763 233,04 253,342 478,224 406,688,997,656 2,234,99 49,706 387,225,730,770 2,048,644 92,69 859,340 58,092 32,548 55,022,664 26,388 2,440,467 2,366,239 50,696 343,58 09,927 38,362 2,870,029 200,569 503,336 24,475 3,203,732 0,636,02 387,463 27,863,987 62,983 440,504 374,69 55,022 483,064 6,92 648,906,664 92,553 47,305,588 48,843,078 45,860,379 47,906,740 46,53,3 47,057,89 45,542,276 45,288,588 42,378,777 39,688,322 35,9,06 i, 309,845-8,66 8,406 8,35 8,246 8,052 7,928 7,782 7,2 6,904 75,377 802,88 47,02 37,627 8,558,259 233,50 47,305, 588 48,843,078 45.860,379 47,906,740 46,53,3 47,057,89 45,542, 276 45,288,588 42,378,777 39,688,322 35,9,06 36,309,845 2,43,688 2,262,22 56,49 360,860 29,969 32,96 3,268,854 262,676 464,006 7,958 3,08,243 0,60,689 737,769 28,466,39 42, 33,345 365,404 8,558 448,440 5,46 739,793,259 79,998

ALL MEMBER BANKS LOANS, INVESTMENTS, DEPOSITS, AND BORROWINGS ON CALL DATES SINCE OCTOBER, 929 [Amounts in thousands of dollars] 929 930 93 932 Oct. 4 Dec. 3 Mar. 27 June 30 Sept. 24 Dec. 3 Mar. 25 June 30 Sept. 29 Dec. 3 June 30 Sept. 30 36,64,839 36,50,06 35,8,783 35,33,770 34,738,0 33,870,488 33,839,946 3,86,343 30,874,084 9,360,685 6,587,85 5,933,84 93,07 2,950 74, 509 69, 668 205,432 34,80 36, 47 388, 534 268, 490 45,830 32,938 407,03 Bills, acceptances, etc., payable in foreign countries. 69,56 79, 577 79, 29 7,438 6,934 54,946 00,68 2, 757 69,973 4,83 34,423 33,629 227, 574 290,822 499, 286 507, 392 523,29 365,875 36,052 383,873 296, 433 39, 66 2,620 4,62 / 260,24 230,66 74,857 34, 768 28, 503 228,602 30,909 455, 206 345,372 270,4 } 640,30 74,076 All other \ 266,957 305,4 290,936 35, 777 227, 77 228, 265 287,62 334,428 227,635 86, 776 Loans on securities, excl. of loans to total 9,993, 767 0,47,866 0,073,809 0, 425, 353 0, 335,938 9, 439,60 9,053, 749 8,334,479 7, 770,42 6,865, 072 5, 570,457 5, 500,9,884,886,660,50 2,344,242 2, 364, 735 2,47,78,497,530,630,494,27, 45 927,83 574, 748 278,22 44,409 939,068 802, 75 706,053 88,834 675,286 773,775 574,978 54,684 52,57 39,02 283,058 257, 794 T o others 7,69,83 7,685,00 7,023, 54 7, 24, 784 7,090,382 7, 266,344 6,848,277 6,602,344 6, 32,72 5,899,32 5,009,87 4,827,988 392,076 387, 74 394,7 386,036 387,366 386, 726 385,558 388,24 375,973 359,065 r 362, 964 367,748 i? On other real estate 2,760,422 2,803r28 2, 775, 673 2, 769, 262 2, 776,244 2,847,045 2,833, 559 2,830,09 2, 772, 606 2,678,494 '2, 53,074 2, 56, 783 f 77,732 l,988,02,54, 775 0, 595,089 0, 349,34 9,982,075 9, 83,390 9,297,665 30, 298 6,002 88,952 58,467 All other loans (including overdrafts)------------------ \8, 743, 768 8, 59, 639 8,25, 744 6,89,750 6,368,409 Loans eligible for rediscount with F. R. ----- 4,598,240 4,396,904 4,204,395 3,904,968 3,82,69 3, 538,00 3,48,472 3,97,984 2,996,67 2, 572,89 2,427,959 2,423,03 United States Government securities total... X03,686 3,863,968 4,085,006 4,06,395 4,095,370 4,34,776 5,003,363 5,343,033 5,564,46 5,38,654 5,637,854 6,366,099 Bonds 2,992,84 3,094,275 3,287,968 3,339,834 3, 342,974 3, 270,87 3, 77,086 4,038,894 4, 278, 845 4,99,485 4,63,463 4,47,937 Treasury notes. 664,82 59,983 524,452 462,924 48,495 484,9 332, 295 403, 248 37, 494 440,574 502, 73, 336,968 25, 392 5,659 234, 543 254,404 284,953 296,48 725,852 638,054 553, 996 59,595 775,42 65,595 Treasury bills ------- -------------------------------------------- 3,239 97,05 38,043 4, 233 48,848 72,576 73,029 262,836 360,26 59,000 86,536 229,599 Other securities total... 5,737,306 5,930,93 5,85,908 6,380,494 6,638,969 6,864,347 6,886,357 6,763,347 6,634,689 5,995,786 5,785,764 5,754,743 Domestic securities total... 5,4,902 5,292,23 5,242, 297 5,69,850 5,938,307 6,49,39 6,8, 525 6,2, 345 5,972, 752 5,455, 74 5,30,87 5, 298*279 State, county, and municipal bonds,6,276, 224,030,68,275, 232,040, 379,47,492,689, 553,636, 535,57, 582,86,388,03, 54,252, 548,68 Railroad bonds 787,34 785,867 78,47 94,037 938,869 982,685,003, 728,06, 332 987,5 94,075 90,89 887,37 Other public-service corporation bonds 902, 764 905,606 980, 20,047,687,074,627,0,386,02,96,5,864,028, 292 942,324 89,649 882,729 All other b on d s.,227,883,253,469,222,847, 340,789,330,420,354,258,295,253,265,866,98,078,08,96 979,905 968,932 Stock of Federal 66,686 70,57 73,384 69,505 70,260 67,297 67,028 65,49 64, 327 58,328 53,003 52,090 Stock of other corporations 503,848 558,794 527,97 565,47 572,94 586,970 573,6 587, 360 56, 772 5,36 495,423 50,902 Collateral trust and other corporation notes... 54,060 66,049 64,24 80,936 27,924 99,0 24, 222 226,90 235,446 2,04 207,640 88,282 Municipal warrants 69,50 68,947 63,434 70,575 8,958 99,743 24,69 65,887 65,567 74,669 20,968 25,048 All other------------------------ -------------------------------- 86, 750 58,844 60,545 70,864 7,837 65,90 56,97 42, 550 49, 294 47,22 46,58 43,298 Foreign securities total...... 62,404 628,798 609,6 688,644 700,662 74,928 704,832 64,902 66,937 540,072 474,947 456,464 Government bonds 303,407 304,23 280,835 346, 29 344,439 360,745 369, 290 38, 564 37,35 269,556 234, 573 237,66 Other foreign securities...... 308,997 324,675 328, 776 342, 425 356,223 354,83 335, 542 323, 338 344,622 270,56 240,374 28,848 Dem and deposits total... 7,937,478 8,86,583 7,078,905 8,06,977 6,838,35 7,50,550 6,338,738 6,633,334 5,536,83 4,955,400 3,303,733 3,08,343 Individual deposits subject to check 6,67,047 6,935,643 5,94,883 5,930,369 5,07,3 88,52 20,67 96,673 5,560,443 4, 387,465 4,520,925 3, 702,657 3,5,5,49,459 92,399 7,582 38,54,696,622 Certificates of deposit 82,828 98, 04 79,078 80,334 66,076 5,32 State, county, and municipal deposits,224,375, 335,485,446,366,568,470, 276,47, 362,482,478, 593,556,292, 349,502,303,273,33,569,034,87 All other------------------------------- --------------------- --------- 357,604 388, 783 254,828 365,097 258,076 386,226 293, 592 364, 673 302, 44 334,936 260,550 235,302 Net demand deposits (see p. 0)---------------------------- 8,95,600 IV, 797,028 8,488,669 9,70,357 8, 657,238 8, 969,380 8,48,083 8,357, 000 7,445, 203 6,067,48 4,48,998 4,626,309 Tim e deposits total... 3,37,649 3,333,48 3,58,73 3,8,978 3,944,868 3,546,30 3,663,358 3,55,468 3,776,333,35,843 0,636,03 0,60,689 States, counties, and municipalities 49,095 594,896 535,564 570,679 572,004 509,029 529,635 507,855 439,57 387, 700 336,929 34,56 Banks in United States, 48 95,70 02,793, 829 0,33 07,405 35,463 3, 753 86,36 62,899 69,525 70,485 Banks in foreign countries - 2,405 54,009 75,529 224,4 233,873 237,58 20, 284 55,094 2,46 26,25 6,676 4,625 Other time deposits Evidenced by savings pass books 9,603,720 9, 592,096 9,626,033 9,677, 52 9,63,588 9,590,953 9,446, 356 9,36,020 8, 768, 492 8,34,097 7,49,268 7,257,550 Certificates of deposit, 743,22, 740,944,8, 35,86,504,959,775,884,99,928,323,906, 47, 786, 746,47,624, 349,54,380,932 Open accounts, Christmas savings, etc,36,043 933,902,39,58,232,679, 302,785,027,209,79, 744,237,30, 222,950 770,750 772,363 85,90 Postal savings 20,026 22,464 27,979 33,652 43, 530 89,05 242,453 278, 974 360, 462,647 29 609, 746 695,39 Billslpayable and rediscounts total...,49,898 878,533 346,59 434,970 35,980 355,68 38,443 36,898 465,7 839,38 85,33 696,749 With Federal Bills payable 583,665 453,574 05,209 47,826 76,865 38,843 8,242 6,994 209,024 402,003 260,359 92,878 Rediscounts 35,646 92,760 00,95 26,054 95, 73 09,74 83,864 84,825 4,330 220,649 80,45 38,467 All other Bills payable 226,742 24,209 34,76 55,89 37,890 0,70 2, 02 65,428 33,002 202,833 368,435 360,20 Rediscounts 23,845 7,979 5, 706 5,90 5,52 5,44 4, 324 4, 65 9, 355 3,643 6,84 5,284 i Prior to 930 represents items reported as ** all other * * United States securities. r Revised.

