Full text of H.6 Money Stock Measures : August 29, 1980
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FEDERAL RESERVE statistical release For Immediate Release H.6 (508) AUG. 2 9 , Table 1 1980 MONEY STOCK MEASURES AND LIQUID ASSETS Billions of dollars, seasonally adjusted unless otherwise noted M1-A M1-B Currency plus demand deposits1 Date MI-Aplus other checkable deposits at banks and thrift institutions2 Addenda: Overnight RPs at commercial banks plus overnight Eurodollars^ NSA Money market mutual fund shares NSA M2 M3 MI-Bplus M2 plus large overnight RPs time deposits and Eurodollars, MMMF shares, and and term RPs at savings and small commercial banks and thrift time deposits at institutions^ commercial banks and thrift institutions^ L M3 plus other liquid assets^ 362.0 364.0 365.9 377.4 379.9 382.2 28.5 28.6 29.8 28.0 31.2 33.7 1478.3 1491.8 1502.9 17 09* 2 1725.8 1745.5 2063.8 208U3 2110.0 OCT. NOV. DEC. 366.6 368.0 369.7 382.9 384.2 386.4 28.8 i 25.7 ' 25.3 36.9 40.4 43.6 1510.1 1516.4 1525.5 1757.8 1765.4 1775.5 2120.4 2126.4 2141.1 1980-JAN. FEB. MAR. 370.8 373.7 373.1 388.1 391.3 391.2 26*6 27.1 24.5 49.1 56.7 60.9 1534.5 1546.7 1553.1 1786.9 1804.5 1811. 1 2155.2 2175.9 2190.1 APR. MAY JUNE 367.6 367.8 371.3 386.6 386.2 390.9 20.3 21.3 22.5 60.4 66.8 74.2 1549.9 1562.1 1585.7 1811.1 1824.2 1844.5 2200.7 2216.4 2229.9 JULY 373.7 394.5 27.2 79.4 1608.2 18 62.4 2 9 16 23 30 371.2 372.3 374.6 373.0 373.2 391,0 393.0 395.5 393.9 394. 1 25.2 24.7 27.2 28.5 28.5 76.9 78.2 79.2 79.9 80.7 6 13 P 20 P 382.9 378.6 378.7 404.5 400.4 400.6 29.6 26.9 28.1 81.3 81.5 81.0 1979-JULY AUG. SEPT. WEEK ENDING: 1930-JULY AUG. 1/ 2/ 3/ 4/ 5/ 6/ INCLUDES (1) DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC BANKS, THE U.S. GOVERNMENT AND FOREIGN BANKS AND OFFICIAL INSTITUTIONS LESS CASH ITEMS IN THE PROCESS OF COLLECTION AND F.R. FLCAT; AND (2) CURRENCY OUTSIDE THE TREASURY, F.R. BANKS AND THE VAULTS OF COMMERCIAL BANKS. M1-A PLUS NOW AND ?*TS ACCOUNTS AT BANKS AND THRIFT INSTITUTIONS, CREDIT UNION SHARE DRAFT ACCOUNTS AND DEMAND DEPOSITS AT MUTUAL SAVINGS BANKS. OVERNIGHT(AND CONTINUING CONTRACT) RPS ARE THOSE ISSUED BY COMMERCIAL BANKS TO THE NCNBANK PUBLIC, AND OVERNIGHT EURODOLLARS ARE THOSE ISSUED BY CARIBBEAN BRANCHES OF MEMBER BANKS TO U.S. NONBANK CUSTOMERS. SMALL DENOMINATION TIME DEPOSITS ARE THOSE ISSUED IN AMOUNTS OF LESS THAN $100,000. M2 WILL DIFFER FROM THE SUM OF COMPONENTS PRESENTED IN SUBSEQUENT TABLES BY A CONSOLIDATION ADJUSTMENT THAT HAS BEEN MADE TO AVOID DOUBLE COUNTING