Full text of H.6 Money Stock Measures : April 17, 1975
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FEDERAL RESERVE FEDERAL RESERVE Stutfttlctl D i l i i l i H I statistical release For Immediate Release APRIL 17. 1V75 Tlftl* I MONEY STOCK MEASURES INBILUONIOFDOLUM r*ririi—PC" 1 ^ 1 , j-nr- 1 »»a pr~ 1 »t |Mt Plus Time Mi Plus Currency Deposits at M3PIUS M2Plus at Deposits Plus Commercial Large larga Ncm bank D em end Banks Negotiable Negotiable Thrift Deposits-!/ Other Then CD1!*/ 1 large C D ^ institutions^ Date M* M, Plus Time M3PIUS M2Pius Currency Deposits at Deposits at Commercial Nonbank Urge Plus Banks Negotiable Demand Thrift CD'S* Deposits^/ Othar Than institutions* 1 Large CD's ^ 1007.9 27**5 2tB*i» 266.3 280.7 261.1 262.2 263*6 264*3 653.A 665.5 670*2 676*5 663*3 686.0 666.7 694.3 698*5 704.6 ioiv*e 5*7*1 599*7 602.2 603.8 608.1 613.C 614*3 940*0 •45*9 946,6 955.9 9*9.9 963*0 9*3.5 971.2 976*3 982*5 1027*3 1037*2 1043*5 1046.7 1050*3 1057*4 1063*8 1 1072.8 | 272*9 276,2 280.1 277*5 279.4 261*7 285.3 292.2, 262.2 263.6 287.0 616.0 621.0 627.5 967.5 996*2 1007*6 706.9 713.2 717*3 1060*4 1088.4 J 1097.7 ! 269*3 280*6 264,2 621.9 618*5 627*0 26 264.2 263.* 284.7 621.2 621.0 623.4 714*1 713.3 714.7 281*8 281.1 278.0 619.0 619.1 617.6 709.1 706.3 705*9 5 12 19 2fc 265.3 266.1 166*2 287.3 624.0 626.0 627.0 626.0 714.2 717.2 716.7 718.3 623*6 627.4 627.0 621.6 711.4 713.4 715.3 R714,i 267,6 266.1 R629.7 631.1 R631.4 637.3 719. % 72 4 . 4 19?«s--J*N. PEE. MAR , P ! 2?*.* 276.6 277*6 583*5 58**4 2eo.c * 5 ^ 1 *€> 1 MB M3PIUS large Nagotiabie CD'stf Not Seasonally Ad usted Seasonally Adjusted 1974-v-MAR. APR. MAY JUNF JULY AUG. SEPT, OCT. NOV* CFC. 1 ! ! 584*9 593.5 589*7 596 * t 599.3 598.7 600.7 606*3 611*1 619*4 941*1 948*3 957.* 9tl*2 958*9 961 •* 966*0 974.1 965*6 631*5 165.3 666*9 676.2 662*1 685*6 60V.4 695*1 69B.2 709.6 1007*7 1024.0 1025*5 1037*0 10*4.0 1046.0 1049*9 105t*7 10*1*2 1076** 9*2.9 994.0 1006*7 TU.l 707*9 715.1 1065.0 1063.3 luSt.V 952*2 WEEK ENDING: pfe. 12 10 MAR, APR. — — 1/ 2 P 9 P win 1 • | 1 720.0 720.6 | ! 283*3 265.4 284.2 262.3 286.1 291.3 ! ! 1 INCLUDES ( U DEMAND DEPOSITS AT ALL COMMERCIAL 6ANKS OTHER THAN THOSE DUE TO DOMESTU COMMERCIAL 8ANKS AND THE U.S .LOVERNMfcNT, LESS CASH HEMS IN THE PROCESS OF COLLECTION AND F.R.PLGAT* « 1 FOREIGN DEMAND 6ALANL.ES At F^R^*±N*tS* ANC 131 CURRENCY OUT SIDE THE TREASURY. F,R.BANKS AND VAULTS OF ALL COMMERCIAL BANKS. 2 / INCLUDES* IN A0D1TI0N TO CURRENCY AND DEMAND DEPOSITS* SAVINGS DEPOSITS, TIME L E P O S l U OPtN ACC0UN1 » ANC TIME CfckTIFltATES OF DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS Of S l u C C C G OR MORI BY LARGE UttKLY RtPORtING COMMERCIAL BANKS. 3 / INCLUDES M2. PLUS THE AVERAGE OF THE FEGINNING AND END OF MONTH DtPOSITS OF MUTUAL SAVINGS fcANK% 5AVINCS ANt LOAN SHAfctiv, ANC CREDIT UNION SHARES. 