h6_19710427.pdf

69
April 27, 1971 MONEY STOCK MEASURES The attached tables show measures of the daily average money stock and supporting deposit detail. Three money stock measures are shown: M^ is the previously published money stock as narrowly defined to include currency in circulation outside ,banks plus demand deposits other than U.S. Government and interbank;—' the M 2 measure is broader and includes M^ plus commercial banks 1 savings deposits, time deposits open account, and time certificates of deposit other than negotiable CD f s issued in denominations of $100,000 or more by large weekly reporting commercial banks; M^ is defined as M 2 plus deposits at mutual savings banks and sav- ings and loan shares. All of the series are shown on both a seasonally adjusted and not seasonally adjusted basis. Since only end-of-month data are available for deposits at mutual savings banks and savings and loan associations, an estimate of M« is provided only monthly, whereas the other measures are provided weekly. Measures of M and M„ are monthly averages of daily data for member banks. Estimates of nonmember banks deposits are based on June and December call report data and the relationship of nonmember and country bank deposits on those dates. Data for nonbank thrift institutions are only available at the end of each month. In order to more nearly approach a monthly average concept comparable to the M-^-M^ measures, these end-of-month data have been averaged to derived a monthly figure. Thus, the figure shown for nonbank thrift institutions for the month of January is the average of the end-of December and the end-of-January levels. February is the average of end- of- January and end-of-February levels, and so on. The tables are organized to show the monthly data for M 1 , M~ and M«, seasonally adjusted and not seasonally adjusted, first. The monthly tables are followed by weekly data for M and M 9 seasonally adjust- ed and not seasonally adjusted. Seasonally adjusted monthly data for components of the money supply are then shown followed by weekly seasonally adjusted data for the same items. Monthly and weekly not seasonally adjusted data are shown last. 1/ For a detailed description of the M- measure of the money supply, see M A New Measure of the Money Supply,' 1 Federal Reserve Bulletin, October 1960 and "Revision of the Money Supply Series, 11 Federal Reserve Bulletin, August 1962. For an explanation of the latest benchmark and seasonal adjustment changes as well as new data included in the series see "Revision of the Money Stock," Federal Reserve Bulletin, December 1970. Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

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Page 1: h6_19710427.pdf

April 27, 1971

MONEY STOCK MEASURES

The attached tables show measures of the daily average money stock and supporting deposit detail. Three money stock measures are shown: M^ is the previously published money stock as narrowly defined to include currency in circulation outside ,banks plus demand deposits other than U.S. Government and interbank;—' the M2 measure is broader and includes M^ plus commercial banks1 savings deposits, time deposits open account, and time certificates of deposit other than negotiable CDfs issued in denominations of $100,000 or more by large weekly reporting commercial banks; M^ is defined as M2 plus deposits at mutual savings banks and savings and loan shares. All of the series are shown on both a seasonally adjusted and not seasonally adjusted basis. Since only end-of-month data are available for deposits at mutual savings banks and savings and loan associations, an estimate of M« is provided only monthly, whereas the other measures are provided weekly.

Measures of M and M„ are monthly averages of daily data for member banks. Estimates of nonmember banks deposits are based on June and December call report data and the relationship of nonmember and country bank deposits on those dates.

Data for nonbank thrift institutions are only available at the end of each month. In order to more nearly approach a monthly average concept comparable to the M- -M measures, these end-of-month data have been averaged to derived a monthly figure. Thus, the figure shown for nonbank thrift institutions for the month of January is the average of the end-of December and the end-of-January levels. February is the average of end-of- January and end-of-February levels, and so on.

The tables are organized to show the monthly data for M1 , M~ and M«, seasonally adjusted and not seasonally adjusted, first. The monthly tables are followed by weekly data for M and M9 seasonally adjusted and not seasonally adjusted. Seasonally adjusted monthly data for components of the money supply are then shown followed by weekly seasonally adjusted data for the same items. Monthly and weekly not seasonally adjusted data are shown last.

1/ For a detailed description of the M- measure of the money supply, see MA New Measure of the Money Supply,'1 Federal Reserve Bulletin, October 1960 and "Revision of the Money Supply Series,11 Federal Reserve Bulletin, August 1962. For an explanation of the latest benchmark and seasonal adjustment changes as well as new data included in the series see "Revision of the Money Stock," Federal Reserve Bulletin, December 1970.

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

Page 2: h6_19710427.pdf

MONEY STOCK MEASURES ( in b i l l i o n s of d o l l a r s ) 2

Ml M2 M3 Mi M2 M3

1 IM^/plus time M-y plus time d e p o s i t s at M2 plus- non-j depos i t s at M2 p lus non-

bank t h r i f t I Currency commerc i a l banks bank t h r i f t Currency commercial banks M2 p lus non-bank t h r i f t

p l u s demand o t h e r than l a rge i n s t i t u - plus demand o ther than large i n s t i t u t i o n s ! ' Date deposi ts— 1

t i C D ' s ^ j t ions i / deposits— CD's^ '

x

i n s t i t u t i o n s ! '

(Si *asonal ly adjustec 1) (not i seasonally ad jus ted)

1964--January 154.1 257.0 392.5 158.4 261.1 397.2 February 154.5 258.3 1 395.0 154.3 258.1 395.0 March 155.0 259.3 397.2 153.6 258.4 396.6 Apr i l 155.2 260.2 399.2 155.7 261.0 400.3 May 1 155.9 261.8 402.1 153.0 1 259.1 399.2 June 156 .4 263.3 ! 404.9 154.2 261.3 1 403.1 J u l y 157.5 265.2 408 .1 156.0 263.7 406.8 August 158.4 266.9 411.2 156.0 264.6 408.4 September 159.1 268.8 414.4 158.1 267.9 413.0 October 159.7 270.3 417.1 160.1 270.9 417.3 November 160.3 272.2 420.2 161.8 273.0 420.5 December 160.5 273.8 422.9 165.3 277.6 426.9

1965--January 160.8 275.6 425.8 165.7 280.3 '431.1 February 161.3 278.0 429.2 160.8 277.5 •428.9 March 161.7 279.6 431.7 160.3 278.6 431.2-Apr i l 162.0 280.8 433.9 162.9 282.0 435.4 May 162.3 282.1 436.1 158.9 278.9 432.7-June 163.1 284.0 439.0 160.8 281.8 437.2 Ju ly 163.7 285.9 442.0 162.1 284.4 ! 440.7 August 164.3 288.0 J 445.0 161.5 285.3 j 441.9 September 165.2 290.2 448.3 164.3 289.5 447.1 October 166.4 293.3 452.4 166.8 293.9 452.7 November 166.9 295.5 1 455.8 168.5 296.2 455.9 December 1 168.0 298.1 , _ ^ 1 . . 459.3 1 1 173.1 i 302.1 j 463.5

1/ Includes (1) demand deposits at all commercial banks other than those due to domestic commercial banks and the U.S. Government, less cash items in the process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vault* of all commercial banks*

-Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting commercial banks•

3/ — Includes Mo, plus the average of the beginning and end of month deposits of mutual savings banks and savings and loan snares.

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

Page 3: h6_19710427.pdf

MONEY STOOL MEASURES (in billions of dollars)

M, M„ M, M„

- 3 -

M-

JM^yplus time I/ M,i*plus time [deposits at I deposits at 1 M^plus-non«j M,i*plus time [deposits at M2 plus non-

bank thrift [ Currency Icommerc ial banks bank thrift 1 Currency commercial banks M2 plus non-bank thrift

plus demand other than large institu- {plus demand other than large! institu-

Date * 1/ \ deposits— \ \^rL __ I tionsl/ | deposits— CD's^7 tionsl'

(seasonally adjusted) (not i seasonally adjusted)

1966--January 168.9 300.1 462.2 174.2 305.2 467.8 February 169.7 301.8 464.7 168.8 300.9 463.9 March 170.5 303.4 466.9 168.9 302.3 466.3 April 171.7 306.0 469.7 172.6 307.5 471.5 May 171.6 307.5 471.5 168.0 304.3 468.0 June 171.7 . 308.2 472.5 170.0 306.6 471.3 July 171.0 308.8 473.3 169.3 307.3 472.0 August 171.2 310.1 474.8 168.4 1 307.4 471.6 September 171.9 311.7 477.0 170.9 310.9 475.8 October 171.4 312.1 477.8 171.7 312.6 478.0 November 171.2 312.5 478.8 172.7 313.2 479.1 December 171.7 314.0 481.3 176.9 318.2 485.7

1967--January 171.. 1 315.0 483.6 176.4 J 320.0 489.0 February 173.1 318.9 4«8.7 171.8 317.3 487.1 March ;' W4.6 322.0 L^3-0 173.1 320.9 492.3 April 174.1 323.6 4%.2 174.9 325.0 497.8 May 175.9 327.6 501.8 172.4 324.5 498.5 June 177.5 331.2 506.9 175.7 329.6 505.7 July 178.9 334.4 511.7 177.2 332.9 510.4 August 180.0 337.2 515.9 177.2 334.7 512.9 September 180.9 339.8 519.8 179.8 338.7 518.3 October 181.7 341.8 522.9 182.0 342.5 523.3 November 182.4 343.8 525.8 183.9 344.5 526.1 December 1 183.1 345 .6

• , • • • • , * l

528.5 J 188.6 [ 350.1 [ 533.3 " • • i • i ii i *

1/ Includes (1) demand deposits at all commercial banks other than those due to domestic commercial banks and the U.S. Government, less cash items in the process of- collection and .Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of all commercial banks.

2/ — Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and

time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting commercial banks*

3/ — Includes M?, plus the average of the beginning and end of month deposits of mutual savings banks and savings and loan shares.,.

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

Page 4: h6_19710427.pdf

M,

MONEY STOCK MAStJRES ( in b i l l i o n s of d o l l a r s )

H« H*

- 4 -

ft*

jM^yplus time M x t plus time

deposits at M7- plus. nonH bank thrift

deposits at M 2 plus i bank thr

non-

i Currency commercial banks M7- plus. nonH bank thrift 1 Currency [commercial banks

M 2 plus i bank thr ift

.plus demand other than large institu-. _ J J plus demand J other than largej instittj-

Date deposits— CD's-tionsl/ J deposits— CD's^' tions^7

• (seasonally adjusted; (not seasonally adjusted)

1968--January 183.6 347.1 531.0 189.3 352.5 536.7 February 184.7 350.1 534,9 183.3 348.3 533.0 March 185.8 352.5 538.2 184.1 351.3 537.4 April 186.6 354.3 540.9 187.6 1 355.9 542.9 May 188.7 357.2 . 544.7 185.0 354.2 541.5 June 190.2 1 359.6 548.2 188.5 ! 358.1 547.0 July 191.6 361.8 1 551.2 190.1 360./ 550.3 August 192.7 365.0 555.2 189.8 362.5 552.2 September 193.6 1 368.0 559.1 192.2 366.8 557.6 October 194.3 370.8 563.1 194.3 371.0 563.0 November 196.0 374.6 567.9 197.7 375.3 568.2 December 197.4 378.2 572.6 203.4 383.0 577.5

1969--January 198.1 380.0 575.4 204.2 385.5 581.4 February 199.3 382.3 578.8 197.8 380.2 576.6 March 200.1 383.7 | 581.2 198.3 j 382 .5 580.3 April 201.0 384.9 | 583.2 202.0 386.9 585.4 May 201.6 385.9 584.8 197.7 382.9 581.6 June 202.4 387.8 587.3 200.5 386.2 586.0 July 203.1 ] 387.1 586.9 1 201.5 385.7 585.8 August 202.6 1 385.6 585.5 i 199.6 382.7 582.2 September 202.8 ! 385.6 586.1 201.4 384.4 584.5 October 203.2 385.9 586.5 203.2 386.1 586.5 November 203.5 386.5 587.4 205.3 387.3 587.7. December 203.6 387.1 588.4 209.8 392.0 593.5

1/ Includes (1) demand deposits at all commercial banks other than thos e due to domestic commercial banks and the U.S. Government, less cash items in the process o f collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; (3) currenc y outside Treasury, Federal Reserve Banks and vaults of all commercial banks.

2/ —Includes, in addition to currency and demand deposits

, savings deposits, time deposits open account, and time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting commercial banks.

3/ — Includes ^^ plus the auerage of the beginning and end of month deposits of mutual savings banks and savings and loan shares.

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

Page 5: h6_19710427.pdf

MONEY STOCK MEASURES (in billions of dollars)

5

M, M* M„ M, M„ M„

Mwplus time M-y plus time deposi ts at M? -plus. nonH deposits at M~ plus non-

bank t h r i f t Currency commercial banks bank t h r i f t Currency commercial banks M~ plus non-bank t h r i f t

plus demand other than large i n s t i t u - . 1 plus demand other than large i n s t i t u t i o n s ! ' Date deposits— CD's^ t i o n s l / 1 deposits— jCD's^7 i n s t i t u t i o n s ! '

( seasonal ly adjuster i ) (not seasonally adjusted)

1970--January 205.2 387.8 589.0 211.4 393.6 595.2 February 204.5 387.3 588.6 202.8 385.1 586.1 March 206.6 ! . 390.4 592.4 204.7 389.1 591.4 April 208.3 i 393.9 597.2 209.3 395.8 599.3 May 209.2 396.4 ! 600.8 205.3 393.4 597.6 June 209.6 398.6 "604.1 207.8 396.9 602.8 July 210.6 401.9 609.1 209.0 400.5 607.9 August 211.8 406.1 614.7 208.7 ! 403.1 611.3 September 212.8 409.6 619.7 211.4 408.2 618.0 October 213.0 412.1 623.9 213.0 412.3 624.0 November 213.5 414.5 628.2 215.3 415.4 628.6 December 214.6 419.0 634.6 221.1 424.1 639.9

1971--January 214.8 423.0 642.1 221.3 428.9 648.4 February 217.3 430.8 653.9 215.5 428.4 651.2 March 219.2 437.5 664.5 217.2 436.1 663.5 April

r ' - • i • - • f - • • • • • 1 • • • 1 II ! • • »

the U.S. Government, less cash items in the process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of all commercial banks.

2/ — Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and

time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting commercial banks.

3 / — Includes M£, plus the average of the beginning and end of month depos i ts of mutual savings banks and savings

and loan shares.

