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Washington, D.C. CONCORDANCE OF STATISTICS Available in Selected Federal Reserve Publications LIBRARY January 1978 This publication is available on request from Publications Services, Division of Administrative Services, Board of Governors of the Federal Reserve System, Washington, D.C. 20551. CONCORDANCE OF STATISTICS AVAILABLE IN SELECTED FEDERAL RESERVE PUBLICATIONS Unless otherwise noted, the tables referred to in the Federal Reserve Bulletin are published each month, and they contain the latest annual, quarterly, monthly, or weekly data available as of the date of publication. Changes in the form or content of tables during 1977 have been noted. At the end of the Bulletin column there is a listing of tables that had appeared in earlier Bulletins but that were eliminated beginning 1977. Because the frequency of the data shown may vary among the three publications listed, the frequencies for each table are shown in parentheses, as are any other pertinent differences of which users should be aware. Generally speaking, titles of tables in the Annual Statistical Digests do not indicate the period covered, and no attempt has been made to include such information unless the period is longer or shorter than the usual 5-year span covered by the particular Digest. Table numbers are not necessarily consecutive. Footnotes appear at the end of the Concordance. FEDERAL RESERVE BULLETIN 1977 Table Number Title ANNUAL STATISTICAL DIGEST 1972 - 1976 " Table Number Title DOMESTIC FINANCIAL STATISTICS 1.10 Monetary aggregates and interest rates (Quarterly and monthly averages. Rates of change for the aggregates; levels for interest rates) 1 Monetary aggregates and interest rates A. Quarterly. (Average rates of change for the aggregates; average levels for interest rates) B. Monthly changes. (Averages for aggregates only!/) ANNUAL STATISTICAL DIGEST 1971 - 1975 ~ Table Number Title PAGE 2 ANNUAL STATISTICAL DIGEST 1972 - 1976 FEDERAL RESERVE BULLETIN 1977 Table Number 1.11 Title Factors affecting member bank reserves (Monthly and weekly averages; end of month; and Wednesday) Table Number 2 Title Factors affecting member bank reserves ANNUAL STATISTICAL DIGEST 1971 - 1975 Table Number Title 1 Member bank reserves, Federal Reserve Bank credit, and related items A. Annual and monthly averages A. Annual and monthly averages B. Weekly averages B. Weekly averages €. Wednesday C. Wednesday D. End of year and end of month 1.12 Reserves and borrowings of member banks!/ (Monthly and weekly averages) 3 Reserves and borrowings of member banks!/ 2 Reserves and borrowings of member banksl/ (Monthly averages) A. Annual and monthly averages, 1971-76 B. Weekly averages of daily figures, 1971-76 1.13 Federal funds transactions of money market banks (Weekly averages for 46 banks; also shows four-area breakdown) Federal funds transactions of 46 money market banks (Weekly averages for 46 banks only) 3 Basic reserve position, and Federal funds and related transactions (Weekly averages for 46 banks only) Federal Reserve Bank interest rates (Effective dates) 4 Federal Reserve Bank interest rates on loans to member banks under Sections 13 and 13a (Effective dates) POLICY INSTRUMENTS 1.14 Federal Reserve Bank interest rates (Coverage same as in Table 5 of ASP, 72-76. Effective dates for current and previous levels; range of rates in recent years) A. On loans to member banks under Sections 13 and 13a B. On loans to member banks under Section 10(b) 5 Federal Reserve Bank interest rates on loans to member banks under Section 10(b) (Effective dates) C. On loans to others than members banks under last paragraph of Section 13 6 Federal Reserve Bank interest rates on loans to others than member banks under last paragraph of Section 13 (Effective dates) 1.15 Member bank reserve requirements (Effective dates of current and previous levels; legal limits) Reserve requirements on deposits of member banks (Effective dates) 7 Reserve requirements on deposits of member banks (Effective dates) 1.16 Maximum interest rates payable on time and savings deposits at Federally insured institutions^/ (Current and previous levels; effective dates) Maximum interest rates payable on time and savings deposits at Federally insured institution sfjj (Effective dates) 8 Maximum interest rates payable by member banks on time and savings deposits (Effective dates) Margin requirements (Effective dates) 9 Margin