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F e d e r a l r e s e r v e b a n k o f Da l l a s DALLAS, TEX A S Circular No. 67-224 December 11, 1967 RESERVES OF MEMBER BANKS To All Nonreserve City Member Banks of the Eleventh Federal Reserve District: There is attached a revision of the Supplement to Bulletin No. 4 dated July 14, 1966, showing a schedule of the biweekly reserve computation periods ending in the year 1968. This schedule should be observed in preparing Form AC-62A3, “Report of Deposits and Re lated Data” for reserve computation purposes. At the appropriate time, the member bank should substitute this schedule for the 1967 schedule filed with Bulletin No. 4, “Reserves of Member Banks,” in the ring binder of bulletins and regulations fur nished by this bank. PLEA SE ACKNOW LEDGE R EC E IPT OF TH IS SUP PLEM EN T BY SIGNING AND RETURNING T H E EN CLOSED POSTAL CARD. Yours very truly, Watrous H. Irons President Enclosures (2) This publication was digitized and made available by the Federal Reserve Bank of Dallas' Historical Library (FedHistory@dal.frb.org) FEDERAL RESERVE BANK OF DALLAS 1968 SUPPLEMENT TO BULLETIN NO. 4 SCHEDULE OF BIWEEKLY RESERVE COMPUTATION PERIODS ENDING IN THE YEAR 1968 Period Begins with* Period ends with* December 21, 1967 January 4, 1968 January 18, 1968 February 1, 1968 February 15, 1968 February 29, 1968 March 14, 1968 March 28, 1968 April 11, 1968 April 25, 1968 May 9, 1968 May 23, 1968 June 6, 1968 June 20, 1968 July 4, 1968 July 18, 1968 August 1, 1968 August 15, 1968 August 29, 1968 September 12, 1968 September 26, 1968 October 10, 1968 October 24, 1968 November 7, 1968 November 21, 1968 December 5, 1968 January 3, 1968 January 17, 1968 January 31, 1968 February 14, 1968 February 28, 1968 March 13, 1968 March 27, 1968 April 10, 1968 April 24, 1968 May 8, 1968 May 22, 1968 June 5, 1968 June 19, 1968 July 3, 1968 July 17, 1968 July 31, 1968 August 14, 1968 August 28, 1968 September 11, 1968 September 25, 1968 October 9, 1968 October 23, 1968 November 6, 1968 November 20, 1968 December 4, 1968 December 18, 1968 *The periods include both the beginning and ending date. N ote: It will be appreciated if nonreserve city member banks will observe the foregoing schedule in preparing their reports of deposits for reserve computa tion purposes. As explained in Bulletin No. 4, “Reserves of Member Banks,” a report of deposits should be mailed each Wednesday for the weekly period ended on that date although computation of your reserve requirements will be based on your reports covering the full two-week periods indicated in the above schedule.