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

Page 6: h6_19710427.pdf

MONEY STOCK MSASURES ( i n b i l l i o n s of d o l l a r s )

- 6 -

M, M„ M„ M, M« M*

|Mj/plus time Mi/ plus time depos i t s a t ! J d e p o s i t s a t J M£ p lus . nonH Mi/ plus time depos i t s a t M2 p lus non-

1 Currency J commercial banks 1 bank t h r i f t J Currency commercial banks bank t h r i f t p lus demand ( o t h e r than l a rge J ins t i tur . . . . . . [p lus demand o ther than la ree i n s t i t u

t i o n s ! ' i>ace --1964 deposits— jCD's^ J tionsl/ d e p o s i t s - ' C D ' s ^ 1 'ii . „

i n s t i t u t i o n s ! '

( s e a s o n a l l y ad jus te >d> J (not seasona l ly a d j u s t e d )

J a n . 1 153.8 256.2 159.5 261.3 8 154.0 256.5 159.3 j 261.6

15 154.1 256.8 159.0 | 261.8 22 154.1 257.1 - 158.7 261.6 29 154.3 257 .4 156.7 259.8

Feb . 5 154.4 257.8 156.7 ! 259.9 12 154.4 258.1 156.0 259.6 19 154.6 258.4 153.8 257.6 26 154.6 258.6 152.1 256.1

March 4 154.7 258.9 153.0 257.3 11 154.7 258.9 153.7 258.2 18 154.9 259.2 155.0 260.0 25 155.0 259.6 * 152.5 257.4

Apr i l 1 155.1 259.9 153.1 258.4 8 155.0 259.7 1 154.3 259.5

15 155.2 260.1 1 1 156.2 261.6 22 155.3 260.3 157.3 262.5 29 155.3 260.7 i 155.4 260.9

May 6 155.7 261.1 155.1 260.7 13 | 156.0 261.6 154.1 260.0 20 1 156.1 261.9 152.1 258.1 2 7 156.1 262.2 151.2 257.5

> 1 1 . it nl » « „ . ifciiH.An » m • ii i m . m i l

1/ Includes (1) demand deposits at all commercial banks other than those due to domestic commercial "" banks and the U.S. Government, less ca'sh items in the process of collection and Federal Reserve

float; (2) foreign demand balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of all commercial banks.

2/ Includes, in addition to currency and demand deposits, savings deposits, time deposits open account,' "~ and time certificates of deposit issued in denominations of $100,000 or more by large weekly report

ing commercial banks. 3/ This series is not available on a weekly basis.

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

Page 7: h6_19710427.pdf

MONEY STOCK MEASURES (in billions of dollars) 7 -

M, M* M„ M* M„ M-,

Date --1964

June

July

Aug.

Sept,

Oct.

3 10 17 24

1 8 15 22 29

5 12 19 26

2 9 16 23 30

7 14 21 28

Currency plus demand

deposits—

Mjyplus time deposits at commercial banks other than large

CD's-7

M^-plus. non-bank thrift institu-. tionsj|/

(seasonally adjust© 'd)

156.2 262,5 156.3 262.9 156.3 263.2 156.4 263.5

156.7 | 264.0 157.0 | 264.2 157.4 264.9 157.7 265.4 157.8 265.7

158.0 266.1 158.3 266.5 158.4 266.9 158.6 * 267.4

158.7 267.7 158.7 268.1 158.9 268.6 159.1 269.0 159.5 269.4

159.5 269.8 159.6 270.1 159.7 270.5 159.9 270.9

i ;..

Currency plus demand

deposits—

153.1 153.7 155.9 154.1

153.6 155.2

( 156.3 ! 156.3 | 156.1

| 157.2 j 157.0 | 155.4 ! 154.6

; 156.2 j 157.4 : 159.8 ! 158.4 ; ^57.0 i

! o 8 . 9 ; 16O.I

,60 .3 160.5

(not

M-y plus time depos i t s a t commercial banks] o ther than large] CD's- 7

M2 plus non-bank thrift institutions^/

seasonally adjusted)

259, 260, 263, 261,

260.9 262.6 263.9 264.1 264.0

265 265 264, 263

265, 266, 269, 268, 267,

y _ _ .ilmil-i-*, iiiWW.lfi.lm "• itliniir -|fr-f " * , ' - • — L - - 1 "~ f *-• •• • - -

Includes (1) demand deposits at all coramercial banks other that. d.r>i*<

269.3 270.8 271.1 271.4

due to domestic commercial banks and the U.S. Government, less cash items in the process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; «,?) currency outside Treasury, Federal Reserve Banks and vaults of all commercial banks.

2/ Includes, in addition to currency and demand deposits, savings deposits, time deposits open account,' "~ and time certificates of deposit issued in denominations of Su»900G or more by large weekly report

ing commercial banks. 3/ This series is not available on a weekly basis.

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

Page 8: h6_19710427.pdf

MONEY STOCK MEASURES (in billions of dollars)

- 8

M. M, 2

M„ M, M„ 'h,

Date--1964

Nov.

Dec,

4 11 18 25

2 9 16 23 30

Currency plus demand

deposits—

Mwplus time deposits at commercial banks o the r than la rge

CD's- '

Mn- plus noil-bank t h r i f t i n s t i t u t ions^/

160.0 160.2 160.3 160.4

160.5 160.5 160.5 160.5 160.5

(seasonal ly ad jus t ed )

271.4 271.9 272.2 272,6

273.0 273.3 273.7 274.0 274.2

Currency • p lus demand

. 1/ deposits—

(not

M.y plus time deposits at commercial banks! other than large) CD's-7

M« plus non-bank thrift institutions^/

seasonally adjusted)

161.9 273.1 162.3 273.3 162.3 273.3 160.8 271.9

162.3 273.7 163.4 275.0 166,2 278.7 166.3 278.8 165.5 278.3

1/ Includes (1) demand deposits at all commercial banks other than those due to domestic commercial ~" banks and the U.S. Government, less cash items in the process of collection and Federal Reserve

float; (2) foreign demand balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of all commercial banks•

2/ Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting commercial banks.

2/ This series is not available on a weekly basis.

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

Page 9: h6_19710427.pdf

MONEY STOCK MEASURES (in billions of dollars)

M i M2 *3 Mi M2 Aj

jMj/plus time M-y plus time [deposits at M^- plus.nonH deposits at M^ plus non-

bank thrift Currency {commercial banks bank thrift Currency commercial banks M^ plus non-bank thrift

plus demand other than large institu-.... 1 J plus demand other than large institutions!' Date--1965 deposits— [CD's-'

t ions .3/ J deposits- CDfs^'

institutions!'

(seasonally adjustec i) (not 2 Seasonally adjusted)

Jan. 6 160.6 274.5 168.1 281.8 13 160.7 274.9 166.4 280.5 20 160.8 275.8 165.8 280.5 27 160.9 276.3 163.7 279.0

Feb. 3 161.0 276.8 163.7 279.5 10 161.2 277.6 162.6 279.0 17 161.3 278.1 160.9 277.7 24 161.4 278.5 157.9 275.0

March 3 161.6 278.8 160.3 277.7 10 161.5 279.1 160.4 278.2 17 161.7 279.5 162.2 280.7 24 161.6 279.7 159.1 277.5 31 161.8 280.7 159.1 278.0

April 7 161.9 280.4 161.4 280.4 j 14 162.2 - 280.8 163.4 282.6 21 162.2 ! 281.1 165.0 284.0 28 162.1 281.1 162.4 | 281.5

May 5 162.1 280.9 161.6 280.6 12 162.2 281.8 160.1 279.9 19 162.3 282.0 157.8 277.8 26

1 . . „ .. ^ .. ., - - f

162.4

j TT - - ^ i r -I i - - - - ' 1

282.5 156.9 277.1

1/ Includes (1) d emand deposits at all commercial > banks other than those due to domestic commercial banks and the U.S. Government, less cash items in the process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of all commercial banks. \

2/ Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting commercial banks.

3/ This series is not available on a weekly basis.

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

Page 10: h6_19710427.pdf

M,

MONEY STOCK MEASURES (in billions of dollars)

M, M„

10

w„

Date --1965

Currency !plus demand

deposits—

JMwplus time I d e p o s i t s a t J commercial banks o the r than l a rge

[CD's^

M2' p lus , non-j bank t h r i f t i n s t i t u - . . _ t ions j ! /

I Currency Jplus demand

1 deposits—

M-, plus time depos i t s a t commercial banks o ther than large CD's^ '

M2 p lus non-1 bank t h r i f t

i n s t i t u t i o n s ! '

( -

seasonal ly ad jus ted) (not seasona l ly ad jus ted)

June 2 162.7 283.0 158.8 ' 279.5 9 162.9 283.4 160.1 280.7

16 162.9 283.7 162.5 283.7 23 163.1 284.2 161.4 282.4 30 163.2 284.6 159.6 280.9

Ju ly 7 163.5 285.1 161.6 283.5 14 163.7 285.8 162.5 | 284.8 21 163.7 286.0 162.2 284.6 28 163.9 286.3 161.7 284.3

Aug. 4 164.0 287.0 163.2 286.3 11 164.2 287.5 162.5 285.9 18 164.3 288.0 161.4 285.2 25 164.4 288.4 159.9 283.9

Sep t . 1 * 164.5 288.8 1 161.5 285.9 8 164.7 289.4 162.7 287.4

15 165.0 290.0 165.3 291.0 22 165.3 290.3 165.9 I 290.8 29 165.7 291.0 j 163.4 288.8

Oct. 6 166.1 291.9 165.5 291.5 13 166.3 292.8 166.5 293.4 20 166.4 293.3 167.1 294.2

X . ~ * -

27 166.5 293.9

•• i 1 • ma m m ••<•• in i • itoiioinin* i i ^

167.1

j . • . — . • • • - , » , | I |« . J

294.6

>«* * i i il l l i «

1/ Includes (1) demand deposits at all commercial banks other than those due to domestic commercial banks and the U.S. Government, less cash items in th& process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of all commercial banks.

2/ Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting commercial banks.

2/ This series is not available on a weekly basis.

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

Page 11: h6_19710427.pdf

MONEY STOCK tffiASURES ( in b i l l i o n s of d o l l a r s )

M, M* M„

- 11 -

M„

Date --1965

Currency plus demand

deposits—

Mi/plus time deposits at commerc ial banks other than large

CD's-^

Mgr plus-non* bank thrift institu-.._._ tionsl/

Currency plus demand

deposits—

M-y plus time deposits at commercial banks] other than large) CD's^'

M 2 plus non-bank thrift institutions!'

Nov.

Dec.

3 10 12 24

1 8

15 22 29

1/

166.7 166.8 166.8 167.0

167*2 167.6 167.8 168.1 168.5

(seasonally adjusted)

294.7 295.2 295.4 295.9

296.5 297.2 297.7 298.3 298.7

(not ,seasonally adjusted)

168.8 I 296.6 168.9 296.6 168.9 296.6 167.7 295.3

-168.4 I 296.4 170.5 298.8 172.9 302.2 174.8 303.8 173.9 I 303.2

Includes (1) demand deposits at all cowerciel banks other than those due to domestic commercial banks and the U.S. Government, less c*sh Items in the process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of all commercial banks. Includes, in addition to currency and demand deposits, savings deposits, time deposits open account/ and time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting commercial banks.

J}/ This series is not available on a weekly basis.

1/

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

Page 12: h6_19710427.pdf

MONEY STOCK MEASURES (in billions of dollars)

- 12 -

M l M2 " 3 M i * 2 M3

Mwplus time M- i plus time deposits a t M2 plus-nonH deposits at M2 plus non-

bank t h r i f t Currency commercial banks bank t h r i f t Currency commercial banks M2 plus non-bank t h r i f t

plus demand other than large institu-.:_. 1 t i ons l /

plus demand ! other than large CD's^'

i n s t i t u t i o n s ! ' Date- -1966 deposits— CD's^'

institu-.:_. 1 t i ons l / deposits—

other than large CD's^'

i n s t i t u t i o n s ! '

(j seasonally adjuste d) (not seasonally adjusted)

Jan. 5 168.5 | 299.3 176.7 307.1 12 168.7 ! 299.5 175.4 306.0 19 168.9 300.1 . 174.4 305.5 26 169.1 ; 300.5 172.1 303.4

Feb. 2 169.3 301.0 172.1 303.8 9 169.6 301.4 171.2 302.8

16 169.8 301.9 169.6 301.7 23 169.9 302.2 166.0 298.3

March 2 169.9 302.2 167.5 300.0 9 170.1 302.7 168.5 301.3

16 170.3 303.1 170.5 ! 304.1 23 170.5 303.6 169.0 ! 302.5 30 170.9 303.9 167.7 1 301.4

April 6 171.1 304.7 170.0 304.3 13 171.5 305.3 172.6 307.3 20 171.7 306.0 175.0 309.7 27 172.0 306.8 172.9 308.1

May 4 172.1 307.5 171.4 307.1 11 171.9 307.4 169.9 305.9 18 171.8 307.6 167.9 304.1 25 171.7 307.8 165.8 302.2

111 « i. •*" m m i. an *^W—^i*whwhi i.m, m M I — i « * — 1 M • H l i n n li* « ••• i.n«inl till IHli|ll<M—WN wan I*I 1 . . I \l Includes (1) demand deposits at all commercial banks other than those due to domestic commercial

banks and/ the U.S. Government, less cash items in the process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of all. commercial banks.

2/ Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting commercial banks.

.3/ This series is not available on a weekly basis.

