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FEDERAL
statistical

RESERVE

release

-f^uS^.*"

J*3

For itfimediate release
January 24, 1964*
BE2UKRD DEPOSITS, CURRENCY; AND RELATED ITEMS

Seasonally adjusted money supply xs estimated at |155#2 billion in
the first half of January, 31*9 billion higher than in the month of December,
Time deposits adjusted increased further^ to a level 81.3 bullion above the
Decemtter average*
MONEY SUPPLY AND TIME DEPOSITS
Averages of daily 'figures 9 m billions of dollars
Seasonally adjusted.
'

11

Money Supply'

Period

i

'

,

j.Time deposits
|
adjusted
.
.
(All
commerT
Demand deposit
: cial banks)
component

Total

j

Currency
component

,

50.6

117.3

97.5

50-7
50,9
51.1

118.1
117.7
117.8

99c 1
100.3
101.8
102.6
103.7
104.5
105.5
106.7
107.6
108.9
110-7
131.7

1962-~December

j

1^7,. 9

1965—January
"Eebruary
March.
April"
HayJune
July
August
September
October
November
December

!
'

148.7
148.6
148.9
349.4
149.4
149.8
150.7
150.5
150.9
152.0
153.1
155.3

31.,6
31.8
31.8
32,0
32«5
52.4

119.1
120.1
120.9
120.9

152.1
151.9
155.2
153.1
155.2
155.4
155.2

51.9
52-0
52,2
52.4
32.5
52.3
32.5

120 = 2
119.9
121.0
120.7
120.7
121,0122.7

•

Semirmonthly:
1963—Oct. (1)

(2)
Nov. (1)

(2)
Dec* (1)

(2)

1964—Jan., (1) p

:

31.2
31.5
51.6

!

118.2
118.1
118.2
119.1

118.8

108.5
109.4
'1,10.1
111.3
311.5
111.9
113*0

p - Preliminary,
NOTE—Components may not add to totals due to rounding» See reverse^ side
for data without seasonal adjustment an^i for description of series.



DEMAND DEPOSITS, CURRENCY, AND RELATED ITEMS
(Averages of daily figures, in billions of dollars. Not seasonally adjusted) .
'

| R e l a t e d deposits
Money Supply
( A l l commercial b a n k s )
Time
IU. S . G o v t v
1 C u r r e n c y I Demand d e p o s i t1
demand
component I
component
adjusted
_

Period
Total
1962—December

" 151.6

1963—January
February
March
April
May
June
July
August
September
October
November
December

151.8
148,3
147.4
149.5
147.3
148.2
149.4
149.1
150.5
152.4
154.5
157.1

i

Semi-monthly:
1963—Oct. ( 1 )
(2)
Nov. ( 1 )
Dec.

1-964

(2)

(1)
(2)
Jan. P i ) p

Week ending:
1962—.Deck 5
12
19
26
1963—Jan. 2
9
16

j

151.8
153.0
155.0
154.0
156.5
157.8
158.&

I ir^
f

,
:
;

149.1
150.7
152.6
152.2
153.4
152.4
152.7

120.4

j 96^6

30.5
30.5
30.8.
30.9
31.1
31.4
31.8
31.9
32.0
32.1
32.6,
33.1

121.3
117.8
116.7
118.6
116.2
116.7
117.6
117.2
118.6
120.3
121.9
124.0

98.4
99.9
101.7
102.9
104.0
105.0
106.0
107.3
108.1
109.3

32.2
32.0
32.5
32.7
33.2
33.b
32.7

119.6
121.0
122.5
121.4
123.3
124.7
126.2

30.9
31-2
31.2
31.4
30.9
31.0
30.6

i

118.1
119.5
121.4
120.8
122.6
121.5
122.1

I

I

7.0

|
i
|
!

I

110.7

I

4.8
5.6
5.9

i

; ncf.o

j

I
I
!

!

4.2

7.4
7.7
6.2
6.5

5.3

4.6
3

'

3

108,9
109.6
110.0
110.1
110.5
110.9
112.3

6.9
3.8
4.0
5.1
4.2
6.3
5-3

95.8
96.2
96.6
96.9
97.5
97.8
98.3

6,3
4.5
4.5
6.. 4
6.8
6.0
4.2

|

j

]

1963i-Decl T k
• 11
'18 .
*
196^—Jan.

2 5

'1
-8
15 P

- Preliminary•

33*0
33.2
33.1
33-2
32.8
32.8
32.5

155.3
156.2
158.1
157.2
159.0
158.9158.6

122.3
123.0
125.0
124.0
126 ; 2
126.1
126.1

110.2
110.6
110I8

110.7
1110
112.1
1-12.7

!

4.7
4*1
4.4
6.7
6.5
6.3
4*1

I

rOTE-i-Money |supply consists of, (1) demand deposits at all commercial banks, other
than those due to domestic commercial banks and the £L £* Government, less
cash items in process of collection and Federal Reserve float; (2) foreign
demand balance^ at Federal Reserve BanksT^and (3) currency outside the
Treasury, the federal Reserve, and the vaults of all commercial banks*
 Time deposits Adjusted are time deposits at all commercial banks other
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than those due to domestic commercial panics and the TJ« S, Government.
Federal Reserve Bank of St. Louis