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FEDERAL

RESERVE

statistical

release

H 6

For immediate r e l e a s e
A**fcust 6, 1970

l a t h e four weeks eadxng J u l y 2 9 , the s e a s o n a l l y adjusted money supply
averaged $204*3 b i l l x o o about $700 m i l l i o n above the average for June
Total time
and s a v i n g s d e p o s i t s x a c r e a s e d r a p i d l y throughout t h i s period, averaging $5 8 b i l l i o n
h i g h e r than f o r the month of June*

MOTBY SUPPLY MD Tim 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 of d o l l a r s )
S e a s o n a l l y adjusted

Money Supply
Period
1969—June
July
August
September
October
November
December

154 4
153.8
153.7
153.6
153 4
153 7

Demand d e p o s i t
component
_ _

Currency
component
_ .

Total

1

45.0
45 3
45 2
45.6
45.9
45 9

Time deposits
adjusted
(All commercial
/
banks)
200 8
197 7
194 5
194 1
193 5
193 4
194 I

199.0
199.3
199.0
199.0
199.1
199.3
199.6

1970—January
February
March
April
May
June

201.1
199.3
201.5
203.3
203.9
203.6

46 1
46 4
46 7
47 0
47.6
47 8

155.0
153 0
154.8
156.2
156.2
155.9

192 1
192 0
194 3
197 9
199 6
201.0

Week e n d i n g
1970—June
3
10
17
24

204 0
203 4
203,9
202.1

47.6
47 7
47 8
47 8

156 4
155 7
156 0
154.3

j

200 0
200 5
200 7
201.0

204
205
204
202
204
204

47
48
48
48
48
AS

156
157
156
154
156
156

[

202
204
205
207
20?
2<78

July

1
8
15
r
22 p
29 P
Average of l a s t 4 weeks
p - Preliminary
r - Revised




5
6
2
9
3
^

r

8
1
0
1
0
1

r
,
j

6
5
2
9
3
2

r

3
5
9
6
1
3

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

Period
Total

Related deposits
Money Supply
(All commercial banks)
Demand deposit
USGov't
Time
Currency
component
component
adjusted
demand
201.0
152 3
44 7
6.0
45 2
197 7
152.7
5.6
150 5
;
45 4
195.5
4.3
45 2
152.4
194.3
5.3
45 6
153 7
193.7
I
4.2
192.6
46 4
154.7
5.1
46.9
159 1
192 4
5.5

1969—June
July
August
September
October
November
December

197
197
195
197
199
201
206

1970—January
February
March
April
May
June

207 1
197 8
199.7
204 2
199 9
201.7

46 1
45 9
46.3
46.6
47.3
47.7

Week ending
1970—June 3
10
17
24

200
201
203
199

July

1
8
15
22 p
29 p

0
8
9
6
3
0
0

8
7
4
2

202 4
204 4
r 203.7
200 9
201 7

Not seasonally adjusted )

161.1
151.9
153 4
157.6
152 6
154 0

191.7
192.0
194.9
198.3
20070
201.2

4.7
7.1
6 9
5 3
6.4"
6.5

47 6
48.0
47 8
47 5

153
153
155
151

3
6
6
7

200 6
200 9
200 9
201.0

5.1
4.2
5.3
9.4

47
48
48
48
47

154.9
155-. 5
155 4
152 7
154 0

202 5
204 5
205 9
207 6
209 1

8.0
7 0
6.1
6 3
7.8

5
9
4
2
7

,!

r

r

p - Preliminary
r - Revised
NOTE
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