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

Page 13: h6_19710427.pdf

MONEY STOCK MEASURES (in billions of dollars)

M, M„ « j M, M„ *%

j M j / p l u s t i m e M-y p l u s t ime { d e p o s i t s a t M ^ - p l u s . non-j d e p o s i t s a t j M~ p l u s n o n -

bank t h r i f t C u r r e n c y [ c o m m e r c i a l banks! bank t h r i f t C u r r e n c y commerc ia l banks! M~ p l u s n o n -bank t h r i f t

p l u s demand o t h e r t h a n l a r g e i n s t i t u r . . . . . . 1 t p l u s demand o t h e r t han l a r g e i n s t i t u t i o n s ! ' Date--1966 J

1 / 1 9/ 1 d e p o s i t s - v I C D ' s -

4 . j

tionsl/ • d e p o s i t s — L j i , _ j • j

C D ' s ^ ' i n s t i t u t i o n s ! '

( s e a s o n a V, u s t e c I)

WH^m-m^-m-mm*. ~~m-**-m»**m

( n o t s e a s o n a l l y a d j u s t e d ) {

J u n e 1 171 .6 166 .7 1

303 .6 8 171 .6 30b <4 1 6 9 . 1 3 0 6 . 1

15 171 .6 307 .7 1 7 1 . 1 3 0 7 . 8 22 1 7 2 . 3 308 .6 •172.2 308 .5 29 171 .5 3 0 7 . 8 1 6 8 . 0 304 .2

J u l y 6 171 .2 3 0 8 . 1 1 7 0 . 0 3 0 7 . 1 13 1 7 1 . 0 3 0 8 . 5 1 6 9 . 3 3 0 6 . 8 20 1 7 0 . 9 3 0 8 . 8 169 .7 3 0 7 . 8 27 1 7 0 . 9 - 3 0 9 . 3 1 6 8 . 1 3 0 6 . 6

Aug. 3 1 7 0 . 9 309 .2 1 7 0 , 0 3 0 8 . 5 10 1 7 0 . 9 3 0 9 . 4 168.6 307 .2 17 1 7 1 . 1 3 0 9 . 9 1 6 8 . 8 307 .7 24 1 7 1 . 4 3 1 0 . 7 1 6 7 . 0 306 .4 31 171 .6 3 1 1 . 0 1 6 8 . 1 307 .7

S e p t . 7 1 7 1 . 8 3 1 1 . 2 1 6 9 . 9 3 0 9 . 5 14 1 7 2 . 0 3 1 1 . 5 171 .4 ! 311 .4 21 1 7 2 . 0 3 1 1 . 9 173 .5 i 313 .4 28 1 7 2 . 0 312 .2 1 6 9 . 3 309 .6

O c t . 5 171 .7 3 1 2 . 1 171 .4 i 3 1 2 . 1 12 171 .6 , 312 .2 171.6 312 .4 19 171 .5 3 1 2 . 3 171 .9 3 1 3 . 3 26

- - • • • • • • - * • - • - • • - - t i i

1 7 1 . 3 I 3 1 2 . 0 . . ,,i i. . m • * t ! • • . i i i , • urn * • » * i . 1 j 1 7 1 . 1 3 1 2 . 0

banks and the U.S. Government, less cash items in ... float; (2) foreign demand balances at Federal ft***^ Reserve Banks and vaults of all commercial banks.

2,/ Includes, in addition to currency and demand deposi and time certificates of deposit issued in denomir^i, ing commercial banks.

2/ This series is not available on a weekly basis.

rx than those due to domestic commercial ; 'ucess of collection and Federal Reserve / iks; (3) currency outside Treasury, Federal

Livings deposits, time deposits open account, of $100,000 or more by large weekly report-

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

Page 14: h6_19710427.pdf

M,

MONEY STOCK ME^.— ..K (in billions oi -rioli rs)

M„ M, "H-

- 14 -

M„

Date --1966

Nov.

Dec .

2 9

16 23 30

7 14 21 28

Currency plus demand

deposits—

Mj/plus time d e p o s i t s a t commercial banks o t h e r than la rge

CD's^7

M. Ins. noil' 2'"P bank t h r i f t institur......... t ions 3./

171.0 171.0 171.1 171.1 171.2

171.4 171.7 171.9 172.0

(seasonally adjusted)

311.9 312.1 312.4 312.5 312.8

313.4 313.7 314.1 314.9

Currency plus demand

deposits—

M-j plus time deposits at commercial banks] other than large) CD's^'

M~ plus non-bank thrift institution si'

(not seasonally adjusted)

172.7 313.7 172.6 J 313.3 173.1 313.7 172.1 312.4 172.3 312.7

174.3 315 .0 175.7 316.8 179.9 321.1 176.8 318.7

1/ Includes (1) demand deposits at all commercial banks o^her than those due to domestic commercial banks and the U.S. Government, less cash items in th* process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of all commercial banks.

2!/ Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting commercial banks.

J3/ This series is not available on a weekly basis.

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

Page 15: h6_19710427.pdf

MONEY STOCK MEASURES (In billions of dollars)

15 -

"l «2 j «* "i 1 "2 • M3

M. plus | M. plus time deposits time deposits Mj^ plus

M. plus time deposits M2 plus

Currency at consner*' 1 deposits at J Currency at commer deposits at plus demand, deposits —

clal banks other «./ than large CD's —

nonbank thrift..! Institutions H

jplus demand. I deposits —

cial banks other.. 1 than large CD'ga

nonbank thrift-Date- 1967 1

plus demand, deposits —

clal banks other «./ than large CD's —

nonbank thrift..! Institutions H

jplus demand. I deposits —

cial banks other.. 1 than large CD'ga 1 institutions —'

_ -easonally adjusted)1 rnet seasonally adji is ted)

January 4 171.2 314.4 .'• 179.8 322.7 11 171.2 314.8 178.2 321.3 18 171.2 314.9 ' 177.5 321.0 25 171.0 315.1 174.3 318.1

February 1 171.8 j 316.5 1 173.6 318.2 8 172.2 1 317.4 173.4 \ 318.2 15 172.8 318.6 172.2 317.7 22 173.7 320.0 170>6 316.6

March 1 174.0 . 320.7 170v5 " 316.8 8 174,2 320.9 | 171.8 318.6 15 174.6 321.9 173.5 319.4 22 174.9 322.5 174.8 322.9 29 174.8 322.8 | 172.1 320.5

April 5 174.6 ' 323.0 174.3 323.4 12 1 174.2 323.1 | 175.2

176.6 ' 324.9

19 I 173.9 323.4 | 175.2

176.6 ' 326.8 26 173.9 ; 324.0 174.0 324.5 1

May 3 174.4 j 325.1 173.9 324.9 10 174.8 326.0 172.6 324.3 17 '175.9 327.6 173.1 325.2 24 176.3 328.3 170.6 323.0 31 176.8 329.3 172.2 325.1

June 7 177.2 330.0 174.6 327.7 14 177.3 330.6 176.3 330.0 21 177.4 .. .331.4 1 \ 177.7 . 331.8. 28 1 177.8 332.2 1 I 1 W . 2 328.5 I

1/ Includes (1) demand deposits at all commercial banks other than those due to domestic commercial banks and the U.S. Government, less cash items in the process of collection and Federal Reserve float; (2) foreign demand * balances at Federal Reserve Banks*; (3) currency outside Treasury, Federal Reserve Banks and vaults of commercial banks.

2/ Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and time ~~~ certificates of deposits other than negotiable time certificates of deposits issued in denominations of $100,000

or more by large weekly reporting commercial banksw J3/ This series is not available on a weekly basis.

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

Page 16: h6_19710427.pdf

MONEY STOCK MEASURES (in billions of dollars)

16

Wl «2 «3 Mi "2 M3

M. plus \imet deposits

M- plus time deposits

M. plus \imet deposits ML plus 1

M- plus time deposits M£ plus

Currency at commer deposits at I Currency at commer ! deposits at plus demand, deposits —

cial banks other »/ than large CD's —' |

nonbank thriftyL institutions —1

plus demand. 1 deposits —

cial banks other-, than large CD's— .

nonbank thrifty Date. igfi7 |

plus demand, deposits —

cial banks other »/ than large CD's —' |

nonbank thriftyL institutions —1

plus demand. 1 deposits —

cial banks other-, than large CD's— . I institutions —'

(seasonally adjusted)] [not seasonally adjusted) July 5 178.5 I 333.3 177.1 332.5

12 ! 178.7 334.0 i V: 177.3 332.4 19 179.0 334.5 ' 176.6 332.4 26 179.1 335-2 176.1 1 332.2

August 2 179.3 335.6 178;2 j 334.6 9 179.6 336.4 177.6 j 334.6 16 179.9 337.2 178.0 335.4 23 180.2 337.7 176.0 333.5 30 180.3 338.1 j 176*7 334.5

September 6 180.6 339.0 178.8 337.1 13 180.7 339*3 180.3 339.1 20 181.0' 340.2 180.9 339.8

• . 27 181.2 340.7 178.6 337.9

October 4 181.4 I ' :•'. '341.0 181.0 340.8 11 181.6 341.5 182.0 342.1 18 181.7 341.9 182.5 343.1 25 1&1.8 342.2 181.2 341.8

November 1 181.9 342.7 183.0 343.9 8 182.6 343.2 184.1 j 344.9 15 182.2 343.5 184.4 1 345.1 22 182.4 343.8 183.4 343.7 29 182.5 344.4 183.4 343.9

December 6••-•' •" 182.7 344.8 186.4 347.2 _ 13 182.9 345.0 186.9 348.0

20 183.0 345.6 189.3. 350.9, . 27 183.2 346.0 I 189.1 350.9

1/ Includes (1) demand deposits at all commercial banks other than those due to domestic commercial banks and the U.S. Government, less cash items in the .process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of commercial banks.

2/ Includes,, in addition to currency and demand deposits, savings deposits, time deposits open account, and time ~~ certificates of deposits other than negotiable time certificates of deposits issued in denominations of $100,000

or more by large weekly reporting commercial banks.

3/ This series is not available on a weekly basis.

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

Page 17: h6_19710427.pdf

MONEY STOCK MEASURES (in billions of dollars)

- 17 -

M l ' • "2 M3 Mi **2 M3

| M- plus time deposi ts

M plus | M- plus time deposi ts Urn p l u s J K time deposi ts M£ plus

Currency at commer depos i t s at Currency at commer depos i t s at plus demand,

depos i t s — c i a l banks other 2 /

than large CD's — nonbank thriftyL

i n s t i t u t i o n s —1 plus demand .. deposi ts —' j

c i a l banks other~. than large CDf s—'

nonbank t h r i f t y i n s t i t u t i o n s — Date > - 1968

plus demand, depos i t s —

c i a l banks other 2 / than large CD's —

nonbank thriftyL i n s t i t u t i o n s —1

plus demand .. deposi ts —' j

c i a l banks other~. than large CDf s—'

nonbank t h r i f t y i n s t i t u t i o n s —

o seasonally adjusted) I ( n o t seasonal ly adjusted)

January 3 1 183.3 346.2 193.2 355.9 10 | 183.4 346.4 191.3 353.9 17 183.7 346.8 191.1 353.4 24 183.6 347.1 187.2 350.4 31 183.9 348.0 185.6 349.6

February 7 184.3 349.3 186*2 350.6 14 184.6 349.9 183.9 348.8 21 184.9 350.4 182.5 347.7 28 185.2 351.1 180.6 346.2

March 6 185.4 351.5 183.6 349.7 13 185.7 352.0 184.2 351.1 20 185.8 352.5 184.6 352.0 27 186.0 353.1 183.4 351.0

April 3 • 186.3 353.6 185.2 353.3 10 186.3 353.7 186.7 354.9 17 186.5 354.1 190.8 359.4 24 186.7 354.5 187.7 355.7

May 1 186.9 354.7 186.0 354.6 8 187.5 355.5 185.9 354.6

15 188.2 356.8 185.3 354.6 22 189.1 357.7 183.9 353.2 29 189.9 358.5 184.2 353.5

June 5 190.3 359.5 187.7 | 357.2 12 189.4 • 358.7 188.0 1 357.7 19 189.7 359.2 189.2 359.0* 26 190.5 1 360.0 X. 187,3 1 T56.7

1/ In-ludes (1) demand deposits at all commercial banks other than those due to domestic commercial banks and the U.S. Government, less cash items in the process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of commercial banks.

2/ Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and time

certificates of deposits other than negotiable time certificates of deposits issued in denominations of $100,000

or more by large weekly reporting commercial banks.

J3/ This series is not available on a weekly basis.

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

Page 18: h6_19710427.pdf

MONEY STOCK MEASURES (in billions of dollars)

18

V "2 ' «3 1 Mi "2 M3

M. plus time deposits

M, plus M. plus time deposits MA plus time deposits M£ plus

Currency at commer deposits at Currency at commer deposits at plus demand. 1 deposits —

cial banks other 2/ than large CD's —

nonbank thriftsL institutions —1

plus demand, deposits —

cial banks other-, than large CD's— 1

nonbank thrifty institutions — Date • - 1968

plus demand. 1 deposits —

cial banks other 2/ than large CD's —

nonbank thriftsL institutions —1

plus demand, deposits —

cial banks other-, than large CD's— 1

nonbank thrifty institutions —

(seasonally adjusted) not seasonally adjusted)

July 3 191.8 361.4 191.0 361.1 10 191.1 360.9 189.9 360.0 17 191.4 361.3 191.5 361.9 24 191.4 361.7 188.5 • 359.1 31 191.8 362.9 189.8 361.2

August '7 192.5 363.8 191.1 362.8 14 192.5 364.5 190.1 362.5 21 192.8 365.3 189.0 361.9 28 193.0 366.0 188.7 i 362.1

September 4 193.3 1 366.9 f 191.0 365.0 11 193.2 367.1 192.7 366.9 18 193.2 367.5 192.9 367.4 25 193.3 [ 368.0 190.2 364.9

October 2 193.8 369.1 193.4 . 368.7 9 193.7 369.6 194.0 370.2 16 194.2 370.3 195.7 372.0 23 194.3 371.2 193.2 370.3 30 194.9 372.3 194.3 371.7

November 6 195.5 373.2 198.0 375.5 13 195.4 373.8 196.6 374.2 20 196.0 374.7 197.4 ' 374.9 27 196.5 375.6 197.4 375.1

December 4 197.2 376.9 200.4 378.6 11 197.4 377.8 201.3 380.2 18 i 197.4 378.4 203.7 . 38.3.6 25 197.6 378.7 203.6 383.4

1/ Includes (1) demand deposits at all commercial banks other than those due to domestic commercial banks and the U.S. Government, less cash items in thfe process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of commercial banks.

2/ Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and time certificates of deposits other than negotiable time certificates of deposits issued in denominations of $100,000 or more by Urge weekly reporting commercial banks.

3/ This series is not available on a weekly basis.

