TABLE NO. 61.—Classification of loans, investments, and deposits of national banks in June of each year from 1914 to 1925, inclusive
Year
June 30,1914..June 23 1915—June 30,1916—June 20,1917..June 29,1918—June 30, 1919—June 30, 1920 .June 30,1921—June 30,1922—June 30,1923—June 30, 1924. _.June 30, 1925...
Num-ber
banks
7,5257,6057,5797,6047,7057,7858,0308,1548,2498,2418,0858,072
Loans
On demand
Paperwith oneor moreindivid-
ual orfirm
names(not se-cured
by col-lateral)
616,911611,698660, 213700,198620, 765597, 560707, 229679, 704657, 298733, 536737, 559726,100
Securedby stocks
andbonds
U,036,977883,812
1,159,0071, 261, 6311,150,0731, 307, 7871, 261, 9841,151,1141,408, 3691, 463, 2031, 545, 6251,843,167
Securedby otherpersonalsecuri-
ties, in-cluding
mer-chan-dise,ware-house
receipts,etc.
184,822223,639300, 879300, 212317, 286392, 277342,394270, 583276,090263,618300, 561
On time
Paperwith oneor more
individualor firm
names (notsecuredby col-lateral)
2 3,403,3533, 264, 3473, 760, 2254, 561, 7905, 297, 2565, 251, 3247, 604, 9716, 564, 4445, 818, 2076,176, 7436,123, 6046,132, 318
Securedby stocks
andbonds '
31,372,828866,76?
1,029, 6121,064, 2541,428,0942,130, 5981,855, 9061, 548, 0531,499. 0921, 519, 3171, 559, 6981, 817,730
Securedby otherpersonal
securities,includingmerchan-dise ware-
housereceipts,
etc.
697,930661,338772,963959, 904
1,014,0731,390,1221, 320, 3231,112, 4341,111,2731,087, 0961,062, 755
Secured by im-proved real estateunder authorityof sec. 24 Federal
reserve act, asamended
Onfarmland
93,042101,795108, 892116, 009122,214
On otherreal
estate
* 78,093* 85, 631* 9% 315
• 135,90260/03487,036
125,070188, 897269, 247
%Secured by real estate mortgages
or other leins on realty not inaccordance with sec. 24, Fed-eral reserve act, as amended
For debts pre-viously con-tracted (sec.
5137 U.S.R.S.)
Farmlands
60,895100,784127,339120,122123, 332
Otherreal
estate
45, 69560,35167,94274, 53581,874
All other realestate loans
Farmlands
5,8996,522
10,3939,031
10, 334
Otherreal
estate
3150,5953160, 633s 107,361«99,486«91, 667«93,927
14,68214,80423,1Q126, 54329,797
Accept-ances of
otherbanks
dis-counted
24,50078, 610
145,182150, 849146, 83894, 47075, 90660,87491, 026
107, 767
Accept-ances
report-ing
bankpur-
chasedor dis-count-
ed
31, 92949, 23956, 74722, 26016, 42931,91111, 39233, 99843, 76G
Cus-tomers'liabilityon ac-count
ofdraftspaid
underletters
ofcredit
7,3473f1232,5G61,3673,105
Total
6, 430,0696, 659,9717,679,1678,957, 678
10,135,84211,010,20613,611,41612,004,51511, 248,21411,817,67111,978, 72812, 674,067
1 Includes loans secured by other personal securities.2 Includes $1,336,693. On time, single-name paper without other security.3 Includes all loans secured by mortgages or other real estate security.
* Includes all real estate loans under sec. 24, Federal reserve act.s Includes all real estate loans not under sec. 24, Federal reserve act.
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Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
1925
TABLE NO. 61.—Classification of loans, investments, and deposits of national banks in June of each year from 1914 to 1925, inclusive—Contd.Cm00
8%
O
H
Year
Investments
Numberbanks
UnitedStates
Govern-ment
securities
State,county,
and othermunicipal
bonds
Kailroadbonds
Otherpublic-service
corporationbonds
All otherbonds
Claims,warrants,
judgments,etc.
Foreigngovern-mentbonds
Otherforeignbonds,
securities
Total in-vestments
June 30,1914June 23,1915June 30,1916June 20,1917June 29,1918June 30,1919June 30,1920June 30,1921June 30,1922June 30,1923June 30,1924June 30,1925.
