Full text of H.6 Money Stock Measures : January 27, 1966
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Mil FEDERAL statistical RESERVE r e Icase H. 6 For Immediate release January 27, 1966. DEMAND DEPOSITS, CURBEfcfCY, AMD RELATED ITEMS J-m,J£%S T ? 3 ^l"**** r 1 1 ^ • " W l y declined $800 m i l l i o n in the^ *eek ending January 19 b r i n g i n g t h e t o t a l contraction s i t c e the January 5 peak t 3 £ l . 4 b i l l i o n . However t h e average l e v e l f o r the three weeks ending January 19 was M5 b i l l i o n higher than i n the month of December. Time dbposits adjusted increased in the l a t e s t week,| b u t t h * r a t e <* expansion thus fUr i n January continued somewhat slower than t h e reduced December r a t e . MONEY SUPPLY AND TIME DEPOSITS , Averages of d a i l y f i g u r e s , in b i l l i o n s o f d o l l a r s Seasonally adjusted f Money Supply Period Currency1 1Demand d e p o s i t component 1 component 34.2 125.4 Total JUVbGfr-** 1964—December 159.7 1965—January February March April May June July August September October November December 160.0 159.7 160.3 161.1 160.0 161.8 162.5 162.7 164.3 165.6 165.7 167.4 Week ending: 1965^-Dec. 1 8 15 22 29 \ 1 i : 165.7 166.6 166.5 167.8 168.6 169.6 169.0 168. 2 1 34.5 34.7 34. 7 34. 7 34.9 35.0 35.2 35.4 35.6 35.9 36.1 36.3 36.2 36.3 36.3 36.4 36.3 125.5 125.1 125.6 126.4 125.1 126.8 127.3 127.3 128.7 129.7 129.6 131.2 1 ; 129.6 130.3 130.2 131.5 132.3 133.1 132.4 131.5 ! | 1 1 1 1 Timt deposits adjusted (All commercial banks) 126.6 128.8 131.0 132 1 133.5 134.6 135 9 137.6 140.1 141.6 143. 6 145.5 147.0 146.4 146.5 146.8 146.9 147.4 147.8 147.6 148 0 36.4 5 36.6 12 p 36.7 19 p Average of l a s t four 132.3 J ll47.7 36.5 1 168.8 1 weeRs | p - Preliminary. NOTE* Components may not add t o t o t a l s due t o grounding. See reverse side for data without s e a s o n a l adjustment and for' d e s c r i p t i o n of s e r i e s . 1966~Jan. DEMAND DEPOSITS, CURRENCY, AND RELATED ITEMS {Averages of d a i l y f i g u r e s , in b i l l i o n s of d o l l a r s . Not seasonally adjusted) Money Supply Period Related deposits (All commercial banks) Time U.S. Gov't, demand ad justed Qurrency component Demand deposit component 1964—December 35.0 129.1 125.2 5.5 1965—January February March April May June July August September October November December 34*4 34.2 34.3 34.5 34.6 34.9 33.4 35.5 35.6 36.0 36.5 37.0 130.1 125.3 124.6 127.1 123 .0 124 .6 125 .6 125 .0 127 .5 129.8 130.9 135*0 128.3 130.8 132.7 134.0 135.4 136.6 138.3 140.2 141.4 143.5 144.4 145.3 4.2 5.7 6.7 5.6 9.7 9.3 9.1 7.4, 5.6 5.0 4.0 4.5 Week ending: 1964^-Dec, 2 9 16 23 30 34.7 35.0 34.9 35.0 35.1 12$. 4 127.1 130.1 130„0 129.1 124 ,4 124. .7 125. ,1 125. ,3 125. ,7 7.1 3TT6T 5.7 6.6 6 13 20 27 34.8 34.6 34.,2 34.,0 132.1 130.6 130.3 128.5 126.7 127.7 128.5 129C3 6.4 4.0 2.9 3.8 34.0 128.5 129.7 4.6 36.6 37, 37. 31. 37. 130.8 132.4 134.9 136.5 135.5 144.7 145.0 145>;3 145.1 145.6 5.7 4.8 2.6 4.4 5.9 36.8 36.9 36.5 138.7 137.4 136.9 146.6 146.8 147.4 5.2 3.8 2.5 Tc^tal 1965—Jan. Feb, 3 1965—Dec. 162.5 i 8 15 22 29 1966—Jan. 5 12 19 173.4 p - Preliminary. ^ NOTEh—Money supply consists of (1) demand deposits at all commercial banks, other than those due to domestic commercial banks and the. U.S. Government, less cash items in process of collection and Federal Reserve float; (2) foreign "demand balances at Federal Reserve Banks; 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 than those due to domestic commercial banks and the U.S. Government.