OF THE PUBLIC'S MONETARY ASSETS. THE DIFFERENCE REPRESENTS THE AMOUNT OF DEMAND DEPOSITS HELD BY THRIFT INSTITUTIONS AT COMMERCIAL BANKS. LARGE DENOMINATION TIME DEPOSITS ARE THOSE ISSUED IN AMOUNTS OF $100,000 OR MORE AND ARE NET OF THE HOLDINGS OF DOMESTIC BANKS, THRIFT INSTITUTIONS, THE U.S. GOVERNMENT, MONEY MARKET MUTUAL FUNDS AND FOREIGN BANKS AND OFFICIAL INSTITUTIONS. TERM RPS ABE NET OF RPS HELD BY MONEY MARKET MUTUAL FUNDS. OTHER LIQUID ASSETS INCLUDE THE NONBANK PUBLIC'S HOLDINGS OF U.S. SAVINGS BONDS, SHORT-TERM TREASURY SECURITIES, COMMERCIAL PAPER, AND BANKERS ACCEPTANCES NET OF MONEY MARKET MUTUAL FUND HOLDINGS OF THESE ASSETS. NOTE; P INDICATES PRELIMINARY DATA. SPECIAL CAUTION SHOULD BE TAKEN IN INTERPRETING WEEK-TO-WEEK CHANGES I N MONEY SUPPLY DATA, WHICH ARE OFTEN HIGHLY VOLATILE AND SUBJECT TO REVISION I N SUBSEQUENT WEEKS AND MONTHS. PRELIMINARY DATA ARE SUBJECT TO WEEKLY REVISIONS UNTIL THEY ARE FINAL. H.6 (508) Table 1A MONEY STOCK MEASURES AND LIQUID ASSETS Billions of dollars, not seasonally adjusted M1-A M1-B M2 Addenda: M3 L MI-Bplus Currency plus demand deposits1 Date M1-Aplus other checkable deposits at banks and thrift institutions 2 Overnight RPs at commercial banks plus overnight Eurodollars^ Money market mutual fund shares M2 plus large overnight RPs time deposits and Eurodollars, MMMF shares, and and term RPs at savings and small commercial banks and thrift time deposits at institutions^ commercial banks and thrift institutions^ M3 plus other liquid assets^ 364.0 361.9 365.4 379.3 377.8 381.8 28.5 28.6 29.8 28.0 31.2 33.7 1484.1 1712.4 1489.2 1501.4 1722.9 17 43.4 2065.6 2077.3 2101.3 OCT. NOV. DEC. 368.2 370.6 379.2 384.5 386.8 396.0 28.8 25.7 25.3 36.9 40.4 43.6 1510.1 1511.8 1527.3 17 58.4 1762.0 1780.8 2118.6 2124.8 2143.6 1980-JAN. FEB. MAR. 375.6 365.5 366.3 392.9 383.1 384.4 26.6 27.1 24.5 49.1 56.7 60.9 1537.8 1538.6 1550.0 1792.2 1796.6 1808.8 2161.8 2173.3 2190.8 APS. MAY JUNE 370.9 362.2 370.1 389.9 380.5 389.7 20.3 21.3 22.5 60.4 66.8 74.2 1558.1 1559.2 1587.5 1817.3 1820.1 1843.8 2208.7 2210.1 2228.0 JOIY 375.6 396.5 27.2 79.4 1613.6 1865.5 2 9 16 23 30 371.6 379.8 379.6 372-7 369,2 391.4 400.4 400.5 393.6 390.1 25.2 24.7 27.2 76.9 78.2 79.2 6 13 P 20 P 382.6 379.4 376.9 404.2 401.2 398.8 29.6 26.9 28.1 81.3 81.5 81.0 1979-JULY AUG. SEPT. VESK ENDING: 1980-JU1Y AUG. NOTE: SEE TABLE 1 FOR FOOTNOTES, 28.5 28.5 79.9 80*7 H.6 (508) Table 2 MONEY STOCK MEASURES AND LIQUID ASSETS Percent change at seasonally adjusted annual rates Date M1-A M1-B