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Washington, D.C.

CONCORDANCE OF STATISTICS
Available in Selected Federal Reserve Publications




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July 1979
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 1978 have been noted.
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 Digest
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 five-year span covered by the particular issue of the Digest.
Table numbers are not necessarily

consecutive.

Footnotes appear at the end of the Concordance.

FEDERAL RESERVE BULLETIN
1978
Table
number

Title

ANNUAL STATISTICAL DIGEST

1972-76
Table
number

Title

ANNUAL STATISTICAL DIGEST
1973-77
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)




Monetary aggregates and
interest rates

Monetary aggregates and
interest rates

A. Quarterly
(Average rates of change
for the aggregates; average
levels for interest rates)

A. Quarterly
(Average rates of change
for the aggregates; average
levels for interest rates)

B. Monthly changes
(Aggregates only I/)

B. Monthly changes
(Aggregates only JY)




Table
number
1.11

1.12

1.13

Title
Factors affecting member bank
reserves
(Monthly and weekly averages;
end of month; and Wednesday)

Reserves and borrowings of member
banks 2f
(Monthly and weekly averages)

Federal funds transactions of
money market banks
(Weekly averages for 46 banks;
also shows four-area breakdown)

ANNUAL STATISTICAL DIGEST
1973-77

ANNUAL STATISTICAL DIGEST
1972-76

FEDERAL RESERVE BULLETIN
1978

Table
number
2

3

Title

Factors affecting member bank
reserves

Table
number
2

Title

Factors affecting member bank
reserves

A. Annual and monthly averages

A. Annual and monthly averages

B. Weekly averages

B. Weekly averages

C. Wednesday

C. Wednesday

D. End of year and end of month

D. End of year and end of month

Reserves and borrowings of member
banks 2/

3

Reserves and borrowings of member
banks j2/

A. Annual and monthly averages,
1971-76

A. Annual and monthly averages

B, Weekly averages of daily
figures, 1971-76

B. Weekly averages of daily
figures

4

Federal funds transactions of 46
money market banks
(Weekly averages)

4

Federal funds transactions of 46
money market banks
(Weekly averages)

5

Federal Reserve Bank interest
rates
(Rates and effective dates)

5

Federal Reserve Bank interest
rates
(Rates and 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

A. Loans to member banks under
Sections 13 and 13a

B. On loans to member banks
under Section 10(b)

B. Loans to member banks under
Section 10(b)

C. On loans to others than member banks under last paragraph
of Section 13

C. Loans to all others under
last paragraph of Section 13

1.15

Member bank reserve requirements
(Effective dates of current and
previous levels; legal limits)

Reserve requirements on deposits
of member banks
(Rates and effective dates)

6

Reserve requirements on deposits
of member banks
(Rates and 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 institutions 3J
(Rates and effective dates)

8

Maximum interest rates payable
on time and savings deposits
at Federally insured institutions 3/
(Rates and effective dates)

1.161

Margin requirements
(Effective dates)

Margin requirements, 1968-76
(Effective dates)

7

Margin requirements
(Effective dates)

1.17

Federal Reserve open market
transactions
(Annually and monthly)

Federal Reserve open market
transactions
(Annually and monthly)

9

Federal Reserve open market
transactions
(Annually and monthly)

FEDERAL RESERVE BANKS
1.18

Condition and Federal Reserve
note statements
(Wednesday and end of month)

1.19

Maturity distribution of loan
and security holdings
(Wednesday and end of month)

10 B. Condition and Federal
Reserve note statements
(End of year for 1972-75,
and end of month for 1976)
A. Maturity distribution of
loans and securities held
(End of month)

10 A. Condition and Federal
Reserve note statements
(End of year for 1973-77,
and end of month for 1977)
B. Maturity distribution of
loans and securities held
(End of month)

MONETARY AND CREDIT AGGREGATES




11 Demand deposits, debits, and
deposit turnover, by major
banking group
A. Seasonally adjusted
B. Not seasonally adjusted
12 Savings deposits, debits, and
deposit turnover, by type of
depositor