7,5257,6057,5797,6047,7057,7858,0308,1548,2498,2418,0858,072
799,316783,454731,205
1,076,2562,116,7853,171,9122,269,5752,019,4972,285,4592, 693, 8462, 481,7782,536,767
176,017244,473278,180315,511320,384322,984338,357393,682414,414401,816505,528594,700
341,691379,191467,629467,291406,135412,371416,430404,936486,453503,348573, 571673,950
218,215220,304274,928295,835267,337275,849283,118277,205318,456337,293397,560495,239
328,095340,418301, 503361,954271,998306,775309,755352,405423,040521, 200575, 743
35,92653,341141,444143, 612290, 822309,428328,305373, 617385, 554367,241343, 623368,628
10,01933, 787116, 768284,123227, 578193,890179, 971140, 226162,054153, 723179, 470240, 762
5,60913, 40240,30368,48656,23354,31260, 95463,51387, 89591,23685, 055122,163
1,914,8882,068,3702,351,9603,013, 0683,957,2725,047,5214,186,4654,025, 0814,563,3255,069, 7035,142,3285,730,444
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Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
1925
Year
June 30, 1914June 23, 1915June 30, 1916June 20, 1917June 29, 1918June 30, 1919June 30, 1920June 30, 1921June 30, 1922June 30,1923June 30, 1924June 30, 1925
Numberbanks
7,5257,6057,5797,6047,7057,7858,0308,1548,2498,2418,0858,072
Deposits
Individual deposits (including postal savings)
Individualdeposits
subject tocheck
5,077,6264,517,6975,577,6296, 560,2687,161,2688,479,7479, 577,7218,036,5618,504,1048,385,3468,636,5959,433,675
Demandcertificatesand otherdepositsdue in
less than30 days
503,897519, 513460,312480,027381,444451, 050445,196343,160319, 800302, 501268, 536259,934
State,county,or other
municipaland allother
demanddeposits
anddividendsunpaid
18,66064,08383,008103, 357143,127175,395196,907330,104328, 511600,451688,119736,645
[
Timecertificatesof deposit
due onand after30 days
519,220512,827690,438824,898838, 051898,170
1,052,892980, 918
1,080,8281,135,1741,161,7041,277,699
State,county,or other
municipaland all
other timedeposits
772,600979, 249
1, 265, 7211,405,1781,792,6822,349,3662,678, 5042,998,1803, 575,3364,033,1654, 579,311
Postalsavingsdeposits
23,84141,42259,97989,142100,36094, 08883,24336,38432,94344,65265,06467,648
Totalindividualdeposits
(includingpostal
savings)
6,143,2446,428,1427,850, 6159,323,41310,029,42811,891,13213,705,32512,405, 63113, 264,36614,043,46014,853,18316,354,912
All other deposits
UnitedStates
deposits
66,65448, S6439,457132, 965
1,037, 787566, 793175,788249,039103,374192,135123,318108,101
Due tobanks
includingcertified
checks andcashiers'checks
2,353,8512,344,1362, 987,0153,315,4552,954, 3943,466,9403,274,3082,487,6612,952,8242,662,3853,371,3363,446,656
Totaldeposits
8, 563, 7498,821, 242
10,877,08712, 771,83314, 021, 60915, 924, 86517,155,42115,142,33116,320, 56416,897, 98018,347, 83719,909, 669
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Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
1925
TABLE NO. 60.—Classification of loans, investments, and deposits of national banks in June of each year from 1914 to 1926
Year
June 30,1914June 23,1915_.June 30,1916June 20,1917..June 29,1918June 30,1919June 30,1920..June 30,1921June 30,1922..June 30,1923..June 30,1924..June 30,1925June 30,1926
Num-ber
banks
7,5257,6057,5797,6047,7057,7858.0308,1548,2498,2418,0868,0727,978
Loans
On demand
Paperwith oneor moreindivid-ual orfirm
names(not se-curedby col-lateral)
616,911611,698660,213700,198620, 765597, 560707,229679,704657,298733,536737, 559726,100775,107
Securedby stocks
andbonds
'1,036,977883,812
1,159,0071, 261, 6311,160,0731, 307, 7871, 261, 9841,151,1141,408,3691,463, 2031, 545, 6251,843,1672,053,871
Securedby otherpersonalsecuri-ties, in-cluding
mer-chan-dise,ware-house
receipts,etc.