ALL MEMBER BANKS CONDITION ON SEPTEMBER 30, 932, JUNE 30, 932, AND SEPTEMBER 29, 93, BY CLASSES OF BANKS [Amounts in thousands of dollars] Central city Other city New York Sept. 30, June 30, 932 932 Sept. 29, 93 Sept. 30, 932 Chicago June 30, Sept. 29, 932 93 Sept. 30, 932 June 30, 932 Sept. 29, 93 Sept. 30, 932 June 30, 932 Sept. 29, 93 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 v a u lt...... Reserve with Federal. _..._... Items with Federal in process of collection...... Due from in United States...... JDue from in foreign countries (including own branches)... Exchanges for clearing house and other checks on local... Outside checks and other cash item s. _ Redemption fund and due from United States Treasurer... Acceptances of other and bills of exchange or drafts sold with indorsement... Securities borrowed... Other assets...... 3,604,208 2,429,7,078,67 7,,942 363,86 25,96 6,952 42,40 97,480 94,9 97,90 28,996 588,372 3,: 2,24 3,68,794 2,008, 296,025,7 6,75,26 357,733 243,335 5, 503 52,402 77,968 02, 95,83 40,835 64,29 5,8,639 29,588 5,220,,830,,202, 8,252, 489, 23,, 48, 0, 55, 72, 4, 2, 29, 759 746, 256, 89,,9, 6, 27, 4, 4, 24, 20, 20, 2, 22, 405 2, 675 22 702 876, 234, 66,,277, 34, 26, 4, 4, 48, 2, 40, 6, 32,, 8,49,29,328 307,955 206,237,643,520 39,90 25,8 4,348 3,27 82,203 27,287 65,676 3,698 30,22,58 20 40,492 67,509 52,85 68,087,050 9,9 4,706 5,806,32 2,209,360,77,893 9,787,565 55,939 47,66 96,330 9,43 608,679 87,083,078,34 4,36 5,574 26,236,825 0, 576 3,858 98,323 6,05,024,952,886,800,002 9,767,92 62,403 49,933 86,273 3,380 69,065 92,85 870,74 42,893 64,776 34, 504 8,872 6,546 4,354 92,802, 325, 353 5,767,,992,688,47,,054,0 2,75,,372,052 9,953, 27,306 3, 440, 526 47, 79,078 35, 63,94 230, 79, 597 440, 257, 527 84, 880, 505 67, 52,830 2, 72, 560 40, 28, 690 4, 7,460 23, 67,8 9,266 00, 902,22 7,40 56,69 6,03, 948 7,98,90,432, 272,433,425 2,794, 22 3,72,353 0,240, 432,804,688 4, 5,897 476, 523,39 26, 4,50 252, 309,330 458, 554,38 02, 98,382 623, 787,364 2, 3,807 47, 43, 525 6, 5, 557 22, 22,036. 9,747,080 9,99,07,350,333,730,870,753,647 2,9,997 2,694,52 2,55,269 4,478,6 2,443,074 4,357,836 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...... 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 635,574 780,655 44,734 56,542 22,069,346,474 236,099 338,394,97 4,47,77 889, 564 306,058 7,545,683 295 875 6,068 369,74 2,706 4,97 635,574 807,394 4,022 9, 704 33,00,02,542 74,270 34,478 7,092 4,404,850 80,235 8,263 6,959,730,68 25 4,00 29,588 378,000 3, 593 32,50 68,4 958,806 272,26 78,38 33,40,35,327 65,838 44,845 5,70 4,953,020,35,05 28,902 8,46,648 2, 22, 700 29,759 505, 565 8,93 39,958 29, 750 29,750 63, 3,900 4, 0,370 8, 5,246 7, 4,360 284, 3, 0,, 767, 324, 3,,423, 3, 36,73 702 7,429 48 445 234, 2,967 2,433,27 733,787 349,700 2,244,356,344 7,683 45,33 8,49 36,4 69 400 29,950 3,920 20,909 9,206 6,088 283, 737 45,23 3,985, 576 97,842 455,039, 775 783,85 700 25 40,492 4,47 77 40,94 43,022 55, 7 4,080 5,949 25,529 784,944 729,20 57,936 9,35 52,269 6,238,393, 76 2,825 72.60 4,407, 270,724,229,998 304,87,303,255 7,40 76.6 93,804 0,576 58,544,42 229,668 3,858 56,330 786.267 735,700 57,855 2, f " 33,052 8,64,275,930 2,850 97, 524 5,934 :, 278,747 :, 222,: 87, 545,099,040 3, 74 3,256 07,966 6, 546 65,949, 77.267 4,354 63,276 87,477 87,995 28,665 2,80 67,046 7,82, 47, 769 48,968 04,35 6,37, 965, 57, 979,37 253, 576,836,87 4,676 7, 5,30 67,8 29,487 3,085 48,294 9,266 67,385 88,420 688,374 99,423 77,085 37,999 25,958 243,950, 539 43,087 74 3,625,99 5,57,3 95,648 9,93,478 24,45 250,60 234,869,22 2,726,24 468,483 7,40 68,647 739 7,30 60,84 888,876 709,245 20,449 87,479 29,45 29, 748 256,56,482 5,90 232 3,786,348 5,262,90 60,4 9,448,873 29,65. 9,747,080 9,99,07,350, 333, 730,870, 753,647 2,9,997 2,694,52 2,55, 269 4,478,6 2,37,383 2,443,074 4,357,836 Number of. 36 36 42 39,440 207,240 739 3,00,32 438,738 7,30 70,306 327 329 6,530 6,604 2,387 7,884 65,372 952,009 804,564 299,666 6,020 45,972 33,888 33,633,245 56,872 287 4,635,803 6,206,96 3,908,398,597 0,627 92,575 68,33 2,387 4,676,742 439,683 7,884 68,03 7, m

ALL MEMBER BANKS LOANS, INVESTMENTS, DEPOSITS, AND BORROWINGS, BY CLASSES OF BANKS [Amounts in thousands of dollars] Central city Other city Sept. 30, 932 New York June 30, 932 Sept. 29, 93 Sept. 30, 932 Chicago June 30, 932 Sept. 29, 93 Sept. 30, 932 June 30, 932 Sept. 29, 93 Sept. 30, 932 June 30, 932 Sept. 29, 93 l o a n s total. 3,604,208 3,68,794 5,220,493 746,308 876,49,29,328 5,806,32 6,05,024 7,325,353 5,767,03 6,03,948 7,98,90 Acceptances of other payable in United States Bills, acceptances, etc., payable in foreign countries Commercial paper bought in open market - Loans to On securities All other--------- ------------ ---------------- --------------- 34,65 7,604 3,648 20,06 82,929 262,090 2,474 23,374 55,032 05,097 200,523 32,99 48,059 24,99 25,428 6,68 5,665,863 44,560 8, 57 4,928 4,856,42 67,636 9,776 2,35 22,790 24,496 58,075 7,37 4,47 8,749 53,70 93,209 58,87 33,29 6,578 60,437 07,788 68,896 64,76 2,28 42, 720 0,636 08,086 8,353,6 35,940 2,284 36,53 2,70,55 36,388 4,96 43,866 936,974 8,58 7,279 46,736 Loans on securities, exclusive of loans to total ----------,69,027,60,747 2,654, 583 377,727 454,863 605,464,940,926,954,947 2, 542, 59,490,5, 558,900,967,576 T o brokers and dealers in New Y ork...... To brokers and dealers elsewhere To others. Real estate loans On farm land... On other real estate Reporting own acceptances... All other loans (including overdrafts) 390,795 62,774,237,458 458 53,629 89,833,093,854 258,347 64,699,278,70 463 59,328 37,62,25,577 839,04 6,449,699,093 452 52,43 04,23,777,272 500 85, 208 292,09,396 24,650 28,753 227,009 500 92,89 36,472,398 24,85 5,048 28,642 27,355 56,760 42,349,502 23,500 3,242 380,573 3,77 92,490,834, 79 25,08,255,000 36,323 2,93,620 6,355 05,049,843, 543 '23,537 *,256,959 32,982 2,379,68 29,047 205,097 2,308,375 20,499,439,846 22,032 2,762,08 9,397 7,322,463,792 240,83,083,504 3,558 2,853,926 3,00 20,49, 525,47 237,566,089,936 3,30 3,04,850 32,370 42,85,892,355 253,520,57,7 90 3,67,73 Loans eligible for rediscount with Federal 699, 586 69,447 706,009 99,834 8,950 0,345 708,438 755,730 979,66 96,055 970,832,209,52 United States Government securities tota l... 3,429,7 2,008,296,830,393 256,56 234,400 307,955 2,209,360,952,886,992,688,47,466,432,272,433,425 Bonds,60,658,208,08,26,636 7,472 7,684 92,224,675,729,639,2,693,959,240,078,244,460,276,026 Treasury notes 724,987 84,936 53,207 48,908 57,97 38,045 373,9 24,209 58,034 89,954 36,37 22,208 Certificates on indebtedness 348,338 440,0 38,065 6,83 00,09 63,502 46,76 85,460 29,90 39,683 49,553 32, 59 Treasury bills 95,34 75,42 322,485 8,963 5,500 4,84 3,75 4,006 20,785,75,888 2,672 Other securities total......,078,67,025,7,202,088 89,33 66,379 206,237,77,893,800,002 2,054,0 2,75,00 2,794,22 3,72,353 Domestic securities total... 979,457 924,028,07,689 78,73 57,08 93,445,659,35,685,004,898,068 2,480,740 2,544,704 2,863,550 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 oth er...... 358,748 204,34 97,682 20,887 46,432 85,03 55,056 0,47 827 39,906 206,07 89,026 2,63 46,432 90,546 53,606 4,602,676 32,75 222,43 78, 556 37,040 5,099 35,652 66,930 3,325 94 37,283 0,475 26,870 33,25 7,30 23,393 4,297 23,295 2, 557 38,562,96 7,02 26,723 7,30 4,828 2,276 24,007 5,393 36,454 0,828 20,877 30,480 7,72 5,302 2,085 56,560 4,47 560,340 206,050 78,625 307,377 47,986 229,69 79,890 37,293 2,62 556,447 20,538 84,078 32,888 48,342 234,44 88,326 35,867 4,077 594,995 242,27 227,543 389,069 50,98 243,445 92,570 4,822 5,372 592,30 466,45 579,552 507,47 50,362 64,327 39,039 53,989 27,293 599,337 473,249 60,524 528,3 50,99 65,608 44,432 56,492 25,02 629,697 5,585 70,36 64,489 4,535 77,373 54,86 63,860 28,834 Foreign securities tota l......... 99,60 0,43 84,399 0,402 9,298 2,792 2,542 4,998 55,943 234,360 249,508 308,803 Government bonds... Other foreign securities... 66,939 32, 22 64,50 36,993 84,854 99, 545 6/539 3,863 4,603 4,695 6,704 6,088 52,087 60,455 45,78 69,280 76,272 79, 67 2,05 22,309 20,02 29,406 49.485 59,38 Dem and deposits total...... 4,47,77 4,404,850 4,953,020 767,35 733,787 97,842 4,270,724 4,278,747 4,965,57 3,625,99 3,786,348 4,635,803 Individual deposits subject to ch eck.. 4,200,99 4,8,904 4, 626,7 726, 573 66, 7 893,882 3,869,003 3, 784,946 4,473,059 2,900,055 2,925,898 3, 709,545 Certificates of deposit State, county, and municipal deposits All other 8,934 67,437 29,85 27,493 7,423 4,030 38,2 36,548 52,80,40 37,873, 504,233 69,698,45 2,009 75, 265 686 23,400 35,826 62,495 30,273 392,55 70,977 36,040 389,83 66,605 7,397 63,05 4,488 79,55 733,897 47, 398 95,42 747,876 82,970 Net demand deposits (see p. 0) 5, 549, 79 5,227,54 6,78,039 838,65 80,338,05, 704 4,579,075 4, 625, 665 5,458, 452 3, 659,278 3,827,84 4,703,008 Tim e deposits total... 889,564 80,235,35,05 324,996 349,700 455,039 4,229,998 4,222,896 4,979,37 5,57,3 5,262,90 6,206,96 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 20,377 3,647 3,625 0,036 2,564 4,953 8, 702 6, 27 79,03 308,283 308,63 342,454 36,04 33,345 97,683 2,970,920 3,048,363 3,533,357 3,842,306 4,000,947 4,694,998 37,380 97,28 08,998 39,94 49,64 5,929 39,845 376,96 560,868 8,766 826,26,064,95 340,527 75,725 309,698 68, 243 59, 545 59,996 0,595 30,09 0,260 42,493 45,05 2,045 283,477 329,277 258,0 267,77 383,539 43,330 25,59 260,280 03,295 23,239 74,76 44,920 Bills payable and rediscounts total...... 875 4,225 35,58 40,430 52,996 725 69,965 22,222 68,499 485,479 526,680 260,906 With Federal Bills p ayable... 875 25 Rediscounts...... All other Bills payable Rediscounts r Revised. 4,00,983 898 22,700 3,792 2,58,000 284 3,45 36,73 9,38 2,800,500,049 6,634 45,33 20,63 7,646 0,000 207,654 46,825 700 6,65 25 4,996 93, 56 288 224, 036 47, 432 223 89, 75 23,505 06,68,348 283, 694 5,55 23, 04 00,45 7,053 45,349 5,952 09,693 7,495 30,554 20,056 229,873 4,996 93,79 6,729 69,434 50,006 202,404 4, 836 6, 544 0,758 29 96,96 96,379 64,928 3,403

