Full text of H.6 Money Stock Measures : August 29, 1974
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FEDERAL RESERVE <£n*^ statistical release Table 1 For Immediate Release August 2 9 , 1974 MONEY STOCK MEASURES H6 ^^^^^^^^^^^^^^^^^^^^^ «1 Date Currency plus demand deposits-^ ^BILLIONS OF DOLLARS M2 M M3 1 i Mt plus time deposits M2 plus deposits at commercial banks Currency plus at nonbank demand deposits1' other than large thrift institutionsv CD's V Seasonally Adjusted 1973--July Aug. Sept. Oct. Nov. Dec. 266.4 266.3 265.5 266. 6 269.2 271.4 1974— Jan. Feb. Mar. Apr. May June July 270.6 273.1 275.2 276.7 277.8 279.6 280.0 Week ending; 1974—July 3 10 17 24 31 Aug, 7 14 p 21 p 280. 8 , 279.3 280.9 279.2 279.2' ! 1 281.0 r 281.2 281.0 552.1 555.1 556.8 561.9 567.3 572.1 ! j ! | | Mt plus time deposits at commercial banks other than large 1 M3 M2 plus deposits at nonbank thrift institutions4' CD's** Not Seasonally Adjusted 1 867.1 870.7 873.5 880. 3 887.7 894.8 i 265.7 263.0 264. 0 266.1 270.9 279.1 1 581.1 578.6 584.5 592.9 589.1 595.7 597.8 598.1 597.8 5<>9. 4 598. 5 r 599.6 280.4 280, 9 281.4 276.8 276.3 598. 7 599.4 599. 5 595.3 596.0 601.5 * 602.7 602.6 278.3 278.9 277.4 598.4 r 599.9 598.5 ! 900.1 908.3 914.6 919.9 923.1 929.2 r 933.0 ,, ,. , | 551.1 551.3 554.4 560.1 565.7 577.2 277.8 2^0.2 272.5 278.2 273.1 277.6 279.2 575.1 581.2 585.0 588.5 591.0 596.2 598.9 r 2 1 867.6 866. 6 870.0 877.2 884.0 898.4 905. 7 905.5 915.3 926.1 922.2 930.3 r 933.4 | , includes (1) demand deposits at all commercial ban^s other than those due to domestic co^merci?! ban** •> and the U S Government es^ ca r h nerr^ t n the process of collection and F R float (2) foreign demand balances at F R Banks and (3) currency outside the Treasury F R Banks and vaults ot all commercial banks V Includes in addition to currency and demand deposits savings deposits time deposits open account ^nd time cprtificates of deposits othpr than Preliminary r P http://fraser.stlouisfed.org/negotiable time certificates of deposit issued in denominations of $100 000 or more by large weekly reporting comme cial banks Revised inc+ydes Mg plus the average of the beginning and end of month deposits of mutual savings banks and savings and loan shares r Federal Reserve Bank of St. Louis FEDERAL RESERVE Statistical Release H 6 Tabic 2 MONEY STOCK MEASURES PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES Period Julv w^ M= Currency plus demand deposits^ M i plus time deposits at commercial banks other than large CD's V M^ plus deposits at nonbank thrift institutions v 4.8 6,9 5*1 7.1 8,3 8*5 5.7 7.3 7.6 4.6 6.3 5,4 7.7 7.7 8*5 from: Apr. 1974 (3 months previous) Jan. 1974 (6 months previous) July 1973 (12 months previous) Four weeks ending: Aug. 21, 1974 from four weeks ending: May 22, 1974 (13 weeks previous) Feb. 20, 1974 (26 weeks previous) Aug. 22, 1973 (52 weeks previous) mc ludes <t j demand deposes a\ ait commercial banks other than those due to domestic commercial barik$ and tbe?U S Government, less cash Items in the procevs oi collection and F R float (2) foreign demand balances at F R Banks and 13} currency outside the Treasury F R Banks and vaults of all commercial banks 2/ includes m addition to currency and demand deposits savings deposits time deposits open account aW time cetitIficates Of deposits other than neqotumie time certificates of deposit issued m denominations of $100 000 or more by large weekly reporting commercial banks. y <nc l u d ^ M 2 plus the avenge of the beginning and end of month deposits of mutual savings banks and savings and loan shares AM rates of change are based on daily average data rates of change are not compounded Digitized forNote FRASER FEDERAL DESERVE Statistical Release H.6 Table 3 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS Time and savings deposits Date Currency Demand deposits 1973—July Aug. Sept. Oct. Nov, Dec. 59.5 59,8 60.2 60.5 61.0 61,7 206.9 206.4 205.3 206.1 208.2 209. 