184, 822223,639300,879300, 212317, 286392, 277342.394270; 583276,090263,618300,561324,405
On time
Paperwith oneor more
individualor firm
names (notsecuredby col-lateral)
!3,403,3533,264,3473, 760, 2254, 561,7905,297, 2565,261, 3247,604,9716, 564,4445,818, 2076,176, 7436,123,6046,132,3186,344,135
Securedby stocks
andbonds
'1,372,828866,767
1,029,6121,064,2541,428,0942,130,5981,855,9061, 548,0531,499,0921, 519,3171, 559, 6981,817,7301,982,764
Securedby otherpersonal
securities,includingmerchan-dise, ware-
housereceipts,
etc.
697,930661,338772,963959,904
1,014, 0731,390,1221, 320,3231,112,4341, 111, 2731,087,0961,062,7551,133,621
Secured by im-proved real estateunder authorityof sec. 24, Federal
reserve act, asamended
Onfarmland
93,042101,795108,892116,009122, 214123,641
On otherreal
estate
178,063185,631* 92, 315
•135,90260,02487,035
125, 070188, 897269. 247337,393
Secured by real estate mortgagesor other liens on realty not inaccordance with sec. 24, Fed-eral reserve act, as amended
For debts pre-viously con-tracted (sec.
5137U. S. K. S.)
Farmlands
60,895100,784127,339120,122123,332116,887
Otherreal
estate
45,69580,35167,94274,53581, 87492,605
All other realestate loans
Farmlands
5,8996,522
10, 3939,031
10,33411, 555
Otherreal
estate
U50,5953160,633»107,361•99,486s 91,667»93,927
14,68214,80423,10126,54329,79743, 371
Accept-ances ofotherbanksdis-
counted
24, 50078,610
145,182150,849146, 83894,47075,90660,87491, 026
107,76778,329
Accept-ances
report-ing
bankpur-
chasedor dis-count-
ed
31,92949,23956,74722, 26016,42931,91111, 39233,99843,766
Cus-tomers'liabilityon ac-count
ofdraftspaid
underletters
ofcredit
7,3473,1232,5061,3673,105
Total
6,430,0696, 659, 9717, 679.1678,957, 678
10,135,84211,010,20613,611,41612,004, 51511,248.21411,817,67111,978,72812, 674, 06713, 417,674
1 Includes loans secured by other personal securities.! Includes $1,336,693. On time, single-name paper without other security.3 Includes all loans secured by mortgages or other real estate security.
* Includes all real estate loans under sec. 24, Federal reserve act.«Includes all real estate loans not under sec. 24, Federal reserve act.
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Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
1926
TABLE NO. 60.—Classification of loans, investments, and deposits of national banks in June of each year from 1914 1° 1SZ6—Continued
Tear
Investments
Numberbanks
UnitedStates
Govern-ment
securities
State,county,
and othermunicipal
bonds
Railroadbonds
Otherpublic-service
corporationbonds
All otherbonds
Claims,warrants;
judgments,etc.
Foreigngovern-mentbonds
Otherforeignbonds,
securities
Total in-vestments
3June 30,1914June 23,1915June 30,1916June 20,1917June 29,1918June 30,1919June 30,1920June 30,1921June 30,1922.June 30,1923June 30,1924June 30,1925June 30,1926.