requirements (Effective dates) Bulletin, beginning May 1977 1.161 Margin requirements^/ (Effective dates) 1.17 Federal Reserve open market transactions (Annually and monthly) Federal Reserve open market transactions (Annually and monthly) 10 Transactions of the System Open Market Account (Annually and monthly) Federal Reserve Banks 12 Consolidated statement of condition of all Federal Reserve Banks (End of year) FEDERAL RESERVE BANKS 1.18 1.19 Condition and Federal Reserve note statements (End of month, and Wednesday) 10 B. Condition and Federal Reserve note statements (End of year, and end of month) A. Maturity distribution of loans and securities held (End of month) Maturity distribution of loan and security holdings (End of month, and Wednesday) 11 Maturity distribution of loans and securities held by Federal Reserve Banks (End of month) MONETARY AND CREDIT AGGREGATES Bulletin, Jan.-Sept. 1977 1.20 Demand deposit accounts—debits and rate of turnover (Annual and monthly data, seasonally adjusted, by SMSA's; annual figures are for December) 11 Bank debits, demand deposits other than Interbank and U.S. Government, and deposit turnover (Monthly, for SMSA's) A. Seasonally adjusted, December 1970-December 1976 B. Not seasonally adjusted, December 1970-December 1976 PAGE 3 ANNUAL STATISTICAL DIGEST 1972 - 1976 FEDERAL RESERVE BULLETIN 1977 Table Number Title Table Number Title ANNUAL STATISTICAL DIGEST 1971 - f975 Table Number Title Bulletin, beginning 0ct. 1977 1.20 Bank debits and deposit turnover (Annually and monthly. Demand deposits: seasonally adjusted; savings deposits: not seasonally adjusted) 1.21 1.22 1.23 Money stock measures and components (Monthly averages, including earlier Decembers; seasonally adjusted and not seasonally adjusted) Aggregate reserves and deposits of member banks (Monthly averages, including earlier Decembers; seasonally adjusted and not seasonally adjusted) Loans and investments of all commercial banks (Last Wednesday of month except for June 30 and Dec. 31, and earlier year-end dates; seasonally adjusted and not seasonally adjusted) 12 Bank debits to demand deposit accounts, except interbank and U.S. Government, at all reporting centers, by Federal Reserve district (Annually, 1964-76) 13 Measures of the money stock (Monthly averages; includes data for components) 14 15 13 Measures of the money stock (Monthly averages; includes data for components) A. Seasonally adjusted A. Seasonally adjusted B. Not seasonally adjusted B. Not seasonally adjusted Aggregate reserves and deposits of member banks (Monthly averages; seasonally adjusted and not seasonally adjusted) 14 Aggregate reserves and member bank deposits (Monthly averages; seasonally adjusted and not seasonally adjusted) A. Reserves A. Reserves B. Deposits^./ B. Deposits^./ Loans and investments of all commercial banks (Last Wednesday of month except for June 30 and Dec. 31) A. Seasonally adjusted B. Not seasonally adjusted 15 Loans and investments at all commercial banks (Last Wednesday of month except for June 30 and Dec. 31; seasonally adjusted and not seasonally adjusted) COMMERCIAL BANK ASSETS AND LIABILITIES 1.24 Last-Wednesday-of-month series (Except for June 30 and Dec. 31; all commercial banks, and all member banks) 16 Commercial bank assets and liabilities—Last-Wednesday-of-month series (Except for June 30 and Dec. 31) 16 Principal assets and liabilities and number of all commercial banksZ/ (Last Wednesday of month, except for June 30 and Dec. 31; no separate figures for member banks) A. All commercial banks B. Member banks 1.25 Call-date series (Summary data for June 30 and Dec. 31) 17 Commercial bank assets and liabilities—Summary data for call dates (June 30 and Dec. 31) 1.26 Detailed balance sheet (Most recent call date; insured banks only for spring and fall call dates; all commercial banks for June and December call dates) 18 Commercial bank assets and liabilities—Detailed balance sheets for call dates in 1976 17 Assets, liabilities, and number of commercial banks, by class of bank (Detailed balance sheets for June 30 and Dec. 31 call dates) A. March 31 (Insured banks only) B. June 30 (All commercial banks) C. September 30 (Insured banks only) D. December 31 (All commercial banks) WEEKLY REPORTING COMMERCIAL BANKS Assets and libilities of— 1.27 All large banks (Wednesday) 19 All large weekly reporting commercial banks, 1976 18 Assets and liabilities of large commercial banks, 1975.5/ (Wednesday) A. Assets and liabilities (Wednesday) 1.28 Large banks in New York City (Wednesday) 1.29 Large banks outside New York City (Wednesday) 1.30 Balance sheet memoranda (Wednesday) B. Balance sheet memoranda (Wednesday) 21 Loans sold outright by large commercial banks.?