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REVISION




FEDERAL

RESERVE

statistical

release

April 3, 1975

Money Stock Measures
The H*6 release has been revised tio incorporate
additional money stock measures* M » ML, and SL» are the
1 2
3
same as on the old r e l e a s e except that c r e d i t union shares
have been added to the IL measure.
3
4

M i s defined a s H p l u s
2

large negotiable time c e r t i f i c a t e s * of d e p o s i t s i s s u e d hy
large weekly reporting commercial banks, while M i s defined
as M plus such c e r t i f i c a t e s *
Back data are a v a i l a b l e from the Banking Section,
Division of Research and S t a t i s t i c s *

FEDERAL

RESERVE

FEDERAL RESERVE Statistical «•!••§• H.S

statistical

release

Titoli i

MONEY STOCK MEASURES

•MIL ft, i«»n

IN BILLIONS OP DOLLARS
wmmmmmmmmm pmmmmmtmm

MajajMMStfaMMMH

Ml

"4

MS

Mf PtusTim*
MjPlus
Currency Deposits at Deposits
M?Plus
M.PIus
at
Plus
Commercial Hon bank
large
Large
Banks
Demand
Negotiable Negotiable
Thrift
CD»s#
Deposits-!/ Other Than Institutions^
CD's!/
Large CO'sff

Date

Seasonelly Adju ited
19T4--FEB.
MAR.
APR.
MAY
JUNE
JULY
AUG.
SEPT.
OCT*
NOV.
OfcC.

1

!

1975—JAN.
FF6.

273.1
279.2
276.6
27t*6
2*6.0
286*9
280.7
291.1
282.2
283*8
26*. 3

580.9
585.5
509.4
591.6
9*7.1
599.7
602*2
603.8
608.1
613.0
614.3

932.5
940.0
94A . 9
948.8
955.9
959.9
963.0
965.5
971*2
978.3
982.5

262.2
283.8

616.0
621.0

987.5
996.0

281.8
284.2
263.6
284.7

616.8
621.2
621.0
623.4
624.0
628.0
627.0
628.2

•T-"

"T

r "flit""""

r~T7~ 1
|

M, Plus Time MiPlu*
M2Plus
Currency Deposits at Deposits at
Large
Plus
Commercial Nonbank
Banks
Negotiable
Demand
Thrift „
Deposits^ Other Than Institutions*
CD's*
LargeCD'sgj
Not Seasonally Ad uited
930.2

1600.1
1007*9
1619.8
1627.3
1037.2
1043.5
1046.7
1050.3
1057.4
1063.B
1072.8

270.2
272.5
278.2
272*9
278.2
280.1
277.5
279*4
281.7
285.3
292.2

578.5
584.9
993.9
989.7
396.6
599.3
598.7
600.7
606.3
611.1
619.4

941.1
992.2
948*3
937*4
961*2
938.9
961.2
968*0
974.2
983*8

1080.4
1088.2

269.3
280.8

621.9
618.9

992.9
993.9

709^7
714.1
713.3
714.7

282.0
281.8
281.1
2 78 . 0

616.5
619*0
619.1
617.7

707.4
709.1
768.S
709.9

114.2
717.2
716.7
718.5

283.3
285.4
| R 284.1
282.4

623*6
627.4
627.0
629.6

711.4
719.4
719.2
714.3

649.1
693.4
- 663.3
670*2
678.5
683.3
686.0
688*7
694.3
69R.5
104.6
708.9
713.2

!
i

844.8
691 s 9
449.1
664*9
676*1
602.1
489.9
689.4
699*1
698.2
709.8
714.0
707.9

al

ll

"

Mg A
M,Plut
targe
Negotiable
CD's*

994.S

1007*7

!

1024.0
1029*9
1037.0
1044.0
'044*0
1049.9
1096.7
1061.2
1074*3
1069.0
1082.6

MEEK ENDING!
FEB.

9
12
19
26

MAR*

9
12
19 P
26 P

265.3
288.1
ft 2 8 6 . 2
287.*

P
J
!