FEDERAL RESERVE BULLETIN
1978
Table
number

Title

ANNUAL STATISTICAL DIGEST
1972-76
Table
number

Title

11 Bank debits, demand deposits
other than interbank and U.S.
Government, and deposit
turnover
(Monthly for SMSAfs)

1.20

ANNUAL STATISTICAL DIGEST
1973-77
Table
number

Title

13 Demand deposits, debits, and
deposit turnover, by SMSA,
1973-June 1977

A. Seasonally adjusted, December
1970-December 1976

A. Seasonally adjusted

B. Not seasonally adjusted,
December 1970-December 1976

B. Not seasonally adjusted

Bank debits and deposit turnover
(Annually and monthly. Demand
deposits: seasonally adjusted;
savings deposits: 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)

1.21

1.22

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)




13 Measures of the money stock
(Monthly averages; includes
data for components)

14 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

14 Aggregate reserves and deposits
of member banks
(Monthly averages; seasonally
adjusted and not seasonally
adjusted)

15 Aggregate reserves and member
bank deposits
(Monthly averages; seasonally
adjusted and not seasonally
adjusted)

A. Reserves

A. Reserves

B. Deposits 4/

B. Deposits

1.23

Loans and investments of all
commercial banks
(Last Wednesday of month
except for June 30 and
December 31, and earlier yearend dates; seasonally adjusted
and not seasonally adjusted)

15 Loans and investments of all
commercial banks
(Last Wednesday of month
except for June 30 and
December 31)

16 Loans and investments of all
commercial banks
(Last Wednesday of month
except for June 30 and
December 31)

A. Seasonally adjusted

A. Seasonally adjusted

B. Not seasonally adjusted

B. Not seasonally adjusted

COMMERCIAL BANK ASSETS AND LIABILITIES
1.24

Last-Wednesday-of-month series
(Except for June 30 and
December 31; all commercial
banks and all member banks)

16 Last-Wednesday-of-month series
(Except for June 30 and
December 31)

17 Last-Wednesday-of-month series
(Except for June 30 and
December 31)

A. All commercial banks

A. All commercial banks

B. Member banks

B. Member banks

1.25

Call-date series
(Summary data for June 30
and December 31)

17 Summary data for call dates
(June 30 and December 31)

18 Summary data for call dates
(June 30 and December 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 Detailed balance sheets for
call dates in 1976

19 Detailed balance sheets for
call dates in 1977




A. March 31 (insured banks only)

A. March 31 (insured banks only)

B. June 30 (all commercial banks)

B. June 30 (all commercial banks)

C. September 30 (insured banks
only)

C. September 30 (insured banks
only)

D. December 31 (all commercial
banks) 5/

D. December 31 (all commercial
banks)

FEDERAL RESERVE BULLETIN
1978
Table
number

Title

ANNUAL STATISTICAL DIGEST
1972-76
Table
Title
number

ANNUAL STATISTICAL DIGEST
1973-77
Table
number

Title

WEEKLY REPORTING COMMERCIAL BANKS
Assets and liabilities
1.27

All large banks
(Wednesday)

19 All large banks, 1976

20 All large banks, 1977

A. Assets and liabilities
(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)

B. Balance sheet memoranda
(Wednesday)

1.31

Commercial and industrial loans
(Outstandings, Wednesday for
total loans and last Wednesday of
month for "term11 loans; net
changes, monthly and quarterly)

C. Total commercial and industrial loans classified
by industry (Wednesday)

C. Total commercial and industrial loans classified
by industry (Wednesday)

D. "Term" commercial and industrial loans classified by
industry (Last Wednesday
of month)

D. "Term" commercial and industrial loans classified by
industry (Last Wednesday
of month)

1.32

Gross demand deposits of individuals, partnerships, and
corporations
(Averages: for commercial
banks, end-month of quarter
and earlier Decembers; for
weekly reporting banks,
monthly and earlier Decembers)




20 Gross demand deposits of individuals, partnerships,
and corporations

21 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 weekly reporting banks
(Averages, monthly)

B. All weekly reporting 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
adjusted 6/)

22 Commercial paper and bankers
acceptances outstanding
(End of month; commercial paper
seasonally adjusted; acceptances
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)

23 Prime rate charged by banks on
short-term business loans
(Effective dates of changes;
also monthly and annual
average rates)

23 Bank rates on business loans
(Survey dates)
A. Short-term loans, by size
B. Revolving credit loans, by
size
C. Long-term loans, by size
1.35

Terms of lending at commercial
banks
(Survey dates. Surveys
cover construction loans and
loans to farmers, as well as
business loans.)