Currency plus demand deposits1 M1-Aplus other checkable deposits at banks and thrift institutions 2 M2 M1-Bplus overnight RPs and Eurodollars, MMMF shares, and savings and small time deposits at commercial banks and thrift institutions4 M3 M2 plus large time deposits and term RPs at commercial banks and thrift institutionsS JULY FBCM : APR. 1980 (3 MONTHS PREVIOUS) 6.6 8.2 15.0 11.3 JAN. 1980 (6 MONTHS PREVIOUS) 1.6 3.3 9.6 8.5 JULY 1979 ( 1 2 MONTHS PREVIOUS) 3.2 4,5 8.8 9.0. FOUR WEEKS ENDING: AUG. 2 0 , FBOM FOUB 3EEKS ENDING: 1980 MAY 21, 1980 (13 WEEKS PREVIOUS) FEB. 20, 1980 (26 AUG. 2 2 , 1979 NOTE: 15.3 WEEKS PREVIOUS) 2.7 4.6 (52 WEEKS PREVIOUS) 4,1 5.4 SEE TABLE 1 FOR FOOTNOTES. 12.5 H.6 (508) Table 3 COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS Billions of dollars, seasonally adjusted unless otherwise noted Date 1 Currency Demand deposits? Other checkable deposits3 Overnight RPs (net) 4 Overnight Eurodollar NSA NSA NSA Money market mutual funds6 NSA Savings deposits at at commercial thrift banks institutions total Small denomination time deposits? at at commercial thrift total banks institutions 102.6 103.7 104.7 259.4 260.3 261.2 15.4 15.9 16.3 25.5 25.3 26.2 3.0 3.3 3.6 28.0 31.2 33.7 206.4 206.5 204.9 244.5 243.9 24 0 . 5 450.9 450.4 445.4 213.3 217.9 222.1 382.9 386.5 392.5 596.2 604.4 614.6 OCT. NCV. DEC. 105.5 105.9 106.3 261.1 262.1 263.4 16.3 16.2 16.7 25.3 22.5 21.7 3.5 3.2 3-6 36.9 40.4 43.6 202.0 196.1 194.2 234.0 22 5.2 222.5 436.0 421.3 416.7 227.5 237.0 241.5 400.9 410.8 415.1 628.4 647.8 656.5 1980-JAN. FEB. MAR. 107.3 108.1 108.9 263.5 265.6 264.2 17.3 17.6 18.0 22.6 23.0 21.0 4.1 4.1 3.6 49.1 56.7 60.9 192.2 188.6 183.0 219.6 214.6 208.9 411.8 403.1 391.9 245.9 251.2 260.1 415.9 420.2 427.5 661.8 671.4 687.6 APR. MAY JUNE 109.0 110.1 111.0 258.6 257.7 260*3 19.0 18.4 19.6 17.6 18.5 19.6 2.7 2.8 2.9 60.4 66.8 74.2 176.4 175.3 180.1 201.0 197.4 201.3 3 77.3 372.7 381.4 271.9 275.1 274.4 436.4 443.0 445.2 708.3 718.0 719.6 JOLY 112.0 261.6 20.8 23.6 3.6 79.4 185.9 20 6.8 392.7 273.7 443.8 717.5 2 9 16 23 30 111.U 111.6 111.8 112.3 112.6 259.8 260.8 262.8 260.7 260.6 19.8 20.7 20.9 20.9 20.9 21.7 21.2 23.9 25.2 24.4 3.5 3.5 3.3 3.4 4.1 76.9 78.2 79.2 79.9 80.7 182.0 184.5 185.6 186.7 187.4 273.9 274.0 274.0 273.7 273.4 6 13 P 20 P 113.3 112.9 113.0 269.5 265.7 265.7 21.6 21.8 21.9 25.6 23.2 24.7 4.0 3.7 3.4 81.3 81.5 81.0 188.9 189.7 189.9 273.5 273.2 273.8 1979-JULY AUG. SEPT. WEEK ENDING: 1980-JULY AUG. 1/ 2/ 3/ 4/ 5/ 6/ 7/ CURRENCY OUTSIDE THE