NATIONAL AND STATE MEMBERS CONDITION ON SEPTEMBER 30, 932, BY CLASSES OF BANKS [Amounts in thousands of dollars] All member National State bank members Central city Other city Central city Other city Central city Other city C ountry RESOURCES 5,923,84 4,350,56 5,806,32 5,767,03 9,904,005,758,29 3,850,493 4,295, 293 6,09,836 2,592,297,955,89,47,720 6,366,099 2,685,273 2,209,360,47,466 3,657,245 850,79, 588,008,28,446 2,708,854,834,482 62,352 253,020 5,754,743, 267,750, 77,893 2,75,00 3,772,490 55, 76,09,248 2,29,48,982,253 75,989 680,645 585,69 loans and investments......... 28,044,683 8,303,539 9,787,565 9,953,579 7,333,740 3,60,77 6,529,749 7,643,220 0,70,943 5,42,768 3,257,86 2,30,359 440,276 380, 556 55, 939 3, 78 234,472 92,60 40,256, 65 205,804 87,955 5,683 2,66,67, 763 278,285 47, 66 47, 862 756,038 05, 497 279,396 37,45 4,725 72,788 38,220 00,77 253,342 2,879 96,330 35,33 55,066 6, 236 48, 550 00, 280 98,276 5,643 47,780 34,853 406, 688 57,239 9,43 230,036 293,386 20, 76 84,466 88,59 3,302 36,478 34,947 4,877 2,234,99,85, 50 608,679 440, 730,38,065 63, 22 425,58 342,695 853,854 572,298 83, 52 98,035 387,225 5,898 87,083 84, 244 242,862 5,456 3,48 60, 258 44,363 64,442 55,935 23,986 2,048, 644 299, 295,078,34 67, 25,423, 935 54,499 86, 537 552,899 624,709 244,796 26,597 8,36 75,377 3,464 4,36 2, 552 34,50 96, 534 35,857,759 4,227 34,930 5, 504 793 802,88 60,777 5, 574 40, 530 367,5 232, 55 08, 525 26,039 435,766 378,226 43,049 4,49 Outside checks and other cash items 47,02 5,943 26,236 4, 923 33,83, 34 9,440 2,429 3,99 4,629 6,796 2,494 37, 627 2, 236,825 23, 566 37,627 2, 236,825 23, 566 Acceptances of other and bills of exchange or drafts sold with indorsement - - - 8, 558 6, 770 0, 576, 22 4,60 96 2,757 883 3,957 5,809 7,89 329 7,892 2,336,845 Securities borrowed - - - - -, 259 3,858 7,40 5,556 3,367, 522 38, 268 42,80 Other assets 233,50 " 78, 559 98,323 56, 69 9,264 25,483 55, 53 4,237 53,076 8,35 36,309,845,477, 950 2,694,52 2,37,383 22, 524,396 4, 564,2 8,59,53 9, 368, 77 3,785,449 6,93,838 4,02,999 2,768, 62 LIABILITIES Capital stock paid in 2, 43, 688 765, 324 784,944 88, 420,559,807 336, 429 536,86 687,92 87,88 428,895 248, 758 94, 228 Surplus «, 2, 262,22 844, 538 729,20 688, 374, 203, 877 282,233 403,075 58,569,058,245 562,305 326,35 69,805 99, 423 39, 7 Undivided profits net 56,49 59,32 57, 936 307, 749 43, 930 04,07 59, 72 208, 742 5,202 53,829 Reserves for dividends, contingencies, etc 360, 860 64,640 9,35 77,085 66,354 82, 223 54, 633 29,498 94, 506 82,47 64,502 47, 587 Reserves for interest, taxes, and other expenses accrued and unpaid. 29, 969 39, 70 52,269 37, 999 68, 750,096 33, 308 24,346 6,29 28,605 8,96 3, 653 Due to Federal - 32,96 6,238 25, 958 24,437 5,50 9,287 7, 759,088 6,67 Due to other in United States 3, 268,854,63,88,393, 76 243, 950, 870,040 646,72,032, 95 90,953, 398, 84 985, 06 360,80 52, 997 Due to in foreign countries (including own branches) 262, 676 239, 32 2, 825, 539 69,900 53, 865 5,84 85 92, 776 85, 447 6, 64 688 Certified and officers checks outstanding 464,006 348, 759 72,60 43, 087 96, 968 3, 80 5,528 3, 639 267,038 234, 958 20, 632,448 Cash letters of credit and travelers checks outstanding 7,958 3, 377 4,407 74 7,862 3,489 4,270 03 0,096 9,888 37 7 Demand deposits - 3,08,243 5,84, 528 4,270, 724 3, 625, 99 7,836, 927 2,080,73 2, 984,430 2, 772, 324 5,244, 36 3,04, 355,286, 294 853,667 0,60,689 3, 38,007,60, 884 Tim e deposits, 24, 560 4, 229, 998 5,57,3 7, 220, 682 425, 372 2, 799,063 3, 996, 247 789,88,430, 935 26,0 United States deposits 737, 769 337, 934 304,87 95, 648 372, 472 2, 734 8,200 69, 538 365, 297 26, 200 22, 987 2,2,536 deposits - 28,466,39 8,969,658 0,303,255 9,93,478 7,699,288 3,544,606 7,073,740 7,080,942 0,767,03 5,425,052 3,229,55 3,597 Agreements to repurchase U. S. Government or other securities sold. 42, 295 7, 40 24, 45 26, 595 5,777 20, 88 5, 56 295,624 Bills payable and rediscounts: With Federal 33, 345 4, 574 76,6 250,60 257,46,084 59,832 96, 545 73, 884 3,490 6, 329 54,065 66,228 All other 365,404 36, 73 93, 804 234, 869 86,3, 220 27,576 57, 37 79, 29 35, 5 77,552 Acceptances of other and bills of exchange or drafts sold with indorsement. 8,558 6, 770 0, 576, 22 4,60 96 2,757 883 3,957 5,809 7,89 329,98 Acceptances executed for customers 448,440 387,70 58, 544 2, 726 238,98 95, 252 42,20,528 209,459 9, 98 6, 343,082,069 Acceptances executed b y other for account of reporting. 5, 46 2, 754, 42,24 2,09 765 72 3, 397,989 339 739,793 4, 642 229, 668 468, 483 739,793 4, 642 229,668 468,483 Securities borrowed -- ^ 259 3,858 7,40 7,892 2, 336 5, 556 3, 367,522,845 79, 998 55, 02 56, 33C 68, 647 55,6 22, 67 5,235 7,20 24, 882 32,350 4,095 5,437 36, 309, 845,477, 950 2,694,52 2, 37, 383 22, 524, 396 4, 564,2 8, 59,53 9, 368, 77 3, 785,449 6,93,838 4,02,999 2,768,62 Number of 6,904 47 327 6, 530 6,080 8 237 5, 825 824 2S 90i 705.. Member only, i. e., exclusive of national in Alaska and Hawaii. Digitized for FRASER

NATIONAL AND STATE MEMBERS LOANS, INVESTMENTS, DEPOSITS, AND BORROWINGS ON SEPTEMBER 30, 932 [Amounts in thousands of dollars] 48703-32- All member National State bank members Central Other Central Other Central Other city city city city city city L oan s total...... 5,923,84 4,350,56 5,806,32 5,767,03 9,904,005,758,29 3,850,493 4,295,293 6,09,836 2;592,297,955*89 *47*720 Acceptances of other payable in United States... 407,03 357,333 4,47 8,353 42,080 00,964 39,497,69 265,023 Bills, acceptances, etc., payable in foreign countries... 256,369,920 33,629 23,269 8,749 6,734,6 7,26 9,592 6, 3,358 6,368 3,677 Commercial paper bought in open market... 2,438 4,62 25,5 53,70 253 35,940 7,35 2,86 40,667 28,462 43,306 Loans to On securities... 23, 325 2,503 270,4 64,62 93,209 7,478 2,284 6,38 77, 775 74,90 8,696 08, 733 86,846 All other... 8,299 86,776 9,446 58,87 3,588 36, 53 6, 500 39,96 43,878 32,706 70,276 5, 530 4,939 3,807 Loans on securities, exclusive of loans to total... 5,500,9 2,068,754,940,926,490,5 3,58,949 889,044,8,097,088,808 2, 34,242,79, 70 759,829 40,703 To brokers and dealers in New Y ork... To brokers and dealers elsewhere... To others... Real estate loans On farm land, On other real estate... Reporting own acceptances... All other loans (including overdrafts)... Loans eligible for rediscount with Federal... U nited States G o v e rn m e n t securities total... Bonds...... Treasury notes...... Certificates of indebtedness Treasury b ills... 44,409 257,794 4,827,988 39,295 47,982,529,477 3,77 92,490,834,79 9,397 7,322,463, 792 82,833 4,038 2,862,078 62,067 48,208 678,769,697 56,695,2, 705 9,069 9,35,070,604 23,576 43, 756,965,90 367,748,854 25,08 240,83 304,684 607 02,068 202,009 63,064 2,56,783 78,279,255,000,083,504,33,049 5,53 686, 78 6,78,203,734 58,467 8,586 36,323 3,558 63,405 30,285 30,33 2,807 95,062 6,368,409,320,863 2,93,620 2,853,926 4,555,38 592,697,645,034 2,37,650,83,028 2,423,93 6,366,099 799,420 2,685,273 708,438 3,209,360 96,055,47,466,625,532 3,657,245 30,970 850,79 544,943,588,008 778,69,28,446 798,38 4,47,937,232,30,675, 729,240,078 2, 740,023 490,4,203,282,046,330,336,968 773,895 373,9 89,954 638,522 240, 784 256,997 40,74 65,595 465,5 46,76 39,683 80,376 32, 753 6,979 30,644 229,599 24,097 3, 75,75 98,324 86,843 0,750 73 O ther securities total...... 5,754,743,267,750,77,893 2,75,00 3,772,490 55,76,09,248 2,29,48 Domestic securities total...... 5,298,279,58,88,659,35 2,480,740 3,439, 729 498,48,00,800,930, 5 State, county, and municipal bonds...,548,68 396,03 560,340 592,30,040,059 49, 363 42,949 477,747 Railroad bonds 887,37 24,86 206,050 466,45 642,49 32,684 36,654 373,53 Other public service corporation bonds... 882,729 24, 552 78,625 579,552 668,403 64,826 5,976 487,60 A ll other bonds... 968,932 54,38 307, 377 507,47 666,030 65,955 86,548 43,527 Stock of Federal... 52,090 53, 742 47,986 50, 362 89,799 2,308 29, 72 38, 779 Stock of other corporations...... 50,902 08,406 229,69 64,327 5,84 32,907 49, 347 33,587 Collateral trust and other corporation notes... 88,282 69,353 79,890 39,039 03,07 25,050 44,368 33,689 Municipal warrants... -... 25,048 33,766 37,293 53,989 77,975 5,760 25,39 46,896 All other...... 43,298 3,384 2,62 27,293 36,024 565 9,927 25,532 Foreign securities total - -_ 456,464 09,562 2,542 234,360 OO&y, «0± OO, * 3 3 4 3 iqq y o, y o*7n / u Government bon d s...... 237,66 73,478 52,087 2,05 69,323 34,003 39,956 95,364 Other foreign securities...-...-... 28,848 36,084 60,455 22,309 63,438 9,340 40,492 03,606 3,08,243 5,84,528 4,270,724 3,625,99 7,836,927 2,080,73 2,984,430 2,772,324 Demand deposits total... Individual deposits subject to check... Certificates of deposit... State, county, and municipal deposits...... All other... -... -...,696,622 5,32,034,87 235, 302 696,749 92,878 38,467 360,20 ' 5,284 4,927, 564 20, 335 05, 30 3, 39 3,869,003 23,400 35,826 62,495 2,900,055 7, 397 63,05 4,488 6,869, 390 78,57 78, 274 08,06,966,865 6, 654 59,555 47,099 2, 70,468 5, 530 22,257 37,75 2,92,057 55,973 500,462 23,832 : Net demand deposits (see p. 0)... -... 4,626,309 6, 387,956 4,579,075 3,659,278 8,620,629 2, 67,800 3, 203, 363 2, 799,466 Tim e deposits total... -... 0,60,689,24,560 4,229,998 5,57,3 7,220,682 425,372 2,799,063 3,996,247 State, counties, and municipalities..._...... 34, 56 24,69 207,654 09,693 250, 23 9,030 5,534 89,649 Banks in United States... 70,485 6,65 46,825 7,495 40,90 2,28 32,484 6,298 Banks in foreign countries...-... 4,625 4,625 2,2 7 2,: 257 Other time deposits Evidenced by savings pass books... 7, 257, 550 Certificates of deposit... -...,380,932 Open accounts, Christmas savings accounts, etc... 85,90 Postal savings-... -... 695,39 Bills payable and rediscounts total... With Federal Bills payable... Rediscounts... All other B ills^ayable..... Rediscounts 2,708,854,407,94 698,446 47,29 3,275,982,253,858,550 508,622 244,826 24,326 302,902 62,29 386,06 85,75 47,073 7,274 23, 703 68,293 55,40 229, 228 99, 774 850, 708,247 63,26 88,30 728,66 497,450,834,482 74,79 533, 432, 398 27,254 75,989 659, 770 246,668 82,32 59,726 88,83 32,434 75,499 44,303 28,006 2,89 56.29 39,475 6, 744 2,020 35, 795 722,04 23,03 568,282 6,00 548,586 63,495 m, m 472,447 6,22 29, 782 3,00 C ountry 328 8,87 393,88 38,804 472,326 75 536,276 37,436 253,020 93,748 49,23 9,039,020 680,645 585,69 648, 55 550,229 47, 39 4,563 69,396 93,298 62,649 9,95 20,829 93,890 8,274, 583 79,822 30, 740 35,522 5,350,974 7,093 2,694,76 32,094 35,390 2,3 6,687 9,963 8,703 853,667 707,998 5,424 2, 589 7,656 5,244,36 8,04,355,286,294 4,827, 232 2,960, 699, 58, 535 36,975 3, 68 7,870 252,93 45, 755 94, 569 27,96 84.220 25,320 6,005,680 3, 770,56, 375,72 859,82 3,38,007 789,88,430,935 U 6 M 8 4 9,303 5,39 56,20 20,044 29, 575 4,037 4,34,97 2,368 2,368 44, 324 2,970,920 3,842,306 5,023, 39 72,237,940,2 2,90,970 2,234,23 77, 32 272,087 ; 39,845,030,808 8,766,009, 709 65,437 263,50 680,77 37,223 442,22,884 283,477 28,344 25,59 372,65 24,254 6,66 86,736 478,539 05,834 329, 277 37,868 260,280 2,86 52, 623 50-029 249, 77 22,823 73, 768 55,805 79,506 4,305 69,965 485,479 443,574 2,304 87,408 353,862 253,75 3M 0 82,557,084,59 3,45 36,73 6,65 4,996 93,56 288 30, 554 20,056 229,873 4,996 55, 222 02,239. 82,006 4,07,220 54,626 5,206 27,36 25 99,52 97,033 53,425 3,892 37,656 36,228 78,4,77 75 3,45 35, 5 6,539 9,790 66*55 73 93,336 30,995 38,855 38,457 3,67 3,042 23,023 76,448,04 i Member only, i. e., exclusive of national in Alaska and Hawaii.