/ (Last Wednesday of month only) PAGE 5 PAGE 6 ANNUAL STATISTICAL DIGEST 1972 - 1976 FEDERAL RESERVE BULLETIN 1977 Table Number 1.31 1.32 Title Commercial and industrial loans (Outstandings, Wednesday for total loans and last Wednesday of month for "term" loans; net changes, monthly and quarterly) Gross demand deposits of individuals, partnerships, and corporations (Averages: for commercial banks, end-month of quarter and earlier Decembers; for (large) weekly reporting banks, monthly and earlier Decembers) Table Number 19 20 Title ANNUAL STATISTICAL DIGEST 1971 - 1975 Table Number Title C. Total commercial and industrial loans classified by industry (Wednesday) 19 Commercial and industrial loans of large commercial banks (Last Wednesday of month only) D. "Term" commercial and industrial loans classified by industry (Last Wednesday of month) 20 "Term" commercial and industrial loans of large commercial banks (Last Wednesday of month) Gross demand deposits of individuals, partnerships, and corporations 22 Gross demand deposits of individuals, partnerships, and corporations A. All commercial banks (Averages, for end-month of quarter) A. All commercial banks (Averages, for end-month of quarter) B. All (large) weekly reporting banks (Averages, monthly) B. Large weekly reporting commercial banks (Averages, monthly) FINANCIAL MARKETS 1.33 Commercial paper and bankers acceptances outstanding (End of month and earlier Decembers. Commercial paper, seasonally adjusted; acceptances, not seasonally adjusted) 21 Commercial paper and bankers acceptances outstanding (End of month; not seasonally adjustediS/) 23 Commercial paper and bankers acceptances outstanding (End of month; not seasonally adjusted) 1.34 Prime rate charged by banks on short—term business loans (Effective dates of changes; also monthly average rate) 22 Prime rate charged by banks on short-term business loans (Effective dates of changes; also monthly and annual average rates) 24 Prime rate charged by banks on short-term business loans (Effective dates of changes; also monthly and annual average rates) Bulletin, Jan.-July 1977 1.35 Interest rates charged by banks on business loans (Survey dates; series same as for Table 23 of ASP, 72-76 and 25 of ASD, 71-75) 23 Bank rates n business loans (Survey dates) 25 Bank rates on business loans (Survey dates) A. Short-term loans, by size A. Short-terra loans, by size B. Revolving credit loans, by size B. Revolving credit loans, by size C. Long-term loans, by size C. Long-term loans, by size Bulletin, beginning Aug. 1977 1.35 Terms of lending at commercial banks (Survey dates. Surveys broadened to cover construction loans and loans to farmers, as well as business loans) 1.36 Interest rates in money and capital markets (Annual, monthly, and weekly averages; includes stock yields) 24 Interest rates in money and credit markets 26 Money market rates (Annual, monthly, and weekly averages) A. Annual and monthly averages B. Weekly averages C. Revised figures for Moody's corporate bond yields, 1974 and 1975 (Weekly averages) 99 Stock yields, 1976 (supplement to Table 24) (Monthly and weekly averages) 25 Market yields on U.S. Government securities at constant maturity 27 Bond and stock yields (Annual, monthly, and weekly averages) A. Annual and monthly averages, 1953-76 B. Weekly averages, 1976 PAGE 7 ANNUAL STATISTICAL DIGEST 1972 - 1976 FEDERAL RESERVE BULLETIN 1977 Table Number 1.37 Title Stock market—selected statistics (Annual and monthly averages, or end of month)!!/ Table Number 26 90 Title ANNUAL STATISTICAL DIGEST 1971 - 1975 Table Number Title Stock market—selected statistics A. Stock prices and trading (Annual and monthly averages) 28 Security prices (Annual, monthly, and weekly averages for bonds and stocks) B. Customer financing (End of year or month) 29 Stock market customer financing (End of month) C. Margin-account debt at brokers (End of year or month) 30 Equity status of margin-account debt at brokers (End of month) D. Special miscellaneousaccount balances at brokers (End of year or month) 31 Special miscellaneous-account balances at brokers, by equity status of accounts (End of month) Bond prices, by type of issuer A. Annual and monthly averages B. Weekly averages (Comparable data shown in Table 28 of ASJD, 71-75.) 