U.S. TREASURY, P.R. BANKS AND VAULTS OF COMMERCIAL BANKS. DEMAND DEPOSITS AT COMMERCIAL BANKS AND FOREIGN RELATED INSTITUTIONS OTHER THAN THOSE DUE TO DOMESTIC BANKS, THE U.S. GOVERNMENT AND FOREIGN BANKS AND OFFICIAL INSTITUTIONS LESS CASH ITEMS IN THE PROCESS OF COLLECTION AND F.R. FLOAT. INCLUDES ATS AND NOW BALANCES AT ALL INSTITUTIONS, CREDIT UNION SHARE DRAFT BALANCES AND DEMAND DEPOSITS AT MUTUAL SAVINGS BANKS. INCLUDES OVERNIGHT AND CONTINUING CONTRACT RPS ISSUED TO THE NONBANK PUBLIC BY COMMERCIAL BANKS, NET OF AMOUNTS HELD BY MONEY MARKET MUTUAL FUNDS. ISSUED BY CARIBBEAN BRANCHES OF U.S. MEMBER BANKS TO U*S. NONBANK CUSTOMERS. TOTAL MCNEY MARKET MUTUAL FUND SHARES OUTSTANDING. SMALL DENOMINATION TIME DEPOSITS ARE THOSE ISSUED IN AMOUNTS OF LESS THAN $100,000. H.6 (508) Table 3—continued COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS Billions of dollars, seasonally adjusted unless otherwise noted Large denomination time deposits1 at thrift at commercial Date banks2 institutions total at commercial banks NSA Term RPs3 at thrift institutions NSA total NSA Term Eurodollars (net)4 NSA Savings bonds Short-term Treasury securities^ Bankers acceptances^ Commercial paper7 177.1 178.9 184.9 21.8 22.9 24.1 198.9 201.8 208.9 25.2 25.2 26.4 6.8 7.0 7.3 32.0 32.2 33.7 33.9 33.4 80.0 80.0 80.6 128.8 123.0 128.1 22.6 25.0 26.6 91,8 93.6 95.7 OCT. NCV. DEC. 188,9 190.3 189-1 25.9 28.2 30.3 214.8 218.5 219.4 25,7 23.6 23.8 7.2 6.9 6.7 33.0 30.5 30.5 33.2 34.0 31.9 82.2 80.3 80.0 123.7 122.1 127.5 27.1 28.6 28.9 96.4 96.0 97.3 1980-JAN. FEB. NAB. 190.6 195.1 196.7 31 9 33.5 34.1 222,5 228.6 230.7 23.3 22.7 20.6 6.6 6.6 6.6 29.9 29.2 27.2 34.1 37.5 37.4 79.2 78.1 76.8 127.6 128.8 136.3 28.4 27.6 28.8 99.0 99.3 99.8 APR. MAY JUNE 199.3 199.1 194.8 34.9 35.9 35.9 234.2 235,0 230.7 20.6 20.6 21.6 6.5 6.5 6.5 27.1 27.1 28.1 37.9 37.5 36.9 75.2 74.0 73.3 146.3 151.8 148.7 29.5 29.4 30.2 100.6 99.5 96.3 JOIY 188.9 36.2 225.1 22.7 6.5 29.2 1979-JULY AUG. SEPT. 31. 4 WEEK ENDING: 1980-JULY AUG. 1/ 2/ 3/ 4/ 5/ 6/ 7/ 2 9 16 23 30 192.4 191.4 188*8 188.8 187,4 21.0 21.3 22.6 22.1 24.7 6 13 P 20 P 184.8 187.3 189.4 25.0 26.1 23.8 LARGE DENOMINATION TIME DEPOSITS ARE THOSE ISSUED IN AMOUNTS OF $100,000 OR MORE. LARGE DENOMINATION TIME DEPOSITS AT COMMERCIAL BANKS LESS LARGE TIME HELD BY MONEY MARKET MUTUAL FUNDS AND THRIFT INSTITUTIONS. TERM PPS ARE THOSE WITH ORIGINAL MATURITY GREATER THAN ONE DAY AND EXCLUDE CONTINUING CONTRACTS. TERM EURODOLLARS ARE THOSE WITH ORIGINAL MATURITY GREATER THAN ONE DAY NET OF TERM