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FEDERAL

RESERVE

statistical

release

f*4LR£StV

H.6

For immediate release
August 28, 1969.

The s e a s o n a l l y a d j u s t e d money s u p p l y i n c r e a s e d s l i g h t l y f u r t h e r in t h e
l a t e s t week e n d i n g A u g u s t 20* and t h e a v e r a g e l e v e l for t h e f i r s t t h r e e weeks of
August: was a b o u t t h e same a s t h e a v e r a g e f o r t h e p r e c e d i n g two m o n t h s .
Reductions
i n t i m e and s a v i n g s d e p o s i t s c o n t i n u e d i n t h e l a t e s t week a t a somewhat slower
r a t e t h a n i n p r e c e d i n g weeks o f J u l y and August,
MONEY SUPPLY AND TIME DEPOSITS
(Averages, o f d a i l y f i g u r e s , i n b i l l i o n s oi
Seasonally adjusted

Uolldrs)

TJme d e p o s i t s
adjusted
(All commcrcul
banks)
188.2
190.4
193.8
196.6
199.5
201.9
204.3

Money Suppljy
Period

188-1
190-2
191.2
190.6
191-5
'193-3
194-5

19,68- - J u n e
July
August
September
October
November
De|c ember

May

June
July
Week e n d i n g :
1969--July

;

195-4
195.7
195.9
197.5
197.4
198.2
r 199-2

1969—January
February
March
April

2
9
16
23
30

•
r

199.2
199.8
199.0
198.7
198.0

•

component
146.0'
148.0
148.6
147.9
148.7
150.1
151.1

"

151.9
151.8
151.7
153.3
152.9
153.3
154.1

202.5
201.0
201.0
200.8
200.1
199.2
195.8

198.0
196.9
196.0
195.3
194.7

r

43.6
43.9
44.2
44.2
44.6
44.9
45.1

r

45.1
45.1
45.0
45.2
45.1

154.1
154.7
154.0
153.5
152.9

45.2
45.3
45.3
45.2

153.2
153.4
153.6
153.3

r
r

r 198.4
6
r 198.7
13 p
198.9
20 p
Average of l a s t 4 weeks
198.5




42.0
42.2
42.6
42.7
42.8
43.2
43.4

!

Aug.

P - Preliminary.

Demand d e p o s i t

Currency
component

Total

;

r

j

r

:
j
[

r

194.0
193. 5
193.2
193.9

DEMAND DEPOSITS, CURRENCY, AND RELATED ITEMS
(Averages of daily figures, in billions of dollars.

L

' '" " • " " '

Not seasonally adjusted.)

"

] R e l a t e d deposits
{ (All commercial banks)
Time
j U.S. Gov't.
Demand deposit i
component
adjusted
s
demand

Money Supply
Period
! Total
si

1S6.2
188.'0
187.8
189.7
191.8
194.8
200.7

1968--June
July'
August
September
October
November
December
1969—January
February
March
April
May
June
July
Week ending:
1969 — June

July

Au£.

201i3
194.3
194.4
198.5
193.7
196.3
r 197.1

j Currency
j component

1
]
!

j
f

I

41.9
42.4
42.7
42.7
42.9
43.7
44.3
43.5
43.4
43.8
43.9
44.3
44.8
45.3

4
11
18
25

195.5
196.6
197.3
194.6

44.8
45.0
44.8
44.6

2
9
16
23
30

197.6
197.7
198.1
195.6
195.7

44.9
45.9
45.3
45.2
44.9

196.8
;r 195.7
194.6

45.5
45.6
45.5

6
13 p
20 p

;

I
|

r

144.3
145.7
145.2
147.0
149.0
151.2
156.4

j
j
1

157.8
150. 9
150. 7
154i 6
149.5
151.5
151.8

!
'

188.6
190.8
194.4
196.2
199.1
200.7
202.5
202.1
201.6
202-0
201.6
200.9
199.6
196.2

5.4

1

5.7
5.5
5.9
6.1
4.2

1

4.8

\

4.7

j
!

6.6
4.5
5.1
8.8

i

5

-7

5.3

150.7
151.6
152.4
150.0

200.6
200.3
199.6
198.9

5.4
4.0
5.4
8.0

152.8
151.8
i52.8
150.4
150.8

198.4
197.3
196.4
,195.7
195.1

5.6
5.4
3.0
6.7
6.1

! r .151.2
150.1
149.1

r 194.6
194.3
193.8

5.1
3.8
3.2

;
i
1

i

!

i
i
p - Preliminary.
^r _ Revised
c - Corrected
NOTE: Money supply consists of (1) demand deposits at ail commercial bariKs, other than
those due to domestic commercial banks and the U.S. Government, l^ss 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.