24 Terms of lending at commercial
banks—Based on survey of
loans made
A. February 7-12, 1977
B. May 2-7, 1977

C. August 1-6, 1977
D. November 7-12, 1977




FEDERAL RESERVE BULLETIN
1978
Table
number
1.36

Title
Interest rates in money and
capital markets
(Annual, monthly, and weekly
averages; includes stock yields)

ANNUAL STATISTICAL DIGEST
1972-76
Table
number

Title

24 Interest rates in money and
capital markets

ANNUAL STATISTICAL DIGEST
1973-77
Table
number

Title

25 Interest rates in money and
capital markets

A. Annual and monthly averages

A. Annual and monthly averages

B. Weekly averages

B. Weekly averages

C. Revised figures for Moody f s
corporate bond yields, 1974
and 1975 (Weekly averages)
99 Stock yields, 1976
(Supplement to table 24;
annual, monthly, and weekly
averages)
25 Market yields on U.S. Government
securities at constant maturity
A. Annual and monthly averages,
1953-76
B. Weekly averages, 1976
1.37

Stock market—Selected statistics
(Annual and monthly averages,
or end-of-period balances) 7/

26 Stock market—Selected statistics

26

Stock market—Selected statistics

A. Stock prices and trading
(Annual and monthly averages)

A. Stock prices and trading
(Annual and monthly averages)

B. Customer financing
(End of year and end of month)

B. Customer financing
(End of month)

C. Margin-account debt at brokers
(End of year and end of month)

C. Margin-account debt at brokers
(End of month)

D. Special miscellaneous-account
balances at brokers
(End of year and end of month)

D. Special miscellaneous-account
balances at brokers
(End of month)




90 Bond prices, by type of issuer

1.38

Savings institutions—Selected
assets and liabilities B/
(End of year and end of month)

86

Bond prices, by type of issuer

A. Annual and monthly averages

A. Annual and monthly averages

B. Weekly averages

B. Weekly averages

27 Selected assets and liabilities of
savings institutions Sf
(End of month)

27

Selected assets and liabilities of
savings institutions B_/
(End of month)

FEDERAL FINANCE
1.39

Federal fiscal and financing
operations
(Fiscal and calendar years,
half-years, and monthly)

28 Federal' fiscal and financing
operations
(Fiscal and calendar years,
half-years, and monthly)

28

Federal fiscal and financing
operations
(Fiscal and calendar years,
half-years, and monthly)

1.40

U.S. Budget receipts and outlays
(Fiscal and calendar years,
half-years, and monthly)

29 U.S. Budget receipts and outlays
(Fiscal and calendar years,
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—Types and ownership
(End of quarter)

30

Federal debt subject to statutory
limit—Types and ownership
(End of quarter)

1.42

Gross public debt of U.S. Treasury
—Types and ownership
(End of year and end of month)

31 Gross public debt of U.S. Treasury
—Types and ownership
(End of month)

31

Gross public debt of U.S. Treasury
—Types and ownership
(End of month)

1.43

U.S. Government marketable securities—Ownership, by maturity
(End of year and end of month)

32 U.S. Government marketable securities—Ownership, by maturity
(End of quarter beginning
December 1970)

32

U.S. Government marketable securities—Ownership, by maturity
(End of quarter)

ANNUAL STATISTICAL DIGEST
1972-76

FEDERAL RESERVE BULLETIN
1978
Table
number
1.44

1.45

1.46

Title

Table
number

U.S. Government securities dealers
—Transactions
(Annual, monthly, and weekly
averages)

Title

ANNUAL STATISTICAL DIGEST
1973-77
Table
number

32.1 U.S. Government securities dealers

U.S. Government securities dealers—
Positions and sources of financing
(Annual, monthly, and weekly
averages)

Federal and Federally sponsored
33
credit agencies—Debt outstanding
(End of year and end of month)

33

Title
U.S. Government securities dealers

A. Transactions
(Annual and monthly averages)

A. Transactions
(Annual and monthly averages)

B. Positions
(Annual, monthly, and weekly
averages)

B. Positions
(Annual, monthly, and weekly
averages)

C. Sources of financing
(Annual, monthly, and weekly
averages)

C. Sources of financing
(Annual, monthly, and weekly
averages)

Debt of Federal and Federally
sponsored credit agencies
(End of month)

