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FEDERAL
sT a m

t i <c >Q I

RESERVE

release

***&

For immediate release
December 27, 1968

TRe seasonally adjusted money supply declined $400 million in the week
ending December 18, and over the latest three weeks money "supply averaged about
$900 million higher than in the month of November. Time and savings deposits
continued to increase at a reduced' rate in the week ending December 18.

MOSEY SUPPLY AND TIME DEPOSITS
(Averages of daily figures, in billions of dollars)
Seasonally adjusted
•—•———w

Money S u p p l y
Period

I 9 6 M i o T C I E i e T

December
1968--'January
February
Marcfat
April
nay
June
July
August
September
October
November p

:

\ Demand d e p o s i t
component

Currency
component

Tofcatl
fS-M
181.3

40.1
40,4

141.0 ,
140.9

182.3
182.7
183,4
184.3
186.1
187.4
189.4
190.3
189.5
190.2
192.0

40.6
40.7
41.1
41.4
41.6

141.7
141.9
142.2
143.0
144.5
145 .4
147.2
147.6
146.7
147 .4
148.8

;
j

1

42.0

i
|
!

42.2
42.6
42.7
42.&
43.2

I

!

mm—iiiinii——Mi

Time d e p o s i t s
adjusted
( A l l commercial
banks)
182.0
183.5
"184.1
185.2
186.7
187.1
187.6
188.2
190.4
193.8
196.6
199.5
201.9

1

Week e n d i n g :
1968—Nov.
6
13
20
27
Bee.

4p
Up
18 p

|
i

1 9 1 .'9
190.6
192.2
193.3

i

193.0
193.1
192.7

A v e r a g e o f l a s t 4 week* I

193.0

NOTE:

J

42.9
43.2

1
|

43.4

149.0
147.3
149.0
149.9

43.5
43.5
43.4

149.5
149.6
149.2

203.7
204.1
204.4

*3-*

149.5

203.8

43.2

!

i

200.8
201.4
2Q1.7
202.9

Components may not add due to rounding. See reverse side for data without
seasonal adjustments and for description of series.
p - Preliminary*
r - Revised.




DEMAND D E P O S I T S , CURRENCY» AND RELATED ITEMS

(Averages x>f 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 .
1

'

Not seasonally

— } i »

Related deposits
(All commercial bankg)
U.S. XJov'fc.
Currency 1 Demand d e p o s i t 1
Time
component 1 component
j
demand
adjusted
Money Supply

Period
Total
1967- •-November
December
1968- --January
February
March
April
May

June
July
August
September
October
November p

tfeek ending:
1968- •-Nov. 6

Dec .

182.4
187.1
187.6
181.4
182.0
185.6
182.5
185.6
187.2
186.9
188.6
190.6
193.5

13
20
27

193.9
192.3
193.2
193.6

4 p
11 P
18 p

195.9
197.0
199.2

adjusted.)

1

40.4
41.2
40.5
40.3
40.7
41 a
41.3
41.9
42.4
42.7
42..7
42.9
43.6

!

43.3
43.7
43.6
43.6
44.1
44.4
44.4

j

481.3
182\0

141.9
145.$
!
;

147.1
141.1
141.2

]
[

XQ#*r9

i
ij

%mA
im.6
iMtM
191-4
196 t

5.5
5.3

14?-?

' XzSfsT* J.

6rm%

149,8

ji

maj

4.3

150;6
148.6
149.6
150.0

200.2
200.4
200.5
201.3

5.7
4.9
3.3
4.0

151.8
152.6
154.9

r 201.9
202 .4
202.6

3.3
3.2
4.5

^TSftfW^ifc*

W3J&

|

'185-*$'
^S?*7

j
S|
j?

K*J*

]

5.0
7.2
6*6
4.2
6.4
5.4

I * O j W * M~

**f!MP m^S

141,1
143.&

5.3
5.0

|!
|

5..?

'

1

1^- Preliminary.
NOTE;

r

. Revised.

Money supply c o n s i s t s of (1) demand'deposits a t a l l commercial banks, o t h e r than
those due to domestic commercial banks and the U . S . Government, l e s s cash items
i n process of c o l l e c t i o n and F e d e r a l Reserve f l o a t ; (2) foreign demand b a l a n c e s a t
Federal Reserve Banks; and (3) currency o u t s i d e the Treasury, the Federal Reserve
and the v a u l t s of a l l commercial banks. Time d e p o s i t s adjusted are time d e p o s i t s
a t a j l commercial banks other than those due t o domestic commercial banks and the
IKS. Government.