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

Page 19: h6_19710427.pdf

HONEY STOCK MEASURES (in billions of dollars)

- 19 -

• M l *2 M3 _ [ Mi *2 M3

M, plus time depos i t s

M: plus M, plus time depos i t s M^ plus time depos i t s M plus

Currency at commer depos i t s at Currency at coramer- depos i t s at plus demand,

depos i t s — c i a l banks other _ .1

than large CD's — nonbank thriftyL

i n s t i t u t i o n s —1 plus demand., deposi ts —

c i a l banks other^J than large CD's—'

nonbank thr i f ty Pate — 1969

plus demand, depos i t s —

c i a l banks other _ .1 than large CD's —

nonbank thriftyL i n s t i t u t i o n s —1

plus demand., deposi ts —

c i a l banks other^J than large CD's—' i n s t i t u t i o n s —'

-, easonal ly adjusted) [not seasonal ly adjusted)

Jan. 1 197.6 379.2 ! 207.6 388.2 8 198.1 379.7 208.3 389.2

15 198.4 380.0 206.1 387.6 22 | 198.1 380.0 203.3 384.6 29 197.5 379.5 199.2 380.8

Feb. 5 198.3 380.8 200.2 381.9 12 198.9 381.6 198.2 380.4 19 199.8 382.6 197.8 380.2 26 200.0 383.1 195.5 378.3

March 5 200.0 383.2 198.2 381.5 12 199.8 383.2 198.3 382.0 19 200.0 383.6 199.0 383.3 26 200.4 384.2 197.1 381.4

April 2 200.8 384.7 199.7 384.6 9 200.9 364.8 201.6 386.6

16 201.1 ! 385.0 204.8 389.9 23 200.8 J 384.8 202.0 386.5 30 200.6 384.6 199.4 384.3

May 7 200.4 384.4 198.2 383.2 14 201.4 385 .5 198.1 383.2 21 202.5 386.9 197.3 382 .6 28 202.7 387.2 196.9 382.3

I . — .1 A.-1/

1L

3/

Includes (1) demand deposits at all commercial Danns otner tnan uiu« u«= cu UUW«I.J.W v.«uuic^x«»* ~«4.<w ««« .uv U.S. Government, less cash items in the process of collection and Federal Reserve float; (2) foreign demand

balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of commercial

banks. banks. Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and time

certificates of deposits other than negotiable time certificates of deposits issued in denominations of $100,

or more by large weekly reporting commercial banks.

This series is not available on a weekly basis.

000

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

Page 20: h6_19710427.pdf

MONEY STOCK MEASURES (in billions of dollars)

20 -

M l M2 M. j [ M i **2 M3

K. p lus j time depos i t s

_ _ _ _ _ K. p lus j time depos i t s M* plus time d e p o s i t s Mj p lus

Currency j a t commer d e p o s i t s a t Currency a t cotnoer- d e p o s i t s a t p lus demand.| d e p o s i t s —

c i a l banks o ther «/ than la rge C0 fs —'

nonbank th r i f t yL i n s t i t u t i o n s —1

plus demand A depos i t s "~ |

c i a l banks e t h e r _ J than l a r g e CD's—']

nonbank t h r i f t y . i n s t i t u t i o n s -' Date- -196 9 ]

p lus demand.| d e p o s i t s —

c i a l banks o ther «/ than la rge C0 fs —'

nonbank th r i f t yL i n s t i t u t i o n s —1

plus demand A depos i t s "~ |

c i a l banks e t h e r _ J than l a r g e CD's—']

nonbank t h r i f t y . i n s t i t u t i o n s -'

^ jeasonal ly ad jus ted) ] T "™~~" i ho t s e a s o n a l l y ad jus ted)

June 4 201*5 386.8 198.7 384.4 11 202.2 387.6 i 200.8 386.5 18 202.4 387.7 ! 201.7 387.4 25 202.4 387.8 ! 198.9 384.3

J u l y 2 202.8 388.0 202.0 387.4 9 ; 202.9 38*7.5 202 .4 387.2

16 203.2 387.2 202 .6 39.7.0 23 203.0 386.7 200.1 384.0 30 202.7 386.1 200.3 . 383.9

Aug. 6 202.9 386.0 201.4 384.7 13 202.7 385.6 200.4 383.5 20 202.8 385.7 199.4 382.5 21 202.7 385.5 • 197.8. . 380.8

Sep t . 3 203.0 385.9 200.2 383.2 10 202.7 ! 3-85.5 201.9 384.9 17 203.0 385.5 203.5 386.4 24 r 202.5 385.4T

r 199.3 382.2

Oct. 1 202.6 | 385.6 201.1 384.2 8 202.8 1 . 385.7 203.2 386.3

15 203.2 385.8 204.1 387.0 22 203*6 . 386 .2 203.1. 385.9 29 202.8 385.3 202.2 384.7

1/

2 /

3/

Includes (1) demand d e j > o s T ^ a ^ banks o ther than those due t o domestic c o n n e r c i a l banks and the U.S. Government, l e s s cash items in the process of c o l l e c t i o n and Federal Reserve f l o a t ; (2) fore ign demand ba lances a t Federa l Reserve Banks; (3) currency ou t s i de Treasury , Federal Reserve Banks and v a u l t s of commercial banks. Includes in addition to currency and demand deposits, savings deposits, time deposits open account, and time

certificates of deposits other than negotiable time certificates of deposits issued in denominations of $100,000 or more hy large weekly reporting commercial banks. This series is not available on a weekly basis.

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

Page 21: h6_19710427.pdf

HONEY STOCK MEASURES (in billions of dollars)

- 21

Date 1969

Currency plus demand. deposits —

«2

M, plus time deposits at commer

cial banks other than large CD's — II

Ma

M» plus deposits at nonbank thrift institutions It

M. *2

Currency plus demand, deposits —'

Mj plus time deposits

at commercial banks other than large CD'; 2/

M£ plus deposits at nonbank thrifty, institutions —'

Nov. 5 12 19 26

Dec, 3 10 17 24 31

(Seasonal ly ad jus ted)

"203.2 I 385 *9 203.8 386.4 203.8 386.8 203.4 386.7

203.9 387.3 203.4 386.8 203.1 386.3 202.7 386.1 204.6 I 388.2

205.6 205.4 205.8 203.8

207.0 207.2 210.1 209.2 213,2

not seasonally adjusted)

388.1 387.4 387.6 385.6

388.9 389.2 392.2 391.4 395.8

1/ Includes (1) demand deposits at all commercial banks other than those due to domestic commercial banks and the U.S. Government, less cash items in the process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of commercial banks.

2/ Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and time ~ certificates of deposits other than negotiable time certificates of deposits issued in denominations of $100,000

or more by large weekly reporting commercial banks. 2/ This series is not available on a weekly basis.

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

Page 22: h6_19710427.pdf

MONEY STOCK MEASURES (in billions of dollars)

- 22 -

M l *2 M3 Mi "2 M3

M. plus M, p lu s 1 time d e p o s i t s time depos i t s MA plus

M, p lu s 1 time d e p o s i t s M£ plus

Currency a t commer d e p o s i t s a t Currency a t c o t n e r - d e p o s i t s a t p lus demand, d e p o s i t s —

c i a l banks o ther - , than la rge CD*s —'

nonbank t h r i f t - L i n s t i t u t i o n s ~1

plus demand . [ d e p o s i t s ~

c i a l banks o t h e r 9 /

than l a r g e CD' s— !nonbank t h r i f t y .

Date—1970 p lus demand, d e p o s i t s —

c i a l banks o ther - , than la rge CD*s —'

nonbank t h r i f t - L i n s t i t u t i o n s ~1

plus demand . [ d e p o s i t s ~

c i a l banks o t h e r 9 /

than l a r g e CD' s— i n s t i t u t i o n s — 0 seasonally ad jus ted ) ] [not seasol iaTiy^adjusted)

J a n . 7 205.3 388.7 216.5 i 399.1 14 205.8 388.8 214.0 396,3 21 205.9 388.4 211.5 393.5 28 204.3 386.5 206.2 387.9

Feb. 4 203.9 386.3 206.1 387.9 11 204.0 386.6 203.7 385.6 18 204.5 387.4 1 ~ 202.7 385.0 25 205.0. 388.2 199.8 382.5

March 4 205.8 389.2 204.0 387.2 11 205.9 389.3 . 204.3 388.1 18 206.0 389.6 204.9 389.2 25 206.6 390.7 203.1 387.8

Apr i l 1 208.3 393.1 207.2 392.7 8 209.5 394.7 209.7 396.0

15 209.6 394.8 211.2 397.4 22 207.3 393.3 210.0 396.6 29 206.7 393.0 206.3 393.3 !

May 6 208.0 394.5 207.2 394.6 13 208.8 395.4 205.7 | 393.5 20 210.1 397.3 205,0 1 393.1 27 210.1 397.6 203.5 | 391.9

1/ Includes (1) demand deposits at all commercial banks other than those due to domestic conr-arcial banks and the U.S. Government, less cash items in the process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks; (J) currency outside Treasury, Federal Reserve Banks and vaults of commercial banks.

2/ Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and time ~ certificates of deposits other than negotiable time certificates of deposits issued in deacainations of $100,000

or more by large weekly reporting commercial banks. J3/ This series is not available on a weekly basis.

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

Page 23: h6_19710427.pdf

MONEY STOCK MEASURES (in billions of dollars)

23

M l • • "2 M 3 1 M i "2 - M3

Mj plus j time depos i t s

H. p lus time d e p o s i t s

Mj plus j time depos i t s Mj plus

H. p lus time d e p o s i t s M£ plus

Currency a t commer- i d e p o s i t s a t Currency a t commer d e p o s i t s a t p lus demand, d e p o s i t s — .1

c i a l banks other 2 / than la rge CD's —' 1

nonbank th r i f t yL i n s t i t u t i o n s -"j

plus demand, ! depos i t s —

c i a l banks o t h e r ^ J than l a rge CD's - ' j

nonbank t h r i f t y Date —1970 |

p lus demand, d e p o s i t s — .1

c i a l banks other 2 / than la rge CD's —' 1

nonbank th r i f t yL i n s t i t u t i o n s -"j

plus demand, ! depos i t s —

c i a l banks o t h e r ^ J than l a rge CD's - ' j i n s t i t u t i o n s -»'

(1 easona l ly a d j u s t e d ) ] [not seasona l ly ad jus ted)

June 3 I 210 .1 398.3 207,1 395.8 10 209.5 398.0 207.5 ! 396.6 17 1 210.1 j 399.0 1 210.0 I 399.2 24 1 208.5 397.6 | 205,3 394.4

Ju ly 1 210.0 399.5 208.3 3 97.8 8 211.3 401.3 210,3 400.7

15 210.9 401.8 210e5 401.6 22 210.0 , 401.6 207,7 399.5 29 210.0 402.2 207.1* 399.7

Aug. 5 210.5 403.8 2«V*/' 402.9 12 211.7 405.6 2iVi,J 403.2 19 212.7 ! 406.8 2i>3/> 403.5 26 212.3 407.0 207 ? 401.9

Sep t . 2 212.4 407.6 ?J9 9 405.3 9 212.7 408.8 211.1 407.2

16 212.8 409.1 2V3,'.i MO.6 23 212.4 409.5 210.1 406.9 30 212.9 410.8 2 i0 .2 408.1

Oct. 7 213.7 412.0 2 ' ^ / 412.1 14 212.7 411.5 2 13/2 412.2 21 213.9 413.3 213,3 413.0 28 212.2 411.8 I 2iJ 3 410.9

1/

y

3/

Includes (1) demand deposits at ail commercial oatms UIUCL LU<*U LUUSC UUC- *M uumcouxu ^iu"ic^iai uoi,M «*"** "lw

U.S. Government, less cash items in the process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Banks- (3) currency outside Treasury, Federal Reserve Banks and vaults of commercial banks. Includes, in addition to currency and demand deposits^ savings deposits, time deposits open account, and time

certificates of deposits other than negotiable time certificates of deposits issued in denominations of $100,000 or more by large weekly reporting commercial banks. This series is not available on a weekly basis.

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

Page 24: h6_19710427.pdf

MONEY STOCK MEASURES (in billions of dollars)

24

Date --1970

M,

Currency plus demand. deposits —

M„

M, plus time deposits at commer

cial banks other 2/ than large CD's —

M*

M» plus deposits at nonbank thrift . institutions • 21

Currency plus demand.

"2

M, plus time deposits

at commercial banks other than large CD* II

M„

fnot^seasonally" adjus ted)

415,1 414.4 416,3 414.1

418.2 419.-9 425.0 424.9 426.1

M2 plus deposits at nonbank thrift institutions * V

Nov,

Dec.

4 11 18 25

2 9

16 23 30

212.7 213.1 213.9 213.6

214.5 214.2 215.3 213.5 214.7

( s easona l ly ad jus ted)

412.7 413.3 415.1 415.4

417.0 417.6 419.2 418.7 420.3

215,3 214,7 216.3 214*0

217.4 218,3 222.3 221.3 222,0

1/ Includes (1) demand deposits at all commercial banks other than those due to domestic commercial banks and the ~ U.S. Government, less cash items in the .process of collection and Federal Reserve float; (2) foreign demand

balances at Federal Reserve Banks; (3) currency outside Treasury, Federal Reserve Banks and vaults of commercial banks.

2/ Includes, in addition to currency and demand deposits, savings deposits, time deposits open account, and time ~ certificates of deposits other than negotiable time certificates of deposits issued in denominations of $100,000

or more by large weekly reporting commercial banks. _3/ This series is not available on a weekly basis.

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

Page 25: h6_19710427.pdf

HONEY STOCK MFA5URFS (In billions cf doI!urs) - 25

Date- 1971

January 6 13 20 27

February 3 10 17 24

M,

Currency plus demand, deposits —

ML

M- plus time deposits-^ at commer

cial banks other than large CD's

2/

(seasonally adjusted)

215.4 215.2 214.9 213.8

March

April

May

June

3 10 17 24 31

7 14 21 28

5 12 19 26

2 9 16 23 30

214. 216. 218. 217.

218. 218. 218. 219. 220.

1/

2/

3/

422. 422, 423, 423.

425. 428, 431-432,

M, JL

Mj

M, phis deposits at

n onba nk tb r i f ** institutions *'

434.6 435,2 436.2 438,5 441.3

\ \

i i

Currency plus irsmaft

• 2 .4

. o ,3 ,2 ,7

1/

ML plus r.ine d e p o s i t s

a t conmer"-j c i a l banks o ther

than^lar^e .oc sea^ora

CD's- 7

M„

M£ plus deposits at

nonbank thrifty f

institutions —' aij*' sted)

" 4 7 .