taHMMHMaJ

•HMaaaaaiHnMK**

LESS CASH ITEMS I N THE PROCESS OP COLLECTION ANO F J U F L O A T i I 2 > FOREIGN DEMAND 8ALANCES AT F . R . 6 A N K S * AND 131 CURRENCY OUTSIOt
THE TREASURY* P.R.&ANttS ANO VAULTS OP ALL COMMERCIAL BANKS.
INCLUDES* I N ADDITION TO CURRENCY AND DEMAND OEPOSITS* SAVINGS OEPOSITS, TIME DEPOSITS OPEN ACCOUNT, AND TIME CERTIFICATES OP
DEPOSITS OTHER ThAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF S100*00t) OR MORE 8Y LARGE WEEKLY REPORT*
1NG COMMERCIAL BANKS.
3 / INCLUDES M2» PLUS THE AVERAGE OF THE BEGINNING ANO END OF MONTH DEPOSITS OF MUTUAL SAVINGS BANK, SAVINGS ANO LOAN SHARES, ANO
CREDIT UNION SHARES.
 V INCLUDES Hi? PLUS NEGOTIABLC TIME CCRTIflCATeS Of DEPOSIT I55UCO I N OtNDfllMATIOtlS Of SlOOtOOO OR rORE*
Sy
http://fraser.stlouisfed.org/ INCLUDES M3. PLUS NEGOTIABLE TIME CERTIFICATES Ql DEPOSIT ISSUED I N DENOMINATIONS OP 1 ) 0 0 , 0 0 0 Oft MORE.
P - PPELIMINARYI
R - REVISED
2/

Federal Reserve Bank of St. Louis

FEDERAL At SERVE Statistical Rtltaia H «
Tablfl ?.

MONEY STOCK MEASURES
PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES
1

•

1

^
DATE

MA

MiPlusTima
Deposits at
Currency Pius
Commafclat
Demand Deposits-^
Banks Other Than
Large CD/s^

1

W3
M2 Pius Deposits
at Nonbank Thrift
Institutions^/

M4

1

M. Plus Large J
Negotiable CD's57

Mg

M Plus Large
Negotiable CD's^

FlbkUARY FROM:
NOV.

1974

f j PflNTHS P R t V H ' O * )

AUG.

1974

( 6 MONTHS PREVIOUS)

FCb.

1974

112 MONTHS PREVIOUS!

.0

5.2

7.2

ft.4

9.2

2.1

6.2

6.9

T»?

7.9

3.9

6.9

6.B

9.9

B.7

FOUR MEFKS FN01N(»! MAR, 2 6 , 1975
FROM FOUR WEEKS ENDINGt
DEC. 2«>, 1974 C13 WEEKS PREVIOUS)

3.0

P*0

7.2

SUM.

2 5 , 1 9 7 4 ( 2 6 KEEKS PREVIOUS)

2.1

7*7

6.3

MAR. 2 7 , 1974 <*2 WEEKS PREVIOUS)

4*3

7 , 1

9.8

'
1 / INCLUDES 11) DLMAND DEPOSITS AT ALL COHNERClAL BANKS OTHER THAN THOSE DUE TO DOMESTIC COMMERCIAL BANKS AND THE U.S.GOVERNMENT•
LESS CASH ITEMS I N THE PROCESS OF COLLECTION AND F.R.FLOATl 12) FOREIGN DEMAND BALANCES AT F.R.BANKSl AND ( 3 ) CURRENCY OUTSIDE
THE TREASURY, F.R.BANKS AND VAULTS OP ALL COMMERCIAL BANKS.
2 / INCLUDES, IN ADDITION TO CURRENCY AND DEMAND DEPOSITS, SAVINGS DEPOSITS, TIME DEPOSITS OPEN ACCOUNT* AND TIME CERTIFICATES OF
DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN ClENOM I NATIONS OP $100,000 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL RANKS.
3 / INCLUDES M2, PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH DEPOSITS OP MUTUAL SAVINGS BANKSf SAVINGS AND LOAN SHARES, AND
CREDIT UNION SHARES.
4 / INCLUDES M2, PLUS NEGOTIABLE TIME CERTIFICATES OP DEPOSIT ISSUED I N DENOMINATIONS OF * 100,000 OR MORE.
5/FRASER
INCLUDES M3« PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF $100,000 OR MORE.
Digitized for
NOTES
ALL RATES OF CHANGE ARE BASEO of"DAILY AVERAGE DATA; RATES OF CHANGE ARE N01 COMPOUNDED.


FEDERAL RESERVE St«tUtlc«l R«|««s« H.6

Table 3

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS
Time end Savings Deposits

1974—FEB.
MAR.
APft.
MAY
JUNE
JULY
AUG.
SEPT*
OCT.
NOV.
DEC.

Demand Deposits

Currency

p«t*

62.7
63.3
63.9
1

1975—JAN.
FEB.

CD s ^

210.4

68*2
68.0
73.0

Other

376*0

310.3
312*7
314*0

378*3
386*7

356i5

84.8
86.2
85.5
90,3

3I7VI
319*2
321*5
322*7
325.9
329.2
330.0

392.5
398.4
402*8
405.2
407.5
412.1
414.7
420.3

357.1
356.0
360.2
360.7
361*6
363.1
365.3
368.3

92.9
92.2

333.8
337.2

426.7
*29.4

371.5
375.0

335*0
337.1
337,4
338.7

427.9
430.0
429.7
430.0

.0
.0
.0

338.7
339.8
340.8
340.8

428.9
429.1
430.4
431*1

64.3
64.6
64.B
65.5
65.9
66.5
67.3
67.e
60.1
68.6

214.1
215.1

68.2
68.6
'68.8
68.8

213.6
215.6
214.8

215*9

93-0
92.9
92.3
91.3

66.9
69.4
69.3
69.4

216.4
218.7
216.9
218.0

90.2
69.3
R 89.6
90.3

1

76**
81.3

S3.6
83.8

j
|

Total

307.8

211.9
212.6
213*3
215.4
215.7
215.3
215.3
215.7
216.5
216.6

j

Nonbank
Thrift Institutions 2 '

351.7
354.5

WEcK ENDING:
1975--FEB.