34

Debt of Federal and Federally
sponsored credit agencies
(End of month)

New security issues of State and
local governments and corporations
(Annually and monthly)

35

New security issues of State and
local governments and corporations
(Annually and monthly)

36

Open-end investment companies
(Annually and monthly)

SECURITIES MARKETS AND CORPORATE FINANCE
Beginning May 1978 9/
1.47
New security issues of State and
local governments
(Annually and monthly)
1.48

34

New security issues of corporations
(Annually and monthly)

35

1.49

Open-end investment companies — Net
sales and asset position
(Annually and monthly)




36

change in corporate securities
outstanding
(Annually and quarterly)
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)

37

Corporate profits and their
distribution
(Annually and quarterly)

1.51

Nonfinancial corporations—
Current assets and liabilities
(End of year and end of quarter)

38

Current assets and liabilities
of nonfinancial corporations
(End of quarter)

38

Current assets and liabilities
of nonfinancial corporations
(End of quarter)

1.52

Business expenditures on new
plant and equipment
(Annually and quarterly)

39

Business expenditures on new
plant and equipment
(Annually and quarterly)

39

Business expenditures on new
plant and equipment
(Annually and quarterly)

1.521

Domestic finance companies—
Assets and liabilities
(End of year and end of quarter)

40

Domestic finance companies—
Assets and liabilities
(End of quarter)

40

Domestic finance companies—
Assets and liabilities
(End of quarter)

1.522

Domestic finance companies—
Business credit
(Monthly)

41

Business credit of domestic
finance companies 10/
(Monthly, 1970-76)

41

Business credit of domestic
finance companies IP/
(Monthly)

REAL ESTATE
1.53

Mortgage markets
(Annually and monthly)

42

Mortgage markets
(Annually and monthly)

42

Mortgage markets
(Annually and monthly)

1.54

Mortgage debt outstanding
(End of year and end of
quarter)

43

Mortgage debt outstanding, by
type and by type of holder
(End of year and end of
quarter)

43

Mortgage debt outstanding, by
type of holder and type of
property
(End of year and end of
quarter)

CONSUMER INSTALMENT CREDIT
1.55

Total outstanding and net change
(Annually and monthly; end of
period for outstandings)

44

Total outstanding, and net change
(Annually and monthly; end
of period for outstandings)

44

Total outstanding, and net change
(Annually and monthly; end
period for outstandings)

1.56

Extensions and liquidations
(Annually and monthly)

45

Extensions and liquidations
(Annually and monthly)

45

Extensions and liquidations
(Annually and monthly)




Table
number

Title

ANNUAL STATISTICAL DIGEST
1973-77

ANNUAL STATISTICAL DIGEST
1972-76

FEDERAL RESERVE BULLETIN
1978

Table
number

Title

Table
number

Title

FLOW OF FUNDS
46.1 Flow of funds accounts—
Financial assets and
liabilities, December 31,
1976

46.1 Flow of funds accounts—
Financial assets and liabilities, December 31, 1977

A. All sectors

A. All sectors

B. Private nonbank financial
institutions

B. Private nonbank financial
institutions

46.2 Flow of funds accounts, 1965-76

46.2 Flow of funds accounts, 1966-77

1.57

Funds raised in U.S. credit
markets
(Annually and semiannually)

A. Summary of credit market
debt outstanding, by sector
(End of year)

A. Summary of credit market
debt outstanding, by sector
(End of year)

1.58

Direct and indirect sources of
funds to credit markets
(Annually and semiannually)

B. Direct and indirect claims
on credit market debt
(End of year)

B. Direct and indirect claims
on credit market debt
(End of year)

C. Summary of principal assets
and liabilities
(End of year)
D. Sector statements of financial
assets and liabilities
(End of year)

C. 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)

47

Selected measures of nonfinancial
business activity
(Annually and monthly)

2.11

Output, capacity, and capacity
utilization
(Quarterly)

2.12

Labor force, employment, and
unemployment
(Annually and monthly)

2.13

Industrial production—Indexes
and gross value
(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)

48

Output, capacity, and capacity
utilization
(Annually and quarterly)

48

Output, capacity, and capacity
utilization
(Annually and quarterly)

A. Output

A. Output

B. Capacity

B. Capacity

C. Capacity utilization

C. Capacity utilization

49

Industrial production
(Annually; monthly for 1976)