ALL MEMBER BANKS CONDITION OPf SEPTEMBER 30, 932, BY FEDERAL RESERVE DISTRICTS [Amounts in thousands of dollars] Federal Reserve District Boston New York Atlanta Chicago St. Louis Philadelphia Cleveland Richmond Minneapolis Kansas Qity Dallas San Francisco RESOURCES Loans (including overdrafts)---------------- -... United States Government securities...- Ol&er 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.--------------- ------- ------- ------------------------------ - ------- -------- 5,923,84 6,366,099 5,754,743 28, Hi, 683 440,276,67,763 253,342 406,688 2,234, m 387,225 2,048,644 75,377 802,88 47,02 37,627 8,558,259 233,50. 36,309,845 2,602,642 3,058,72 2,973,487 3,343,529,288,647,30,03 4,249,94,88,394 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 United States 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. Digitized for FRASER 2,43,688 2,262,22 56,49 360,860 29,969 32,96 3,268,854 262,676 464,006 7,958 3,08,243 0,60,689 737, 769 38,466,39 42, 33,345 365,404 8,558 448,440 5,46 739,793 n 79,998,209,654 402,772 438,737 3,05,63 6,759 68,278 0,066 30,557 25,72 39,269 95,964 23,24 22,86 4,557 2,308 44 26,837 76,055 40, i26 44,872 24,474 5,094 5,352 8,29 44 8,005 57 45,887 26 6,640 5,9,922 2,802,296,920,979 9,95,97 368,9 363,750 4,79 85,76,089,837 32,880 24,298 32,804 603,73 6,94 5,478 8,745 470 89,495,363,783 385,049 664,994,43,826,209 03,754 35,247 33,599 20,705 30,984 62,459 3,04 32,834 2,344 3,54 42 235 9,225 36, 309,845 2,602,642 3,058, 72 2,973,487 3,343,529,288,647,30,03 4,249,94,88,394 i, 904 842,250 956,479 94, 736 200,998 0, 758 5,722 32,234 9,224 8,564 4,282 3,842 3,602 77,83,422, 77 209,556 236,95 4,484,989 367 237,678 349,649,974 I,707 6,758 57,523 4,923 2,449,033,622 5,358,4 832,464 2,393, 502 903,995,006,660 996,385, 269, 297 40,088 342, 39 59, 50,284 3,06,549 0,35,303 2, 8,85 3, 585,653 367 2,406 69,504 56,020 8,745 373,707 3,800 06,368 470 85, 692 77,630 32,95 52,235 38,256 3,732 52,94 37,44 42 II,453 267 70,705 235 5,29 697 593,003 590,530 53,77 74,70 7,635 3,662 37.960 4,093 46,34 38,463 60,977,480 22,776 4,472 3,972 5,433 3,595 22.960 202, 252,224 47,346 36,033 0,04 26, 56 67,420 5,433 7,496 206 79,344 3,595 5,400 634 603,629 98,23 95,430 997,272,492 53,888 6,398 22,464 50,3 20,458 0,49 2,444,746 2,390 960 2,282 6,46 67,442 9,040 6,896 462, 26, 980,, 22,888 26,682 960,378 08 47, 729 2,282 0,936 53,0422, 69,654 50,853 85,5493, 3,57 54,53 5,805 9,230 42,449 9,807, 54 234 9,35 2,457 2,470,05 794 5,64 93,650 58,66 4, 359 3,284,58 6,583 42, 75 48,897 794 3,88 03,74 583,555 560,23 74,852 20,672 33,580 40,506 62,760 322,232 44,592 362,47 3,667 39,454 8,3 4,6ia 7 869 30,56 300,44 80,54 42,28 8,238,828 23,0 74,725 7 2,325 73 86,067 869 25,733 80 50,737 75,292 237,289 923,38,297 32,360 3,794 7,043 54,600 6,829 09,787 44 7,! h,508 223,455 6,342 92,024 5i, 964 3, 54 4,742 508 9, 525 3,397 223,34 30,26,455 20,05 440 374,223 23,585 204,642 703,450 488 28,95 4,28 4,804 36,852 5,502 79,535,23 6,042,982,476 52 9,898 892,680,27,894 60,075 33,009 8,875 3,432 464 0,834 4,45 480 27, 77 52,50 892,680,27,894 557 469,86 23,630 25,067 $98, m 20 40,587 6,494 25,28 63,55 8,470 202,383 378 7, " 2,678 2, 333 3,327 39, 748 7, 2,606 4,493,300 86,870, 295 3,952 2 29,428 2, 399,352 4,47 2,599,552 60 09,8 57 5,443 85 4, 755 26 65,06 808 5,709 6 2,520 264 72,27 44 9,036 8 336,059, 537,45 350,86,48,933 422,0 394,230 273,692 387,005 535, 330,9 55,893 58,32 3,648 5,062 0,924 835,576 3,443,887 945,635 737,44,059,483 258 7,796,302 20 39.56 333 765 796 42,465 44,22 00,669 666,355 9,,569 4,725 0,257 7,840 43,742 2,375 34,44 357 5,997,73 2,452 326 2,5 39,850 7,885 4,605 2,496 948 90,245 62 7, 24 404,05 89,788 3,62 734,5i2 492,67 5,735,574,623,348 577,302 534,783,735,433 6,707 5,453 2,355 36,39 38,767 7,596 24,07 8,733 32,704 9,000 5,36 26,035 94,292 3,369,36 48, 533 l j 94,292 3,369,36 594 27,357 29,27 43,760 7,296 2,36 397 205,648 9, 75 22,242,355 880, 705, 576,30 44,079,740,27 4,760 55, 27,720 7,79 28 08,859 822 3,533 464

ALL MEMBER BANKS LOANS, INVESTMENTS, DEPOSITS, AND BORROWINGS ON SEPTEMBER 30, 932 [Amounts in thousands of dollars] Federal Reserve District Boston New York Philadelphia Cleveland Richmond Atlanta Chicago St. Louis M inneapolis Kansas City Dallas San Francisco L o in s total.... 5,923,84,209,654 5,9,922,363,783,593,003 603,629 53,042 2,03,74 50,737 374,223 469,86 42,465,623,348 Acceptances of other payable in United States 407,03 40,093 34,743 65 6 85 92 6,372,023 97 6 23 7,035 Bills, acceptances, etc., payable in foreign countries... 33,629 687 7,958,38 262 93,25 5,697 253 3 366 5,730 Commercial paper bought in open market Loans to On securities All other....... 4,62 270,4 86, 776 33,8 2,402,408 23,45 22,840 88,374 8,744 28,54 6,978,065 3,897 4,0 8,267 5,89 6,760,346 2, 765 9, 74 6,293 59,304 20,034 7,988 5,643 0,57 2,658 2,84 7,93 6,68 2,500 3,50,88,63 4,435 3,65 3,993 3,725 Loans on securities, exclusive of loans to total...... 5, 500,9 387,245 2, 27,70 485,820 629,872 78,325 47,33 78,693 4,48 84, 768 98,646 88, 29 322,89 T o brokers and dealers in New Y ork T o brokers and dealers elsewhere T o others Heal-estate loans On farm land.^ On other real e s t a t e Reporting own acceptances... ^ All other loans (including overdrafts) 44,409 257, 794 4,827, 988 367, 748 2,56, 783 58,467 6,368,409 3,269 26,708 347,268 7,487 223,20 4,04 480,837 395,424 70,364, 75,382 3,89 537,360 89,895,739,978 Loans eligible for rediscount with Federal 2,423,93 47,836 880,64 86,59 45,380 04,384 89,62 236,087 97,448 8,922 49,945 5,837 5,680 U nited States G ov ern m en t securities total... 6,366,099 402,772 2,802,296 385,049 590,530 98,23 69,654 583,555 75,292 23,585 23,630 44,22 577,302 B o n d s......... 4,47,937 252,623, 466,36 304,052 504,329 35,99 39, 746 342, 527 7,649, 654 6,040, 068 50,04 Treasury notes......,336,968 80,744 784,392 67,890 80,477 58,280 7,47 84,87 42,840 0,333 34,09 23,93 52,044 Certificates of indebtedness... 65, 595 60,094 356,45 9,896 5,692 4,004 2,76 37,53 4,54, 586 6,3 9, 222 24,00 Treasury bills......... 229, 599 9,3 95,73 3, 2 32 0 9,0(04 262 2 2,440 44 O ther securities total... 5,754,743 438,737,920,979 664,994 53,77 95,430 50,853 $60,23 237,289 204,642 25,067 00,669 534,783 Domestic securities total...... 5,298,279 39,782, 752,280 605,99 488,492 83,808 42,33 520,377 222,693 84,92 203,890 97,649 504,64 State, county, and municipal bonds^......,548,68 5,254 54,634 80,907 73,439 46,059 5,264 42,392 7,345 67, 23 98,404 37,990 33, 762 Railroad bonds 887,37 69,939 397,983 38,350 84,886 24,795 2,83 49,885 25,056 27,706 3,382 3,674 39,478 Other public-service corporation bonds 882,729 25,522 272,83 5,483 79,808 25,848 3,098 96,38 32,389 27,953 4,926 5.95 37,295 All other bonds 968, 932 64,55 233, 275 08,56 47,43 44,950 35,938 20,495 42,962 42, 786 37, 780 25,280 66,02 Stock of Federal 52,090 0, 725 58, 778 5,966 4,99 5,208 4,657 6,895 4,399 2,885 4,065 3,868 0,445 Stock of other corporations... 50,902 49,937 9,670 62,579 5,63 26, 774 9,95 3,64 35,48,232 2,592 5,807 3,65 Collateral trust and other corporation notes 88, 282 9,267 63,33 43,356 26, 288 8,06 985 24,655 3,084 3,202, 776.95 3,325 Municipal warrants... 25,048 8,603 7,80 2,64 3,97 473 2,277 29,393 3,290 9,85 7,090,872 8,263 All other...... 43, 298 2,380 2,75 2,958 7,595,685,960 8,667 4, 750 2,066 3,875 2,768 2,49 Foreign securities total... 456,464 46,955 68,699 59,075 42,685,622 8,540 39, 746 4, 596 9, 730,77 3,020 30,69 Government bonds...... 237,66 24,620 97,689 27,773 9,069 5,082 4,749 20,904 8,65 8,864 5,558,566 3,577 Other foreign securities...... 28,848 22,335 7,00 3,302 23,66 6,540 3,79 8,842 6,43 0,866 5,69,454 7,042 Demand deposits total... 3,08,243,033,622 5,358,4 903,995,0 k, 660 389,076 336,059,537,45 422,0 273,692 535,969 404,05 880,705 Individual deposits subject to check...,696,622 95,007 4,945,446 8,275 860,909 344,367 287,23,343,766 367,039 220,806 422,938 350,328 79,528 Certificates of deposit 5,32 5,228 32,386 4,89 0,350 4,208 2,524 2,059 6,439 6,20 7, 680 6,606 6,73 State, county, and municipal deposits...,034,87 59,987 239,203 74,600 9,48 33,567 39,59 72,658 45,92 45,48 92,95 44,852 67,290 All other...-... -... 235,302 7,400 4,079 3,30 6,253 6,934 6,73 8,662 3*43,68 2,400 2,39 5,74 Net demand deposits (see p. 0)... 4, 626, 309,053,378 6, 503.598 96,058,20,350 40,940 346,772, 68,908 435,448 283,657 560, 626 43, 287 927,287 Tim e deposits total... 0,60,689 832,464 2,393,502 996,385,269,297 462,858 350,86,48,933 3&4,230 387,005 330,9 89,788,576,30 States, counties, and municipalities.^... Banks in United States...... Banks in foreign countries...... Other time deposits Evidenced b y savings pass books... Open accounts, Christmas savings accounts, e t c..-.-... Bills payable and rediscounts total *......... With Federal Bills payable Rediscounts... Rediscounts... 34, 55 70,485 4,625 7,257, 550,380,932 85,90 696,749 92,878 38,467 360,20 5,284 3,082 2,585 646,83 0,496 37,840 40,630 8,832 6,520 8,035 94 63,454 6,965 3,625, 603,49 28, 639 387,9 0,479 25,524 56,828 2,676 sf, m m,779 6,709 467,332 4,324 25,094,833 60,453 6,26,468 73,825 27,754 85,537 33,585 90,058 29,96 22,998 35,295,849 9 20,47 609, 264 29,786 404,846 3, 774 495,385 39,268 793 952,23 42,704 70,638 63,663 *3,98,37 5,90 66,802 68 538 3,65 74,72 7,5 5, 750 606 334,943 9,23 2,44 333,778 66,266 29,55 2,672 92 6,747 40,294 24,359 47,048 3, 295 294,039 4,80 7,60 207,30 53,79 4,344 53,032 83 92,644 625,236 54,87 372,00 29,020 738,934 4,534 7,990,000 879,930 254,773 24,286 26,390 383 4,050 37,048 20,592 80,34ft 29 243,23 0,380 5,230 22,750 23,696 2,82 29,962 222 2,4 82,432 20,896 2,388,469 232,99 5,803 8,472 25,90 06,963 7,23 43,346 252 3,029 95,365 24,062 2, 76,22 30, 73 8,900,020 60,553 8,30 29,00 5Q, 7 545,683 85,99 2,367 26,697,07 275,702 7,844 9 49,570 $9,2*8 97,835 &2,922 5,249 9,098 6,902 7,57 5,7 6,623 6,852 3,306 4,075,93 5,37,468 6,487 $73 7,528 3,72 9,236 20,033 42,504 73,95 3,365 4,250,222 5,557 649 2 774 32 65 80 78 90 9,74 32,204 9,358 55,324 2,204 629,995 48,642 5,747 29,303,84,669 22,677 80,935 5,553 47,872 24,220 98,265 82783 48,456 6,655 27,390 330

