federal reserv e · in6 commercial banks. 3/ includes m, plus the average op the beginning and end...

4
FEDERAL RESERVE statistical release «M FEDERAL RESERVE Statistical Relealft H 6 Tibia 1 MONEY STOCK MEASURES IN BILLIONS OF DOLLARS For Immediate Release AUG. 7f 1975 Ml f Hlllft»|jiill«i Mm*»-i\ ilMM 1)11 llW—• "4 | Ms ~Ttr- M 2 *3 i M 4 M5 Date Currency | Mt Plus Time Deposits at M^PlUft Deposits at Nonbank ! Thrift J Institutions^ M 2 P)us ! M 3 Plus Currency M, Plus Time Deposits at M 2 Plus Deposits at Nonbank i Thrift Institutions 3 M 2 Plus M a Pius Date Plus Commercial M^PlUft Deposits at Nonbank ! Thrift J Institutions^ Large Large Plus Commercial M 2 Plus Deposits at Nonbank i Thrift Institutions 3 Large 1 Large Demand Banks M^PlUft Deposits at Nonbank ! Thrift J Institutions^ Negotiable! Negotiable CD'si/ Demand Banks M 2 Plus Deposits at Nonbank i Thrift Institutions 3 Negotiable < Negotiable DepositsV OtherThan Large CD's2/ M^PlUft Deposits at Nonbank ! Thrift J Institutions^ CO^ai/ I Negotiable CD'si/ S Deposits!/ Other Than j Large CD's V M 2 Plus Deposits at Nonbank i Thrift Institutions 3 ! CD's4/ CD'stf Seatonally Adju•tad MIMMMKM.MMM Not Seaionaily Ad uited 1974—JUNE 280.0 597.1 955.8 676.4 1037.1 276.2 j 396.5 957.2 676.2 1036.6 JULY 280.4 399.6 959.6 683.2 1043*2 260#O 399.2 960.9 681*9 1043.7 AUG* 280.3 601.9 962.6 685.7 1046.4 277#3 598*4 958.7 663.5 1043.8 SEPT. 260.7 603 .4 965.0 686.2 1049.9 278.9 600.3 960.8' 689.0 1049.5 OCT. 261.6 607.6 970#7 693.8 1036*9 281.2 605.7 967.4 I 694.5 1056.2 NOV* 263.6 ! 611.6 976.9 69T#t 1062.5 283.1 609.8 ! 972.8 1 696.6 1 1059.9 DEC. 284.4 J&13.5 981.7 703.8 1072.0 292.3 | 618.6 965.1 | 709.1 1075.5 1975—>JAN. 2B2.2 613.$ 967.0 708.3 1079.6 289.3 621.5 992.4 i 713.4 1084.4 fee. { 283.$ 620 «3 993.6 712.4 1087.6 280.4 617.9 I 993.3 707.1 1082.5 MAR. 286.1 626.4 1007.2 716.1 1097.0 283.3 625.9 ; 1008.6 713.9 1096.6 APR. 267.1 630.4 1017.2 716.6 1105.6 I 269.7 634.8 I 1023.9 720.6 1109.8 MAY 2B9fc7 637.3 1029.7 722.9 1113.3 1 284.9 635.5 1029.6 719.6 1113.7 JUNE 294.0 647.3 1046.3 731.3 1130.4 292.1 r 646.6 1047*9 729.1 1130.2 WEEK ENDINGi 19? 5 — JUNE 4 292.4 643.2 727.0 289.5 64Z.7 725.7 U 294.2 646.3 730.4 : 292.6 646.9 729.8 IB 294.1 647.6 731.8 294.2 648.8 731.1 25 294.6 649.1 733.3 290.5 645.4 727.1 JULY 2 293.7 646.7 732.9 i 293.6 649.3 731.0 9 293.3 649.6 1 733.3 1 295.9 r 652.2 733.5 16 r 299.3 632 #4 i t 733.4 | t 296.9 654.0 733.2 23 P 294,9 r 652.7 734.3 1 292.2 r 650.0 731.2 30 P 293.4 I 651.6 732.3 289.9 648.1 729.6 V INU.UBES l i t BEIIi MB BHW!!T! AT ALL C« brarcnr K! VWtm lAb TWflU d Ife 16 bbiiil 1 M CtiWERCli AL SAWCS AR& TH£ U.S.GOVERNMENT* LESS CASH JX£fcS_lNJME_£R0CFS5 J3LF COLLECTION AND F«ft»FLOATt €21 FOREIGN DEMAND BALANCES AT F.R.BAN^S; AND 131 CURRENCY OUTSIDE THE TREASURY^ F.R.BANKS AND VAULTS OF ALL COMMERCIAL BANKS. 2/ INCLUOESt IN ADDITION TO CURRENCY AND DEMAND D E P O $ I T S ; SAVINGS OEPOSITS, TIME DEPOSITS OPEN ACCOUNT, AND TIME CERTIFICATES OF DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF OEPOSIT ISSUBO I N DENOMINATIONS OF 6 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORT- ING COMMERCIAL BANKS. 3/ INCLUDES N2, PLUS THE AVERAGE OF THE BEGINNING AND EHD OF MGtfTH DEPOSITS OF MUTUAL SAVINGS BANK, SAVINGS ANO LOAN SHARES, ANO CREDIT UNION SHARES. 4/ INCLUDES M2, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE. 5/ INCLUDES M3t PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF 1100,000 OR MORE. P - PRELIMINARY I R - REVISED Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