49

Industrial production
(Annually; monthly for 1977)

50

Summary of U.S. international
transactions
(Annually and quarterly)

50

Summary of U.S. international
transactions
(Annually and quarterly)

51

U.S. reserve assets
(End of month)

51

U.S. reserve assets
(End of month)

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 and end of month)




ANNUAL STATISTICAL DIGEST
1972-76

FEDERAL RESERVE BULLETIN
1978
Table
number

Title

Table
number

Title

ANNUAL STATISTICAL DIGEST
1973-77
Table
number

Title

3.13

Foreign branches of U.S. banks—
Balance sheet data
(End of year and end of month)

60

Assets and liabilities of
foreign branches of U.S.
banks
(End of month)

57

Assets and liabilities of foreign
branches of U.S. banks
(End of month)

3.14

Selected U.S. liabilities to
foreign official institutions
(End of year and end of month)

52

Selected U.S. liabilities to
foreigners
(End of month)

52

Selected U.S. liabilities to
foreigners
(End of month)

REPORTED BY BANKS IN THE UNITED STATES
3.15

Liabilities to foreigners
(End of year and end of month)
A. By holder and type of
liability
B. By area and country

3.16

Banks1 own claims on foreigners,
by area and country
(End of year and end of month)

3.17

Banks1 own and domestic customers1
claims on foreigners
(End of year and end of month)

3.18

Banks1 own claims on unaffiliated
foreigners
(End of year and end of quarter)

3.19

Liabilities to and claims on
foreigners
(End of year and end of quarter)







Short-term liabilities to foreigners
reported by banks in the United States

53

Short-term liabilities to foreigners
reported by banks in the United
States

53

By holder and type of liability
(End of month)

A. By holder and type of liability
(End of month)

54

By country
(End of month)

B. By country
(End of month)

55

Supplemental "Other" countries
(Annually for April 30 and
December 31)

C. Supplemental "Other" countries
(Annually for April 30 and
December 31)

56

Long-term liabilities to
foreigners reported by banks
in the United States
(End of month)

Short-term claims on foreigners
reported by banks in the United
States
57

54

Long-term liabilities to foreigners
reported by banks in the
United States
(End of month)

55

Short-term claims on foreigners
reported by banks in the
United States
(End of month)

By country
(End of month)

58

By type of claim
(End of month)

59

Long-term claims on foreigners
reported by banks in the
United States
(End of month)

A. By country
B. By type of claim

56

Long-term claims on foreigners
reported by banks in the
United States
(End of month)

Table
number

Title

ANNUAL STATISTICAL DIGEST
1973-77

ANNUAL STATISTICAL DIGEST

FEDERAL RESERVE BULLETIN
1978

1972-76
Table
number

Title

Table
number

Title

SECURITIES HOLDINGS AND TRANSACTIONS
3.20

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)

58

Marketable U.S. Treasury bonds
and notes—Foreign holdings
and transactions
(Annually and monthly; end
of period for holdings)

3.21

Foreign official assets held at
Federal Reserve Banks
(End of year or end of month)

62

Foreign official assets held at
Federal Reserve Banks
(End of month)

59

Foreign official assets held at
Federal Reserve Banks
(End of month)

3.22

Foreign transactions in securities
(Annually and monthly)

63

Foreign transactions in securities
(Annually and monthly)

60

Foreign transactions in securities
(Annually and monthly)

61

Short-term liabilities to and
claims on foreigners
(End of quarter)

REPORTED BY NONBANKING CONCERNS IN THE UNITED STATES
3.23

Short-term liabilities to and
claims on foreigners
(End of quarter; by type and
by area or country)

64

Short-term liabilities to and
claims on foreigners
(End of quarter; by type and
by area or country)
A. Liabilities to foreigners

A. Liabilities to foreigners

B. Claims on foreigners

B. Claims on foreigners

3.24

Short-term claims on foreigners
(End of year or end of month;
reported by "large" concerns)

65

Short-term claims on foreigners
(End of month; reported by
"large" concerns)

62

Short-term claims on foreigners
(End of month; reported by
"large" concerns)

3.25

Long-term liabilities to and
claims on foreigners
(End of quarter)

66

Long-term liabilities to and
claims on foreigners
(End of quarter)

63

Long-term liabilities to and
claims on foreigners
(End of quarter)