EURODOLLARS HELD BY MONEY MARKET MUTUAL FUNDS. INCLUDES U.S. TREASURY BILLS AND COUPONS WITH REMAINING MATURITY OF LESS THAN 18 MONTHS HELD BY THE NONBANK PUBLIC LESS SUCH SECURITIES HELD BY ftONEY MARKET MUTUAL FUNDS. NET OF EANKERS ACCEPTANCES HELD BY ACCEPTING BANKS, F.R. BANKS, FOREIGN OFFICIAL INSTITUTIONS, THE FEDERAL HOME LOAN BANK SYS1EM, AND MONEY MARKET MUTH\L FUNDS. TOTAL COMMERCIAL PAPER LESS COMMERCIAL PAPER HELD BY MONEY MARKET MUTUAL FUNDS. H.6 (508) Table 3A COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS Demand deposits 1 Other checkable deposits at foreignrelated banking offices in the U.S.4 at member banks2 at domestic nonmember banks3 103.2 103.9 104.5 169.1 167.2 167.9 86.2 85.3 87.3 5.4 5.4 5.7 260.7 257.9 260.9 OCT. NCV. DEC. 105.2 106.6 108.2 169.0 169.5 175.3 87*9 88.5 90.2 6.0 6.0 5.5 1980-JAN. FEB. MAR. 106.5 106.8 107.9 173.9 165.3 164.9 89.2 86.8 86.6 APE. MAY JUNE 108.7 109.9 111.1 168.6 161.3 166.0 JULY 112.7 2 9 16 23 30 6 13 P 20 P Date Currency 1979-JDLY AUG. SEPT. total at commercial banks5 at thrift institutions 6 total Overnight RPs(net)7 Overnight Money market Eurodollars 8 mutual funds9 15.4 15.9 16.3 25.5 25.3 26.2 3.0 12.5 3.7 3.8 3.8 3.3 3.6 28.0 31.2 33.7 263.0 264.0 271.0 12.5 12.4 12.8 3.8 3.9 3.9 16.3 16.2 16.7 25.3 22.5 21.7 3.5 3.2 3.6 36.9 40.4 43.6 6.0 6.5 6.8 269.1 258.7 258.4 13.4 13.7 14.0 3.9 3.9 4.0 17.3 17.6 18.0 22.6 23.0 21.0 4.1 4.1 3.6 49.1 56.7 60.9 87.5 84.5 86.6 6.1 6.4 6.4 262.2 252.2 259.0 14.9 14.3 15.5 4. 1 4. 1 4.1 19.0 18.4 19.6 17.6 18.5 19.6 2.7 2.8 2.9 60.4 66.8 74.2 167.9 88.2 6.8 263.0 16.7 4. 1 20.8 23.6 3.6 79.4 111.3 114.0 113.0 112.5 111.7 167.5 167.7 169.6 166.7 165.5 86.3 89.9 89.9 87.3 86.0 6.5 8.1 7.2 6.3 6.0 260.3 265.7 266.7 260.2 257.5 15.7 16.5 16.7 16.8 16.8 4. 1 4.1 4. 1 4.1 4. 1 19-8 20.7 20.9 20.9 20.9 21.7 21.2 23.9 25.2 24.4 3.5 3.5 3.3 3.4 4.1 76.9 78.2 79.2 79.9 80.7 114.1 114.0 113.3 171.9 169.8 170.0 90*3 89.5 87.9 6.2 6.2 268.5 265.4 263.6 17.4 17.6 17.8 4.2 4.2 4.2 21.6 21.8 21.9 25.6 23.2 24.7 4.0 3.7 3.4 81.3 81.5 81.0 11.7 12.1 WEEK ENDING: 1980-JULY AUG. 1/ 2/ 3/ 4/ 5/ 6/ 7/ 8/ 9/ 5.7 CURRENCY OUTSIDE THE U.S. TREASURY, F.R. BANKS AND THE VAULTS OF COMMERCIAL BANKS. DEMAND DEPOSITS OTHER THAN THOSE DUE TO DOMESTIC BANKS, THE U.S. GOVERNMENT AND FOREIGN BANKS AND OFFICIAL INSTITUTIONS LESS CASK ITEMS IK THE PROCESS OF COLLECTION AND F.R. FLOAT AT MEMBER BANKS OF THE FEDERAL RESERVE SYSTEM. DEMAND DEPOSITS OTHER THAN THOSE DUE TO DOMESTIC BANKSr THE U.S. GOVERNMENT AND FOREIGN BANKS AND