in billions op dollars —ar~ t1 rny- pv~ 1 us · 1/ includes fit oemand deposits al all commercial...

4
otcoyt FEDERAL RESERVE statistical release FEDfcfUL HlfttttVE Statistical fial«a«« H.t Table 1 MONEY STOCK MEASURES IN BILLIONS OP DOLLARS For Immediate fteleate JULY 24 • 1913 "1 »» —ar~ "Si T1 pT" Ms rny- pv~ 1 Us Currency M| Plus Time Deposits at M a Plus Deposits at Nonbank thrift Institutions^ M 2 Plus Mi Plus 1 Currency M| Plus Time Deposits at M 2 Plus Deposits at Nonbank | thrift v Institution^ MjPlus MjPlus Date Plus Commercial M a Plus Deposits at Nonbank thrift Institutions^ Large Large Pus Commercial M 2 Plus Deposits at Nonbank | thrift v Institution^ ! Large Large Demand Banks M a Plus Deposits at Nonbank thrift Institutions^ Negotiable Negotiable Demand Depbsltsl/ Banks M 2 Plus Deposits at Nonbank | thrift v Institution^ Negotiable Negotiable Deposits.!/ Other Than ; Large CW%V M a Plus Deposits at Nonbank thrift Institutions^ CD'ii/ Negotiable Demand Depbsltsl/ Other Than [Large CLVsff M 2 Plus Deposits at Nonbank | thrift v Institution^ i CO's# CD'sjy Si aionally Ad|utted Not Seasonally Adjusted 197*--JUNt ZeOftO 597.1 955»e 676.4 lOAl»l 2*8»2 596.5 951.2 616.2 1036.8 1043.2 260.0 599.2 ; 9*6.$ 661.9 1&U*7 AUG. 2eo.5 601.9 962*6 685.1 1046.4 211*3 598*4 I 958*7 685*5 I 1045*8 SEPL 280.1 602.4 965*0 668.2 1049*9 278*9 600.3 960*8 669.0 | 1049*5 OCT. 281*6 607.6 970.7 693.6 1056.9 m* i 605*7 i 961.4 1 694.5 1056*2 NOV. 263.6 611.6 976.9 691.1 1062.5 2B5.1 609.8 1 912*6 696*6 1059*9 otc 264.4 613.5 981.1 703.8 I012.C 292*3 6lB*6 985*1 109*1 1015.5 19T5--JAN. 282.2 615.5 987.0 708.3 1019.8 | 269.3 621.5 992*4 113*4 1084.4 FEB. 283.5 620.3 995.6 112*4 10B7.6 ! 280*4 617.9 993*3 707.1 1062*5 MAR. i 286.1 626.4 1C07.2 716*1 1001*0 263*3 625.9 1008*6 113.9 1096.6 APR. 1 287.1 630.4 1017.2 116.B 1105.6 288.7 634.8 1023*9 120.6 1109*8 MAY i 269.7 631.3 1029.7 12 2*9 1115*3 284*9 635.5 1029*6 119.6 1113.1 JUNE | r 294.0 647.3 r 1046.3 r 131.3 r 1130.3 t 292*1 v 646.1 t 1041 .9 129.1 •r 1130*2 MEEK ENDING! 1915—MAY 21 1 289.9 637.6 123.5 284.5 635.3 119.8 28 792.0 641.5 125*9 284.3 636.B 120.1 JUNE 4 j 292.4 r 643.2 121.0 289*5 r 642.? 72 3 . 1 11 294.2 64*.3 130.4 r 292.6 646.9 r 729.8 id 294.1 647.6 r 131.8 294.2 648.8 131*1 25 i r 294.8 649.1 r 133*3 290.5 r 645.4 j 121*1 JULY 2 r 293.7 «• 648.7 r 132.9 r 293*6 r 649.3 f 131*0 9 P r 293.6 r 649.6 r 133.2 295.9 ' 652.1 r 133.3 16 P 29**2 652.3 135.3 296.8 653.8 a » i i 1 135.1 1/ INCLUDES f i t OEMAND DEPOSITS Al 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 F.R.FLOATt <2) PORE!GN DEMAND BALANCES At P.R.BANKS» AND 131 CURRENCY OUTSIDE THE TREASURY. F.R.BANKS AND VAULTS Of ALL COMMERCIAL BANKS. 2/ INCLUDESt IN AOOITION 10 CURRENCY AND OEMAND DEPOSITS. SAVINGS DEPOSITS, TIME DEPOSITS OPEN ACCOUNT* AND TIME CERTIFICATES Of DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF OEPOSIT ISSUED IN DENOMINATIONS OF 1100*000 OR MORE BY LARGE WEEKLY REPORT- IN* COMMERCIAL BANKS. B/ INCLUDES M2. PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH OEPOSITS OF MUTUAL SAVINGS BANK* SAVINGS AND LOAN SHARES. ANO CREDIT UNION SHARES. 4/ INCLUDES M2. PLUS NEGOTIABLE TIME CERTIFICATES OF OEPOSIT ISSUED IN DENOMINATIONS OF 1100,000 OR MORt. */ INCLUDES M3» PLUS NEGOTIABLE TIM* CERTIFICATES OF OEPOSIT ISSUED IN DENOMINATIONS OF S100*000 OR MORE. P - PRELIMINARYl R - REVISED Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