7,5257,6057,5797,6047,7057,7858,0308,1548,2498,2418,0858,0727,978
799,316783,454731,205
1,076,2562,116,7853,171,9122,269,5752,019,4972,285,4592,693,8462,481,7782,536,7672,469,268
176,017244,473278,180315, 511320,384322,984338, 357393,682414,414401,816505,528594,700647,801
341,691379,191467,629467,291406,135412,371416,430404,936486,453503,348573,571673,950631,387
218,215220,304274,928295,835267,337275,849283,118277,205318,456337,293397,560495,239545,036
328,095340,418301,503361,954271,998306, 775309,755352,405423,040521,200575,743698,235772,789
35,92653,341
141,444143,612290,822309,428328,305373,617385,554367,241343,623368,628403,553
10,01933,787
116,768284,123227,578193,890179,971140,226162,054153,723179,470240,762225,871
5,60913,40240,30368,48656,23364,31260,95463,51387,89591,23685,055
122,163146,548
1,914,8882,068,3702,351,9603,013,0683,957,2725,047,5214,186,4654,025,0814,563,3255,069, 7035,142,3285,730,4445,842,253
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Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
1926
TABLE N O . 60,—Classification of loans, investments, and deposits of national banks in June of each year from 1914 to 1926—Continued
Teat Numberbanks
Deposits
Individual deposits (including postal savings)
Individualdeposits
subject tocheck
Demandcertificatesand otherdepositsdue in
less than30 days
State,county,or other
municipaland allother
demanddeposits
anddividends
unpaid
Timecertificatesof deposit
due onand after30 days
State,county,or other
municipaland all
other timedeposits
Postalsavingsdeposits
Total .individualdeposits
(includingpostal
savings)
All other deposits
UnitedStates
deposits
Due tobanks
includingcertified
checks andcashiers'checks
Totaldeposits
June 30,1914.June 23,1915.June 30,1916.June 20,1917.June 29,1918.June 30,1919.June 30,1920.June 30,1921.June 30,1922.June 30,1923.June 30,1924.June 30,1925.June 30,1926.
7,5257,6057,5797,6047,7057,7858,0308,1548,2498,2418,0858,0727,978
5,077,6264,517, 6975,577, 6296,560,2687,161, 2688,479,7479,577,7218,036,5618,504,1048,385, 3468, 636,5959,433, 6759,754,457
503,897519,513460,312480,027381,444451,050445,196343,160319,800302,501268,536259,934236,386
18,66064,08383,008103,357143,127175, 395196,907330,104328,511600,451688,119736,645787, 760
519, 220512,827690,438824, 898838, 051898,170
1, 052, 892980,918
1,080, 8281,135,1741,161,7041, 277, 6991,271,807
772,600979,249
1,265, 7211,405,1781, 792, 6822, 349, 3662,678,5042,998,1803,575,3364,033,1654, 579,3114, 971, 908
23,84141,42259,97989,142100,36094,08883,24336,38432,94344,65265,06467,64870,094
6,143,2446,428,1427,850,6159,323, 41310,029,42811,891,13213, 705, 32512,405, 63113,264,36614,043,46014,853,18316, 354,91217,092,412
66,65448,96439,457132,965
1,037, 787566, 793175, 788249, 039103, 374192,135123, 318108,101144, 504
2, 353,8512,344,1362,987,0153,315,4552,954, 3943,466,9403, 274, 3082, 487, 6612,952,8242,662, 3853,371, 3363,446,6563,405, 248
8,563,7498,821,24210,877,08712,771,83314,021,60915,924,86517,155,42115,142, 33116,320, 56416,897,98018,347,83719,909, 66920,642,164
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
1926
TABLE NO. 57.—Classification of loaris, investments, and deposits of national banks in June of each year from 1914 to 1927
[In thousands of dollars]
Year
June 30,1914.June 23,1915.June 30,1916.June 20,1917.June 29,1918June 30,1919.June30,1920.June 30,1921.June 30,1922.June 30,1923.June 30,1924.June 30,1925.June 30,1926.June 30,1927.
Num-ber
banks
7,5257,6057,5797,6047,7057,7858,0308,1548,2498,2418,0858,0727,9787,796
Loans
On demand
Paperwith oneor moreindivid-ual orfirm
names(not se-curedby col-lateral)
616,911611,698660,213700,198620,765597,560707,229679, 704657,298733,536737,559726,100775,107821, 795
Securedby stocks
andbonds
U,036,977883,812
1,159,0071,261, 6311,150,0731, 307, 7871, 261, 9841,151,1141,408, 3691,463, 2031, 545,6251, 843,1672,053,8712, 223,557
Securedby otherpersonalsecuri-ties, in-cluding
mer-chan-dise,ware-house
receipts,etc.
