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FEDERAL

RESERVE

stalisticol

release

Table 1

V

For Immediate Release
August 8 , 1974

MONEY STOCK MEASURES

H.6

IN BtLLtONS OF DOLLARS

HH|MHef|BfcMMHHM^««^^

-1 . "1

M2
Mi plus time deposits
Currency plus
at commercial banks
demand deposits^ 1 other than large

Date

i

M

a

M

i ^ i ^ ^

a

M

a

i

M

H

H

M

Ma

265.5

556.8

873.5

266,6
269,2
271.4

561.'9
567,3
572.1

1974—Jan.
Feb.
Mar.
Apr.
Ma y
June
July p

270.8
273.7
276.2
278.1
279.2
281.0
281.2

575.4
581.9
586.2
590,2
592.8
597.6
600.2

552.1
555.1

]

1

Ml

Mj

M3

M| plus time deposits
M2 plus deposits
M2 plus deposits
at nonbank
Currency plus 1
at commercial banks
at nonbank
other than larfie
thrift institutions37
thrift institutions^ , demand deposits '
CO's^
CD's^
1
Seasonally Adjusted
Not Seasonally Adjusted

1973--July
Aug.
vSept*
Oct..
Nov.
Dec.

266.4
266.3

1

|

554.4

870.0

880.3
887.7
894.8

265.7
263.0
264.0
266,1
270.9
279.1

560,1
565.7
577.2

877.2
884.0
898.4

900.4
909.0
915.8
921.5
924.9
930.6
934.0

278,1
270.8
273.5
279.6
274.5
278.9
280.4

581.4
579.3
585.7
594. 6
590.9
597.1
599.1

905.9
906.3
916.5
927.7
923.9
932.0
934.8

281.7
282.2
r 282.7
277.8
277.6

599.8
600.4
r 600.5
r 596.2
597.9

867.1
870. 7

I

551.1
551.3

867.6
866.6

Week e n d i n g :

1974—July

3
10
17
24 p
31 P

'
i

282.1
280.6
r 282.2
r 280.2
280.5

599.2
598.9
r 600.5
r 599.4
601.4

ti> <j*>i«an- deposits at an commercial banks othor than tho«o due to domestic co"nmoi< i.i1. b-viks and the u S Government less cftsh ' t r v r . m the process o' coUcc'ion nnri F P flo.it
(?) •o.'CiQn icnwnrt twiKinrPS ai F R parms and
(3» currc-ncs outside the Treasury r P Banks nnrt v.iiiM* of A'l c onrwort ia» bank',
'n<hidps m anrjiurn -o cuTPrxv and demand deposi's s a v i n g dopes is t'me deposits .open Account and timo certificates of dopoftitn other than
,
 negONdbfe t<mp v *.-:.?.tares o* depose issued ;n rienorrmntmn*- o' 5-00 OOO o.' m^e t y large weekly .'Onorfing corrmprc.iAl b3nks
P " ***(?. L i m m a r y
http://fraser.stlouisfed.org/
& tnc'-udPr, M j plus tnr av**raqo ol iho p l u m m y .*rvi e^;) of •v.oc.t^ loco^itv of T.utuiil savings hanks and savings onrj tonn shares
r - RpVi flC*d
•nf 'udes

Federal Reserve Bank of St. Louis

rtDFRAt

ftFSFRVt

Stattitical RHeate

H6

Table 2

MONEY STOCK MEASURES
PFK Ct'NT CHANGC AT SEASONALLY ADJUSTED ANNUAL RATES

i

*>

2

Currency plus
demand deposits^

Pf»f iO(J

»3

M i plufc time deposits
at commercial banks
other than largp
CD's V

!