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Page 1: IN BILLIONS OP DOLLARS —ar~ T1 rny- pv~ 1 Us · 1/ includes fit oemand deposits al all commercial banks other than those due to domestic commercial banks and the u.s .government

otcoyt

F E D E R A L R E S E R V E s t a t i s t i c a l r e l e a s e

FEDfcfUL HlfttttVE Statistical fial«a«« H.t Table 1

MONEY STOCK MEASURES IN BILLIONS OP DOLLARS

For Immediate fteleate JULY 24 • 1913

" 1 »» —ar~ "Si T1 pT" Ms rny- pv~ 1 Us

Currency M| Plus Time Deposits at

Ma Plus Deposits at

Nonbank thrift

Institutions^

M2Plus Mi Plus 1 Currency M| Plus Time Deposits at M2Plus

Deposits at Nonbank

| thrift v Institution^

MjPlus MjPlus Date Plus Commercial

Ma Plus Deposits at

Nonbank thrift

Institutions^

Large Large Pus Commercial

M2Plus Deposits at Nonbank

| thrift v Institution^

! Large Large Demand Banks

Ma Plus Deposits at

Nonbank thrift

Institutions^

Negotiable Negotiable Demand Depbsltsl/

Banks

M2Plus Deposits at Nonbank

| thrift v Institution^

Negotiable Negotiable Deposits.!/ Other Than

; Large CW%V

Ma Plus Deposits at

Nonbank thrift

Institutions^ CD'ii/ Negotiable Demand

Depbsltsl/ Other Than [Large CLVsff

M2Plus Deposits at Nonbank

| thrift v Institution^ i CO's# CD'sjy

Si aionally Ad|utted Not Seasonally Adjusted

1 9 7 * - - J U N t ZeOftO 597.1 955»e 6 7 6 . 4 l O A l » l 2*8»2 5 9 6 . 5 9 5 1 . 2 6 1 6 . 2 1 0 3 6 . 8 1 0 4 3 . 2 2 6 0 . 0 599 .2 ; 9 * 6 . $ 661.9 1&U*7

