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FEDERAL RESERVE statistical release
G.6
DEBITS AND DEPOSIT TURNOVER AT COMMERCIAL BANKS
Not Seasonally Adjusted

For Immediate Release

August 22, 1996

Debits During the Month (Annual rate, billions of dollars)
To other checkable2
deposits

To demand deposits1

1995 -May
June
-July
-August
-September
-October
-November
-December
1996 -January
-February
-March
-April
-May
-June

all banks

New York City

other banks

412,762.0
425,855.1
390,226.6
421,875.3
395,203.2
413,547.6
398,219.1
411,802.7
429,213.3
414,819.1
442,977.6
456,900.3
459,063.0
436,753.8

207,259.8
209,349.5
196,873.1
213,958.6
207,994.2
212,506.0
202,744.5
210,780.0
227,293.7
222,007.5
236,954.2
238,335.3
240,893.0
225,760.4

205,502.2
216,505.6
193,353.5
207,916.7
187,209.0
201,041.7
195,474.6
201,022.7
201,919.6
192,811.6
206,023.4
218,565.0
218,170.0
210,993.4

4,070.1
4,261.6
3,525.4
4,203.3
4,431.9
4,565.4
4,566.6
4,784.8
5,393.9
4,629.1
4,990.4
5,580.8
5,479.6
5,411.2

To savings deposits3

3,982.3
4,432.7
4,054.1
4,750.1
4,849.1
5,075.1
5,388.7
6,013.9
6,309.7
5,798.9
6,444.7
7,690.1
7,061.8
7,454.2

Average Deposits Outstanding (Billions of dollars)
Other checkable
deposits

Demand deposits1
New York City
40.7
42.1
42.3
40.0
41.0
40.2
40.2
43.0
44.5
40.9
39.1
41.3
40.4
43.5

1995 -May
-June
-July
-August
-September
-October
-November
-December
1996 -January
-February
-March
-April
-May
-June

other banks
400.1
410.3
417.8
410.4
420.5
421.7
422.6
442.9
434.9
419.5
428.7
436.4
428.0
440.1

280.4
271.5
273.3
269.1
265.2
257.5
255.9
251.8
244.7
232.8
228.6
232.0
213.7
208.4

Savings deposits3
711.7
724.8
726.9
734.4
739.6
748.4
756.3
767.5
782.4
791.8
811.5
819.0
820.9
833.6

Annual Rate of Deposit Turnover
Other checkable2
deposits

Demand deposits1
1995 -May
-June
-July
-August
-September
-October
-November
-December
1996 -January
-February
-March
-April
-May
-June

all banks
936.5
941.3
848.2
936.7
856.4
895.4
860.5
847.5
895.4
900.9
947.0
956.6
980.1
903.0

New York City
5.095.1
4,972.0
4,657.5
5,343.0
5.069.5
5.292.2
5.046.6
4.900.8
5.109.7
5,427.5
6,060.5
5.774.9
5,963.5
5,188.2

other banks
513.6
527.7
462.8
506.7
445.3
476.7
462.5
453.9
464.3
459.6
480.6
500.9
509.8
479.4

14.5
15.7
12.9
15.6
16.7
17.7
17.8
19.0
22.0
19.9
21.8
24.1
25.6
26.0

Savings deposits3
5.6
6.1
5.6
6.5
6.6
6.8
7.1
7.8
8.1
7.3
7.9
9.4
8.6
8.9

1. Represents accounts of individuals, partnerships, and corporations and of states and political subdivisions.
2. As of January 1994, other checkable deposits, previously defined as ATS and NOW accounts, were expanded to include telephone and preauthorized transfer accounts. This
redefined OCDs for debits data to be consistent with OCDs for deposits data, also shown above.
3. Includes Money Market Deposit Accounts.
Note: Historical data are available on request from Publications Section, Division of Support Services, Board of Governors of the Federal Reserve System, Washington,
Digitized
FRASER
D for
C. 20551.