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Page 1: FEDERAL RESERV e · in6 commercial banks. 3/ includes m, plus the average op the beginning and end op month deposits of mutual savings banks, savings and loan shares, and credit union

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 « M

FEDERAL RESERVE Statistical Relealft H 6 Tibia 1

MONEY STOCK MEASURES IN BILLIONS OF DOLLARS

For Immediate Release AUG. 7 f 1975

Ml f Hlllft»|jiill«i Mm*»-i\ ilMM 1)11 l l W — •

"4 | Ms ~Ttr- M 2 * 3 i M4 M5

Date Currency |

Mt Plus Time Deposits at M^PlUft

Deposits at Nonbank !

Thrift J Institutions^

M2P)us ! M3Plus Currency M, Plus Time Deposits at

M2 Plus Deposits at Nonbank

i Thrift Institutions 3

M2 Plus MaPius Date Plus Commercial

M^PlUft Deposits at

Nonbank ! Thrift J

Institutions^

Large Large Plus Commercial

M2 Plus Deposits at Nonbank

i Thrift Institutions 3

Large 1 Large Demand Banks

M^PlUft Deposits at

Nonbank ! Thrift J

Institutions^

Negotiable! Negotiable CD'si/

Demand Banks

M2 Plus Deposits at Nonbank

i Thrift Institutions 3

Negotiable < Negotiable DepositsV OtherThan

Large CD's2/

M^PlUft Deposits at

Nonbank ! Thrift J

Institutions^ CO^ai/ I Negotiable

CD'si/ S Deposits!/ Other Than j Large CD's V

M2 Plus Deposits at Nonbank

i Thrift Institutions 3 ! CD's4/ CD'stf

Seatonally Adju •tad M I M M M K M . M M M

Not Seaionaily Ad uited

1974—JUNE 2 8 0 . 0 597.1 9 5 5 . 8 6 7 6 . 4 1037.1 2 7 6 . 2 j 3 9 6 . 5 9 5 7 . 2 6 7 6 . 2 1 0 3 6 . 6 JULY 2 8 0 . 4 399.6 959.6 683.2 1043*2 260#O 3 9 9 . 2 9 6 0 . 9 6 8 1 * 9 1 0 4 3 . 7 AUG* 2 8 0 . 3 601.9 962.6 6 8 5 . 7 1 0 4 6 . 4 277#3 5 9 8 * 4 9 5 8 . 7 6 6 3 . 5 1 0 4 3 . 8 SEPT. 2 6 0 . 7 603 . 4 965.0 6 8 6 . 2 1 0 4 9 . 9 2 7 8 . 9 6 0 0 . 3 9 6 0 . 8 ' 6 8 9 . 0 1 0 4 9 . 5 OCT. 2 6 1 . 6 6 0 7 . 6 9 7 0 # 7 6 9 3 . 8 1 0 3 6 * 9 2 8 1 . 2 6 0 5 . 7 9 6 7 . 4 I 6 9 4 . 5 1 0 5 6 . 2 NOV* 2 6 3 . 6 ! 6 1 1 . 6 9 7 6 . 9 6 9 T # t 1 0 6 2 . 5 2 8 3 . 1 6 0 9 . 8 ! 9 7 2 . 8 1 6 9 6 . 6 1 1 0 5 9 . 9 DEC. 2 8 4 . 4 J&13.5 9 8 1 . 7 7 0 3 . 8 1 0 7 2 . 0 2 9 2 . 3 | 6 1 8 . 6 9 6 5 . 1 | 7 0 9 . 1 1 0 7 5 . 5