OFFICIAL INSTITUTIONS LESS CASH ITEMS IN THE PROCESS OF COLLECTION AT NONMEMBER BANKS. DEPOSITS AS DESCRIBED IN FOOTNOTE 3 AT AGENCIES AND BHANCHES OF FOREIGN BANKS, EDGE ACT CORPORATIONS AND FOREIGN INVESTfiFN? COMPANIES. NOW AND ATS ACCOUNTS AT BANKS. NOW ACCOUNTS AT THRIFT INSTITUTIONS, CREDIT UNION SHARE DRAFT BALANCES AND DEMAND DEPOSITS AT MUTUAL SAVINGS BANKS. lNCLi;:^f. OVERNIGHT AND CONTINUING CONTRACT RPS ISSUED TO THE NONBANK PUBLIC BY COMMERCIAL BANKS NET OF AMOUNTS HELD BY MONEY MARKET KCJTUAL FUNDS. ISSUED 2Y CARIBBEAN BRANCHES OF U.S. MEMBER BANKS TO U.S. NONBANK CUSTOMERS. TOTAL SC£ir.Y MARKST MUTUAL FUND SHARES OUTSTANDING. H.6 (508) Table 3A—continued COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS Billions of dollars, not seasonally adjusted Small denomination time deposits'1 Savings deposits Date at commercial banks at savings and loans at mutual savings banks at credit unions at comrr.crcial banks 46.8 7.9 596,7 603.1 613.2 63.0 60.7 59.9 45.6 44.1 43.5 434.6 419.2 413.8 228.0 235. 1 239.0 314.4 319.5 322.4 77.1 78.7 79.7 8.7 9.5 10.3 628.2 642.7 651.5 116.5 113.5 111.1 59.0 57.5 56.3 42.5 41.6 41.2 409,2 400.0 392.2 245.5 251.9 26 0.9 325.7 329.1 333.8 30.7 81.7 83.3 11.1 11.9 12.9 662.9 674.6 690.9 1.78.0 176.5 180.7 106.8 104.8 108.3 54.3 53.2 54.2 40.6 39.9 40.3 379,7 374.4 383.6 272.2 276.2 275.8 339.3 341.4 341.7 85.6 86.9 87.1 13.8 14.6 15.7 710.9 719, 1 720.4 187.0 113.0 55.4 40.3 395.6 274.0 340.2 87.2 16.6 718.0 OCT. NOV. DEC. 201.3 194.8 192.4 124.8 119.6 118.1 1980-JAN. FEB. MAR. 191.3 187.5 183.6 APB. MAY JUNE JD1Y 132.1 WEEK ENDING: 2 9 16 23 30 182,6 185.9 186.9 187.7 188.1 275.2 274.5 274.0 273.7 273.4 6 13 P 20 P 189.4 190.0 190.1 27 3.2 273.2 273.6 SMALL DENOMINATION TIME DEPOSITS ARE THOSE ISSUED IN AMOUNTS OF LESS THAN $100,000. total 74.0 74.3 75.4 48.0 47.3 1/ at credit unions 302.9 304.0 307.9 66.7 65.9 65.0 AUG. at mutual savings banks 213.5 217.6 222.1 131.4 129.4 1980-JOLY at savings and loans 454.3 451.2 445.7 207.6 206.7 204.5 1979-JOLY AUG. SEPT. total 6.3 7.1 H.6 (508) Table 3A—continued COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS Billions of dollars, not seasonally adjusted Date La rge denominat on time deposits'1 at at mutual commercial at savings total savings banks2 and loans banks Term RPs3 at commercial banks at thrift Institutions total Term Eurodollars (net)4 Savings bonds Short-term Treasury securities5 Bankers Commercial paper? acceptances^ 174.1 177,9 183.6 20.1 21.3 22.4 2.2 2.3 2.4 196.4 201.5 208.4 25.2 