2;. 3,

212, 7 9 8

116.2 237.8

\« 6 , 16 217

/. 30 428, 425,

4.27, 427, 429, 426,

432, 434, 436, 436, 439,

Includes (1) demand deposits a r i l T T ^ ^ t a T h ^ s other th^ £ K w dnc to domestic commercial banks and the U.S. Government, less cash items in the process of collection *v\ F«Meta 1 Reserve float; (2) foreign demand ^ balances at Federal Reserve Banks; (3) currency outside Trea-ir^ Ve**r*'i Reserve Banks and vaults of commercial

ba nk s Includes in addition to currency and demand deposits, WIM* th .-sifs, tltii- deposits open account, and time

certificates of deposits other than negotiable time certificate, -.f de^-slrs Issued in denominations of $100,000

or more by large weekly reporting commercial banks*

This series is not available on a weekly basis.

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

Page 26: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES (seasonally adjusted, in bill.c.

. ^ _ ^ ™ . ^ « - — _ — , — — j . Demand |

d e p o s i t s /** Date Currency j G

1964- -January 3 2 . 6 121 5

y—m*.

February 3 2 . 8 1 2 1 , 8 March 3 2 . 9 122 .u | A p r i l 3 3 . 1 122 ,1 May ^ 3 3 . 3 122 . / j June 3 3 . 5 1 2 2 . 9 J u l y 3 3 . 6 1 2 4 , 0 August 3 3 . 8 124 .6 September 3 3 . 9 125 .2 October 3 4 . 0 125 .7 November 3 4 . 2 1 2 6 . 1 December . 3 4 . 2 1.2 6 .3

1965--January 3 4 . 4 126 .4 February 3 4 . 6 126 .7 j March 3 4 . 7 127 .1 i A p r i l 3 4 . 7 127,3 1 May 3 4 . 9 127 ,4 i June 3 5 . u 1 2 8 . 0 ; Ju ly 3 5 . 2 i2b«5 j August 3 5 . 5 "123,9 | September j 3 5 , 7 329 .5 | October 1 3 6 . 0 110.4 , November 3 6 , i • : > . 8 !

December 3 6 . 3 ' 1 1 . 7

: . . J -t _

CD's 1/ i Of!

10 10, 11. ] ] , ll, 11

12,

12 .9 13.1 13 .3

13,9 1.4 .1 14 3 *4.7 15 1

1 5 ,c • > ; r

!6

\ 11

Li 1

1/ N e g o t i a b l e time c e r t i f i c a t e s of d e p o s i t i s s u e d in dfLKJrii^fil '. weekly r e p o r t i n g banks. .

2 / Average of b e g i n n i n g and end of month d e p o s i t s a t mutual sax

?, Lit -^ i* - \ t'*Ls - 2 6

•Jl fL:. ;...k' J; l f -« «~,, J Nonbank ' _ ^ , I t h r i f t

T o t a l . . t . . I f i n s t i t u t i o n s 2 /

I I I ' . 135 .3 4 A

. 13 . . ; . j / ,8 116 7 139 .0 117,5 1-+0.3 118 ,8 1 141.6 119,7 i 142 .9 120,6 j 144 . 3 122 .1 ! 145 .6 123.6 1 146 ,8 125-1 ! 148 .0 1 0 &. £, ! 1 4 9 . 1

J i & < ; 150 ** 130,8 * "s 51 ,2 I i 2 - " 1 J 2 2 13 J : ! ;v:.l 1 *4 9 154 0 x . J & , *' o^ i

1 J>7 : ; r . 0 J3fr .* i 5 / , 0 ;^1 - V J 8 1 u": r, r, **

J ^ J . j o C! 2

i'>6 v \6\ i

f r^ of $100 ,000 or more by l a r g e

i.ngs batiks and s a v i n g s and l o a n s h a r e s

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

Page 27: h6_19710427.pdf

COMPONENTS OF MONEY STOCK IMEASUHES AND RELATED ITEMS - 27 -(seasonally adjusted, in billions of dollars)

•Currency

Demand deposits

Time and savings deposits Nonbank

Date- •Currency

Demand deposits

CD's 1/ Other •"••*"•"•'•"•*•***— '

Total thrift

institutions 2/

1966—January 36.6 j

132.3 "•'•'• 1 6 . 6 131.2 147.8 162.1 February 36.7 133.0 16.7 132.1 148.7 162.9 March 36.9 133.6 16.9 132.9 149.8 163.5 April 37.1 134.6 17.5 134.3 151.8 163.7 May 37.3 134.4 17.7 135.9 153.6 163.9 June 37.4 134.3 17.7 136.4 154.2 164.3 July 37.6 133.4 . 18.1 137.8 155.9 164.5 August 37.8 133.5 17.8 138,. 9 156'.7 164.7 September 37.9 134.0 17.6 13^.9 . 157.4 165.2 October 38.0 133.4 :' 16.4 140.7 157.1 165.7 November 38.2 .' 133.1 ! 15.6 141.3 156.8 166.4 December 38.3 133.4 | 16 .0 142.3 158.3 . 167.3

1967--January 38.5 132.6 17.4 143.9 161.3 168.6 February 38.7 134.4 18.5 : 145.8 164.3 169.8 March 38.9 135.8 19.0 147.4 166.3 171.0 April 39.0 135.1 18.8 149.5 168.3 172.6 May 39.1 136.8 18.8 151.7 170.5 174.2 June 39.3 138.2 5 19.1 153. a 122.9 175.7 July 39.4 139.5 19.5 155.6 175.1 177.3 August 39.5 140.5 19.9 157.3 177.1 178.7 September 39.7 141.1 20.3 158.9 179.3 179.9 October 39.9 141.7 20.2 " 160.1 180.4 181.1 November 40.0 142.3 20.5 161.4 182.0 182.1 December 40.4 142.7 21.0 162.5 183.5 183.0

J7 Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting^banks.

2/ Average of beginning and end of month deposits at mutual savings banks and savings and loan shares.

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

Page 28: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 28 -(seasonally adjusted, in billions of dollars)

i - •

Demand d e p o s i t s

• V I Hill « • • ! n l i i ilium mi

Time < md savings depos i t s Nonbank i - •

Demand d e p o s i t s

CD's 1/ Other Tota l t h r i f t Date Currency , ~ -•* •" i n s t i t u t i o n s 2/

1968—January 40.6 143.1 20.9 163.5 184.4 183.8 February 40.7 144.0 20.9 ! 165.4 186.2 184.8 March / 4 1 . 1 144.7 20.6 | 166.7 187.2 185.8 Apr i l / 41 .3 145.3 19.9 167.6 187.5 186.7 May Y 41.6 147.1 19.7 168.5 188.1 187.6 June 41.9 148.3 19.4 169.5 188.9 188.6 Ju ly 42 .1 149.5 20.9 170.2 191.1 189.4 August 42 .3 150.3 21.5 172.3 193.6 190.2 September I 42.7 150.9 22.3 174''.4 196.7 -J. 191.2 October 42 .8 151.5 23 .1 176.5 199.6 192.3 November 43.2 152.9 23.3 178.5 201.8 193 .4 December 43.4 154.0 24.0 180.8 204.8 194.4

1969--January 43.6 154.5 21.8 181.9 i 203.7 195.4 February 4 3 . 8 . : ._ 155.5 20.2 182.9 203.2 196.5 March 4 4 . i 156 TO 18.9 183.6 202.5 197.5 A p r i l 44.2 156.8 18.2 184.0 202.1 198.3 May 44.5 157.1 17.4 184.3 201.7 198.9 June 44 .8 157.6 15.8 185.4 201.2 199.5 J u l y 45 .0 158.1 14.1 184.0 198.1 199.8 August 45.2 157.4 12.5 182.9 195.4 199.9 September 45 .3 157.6 12.0 182.8 194.8 200.4 October 45.6 157.6 11.5 182.6 194,2 200.7 November 4 5 . 9 157.6 11.1 182.9 194.0 200.9 December 46.0 157,7 11.2 183.4 194.6 201.3

1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting -banks* ._,—.—

If Average of beginning and end of month deposits at mutual savings banks and savings and loan shares.

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

Page 29: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS (seasonally adjusted, in billions of dollars)

29

Currency

] D e m a n d deposits

i i -

Time and savings deposits J Nonbank

Date , Currency

] D e m a n d deposits

1 CD's 1/ Other Total thrift

j institutions 2/ ju- ,

1970--January 46.2 159.0 ! 10.6 182.7 193.3 201.2 February 46.4 158.1 10.6 182.9 193.5 201.2' March 46.7 159.8 11.5 183.8 195.3 202.1 April 47.1 161.2 12.9 185.6 498.5 203.3 May * 47.7 161.6 13.2 187.1 / 200.3 204.4 June 47.8 161.9 13.2 189.0 202.2 205.5 July 48.1 162.5 16.9 191.3 208.2 207.2 August 48.2 ! 163.7 19.0 194.2 213 .'2 1 208.7 September 48.2 164.6 21.7 196.8 218.5 ! 210.1 October 48.5 . 164.5 23.2 ! 199.1 222.2 211.9 November 48.7 164.8 23.9 201.1 225.0 213.6 December 48.9 165.7 26.0 204.4 230.4 215.6

1971--January 49.2 165.5 27.1 208.2 235.3 219.1 February 49.6 167.7 27.4 213.5 240.9 223.1 March 50.0 169.2 27.8 218.3 246.1 227.1

-i r J J <q

JV Negotiable time certificates of deposit issued in denominations of $100,000 or more by large

weekly reporting banks. 2/ Average of beginning and end of month deposits at mutual savings banks and savings and loan shares.

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

Page 30: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS

(seasonally adjusted, in billions of dollars)

30

Demand r\f* o n e i t* Q Time and savings deposits

Date - 1964 Currency . ucuUoltd -

CD's 1/ Other Total.--

January 1 8

32.4 32.5 32.6

121.4 121.5

10.3 10.4

102.3 * 102.5..

\ • • . 4..

112.6

112.9

'15

32.4 32.5 32.6 121.5 10.4 102.7 113.1

22 32.6 121.5 10.5 102.9 113.4

29 32.7 ! 121.6 10.7 103.1 113.7

February 5 12

32.7 32.7

! 121.7 121.7

10.8 10.8

103.4 103.7

114.2 114.5

19 32.8 121.8 10.9 103.8 114.6

26 32.8 121.8 10.8 104.0 114.8

March 4 32.8 121.9 10.9 104.2 115.0

11 32.8 121.9 11.0 104.1 115.1

18 32.9 122.0 10.9 104.3 115.3

25 33.0 122.1 11.0 104.6 115.5

April 1 33.0 122.1 10.9 104.7 115.7

8 33.0 122.0 11.0 104.7 115.7

15 33.1 122.1 11.1 104.9 116.0

22 33.2 122.1 .11.3 105.0 116.4

29 33.2 122.1 11.4 105.4 116.8

May 6 33.2 122.5 11.5 105.4 117.0

13 33.3 122.7 11.6 105.6 117.2

20 33.3 122.8 11.8 105.8 117*6

27 33.3 122.8 11.9 106.1 117.9

June 3 33.4 122.8 11.9 106.3 118.3

10 33.4 ; 122.9 11.9 106.6 118.5

17 33.4 122.9 11.8 106.9 118.8

24 33.5 123.0 12.0 ;

107.1

• J 119.0

weekly reporting banks.

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

Page 31: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 31

(seasonally adjusted, in billions of dollars)

Currency

Demand deposits

Time < and savings deposits

Date- 1964 Currency

Demand deposits

CD's 1/ Other Total

July 1 1 33.5 .—, .

123.2 i ' "I

11.9 : 107.3 [119.2 8 33.5 123,5 12.0 107.2 i 119.3 15 33.6 123.18 12.1 107.5 ! 119.6 * 22 33.6 124.1 12.1 107.6 119.8 29 33.6 124.2 12.0 107.9 i 119.9

August 5 33.7 124.3 12.0 108.1 ! 120.1 12 33.7 124.6 12.0 108.3 ! 120.3 19 33.7 3 124 j 7 12.1 108.5 ! 120.6 26 33.7 124 J8 12.1 108.8 ! 121.0

September 2 33.8 124.9 12.2 109.0 121.2 9 33.7, 125.0 12.3 109.4 121.7 16 33.8 125.1 12.3 109.7 122.1 23 33.9 125.2 12.4 109.8 122.2 30 34.0 125.4 12.4 110.0 122.4

October 7 33.9 . 125.6 12.7 110.3 123.0

14 34.0 125.6 12.8 110.5 123.3 21 34.0 125.7 12.9 110.8 123.7

28 34.1 125.8 13.1 111.0 124.0

November 4 34.1 125.9 13.0 111.4 124.5 11 34.1 126.2 13.2 111.6 124.8

18 34.1 126.2 13.2 111.9 125.1

25 34.1 126.3 13.2 112.2 125.4

December 2 34.2 126.3 13,1 112.5 125.6

9 34.2 126.3 13.3 112.8 126.1

16 34.3 126.3 13.2 113.2 126.4

23 34.3 126.2 13.3 113.5 126.8 30 34.3 126.2 13.5 113.7 127.3

\J Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting.banks.

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

Page 32: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 32 -

(seasonally adjusted, in billions of dollars)

- 1965 Currency

Demand deposits

Time and savings deposits

Date - 1965 Currency

Demand deposits

CD's 1/ Other Total

January 6 34.3 J 126.3 13.6 114.0 127.5 13 34,4 Ai 126.3 13.9 114.2 128.2 20 34.4 N 126.4 14.0 115.0 129.0 27 34.5 ] 126.4 14.1 115.4 129.5

February 3 34.5 1 126.5 | 14.1 115.8 129.9 10 34.6 126.6 14.0 116.5 130.5 17 34.6 .3$ 126.7 14.1 116,8 130.9 24 34.6 « 126.8 14.2 117.1 131.2

March 3 34.6 * 126.9 14.2 117.3 131.4 10 34.6 126.9 14.3 117.6 131.9 17 34.6 127.1 14.3 117.8 132.1 24 34.7 126.9 » 14.4 118.0 132.4 31 34.8 127.1 14.3 118.9 133.2

April 7 34.8 127.1 14.4 118.6 132.9 14 34.8 127.4 14.6 118.6 133.2 21 34.8 127.5 14.8 118.9 133.7 28 . 34.8 127.2 14.9 119.1 134.0

May 5 34.8 127.4 15.0 118.8 133.7 12 34.8 127.4 15.1 119.6 134.6 19 " 34.9 127.4 15.1 119.7 134.9 26 • 34.9 127.5 15.1 120.1 135.2

June 2 35.0 127.7 15.1 120.4 135.5 9 35.0 127.9 15.3 120.5 135.9 16 35.0 127.9 15.4 120.8 136.2 23 35.1 128.0 15.6 121.1 136.7 30 35.1 i 128.1 15.6 121.4 137.0

1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banks.