184,822223, 639300,879300,212317,286392,277342, 394270,583276,090263, 618300, 561324,405342,914
On time
Paperwith oneor more
individualor firm
names (notsecuredby col-lateral)
2 3,403,3533,264,3473, 760,2254,561, 7905,297,2565,251, 3247,604, 9716, 564,4445,818,2076,176, 7436,123, 6046,132, 3186,344,1356,125,942
Securedby stocks
andbonds
31,372,828866,767
1,029,6121,064,2541,428,0942,130, 5981,855, 9061,548,0531,499,0923,519,3171, 559, 6981,817, 7301, 982, 7542,215,105
Securedby otherpersonal
securities,includingmerchan-
dise, ware-house
receipts,etc.
697,930661,338772,963959, 904
1,014,0731,390,1221,320,3231,112, 4341, 111, 2731,087,0961,062, 7551,133,6211,045,178
Secured by im-proved real estateunder authorityof sec. 24, Federal
reserve act, asamended
On farmland
93,042101,795108,892116,009122,214123,641165,903
On otherreal
estate
* 78,063* 85,6314 92,315
U35,90260,02487,035
125,070188,897269,247337,393571,468
Secured by real estate mortgagesor other liens on realty not inaccordance with sec. 24, Federalreserve act, as amended
For debts pre-viously con-tracted (sec.
5137 U. S. R. S.)
Farmlands
60,895100,784127,339120,122123, 332116,887118,032
Otherreal
estate
45,69560,35167,94274,53581,87492,605
105,524
All other realestate loans
Farmlands
5,8996,522
10,3939,031
10,33411,55521,274
Otherreal
estate
3150,5953160,633s107,361«99,4866 91,6675 93,927
14,68214,80423,10126, 54329, 79743,37180,324
Accept-ances ofotherbanks
dis-counted
24, 50078,610
145,182150,849146,83894,47075,90660,87491,026
107, 76778,32993,638
Accept-ances
report-ing
bankpur-
chasedor dis-count-
ed
31,92949,23956,74722,26016,42931,91111,39233,99843, 766
25,042
Cus-tomers'liabilityon ac-count
ofdraftspaid
underletters
ofcredit
7,3473,1232,5061,3673,105
Total
6,430,0696,659,9717,679,1678,957,678
10,135,84211,010,20613,611,41612,004,51511,248,21411,817,67111, 978, 72812,674,06713,417,67413,955,696
1 Includes loans secured by other peronal securities.2 Includes $1,336,693. On time, single-name paper without other security.3 Includes all loans secured by mortgages or other real estate security.
* Includes all real estate loans under sec. 24, Federal reserve act.»Includes all real estate loans not under sec. 24, Federal reserve act.
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Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
1927
Year
Investments
Numberbanks
UnitedStates
Govern-ment
securities
State,county,
and othermunicipal
bonds
Railroadbonds
Other jpublic-service
corporationbonds
All otherbonds
Claims,warrants,
judgments,tc.
Foreigngovern-mentbonds
Otherforeignbonds,
securities
Total in-vestments
3
3O
IO
June 30,1914June 23,1915. _JuneSO, 1916June 20,1917 _ _.June 29,1918._ _.JuneSO, 1919._June 30,1920June30,1921.._ . _June 30,1922 _.June 30,1923 .June 30,1924JuneSO, 1925June 30,1926JuneSO, 1927
7,5257,6057,5797,6047,7057, 7858,0308,1548S2498,2418,0858,0727,9787,796
799,316783, 454731, 205
1,076, 2562,116,7853,171,9122, 269, 5752,019,4972, 285,4592, 693,8462,481, 7782,536,7672,469, 2682, 596,178
176,017244,473278,180315, 511320,384322,984338,357393,682414,414401,816505, 528594, 700647, 801743, 539
341,691379,191467,629467, 291406,135412,37 i416,430404,936486,453503,348573, 571673,950631,387656,690
218, 215220,304274,928295,835267, 337275. 849283,118277, 205318,456337, 293397,560495,239545, 036648, 767
328,095340,418301, 503361,954271,998306, 775309,755352,405423,040521,200575, 743698,235772,789910, 694
35,92653,341141,444143, 612290,822309,423328,305373,617385, 554367,241343, 623368,628403, 553410, 569
10,01933, 787116, 768284,123227, 578193, 890179,971140,226162, 054153, 723179,470240, 762225,871237, 854
5,60913,40240,303
56,23354,31260,95463,51387,89591,23685,055122,163146,548188,927
1,914,8882,068," 3702,351,9603,013,0683,957, 2725,047,5214,186,4654,025,0814, 563,3255,069,7035,142,3285,730,4445,842, 2536,393,218
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Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
1927
TABLE NO. 57.—Classification of loans, investments, and deposits of national banks in June of each year from 1914 to 1927—Continued1
00
Year Numberbanks
Deposits
Individual deposits (including postal savings)
Individualdeposits
subject tocheck
Demandcertificatesand otherdepositsdue in
less than30 days
State,county,or other
municipaland allother
demanddeposits
anddividends
unpaid
Timecertificatesof deposit
due onand after30 days
State,county,or other
municipaland all
other time
Postalsavingsdeposits
Totalindividual
deposits(including
postalsavings)
All other deposits
UnitedStates
deposits
Due tobanks
includingcertified
checks andcashiers'checks
Totaldeposits
June 30,1914.June 23,1915.June 30,1916.June 20,1917.June 29,1918.June 30,1919.June 30, 1920.June 30, 1921.June 30, 1922June 30, 1923June 30,1924June 30,1925June 30,1926.June 30,1927.