A. Liabilities to foreigners

A. Liabilities to foreigners

B. Claims on foreigners

B. Claims on foreigners

INTEREST AND EXCHANGE RATES
3.26

Discount rates of foreign
central banks
(End of month)

67

Discount rates of foreign
central banks
(End of month)

64

Discount rates of foreign
central banks
(End of month)

3.27

Foreign short-term interest
rates
(Annually and monthly)

68

Foreign short-term interest
rates
(Annually and monthly)

65

Foreign short-term interest
rates
(Annually and monthly)

69

Weighted-average value of
U.S. dollar, 1967-76
(Monthly)

66

Index of weighted-average value
of U.S. dollar
(Monthly)

70

Foreign exchange rates
(Annually and monthly)

67

Foreign exchange rates
(Annually and monthly)

71

Statement of condition of
each Federal Reserve Bank,
December 31, 1976

68

Statement of condition of
Federal Reserve Banks,
December 31, 1977

72

Earnings and expenses of Federal
Reserve Banks, 1976

69

Earnings and expenses of Federal
Reserve Banks during 1977

73

Banks and branches—Number in
operation, December 31, 1976,
by States

70

Banks and branches—Number in
operation, December 31, 1977,
by State

3.28

Foreign exchange rates
(Annually and monthly)

4.10

Sales, revenue, profits, and
dividends—Large manufacturing
corporations
(Annually and quarterly data;
published only quarterly)




Table
number




Title

ANNUAL STATISTICAL DIGEST
1973-77

ANNUAL STATISTICAL DIGEST
1972-76

FEDERAL RESERVE BULLETIN
1978

Table
number
74

Title

Table
number

Number of commercial banks
and branches in operation

Title

71

Number of commercial banks
and branches in operation

73

Banking offices in the United
States—Number, and changes
in number
(Number, annually; changes, 1977)

A. Banks by type, December 31,
1971-76
B. Branches, December 31, 1941-76
75

Banking offices in the United
States—Number, and changes
in number
(Number, annually; changes, 1976)
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

76

Changes in offices of commercial
banks and nondeposit trust
companies during 1976—Summary,
by States
(Semiannually)

74

Changes in offices of commercial
banks and nondeposit trust
companies during 1977—Summary,
by State
(Semiannually)

77

Banking offices, assets, and
deposits of banks in holding
company groups, December 31,
1976

75

Banking offices, assets, and
deposits of banks in holding
company groups, revised or new
data for December 31, 1976—
Domestic data only

A. Details by States

A. Details by State (revised)

B. Summary totals and comparisons

B. Summary totals and comparisons
(revised)

C. Multibank and one-bank
classifications—Summary

C. Multibank and one-bank classifications—Summary (revised)
D. Multibank, one-bank, and all
commercial bank comparisons
by State (new)




76

Banking offices, assets, and
deposits of banks in holding
company groups, December 31,
1977—Including foreign data
A. Member and nonmember classifications by State
B. Multibank, one-bank, and all
commercial bank comparisons
by State
C. Multibank and one-bank classifications—Summary

72

Number of par and nonpar banking
offices
(Annually; 1977, by district)

Income, expenses, and dividends of
insured nonmember banks, and of
Federal Reserve member banks
grouped by classification for
reserve purposes, 1976

78

Income, expenses, and dividends of
insured nonmember banks, and of
Federal Reserve member banks
grouped by classification for
reserve purposes, 1977

Income, expenses, and dividends of
member banks, 1976, by Federal
Reserve district

79

Income, expenses, and dividends of
member banks, 1977, by Federal
Reserve district

78

Number of par and nonpar banking
offices
(Annually; 1976, by district)