M; plus deposits
at nonbank
thrift institutions^

July from:
Apr. 1974 (3 months previous)
Jam 1974 (6 mouths previous)
July 1973 (12 months previous)

4.5
7.7
5.6

6.8
8.6
8.7

4.0
7.8
5.4

6.6

5.4
7.5
7.7

Four weeks ending: July 3 1 , 1974
from four weeks ending:
May 1 , 1974 (13 weeks p r e v i o u s )
Jdn. 3 0 , 1974 (26 weeks previous \
Aug.
1 , 1973 (52 weeks previous; )

8.7
8.6

Umwiii

••

- M M .nT. "hi

.'iiT ui,, ,„

fiv iii'irs K\\ cipm.m'i oposns (if ,ili tommertial bank<-> othr-r than those due to dompslic commercial banks and Ihe \) % Government less cash items in the
pfOCPSS Ol lOlltM lionvliid F R

float

i7; lo'Otqn 'Jprrvmd bdUitn os <V f R flnnks jnd
(3) Lurft'fity outside ihc* Treasury r R Dankb and vaults of ,llt commercial banks,
-J iru f.Ktrs m addition to currency tmd demand deposits saving deposits time deposits open account and time certltlcftteft Ot dSPOBtts Other than
"coowinip urn? COMII caics of deposn issued in denominations of $100 000 or morp by large weekly reporting commercial bdriKB
y rv Help , Up pin*, thr wof iqp of tho bngmninq and rnd of month rtpposits Of miMu.1l savings banks and SAvlngft and loan shares

No'< An >,iir", of thiuujc .ue based on daily average data rates of change arc not compounded





FEDERAL RESERVE Statistical Release M.6
Table 4

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
NOT SEASONALLY ADJUSTEO IN BILLIONS OF DOLLARS

1

Demand deposits

]

time and savings deposit
•

Currency

Date

1973—July
Aug.
Sept.
Oct.
Nov.
Dec.

60.0
60.0
60.1
60.4
61.5
62. 7

1974—Jan,
Feb,
Mar.
Apr.
May
June
July p

61.6
61.9
62.7
63.6
64.2
64.9
65.5

I

|

Week ending:
1974—July
3
10

17
24 p
31 p

65.3
66.2

65.7
65.2
64.8

Member

Domestic
nonmember '']

CDV>

205.7
202. 9
203.8
205. 7
209.5
216.4

149. 7
147.8
148.2
149.7
151.8
157.0

53.2
52.7
53.3
53.8
55.1
56.6

62,3
68.4
68.8
66.3
64.1
64.1

216.5
209.0
210.8
21.6.1
210.2
214.0
214.9

156.4
151.2
152.5
156.0
151.5
153.7
154.4

57.1
55.2
55.5
57.3
56.0
57.4
57.8

216.4
215.9
r
1 217.0
212.6
212.8

155.8
154.6
r 155.6
152.8
153.4

57.8
58.6
r 58.6
57,0
56.6

Total '•'

:
1

i1
i
i
'

|
!
;
;
!

^

J

Nonbank {
thrift
( U 5 Gov't,
!
1
institutions' 1 demand '

. — * *

Other

Total

285.4
288.3
290.5
294.0
294.8
298.1

347. 8
356.7
359.3
360.3
359.0
362.2

316,5
315.3
315.6
317.0
318.3
321.2

6.5
4.1
5.3
6.0
4.3
6.3

83.3

303.4
308.5
312.2
314.9
316.4
318.2
3.18.6

369.4
374.4
379.2
387.3
394.2
397.9
401.9

324.5
326.9
330.8
333.2
333.0
334.9
335.8

8.0
6.6
6.3
6.0
7.5
6.0
5a.4

80.8
81.1
83.0
r 84.8
85.3

318,1
;
318.3
I r 317.8
f 318,4
320,3

399,0
399.4
r 400.8
r 403.2
405.6

j
!

66.1
65.9
67,0
72,4
77.8

1

79.7

j

!

1
!
!

j

!

i
|

!
|
'
i

8U6
6.8
r 4.2
4.8
4.3

M M M M M M H l

1 / Total deposits include, m addition to the member arid domestic nonmember deposits shown, deposits due to foruiejn and International Institutions
at F R Banks and M j woe balances A\ agencies and branches of foreign banks.
21 Based on most recent call report ungfo dav observations.
3/ inclines nogoiiaulc time certificates ol deposits usued m denominations of $100,000 or morn hy targe weukly reportimi commercial banks.
banks and saving and loan chart's.

4 / FRASER
Averaye of beginning and end ul month deposits at mutual tdvmtjs
Digitized for
5 / U.S. Government demand dcoosits at nil roinmutcial hanks.


p - Preliminary
r - Revised

3e0. 2/74