7,5257,6057,5797,6047,7057,7858,0308,1548,24985 2418,0858,0727,9787,796
5,077, 6264, 517, 6975, 577, 6296, 560,2687,161,2688,479,7479, 577, 7218, 036, 5618, 504,1048, 385,3468, 636, 5959, 433, 6759, 754,4579, 787, 513
503,897519, 513460,312480,027381,444451,050445,196343,160319, 800302, 501268, 536259,934236,386216, 780
18,66064, 08383,008103,357143,127175,395196,907330,104328, 511600,451688,119736,645787,760919,436
519,220512, 827690,438824,898838,051898,170
1,052, 892980,918
1,080,8281,135,1741,161, 7041, 277, 6991, 271, 807
6 5,875,670
772, 600979, 249
1, 265,7211,405,1781, 792,6822,349,3662,678, 5042,998,1803, 575,3364,033,1654,579,3114, 971,9081,362,840
23,84141,42259, 97989,142100,36094,08883, 24336,38432,94344, 65265,06467, 64870,09477,114
6,143, 2446,428,1427,850, 6159, 323, 41310, 029, 42811,891,13213, 705,32512,405,63113, 264,36614, 043, 46014, 853,18316, 354, 91217,092,41218, 239,353
66, 65448,96439,457132, 965
1, 037, 787566, 793175, 788249,039103,374192.135123,318108,101144, 504139,843
2,353,8512,344,1362,987, 0153,315,4552,954,3943,466,9403, 274,3082,487,6612,952,8242, 662,3853,371,3363,446, 6563, 405, 2483,395,927
8, 563, 7498, 821, 24210,877, 08712, 771,83314, 021, 60915,924, 86517,155,42115,142,33116,320, 56416,897,98018,347,83719, 909,66920, 642,16421, 775,123
6 Total of time certificates and other savings deposits.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
1927
TABLE NO. 58.—Classification of loans, investments, and deposits of national banks in June of each year from 1914 to 1928
[In thousands of dollars]
Year
June 30,1914June 23,1915.June 30,1916..June 20,1917.June 29,1918.June 30, 1919 .June 30,1920..June 30,1921..June 30,1922..June 30,1923..June 30,1924_.June 30,1925..June 30,1926..June 30,1927..June 30,1928..
Num-ber
banks
7,5257,6057,5797,6047,7057, 7858, 0308,1548,2498,2418,0858,0727,9787,7967,691
Loans *
On demand
Paperwith oneor moreindivid-ual orfirm
names(not se-cured
by col-lateral)
616,911611, 698660, 213700,198620, 765597, 560707, 229679, 704657, 298733, 536737, 559726,100775,107821, 795872, 744
Securedby stocks
andbonds
i 1,036,977883, 812
1,159, 0071, 261, 6311,150, 0731, 307, 7871, 261, 9841,151,1141,408, 3691, 463, 2031, 545, 6251, 843,1672,053, 8712, 223, 5572, 616, 579
Securedby otherpersonalsecuri-ties, in-cluding
mer-chan-dise-ware-house
receipts,etc.