1.38 Savings institutions—selected assets and liabilities (End of year or month; figures for S&L's, MSB's, life insurance companies, and credit unions) 27 Selected assets and liabilities of ..savings institutions month) 34 Assets and liabilities of savings and loan associations (End of month) 32 Assets and liabilities of mutual savings banks (End of month) %OL!!^LIBRARY 33 Assets of life insurance companies (End of month) FEDERAL FINANCE 1.39 Federal fiscal and financing operations (Fiscal and calendar years, halfyears, and monthly) 28 Federal fiscal and financing operations (Fiscal and calendar years, halfyears, and monthly) 1.40 U.S. Budget receipts and outlays (Fiscal and calendar years, halfyears, and monthly) 29 U.S. Budget receipts and outlays (Fiscal and calendar years, and monthly) - - - - - - - - - _ - - . 1.41 Federal debt subject to statutory limitation (End of quarter; half-yearly for earlier years) 30 Federal debt subject to statutory limit (End of quarter) - - - - - - - - - - - - , 1.42 Gross public debt of U.S. Treasury —Types and ownership (End of month and of earlier Decembers) 31 Gross public debt of U.S. Treasury —TyPes a^d ownership (End of month and of earlier Decembers) 1.43 U.S. Government marketable securities—Ownership, by maturity (End of month and of earlier Decembers) 32 U.S. Government marketable securities—Ownership, by maturity (End of quarter beginning December 1970) - - - - - - - - - - - - - 1.44 U.S. Government securities dealers —Transactions (Annual, monthly, and weekly averages) 32.1 U.S. Government securities dealers - - - - - - - - - - - - - 1.45 36 Fiscal operations - U.S. BudgetU-/ (Monthly) 35 U.u. Government debt (End of month; types only) A. Transactions (Annual and monthly averages) U.S. Government securities dealers— Positions and sources of financing (Annual, monthly, and weekly averages) B. Positions (Annual, monthly, and weekly averages) - - - - - - - - - - - - - G. Sources of financing (Annual, monthly, and weekly averages) 1.46 Federal and Federally sponsored credit agencies—Debt outstanding (End of month and of earlier Decembers) 33 Debt of Federal and Federally sponsored credit agencies (End of month) - - - - - - - - - - - - - PAGE 9 ANNUAL STATISTICAL DIGEST 1972 - 1976 FEDERAL RESERVE BULLETIN 1977 Table Number Title Table Number Title ANNUAL STATISTICAL DIGEST 1971 - 1975™ Table Number Title SECURITIES MARKETS AND CORPORATE FINANCE 1.47 New security issues—State and local government and corporate (Annually and monthly) 34 New security issues of State and local governments and corporations (Annually and monthly) 37 New issues of State and local government securities (Annually and monthly) 40 Corporate securities—Types of issuers and issues (Annually and monthly) 41 Corporate securities—Types of issues (Annually and monthly, by type of offering) 1.48 Corporate securities—Net change in amounts outstanding (Annually and quarterly) 35 Net change in corporate securities outstanding (Annually and quarterly) 39 Net change in outstanding corporate securities (Annually and quarterly) 1.49 Open-end investment companies—Net sales and asset position (Annually and monthly) 36 Open-end investment companies (Annually and monthly) 38 Open-end investment companies (Annually and monthly) 1.50 Corporate profits and their distribution (Annually and quarterly) 37 Corporate profits and their distribution (Annually and quarterly) 42 Corporate profits, taxes, and dividends (Annually and quarterly) 1.51 Nonfinancial corporations—Current assets and liabilities (End of year or quarter) 38 Current assets and liabilities of nonfinancial corporations (End of quarter) 43 Current assets and liabilities of nonfinancial corporations (End of year or quarter) 1.52 Business expenditures on new plant and equipment (Annually and quarterly) 39 Business expenditures on new plant and equipment (Annually and quarterly) 44 Business expenditures on new plant and equipment (Annually and quarterly) 40 Domestic finance companies~~Assets and liabilities (End of quarter) 41 Business credit of domestic finance companiesJLl' (Monthly) Bulletin, beginning June 1977 1.521 Domestic finance companies—Assets and liabilities (End of year or quarter) Bulletin, beginning June 1977 1.522 Domestic finance companies— Business credit (Monthly) REAL ESTATE 1.53 Mortgage markets (Annually and monthly, or end of month) 42 Mortgage markets (Annually and monthly, or end of month) 46 FNMA—Secondary mortgage, market activity (Annually and monthly) 47 FNMA and FHLMC—Secondary mortgage market activity (Annually and monthly) 48 Terms and yields on new home mortgages (Annually and monthly) 49 FNMA—Auctions of commitments to buy home mortgages (Auction dates; generally bi~ weeklylA/) 1.54 Mortgage debt outstanding (End of year or quarter) 43 Mortgage debt outstanding, by type and by type of holder (End of year or quarter) 45 Mortgage debt outstanding by type of holder!!