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

Page 33: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 33

(seasonally adjusted, in billions of dollars)

i 1

Currency

Demand depos i t s

Time • and savings deposits

Date1 •-• 1965

i 1

Currency

Demand depos i t s

CD's 1/ ; Other Total

_ _ _ _ _ _ _ _ _ — — — ... • V July 7 35.1 128.3 15.6 121.7 137.2

tu :35.2 128.15 15.6 122.1 137.8 21 35.3 128.15 15.6 122.3 137.9 28 35.3 128.!6 15.8 122.5 138.3

August 4 35.3 128.7 15.8 123.0 138.8 11 35.4 128.8 15.8 123.3 139.1 18 35.4 ~128~.|9 15.9 123.6 139.5 25 35.4 129 JO 16.0 124.0 140.0

September 1 35.5 129 .'0 16.2 124.3 140.5 8 35.5 129.1 16.5 124.7 141.1

15 35.6 129.4 16.1 125.1 141.2 22 35.7 129.5 16.3 125.1 141.4 29 35.8 129.9 16.5 125.3 141.8

October 6 35.9 130.2 16.9 125.9 142.7 13 35.9 130.3 16.7 126.5 143.3 20 35.9 130.4 16.9 127.0 143.8 27 36.0 130.6 16.7 127.3 144.1

November 3 36.0 130.7 16.6 128.0 144.6 10 36.0 130.8 16.7 128.4 1.45.0 17 36.1 130.7 16.6 128.6 145.2 24 36.1 130.9 16.8 128.9 145.7

December 1 36.2 131.0 16.8 ' 129.3 146.0 8 36.2 131.3 16.9 129.6 146.5

15 36.3 13U5 .16.5 130.0 146.4 22 36.4 131.7 16.8 130.1 146.9 29

1

36.4

J

132.1 16.9 130.2 147.2

1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banks.

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

Page 34: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMJS

(seasonally adjusted, in billions of dollars)

• • ' 7 I

I . Demand Time , and savings deposits • • ' 7 I

I .

deposits CD's 1/ Other Total

Date ' -- 1966 Currency

January 4

5 36.5 : 132. 1

• • L " - 1

16.6 f •

130.8 147.4

12 36.5 -; 132, 2 16.6 130.9 147.4

19 36.5 • 132.1 3 16.4 131.2 147.8

26 36.6 132.J5 16.6 131.4 148.1

February 2 36.7 132.7 16.6 131.7 148.3

9 36.7 132. .9 16.7 131.8 148.5

i-J.6 36.7 •] _133. 0 16.6 132.2 148.8 :~23 36.7 133. 1 16.7 132.3 j 148.9

March 2 36.8 133. 1 16.8 132.3 I 149.1

9 36.9 133.2 16.8 132.6 149.4 16 36.9 133.4 16.6 132.8 149.5

23 37.0 133.6 ' 16.9 133.1 150.0

30 37.0 133.9 17.3 133.1 150.3

April 6 37.0 134.1 17.3 133.6 . 150.8

13 37.1 134.4 17.4 133.9 151.2

20 37.1 134.6 17.6 134.3 151.9

27 37.1 134.9 17.6 134.8 152.4

May 4 37.2 134.8 17.6 135.4 153.0

11 37.2 . 134.7 17.7 135.6 153.2

18 37.2 134.6 17.8 :i35.8 153.6

25 37.3 134.4 17.8 136.2 153.9

June 1 37.3 134.2 17.7 136.5 154.2

8 37.4 134.2 17.6 136.8 154.4

15 37.4 134.2 17.4 136.1 153.5 22 37.5 134.9 17.7 .136.3 153.9

29

-. :

37.5

—-r- .

134.0 18.2 136.4 154.6

J./ Negotiable time certificates of deposit issued in denominations of $100,000 or more by 1 weekly reporting .banks.

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

Page 35: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATEDl ITEMS - 35 -

(seasonally adjusted, in billions of dollar^)

Demand Time « and savings deposits deposits '

Date! - 1 $66 Currency. 1 CD's 1/ Other Total

July 6 ! 37.5 ! 133;7 r

18.4 f 136.9 155.3 13 37.6 133J4 18.5 137.5 156.0 20 37.6 \ 13313 18.3 137.9"' 156.2 27 37.6 133.2 18.1 138.4 156.6

August 3 37.7 .133.2 17.9 1 138.4 156.3 10 37.7 133.2 17.9 138.5 156.4 17 37.8 , 133 j 4 17.9 138.7 156.7 24 37.8 • 1-33] 6 17.7 139.3 157.1 31 37.8 133 j 7 17.7 139.5 157.1

September 7 37.9 134.0 17.8 139.4 157.2 14 37.9 134.1 17.8 139.5 157.3 21 37.9 134.1 • 17.5 139.9 157.4 28 37.9 134.1 17.2 140.2 157.4

October 5 37.9 133.8 17.0 140.4 157.4 12 38.0 133.6 16.8 140.6 157.4 19 38.0 133.5 16.3 140.8 157.1 26 38.0 133.3 16.1 140.7 156.8

November 2 38.0 133.0 15.9 140.8 156.7 9 38.1 132.9 15.7 141.0 156.7 16 38.2 133.0 15.5 141.3 156.8 23 38.. 2 132.9 15.5 141.3 156.8 30 38.2 133.0 15.5 141.6 157.0

December 7 38.2 133.2 15.6 142.0 157.5 14 38.3 133.4 15.8 142.1 157.8 21 38.3 133.6 16.0 142.2 158.2 28 38.4 133.5 16.2 142.9

1 159.1

1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banksc

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

Page 36: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS

(seasonally adjusted, in billions of dollars)

36 -

* -1967 . ' Currency

Demand deposits

Time . and savings deposits

j Date * -1967 . ' Currency

Demand deposits

CD's 1/ | Other Total

January 4 38.5

1 i

132.7 16.6 143.3 159.8 11 • 38.5 i -132.7 Iff. 8 143.6 -160.4 18 38.5 ' 132.7 17.3 143.8 161.1 25 38.5 132.5 17.9 144.1 162.0

February 1 38.6 133.2 18.2 144.7 162.9 8 38.6 133.6 18.5 145.2 163.7 15 38.7, i -1.34.1 18.5 145.8 164.3 22 38.8" 134.9 18.5 146.3 164.8

March 1 38.8 135.2 18.4 146.7 165.1 8 38.8 135.4 18.8 146.7 165.4 15 38.9 135.7 , 18.9 147.3 166.2 22 38.9 136.0 19.1 147.6 166.6 29 39.0 135.8 19.1 148.0 167.1

April 5 39.0 135.7 19.1 148.3 i 167.4 12 39.0 135.2 19.0 148.9 i 167.9 19 39.0 134.9 18.8 149.5 168.2 26 39.0 134.9 18.6 150.1 168.6

May 3 39.0 i 135.4 18.7 150.7 169.3 10 39.1 135.7 18.7 151.2 169.8 17 I 39'1 136.8 18.7 151.6 170.3 24 39.1 137.2 18.9 152.0 170.9 31 39.2 137.7 19.0 152.4 171.4

June 7 39.3 137.9 19.2 152.9 172.0 14 39.3 138.0 19.2 153.3 172.6 21 39.3 138.1 19.1 153.9 173.1 28 39.4 138.4 19.2

1

154.4 173.6

V Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting-banks.

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

Page 37: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 37 -

(seasonally adjusted, in billions of dollars)

Demand depos i t s

Time and sayings deposits Demand depos i t s

Date , 1967 : : Currency —' f CD's 1/ Other Total

July 5 39.4 1 3 9 a 19.3 154.9 174.1 ,12 \ 39 .4 .; - 139.3 is. e. - - 155.4 -174.9 19 39.4 139.6 19.5'" 155.5 175.0 26 j 39.4 139.7 19.6 156.1 175.7

August 2 39.4 139.9 19.6 156.2 175.9 9 39.5 140.1 | 19.7 156.8 176.6

.16 i 39.X- -1AOM 19.8 157.3 177.1 23 39.6 140*6 19.9 157.5 177.4 30 39.6 140; 7 20.1 157.7 177.9

September 6 39.7 141.0 20.4 158.4 178.7 13 39.7 141.0 , 20.5 158.6 179.1 20 39.8 141.3 20.3 159.1 179.4 27 39.8 141.4 20.2 159.4 179.6

October 4 39.8 141.5 20.2 159.6 . 179.8 11 39.9 141.7 20.2 159.9 180.1 18 39.9 141.8 20.3 160.1 180.4 25 40 .0 141.8 20.2 160.5 180.7

November 1 40.D 142.0 20.3 160.8 181.1 8 40 .0 142.0 20.3 161.1 181.4

15 40 .0 142.2 20.4 .161.4 181.8 22 40 .1 142.2 20.6 161.4 182.1 29 40 .2 142.3 20.8 ! 161.9 182.7

December 6 40.2 142.5 21.0 162.1 183.1 13 4 0 . 3 142.6 21.1 162.1 183.2 20 40 .3 142.7 21.1 162.6 183.7 27 40.5 142.7 21.0 162.8 183.8

_!/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting.banks.

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

Page 38: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 38 -(seasonally adjusted, in billions of dollars)

Demand deposi ts

Time and savings deposits Demand deposi ts

Date - 1%8 Currency CD's 1/ Other Total

Jan. 3 40.5 142.7 20.9 163.0 |

183.8 10 40.5 142 .9 20.9 163.0 183.9 17 40.6 143.1 20.9 163.1 184.1 24 40.6 143.0 20.9 163.5 184.4 31 40 .6 143.3 20.9 164.1 185.0

Feb. 7 40.7 143.7 20.9 165.0 185.9 14 40.7 143.9 20.8 165.3 186 .'l 21 40.7 144.2 20.9 165 '.5 186.4 28 40.8 144 .4 20.9 165.9 186.8

March 6 40.9 144.5 20.8 166.1 186 .9 13 41 .0 144.7 20.8 166.4 187.1 20 41 .1 144.7 20.5 166.7 187.2 27 41 .1 144.9 20.3 167.1 187.4

April 3 41.2 145.1 20.1 167.3 187.5 10 41.2 145.1 20.0 167.4 187.4 17 41 .3 145.2 19.8 167.6 187.4 24 41.3 145.3 19.8 167.8 187.6

May 1 41.4 ' 145.5 19.8 167.8 187.6 8 41.5 146.0 1 • 19.8 168.0 187.9

15 41.5 146.7 19.7 168.6 188.4 22 41.6 147.5 19.6 168.6 188.2 29 41,7 148.2 19.5

1

168.6 188.1

1 1 < • — - • ! • • • * • . •

JL/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banks.

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

Page 39: h6_19710427.pdf

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Page 40: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS (seasonally adjusted, in billions of dollars)

40

Date 1968

Nov,

Dec .

6 13 20 27

4 11 18 25

Currency

43.0 43, 43 43.

43.4 43.4 43.4 43.4

Demand deposits

152.5 152.3 152.8 153.2

153.8 154.0 154.0 154.1

Time and savings deposits

CD's 1/

23.1 23.0 23.1 23.7

24.1 24.1 24.1 24.0

Other

177.7 178.4 178.7 179.1

179.7 180.3 180.9 181.1

Total

200.8 201.3 201.9 202.8

203.8 204.5 205.0 205.1

_1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting, banks.

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

Page 41: h6_19710427.pdf

COMPONENTS OF-MONEY STOCK MEASURES AND RELATED ITEMS (seasonally adjusted, in billions of dollars)

Demand | d e p o s i t s

T ime < and savings d e p o s i t s Demand | d e p o s i t s

Date - 1969 Currency CD's 1/ Other Total

J a n . 1 43 .5 154.1 23.6 181.6 205.1 9 43 .5 154.6 22 .8 181.6 204.4

15 43.5 154.8 ] 22.0 181.6 203.6 22 43.6 154.5 21.4 181.9 203.3 29 43.7 153.8 21.0 182.0 202.9

Feb. 5 43 .8 154.5 20.7 182.5 203.2 12 43 .8 155.1 20.5 182.7 203:2 19 43 .8 155.9 20 .1 182.8 202.9 26 43 .9 156.1 19.9 183.2 203.0

March 5 .43 .9 156.1 19.4 183.2 2.02 .6 12 44,. 0 155.9 19.1 183.3 202.5 19 44 .0 156.0 18.8 183.6 202.4 26 44.2 156.2 18.6 183.8 202.4

A p r i l 2 44.2 156.6 18.5 183.9 i 202.3 9 44.2 156.6 18.5 183.9 | 202.4

16 44.2 156.8 18.3 184.0 202.2 23 44.2 156.6 18.1 184.0 202.1 30 . 4 4 . 3 156.3 17.7 184.0 201.7

May 7. 44 .3 156.1 17.8 184.0 201.8 14 44.4 157.1 17.7 184.0 201.7 21 44.4 158.1 17.3 184.4 201.7 28 44.6 158.1 17.1 184.5 201.6

1 / No o n t - i a h l p t"i mP r P i * H f -i r ,T f- £> s n f H p n n s i t i s s 11 p A i n Ac. i rim i n a t' i csr\ ei n F <;inn nnn m- mnrp i weekly reportingbanks.

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

Page 42: h6_19710427.pdf

COMPONENTS OF MONEY STOCK -i.•••;.' «*:S AND RELATED ITEMS (seasonally adjusted, in i11) ions of dollars)

- 42

Date 1969

June 4 11 18 25

July

Aug.

2 9 16 23 30

6 13 20 27

Sept. 3 10 17 24

Oct 1 8 15 22 29

Currency

44.7 44.7 44.8 44.8

44.9 44.9 45.0 45.0 45.1

45.1 45.1 45.1 45.2

45 45 45 45

45 45 45 45, 45.

Demand deposits

156.8 157.5 157.6 157.5

157.9 158.0 158.2 158.0 157.7

157.7 157.6 157.7 157.5

157 157 157 157

157 157 157 157.9 157.1

.3

.4

.5

Tire. and savings deposits

CD'

16,5 16.1 15.9 15.5

15.0 14.8 14.2 13.8 13.6

12,9 12 .7 12,4 12.2

12.0 12.0 12 . i 11.9

11.8 11.7 11.6 11.4 11.5

Other

185.3

Total

201.8

• • •' I i • I I .i, .,„., .. ..— I ~m.