1975—>JAN. 2 B 2 . 2 6 1 3 . $ 9 6 7 . 0 7 0 8 . 3 1 0 7 9 . 6 2 8 9 . 3 6 2 1 . 5 9 9 2 . 4 i 7 1 3 . 4 1 0 8 4 . 4

f ee . { 2 8 3 . $ 620 «3 9 9 3 . 6 7 1 2 . 4 1 0 8 7 . 6 2 8 0 . 4 6 1 7 . 9 I 9 9 3 . 3 7 0 7 . 1 1 0 8 2 . 5 MAR. 2 8 6 . 1 6 2 6 . 4 1 0 0 7 . 2 7 1 6 . 1 1 0 9 7 . 0 2 8 3 . 3 6 2 5 . 9 ; 1 0 0 8 . 6 7 1 3 . 9 1 0 9 6 . 6 APR. 2 6 7 . 1 6 3 0 . 4 1 0 1 7 . 2 7 1 6 . 6 1 1 0 5 . 6 I 2 6 9 . 7 6 3 4 . 8 I 1 0 2 3 . 9 7 2 0 . 6 1 1 0 9 . 8 MAY 2B9fc7 6 3 7 . 3 1 0 2 9 . 7 7 2 2 . 9 1 1 1 3 . 3 1 2 8 4 . 9 6 3 5 . 5 1 0 2 9 . 6 7 1 9 . 6 1 1 1 3 . 7 JUNE 2 9 4 . 0 6 4 7 . 3 1 0 4 6 . 3 7 3 1 . 3 1 1 3 0 . 4 2 9 2 . 1 r 6 4 6 . 6 1 0 4 7 * 9 7 2 9 . 1 1 1 3 0 . 2

WEEK ENDINGi

19? 5 — JUNE 4 2 9 2 . 4 6 4 3 . 2 7 2 7 . 0 2 8 9 . 5 6 4 Z . 7 7 2 5 . 7 U 2 9 4 . 2 6 4 6 . 3 7 3 0 . 4 : 2 9 2 . 6 6 4 6 . 9 7 2 9 . 8 IB 2 9 4 . 1 6 4 7 . 6 7 3 1 . 8 2 9 4 . 2 6 4 8 . 8 7 3 1 . 1 25 2 9 4 . 6 6 4 9 . 1 7 3 3 . 3 2 9 0 . 5 6 4 5 . 4 7 2 7 . 1

JULY 2 2 9 3 . 7 6 4 6 . 7 7 3 2 . 9 i 2 9 3 . 6 6 4 9 . 3 7 3 1 . 0 9 2 9 3 . 3 6 4 9 . 6 1 7 3 3 . 3 1 2 9 5 . 9 r 6 5 2 . 2 7 3 3 . 5

16 r 2 9 9 . 3 632 #4 i t 7 3 3 . 4 | t 2 9 6 . 9 6 5 4 . 0 7 3 3 . 2 23 P 2 9 4 , 9 r 6 5 2 . 7 7 3 4 . 3 1 2 9 2 . 2 r 6 5 0 . 0 7 3 1 . 2 30 P 2 9 3 . 4 I 6 5 1 . 6 7 3 2 . 3 2 8 9 . 9 6 4 8 . 1 7 2 9 . 6

V INU.UBES l i t BEIIi MB BHW!!T! AT ALL C« brarcnr K! VWtm lAb TWflU d Ife 16 bbiiil1 M CtiWERCli AL SAWCS AR& TH£ U.S.GOVERNMENT* LESS CASH JX£fcS_lNJME_£R0CFS5 J3LF COLLECTION AND F«ft»FLOATt €21 FOREIGN DEMAND BALANCES AT F .R .BAN^S; AND 131 CURRENCY OUTSIDE THE TREASURY^ F.R.BANKS AND VAULTS OF ALL COMMERCIAL BANKS.