/ (End of quarter) 44 Instalment credit—Total outstanding and net change (Annually and monthly; end of period for outstandings) 51 Instalment credit—Total outstanding (End of month) CONSUMER INSTALMENT CREDIT 1.55 1.56 Total outstanding and net change (Annually and monthly; end of period for outstandings) Extensions and liquidations (Annually and monthly) 45 Instalment credit—Extensions and liquidations (Annually and monthly) 54 Net change in instalment credit (Monthly) 52 Instalment credit extensions (Monthly) 53 Instalment credit liquidations (Monthly) FLOW OF FUNDS 46.1 Flow of funds accounts—Financial assets and liabilities, December 31, 1976 A. All sectors B* Private nonbank financial institutions PAGE 11 PAGE 12 ANNUAL STATISTICAL DIGEST 1972 - 1976 ~ FEDERAL RESERVE BULLETIN 1977 Table Number Title Table Number Title ANNUAL STATISTICAL DIGEST 1971 - 1975 Table Number Title 46.2 Flow of funds accounts, 1965-76: 56 Flow of funds accounts (Annually, and half-years for 1975) 1.57 Funds raised in U.S. credit markets (Annually and half-years) A. Summary of credit market debt outstanding, by sector (Annually) A. Summary of funds raised in U.S. credit markets 1.58 Direct and indirect sources of funds to credit markets (Annually and half-years) B. Direct and indirect claims on credit market debt (Annually) B. Direct and indirect sources of funds to credit markets G. Summary of principal assets and liabilities (End of year) D. Sector statements of financial assets and liabilities (End of year) DOMESTIC NONFINANCIAL STATISTICS 2.10 Nonfinancial business activity— Selected measures (Annually and monthly) 47 Selected measures of nonfinancial business activity (Annually and monthly) 2.11 Output, capacity, and capacity utilization (Quarterly) 48 Output, capacity, and capacity utilization (Annually and quarterly) 57 Selected business indexes (Annually and monthly) A. Output B. Capacity C. Capacity utilization 2.12 Labor force, employment, and unemployment (Annually and monthly) 2.13 Industrial production (Annually and monthly) 49 Industrial production (Annually; monthly for 1976) 58 Industrial production, 1975 (Annually and monthly) 2.14 Housing and construction (Annually and monthly) 2.15 Consumer and wholesale prices (Percentage changes, selected periods) 2.16 Gross national product and income (Annually and quarterly) 2.17 Personal income and saving (Annually and quarterly) INTERNATIONAL STATISTICS 3.10 U.S. international transactions— Summary (Annually and quarterly) 3.11 U.S. foreign trade (Annually and monthly) 3.12 U.S. reserve assets (End of year or month) 50 Summary of U.S. international transactions (Annually and quarterly) 51 U.S. reserve assets (End of month) 59 U.S. reserve assets (End of month) 60 U.S. net monetary gold transactions with foreign countries and international organizations (Annually and quarterly) 3.13 Selected U.S. liabilities to foreigners (End of year or month) 3.14 Selected U.S. liabilities to foreign official institutions (End of year or month) 52 Selected U.S. liabilities to foreigners (End of month) 62 U.S. liabilities to foreign official institutions, and liquid liabilities to all other foreigners (End of month) (Data for Bulletin Table 3.14 included in Table 52 above) 63 U.S. liabilities to official institutions of foreign countries, by area (End of month) PAGE 13 PAGE 14 ANNUAL STATISTICAL DIGEST 1972 - 1976 FEDERAL RESERVE BULLETIN 1977 Table Number Title Table Number Title ANNUAL STATISTICAL DIGEST 1971 - 1975 Table Number Title REPORTED BY BANKS IN THE UNITED STATES: 3.15 Short-term liabilities to foreigners reported by banks in the United States: Short-term liabilities to foreigners by holder and by type of liability (End of year or month) 64 Short-term liabilities to foreign reported by banks in the United States 53 By holder and type of liability (End of month) A. By type (End of month) 3.16 