4 / INCLUDES M2, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS CF 1 1 0 0 , 0 0 0 OK M O M , 5 / INCLUDES M3 f PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS CF H O C . 0 0 0 OR MORt. P - PRELIMINARY: R - REVISED FEDERAL RESERVE lUtlitlcfl Rilffftt H.« Ttblf 2 MONEY STOCK MEASURES PER CENT CHANGE AT f CA ION ALLY ADJUSTED ANNUAL RATES I *I M M M H M l N H E M f l i 2 "• Mi Plus Tim* Mi Plus Deposits Deposit* ft Currency Hut Cornrotrfcitl *t Nonbank Thrift Demand Deposit*-^ Binkft Other Th.n Institutions*/ Urge CD \* DATE *»4 «• M <Plus Large fe M/Plus Large J Negotiable CD's y Negotiable CD's2' MARCH PROMt <3 MONTHS PREVIOUS > £«8 0.6 10.3 7 , 2 9.3 SEPT. 107A 16 MONTHS PREVIOUS) 4#2 1.9 0.8 B.3 9.0 MAR. U Z MONTHS PREVIOUS! 4*3 lit 7.2 v.e 6.9 DEC. 197* 1974 FOUR WEEKS ENDINGt APR* PROM cOUR WEEKS ENDINGt 9i 1975 JAN. 8* 1974 U 3 WEEKS PREVIOUS) 5*5 9* 7*0 OCT. 9, 1974 (26 WEEKS PREVIOUS) *•* 8.2 B.*» APR. 10* 1974 1*2 WEEKS PREVIOUS) 4*2 t»2 | 9.5 1 ± 1 '•!•• • m l mmmmmmammmmmmmmmm 'b H M W M M M M M M mmmmtmmmm^mmmm^tmmmim 1 / INCLUDES ( 1 ) OEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE PUg TO D0HE6TU COMMERCIAL BANKS AND THE U.S.fcOVERNNENT. LESS CASH ITEMS IN THE PROCESS OF COLLECTION AND F.A.FLOATl (21 f&NflftJi DEMAND BALANCES AT P.R.BANKS* AND 13) CURRENCY OUTSIDE THE TEASURY, F.R.BANKS AND VAULTS OF ALL COMMERCIAL BANK*. 2 / INCLUDES. IN ADDITION TO CURRENCY AND DEMAND DEPOSITS#- SAVIN** DEPOSIT** TJMfc DfcPOSITS OPEN ACCOUNT. AND TIME CERTIFICATES OF OEPOSITS OTHER THAN NE6OT1A0LE TIME CERTIFICATES OF DEPOSIT ISSUED 1*1 DENOMINATIONS OF S100.000 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS. * * , * . * - • 3 / INCLUDES M2> PLUS THE AVERAGE OF THE BEGINNING AND END Of MONTH 06 *| Oi ITS 8P MUTUAL SAVINGS BANKS. SAVINGS AND LOAN SHARES. AND CREDIT UNION SHARES. A/ INCLUDES M2« PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT tSIUlD IN ^NOMINATIONS OP SlOOtOOO OR MORE. 5 / INCLUDES M»» PLUS NEGOTIABLE T I M ! CERTIFICATE* OF DEPOSIT llgUEO | R JftBBmNAllONS OP A100»000 OR MORE. NOTE! ALL RATES OF CHANGE ARE BASED ON DAILY AVERAGE DATA* MTPS OF tlHANOE AftE NOT COMPOUNDED. , http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis FEDERAL RESERVE Statistical Ralaase H.6 Table 3 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY ADJUSTED, IN BILLIONS OP DOLLARS | Date Demand Deposits Currency 1974--MAR, *PR. MAY JUNE JULY AUG. ! 63,3 63.9 64,3 64*6 64*8 21K9 212*8 213.3 219*4 215*7 65*5 OCT, NOV* DEC. 65*9 66*5 67.3 67.8 ! j 1975--JAN, FIB, MAR, P | I ' ! time end >evlnf Depoiitt 1 MrmHank Thrift Institutions-^ CD's if Other Total 68.0 73.9 78*5 61*3 63*6 310*3 312*7 314*0 317*1 319*2 | ! 378.3 386.7 392*5 396.4 402.6 4t5*2 407.5 412.1 414.7 420.3 354.5 ibb.l 357.1 358. B 360.2 360.7 ^61*6 363,i 365.3 368.3 ; 426.7 429.4 430.3 371,5 375.2 3bO,3 215*3 i B3.fi 321 #5 215*3 215*7 216*5 216*6 ! 