7 1974--Jan. Feb. Mar. Apr. May June July 61.9 62.7 63.3 63.9 64.4 64.8 64.9 208.7 210.4 211.9 ! 212.8 f j 213,4 i 214.8 215.1 64.8 65.1 64.8 64.9 64.8 65.4 65.6 65.6 | Week ending: 1974--July 3 10 17 24 31 Aug- 7 14 p 21 p Nonbank [ thrift institutions ^ Other Total 62.8 285. 7 288.8 291.4 295. 3 298.1 300.6 349. 6 355.1 358.0 359.1 360.1 363.5 315.0 315.6 316.7 318.5 320.4 322. 7 65.5 66.6 67.7 75.4 81.2 83.3 85.4 304. 6 308.1 309. 8 311.8 313.3 316.5 319.0 370.1 374. 7 377.5 387.1 394.4 399.9 404. 3 325.0 327.1 329.6 331.4 332.1 r 333.1 r 334.0 216.0 214. 2 216.1 214.3 214.4 85.0 84.7 85.4 85.9 85.6 317.4 318.5 31B. 5 319. 3 320. 3 402.4 403. 2 404.0 405. 2 405. 9 215.6 r 215.6 215.4 84.9 r 84.7 84.4 320. 6 r 321.5 321.6 405. 5 406.2 406.0 CP's^ \ j| | i 63.9 66.3 66.7 63.8 62.0 includes negotiable time certificates of deposit issued in denominations of $100 000 or more by large weekly reporting commercial banks Average of beginning and end of month deposits at mutual savings banks and savings and loans shares p _ Preliminary Pevised FEDERAL RESERVE Statistical Relpase H 6 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS 1 Date Currency Demand deposT K 1 Total ' Time and savings deposit Member Domestic ;nomnember>J 149.7 147.8 148,2 149. 7 151.8 157.0 53.2 52.7 53.3 53.8 55.1 56.6 1973—July Aug. Sept. Oct. Nov. Dec. 60.0 60.0 60.1 60,4 61.5 62.7 205. 7 202.9 203. 8 205.7 209.5 216.4 1974—Jan, Feb. Mar. Apr. May June July 61.6 61.9 62.7 216.2 208. 3 209. 8 214. 7 208. 9 212.7 213.8 156.4 151.1 152.4 155.8 151.2 153.4 154.2 56.9 54.6 54.7 56.2 54.9 56.3 56.8 65.2 66.2 65.6 65.2 64.8 215.1 214.7 215.8 211.6 211.5 155.6 154.4 155.4 152.7 153.1 56.7 57.5 57. 6 56.1 55.6 66.0 66.2 65.9 212.3 212.7 211.6 153.0 153.0 152.1 56.5 57.0 56.6 1 64. 2 64.9 65.4 reek e n d i n g : 974—July 3 10 17 24 31 Aug. 63.5 7 14 p 21 p i j 1 j 3 1 I i t U S Gov't demand &' thrift total 62. 3 68.4 68.8 66.3 64.1 64.1 285,4 288.3 290,5 294.0 294.8 '298, 1 347.8 356. 7 359.3 360.3 359. 0 362.2 66.1 65.9 67.0 72.4 77.8 79.7 83,3 303.3 308.4 312.0 314.7 316.1 318.1 318.6 369.4 374.3 379'. 1 387.1 393,9 397.9 402.0 80,8 81.1 83.0 84. 8 85.5 318.3 318.5 318.1 318.5 319.7 399.2 399.6 401.0 403.3 405.2 8.6 6.9 4.2 4.6 4.3 86,0 86.9 87.6 320.1 r 321.0 321.0 406.1 r 407.8 ! 408.6 r 4.3 3.7 4.0 .1/ Total deposits include in addition to the member and domestic nonmember deposits shown depnsits due 1o foreign and International institutions at F R Ganki and M j type balances at agencies and brancho* of foH'jgn banks 2 / Oaiftd on most recent call report single day observations 3 / Includes negotiable time certificates of deposits issued in denominations of $100 000 or more hy large weekly reporting commercial Manks 4 / Average of beginning and end of month deposits at mutual savings banks and savings and loon shares 6 / U S Government demand deposits At all commercial banks Nonbank Other CD's ' ! j ] 4 institutions ' 1 j 316.5 315.3 315.6 317,0 318.3 321.2 6.5 4.1 5.3 6,0 4.3 6.3 324.5 1 8,1 6.6 326.9 330. 8 333. 2 333.0 t 334.7 r 335.6 1 6.4 6.0 7.6 6.1 5.4 j p - Preliminary r - Revised Rev 2/74