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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