2 / INCLUOESt IN ADDITION TO CURRENCY AND DEMAND DEPO$ITS; SAVINGS OEPOSITS, TIME DEPOSITS OPEN ACCOUNT, AND TIME CERTIFICATES OF DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF OEPOSIT ISSUBO I N DENOMINATIONS OF 6 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORT­ING COMMERCIAL BANKS.

3 / INCLUDES N2 , PLUS THE AVERAGE OF THE BEGINNING AND EHD OF MGtfTH DEPOSITS OF MUTUAL SAVINGS BANK, SAVINGS ANO LOAN SHARES, ANO CREDIT UNION SHARES.

4 / INCLUDES M2, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE. 5 / INCLUDES M3t PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF 1 1 0 0 , 0 0 0 OR MORE. P - PRELIMINARY I R - REVISED Digitized for FRASER

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

Page 2: FEDERAL RESERV e · in6 commercial banks. 3/ includes m, plus the average op the beginning and end op month deposits of mutual savings banks, savings and loan shares, and credit union

FEDERAL RESERVE SUII l t le i l R«l«aie H 6

Tibls 2

MONEY STOCK MEASURES PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES

^mmammmmmmmmmmmmmmmmmm^mmmmmmmt^mmm^mmmmmmmmmmmmmmmmmmmmmmmm , _ MM—imwmmtmmmm rniiriw^ "" «1 " _ mtmmmtmmmmammmmm^mmmmmmmi

M 5

DATE

fe ~n..a.,ri«*. , , , _ . , - , [ f • » • ! ! • ! ii . ••!• m . . ^ a a a ^ M — i ^ — M M f i a B B a a j J

i Currency Plus | Demand Deposits-5'

Mi Plus Time 1 Deposits at Commercial

Banks Other Than Large CD's^

M2 Pius Deposits at Nonbank*Thr)ft

institutions'-^/ |

LL-L-tJIt - H t l l W T M M M — J

M2 Pius Large Negotiable CD's^l

Mj Plus Large Negotiable CD's'2'

JUNE PRONt

HAK. 1975 (3 HONTH5 PREVIOUS* 1 11*0 13*3 1$.$ 6.5 12*2

DEC. 1974 (6 MONTHS PREVIOUS) ! 6.8 11*0 13*2 7*e 10.9

JUNE 1974 (12 MONTHS PREVIOUS) 5.0 6.4 9*3 7.8 9*0

fOUR WEEKS ENDINGi JULY 30* 19*5 FROM POUR WEEKS ENDING*

APR. SOt 1973 (13 WEEKS PREVIOUS) 10.5 13.5 0.5

JAN. 29, 1979 (26 WEEKS PREVIOUS) 8*6 1UB 7*3

JULY 31t 1974 132 WEEKS PREVIOUS) 3.0

M i B H I B i p M W W i H i

7*4

LESS CASH ITEMS IN THE PROCESS OF COLLECTION AND P.R.FLOATt U l FOREIGN D^A>» BALANCES AT F.R.BANKS, AND (3> CURRENCY OUTSIDE THE TEASURY, F.R.BANKS AND VAULTS OF ALL-COMMERCIAL BANKS.

2/ INCLUDES, IN ADDITION TO CURRENCY AND DEMAND DEPOSITS. SAVINGS DEPOSITS, t f t f t DEPOSITS OPEN ACCOUNT, AND TIME CERTIFICATES OF DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENWtfNATIONS OP" *100»000 OR MORE BY LARGE WEEKLY REPORT* IN6 COMMERCIAL BANKS.