Short-term liabilities to foreigners by country (End of year or month) 54 By country (End of month) B. By country (End of month) 3.17 Short-term liabilities to foreigners—Supplemental "Other" countries (Annually for Apr. 30 and Dec. 31) 55 Supplemental "Other" countries (Annually for Apr. 30 and Dec. 31) C. Supplementary data, other countries (Annually for Apr. 30 and Dec. 31) 3.18 Long-term liabilities to foreigners (End of year or month) 56 3.19 Short-term claims on foreigners by country (End of year or month) Short-term claims on foreigners reported by banks in the United States: 65 Long-term liabilities to foreigners reported by banks in the United States (End of month) 67 Short-term claims on foreigners reported by banks in the United States (End of month) 57 By country (End of month) B. By country By type of claim (End of month) A. By type 3.20 Short-term claims on foreigners by type of claim (End of year or month) 58 3.21 Long-term claims on foreigners (End of year or month) 59 Long-term liabilities to foreigners reported by banks in the United States (End of month) Long-term claims on foreigners reported by banks in the United States (End of month) 68 Long-term claims on foreigners reported by banks in the United States (End of month) 3.22 Foreign branches of U.S. banks— Balance sheet data (End of year or month; same series and groupings as in Table 73 of ASD, 71-75) 60 Assets and liabilities of foreign branches of U.S. banks (End of month; same series and groupings as in Table 73 of ASD, 71-75) 73 Assets and liabilities of foreign branches of U.S. banks (End of month) A. In all foreign countries— Total of all currencies B. In all foreign countries—Payable in U.S. dollars C. In the United Kingdom—Total of all currencies D. In the United Kingdom—Payable in U.S. dollars E. In the Bahama and Cayman Islands—Total of all currencies SECURITIES HOLDINGS AND TRANSACTIONS 3.23 Marketable U.S. Treasury bonds and notes—Foreign holdings and transactions (Annually and monthly; end of period for holdings) 61 Marketable U.S. Treasury bonds and notes—Foreign holdings and transactions (Annually and monthly; end of period for holdings) 66 Estimated foreign holdings of marketable U.S. Treasury bonds and notes (End of month) 3.25 Foreign transactions in securities (Annually and monthly) 63 Foreign transactions in securities (Annually and monthly) 69 Purchases and sales by foreigners of long-term securities, by type (Annually and monthly) 70 Net purchases or sales of U.S. securities by foreigners (Annually and monthly) A. U.S. corporate stocks, by country B. U.S. corporate bonds, by country 71 Net purchases or sales by foreigners of long-term foreign securities, by area (Annually and monthly) 3.24 Foreign official assets held at Federal Reserve Banks (End of year or month) 62 Foreign official assets held at Federal Reserve Banks (End of month) 74 Deposits, U.S. Treasury securities, and gold held at Federal Reserve Banks for foreign official account (End of month) PAGE 15 PAGE 16 ANNUAL STATISTICAL DIGEST 1972 - 1976 FEDERAL RESERVE BULLETIN 1977 Table Number Title Table Number Title ANNUAL STATISTICAL DIGEST 1971 - 1975 Table Number Title REPORTED BY NONBANKING CONCERNS IN THE UNITED STATES: 3.26 Short-term liabilities to and claims on foreigners (End of quarter; by type and by country) 64 Short-term liabilities to and claims on foreigners reported by nonbanking concerns in the United States (End of quarter; by type and by country) 76 Short-term liabilities to and claims on foreigners reported by nonbanking concerns in the United States, by type (End of quarter) A. Liabilities 77 Short-term liabilities to foreigners reported by nonbanking concerns in the United States, by country (End of quarter) B. Claims 78 Short-term claims on foreigners reported by nonbanking concerns in the United States, by country (End of quarter) 3.27 Short-term claims on foreigners (End of year or month; reported by "large" concerns) 65 Short-term claims on foreigners reported by large nonbanking concerns in the United States (End of month) 75 Short-term liquid claims on foreigners reported by nonbanking concerns in the United States (End of month; not limited to "large" concerns) 3.28 Long-term liabilities to and claims on foreigners (End of quarter) 66 Long-term liabilities to and claims on foreigners reported by nonbanking concerns in the United States (End of quarter) 79 Long-term liabilities to foreigners reported by