AUG. 2eo.5 6 0 1 . 9 9 6 2 * 6 6 8 5 . 1 1 0 4 6 . 4 211*3 598*4 I 9 5 8 * 7 685*5 I 1045*8 S E P L 2 8 0 . 1 6 0 2 . 4 9 6 5 * 0 6 6 8 . 2 1049*9 2 7 8 * 9 6 0 0 . 3 9 6 0 * 8 6 6 9 . 0 | 1049*5 OCT. 2 8 1 * 6 6 0 7 . 6 9 7 0 . 7 6 9 3 . 6 1 0 5 6 . 9 m* i 6 0 5 * 7 i 9 6 1 . 4 1 6 9 4 . 5 1056*2 NOV. 2 6 3 . 6 6 1 1 . 6 9 7 6 . 9 6 9 1 . 1 1 0 6 2 . 5 2B5 .1 6 0 9 . 8 1 9 1 2 * 6 696*6 1059*9 o t c 2 6 4 . 4 6 1 3 . 5 9 8 1 . 1 7 0 3 . 8 I 0 1 2 . C 2 9 2 * 3 6 l B * 6 9 8 5 * 1 1 0 9 * 1 1015 .5

1 9 T 5 - - J A N . 2 8 2 . 2 6 1 5 . 5 9 8 7 . 0 7 0 8 . 3 1 0 1 9 . 8 | 2 6 9 . 3 6 2 1 . 5 9 9 2 * 4 113*4 1084 .4 FEB. 2 8 3 . 5 6 2 0 . 3 9 9 5 . 6 1 1 2 * 4 10B7.6 ! 280*4 6 1 7 . 9 9 9 3 * 3 7 0 7 . 1 1062*5 MAR. i 2 8 6 . 1 6 2 6 . 4 1C07.2 7 1 6 * 1 1 0 0 1 * 0 263*3 6 2 5 . 9 1008*6 1 1 3 . 9 1 0 9 6 . 6 APR. 1 2 8 7 . 1 6 3 0 . 4 1 0 1 7 . 2 116 .B 1 1 0 5 . 6 2 8 8 . 7 6 3 4 . 8 1023*9 1 2 0 . 6 1109*8 MAY i 2 6 9 . 7 6 3 1 . 3 1 0 2 9 . 7 12 2*9 1115*3 2 8 4 * 9 6 3 5 . 5 1029*6 1 1 9 . 6 1 1 1 3 . 1 JUNE | r 2 9 4 . 0 6 4 7 . 3 r 1 0 4 6 . 3 r 1 3 1 . 3 r 1 1 3 0 . 3 t 2 9 2 * 1 v 6 4 6 . 1 t 1041 .9 1 2 9 . 1 •r 1130*2

MEEK ENDING!

1915—MAY 21 1 2 8 9 . 9 6 3 7 . 6 1 2 3 . 5 2 8 4 . 5 6 3 5 . 3 1 1 9 . 8 28 7 9 2 . 0 6 4 1 . 5 1 2 5 * 9 2 8 4 . 3 636 .B 1 2 0 . 1

JUNE 4 j 2 9 2 . 4 r 6 4 3 . 2 1 2 1 . 0 289*5 r 6 4 2 . ? 72 3 . 1 11 2 9 4 . 2 6 4 * . 3 1 3 0 . 4 r 2 9 2 . 6 6 4 6 . 9 r 7 2 9 . 8 id 2 9 4 . 1 6 4 7 . 6 r 1 3 1 . 8 2 9 4 . 2 6 4 8 . 8 1 3 1 * 1 25 i r 2 9 4 . 8 6 4 9 . 1 r 1 3 3 * 3 2 9 0 . 5 r 6 4 5 . 4 j 121*1

JULY 2 r 2 9 3 . 7 «• 6 4 8 . 7 r 1 3 2 . 9 r 2 9 3 * 6 r 6 4 9 . 3 f 131*0 9 P r 2 9 3 . 6 r 6 4 9 . 6 r 1 3 3 . 2 2 9 5 . 9 ' 6 5 2 . 1 r 1 3 3 . 3

16 P 2 9 * * 2 6 5 2 . 3 1 3 5 . 3 2 9 6 . 8 6 5 3 . 8

a » — — i i 1

1 3 5 . 1

1 / INCLUDES f i t OEMAND DEPOSITS Al 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 F.R.FLOATt <2) PORE!GN DEMAND BALANCES At P.R.BANKS» AND 131 CURRENCY OUTSIDE THE TREASURY. F.R.BANKS AND VAULTS Of ALL COMMERCIAL BANKS.