0 ALL MEMBER BANKS RESERVE POSITION ON SEPTEMBER 30, 932 [Amounts in thousands of dollars] Class of bank and Federal district Demand deposits, exclusive of bank and Government deposits Net demand deposits Due to, n e t3 Time deposits Net demand plus time deposits Reserve with Federal Required Held Excess8 Ratio of required s to net demand plus time deposits (per cent) All member... 3,08,243,545,066 4,626,309 0,60,689 25,227,998,862,54 2,234,99 372,378 7.4 Central city...... 5,84,528,203,428 6,387,956,24,560 7,602,56 866,87,85,50 38,639.4 Reserve city... 4,270,724 308,35 4,579,075 4,229,998 8,809,073 584,807 608,679 23,872, 6.6.... 3,625,99 33,287 3,659,278 5,57,3 8,86,409 40,863 440,730 29,867 4.7 All member : ; B oston...,033,622 9,756,053,378 832,464,885,842 6,232 25,72 9,480 6.2 New Y o r k.... 5,358,4,45,484 6,503,598 2,393,502 8,897,00 863,654,089,837 226,83 9.7.. ; Philadelphia.... 903,995 57,063 96,058 996,385,957,443 4,667 20,705 6,038 5.9 Cleveland...,006,660 3,690,20,350,269,297 2,389,647 40,79 46,34 6,62 5.9 R ichm ond..... 389,076 2,864 40,940 462,858 864,798 48,526 50,3,605 5.6 A tla n ta..--... 336,059 0,73 346,772 350,86 696,958 40,809 42,449,640 5.9 Chicago*.........,537,45 8,763,68,908,48,933 3,037,84 28,24 322,232 03,99 7.2 : St. Louis... 422,0 3,347 435,448 394,230 829,678 50,505 54,600 4,095 6. Minneapolis. *....... 273,692 9,965 283,657 387,005 670,662 35,32 36,852,540 5.3 Kansas C ity...... 535,969 24,657 560,626 330,9 89,537 59,463 63,55 4,088 6.7 ; Dallas......... 404,05 9,82 43,287 89,788 603,075 40,650 43,742 3,092 6.7 San Francisco... ; 880,705 46,582 927,287,576,30 2,503,47 34,303 38,767 4,464 5.4 Central city : J New Y ork 4,47,77,32,64 5,549,79 889,564 6,439,355 748,60 97,480 223,320.6 Chicago......... 767,35 70,84 838,65 324,996,63,6 8,7 24,030 95,39 0.2 Reserve city : Boston...... 569,785 4, 258 584,043 207, 587 79,630 64,632 72,842 8,20 8.2 : New Y ork... 6,772 3,558 20,330 72,807 293,37 7,27 7,56 344 5.9 [ Philadelphia-- - - -. - 528,04 55,336 583,377 236,037 89,44 65,49 69,229 3,80 8.0 Cleveland..._... 676,202 2,979 789,8 740,58,529,699 0,34 02,230,096 6.6 R ichm ond... 205,947 0,872 26,89 72,902 389,72 26,869 27,85 36 6.9 Atlanta... 92,93 8, 790 200,983 75,063 376,046 25,350 25,323-2 7 6.7 Chicago. 393,859 8,66 402,025 567,33 969,58 57,26 59,84,968 5.9 : St. Louis.... - 262,620 0,606 273,226 87,90 46,36 32,960 35,346 2,386 7. Minneapolis... 9,5 8,698 28,209,004 239,23 6,5 5,572-579 6.8 Kansas C ity... 39, 747 23, 37 343,064 78,968 522,032 39,675 4,448,773 7.6 Dallas... 93,06 7,838 200,854 5,993 36; 847 23,565 24,592,027 7.4 San Francisco 693,03 43,933 736,964,364,076 2,0,040 4,69 8,67 3,548 5.5 : Boston... 463,837 5,498 469,335 624,877,094, 22 5,600 52,870,270 4.7 : New Y ork... 824,65 9,32 833,477,33,3 2,64,608 98,277 00,796 2,59 4.5 Philadelphia... 375,954,727 377,68 760,348,38,029 49, 248 5,476 2,228 4.3 i Cleveland... 330,458 7 33,69 528,779 859,948 39,045 44, 5,066 4.5 R ichm ond... 83,29,992 85,2 289,956 475,077 2,657 22,946,289 4.6 Atlanta... 43,866,923 45,789 75,23 320,92 5,459 7,26,667 4.8» Chicago... 375,935 2,783 378,78 526,804 905,522 42,34 49,08 6,704 4.7! St. Louis 59,48 2,74 62,222 206,320 368,542 7,545 9,254,709 4.8 M inneapolis. 54,8,267 55,448 276,00 43,449 9,6 2,280 2,9 4.4 Kansas C ity * 26,222,340 27,562 5,943 369,505 9,788 22,03 2,35 5.4 Dallas 2,089,344 22,433 73,795 286,228 7,085 9,50 2,065 6.0 San Francisco...... 87,674 2,649 90,323 22,054 402,377 9,684 20,600 96 4.9 J-----......... ' Exclusive also of certified and cashiers or treasurers checks outstanding and letters of credit and travelers checks sold for cash and outstanding.! 8 Combined excess of amounts due to over amounts due from as shown by individual bank reports. When, for a given bank, ainounts 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 or treasurers checks outstanding, 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 foreign branches of other American, and exchanges for clearing house and other checks on local. \ 8 Deficiencies in s indicated by a minus ( ) sign.

STATE BANK MEMBERS CONDITION ON SEPTEMBER 30, 932, BY FEDERAL RESERVE DISTRICTS [Amounts in 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........:... 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 Acceptances of other and bills of exchange or drafts sold with indorsement... Securities borrowed...i ll Other assets.... i, 09,836!, 708,854, 982,253,70,943 205,804 4,725 98,276 3,302 853,854 44,363 624,709 4,227 435,766 3,99 3,957 3,367 4,237 3,785,449 296,579 2,864, 265 95,674,790,975 5,780 873,539 508,033 5,528,779 57 84,09 9,566 209,005,93 20,94 7,232 42,933 25,549 538,978 4,868 68,8 3,757 44,278 64 37,487 4,697 374,465 523 3,32 7,69 400 55, 832 7,27, 02 400,393 3,893 208,599 740,885 77 3, 26 3, 390 7,547 39,35,404 55, 535 04 9,598 34, 382 92,475 843,863 235,845 206,548,286,256 5,449 6,2 24,34 6,38 69,04 8,354 62, 707 908 2,805 3,047 4,037 877 5,836, 58,33 46,248 26,90 53,003 225,44,064 4,697 3,92 3,742,356 7,757 25,658 64 2,60 3 2,43 34, 500 2,709 42,89 89,398 2,238 5,688 2,999 2,95 8,874, 375 2,399 54 4,444 74 2,606 243,8 802,30 220,325 25,789,274,244 8,865 39,405 3,052 8,282 03,868 5,264 76,574 8 7,37 3,680 702 504 2,824,685,446 99,660 58,74 94,236 352,60,049 2,338 8,278 5,67 2,433 7,435 33,202 50 3,832 84 223 947 3,004 450,409 9,494 4,94 2,288 35,976,293 458,084,668 240 3, 2 385 53 8 32 44,609 36,830 2,064 20,588 78,482 3,002,628,773 5,753 4,434 29,238 27,006 92 88 26,506 26,64 5,055 6,636 37,855 2,673,063,090 2,598 525 7,287 537 82 3 50 54,24 249,70 06,26 97,058 452,984 2,74,72 7,003 5,876 25,448 3,896 42,963,247 4,025 94 2 5,057 563,30 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... Securities borrowed... Other liabilities...... Number of. 87.88 L, 058,245 208,742 94,506 6,29 7,759 L, 398,84 92, 776 267,038 0,096 >, 244,36 t, 38,007 365,297,767,03 5,56 73,884 79,29 3,957 209,459 3,397 3,367 24.882 3,785,449 35,905 40,790 9,620 9,962 4,205 9,560 803 3,402 20,45 865,907 45 84, 565 2, 726 234,400 5 9,398 228,488 3,03,469 227,897,07, 290 0,702 208, 438 49,487 5,66,869,668 2,990 224 57,58 598,066 7,27,02 29 422, 570 603,63 30, 496 3, 794,090 26,423 24,80 7,69 86, 505 2,967 400 60,206 4 53,668 25,68 4,49 25,699 4,472,58 69,607 35 2,358 325,808 227, 533 40, 465 666,964,067 7,37 9,947 68 660 56 *,' 85' 90,602 36,2 7,4 23,985 8,32,096 94,385 932 8,829 2 45,493 636,807 29,027,222,58 9,457 9,876 49,76 4,037 5,244 202 877 3,7,58,33 25,025 6,02 3, 347 2,22, 29,, 96, 86, 9, 224,, 4, 55 0, 707,020 224 8,495 8,950 2,959 3,983,422,420 7,640 65 257 7, 757 74,787 970 2,303 954 8,958 4 57 62,434 579,584 73,695 545,432 9, 779 32,560 75,668,344,452 60 5,600 7,9 3,04 402 2,825 32,806 72,470 3,379 2,234 373 9,074 55,223 702 9,349 504 7,20 37,960 2, 426 4,063 2,534,928 40,966 38 2,358 52 55,369 48,329 4,830 35,942 30 3,740 5,533 223,049 947 8,934 3,90,693 677 405 75,740 253 2,665 22,065 27 36,750,280 8,745 3, 332 2,293 560 2 3,304 64 703 5,465 25,084,760 0,402 574 65 227 6,685 2,02 95 25 20 4,70 49 25,024 8,566 3,835 42,565 7 706 303 434 35,775 22,028 8,30,565 2,08 8 47,354 3,374 3,78 37 52,492 27,349 4,853 482,645 2,68 3, 2,509 2,304 37 2 784 563,30