nonbanking concerns in the United States, by country (End of quarter) A. Liabilities B. Claims 80 Long-term claims on foreigners reported by nonbanking concerns in the United States, by country (End of quarter) INTEREST AND EXCHANGE RATES 3.29 Discount rates of foreign central banks (End of month) 67 Discount rates of foreign central banks (End of month) 82 Central bank discount rates (End of month) 3.30 Foreign short-terra interest rates (Annually and monthly) 3.31 Foreign exchange rates (Annually and monthly) 4.10 Sales, revenue, profits, and dividends—Large manufacturing corporations (Annually and quarterly data; published only quarterly) 68 Foreign short-term interest rates (Annually and monthly) 69 Weighted-average value of U.S. dollar, 1967-76 (Monthly) 70 Foreign exchange rates (Annually and monthly) 83 Foreign exchange rates (Annually and monthly) 71 Statement of condition of each Federal Reserve Bank, December 31, 1976 84 Statement of condition of each Federal Reserve Bank, December 31, 1975 72 Earnings and expenses of Federal Reserve Banks, 1976 85 Earnings and expenses of Federal Reserve Banks (Annually) 73 Banks and branches—Number in operation, December 31, 1976, by States 86 Banks and branches—Number in operation, by States (Annually) 74 Number of commercial banks and branches in operation A. Banks by type, Dec. 31, 1971-76 B. Branches, Dec. 31, 1941-76 75 Banking offices in the United States—Number and changes in number (Number, annually; changes, 1976) 87 Banking offices in the United States —Number, and changes in number (Annually) A. Banks (Head offices), by type A. Banks (Head offices), by type B. Branches, additional offices, and facilities, by type of bank B. Branches, additional offices, and facilities, by type of bank PAGE 17 PAGE 18 ANNUAL STATISTICAL DIGEST 1972 - 1976 FEDERAL RESERVE BULLETIN 1977 Table Number Title Table Number Title ANNUAL STATISTICAL DIGEST 1.971. - 1975 Table Number Title 76 Changes in offices of commercial banks and nondeposit trust companies during 1976—Summary, by States (Semiannually) 88 Changes in offices of commercial banks and nondeposit trust companies—Summary, by States (Annually, 1971-74; semiannually, 1975) 77 Banking offices, assets, and deposits of banks in holding company groups, December 31, 1976 89 Banking offices, assets, and deposits of banks in holding company groups A. Details by States A. Details by States (Annually) B. Summary totals and comparisons B. Summary totals and comparisons (Annually) C. Multibank and one-bank classifications—Summary C. Multibank and one-bank classifications—Summary (Annually) D. Multibank, one-bank, and all commercial bank comparisons by States (Dec. 31, 1975) 78 Number of par and nonpar banking offices (Annually; 1976 by district) 79 Revised data for bank income and expense tables for 1975 80 Income, expenses, and dividends of insured nonmember banks, and of Federal Reserve member banks grouped by classification for reserve purposes, 1976l£/ 90 Number of par and nonpar banking offices (Annually; by district) 91 Income, expenses, and dividends of insured nonmember banks, and of Federal Reserve member banks grouped by classification for reserve purposes (Annually) 81 Income, expenses, and dividends of member banks, 1976, by Federal Reserve districtIA' 92 Income, expenses, and dividends of member banks, 1975, by Federal Reserve district A. All member banks A. All member banks B. Large banks B. Large banks C. Other-than-large banks C. Other-than-large banks 82 Income, expenses, and dividends of insured banks, 1976, by size of bankil/ (Size groupings differ from those shown in ASP, 71-75) 93 Income, expenses, and dividends of member banks in 1975, by size of bank 83 Member bank income ratios, 1976IS/ 94 Member bank income ratios, 1975, by Federal Reserve district and by class of bank 84 A. All member banks, by class of bank and by Federal Reserve district A. All member banks B. Large banks, by Federal Reserve district B. Large banks C. Other-than-large banks, by Federal Reserve district C. Other-than-large banks Member bank operating ratios, 1976 95 Member bank operating ratios, 1975 A. By Federal Reserve district A. By Federal Reserve district B. By ratio of time to total deposits, by size (Size groupings differ from those shown in ASP, 71-75) B. By ratio of time to total deposits, by size C. By size of bank and by ratio of time to total deposits (Size groupings differ from those shown in AS£, JH-75) C. By