2/ INCLUDESt IN AOOITION 10 CURRENCY AND OEMAND DEPOSITS. SAVINGS DEPOSITS, TIME DEPOSITS OPEN ACCOUNT* AND TIME CERTIFICATES Of DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF OEPOSIT ISSUED IN DENOMINATIONS OF 1100*000 OR MORE BY LARGE WEEKLY REPORT-I N * COMMERCIAL BANKS.

B/ INCLUDES M2. PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH OEPOSITS OF MUTUAL SAVINGS BANK* SAVINGS AND LOAN SHARES. ANO CREDIT UNION SHARES.

4 / INCLUDES M2. PLUS NEGOTIABLE TIME CERTIFICATES OF OEPOSIT ISSUED IN DENOMINATIONS OF 1 1 0 0 , 0 0 0 OR MORt. * / INCLUDES M3» PLUS NEGOTIABLE TIM* CERTIFICATES OF OEPOSIT ISSUED IN DENOMINATIONS OF S100*000 OR MORE. P - PRELIMINARYl R - REVISED

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

Page 2: IN BILLIONS OP DOLLARS —ar~ T1 rny- pv~ 1 Us · 1/ includes fit oemand deposits al all commercial banks other than those due to domestic commercial banks and the u.s .government

F£DFRAt RfSfBV? ^iMshriM RH«ii*e H 6

Table 2

MONEY STOCK MEASURES PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES

U M I I I I — „ . — i — I . . I I . I — . i i . i i n i i w w — ^ ^ ^ w — •

I "i M 2 M 3 M4 M 5

Mi Plus Time n? u f u r ' e n r v Plu*

Demand Deposits ^

Deposits at Commercial

Banks Other Than

M2 Plus Deposits at Nonbank'Thrift

Institutions'-^

M-f' lus Large Negotiable CD's27

M3 Plus Large Negotiable CD's

[ Large C D ' s ^ M M M M f e M M m B B a n H m ^ B M M m M M H I M P H H H M m a i M H M I M a ^ M N M ^ a l

uwi- fuont

M A R . 1 9 7 * ( 1 M n m » r, r o f v l n U S l 11.0 13.^ 15.& 8 .5 12 .1

HFl . 1 9 7 4 If, M r W t w , " » F V t l J H ^ I 6,B 11*0 13*? 7 #8 10*9

MINK 1 9 7 4 I J ? MONTHS ^ P E V I P U S I ^•0 8*A 9.5 7*8 9 .0

F0IM> WfcfcKS INnjNf HP • J' f 1975 rnpu rpHIR w«l" • N!HN<*

A P R . I6» 197*, e n WEPKS ppfvmiiS) 10.*, 13.4 0*5

JAN, I S , r->7* ' " W f M r rPtVUIUS) 7.9 11.6 T.6

JUl> JT. 1«>74 ' *? WFFKS POfVlfHIS) *>.0 a . *> 7*6

1 / INCLUDES ( I I DFMANO l ^ n s m AT Al l COMMERCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC COMMERCIAL BANKS AND THE U.S.GOVERNMENT, LESS CASH JTfMS ?H THE PROCESS Of COLLECTION AND FJUFLOATl 12) FOREIGN DEMAND BALANCES AT F«R,BANKS* AND O l CURRENCY OUTSIDE THE TEASURY, F.R.BANKS AND VAULTS OF ALt COMMERCIAL-RANKS, '