84*8 86*2 65*5 90*3 322.7 32 5 . 9 329.2 330.0 68.1 68.6 69.4 214*1 215.1 217*7 92 #9 92*2 89*9 333*B 337*2 340.4 6|8,6 60*8 68.6 215*6 214*8 215.9 92*9 92.3 91*3 337.1 337.5 338.6 68.9 69,4 69*4 69,4 216*4 218*7 216*9 217.9 90.2 89.3 89*6 90*3 338,7 339.8 340*8 340.7 69.7 69.4 217.9 218*8 R90*3 89,5 K 342 . 2 343.0 WEEK ENDINGS 1975—-FEB. 12 19 26 MAR, APR. 9 12 19 26 2 P 9 P 1/ 1 1 430.0 429.7 430.0 | i 1 428.9 429.1 430.5 431.C 432*4 432.4 INCLUDES NEGOTIABLE TIME CERTIFICATES Of DEPOSIT ISSUED IN DENOMINATIONS OF SlOG.I&O OR MORE BY LARGE WEEKLY REPORTING COWERCIAL BANKS. 2 / AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARES, AND CREDIT UNION SHARES. P - PRELIMINARY! R - REVISED FEDERAL RESERVE S t . t l l t l c i l R . I . M . H 6 T.bl. 4 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS P M ^ M M M M M M H ^ M M M M M [111 M Currency Date 65*8 66.4 67,6 68*9 209,8 214.7 208*8 213*5 214*8 211*9 213*6 215,3 217*5 223*3 67*7 67*8 66.7 221.6 213*0 215.5 62.7 63*-$ 64.1 64*8 6*.3 1<V?4--MA** APP • MAY JUNE JULY AUG* SEPT. OCT, NOV* PFC* j i I lo7*«JAN. FEB. MAR. P ! 65 *7 Domestic Nonmember^ Member Total^ j | 152.3 155. r 151.3 153*6 1*4.4 152.3 153.3 154*4 155.9 160*3 158.7 152*2 154*1 j 111 M l •" - • m i i i i . immmmtmmmm - Time and Savings Deposit Demand Deposits Other CD*s^ 54.7 56*2 54*8 $6.1 56.6 56.3 57.0 57*7 5B.4 59.7 66*7 71.0 77,2 79*6 82*8 87.1 59*7 57*6 < 58 #2 Total 88.8 87*1 90.5 ^12 ^ 3U,3 316.7 318.3 319.2 321.1 321.3 324.6 325*'b 327.2 379.1 387*1 393.9 397.9 402*0 468.2 410.1 413.3 412.9 417.0 92*1 89*3 88*2 332.7 337*8 342*7 424.7 427.1 430*9 1 ee*7 I Nonbank Thrift 1 Institutions^! 1 j U S Gov't Demand^/ 3 lu. 1 358.7 3*>8.7 360.8 361.9 360.3 3*0.5 361.7 363.0 3t>6 • 5 t.*. 6*0 7.6 6.1 b .4 4*0 b.5 3.7 3*3 4.6 371.0 375*4 361*8 4.0 3.3 3.8 j : WEEK ENDTNGt 1 9 7 5 — F E B . 12 19 26 HAP. APR, 5 12 19 26 2 P 9 P J 68*2 68*0 67*3 68.2 69.1 68*8 68*5 68*9 69.8 213*7 152*6 ST . 9 213*1 152*1 *?»« ! 210.T 1 150*6 67.0 90*1 69a 66.1 1 1 337.2 336*0 339.8 l 427*3 427.2 427*9 3*0 3*1 3.4 215.1 216*3 215*3 213*8 154*1 154.4 153*8 152*9 ST»9 ! 88 »6 | 58.3 57.6 67.0 87*9 6B.2 86*6 340*3 342.0 342.9 343*3 428*1 430*0 431.1 R431.9 2*7 2.8 4*4 4.4 217.2 221*5 155*4 156*0 58.4 1 RB8.2 60*3 R345.2 346*0 R433.4 433*1 4.2 3.3 ; wa TOTAL DEPOSITS INCLUDEt 1 1 ADDITION TO THE MEMBER AND DOMES'\ h NtNHfcH. M W P t t S l t l $H0WN» DEPOSITS Wt TO FOREIGN AND i t AND BRAN£UB£ OF FOREIGN BANKS. INTERNATIONAL I N S T I T U T I O N 5 AT P#R*8ANK S AND Ml IS'PE BALANCE!i AT k&mtA 2 / BASED ON MOST RECENT CALL REPORT SINGLE-DAY OBSERVATIONS. 3 / INCLUDES NEGOTIABLE TIME CERTIFICATES OP DEPOSIT ISSUED IN DENOMINATIONS OP §100.000 Oft MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS. 4 / AVERAGE OP BEGINNING AND END OP MONTH 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* R - REVISED 1/