25.2 26.4 6.8 7.0 7.3 32.0 32.2 33.7 31.4 33.9 33.4 80.6 80.6 80.6 126.5 122.0 123.4 22.5 25.3 26.6 92.2 92.6 93.8 OCT. NOV. DEC. 189.1 191.6 193.5 23.8 25.4 26.8 2.5 2.6 2.7 215.4 219.7 223.0 25.7 23.6 23.8 7.2 6.9 6.7 33.0 30.5 30.5 33.2 34.0 31.9 8 0.5 80.3 80.0 124.0 123.9 127.2 27.0 27.6 26.6 95.4 97.1 97.2 1980-JAN. FEB. MAP. 193.3 196.1 198.3 28.4 29.9 30.6 2.8 2.8 2.8 224.4 228.8 231-6 23.3 22.7 20.6 6.6 6.6 6.6 29.9 29.2 27.2 34.1 37.5 37.4 79.2 78-2 76.8 130.2 132.1 138.1 27.5 28.9 29.8 98.7 100.0 99.8 APR. MAY JUNE 197,7 198.1 191.9 31.6 32.8 33.5 2.8 2.9 2.9 232.1 233.8 228.3 20.6 20.6 21.6 6.5 6.5 6.5 27.1 27. 1 28.1 37.9 37.5 36.9 75.1 73.9 147.6 151.7 146.2 30.1 30.1 30.6 100.7 96.8 97.0 JULY 185.7 34.2 2.9 222.7 22.7 6.5 29.2 1979-JOLY AOG. SEPT. WEEK ENDING: 1980-JOIY AUG. 1/ 2/ 3/ 4/ 5/ 6/ 7/ 73.5 2 9 16 23 30 189.1 187.7 185.0 185.6 185.0 21.0 21.3 22.6 22.1 24.7 6 13 P 20 P 183.3 186.0 188.3 25.0 26.1 23.8 LARGE DENOMINATION TIME DEPOSITS ARE THOSE ISSUED IN AMO0NTS OF $100,000 OR MORE. LARGE DENOMINATION TIME DEPOSITS AT COMMERCIAL BANKS LESS LARGE TIME HELD BY MONEY MARKET MOTOAL FONDS AND THRIFT INSTITUTIONS. TERM RPS ARE THOSE WITH ORIGINAL MATURITY GREATER THAN ONE DAY AND EXCLUDE CONTINUING CONTRACTS. TERM EURODOLLARS ARE THOSE WITH ORIGINAL MATURITY GREATER THAN ONE DAY NET OF TERM EURODOLLARS HELD BY MONEY MARKET MUTUAL FUNDS. INCLUDES U.S. TREASURY BILLS AND COUPONS WITH REMAINING MATURITY OF LESS THAN 18 MONTHS HELD BY THE NONBANK PUBLIC LESS SUCH SECURITIES HELD BY MONEY MARKET MUTUAL FUNDS. NET OF EANKERS ACCEPTANCES HELD BY ACCEPTING BANKS, F.R. BANKS, FOREIGN OFFICIAL INSTITUTIONS, THE FEDERAL HOME LOAN BANK SYSTEM, AND MONEY MARKET MUTUAL FUNDS. TOTAL COMMERCIAL PAPER LESS COMMERCIAL PAPER HELD BY MONEY MARKET MUTUAL FUNDS. H.6 (508) Table 4 MEMORANDA ITEMS Demand deposits at banks due to foreign commercial banks Date foreign official institutions Time and savings deposits due to foreign commercial banks and foreign official institutions demand deposits at Federal Reserve commercial banks Banks U.S. government deposits note balances at commercial banks and thrift institutions total demand deposits and note balances time and savings deposits at commercial banks 3.0 3.9 11.0 7.5 9.7 16.5 12.8 16.3 1.0 1.0 1.0 2.7 3,3 3.0 3.0 9.6 3.3 6.9 15.0 8.6 12.6 0.9 0.8 9.4 8.8 8.8 3.0 2.7 2.7 3.1 3.4 2.7 9.6 9.0 5.1 15.7 15.1 10.5 0.7 0.7 0.7 3.5 3.3 2.9 9.2 9.6 10.0 3.5 2.5 3.2 2.6 2.8 2.9 5.4 5.9 6.8 11.6 11.2 12.9 0.7 0.6 0.6 12.0 3.0 10.0 3.1 3.1 6.1 12.3 0.5 2 9 16 