1 / INCUDES, IN ADDITION TO CURRENCY AND DEMAND DEPOSITS, SAVINGS DEPOSITS* TIME DEPOSITS OPEN ACCOUNT* AND TIME CERTIFICATES OF DEPOSITS OTu^p THAN NEmTIAftLF TIMf rtRTIFKATES 0^ DEPOSIT ISSUED IN DENOMINATIONS OF * 100,000 OR MORE BY LARGE WEEKLY REPORT­ING CONNERCIAl BANKS*

V ^ r 1 " ! ? 6 5 **' P l M S ™ r m * A 0 I E °P t H t B f c G I * N l * G * N 0 E W D W MONTIS DEPOSITS OF MUTUAL SAVINGS BANKS* SAVINGS AND LOAN SHARES, AND

4 / INUUDES M?. PLUS NEGnTIihLF TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS Of 4100,000 Oft MORI, %/ INCLUDES N3» PLUS NEGOTIABLE TIME CFRTirlCATES OF DEPOSIT ISSUED IN DENOMINATIONS Of A100,000 OR MOKE* HOTEI ALL RATES OF CHANGE ARE BASED ON DAILY AVERAGE DAtAf RATES 0^ CHANGE ARE NOT COMPOUNDED.

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

Page 3: IN BILLIONS OP DOLLARS —ar~ T1 rny- pv~ 1 Us · 1/ includes fit oemand deposits al all commercial banks other than those due to domestic commercial banks and the u.s .government

FEDERAL RESERVE Statistical Release H 6

Table 3

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY ADJUSTED, IN BILLIONS OF DOLLAR'S

Currency Demand Deposits 1 Time and Savings Deposits

Nonhank Date Currency Demand Deposits

i CD's^ Other Total Thrift Institutions-^

| 9 7 4 ~ J U N E b*<9b 21S4 01*3 317.1 3 9 8 . 4 3S8 .7 JULY 6 4 , 8 2 1 * . 6 8 3 . 6 319*2 4 0 2 * 8 300*0 AUG, t 5 . 5 Z 1 5 . 0 ! 63*8 3 2 1 . *> 4 0 * # 2 3 6 0 . 7 SEPT, 6 5 . 9 6 4 . 8 32 2 . 7 4 0 7 . 5 361*7 OCT. 6 6 . 5 215 .2 8 6 . 2 3 2 5 , 9 4 1 2 . 1 3 6 3 . 2 NOV, 6 7 . 4 216 .2 ! 8 5 . 5 3 2 8 . 0 4 1 3 . 6 3 6 5 . 3 DEC, fc7.9 216 .5 9 0 . 3 3 2 9 . 1 41V .4 36B.2

1975 — J A N . 60*2 2 1 4 . 0 9 2 * 7 3 3 3 . 3 426 .C 3 7 1 . 5 FEB, t e . 6 2 1 4 . 7 j 9 2 . 1 3 3 6 . 8 ! 4 2 8 . 9 375*3 MAR, 6 9 . 5 2 1 6 . 6 8 9 . 8 3 4 0 . 3 4 3 0 * 0 3 8 0 . 8 APR, 6 9 , 6 217 .5 ! 8 8 . 4 343*3 4 3 1 . 7 3 8 6 . 8 HAY 7 0 , 3 2 1 9 , 4 85 .5 347*6 4 3 3 . 1 3 9 2 . 4 JUNE 7 1 . 1 r 222*8 j 8 4 . 1 r 3 5 3 . 3 4 3 7 . 3 r 3 9 9 . 0

WEEK ENDING:

? 0 . 5 219.A 8 5 . 9 3 4 7 . 7 4 3 3 . 7 1975--MAY 21 ? 0 . 5 219.A 8 5 . 9 3 4 7 . 7 4 3 3 . 7 28 7 0 . 8 221 ,2 8 4 . 4 3 4 9 . 5 4 3 3 * 9

JUNE 4 7 0 . 6 r 2 2 1 . 9 6 3 . 9 3 5 0 . 7 4 3 4 . 6 11 7 1 . 1 ! 2 2 3 . 1 8 4 . 1 3 5 2 . 1 4 3 6 . 2 18 71 .2 2 2 2 . 9 8 4 . 1 ' 353 .5 4 3 7 . 7 25 71,A r 223.A 8 4 , 2 3 5 4 , 3 4 3 8 . 5