Outlying in above cities which have been authorized to carry country bank s are included with country. * Includes both central city and dty. Digitized for FRASER AT I. MEMBER BANKS CONDITION ON SEPTEMBER 30, 932, OF BANKS IN CENTRAL RESERVE AND RESERVE CITIES 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. District No* 2 District No. 3 District No. 4 BOS TON N EW YO R K 2 Buffalo PHILA DEL PHIA CLEVE LAND Cincinnati Pittsburgh Columbus Toledo RESOURCES Loans (including overdrafts)......... Uftited States Government securities... Other securities. - ------------------- -------- - - TOt*l loa n s a n d investm en ts... Customers liability oh account of acceptances---------------------- ------- Banking house, furniture, and fixtures-------------------------- ------------------- Other real estate owned Cash in vault---------------------.. ------------- ---------- ------------------------------ tleserve with Federal --------------------------------------- ----------- IteinS with Federal in process of collection ---------------- Due from in United States..-----...... Due from bahks in foreign countries (including own branches)----------- Exchanges for clearing house and other checks on local ------- Outside cheeks 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------------------------------------------------------------ --------------------------- to ta l. LIABILITIES Capital Stock paid in......- Surplus... -... Uhdmded profits net. ~... Reserves for dividends, contingencies, etc...... Reserves tor interest, taxes, and other expenses accrued aud unpaid DU to Federal... Due to other in United States...... Due to in foreign countries (including own branches)... Certified and officers^checks outstanding...-...- Oash letters of credit and travelers checks outstanding-------------------- Demand deposits............ - Tiine deposits.- -...... -... -... -...- United states deposits...... deposits.. - ----------------- --------------------------------------------------------- Agreements to repurchase U. S. Government or other securities sold Misjbayaibie 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... 504,794 202,534 2,0 $28,43$ 6,55 28,355 2,i 6,794 72,842 22,938 2,67 22,770 7,48 2,968 25 44 I, 532,49,40 84,900 54, 780 4,086 2,65 4> 38,004 4,089 7,453 359 569, 785 207, 587 25,46 952,693 2,739 44 7,823 50 4,43,49,40 704,860 200, 238 37,627 i 7,228 23,763 52,870 6,33 74, 79 47, 5,73, 2, 283] 26 5,305,453, 232 9,55 85,346 30, 786,823 6,498 5,722 39,809 395 4,530 8 463,837 624,877 4,672,53,856 2,355 5> 352 8,29 242 6 45,394 26 2,209 3,67,746 2,433,228,088,026 7,39,96* 363,867 252,658 7,243 43,053 973,28 95,34 99,677 28,997 588,86 3,269 2,264 6,068 67,824 I, 78,403 408,478 2,868,83l,39,567,653,920 640,949 782,465 45,30 56* 709 22,07 22,324,352,852 555,342 44,3 7, 784 324,757 76,69 20,372 242,485 *37,49 *,48,778,,008,*9 3,04 6,439,82,722 5,760 4,006 7,04 2,665 3,467 8 30 2,030 94,653 22,5 40,986 00,796 33,533 97,57,42,385 2,407 3,84 0,997 30,508 9,40 8,78 69,229 22,385,980 3,023 28,68, 220 46 2,48 ~2,032 96 470 9,6,453, 232 9, 78,403 408,478 2,868,83,39,567,653,920 350, 346,88 236,05 338,548,97 4, 430,990 898,62 62 7,568,765 295 2,58 6,068 369, 747 2,706 42,220 4,008 45 24,800 30,300 8,535 7,380 94 03 24,648,093,753 02,"959 64,209 2,939 307,704 % 3,328 4,623 2,48 3,04 600 4,772 6 76,50 43,74 40,89 26,909 9,86 9,2 5,242 480 9,348 67 824,65,33,8 23,290 348,834 2, 64,08 50,50 96 946,094 63,548 470 39,92 773 406 4,404 63,589 56,095 7, 30 26,837 4,558 98 98,866 I,706 3,238 64 528,04 236,037 46,4,04,28 75 0,866 2,364 406 II,244 265 8,494,083 808,44 74,677 422,509,4*5,697 22 73, 246 25,846 24,88 5,476 8,599 50,479 8 4,53.24 3.25 5 235 4,82 4,04 56,856 34,925,49 4,006 4,084 0,690 3,520 3 375,954 760,348 2,970,67,570 3,557 42,048 34,780 5 209 2 62,2 235 2,046 495,876 78, 279 84,40 658, #95 7, 29,975 2,922 6, 3, 0,090 36,394 995 6,774,454 350 5,425 394 2,605 820,95 50,650 3,450 7,048,237 4,846 "46"45 933 5,989 2 9,469 386,904 20,302 65,744 0,257 2,86 29,370 5,425 7,78 2 7,000 394 2,489 820,95 5, 57 30,45 45, 742 25 3,849 4,90 4,32 3,978 5,487 2,7 38 2, 758 03,257 968 287,669 89,248 9,950 8,350 5,637,799,36 ' 2, m 4,04 "96,422 08,993 6,62 235,60,88 25 2,*067,257 92 270,0 325,032 45,206 740,339 92 25,929 4,322 4, 766 47,696 2, 760 38,988 250 7, 709 73 35,300 7,600 0,338 4, 3,773 7 39,264 504 4,048 % 446 39,765 205,004 6,93 687,34 250 2,627 4,07 85 4 4,250 954 4,329 2,53 5,52 IS,*94 7 5,585 86,354 5,05 3,375 6,506 59,773 83 24 65 93,62 7,200 5,600 904 457 234,207,947 45 460 39,350 2,375,70 76,994 40 2,460 93,62 28,39 7,32 8,656 54,97 200 3,09 207 2,036 3,907,40 582 350 25 367 605,987 26,979 232,28 965,247 69,98,80,58 5.500 3.500 643 503 296 776 7, 29,96 8,242 2,624 58,758 200 496 85 53,25 6,233 22,236 44, 5,350 63,228 38 3,66,8 2,657,879 2,032 84,335 75,724 22,776 7,428 3,342,502 9,952 3,030 330,458 528,779 2,834 876,556 534 9,052 34,033 53,07,879,780

ALL MEMBER BANKS CONDITION ON SEPTEMBER 30, 932, OF BANKS IN CENTRAL RESERVE AND RESERVE CITIES > AND OF BANKS OUTSIDE SUCH CITIES (COUNTRY BANKS) Continued tamounts in thousands of dollars. Federal bank and branch cities are shown in boldrface type] District No. 5 District No. 6 R IC H M O N D A T L A N T A New Orleans Baltimore Charlotte Washington Birmingham Jacksonville Nashville Savannah r e s o u r c e s Loans (including overdrafts) United States Government securities Other securities T otal loans and investments -Customers liability on account of acceptances Banking house, furniture, and fixtures... Other real estate owned... Oash in vaults 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 57,859 7,775 2,90 97,544,226.39 849 6,289 4,802 20,533 4.39 08 50 65 00 80 79,404 5,506 53,379 84, m,49 0,70 295 2,339 0,660 7,082 4,575 64 4,284 75 245 792 20,520 5,503 3,92 29,25 38 2,469 6 370,475,592 7,352 26 90 62 67,625 45,44 9,490 32,259 2,28 2,954 4,22 8,76,872 5,975 27 3,466 387 80 570,378 378,22 78,285 97,459 553,905 293 28,2,894 4,694 22,946 5,0 42,74 7 2,339 986,853,62,858 46,896 22,728 5,068 84,692 6,8,054 972 5,58 2,574 26,426 653 27 25 38,542 0,04 6,077 54,660,804 3,48 634 3,56,05 4,486 89 94 245 4,43 22,60,09 47,772 3,502 7,03 2,92 72 6,975 28 236 54 39 40,93 4,33 6,935 5,44 7,703 424 448 2,505,489 4,380 467 39 80 80 362 43 64 _ 34,759 238,82 43,248 83,334 28,97 70,33 63,860 63,637 220,57 75,095 3,69 4,48 35,674 63,7 2,444 4,930 734,695 7,678,665 7,566 62 5,350 655 40 309 400 2,78 36,350 9,950 3,34 49,64 20 5,099,200,32 3,482 75 2,4 2 678 05 50 00 280 24,299 85,594 72,739 399,632 036 2,32 8,795 3,56 7,26,592 38,90 42,778 83,69 742 24,395 508,034 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 _ 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 T o ta l... Number of. 0,600 7,00,594,652 524 9,692 2 628 47,463 36,58 4,95 09,237,325,202 65,000 00 260 5,500 2,350 3,737,454 77 3,48 9,40 75,868 60,353 2,385 8,283,438 7,32 792,49 4,895 8," 3 3,700 3,000,438 208 88 8, 559 3,066 9,08 244 3,06 274,88 38,250 20,75 8,675 2,60 869 592,002,20 244 845 44 69,550 66,950 2,89 52,646,08,893 2 3, 596 570 65 55y390 36,37 0, 2, 73 2,599 2,43 22,03 3 2, 543 6 83,29 289,956 5,92 506,030,00 8,770 4,385 3 229 58 36,988,62 2,270 8,900 8,250 2,690 84 840 6,324 85 37,573 42,650 7,270 04,003 6,000 6,200 69 97 397 34 84 4 25,480 9,47 2,83 5,922 6,000,865 39 70 7,386 2 24 2, 2 2,247 2,327 52,424 3,900 3,450 425 0 420 6,700 489 8,389 8,462,728 45,768 763 400 425 5,39 2,468 80 82 4,900 228 2,880 32 7 3,600 3 3,25 9,00 2,962 437,040 26, 554,6,003 64,586 48,640 24,369 66,33 60 2,302 4,875 309 3,308 6 2,800 400 3,065 6,600 3,384 52 464 247 5 9,242 50 24,954 24,647 2,979 62,023 34,759 238,82 43,248 83,334 688,485 28,07 70,33 63,860 63,637 220,57 75,095 6 2 358 433 586 20 64 00 2 49,25 26,42 7,20,365,35,25 6,684 22,700 6 43,866 75,23 4,407 353,2,458 2,260 2,863 742,044 3,635 24 23 508,034 32 Outlying in above cities, which have been authorized to carry country bank s are included with country.