184, 822223, 639300,879300, 212317, 286392, 277342, 394270, 583276, 090263, 618300, 561324, 405342,914384, 345
On time
Paperwith oneor more
individualor firm
names (notsecuredby col-lateral)
2 3,403,3533, 264, 3473, 760, 2254, 561, 7905, 297, 2565, 251, 3247, 604,9716, 564,4445,818, 2076,176, 7436,123, 6046,132, 3186, 344,1356,125,9426, 225, 711
Securedby stocks
andbonds
31,372,828866, 767
1,029, 6121, 064, 2541,428,0942,130, 5981,855,9061, 548, 0531,499,0921, 519, 3171, 559, 6981,817, 7301,982, 7542, 215,1052,497,128
Securedby otherpersonal
securities,includingmerchan-dise, ware-
housereceipts,
etc.
697,930661,338772,963959,904
1,014,0731, 390,1221, 320,3231,112,4341, 111, 2731, 087,0961, 062, 7551,133, 6211, 045,1781,092,097
Secured by im-proved real estateunder authorityof sec. 24, Federal
reserve act, asamended
On farmland
93,042101, 795108,892116,009122, 214123, 641165,903187, 508
On otherreal
estate
* 78,063* 85, 631* 92, 315
4135,90260, 02487, 035
125, 070188, 897269, 247337, 393571, 468755,136
Secured by real-estate mortgagesor other liens on realty not inaccordance with sec. 24, Federalreserve act, as amended
For debts pre-viously con-tracted (sec.
5137 U. S. R. S.)
Farmlands
60,895100, 784127, 339120,122123, 332116,887118,032114,727
Otherreal
estate
45, 69560, 35167,94274, 53581, 87492, 605
105, 524113,863
All other realestate loans
Farmlands
5,8996,522
10, 3939,031
10, 33411, 55521, 27422, 890
Otherreal
estate
3 150,5953 160,6335 107,361s 99, 4865 91, 667s 93, 927
14, 68214, 80423,10126, 54329,79743, 37180, 324
9,791
Accept-ances ofotherbanksdis-
counted
24, 50078, 610
145,182150,849146,83894,47075,90660,87491, 026
107, 76778, 32993, 638
155, 603
Accept-ances
report-ing
bankpur-
chasedor dis-count-
ed
31, 92949, 23956, 74722, 26016,42931,91111, 39233, 99843, 766
25, 04214, 873
Cus-tomers'liabilityon ac-count
ofdraftspaid
underletters
ofcredit
7,3473,1232, 5061,3673,105
Total
6, 430, 0696, 659, 9717, 679, 1678,957, 678
10,135,84211,010,20613,611,41612, 004, 51511, 248, 21411, 817, 67111,978, 72812, 674,06713, 417, 67413,955, 696
315,144,995
o
1o
oos
I3
3o4
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
1928
June 30,June 23,June 30,June 20,June 29,June 30,June 30,June 30,June 30,June 30,June 30,June 30,June 30,Tune 30,June 30,
1914.1915..1916..1917..1918..1919..1920..1921..1922..1923..1924..1925..1926._1927..1928_.
Year
Investments
Numberbanks
7, 525', 605579,604,705', 7858,0308.1548,2498,2418,0858,0727,9787,7967,691
UnitedStates
Govern-ment
securities
799, 316783,454731, 205
1,076, 2562,116, 7853,171, 9122, 269, 5752,019. 4972,285| 4592,693, 8462,481, 7782,536, 7672,469, 2682,596,1782,891,167
State,county,
and othermunicipal
bonds
176, 017244, 473278,180315,511320, 384322, 984338, 357393, 682414, 414401, 816505, 528594, 700647,801743, 539840, 461
Railroadbonds
341, 691379,191467, 629467, 291406,135412, 371416,430404,936486, 453503, 348573, 571673, 950631, 387656, 690681,007
Otherpublic-service
corporationbonds
218, 215220,304274, 928295,835267, 337275,849283,118277, 205318, 456337, 293397, 560495, 239545, 036648, 767742, 784
All otherbonds
328,095340, 418301, 503361, 954271, 998306,775309, 755352, 405423, 040521, 200575, 743698, 235772, 789910, 694
1, 028, 203
Claims,warrants,
judgments,etc.