3/ INCLUDES m, PLUS THE AVERAGE OP THE BEGINNING AND END OP MONTH DEPOSITS OF MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARES, AND CREDIT UNION SMARESW

* / INCLUDES M2, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMIfltAjTlONS OF »100,000 OR MORE. » / INCLUDES M3, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF 1160,000 DR MORE. NOTE I ALL RATES OF CHANGE ARE BASED ON DAILY AVERAGE DATA! RATES OF CHANGE A&gf NO? COMPOUNDED. Digitized for FRASER

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

Page 3: FEDERAL RESERV e · in6 commercial banks. 3/ includes m, plus the average op the beginning and end op month deposits of mutual savings banks, savings and loan shares, and credit union

FEDERAL RESERVE Statistical Ra)*Ata H.6

Tlblt3

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS

mmamammmmmmmmmmmmKpmmmmmmmmm.

Currency

M M M M M * * M M i i l

Demand Deposits Timi iftd Sivtftti Deposits

Nonbank Thrift Institutions^ Date Currency

M M M M M * * M M i i l

Demand Deposits CD's^ Other Total

Nonbank Thrift Institutions^

1974—JUNE 64*6 215.4 81*3 317*1 $96 , 4 3 5 8 * 7 JULY 6 4 . 8 2 1 5 . 6 8 3 * 6 319*2 i 4 0 2 * 6 $60 »0 AUG. 6 5 . 5 2 1 5 * 0 rt3*6 3 2 1 * 5 1 405*2 360*7 SEPT. 6 5 . 9 2 1 4 . 8 64 *8 3 2 2 * 7 4 0 7 * 5 3 6 1 * 7 OCT. 66 »* 2 1 5 . 2 6 6 . 2 325*9 412*1 3 6 3 * 2 NOV. 6 7 . 4 216*2 6 5 * 5 3 2 6 * 0 4 1 3 * 6 3 6 5 * 3 DEC. 6 7 * 9 2 1 6 * 5 ^ 0 . 3 3 2 9 . 1 4 1 9 . 4 3 6 8 . 2

1 9 7 5 — J A N . 6 8 . 2 2 1 4 * 0 9 2 * 7 3 3 3 . 3 4 2 6 . 0 j 3 7 1 . 5 EEB. 6 8 . 6 2 1 4 * 7 9 2 * 1 3 3 6 * 8 4 2 6 . 9 I 3 7 5 . 3 HAR. 6 9 . 5 2 1 6 * 6 1 6 9 * 8 1 340*3 4 3 0 * 0 ! 3 8 0 * 6 APR. 6 9 . 6 2 1 7 * 5 8 6 * 4 3 4 3 * 3 4 3 1 * 7 I 3 6 6 * 8 MAY 7 0 . 3 2 1 9 . 4 8 5 . 5 3 4 7 . 6 4 3 3 . 1 3 9 2 . 4 JUNE j r 7 1 . 2 2 2 2 * 6 6 4 * 1 3 5 3 . 3 4 3 7 . 3 | ! 3 9 9 . 0

WEEK ENDING:

1975--JUNE 4 7 0 . 6 2 2 1 . 9 & 3 . 9 i 350*7 4 3 4 * 6 11 7 1 . 1 2 2 3 . 1 8 4 * 1 352-'. 1 i 4 3 6 . 2 16 7 1 . 2 2 2 2 . 9 8 4 . 1 3 5 3 ; 5 4 3 7 . 7 25 7 1 . 4 2 2 3 . 4 6 4 . 2 1 3 5 4 . 3 4 3 6 . 5

JULY 2 7 1 . 0 2 2 2 * 7 8 4 * 2 355 . 0 4 3 9 . 2 9 7 1 . 6 222 .U 8 3 . 6 3 5 6 . 1 4 3 9 . 7 j

16 7 1 . 4 r 2 2 3 . 9 6^*9 357 .2 4 4 0 . 1 23 P 7 1 . 5 2 2 3 . 4 6 1 . 7 r 357 .8 4 3 9 . 5 30 a 7) . 5 2 2 1 . 8 8 0 . 6 3 5 8 . 4 4 3 9 . 0

1 / INCLUDES NEG0TTA3LF TIMF CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF 1100*000 OR *ORE BY LARGE WEEKLY REPORT ING COHMtKClAL BANK^»

2 / AVfcRAGE UE BEGINNING AND cNO OF MONTH DEPOSITS AT MUTUAL SAVINGS dANKSt SAVINGS AND LOAN SHARES» AND CREDIT UNION SHARES. P - PRELIMINARYi R - REVISED