FEDERAL RESERVE statistical release
G.6
DEBITS AND DEPOSIT TURNOVER AT COMMERCIAL BANKS
Seasonally Adjusted

For Immediate Release

August 22,1996

Debits During the Month (Annual rate, billions of dollars)
To other checkable2
deposits

To demand deposits1

1995 -May
-June
-July
-August
-September
-October
-November
-December
1996 -January
-February
-March
-April
-May
-June

all banks

New York City

other banks

423,264.5
413,335.1
391,053.7
407,389.4
397,843.6
413,927.0
409,460.9
397,538.3
430,421.2
447,869.0
422,696.7
463,246.0
470,743.6
423,913.4

217,587.7
203,342.3
197,712.2
206,835.9
207,576.7
210,336.6
204,484.0
203,977.5
229,379.2
238,538.4
224,066.5
245,440.5
252,388.3
219,267.0

205,676.7
209,992.8
193,341.5
200,553.5
190,266.9
203,590.4
204,976.9
193,560.8
201,042.0
209,330.6
198,630.2
217,805.5
218,355.3
204,646.4

4,236.4
4,142.3
3,593.7
4,236.1
4,366.8
4,690.4
4,891.5
4,595.5
4,967.8
5,024.4
4,942.7
5,281.1
5,703.5
5,259.7

To savings deposits3

4,022.4
4,326.8
3,986.7
4,745.4
4,898.4
5,328.6
5,679.4
5,703.6
6,035.9
6,406.6
6,283.1
7,357.0
7,132.9
7,276.2

Average Deposits Outstanding (Billions of dollars)
Other checkable
deposits

Demand deposits1
1995 -May
-June
-July
-August
-September
-October
-November
-December
1996 -January
-February
-March
-April
-May
-June

all banks
448.7
458.3
460.4
458.8
463.7
456.1
452.2
466.2
469.5
471.2
479.8
477.6
476.8
490.0

New York City
42.1
43.1
42.8
41.6
41.4
39.9
39.2
40.2
42.7
40.8
40.0
41.7
41.8
44.5

other banks
406.6
415.3
417.7
417.2
422.3
416.2
413.0
426.0
426.7
430.4
439.8
435.9
435.0
445.5

283.2
273.7
277.7
273.6
267.9
261.0
255.9
247.1
238.8
232.8
227.5
227.0
215.9
210.1

Savings deposits3
712.5
724.7
727.4
735.6
741.2
749.7
754.7
768.9
782.4
792.9
809.2
816.8
821.9
833.5

Annual Rate of Deposit Turnover
Other checkable2
deposits

Demand deposits1
1995 -May
-June
-July
-August
-September
-October
-November
-December
1996 -January
-February
-March
-April
-May
-June

all banks
943.3
901.8
849.3
887.9
858.0
907.5
905.5
852.7
916.8
950.6
881.0
970.0
987.3
865.1

New York City
5,170.7
4,718.9
4,624.7
4,970.9
5,018.0
5,269.7
5,222.3
5,069.7
5,368.0
5,852.3
5,608.2
5,884.3
6,032.3
4,921.9

other banks
505.8
505.7
462.9
480.7
450.5
489.2
496.3
454.4
471.1
486.4
451.6
499.7
502.0
459.4

15.0
15.1
12.9
15.5
16.3
18.0
19.1
18.6
20.8
21.6
21.7
23.3
26.4
25.0

Savings deposits3
5.6
6.0
5.5
6.5
6.6
7.1
7.5
7.4
7.7
8.1
7.8
9.0
8.7
8.7

1. Represents accounts of individuals, partnerships, and corporations and of states and political subdivisions.
2. As of January 1994, other checkable deposits, previously defined as ATS and NOW accounts, were expanded to include telephone and preauthorized transfer accounts. This
redefined OCDs for debits data to be consistent with OCDs for deposits data, also shown above.
3. Includes Money Market Deposit Accounts.
Note: Historical data are available on request from Publications Section, Division of Support Services, Board of Governors of the Federal Reserve System, Washington,
D.C.
20551.