The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
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 f*Al RtSV WEEKLY H. 9 S U M M A R Y OF (Averages 4 w e e k s ended W e e k ended • • Jan. Marginal Reserve Measures & Interest Member bank borrowings ($ m i l . ) F r e e or net b o r r o w e d ( - ) r e s e r v e s Rates ($ b i l . , \ (9, m i l . ) 864 -861 8.96 9.57 7.88 8.93 10.34 6.89 27.9 27.0 27.9 reserves Jan. Monetary Aggregates ($ b i l . , Jan. Jan. 7 14 Dec. 854 " -584 8.45 9.30 7.92 8.97 10. 34 6.93 -715 8.83 9.48 7.91 8.84 10.68 1,161 -998 8.78 9.53 7.66 8.66 10.99 6.95 6.84 979 28.1 27.1 27.8 W e e k ended 7 Dec. 31 27.9 27.0 27.7 27.9 26.6 27.7 4 w e e k s ended Jan. 7 D e c . 10 286.3 202.5 193.3 3.9 286.2 202.9 193.9 3.7 285.6 200.5 193.9 4.4 286.0 199.3 193.6 5.6 N S A - Not s e a s o n a l l y a d j u s t e d . SA - s e a s o n a l l y a d j u s t e d . 1/ U n w e i g h t e d a v e r a g e r a t e s on loans posted by major N e w Y o r k C i t y b a n k s . *2/ A v e r a g e of r a n g e of o f f e r i n g rates on n e g o t i a b l e c e r t i f i c a t e s of d e p o s i t w i t h 3/ 4/ 687 -455 6.30 6. 68 6.14 6.53 7.64 5.98 841 -402 6.23 6.65 6.19 6.52 . 7,43 6.01 28.2 27.4 27.9 28.3 27.6 28.1 W e e k ended Jan. 8 4 wks. ended Jan. 8 SA) Total member bank deposits M o n e y s u p p l y (Currency & d e m a n d d e p s . c o m . ) T i m e d e p o s i t s , all c o m m e r c i a l b a n k s U.S. Gov't, demand deposits, member banks market. D a i l y a v e r a g e yield on 2 0 - y e a r i n c l u d e s increases in required since O c t o b e r 16, 1 9 6 9 . 17 SA)"-4/ Total reserves Nonborrowed reserves Required 14 Y e a r - a g o data W e e k ended 4 w k s . ended J a n . 15 J a n . 15 (NSA) F e d e r a l funds rate D e a l e r loan rate V 3 - m o n t h T r e a s u r y bill rate 3 - m o n t h CD rate ( s e c o n d a r y m a r k e t ) 2_/ 3 - m o n t h E u r o - d o l l a r rate U . S . G o v e r n m e n t b o n d rate 3/ Reserve Aggregates For i m m e d i a t e releaseJ a n u a r y 15, 1970. BANKING AND CREDIT MEASURES of d a i l y f i g u r e s ) bonds. r e s e r v e s due to c h a n g e s in R e g u l a t i o n s M and 298.9 196.8 203.9 4.5 298.6 195.4 204.9 4.2 3-month maturity in s e c o n d a r y D of a p p r o x i m a t e l y . $400 million