79

Revised data for bank income
and expense tables for 1975

80

81

82

A. All member banks

A. All member banks

B. Large banks

B. Large banks

C. Other-than-large banks

C. Other-than-large banks

Income, expenses, and dividends of
insured banks, 1976, by size
of bank

80

Income, expenses, and dividends of
insured banks, 1977, by size
of bank

Table
number




Title

ANNUAL STATISTICAL DIGEST
1973-77

ANNUAL STATISTICAL DIGEST
1972-76

FEDERAL RESERVE BULLETIN
1978

Table
number
83

84

Title
Member bank income ratios, 1976

Table
number
81

Title
Member bank income ratios, 1977

A. All member banks, by class of
bank and by Federal Reserve
district

A. All member banks, by class of
bank and by Federal Reserve
district

B. Large banks, by Federal
Reserve district

B. Large banks, by Federal
Reserve district

C. Other-than-large banks, by
Federal Reserve district

C. Other*-than-large banks, by
Federal Reserve district

Member bank operating ratios, 1976

82

Member bank operating ratios, 1977

A. By Federal Reserve district

A. By Federal Reserve district

B. By ratio of time to total
deposits, by size

B. By ratio of time to total
deposits, by size of bank

C. By size of bank and by ratio
of time to total deposits

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, December 31, 1976

77 Selected assets and liabilities of
minority-*owned banks, by size
of bank, December 31, 1977

86

Denominations of U.S. currency
in circulation
(Monthly)

83

87

Commercial paper outstanding,

1966-76 III
(MonthlyT~
A. Total
B. Directly placed, by type
C. Dealer placed, by type

Denominations of U.S. currency
in circulation
(Monthly)




88

Liquid asset holdings of private
domestic nonfinancial investors
(Monthly)

84

Liquid asset holdings of private
domestic nonfinancial investors
(Monthly)

89

Assets of pension funds
(End of year)

85

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,
foi: interest rates on time and
savings deposits

92

Revised data for October 27, 1976,
for interest rates on time and
savings deposits

87.1 Time and savings deposits—Survey
of most common interest rates
paid on various types of
deposits, January 26, 1977
87.2 Time and savings deposits—Survey
of most common interest rates
paid on various types of
deposits, April 27, 1977
87.3 Time and savings deposits—Survey
of most common interest rates
paid on various types of
deposits, July 27, 1977
87.4 Time and savings deposits—Survey
of most common interest rates
paid on various types of
deposits, October 26, 1977
The deposit categories in tables 87.187.4 are as follows:
A. Savings deposits, by ownership
group
B. Government time deposits of less
than $100,000, by maturity group
C. Other time deposits of less than
$100,000, by maturity group
D. Club accounts—Christmas savings,
vacation, or similar club accounts

Table
number




Title

ANNUAL STATISTICAL DIGEST
1973-77

ANNUAL STATISTICAL DIGEST
1972-76

FEDERAL RESERVE BULLETIN
1978

Table
number

Title

Table
number

Title

94

Security credit at banks,
by type, June 30, 1976

89

Security credit at banks,
by type, June 30, 1977

95

Margin credit by source,
June 30, 1976

90

Margin credit, by source,
June 30, 1977

96

Security credit reported by
lenders subject to margin
regulations, June 30, 1976

91

Security credit reported by
lenders subject to margin
regulations, June 30, 1977

97

Detailed debit and credit
balances at brokers
carrying margin accounts,
June 30, 1975 and 1976

92

Detailed debit and credit
balances at brokers
carrying margin accounts,
June 30, 1976 and 1977

98

Commitments of life insurance
companies for income-property
mortgages
(Annually and monthly)

93

Commitments of life insurance
companies for income-property
mortgages
(Annually and monthly)

93

Finance rates on selected types
of instalment credit
(Monthly)

88

Finance rates on selected types
of instalment credit
(Monthly)

94

Commercial bank assets and
liabilities—Revised loan data
for December 31, 1976

FOOTNOTES
1. Monthly levels for interest rates are shown in table
24-A of ASP 72-76 and table 25-A of ASP 73-77.
2. 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. Rates for commercial banks, savings and loan associations,
and mutual savings banks.
4. Includes figures for total member bank deposits plus
nondeposit sources of funds.
5. Revised loan data for December 31, 1976, are contained
in table 94 of ASP 73-77.
6. For seasonally adjusted figures for commercial paper,
see table 87.
7. Figures for bond prices were discontinued in the
Bulletin beginning in 1977 but are shown in table 90 of
ASP 72-76 and table 86 of ASP 73-77.
8. Includes data for savings and loan associations, mutual
savings banks, life insurance companies, and credit unions.
9. Prior to May 1978, table 1.47 showed new security issues
of state and local governments and corporations, and table
1.48 gave the net change in amounts outstanding of corporate
securities.
10. Accounts receivable: levels (not seasonally adjusted);
changes (seasonally adjusted). Figures on extensions and
repayments are seasonally adjusted.
11. Data for 1973-77 are shown in table 22 of ASD 73-77.