35, 92653, 341141, 444143, 612290,822309,428328, 305373, 617385, 554367, 241343, 623
403, 553410, 569414, 617
Foreigngovern-
mentbonds
10,01933, 787116,768284,123227, 578193,890179,971140, 226162, 054153, 723179, 470240, 762225,871237,854296, 490
Otherforeignbonds,
securities
5, 60913, 40240, 30368, 48656,23354, 31260,95463, 51387, 89591, 23685, 055122,163146, 548188, 927252, 719
Total in-vestments
1,914,8882.068, 3702, 351, 9603. 013, 0683, 957, 2725,047, 5214,186,4654, 025, 0814, 563, 3255.069, 7035,142, 3285, 730, 4445,842, 2536, 393, 2187,147, 448
o
1 Includes loans secured by other personal securities.? Includes $1,336,693. On time, single-name paper without other security.? Includes all loans secured by mortgages or other real-estate security.
* Includes all real-estate loans under sec. 24, Federal reserve act.* Includes all real-estate loans not under sec. 24, Federal reserve act.
d
2a1
O
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
1928
TABLE No. 58.—Classification of loans, investments, and deposits of national banks in June of each year from 1914 to 1928—Continued
[In thousands of dollars]
Year
June 30,1914.June 23,1915.June 30,1916.June 20,1917.June 29, 1918.June 30, 1919.June 30, 1920.June 30, 1921.June 30, 1922.June 30, 1923.June 30,1924.June 30,1925.June 30,1926.June 30,1927.June 30,1928..
Numberbanks
7,5257,6057,5797,6047,7057,7858,0308,1548,2498,2418,0858,0727,9787,7967,691
Deposits
Individual deposits (including postal savings)
Individualdeposits
subject tocheck
V'
5, 077, 6264, 517, 6975, 577, 6296, 560, 2687,161, 2688, 479, 7479, 577, 7218, 036, 5618, 504,1048, 385,3468, 636, 5959,433, 6759, 754,4579, 787, 513
Demandcertificatesand otherdepositsdue in
less than30 days
503,897519, 513460,312480, 027381,444451, 050445,196343,160319, 800302, 501268,536259, 934236,386216, 780181,166
State,county,or other
municipaland allother
demanddeposits
V
e 18, 6606 64, 0836 83, 008
6 103, 357e 143,1276 175, 395« 196, 9076 330,1046 328, 5116 600, 4516 688,1196 736, 6456 787, 7606 919, 436
895, 937
Timecertificatesof deposit
due onand after30 days
519, 220512, 827690, 438824, 898838,051898,170
1,052, 892980, 918
1,080, 8281,135,1741,161, 7041, 277, 6991, 271, 807
7 5,875, 6707 7, 969,152
State,county,or other
municipaland all
other timedeposits
772, 600979, 249
1, 265, 7211,405,1781, 792, 6822, 349, 3662, 678, 5042,998,1803, 575, 3364,033,1654, 579, 3114,971, 9081, 362, 840244, 475
Postalsavingsdeposits
23,84141, 42259, 97989,142100, 36094, 08883,24336, 38432, 94344, 65265, 06467, 64870, 09477,11483, 011
Totalindividualdeposits
(includingpostal
savings)
6,143, 2446, 428,1427, 850, 6159, 323, 41310, 029,42811, 891,13213, 705, 32512, 405, 63113, 264, 36614, 043,46014, 853,18316, 354, 91217, 092, 41218, 239, 35319, 300, 433
All other deposits
UnitedStates
deposits
66,65448, 96439, 457132, 965
1,037, 787566,793175, 788249, 039103, 374192,135123, 318108,101144, 504139, 843185, 916
Due tobanks
includingcertified
checks andcashiers'checks
2,353,8512, 344,1362, 987, 0153, 315, 4562, 954, 3943,466, 9403, 274, 3082,487, 6612, 952, 8242, 662, 3853,371, 3363,446, 6563,405, 2483, 395, 927
1 3,152, 988
Totaldeposits
8, 563, 7498, 821, 242
10,877,08712, 771,83314, 021, 60915, 924, 86517,155,42115,142, 33116, 320, 56416, 897,98018, 347, 83719, 909, 66920, 642,16421, 775,12322, 639, 337
o
o
HOO
6 Includes also dividends unpaid. 7 Total of time certificates and other savings deposits. 8 Includes also dividend checks outstanding.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
1928