_1/ Negotiable time certificates of deposit isj weekly reporting banks.

! 185.4 201.5 j 185.3 201.2 | 185.4 200.9

\ 185.3 200.2 ! 184.6 199.4 ! 184.0 198.3 j 183.7 197.5 | 183.4 196.9

' 183.2 196.1 | 183.0 195.7 i 182.9 195.3 j 182.8 195.0

1 182.9 194.9 | 182.8 1 194.8 | 182.6 194.6 | 182.9 i J

194.8

1 183.0 ! 194.8 j 1 8 2 - 9 194.6 ! 182.7 194.3 I 182.6 194.0 i 182.6 j i

i__ 1

194.0

;ued in denominations of $100,000 or more by large

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

Page 43: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS (seasonally adjusted, In billions of dollars)

- 43

Date - 1969

Nov. 5 12 19 26

Dec 3 10 17 24 31

Currency

45.7 45.8 45.9 46.0

46.0 46.0 46.1 46.1 45.9

Demand deposits

157.5 15810 157'9 157,5

157.9 157.4 14710 156 J 6 158^6

Time and savings deposits

CD's 1/

11.3 11.2 II. 1 11.0

10.9 11.1 11.3 11.3 11.2

Other

182.7 182.6 182.9 183.3

183.4 183.4 18^.2 183.5 183.6

Total

194.0 193.8 194.0 194.3

194.3 194.5 194.5 194,7 194.9

_1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banks.

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

Page 44: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 44 (seasonally adjusted, in billions of dollars)

Currency

Demand deposits

Time and savings deposits

Date - 1970 Currency

Demand deposits

CD's 1/ Other Total

Jan. 7 14 21 28

46.0 46.0 I, 46.2 ' 46.3

159.4 159.8 159.7 157.9

11.0 10,7 10.5 ! 10.4

183.4 1 3.0 182.6 182.3

194.3 193.7 193.0 192.7

Feb. 4 11 18 25

46.3 46.3 46.4 •* 46.5

157.6 157.6 158.1 158.5

10.4 10.5 10.6 10.8

182.4 182.6 182.9 183.2

192.7 193.1 193.5 194.1

March 4 11 18 25

46.5 46.6 46.7 46.8

159.3 159.3 159.3 159.8

10.9 11.0 11.4 11.7

183.3 183.4 183.6 184.1

194.3 194.4 195.0 195.8

April 1 8 15 22 29

46.9 46.9 47.1 47.2 47.4

161.4 162.6 162.5 160.1 159.4

12.1 12.5 12.9 13.1 13.1

184.8 185.2 185.3 186.0 186.3

197.0 197.7 198.2 199.1 199.5

May 6 13 20 27

:

47.5 47.6 47.6 47.7

i

160.5 161.3 162.5 162.5

13.2 13.2 13.2 13.1

186.5 186.6 187.2 187.5

| |

199.7 199.8 200.4 200.6

_1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banks.

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

Page 45: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 45 -(seasonally adjusted, in billions of dollars)

Demand deposits

Time and savings deposits Demand deposits

CD's 1/ Other j Total Date - 1970 Currency

June 3 47.7 162.4 13.1 188.2 201.2 10 47.8 161.8 12.8 188.5 201.3 17 47.8 162.3 12,9 188.9, 201.8 24 47.8 160.6 13.2 189.1; 202.3

July 1 47.9 162.1 14.3 189.5 203.8 8 '* 48.1 163.2 15.8 190.1 205.8 15 48.1 162.8 16.4 . 190.9 207.4 22 48.1 161.9 17.2 191.6 208.8 29 48.0 162.0 18.0 192.2 210.2

Aug. 5 48.1 162.4 18.1 193.3 211.4 12 48.1 163.5 18.3 194.0 212.3 19 48.2 164.5 18.8 194.1 212.9 26 48.1 164.2 19.6 . 194.7 214.3

Sept. 2 48.2 164.3 20.3 195.2 215.4 9 48.2 164.5 20.9 196.1 217.0 16 48.2 164.6 21.5 196.3 217.8 23 48,2 164.2 22.4 197.0 219.4 30 48.1 164.8 22.5 197.9 220.3

Oct. 7 48.4 165.4 22.7 198.3 221.0 14 .- 48.5 164 .-2 23.2 198.8 222.0 21 48.6 165.3 23.3 199.5 222.8 28 48.5 163.7 23.4 199.6 223.0

1/ Negotiable'time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banks.

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Page 46: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS (seasonally adjusted, in billions of dollars)

46 -

Date - 1970

Nov.

Dec,

4 11 18 25

2 9 16-23 30

Currency

48, 48. 48, 48.

48.6 48.9 49.0 49.1 49.0

Demand deposits

164.2 164.4 165.2 165.0

165.9 165.4 166.3 164.4 165.8

Time and savings deposits

CD's 1/

23 23 23 24

24 25

.4

.5

.7

.3

.7

.4 25.8 26, 26,

Other

200.0 200 201 201

202 203 203, 205 205,

Total

223.4 223.8 224.9 226.0

227.2 228.8 229.7 231.6 232.3

JL/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banks.

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

Page 47: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 47 -(seasonally adjusted, in billions of dollars)

1971 Currency

Demand deposits

Time and savings deposits

Date - 1971 Currency

Demand deposits

CD's 1/ Other Total

Jan. 6 49.2 . 166.2 26.8 206.8 233.6 13 49.1 1 166.1 27.3 206.9 234.2 20 49.2 ! 165.7 27.4 208.3 235.7 27 49.3 i 164.6 27.0 209.5 236.6

Feb. 3 ' 49.5 165.3. 27.0 210.6 237.6 10 i 49.5 166.8 1 2 .4 212.3 239.8 17 49.9 168.3 '\ 27.3 213.5 240.7 24 49.5 168.4 27.4 1 214.6 242.0

March 3 49.8 168.7 27.7 216.1 243.7 10 49.8 168.5 27.8 216.9 244.7 17 50.0 168.4 28.5 217.8 246.2 24 50.0 169.3 27.9 ; 219.2 247.1 31 50.1 170.7 27.3 220.4 247.7

1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banks.

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

Page 48: h6_19710427.pdf

COMPONENTS OF MONTY STOCK MEASURES AND RELATED ITEMS (not seasonally adjusted, in billions of dollars)

- 48

-^Demand depos i t s

Time and savings depos i t s Nonbank -^Demand depos i t s t h r i f t

Date — Currency CD's 1/ Other Tota l i n s t i t u t i o n s 2/

1964—January 32.4 125.9 10.3 102.8 113.0 136.0 February 32.3 122.0 10.8 103.7 114.5 137.0 March 32.6 120.9 10.9 104.8 115.7 138.2 Apr i l 32.8 122 .9 11.4 105.3 116.7 •139.2 May 33 .1 120.0 12.0 106.1 118.0 140.1 June 33.4 120.8 12.0 107.1 119.1 141.8 J u l y 33.7 122.3 12.3 107.7 120.0 143.1 August 33.9 122.1 12.5 108.6 121-.1 143.8 September 33.9 124.2 12.3 10,9.7 122.0 145.2 October 34 .1 126.0 12.6 110.8 123.4 146.4 November 34.6 127.3 13.0 111.1 , 124.1 147.5 December 35.0 130.3 12.9 112.3 125.2 149.3

1965—January 34.4 131.3 13.7 114.7 128.3 150.7 February 34.2 126.5 14.1 116.7 130.8 151.4 March 34.4 125.9 14.3 118.3 132.7 152.6 A p r i l 34.5 128.4 14.8 119.2 134.0 153.4 May 34.6 124.2 15.4 120.0 135.4 153.8 June 34.9 125.9 15.6 121.0 136.6 155.3 J u l y 35.4 126.7 15.9 122.4 138.3 156.3 August 35.5 126.0 16.5 123.8 140.2 156.5 September 35.7 128.6 16.2 125.2 141.4 . 157.7 October 36.0 1-30.8 16.5 127.0 143.5 158.8 November 36.5 131.9 16.6 127.7 144.3 159.7 December

:

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2/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banks^

2/ Average of beginning and end of month deposits at mutual savings banks and savings and loan shares.

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

Page 49: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 49 (not seasonally adjusted, in billions of dollars)

1 1 1 i

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Time . and savings deposits Nonbank 1 1 1 i

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1966--January 36.5 137.6 16.3 131.0 147.4 162.6 February 36.4 132.5 16.7 132.1 148.7 163.0 March 36.5 132.4 17.0 133.4 150.4 164.0 April 36.8 135.8 17.6 134.8 152.4 164.0 May 37.0 131.0 17.9 136.3 154.2 163.7 June 37 .3 132.7 17.8 136.6 154.4 164.7 July 37.8 131.5 18.3 137.9 156.2 164.7 August 37.8 130.5 18.4 139.0 157 .4 164.2 September 37.9 133.1 17.4 140.0 157.4 164.8 October 38.1 133.6 16.2 141.0 157.1 165.4 November 38.5 134.1 15.6 140.5 156.1 165.9 December 39.1 137.8 j 15.6 141.3 156.9 167.5

1967--January 38.5 137.9 17.2 143.6 160.8 169.0 February 38.3 133.4 18.5 145.6 164.1 169.8 March- 38.5 134.6 19.1 147.8 166.9 171.4 April 38.6 136.3 18.8 150.1 168.9 172.9 May 38.8 133.5 18.8 152.1 170.9 174.0 June 39.2 136.5 19.2 153.9 173.1 176.1 July 39.6 137.6 19.5 155.7 175.3 177.5 August L 39.6 137.7 20.5 157.4 177.9 178.2 September 39.7 140.0 20.2 158.9 179.1 179.6 October 40.0 142.0 20.1 160.5 180.6 180.8 November 40.4 143.4 20.8 160.6 181.4 181.6 December 41.2 147.4 20.6 161.5 182.1 183.1

iy Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banks.

2/ Average of beginning and end of month deposits at mutual savings banks and savings and loan shares.

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

Page 50: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 50 -(not seasonally adjusted, in billions of dollars)

Demand deposits

& • • • • ' • • •

Time < and savings deposits | Nonbank Demand deposits thrift

Date Currency CD's 1/ Other Total institutions 2/

1968--January 40.5 148.8

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184.3 February- 40.3 143.0 20.9 165.1 185.9 184.7 March 40.7 143.4 20.7 167.2 i 187.9 186.2 April 41.0 146.6 19.9 168.3 188.2 186.9 May 41.3 143.7 19.6 169.2 188.7 ! 187.3 June 41.8 143.6 19.3 169.6 189.0 | 188.9 July 42.3 147.8 20.7 170.6 191.3 189.6 August 42.5 147.3 22.2 172.7 194.9 189.7 September 42.7 149.6 22.2 174.6 196.7 190.9 October 42.8 151.5 23.0 176.7 199.7 192.0 November 43.6 154.1 23.8 177.6 201.4 192.9 December .44.3 159.1 23.6 179.6 203.2 194.6

1969--January 43.5 160.7 21.6 181.3 202.9 195.8 February 43.4 154.4 20.2 182.4 202.6 196.4 March 43.7 154.6 19.0 184.1 203.2 197.9 April 43.8 158.2 18.1 184.9 203.0 198.5 May 44.2 153.5 17.2 185.3 202.5 198.7 June 44.7 155.8 15.7 185.6 201.3 199.8 July 45.2 156.4 13.9 184.2 198.1 200.1 August .45.4 154.3 12.9 183.1 196.0 199.5 September 45.3 • 156.1 11.9 183.0 194.9 200.1 October 45.6 157.6 11.5 182.8 194.4 200.5 November 46.4 158.9 11.4 182.0 193.4 200.4 December 46.9 162.9 11.1 182.1 193.2 201.5

* -

1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banks.

2/ Average of beginning and end of month deposits at mutual savings banks and savings and loan shares.

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

Page 51: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 51 (not seasonally adjusted, in billions of dollars)

Currency

Demand deposits [

Time and savings deposits _ Nonbank

Date j Currency

Demand deposits [

CD's 1/ Other Total thrift

institutions 2/

1970--January 46.1 165.4 10.5 182.1 192.7 201.6 February 45.9 156.8 10.6 182.3 193.0 201.0 March 46.3 ! 158.4 11.5 184.4 195.9 202.4 April 46.6 162.6 12.8 186.5 199.3 203.5 May ' 47.3 , 158.0 13.0 188.1 201.1 204.2 June 47.7 160.1 13.2 189.2 202.3 205.9 July 48.3 160.7 I 16.6 191.5 208.1 207.5 August 48.3 160.4 19.5 194,.4 214-.0 208.2 September 48.7 163.1 21.6 196.8 218.4 209.8 October 48.5 164.5 " ' 23.2 199.3 222.5 211.7 November 49.2 166.1 24.6 200.0 224.6 213.2 December 50.0 171.1 25.8 203.0 228.7 215.9

1971--January . 49.1 172.1 27.0 207.6 234.5 219.5 February 49.2 166.3 2.7.4 212.9 240.3 222.9 March 49.5 167.7 28.0 218.9

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J7 Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banks.

2/ Average of beginning and end of month deposits at mutual savings banks and savings and loan shares.

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

Page 52: h6_19710427.pdf

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

Page 53: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS (not seasonally adjusted, in billions of dollars)

- 53 -

D e m a n d ] depos i t s 1

Time and savings deposits D e m a n d ] depos i t s 1

CD's 1/ Other Total Date - 1 964 Currency

July 1 33.3 120.4 12.0 107.3 119.3 8 34.0 121.1 12.1 107.4 119.6

15 33.9 122.4 12.2 | 107.6 119.9 22 33.8 /122 .6 12.4 107.8 120.2 29 33-5 122.6 12.5 108.0 120.4

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September 2 33.6 122.6 12.6 109.1 121.7 9 34.3 123.1 12.6 109.4 121.9

16 34.0 125.9 12.0 110.1 122.1 23 33.8 124.6 12.2 109.6 121;8 30 33.6 . 123.5- 12*3.. 110.0 122.2

October 7 34.1 124.8 12.4 110.4 122.8 14 34.2 125.9 % 12;5 110.7 123.3 21 34.1 126.2 12.6 110.8 123.4 28 33.9 126.6 12.9 | 111.0 123.8

November 4 34.1 127.9 12.8 111.2 124.0 11 34.6 127.6 13.0 1 111.1 124.1 18 34.6 127.7 13.1 111.0 124.1 25 34.6 126.2 13.1 ._ • 111.1 124.2

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weekly, reporting banks.

