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ifflfc F E D E R A L RESERVE statistical release For immediate release WEEKLY SUMMARY OF BANKING AND CREDIT MEASURES March 1 9 , (Averages of daily figures) Week ended Mar. 18 Mar . 18 Mar . 11 Feb. 18 W e e k ended 4 wks. ended Mar . 19 Mar. 19 M a r g i n a l Reserve Measures & Interest Rates (NSA) Member bank borrowings ($ mil.) . Free or net borrowed ( - ) reserves ($ mil.) Federal funds rate Dealer loan rate 1/ 3-month Treasury bill rate 3-month CD rate (secondary market) 2/ 3-month Euro-uollar rate« U.S. Government bond rate 3J • Reserve Aggregates 817 -680 7 .82 934 -892 7.71 8.44' 8.38 6 .78 6.80 8.41 9.09 6.68 8.32 8.73 6 .91 912 -796 8.07 8.76 6.83 8.38 9.12 6.69 . ($ bil., SA) 4/ 27 .5 26 .5 27.4 27.7 Total reserves Nonborrowed reserves Required reserves 26.8; 27 .5 27.6 26.6 27 .4 W e e k ended Mar. 11 1,118 -944 9.21 9.62 7 .46 8.72 9.45 6 .79 27 .6 27 . 8 26.6 4 weeks ended Mar . 4 Mar . 1 ] Feb. H. 786 776 -691 6.82 7 .00 6.02 6 .64 8.51 6.29 -600 6 .73 6.95 6.07 6.59 8.40 6.20 27.8 27 .0 27.7 28.1 27 .3 27.9 W e e k ended Mar . 1 2 Monetary Aggregates as($ bil.., SA) Total member bank deposits Money supply. (Currency & demand deps . com.) Time deposits, all commercial banks U.S. Gov't, demand deposits, member banks — — — j 285.3 200.0 193.3 6.4 4 wks. ended Mar. 12 283.6 295.7 296 .2 196,4 . 196.7 192 .7 199.6 191.5 5.5 6.1 283.8 283.7 200 .6 193.0 4.9 1970. 200.1 202.3. 6.5 202.5 6.2 SA - Seasonally adjusted . ' S / A ^ v e ^ a g e ^ ^ 0 ^ n g e ^ ^ f ^ o f f e r i n g ^ r a t e s ' ^ n ^ n e g o t i a b l ^ c e r " i f i c a t e ^ o f ^ " d e p o s i t with 3-month maturity in secondary V 1/ market. • S d : T % e C " i T r l q % H since October 1 6 , 1969. "* A reserves due to changes in Regulations M and D of approximately $ 4 0 0 million