size of bank and by ratio of time to total deposits 85 Selected assets and liabilities of minority-owned banks, by size of bank, Pecember 31, 1976 86 Penominations of U.S. currency in circulation (Monthly) 103 Selected assets and liabilities of minority—owned banks, by size of bank, Pecember 31, 1975 96 Penominations of U.S. currency in circulation (Monthly) PAGE 19 PAGE 20 ANNUAL STATISTICAL DIGEST 1972 - 1976" FEDERAL RESERVE BULLETIN 1977 Table Number Title Table Number 87 Title ANNUAL STATISTICAL DIGEST 1971 - 1975 Table Number Title Commercial paper outstanding, 1966-76 (Monthly) A. Total B. Directly placed, by type C. Dealer placed, by type 88 Liquid asset holdings of private domestic nonfinancial investors (End of month) 97 Liquid asset holdings of private domestic nonfinancial investors (End of month) 89 Assets of pension funds (End of year) 98 Assets of pension funds (End of year) A. Totals for private and public funds, by type of fund A. Totals for private and public funds, by type of fund B. Types held by private noninsured funds B. Types held by private noninsured funds 91 Revised data for July 28, 1976, for interest rates on time and savings deposits 92 Revised data for October 27, 1976, for interest rates on time and savings deposits 94 Security credit at banks, by type, June 30, 1976 95 Margin credit by source, June 30, 1976 100 Margin credit, by source (June 30 dates) 96 Security credit reported by lenders subject to margin regulations, June 30, 1976 101 Security credit reported by lenders subject to margin regulations (June 30 dates) 97 Detailed debit and credit balances at brokers carrying margin accounts, June 30, 1975 and 1976 102 Detailed debit and credit balances at brokers carrying margin accounts (June 30 dates) 99 Security credit at banks, by type (June 30 dates) rabies eliminated _from Bulletin beginning Jan. 1977 A24 Deposits accumulated for payment of personal loans A44 Major holders of FHA-insured and VA-guaranteed residential mortgage debt A44 Commitments of life insurance companies for income-property mortgages (Annually and monthly) 98 Commitments of life insurance companies for income-property mortgages (Annually and monthly) 50 Commitments of life insurance companies for income—property mortgages (Annually and monthly) A45 Finance rates on selected types of instalment credit 93 Finance rates on selected types of instalment credit (Monthly) 55 Finance rates on selected types of instalment credit (Monthly) A60 Gold reserves of central banks and governments (End of year or month) 61 Gold reserves of central banks and governments (End of quarter) A69 Foreign credit and debit balances in brokerage accounts (End of quarter) 72 Foreign credit and debit balances in brokerage accounts (End of year or quarter) A74 Open market ratesiZ/ (Annually and monthly) 81 Open market ratesJLZ/ (Annually and monthly) PAGE 21 PAGE 22 FOOTNOTES If Monthly levels for interest of ASj)7 Z?rZ6. rates shown in Table 24-A 2J Table shows reserves by type (total, required, and excess) and borrowings for all member banks and classes of banks; seasonal borrowings only for all member. 3/ No class-of-bank figures for total or required reserves; seasonal borrowings shown only for all member. 4/ Rates for commercial banks and for savings associations and mutual savings banks. 1I/ Figures for bond prices Bulletin beginning in 1977 but are 72-76, and Table 28 of ASP, 71-75. 121 Details ASP, 72-76. were discontinued in the shown in Table 90 of AS1)? differ somewhat from those in 13/ Accounts receivable: levels adjusted); changes (seasonally adjusted). extensions and repayments. BuLl£,tin anc ^ (not No seasonally figures on in Bulletin Table 1.53 or Table 42 of and loan 14_/ Not bi-weekly ASP, 72-76. 5/ Part of Table 1.37 through April 1977. J6/ Includes figures for total member bank nondeposit sources of funds. deposits plus J_6/ Statements for each bank reflect fully consolidated operations and are therefore not exactly comparable with data in ASD, 72-76. I/ Does not include a breakdown of "cash assets." B/ Includes balance sheet memoranda. 9/ Included in Table 1.30 in 19-B in ASD, 72-76. the Bulletin and in Table lO/ For seasonally adjusted figures for commercial paper, see Table 87. 15/ Contains same detail by type of mortgage but less detail by type of holder as in Bulletin Table 1.54 and Table 43 of ASD, 72-76. 17/ Replaced by 68 in ASD, 72-76. Table 3.30 of the Bulletin and by Table