JULY 2 j 7 1 . 0 r 2 2 2 . 7 8 4 . 2 > 3 5 5 . 0 4 3 9 . 2 9 P ' 7 1 . 5 r 2 2 2 . 0 r 8 3 . 6 r 35t>.0 4 3 9 . 7

16 P

. 1 1..11 ,_

7 1 . 4 2 2 3 . 8 8 3 . 1 3 5 7 . 1

1

4 4 0 * 1

— ., . - ^ w . . „ w W w . * r , w x* »-r̂ i » r * *,« »c ̂ \. r~ u c r u ^ i i id^ucu jn ucntunjixA i Juno ur iiuu*uuu ur* nu^c PT i*^t»t WCCM-T Kcruni-ING COMMERCIAL BANKS,

If AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARESf AND CREDIT UNION SHARES, PRELIMINARY; R - REVISED

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

Page 4: IN BILLIONS OP DOLLARS —ar~ T1 rny- pv~ 1 Us · 1/ includes fit oemand deposits al all commercial banks other than those due to domestic commercial banks and the u.s .government

FEDERAL RESERVE Statttt-.cai Rf..«a^ * f,

Table 4

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED IN BILLIONS Of DOLLARS

Currency

Demand Deposits Time ai id Savings Deposit [ Nonbank Thrift

Institutions4'

mmmmmmmmmmmmm

U.S. Gov ' t Demand^ Date Currency

Total^ 1 Member Domestic

Nonmember^ CD's^ Other i Tota-I

[ Nonbank Thrift

Institutions4'

mmmmmmmmmmmmm

U.S. Gov ' t Demand^

t ^ 7 4 ™ J U N £ 6 4 . 8 2 1 3 . 5 1 5 3 . 6 S 6 . 1 7 9 . 6 3 1 8 . 3 3 9 7 . 9 3 6 0 . 7 6 . 1 JULY 6 * * 3 2 1 4 . 7 1 5 4 . * 5 6 . * 8 2 . 8 3 1 9 . 2 4 0 2 . 0 3 6 1 . 7 5 * 4 AUG. 6 5 # 7 2 1 1 . 6 1 1 5 2 . 3 56 . 1 8 7 . 1 3 2 1 . 1 4 0 8 . 2 3 6 0 . 3 4 . 0 S € P T . 6 5 . b 2 1 3 . 1 1 5 3 . 3 5 6 . 6 8 8 . 7 1 3 2 1 . 3 4 1 0 . 1 ! j 3 6 0 . 5 | 5 . 5 o c f . 6 6 . 4 2 1 4 . 7 1 5 4 . 4 5 7 . 1 6 6 . 8 i 3 2 4 . 6 ! 4 1 3 . 3 ! 3 6 1 . 7 j 3.-» NOV. 6 7 . 9 2 1 7 . 2 j 1 ^ 6 . 0 5 7 . 7 8 7 . 1 3 2 4 . 6 4 1 1 . 7 1 3 6 3 . 0 3 . 4 DFC. 6 9 . 0 2 2 3 . 3 1 6 0 . 4 5 8 . 9 9 0 . 5 3 2 6 . 3 4 1 6 . 8 1 3 6 6 . 5 4 . 9