* Outlying in above cities which have been authorized to carry country bank s are included with country. ^Includes both central city and city. Digitized for FRASER ALL' MEMBER BANKS CONDITION ON SEPTEMBER 30, 932, OF BANKS IN CENTRAL RESERVE AND RESERVE CITIES 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. 5) CHI CAGO 2 Detroit Cedar Rapids Des Moines D u buque Grand Indianapolis Rapids M ilwaukee Peoria Sioux City ST. LOUIS Little Rock Louisville RESOURCES Loans (including overdrafts)... United States Government securities...... Other s e c u r i t i e s 753,40 260,023 94,524 T o ta l loa n s a n d in v estm en ts...,207,948 439,209 9,94 49,964 58,4 6,650 2,332 3,260 2,242 Customers liability on account of acceptances 6,727,270 3 2,60 7 250 Banking house, furniture, and fixtures... 28,276 23,097 903,436 68 5,43 4,84 6,063 2,76 549 60,55 5,703 657,859 Other real estate owned...... 5,040 5,490 347 42 899 458 237 42 7, 58 4,877 439 50 Cash in vault....... 6,055 4,326 446 990 202,239 6,099 2,775 806 553 29,269 2,856 325,38 Reserve with Federal...... 26,7 29,323 83 2, 774 296 2, 640 7,29 0,084 2,295,3 49,08 25,48,454 4,986 Items with Federal in process of collection... 2,399 7,088 385,447 80 633 l 2,405 3,007 495 6 7, 537 9, 742 774 2,749 Due from in United States------ --------------------------------- --------- 203,273 32,680 4,052 5,935 6 3,42 7,03 8,545 3,56 2,88 70, 93 55,863 Pue from in foreign countries (including own branches) 2,47 673 5 26 246 43 93 39 3,040 5,768 Exchanges for clearing house and other checks on local... 22,673 7,347 58 "I, 256*... 792,25,286 9 42 4,3 4,060 238 873 Outside checks and other cash items. -... 2, 754 2,85 05 29 0 93 430 446 34 40, 887 523 85 2 Redemption fund and due from United States Treasurer... 44 737 25 63 0 45 27 496 45 32 2,745 35 00 Acceptances of other and bills of exchange or drafts sold with indorsement 702 9 Securities borrowed 50 266 8 372......,6 5,235 Other 57 assets 29 636,230 296 5 0, 826 2,932 435,06 T o t a l.... LIABILITIES Capital stock paid in... 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 the United States... Due to in foreign countries (including own branches)... Certified and officers cheeks outstanding... Cash letters of credit and travelers checks outstanding..... Demand 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... 20,693 3,272 2,966 36,93,480 722,45 3,653 43,637 3,426 6,595 53,658 47,397 22,954 3,5 83,862 9,402 34,34 5,478 69,22 6,237 8,805 6,937 3,979 5,99 3,90 4,220 4,2 577,077 5,838 25,27 980,32 75,976 79,006 87, 555 342,537 2,549 2,06 2,426 7,08 62,299 24,786 2,083,755,234 70,565 9,062 5,975 4, 554 69,245 24, 67 26,43 42,930 9,94,234,928 455,035 24, 528 8,378 32,00 65,363 4,685 8,24 7,875 284,767 3,24 0,500,492 777,738 332,20 32,57,442,078 37, 500 33,300 3,655 2,40 4,8 35,598 774 3,927 7 87,93 379,344 8,460 66,04 500 500 0 563 4,496 33 6,34 6,98 28 6,989 3,862 757 233 8,258 300 All other 37,793,200 336 2,78 24 32,59 606 85 Acceptances of other and bills of exchange or drafts sold with indorsement 702 9 7,429 Acceptances,272 executed for customers 3 2,60 20 267 Acceptances executed by other for account of reporting 48 25 National-bank notes outstanding... 895 0,886 500,264 200 900 5,49 7,90 2,894 650 54,549 2,69 2,000 Securities borrowed 50 266 8 372 Other liabilities 4,63 390 484 225 259,537 9 8,665 638 8,860 3,750,653 276 8 230 7,372 47 22,43 3,80 297 43,75 200 200 58 95 6 37 3,997,466 7 3,684 4,850 3,225 36 590 85 3,877 40 8,374 32,744 70 55,205 8,350 5,750,879 72 550 75 4,394 24 685 52,599 32,622,78 02,254 3,900 8,350 4,402 643,26,390 22,479 89 7 8 73,43 72,726 4,686 75,530 3,260 3,550 355 35 73 "2,2 l9 " 306 3,843" 6,66 229 32,763,050 800 59 87 32 4,42" 70 "6,732" 5,473 0 6,897 94,98 57,850 6,278 6,254 4,562 697 9,60 46 4,543 34 375,935 526,804,035 938,695,828...,755,234 70,565 9,062 5,975 4,554 69,245 24,67 26,43 42,930 9,94,234,928 455,035 24,528 8,378 Number of............ 36,070 5,829 4,958,359,477 67,048 57 2,72 68 87,97 27,529 5,605 390,325,650 760 84 46 20 4,554 """25 9,968 6,658 272 2,668 99,68 4,750 6,850 800,46 779 2,797 - - - - - - " 37 577 27,853 4,096 82,893 8 4 4 4 4 4 3 4 763 3 4 5

ALL MEMBER BANKS CONDITION ON SEPTEMBER 30, 932, OF BANKS IN CENTRAL RESERVE AND RESERVE CITIES 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 (continued) District No. 0 (see also p. 6) Memphis MINN EAPO LIS 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 o t a l loans 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 39,009 6,268,505 56,782,025 4,935 2,286,065 3,488,670 0, 535,002 02 7 220,904 63,26 23,720 407,750 9, 206 5,682, 659 9, 254,894 34, 58 4, 693 907,56 223,455,32 95,52 32,57 22, 797 50,466 467 2,450 64, 58 8, 749 2,707 25,592 568 3,393 907 70 3, 300,4 3,669 8,0 45 75 565 437,37 35 35 0 62 56,045 9,663 5,346 9,054 2 6,050,332 6,258 986 0,456 306 905 275 5,636 29,726 70,264 62,830 452,820 9.280 3,640,879 2.280,372 42,350 238,709 765,8 52 6,923 75,696 37, 223 38,924 5,843 3,497,448,747 2,508 8,87 57,365 243 2,34 83 57 22,04 42,905 43,938 8,47 05,260 2,678 379 6,080 8,692 2,822 9,834 33,340 660 65 64 30,788, 669 7, 486 59,943, 653 53 647 3,98,994 3,02 392 9 2 53 35,845 2,865, 643 60,353 20 3,704 74,047 4,333 2,585 3,70 43,052 343 7 7 402 5,342 3,029,345 9,76 788 8 94 600 237 629 9,98 5,04 2,266 7,288 3,480,846 4,345 9,67 95 254 46 20 677 458,472 753 47 2,600 5,483 4 23 63 46 8 68 25 9. 83,835 506,68 98,805 9,394 563,489 240,528 48,584 82,3 87,88 2,366 24,027 6,735 LIABILITIES Capital stock paid in Surplus Undivided profits net _ Reserves for dividends, contingencies, etc Reserves for interest, taxes, and other expenses accrued and unpaid D ue 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..----------- --------------------------------------------------- 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 7,500 6,000 447 97 95 9, 376 " "422' 27,878 25,870,53 65,059 25,025 2"350' 42,054 22, 525 7,52,74,38 60 6, 036,55 6 59, 48 206, 320 2,62 385,690 508 8,494 2, 582 223 22 23,085, 455 336 2,200 7,240 590 35, 204 504, 58 6 7,804 6, 337 2,887 73,323 459 8 3,346 550 450 27 52 73 63 4,044 3,445 9 9,263 76 200..... 6, 850 4,650 688 34,04 4,073 78 479 46, 222 53 05,28 87 92 40,475 20,669 7,470 3,63 2,686 26 4,37 26 3,586 54,8 276,00,643 449,700 464 0, 658 4,45 23,354 52 383 4, 500 5,4 4,276 660 327 77,00 86 2,256 7 0,70 30, 380 2,850 23,849 00,24 22 328 6,300 5,603 3, 385 47 307 4, 779 30,97 6, 34 5,440,394 30,82 392 40 2,300 28 7,200,50 900 54 258 2, < 60 30, 546 25, 063 679 69,869 2,239 5,000 2,325 53 49 6, 346 23 702 3 35, 693 2,009, 780 75,556, 39 38 20 2,350 7 48 950 300 455 78 4,026 589 0,09 20 944 0,350 550 35 25 32 75 4,844 248 4 0,793 3,954 439 20,457, 350 28 600,00 7 2,"634 34 ~5, 9l8 5,78 29 4,396 492.. 83, 835 506, 68 98,805 0, 992 9, 394 563,489 240, 528 48, 584 82,3 87,88 2, 366 24,027 6, 735 Number of.. 548 6 Outlying in above cities, which have been authorized to carry country-bank s, are included with country.

ALL MEMBER BANKS CONDITION ON SEPTEMBER 30, 932, OF BANKS IN CENTRAL RESERVE AND RESERVE CITIES 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. 0 Continued District No. Topeka Tulsa Wichita St. Joseph DAL LAS El Paso Houston Fort Worth San Antonio Galveston Waco RESOURCES 8,840 5,765 3,909 7,35 22,238 83,703 5,68 55,209 8,888 32,858,995 7,583 205,548 United States Government securities 3,984 5,449 7,549 8,879 72,095 26,047 4,62 27,33,326 9,663 5,540 3,480 56,870 Other securities 2,260 4,36,83 5,626 96,563 6,769 2,462 3,763 4,854 5,759 4,004 3,205 49,853 loans and investments. 5,084 5f 575 5,289 2,640 380,896 26,59 2,305 96,05 35,068 48,280 2,539 4,268 32,27,40 0 48 373 737 4,924,634 9,394 6,460 428 6,54 4,547 2,502 969 346 9,959 Other real estate o w n e d. 32 65 373 7 3,779,830 2 39 335 756 49 206 6,588 646 379 924 504 2,05,076 430,465 865 898 707 425,974,093,433 4,094 2,489 22,03 7,464,4 6,835 3,228 3,404,396,5 9,50 Items with Federal in process of collection 94 543 229 473 735 4,20 346 3,709,30,346 282 25,46 5,08 5,295,623 9,295 58,528 9,45 2,476 32,50,55 7,676 4,94 2,250 53,865 55 43 6 40 39 286 66 280,247,56 05,90 534 494 23 6,55 Outside checks and other cash ite m s 22 0 60 9 903 287 26 220 88 69 89 26 926 Redemption fund and due from United States Treasurer 7 30 70 7,333 358 30 345 63 0 88 67,29 Acceptances of other and bills of exchange or drafts sold with 04 326 Other assets...... 6 24 24 63 657 44 3 589 32 5 3 805 T o t a l... 22,679 24,377 74,426 36,4 50,749 70,723 7,265 50,606 57,822 65,55 30,700 9,028 429,597 LIABILITIES 300,400 5,950 2,400 42,928 5,50 600 9,00 5,050 4,550 2,50,350 45,078,050 453 950,300 9,466 4,500 850 5,75 2,030 2,805 750 400 23,340 TTnHiviHpfJ n r n fi nfit,... 68 434 842 495 6,387 5,926 330, 360 887,057 274 50 7,90 "RoQArvPQ fnr PftTltiTlffftTlfiifiS fitc 43 6 23 65,053 722 45 2,32 94 34 5,374 Reserves for interest, taxes, and other expenses accrued and unpaid. 3 28 373 250 642 590 92 45 73 334 54 4 734 T\ ia f/\ ora rfloiltttd VvorilrC 88 85 69 70 524 D u e to other in United States 5,325 4,32 8,40 9,080 4,629 25,62 922 24, 55 8.027 8,45 4,585,359 6,738 T\fiA 4-/-v knnlro m r m naiinfri^c Htl/ >!nhltkt attti hfqt phpqi 5 3 86 32 07 283 Certified and officers checks outstanding 77 70 584 290 2,899,97 85,485 467 389 76 90 2,406 2 23 Demand deposits - 6,782,893 37.894 4, 358 26, 222 62, 60 9,5 56,59 22,73 27, 638 7,883 7,402 2,089 7,59 4,759 7,805 7,232 5,943 32,0 4,094 35,55, 697 4,809 2, 350 5,877 73,795 7,705 3,000 United States deposits 53 395 44 573,702 2,296 208 3, 666 3,32 742 863 5,76 307,858 deposits - 9,757 2,439 64,864 3,533 387,490 34,53 4,746 25,088 46,37 54,604 25,805 Agreements to repurchase U.S. Government or other securities sold. 247 26 276 Bills payable and rediscounts: 5,965,224 25,42 25 5,60 Acceptances of other and bills of exchange or drafts sold with,40 0 48 6 Acc6ptB-nc6S a executed AvA/tiifnrl Ktt oy omer rvfviar KorvVc u d n K b fnr iur accuuxit qppahtif Af ux rdnartincr lupuibiiig u<iiikd_ National bank notes outstanding 333 600, 399 350 26,080 7,33 600 6,897 3, 250 2,200,385, 347 25,54 04 326 5 7 25 8 63 383 2 239 5 4 Digitized for FRASER -... 22, 679 24,377 74,426 36,4 50, 749 70, 723 7, 265 50, 606 57,822 65, 55 30,700 9,028 429, 597 Number of 5 4 4 4 744 5 2 7 7 4 4 3 562 ------------- Outlying in above cities, which have been authorized to carry country bank s, are included with country.