23 30 12.0 12.6 12.1 11.6 12.0 3.4 2.9 3.1 2.6 3.5 10.0 10.0 9.9 10.0 10.0 2,2 4.4 2.5 3.1 2.7 3.1 3.1 3.3 2.7 3.2 11.1 5.8 4.4 6.2 7.0 16.4 13.3 10.2 12.1 12.9 0.6 0.5 0.5 0.5 0.6 6 13 P 20 P 11.2 11.0 11.4 2.7 3.0 3.0 10.1 10.1 10.0 3.1 2.2 3.3 2.7 3.3 3.6 4.5 3.8 6.0 10.2 9.4 12.9 0.6 0.6 0.6 11.0 10.8 11.3 3.1 2.9 2.7 9.9 9.8 9.8 2.2 2.3 2,7 0C1. NOV. DEC. 11.5 11.6 12.2 2.5 3.2 3.4 9.2 8.8 9.9 2.1 2.3 1980-JAB. FEB. NAB. 11.8 12.0 12.7 3.6 3.3 3.2 APB. HAT JONE 12.3 13.0 12.1 JUL1 1979-JOLT AUG. SBP1. 3.3 1.0 WEEK ENDING: 1980-JuTY AUG. SPECIAL SUPPLEMENTARY TABLE Variable Ceiling Time Deposits at All Insured Commercial Banks and All Mutual Savings Banks May 28, 1980, June 25, 1980, and July 30, 1980 (Not seasonally adjusted)!/ Insured Commercial Banks May 28 June 25 July 30p Insured Commercial Banks May 28 June 25 July 30p Amount outstanding (millions of dollars): 2/ 6-month money market'certificates (Standard "error of the estimate) 2-1/2 year and Byer variable ceiling certificates 3/ (Standard error of the estimate) 155,335 (2236) 151,889 (2142) 147,655 (2115) 43,760 (804) 43,279 (876) 42,275 (838) 13,497 (484) 17,677 (554) 22,103 (745) 5,197 (230) 6,795 (300) 8,377 (386) 13,866 13,854 13 ,627 463 463 463 12,788 12,604 12 ,559 463 463 463 95. 6 99 .0 n.a. 96 .3 100 .0 n.a. 96. 8 96 .4 97.5 99 .8 100 .0 96.0 Number of institution offering; 2/ 6-month money market certificates 2-1/2 year and over variable ceiling certificates Percent of offering institutions paying the ceiling rate during the survey period: u 6-month money market certificates 2-1/2 year and over variable ceiling certificates r—revised. n.a.—not available. p—preliminary. \J Estimates for June are based on data collected by the Federal Reserve and the FDIC from a stratified random sample of 481 commercial banks and 82 mutual savings banks. 2/ Money market certificates (MMCs) are nonegotiable time deposits in denominations of $10,000 or more with original maturities of exactly 26 weeks for which the maximum permissible rate of interest on new deposits is related to the discount yield on the most recently issued six-month Treasury bill (auction average). See Table 1.16 in the Federal Reserve Bulletin for specific ceiling rates. 3/ This category includes all 4-year and over variable ceiling accounts having no legal minimum denomination issued between July 1 and December 31, 1979 and all such 2-1/2 year and over variable ceiling accounts issued since January 1, 1980. See Table 1.16 in the Bulletin for specific ceiling rates.