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FEDERAL RESERVE statistical • G. 17 \^V rel e a s e Cc L l B l v A R Y For immediate release November 23, 1973 .<<*reserve-^ MATURITY DISTRIBUTION OF EURO-DOLLAR DEPOSITS IN FOREIGN BRANCHES OF U.S. BANKS Average Maturity Distribution in Months 1973 June July Aug. All deposits 2.8 2.7 2.8 2.9 All deposits except call and overnight 3.2 3.0 3.2 3.2 MATURITY OF EURO-DOLLAR DEPOSITS IN FOREIGN BRANCHES OF U.S. BANKS (End of Month) Maturity of Liability Overnight Call Other liabilities maturing in following months after report date: First calendar month Second Third Fourth Fifth Sixth Seventh Eighth Ninth Tenth Eleventh Twelfth Maturities of more than 1 year Cumulative percentage June July Aug. 2.57 3.04 3.19 3.16 2.45 2.55 5.0 11.0 6.1 12.1 4.8 9.7 15.47 7.61 6.55 3.96 3.67 3.08 .54 .82 .96 .54 .36 .32 13.38 8.14 7.49 4.20 3.45 3.55 .89 .98 .72 .38 .34 .76 13.56 8.90 6.89 3.89 3.73 3.56 1.02 .74 .53 .36 .82 .66 41.1 56.0 68.8 76.5 83.7 89.7 90.7 92.3 94.2 95.2 96.0 96.6 37.6 53.1 67.3 75.3 81.9 88.7 90.4 92.2 93.6 94.3 95.0 96.4 36.0 53.3 66.7 74.2 81.4 88.3 90.3 91.7 92.7 93.4 95.0 96.3 1.92 1.88 1.89 100.0 100.0 100.0 51.27 Total Note: Amounts in billions of dollars June July Aug. 52.50 51.54 Details may not add to totals due to rounding.