ALL MEMBER BANKS CONDITION ON SEPTEMBER 30, 932, OF BANKS IN CENTRAL RESERVE AND RESERVE CITIES > AND OF BANKS OUTSIDE SUCH CITIES (COUNTRY BANKS) Continued [Amounts in thousands of dollars. Federal bank and branch cities are shown in bold-faced typej District No. 2 Recapitulation SAN FRAN CISCO Salt Lake City Seattle Odgen Los Ange- Portland Spokane Oakland Federal bank cities Federal branch cities Other cities RESOURCES Loans (including overdrafts) United States Government securities Other securities T o ta l loa n s a n d investm en ts... Customers liability on account of acceptances Banking house, furniture, and fixtures...... Other real estate ow n ed....... 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 ite m s.. 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 S urplus.. 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 ta l. Number of 869,794 293,76 29,985,383,495 4,236 57,509,428 2,89 63,784 6,506 75,848 6,502 22,03, 07 2,338 392 66 6,967 380,265 22,402 08,80 6,468,973 25,382 3,205 7,2 35,23 5,227 48, 032,53 4,558 5,757 85 03,664,534 756, 29 95,900 67,027 20,97 0,645 6, 345 9 0,844 7,548,298 803 364, 570 830,805 28,07,353,948 4, 623 38,044 0,664 392 4,652 26 48, 740 66 2, 20,664, 534 6,76 45,500 3,000 0,460 3,95 3,469 33,4,054 5,284 484 95,874 400,422 5,04 64,633,294 03,999 7,002 548 756, 29 6 27,58 35,778 29,957 92,893 70 2,96 59,095 5,786,03 9,734 360,27 42 355 249 8,408 " 446 2', 976 40,830 253 682 502 278 2,693,44 5,779 756 85 26, 573 53, 685 7,00 3,300, 27 82 587 3, 254 270 385 5 37,970 52,09 2,445 06,420 64 2 7,00 342 26, 573 752 9 90 09 3,900,790 88 69 235 7,279 24 20, 279 6, 390 202 44,39 35 09 268 47,39 38,946 23,600 09,937 9 2,958 27,82 6,84,504 6,55 394,557 35 350 8 3,900 3, 375,630 496 7,62 743,46 44 48,43 4, 57 5, 337 4,82 8,32 4,77 5,926 28,775 2,24 246 369,838 75 2,049 83 420 49 00 28 3,200 680 430 52 3,63 32 24 0,990,986 99 27,079 2,466 82 8,034 4,06 4, 79 26,859 4 354 30 46 479, 794 23 5 85 3,395,700,600 570 25 2 6,00 28 0,67 8, 372 632 25,760 4,306,448,686 7,440 72 220 6 45 560 27,40 0,93 800 200 9 22 27 I,'97 58 4, 38 2,493 77 8,43 70,743 27,33 433,736 8 23,308 5, 752 3,524 20,600,045 43,35 24,88,498,67 25 656, 226 45, 357 20,55 7,536 2,40,075 388 2,40 68 3,46 8 87,674 22,054 2,02 48,076 67 4, 593 4, 756 3,800,795 6,999 2,000,700 496 23,027 25, 784 656 952 65 5 24 69,649 4,984 36, 796 3,395 0,93 547, 982 7,89,866 426 7,332,235 3,693,448 2,53,293 3,78,976 42,66 452, 798 69,86 02,396, 493,454 20,872 853,263 65, 765 699,35 4,96 6,332 3,202 952 36, 283,65, 508,205, 240 239, 390 23,637 64, 2, 366, 254, 386, 4, 7, 370, 3, 222, 494, 4,08, 7, 36 60, 585 83,04 3,202 430,209 55 2,86,453 956,773 708,540 3,85,766,79 75,875 39,598 44,627 226,72 7,075 36,590 5,970 47,923 4,08 5,499 4,062,664 33,555 547,982 7,89,866 4,895, 275,457,32 287,075 307, 23 60,856 47, 739 20, 688 9^4 487,036 6,8 27,474 3,006, 533, 733, 769,440 22,698 3,949,822 30 7, 486 4, 76 4,062 2, 627 43 05, 20,664 38, 69 638,40 244,42 77,80,060,362 3,088 67,228 8,750 29,629 74,563 2, 034 62,576,090 5, 293 3,0 2,230 82,242 7,044 97,685 6,295 6,822 4, 399 6, 55 5, 777 7,38 580 7,077 69 55,09 452,988 25, 35,24,332 70 2,664 5,670 82 2,878 232 40,36, 242 3,083. 457, 32 5, 767,03 5,923,84,47,466 6,366,099 2,75,00 5, 754, 743 9,953*579 28*044*683 3,78 440,276 47,862,67,763 35,33 253,342 23a 036 406,688 440,730 2,234,99 84,244 387,225 67,25 2,048,644 2,552 75,377 40,530 802,88 4,923 47,02 23,566 37,627, 22 7,40 56, 69 88,420 688.374 99,423 77,085 37, 999 25,958 243,950,539 43,087 74 3, 625, 99 5,57,3 95, 648 9,93,478 24,45 250, 60 234,869, 22 2,726,24 468, 483 7,40 68,647 8,558,259 233,50 36,309,845 2,37,383 36,309,845 6, 530 2,43,688 2,262,22 56,49 360,860 29,969 32,96 3,268,854 262,676 464,006 7,958 3,08,243 0,60,689 737, 769 28,466,39 42, 33, 345 365,404 8, 558 448, 440 5,46 739, 793,259 79,998 6,904 Outlying in above cities, which have been authorized to carry country bank s, are included with country.

8 RESOURCES (in thousands of dollars) ALL MEMBER BANKS CONDITION OF BANKS, 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 - 6,904 5,923,84 *6,099 5,754,743 28,044,683 440,276,67,763 253,342 406,688 2,234,99 New England: M aine...... New Hampshire-------- V erm on t... 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------------------- Mississippi...-... West South Central: Arkansas------ ------------ Louisiana...... - Oklahoma Texas...... Mountain: Montana------------------- Idaho......- W yom ing... Colorado...-... New M exico------------- Arizona... Utah...... Nevada... Pacific: Washington... Oregon------ --------------- California..-... 45 54 45 60 4 6 327 824 32 66 377 20 46 240 88 53 79 84 59 227 20 73 2 48 95 47 25 86 53 3 85 87 64 34 243 549 40 29 03 28 2 32 5 85 74 6,960 35,849 3,974 778,482 63,772 63,493 4,627,77 70,20,675,756,000,663 63,806 943,502 707, 707 244, 74 242,574 02,230 335,256 29,595 26,064 87,839 76.607 45,699 32,443 67,625 26, 782 08,045 70,540 28,385 25,832 37,855 39,322 63,524 98,63 27,443 4,456 5, 646, 7 389,800 32,20 2,259 8, 036 79,237,668 9,533 33.607 2,405 6,538 59,5,38,93 3,323 3,334 6,855 278,503 58,738 40,46 2,664,676 56,54 724,749 99,40 58,453 334,524 39, 77 66,57 82,980 26, 548 4,52 6, 73 6,746 30, 782 34,035 0, 834 60,232 45,44 50,984 8,440 9, 968 7,89 43, 957 59,865 39, 36 27,240 25, 577 4,949,62 9,462 40,59 34,862 3,489 4,380 5,068 56,438 4,463 7,59 2,623 2,979 62, 034 45,323 446, 273 44,432 7,63 20,343 260,407 62,057 42,483,60,529 37, 5 858, 244 245,83. 6,67 297,86 68, 709 74,943 07, 749 50,098 78,56 4,869 7,259 27,097 30, 329 8,577 86,32 9,490 46,497 25,694 0,592 0, 98 27,50 30,03 29,359 3,590 26,899 2,00 4,428 44,958 65,902 89,74 27,699 6,822 5,420 38,433 5,605 4,873 6,255 3,90 59,37 46,509 399,378 9,75 66,346 59,72,37,392 284, 567 246,22 8,893,922, 229, 262 3,258,749,444,986 283,426,575,842,06,87 386, 255 433,303 78, 876 654,933 5,77 50,069 45,78 40,97 75,0 278,807 32,259 34,263 52,79 0,00 47,257 97,290 27,823 207,997 222, 354 5.07 44, 393 67,505 26,066 27,592 63,836 73,308 23,46 28,524 74.08 2,736 2,925 62,485 8,574 237, 709 5,343 2, 227,582 6,637 22 50 367,978 89,393 7,443 3 6,727,338 2,604 488,55 2 36,493 56 22 2,444 "I, 569 333 9 70 i, 23 2,66 2,890, 255 48,055 2,666 3,940 37,7 59,324 34,039 78, 85 7, 659 48,388 54, 770 7, 70 5, 669 7,429 6,800 2,838 2,450 7, 36 8, 676,903 3, 66,28 2,232 7, 969 7,827 2, 374 4,45 7,402 5.84 3,92 6,943.842 2, 323 9,093 2, 592 38,452 3, 520,40,049 5,824, 23,484,56 63 82 350 6,257 925 2, 226 30,305 7,472 38,36 26,009 3,902 0, 95 24,75,828 2,244 2, 36 8, 586 36 644, 633,435 2,954 4,407 4,046 2,282,49 4,64,76 2,002 5,020 5,484,72 2,006,068 9, 37 456 454 86,64 23 485 695 0,343 823 6,38 708 94, 24 8,49,896, 63,046 7,095 4,774 5, 427 67,434 2,264 4,820 25, 58 3,05 27,968 5,082 7,058 5, 539 9,224,25,244 3, 503 3,984,00 4.22 4.22 6,845 3.349 2, 722,702 4.22 4,876 3,648 4,635 3,848,76 2,094 2,960 4.350 6, 259 2,526 867,446 8,76 857,955 765 395 4,969 3,46 24, 33 5,774 2,994 2,206 94, 260, 256 0,765,046,757 5,443 72,53 76,997 5,952 238,894 47,805 9,653 23,542,535 46,84 2,38 2,449 9,99 0,56 3,493 4,263 8,76 5, 52 6,28 4,452 2,07, 74 7,025 9,437 0,238 7,404 2,090 4, 250 9,803 4, 570 4,84 4,699,25,50 2, 546,084,288 3,732 650 3,384 8,579 0, 249 STATES L O C A T E D IN T W 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----- K en tu ck y district No. 4... Pennsylvania district No. 4.. West Virginia district No. 4. Louisiana district No. 6... M ississippi district No. 6------ Tennessee district No. 6... Illinois district No. 7... Indiana district No. 7... M ichigan district No. 7-------- W isconsin district No. 7... M issouri district No. 0... New Mexico district No. 0.. Oklahoma district No. 0 Arizona district No. 2.... 2 25,876 226 538,329 62 5, 596 248 520, 553 2 20,9 22 29,33 6 2,92 69 7,499 240 882, 23 20 38,53 59 684,76 03 224,402 37 92,99 9 6, 554 232 09,389 9 7,097 8,27 29,493 9,362 377, 582 4,446 6,364 3,950 9,94 33,43 5,79 32,987 59,698 44, 757 2,637 39,93 3,690 8,48 3,302 0,002 272, 036 3, 956 38,086 9,803 8, 46 256,0 47,428 43, 96 62,670 45, 523 4,095 64,70 3,492 42,5 979,24 70,960, 70,7 28, 593 83,763 35, 665 55,90, 45,367 236, 760 96,079 346,770 82,479 3,286 23,472 4,279 50 883 92 '"2,"444' 468' 6,727 3,338 2,604 3,92 42,847 2,726 48, 665,456 6, 762,40 7,599 42, 524 4,874 52,89 5,862 4, 552 775 2,395,77 505,294,543 0,369 7,033 4,537 964, 544 2,982 0, 770 3,453 65,207 27 578,55,244 2,247 8,243 775 88,709 2, 52 3,66 6,327 9,99 24,96 233,092 3,037,34 3,928 24,354 3,423 45, 630,555 7,496 8,047,739 2,824 4,407 89 488 675,039 4,257 4,347 478,549 922