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

Page 4: FEDERAL RESERV e · in6 commercial banks. 3/ includes m, plus the average op the beginning and end op month deposits of mutual savings banks, savings and loan shares, and credit union

noinM RES r im sutut»c»i R«I«»». H e

Tabl» 4

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

Currency

Demund Deposits Tlmtt and Savings Deposit Nonbank Thrift

Institutions^

<**—*—mmmmmnmanm

U S Gov't Demand w Date Currency

Total^ Member Domestic

Nonmember̂ CD's**' Other total

Nonbank Thrift

Institutions^

<**—*—mmmmmnmanm

U S Gov't Demand w

lV?/t--JUNE , 64. 8 213.6 153.6 56.1 79*6 316.3 397*9 360.7 6 . 1 JULY 6r>*3 214.7 154.4 56.5 82*6 1 319*2 402*0 361*7 5.4 AUb. 65.7 j 211.6 152.3 56.1 07.1 321.1 408.2 360.3 4 * 0 SEPT. 65.8 213.1 153.3 56.6 86 .1 321*3 410.1 360*5 £.5 OCT. 66.4 214.7 15^.4j 57.1 66.8 324.6 ! 413.3 361.7 3 . 7 NOV* 6**9 217.3 156.0 57*7 6 7 . t ! 324.6 411.7 363.0 3 . 4 O K * 69 .0 223.3 160. * 56.9 90*5 326.3 416*8 366.5 4 . 9

1 9 7 5 - - J A N . 67*8 221.9 156.9 58.7 <U.9 332*2 424.1 371*0 4 * 0 FCB. 67.9 . 212.6 152 .V 56.6 89.2 337*4 426*6 j 375.4 3 . 4 MAR. 6B.9 214.4 154.0 * 7 . 1 8 8 . 1 342*6 430.6 382.7 3*9 APR. 69.2 219.5 157.6 56*8 85.8 346*1 432*0 389*1 4 . 2 MAY 70*1 214.B 154.1 57 . 8! 64*1 350*6 434*? 394*1 4 . 2 JUNfc 71.3 220.8 157.9 60.0 ea .a 354*6 436*9 401*1 4 * 2

WEEK fcNDING:

70.6 219.0 156.9 59*0 83*1 353*1 436*2 1975—JUNE A 70.6 219.0 156.9 59*0 83*1 353*1 436*2 3 . 1 11 71.7 ^20* 6 157.7 60.3 i B2tj> 354*3 437*2 3 . 4 18 71.4 222.8 159.3 60.6 8t#3 3*4*6 436*9 5*8 25 71.0 219.5 156.9 59.6 61*7 3»4»* 436.6 4 . 9

JULY 2 71 .4 222.2 156*9 60.0 81*? m#? i 437*4 3 * 1 9 73 .1 222.9 158.7 61.1! 61 ,4 356*2 ! 437*6 4 . 4

16 72.3 224.5 r 160.0 61.5 fU.2 t 3» f * l r 438*3 3 . 6 23 P 71.6 r 2 2 0 . * 157.5 60.0 * 61*2 tf 3*7*7 439*0 3 . 4 30 P 71.2 21B.7 156.6 59.2 61*5 3S1*2 439*7 2*7

— 1 / TBTAL 6EMSIT5 INCLUBE;1 ' lN ASSl'TIBlH B THE HPHB Eft AWB BUHI mt umm ImnroBH ™wffrw wmTTwr1 TO POkekdN W M INTERNATIONAL INSTITUTIONS AT F.R.BANKS AND HI TYPE BALANCES AT AGfiNttfeS AMB &ftMt£HlS W MHWH BANKS.

2 / BASED ON HOST RECENT CALL REPORT SINGLE-DAY OBSERVATIONS. 3 / INCLUDES NEGOTIABLE TIHE CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF ttOD.OOD OR MORE BY LARGE MEEKLY

REPORTING COHHERCIAL BANKS* 4 / AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS* SAVING! AND LOAN SHARES* AND CREDIT UNION SHARES* 5/ U.S.GOVERNHENT DEMAND DEPOSITS AT ALL COHHERCIAL BANKS* W - PRELIHINARYft R - REVISED

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