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f & l

FEDERAL

m .

RESERVE

s t a t i s t i c a l

r e l e a s e

WEEKLY SUMMARY OF BANKING AND CREDIT MEASURES
(Averages of d a i l y f i g u r e s )

For Immediate Release
June 22, 1972

Percept Change ( S e a s o n a l l y Adinst-P.d A m „ a i
Reserve Aggregates 1/
Total reserves
Nonborrowed r e s e r v e s
Required r e s e r v e s
Reserves A v a i l a b l e t o Support P v t . Nonbank D e p o s i t s

Monetary Aggregates
M^ (Currency plus demand d e p o s i t s )
Mg (M^ p l u s time d e p o s i t s a t commercial banks)
o t h e r than l a r g e time CD's)
A d j u s t e d c r e d i t proxy 2 /
Time d e p o s i t s , a l l commercial banks
U.S. Government demand d e p o s i t s , member banks

Week ended
June 21 | June 14
($ Bil
33.22
32.98
33.16
32.90
32.93
32.86
30.33
30.06

Week ended
|
4 Wks . ended
~1 June 7 I June 14 | May 17
($ B i l . , SA)
236:6
236.,1
235.3
236. 5
488.,5
485.0
490.0
489..3
1
381.7
383.,0
290.7
289.• 6
5.1
6.,9
Week ended

Other Reserve Measures & I n t e r e s t Rates
Member bank borrowings ($ m i l . )
F r e e or net borrowed ( - ) r e s e r v e s ($ m i l . )
F e d e r a l funds r a t e
3-month T r e a s u r y b i l l r a t e
90-119 day d e a l e r placed commercial paper r a t e 3/
3-month CD r a t e (secondary market) 4 /
3^menth E u r o - d o l l a r r a t e
.S. Government bond r a t e 5 /
NSA--Not S e a s o n a l l y A d j u s t e d .

4 Wks . ended
June 21 | May 24
SA)
32.74
33.13
32.66
33.03
32.59
32.89
29.90
30.18

382.,1
379.1
289..3
285.6
6.,7
7.1
4 Wks. ended

Average of 4 Weeks Ended June 21
1
;
13 weeks previous | 26 weeks previous
16.5
16.3
15.8
8.7

93
116
46
97
4 .46 . 4 . 43
3. 86
3 .85
4. 49
4 .50
4. 50
4 .56
4 . 80
4.79
6. 00
6.01

6.2
8.5
13.6
13.9

12.4
16.2

9.6
8.6
7.2
|

from 4 Week Averages
52 weeks previous

7.2
11.2

77
74
4.25
3.66
4 .47
4.44
4.90
6.10

SA--Seasonally A d j u s t e d .

2/
Include
3/ On June 14
b a n k - r e l a t e d commercial paper amounted t o $ 1,962 m i l l i o n .
4 / Average of range of o f f e r i n g r a t e s 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 with 3-month m a t u r i t y in secondary market.
5J D a i l y a v e r a g e y i e l d on 20-year bonds. Source: U.S. T r e a s u r y .
NOTE: A l l p e r c e n t a g e changes a r e a t s e a s o n a l l y a d j u s t e d annual r a t e s , not compounded.




12.6
14.0
12.6
9.0

Average of 4 Weeks Ended
June 14
13 weeks previous
| 26 weeks previous

(NSA)
57
54
4,.39
3,.94
4..60
4,.61
4..90
6,.00

T
from 4 Week Averages
,
..
n v v- i. a KC J
1 52 weeks previous

10.4
14.2


Federal Reserve Bank of St. Louis, One Federal Reserve Bank Plaza, St. Louis, MO 63102