5
12
19
26

MAR.

5
12
19 P
26 P

1111 m i i o j i i i i

!

•0
.0

•0
•0
|

.0

m

ING COMMERCIAL BANKS.
2/ AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARES, ANO CREDIT UNION SHARES.
P" - PRELIMINARY; R - REVISED




FCOltfAl RESERVE Statistical R«l#«e H 6

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS
IILIJ.IIIII .

i ^ — — — W —

i [

1

It

Demand Deposits
Currency

Date

1974--KB.
MAR*
APR.
HAY
JUNfc
JULY
AUG.
SEPT.
OCT.
NOV*
DfC.

[

61*9

!

62-7
63*5
64*1
6**8
65*3
65*7

!
|
1

I

-<x5«e

1
|

66*4
67.8

I

68.9

1

Total '

j

|

67.7
67.6

1975—JAN.
FEB.

1

Time and Savings Deposit

Domestic 1
Nonmember^

Member

2GB.3
2Q9.8
214.7
208*8
213.5
2l4,e
211.9
213.6
215*3
217*5
223.3

1M.I
152.3
155.0
151.3
153.6
154,4
152.3

1

15**3

1

154,4
155.9
160.3

54.6
54.7
56.2
54,8
56.1
56.6
56.3
57*0
57.7
5B.4
59.7

66.1
66.7
71.8
77.2
79.6
82*8
87.1
88.7
88.8
87.1
90*5

221.6
213.0

158*7
152.2

59.7
57.6

92.1
89.4

214.T
213.7
213.1
210*7

1*3.8
152.6
152.1
150.6

57*7
57.9

215.1
216.3
215.4
213^8

154.1
154*4
R 153.8
153.0

|

Total

Other

CD's**

308.3
312.4
315.3
316.7
310.3
319.2
321.1
321.3
324.6
325.8
327.2

Nonbank
Thrift
I Institutions^

U 3 Gov't
Demand^

374.4
379.1
387.1
393.9
397.9
402.0
408*2
410.1
413.3
412.9
417.6

351.7
356.2
358.7
358.7
360.6
361.9*
360,3
360.5
361.7
363.0
366*5

33<**7
337*8

424#7
427*1

371.0
375.0

334.5
337.2
338.0
339.8

425.3
427.3

.0
.0

427.2

57.0

90.8
90.1
89.2
S8.1

*°
.0

4.3
3.0
3.1
3.4

?7.9
58.6
58.3
57*6

87.8
87.*>
B&*2
8**6

340.3
342.0
342.9
343.4

.0
.0
.0
.0

2.7
2.6
4.4
4.4

1

j
1

6.6
6.4
6.0
7.6
6.1
5*4
4.0
5.5
3.7
3.3
4*8
j

4.0
3.3

WLfcK LND1NG:
1975--FEB.

MAP.

5
it
19
26

67,4
66*?
66.0
67.3

5
12
19 P
26 P

66.2
69.1
66.6
68.5

!

|

i

i

fcT.fl

1

427.9
426.1
R 430.0
431.1
432.0

iMHtiMMWMUMMH

1 / TOTAL DEPOSITS INCLUDE* IN ADDITION TO THE MEMBER AND DOMESTIC NONMSM&EJ* DBMSIVS - SHOWN* DEPOSITS DUE TO FOREIGN AND
INTERNATIONAL INSTITUTIONS. AT F.R.ftANKS AND Ml TYPE BALANCES At AGENCIES AND BRANCHES Op FOREIGN BANKS.
2 / 8ASfD ON MOST RECENT CALL REPORT SNGLE-DAY OBSERVATION
>
3 / INCLUDES NEG011ABLE TIME CERTIFICATES OF DEPOSIT ISSUED Ijtf DENOMINATIONS DP ilOO.OOO OR MOREfBY LARGE WEC-K1Y
REPORTING COMMERCIAL BANKS*
4 / AVERAGE OF BEGINNING AND ENO OF ^0NTH DEPOSITS AT MUTUAL SAVINGS BANKS *. SAVINGS AND LOAN SHARES, AND CREDIT UNION SHARES.
5/ U.S.GOVERNMENT DEMAND DEPOSITS AT ALL COMMERCIAL BANKS.

P - PRELIMINARY* tt - REVISED