1 9 7 5 — J A N . 6 7 . 8 2 2 1 . 5 1 5 8 . 9 5 8 , 7 1 9 1 . 9 3 * 2 . 2 4 2 4 . 1 ! 3 7 1 . 0 4 . 0 F E B . 6 ? . 9 2 1 2 . 6 1 * 2 . 4 5 6 . 6 8<*.? 3 3 7 . 4 4 2 6 . 6 I 3 7 5 . 4 j 3 . 4 MAR, i 6 8 . 9 2 1 4 . 4 1 5 4 . 0 5 7 . 1 8 8 . 1 3 4 2 . 6 4 3 0 . 6 j 3 8 2 . 1 j - 3 . 9 APR. 6 * . 2 2 1 ^ . 5 1 * 7 . 6 5 8 . 8 8*>.8 3 4 6 . 1 4 3 2 . 0 | 3 8 9 . 1 | 1 4.*. MAY 1 70.1 2 1 4 . 8 1 * 4 . 1 5 7 . 8 6 4 . 1 ! 3 5 0 . 6 4 3 4 . 7 j 3 9 4 . 1 I 4 . 2 JUNE ; 7 i . 3 r 2 2 0 . 8 1 5 7 . 9 6 0 . 0 8 2 . 3 3 5 4 . 6 4 3 6 . 9 * 4 0 1 . 1 I 4 . 2

m%K ENDING:

1975—HAY 2 1 7 0 . i 2 1 4 . 4 1 5 3 . 8 5 7 . * \ 8 4 . 6 3 5 0 . 7 4 3 5 . 3 3 . 9 28 7 0 . 1 2 1 4 . ? 1 5 3 . 7 5 7 . * 8 3 . 9 3 5 2 . 5 4 3 6 . 4 ; 2 . 9

JUNE 4 7 C . e | 2 1 9 . 0 r 1 5 6 . 9 59 .C 6 3 . 1 3 5 3 . 1 4 3 6 . 2 3.1 11 7 1 . 7 1 2 2 0 . 8 T 1 5 7 . 7 6 0 . 3 | 8 2 . 9 3 5 4 . 3 437.2 J 3 . 4 18 7 1 . 4 r 2 2 2 . 8 1 5 9 . 2 6 0 . 6 8 2 . 3 3 5 4 . 6 4 3 6 . 9 5 . 8 25 7 1 . 0 r 2 1 9 . 5 1 5 6 . 9 5 9 . 6 8 1 . 7 3 5 4 . 9 436 .-6 4 . 9

JULY 2 7 1 . 4 * 2 2 2 . 2 r 1 5 8 . 9 r 6 0 . 0 \ 8 1 . 7 3 5 5 . 7 ] 4 3 7 . 4 r 3 . 1 9 P 7 3 , 0 r 2 2 2 . 9 r 1 5 8 . 8 6 1 . 1 r 8 1 . 4 r 3 5 6 . 2 r * 3 7 . 6 4 * 4

1 6 P 7 2 . 2 2 2 4 . 5 1 5 9 . 9 6 1 . 5 1 8 1 . 3 3 5 7 . C 4 3 8 . 3 3 . 6

1 / TOTAL DEPOSITS INCLUDE, \K ADDITION TO THE MEMBER AND DOMESTIC NONMEMtLR DEPOSITS SHOWN, DEPOSITS bUE TG FOR^lGN^ANO INTERNATIONAL INSTITUTIONS AT FVR.EANKS" AND Ml TYPE BALANCES AT AGENCIES AND BRANCHES OF FOREIGN B^NKS.

2/ fi*SEC CN MOST RECFNT CALL RtPORT SINGLE-LAY OBSERVATIONS. 3 / INCLUDES NEGOTIAHLF TIME I. ER TI F l c W f ! §, 0F_ DE PCS I T * 1SSUE 0 I N CfNOHINATIONS OF M O O , 0 0 0 OR MORE BY LARGE WEEKLY

REPORTING COMMERCIAL EANKS. AY AvCR*GE OF BEGINNING AND t ND OF MONTH DEPOSITS AT MUTUAL SAVINGS EANKS, SAVINGS AND LOAN SHARES* AND CREDIT UNION 5*4AR£5* 5 / U.S.GOVERNMtNT n^MANC CtPLSITS AT ALL COMMERCIAL BANKS. P - PRELIMINARY; R - REVISE': Digitized for FRASER

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