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

Page 54: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 54 -(not seasonally adjusted, in billions of dollars)

Demand deposits

Time and savings deposits Demand deposits

Date - 1965 Currency CD's 1/ Other Total

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April 7 34.7 126.7 14.5 119.0 133.6 14 34.7 128.7 14.7 119.2 133.9 21 34.6 130.4 14.8 119.0 133.9 28 34.1 128.2 15.1 119.2 134.3

May 5 34.4 127.2 15.1 119.0 134.1 12 34.8 125.3 15.3 119.8 ! 135.1 19 34.6 123.2 15.4 120.0 ! 135.4 26 34.5 122.5 15.5 120.2 135.7

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1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banking.

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

Page 55: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 55 -(not seasonally adjusted, in billions of dollars)

; Demand t deposits

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August 4 35.3 127.9 16.2 123.1 139.3 11 35.7 126.7 16.4 123.4 139.8 18 35.6 125.8 16.4 123.8 140.2 25 35.4 124.5 16.6 124.0 140.5

September 1 35.2 126.3 16.6 124.4 141.0 8 36.0 126.8 16.7 124.7 141.4 15 35.7 129.7 15.9 125.7 141.5 22 35.6 130.2 16.1 125.0 141.0 29 35.5 127.9 16.3 125.4 141.7

October 6 35.9 129.5 16.5. 126.0 142.5 13 36.2 130.2 16.4 126.9 143.3 20 j 36.1 131.0 j 16.5 127.1 143.6 27 35.9 131.3 ' 16.5 127.5 144.0

November 3 36.0 132.8 16.4 127.8 144.2 10 36.5 132.4 16.5 ! 127.7 144.3 17 36.5 132.4 16.5 | 127.7 144.2 24. 36.6 131.1 16.7 127.6 144.4

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1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banks.

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

Page 56: h6_19710427.pdf

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Page 57: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 57 -(not seasonally adjusted, In billions of dollars)

.Demand depos i t s

Time and savings deposi ts .Demand depos i t s

Date - 1966 Currency. • - - * 1 CD's 1/ Other Total

July 6 37.9 132.1 p — • " • • ' »' Nil i | i * M

18.2 > • • • • —it i

137.1 155.3 13 38.0 131.3 18.4 137.5 155.9 20 37.8 132.0 18.3 138.1 156.4 27 37.6 130.6 18.3 T38.4 156.7

August 3 37.6 132.4 18.3 138.5 156.8 10 38.1 130.5 18.4 • 138.6 157.0 17 ! 38.0 130.8 ! 18.6 138.9 157*5 24 37.8 129.2 i 18.3 139.3 157.7 31 37.5 130.5 18.2 139.6 157.8

September 7 38.2 131.7 • 18.0 139.5 157.6 14 38.1 133.4 17.7 139.9 157.6 21 37.9 135.6 17.2 139.9 157.1 28 37.6 131.7 17.0 140.3 157.3

October 5 37.9 133.5 16*. 7 140.7 157.4 12 38.3 133.3 16.6 140.7 157.4 19 38.1 133.8 16.0 141.4 157.3 26 37.9 133.3 15.9 140.9 156.8

November 2 37.8 134.9 15.7 141.0 156.7 9 38.5 134.1 15.7 140.7 156.5

16 38.6 134.5 15.6 140.6 156.2 23 38.6 133.4 15.5 140.4 155.9 30 38.6 133.7 15.5 140.4 155.9

December 7 39.0 135.4 15.5 140.7 156.2 14 39.1 136.6 15.4 141.1 156.5 21 39.1 140.8 15.5 j 141.2 156.6 28 39.4 137.4 15.7 141.9 157.6

1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting.banks.

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

Page 58: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 58 -(not seasonally adjusted, in billions 6f dollars)

- 1967 Currency

\Demand deposits

Time and savings deposits

Date • - 1967 Currency

\Demand deposits

CD's 1/ Other Total

January 4 38.9 140.9. 16.0 142.8 ! 158.8 11 38.9 139.2 16.5 143.1 159.6 18 38.5 139.0 17.0 143.5 160.5 25 38.1 136.2 17.9 143.8 161.7

February 1 37.9 135.7 18.1 144.5 162.7 8 38.5 134.9 18.5 144.8 163.3 15 38.5 133.7 18.5 145.5 164*0 22 38.3 132.3 18.6 146.0 164.5

March 1 38.1 132.4 18.5 146.4 164.9 8 38.7 133.1 19.0 146.8 165.8 15 38.6 134.9 18.9 147.8 166.7 22 38.6 136.2 19.1 148.0 167.1 29 38.4 133.6 19.3 148.4 167.7

April 5 38.5 135.8 19.2 149.1 168.3 12 38.9 136.4 19.1 149.6 168.8 19 38.7 137.9 18.6 150.2 168.9 26 38.4 135.6 18.6 150.5 169.1

May 3 38.5 135.4 18.6 151.0 169.6 10 39.1 133.6 18.6 151.6 170.2 17 38.9 134.2 18.7 ! 152.1 170.8 24 38.8 131.9 19.0 152.4 j ' 171.3 31 38.7 ! 133.5 19.1 152.9 172.0

June 7 39.2 135.3 19.3 153.2 172.5 14 39.4 - 136.9 19.3 153.8 173.1 21 39.3 138.5 19.0 154.1 173.0 28 39.0 135.2 19.2 154.3 173.4

1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting^banks.

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

Page 59: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS (not seasonally adjusted, in billions of dollars)

I 1967 Currency,

. Demand depos i t s

Time and savings deposi ts

Date -I

1967 Currency,

. Demand depos i t s

CD's 1/ Other Total

July 5 39.5 137.6

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19.0 155.3

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174.3 12 39.8 137.5 19.4 155.1 [ 174.5 19 1 / 39.5 138.1 19.5 155.8 175.3 26 39.3

/ 136.8 19.7 156.1 175.8

August 2 39.2 139.0 20.1 156.4 176.5 9 39.9 137.7 20.3 157.0 177.3

16 39.7 138.3 20.3 157.5 177.8 23 39.6 136.4 20.6 157.5 178.1 30 39.3 137.3 20.7 157.9 - 178.6

September 6 39.9 138.8 20.6 158.4 179.0 13 39.9 140.4 20.4 158.8 179.2 20 39.7 141.1 19.9 159.0 178.9 27 39.5 139.2 19.9 159.3 179.2

October 4 39.6 — 141.4 20.0 159.8 179.8 11 40 .2 141.7 20.1 160.1 180.2 18 40 .1 142.4 20.0 160.6 180.6 25 39.9 141.3 20.1 160.6 180.7

November 1 39.7 143.3 20.2 160.9 181.2 8 40 .4 143.7 20.4 160.8 181.2

15 40 .4 143.9 20.6 160.7 181.4 22 40.6 142.8 20.9 160.3 181.2 29 40 .6 142.8 21.1 160.6 181.7

December 6 40 .9 145.5 21.1 160.8 i 181.9 13 41 .2 145.7 21.1 161.1 182.2 20 41 .2 148.1 20.4 161.6 182.0 27 41.7 147.4 20.3 161.8 182.1

jL/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting Jbanks.

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

Page 60: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 60 -(not seasonally adjusted, in billions of dollars)

Demand depos i t s

1 ii i l i ii i«i • i m m ii ,

Time , and savings deposits Demand depos i t s

Date - 1968 Currency 1 CD's 1/ Other Total

Jan. 3 40 .9 152.3 20.1 162.6, 182.7 10 4 1 . 0 150.3 20.5 162.6 183.1 17 40 .6 150.5 20-.7 162.3 183.0 24 40 .3 146.9 20.9 163.2 184.1 31 39.9 145.7 20.9 163.9 184.9

Feb. 7 40 .4 145.8 1 20.7 . 164.4 185.1 14 40.5 143.4 20.8 164.9 185.7 21 40 .3 142.2 20.9 165.2 - 186.1 28 40 .1 ,140.6 21.1 165.6 186.7

March 6 40.5 143.1 21.0 166.1 187.1 13 40 .8 143.4 2 1 . tf 166.9 187.9 20 40.7 143.9 20.5 167 .4 187.9 27 40.5 142.8 20.6 167.6 188.2

April 3 40.7 144.5 20.3 168.2 188.5 10 41 .4 145.4 20.2 168.2 188.4 17 41 .2 149.5 19.5 168.6 188.1 24 40 .8 146.9 19.8 168.0 187.7

May 1 40.6 145.4 19.7 168.6 188.3 8 41 .4 144.5 19.7 168.7 188.4

15 41 .4 143.9 19.5 169.3 188.8 22 41 .3 142.6 19.5 169.3 188.8 29 41 .1 143.1 19.5 169.3 188.9

1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting- banks.

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

Page 61: h6_19710427.pdf

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Page 62: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS (not seasonally adjusted, in billions of dollars)

62

Date - 1968

Nov.

Dec

6 13 20 27

4 11 18 25

Currency

43.3 43.6 43.5 43.6

44.1 44.4 44.3 44.7

Demand deposits

154.8 152.9 153.9 153.9

156.3 157.0 159.4 158.9

Time and savings deposits CD's 1/

23.4 23.4 23.6 24.3

24.3 24.3 23.5 23.5

Other

177.5 177.6 177.5 177.7

178.2 178.9 179.8 179.8

Total

200.9 201.0 201.1 202.0

202.6 203.2 203.4 203.3

JL/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large weekly reporting banks.

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

Page 63: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 63 (not seasonally adjusted, in billions of dollars)

Demand deposits

Time and savings deposits Demand deposits

Date - 1969 Currency CD's 1/ Other Total

Jan. 1 43.9 163.7 22.8

i "

180.6 203.5 8 44.1 164.2 22.4 180.9 203.3 15 43.6 162.6 21.8 181.4 203.2 22 43.4 159.9 21.3 181.4 202.7 29 42.9 156.3 21.0 181.6 202.6

Feb. 5 43.3 156.9 20.6 181.8 202.4 12 43.6 154.6 20.5 182.1 202.6 19 43.4 154.4 20.1 182.4 202.6 26 43.1 152.4 20.0 182.8 202.8

March 5 43.5 154.7" "19.6 183.2 202.8 12 43.8 154.5 19.4 183.7 203.1 19 43.8 155.2 18.8 184.3 203.1 26 43.5 153.5 18.8 184.3 203.1

April 2 43.7 156.0 18.6 185.0„ 203.6 9 44.4 157.3 18.5 185.0 2»3.5 16 43.9 160.9' 18.0 185.1 203.1 23 43.7 158.3 18.0 184.6 202.6 30 43.4 156.0 17.6 184.9 202.5

May 7. 44. 1^ 154.1 - 17-,5 184.9 202.4 ' 14 44.2 ' 153.9 . .17.4 185.1 202.-5" 21 44.1 153.2 17.1 185.3 202.4 28 43 ."9 152.9 17.0 185.4 ; 202.4

J./ Negotiable time certificates of deposit issjued in denominations of $100,000 or more by larg weekly reporting banks.

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

Page 64: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 64 -(not seasonally adjusted, in billions of dollars)

- 1969 Currency

Demand d e p o s i t s

Time and savings depos i t s

Date - 1969 Currency

Demand d e p o s i t s

CD's 1/ Other To ta l

June 4 44.7 154.0 16.6 185.7 202.3 11 44 .9 155.8 16.3 185.8 202.0 18 44.7 156.9 15.6 185.7 201.3 25 44 .5 154.4 15.3 185.4 200.7

J u l y 2 44 .8 157.2 14.7 185.5 200.2 9 45 .8 156 .6 14.4 184.8 199.2

16 45.2 157.4 13.9 184.4 198.a 23 4 5 . 1 155.0 13.7 183.9 197.6 30 44.7 155.6 13.5 183.6 197.1

Aug. 6 45.4 156.0 13.3 183.3 196.6 13 45 .5 154.9 13.1 183.2 196.3 20 45 .3 154.1 12.8 183.0 195.9 27 45 .1 152.8 12.6 183.0 195.6-

S e p t . 3 45 .4 154.7 12.3 183.0 195.3 10 45.6 ' 156.4 12.1 183.0 195.1 17 45 .3 158.2 ' 11.8 182.9 194.8 24 4 5 . 1 154.2 11.7 182.9 194.6

Oct . 1 45 .0 156.1 11.7 183.2 194.9 8 45 .8 157.4 L ii-7

183.1 194.7 15 45 .8 158.3 * r li.is 182 79 194.4 22 45.7 147 .4 \ 11.4 182.8 194.2 29 45 .3 156.9 - H . 5 182.6 194.1

J7 Negotiable time certificates of deposit issueTTrT^denominations of $100,000 or more by large weekly reporting banks.

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

Page 65: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS - 65 -(not seasonally adjusted, In billions of dollars)

Currency

.Demand deposits

Time and savings deposits

Date - 1969 Currency

.Demand deposits

CD's 1/ Other Total

Nov. 5 45.9 159.7 11.5 182.5 194.0 12 46.4 158.9 11.5 182.0 193.5 19 46.3 159.5 11.4 181.8 193.2 26 46.3 157.5 11.3 181.8 193.2

/ Dec. 3 46.7 160.3 • 11.2 181.9 193.1

10 47.0 160.2 11.2 181.9 193.1 17 46.8 163.3 11.1 182.1 193.2 24 47.3 161.9 11.1 182.2 193.2 31 46.8 166.4 10.9 182.5 193.4

f „ ' J J 1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by large

weekly reporting-banks.

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

Page 66: h6_19710427.pdf

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Page 67: h6_19710427.pdf

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Page 68: h6_19710427.pdf

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS (not seasonally adjusted, in billions of dollars)

68

Jln! '1 ~ 1970 . Currency

Nov,

Dec .

4 11 18 25

2 9

16 23 30

48.5 49.3 49.2 49.1

49.3 50.0 49.8 50.2 50.1

Demand deposits

166.8 165.4 167.1 164.8

168, 168. 172. 171. 171.

Time and savings deposits

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25, 25. 25. 25. 26.

Other

199.8 199.7 200.0 200.1

200 201. 202. 203, 204.

Total

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225 227. 228. 229. 230.

1/ Negotiable time certificates of deposit issued in denominations of $100,000 or more by lnrgr weekly reporting .banks..

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