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p2S£5&-.

FEDERAL

RESERVE

statistical

release

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

fev. 4 / 7 2 )

For Immediate Release
J u l y 11, 1974

Percent Change ( S e a s o n a l l y ArijMgfqH Annua 1
Wks 4. ended
U u l v <»3 J u l y 10 I J u n e 12
($ B i l . , SA)
Total reserves
37.06
37:37
37.07
36.44
Nonborrowed r e s e r v e s
34.42
33.94
34.04
33.32
Required r e s e r v e s
36.85
37.08
36.85
36.27
R e s e r v e s A v a i l a b l e t o Support P v t . Nonbank D e p o s i t s 3 4 . 9 9
35.10
34.96
34.48
Week ended
4 Wks. ended
July 3
l J u n e 26 1 J u l y 3
Uune 5
Monetary A g g r e g a t e s
(9 B i l . , SA)
M^ (Currency p l u s demand d e p o s i t s )
281.2
280.4
281.0
27 9 . 9
*2 (**i 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)
598.4
597.4
597.9
594.1
A d j u s t e d c r e d i t proxy 2 /
4*7^,^
482.9
484.0
478.9
Time d e p o s i t s , a l l commercial banks
402.5
401.2
400.7
396.0
U-S. Government demand d e p o s i t s , member banks
3.2
3.3
Week ended
J u l y 10 1 J u l y 3
1 July^T
Other Reserve Measures & I n t e r e s t Ratea
(NSA)
Member bank borrowings ($ m i l . )
3434
3022
I n c l u d e s s e a s o n a l borrowings o f :
126
Federal funds r a t e
13.55
1 1 . 39
3-month T r e a s u r y b i l l r a t e
July

Reserve A g g r e g a t e s 1777"

10

90-119 day d e a l e r placed commercial paper r a t e 4/
3-month CD r a t e (secondary market) 5/
~
3-month E u r o - d o l l a r r a t e
U.S. Government bond r a t e 6/

11.95
12.05
13.41
8.18

NSA——No t S e a s o n a l l y A d j u s t e d

11.68
11.84
12.95

22.8
4.9
21.9
22.1

10.8
-0.3
11.4
13.8

10.1
7.3
10.2
10.9

Average of 4 Weeks Ended J u l y 3 . "
13 weeKs previous
| 26 weeki p r e v i o u s

„
from 4 Week Averages
| * 5 2 weeks

20.3

11.2

20.0

1 0 . 72
11.73

8.11

SA—Seasonally Adjusted

1/

L

" •

1 9 , 3

27."19747758

I n c l u d e s member b a n k d e p o s i t s , b a n k - r e l a t e d

Vl 1 lVo'iT £ r'oV M a r c " ° 2 8 , V , ? *

commercial

paper,Euro-dollar

^

b o r r o w i n g s of

December 26,
1 ^ ; „ vHch
U.S.

banks,
maturity

t


P n t a e e

c h a n R 6 f l

a r e

a t

seasonally

ad.lusted

annual

rates,

not

compounded.

1973;

t l M

t

$67 m i l l i o
W t

and c e r t a i n
in

nondeposit

secondary market.

itemsl