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FEDERAL RESERVE Statistical release DEBITS AND DEPOSIT TURNOVER AT COMMERCIAL BANKS FEDERAL RESERVE Statistical Release G.6 For Immediate Release February 15, 1979 Debits During The Month (Annual Rate, Billions Of Dollars) To Savings Deposits 2/ (NSA) By Type Of Customer To Demand Deposits 1 / (SA) New York City All Banks 1977-DECEMBER 1978-J ANUARY FEBRUARY MARCH A3RIL MAY JUNE JULY AUGUST SEPTEMBER OCTOBER NOVEMBER DECEMBER 36,403.0 36,828.7 36,512.9 37,174.1 39,139.0 39,629.6 41,592.1 40,697.3 42,819.1 41,896 . 6 42,942.5 42,941.5 42,307.5 14,651.9 14,077.9 13,421.8 13,663.5 15,128.1 14,774.9 15,976.0 15,357.8 16,435.0 15,500.0 15,437.8 15,673.6 15,100.2 Other Banks 21,751.1 22,750.8 23,091.1 23,510.6 24,010.9 24,854.7 25,616.1 25,339.5 26,384.1 26 , 396 .6 27,504.7 27,267.9 27,207.3 Business 2 / Total Other 304.9 338.0 275.9 333.5 376.7 347.5 384.9 379.7 376.1 362.4 400.4 379.1 376.6 49.1 50.4 42.5 48.3 49.5 51.9 61.5 56.2 58.5 62.0 67.2 66.8 61.4 354.0 388.4 318.4 381.8 426.1 399.4 446.4 435.9 434.6 424.4 467. 6 446.0 438.0 Average Deposits Outstanding (Billions Of Dollars) Savings Deposits 2/ (NSA) By Type Of Customer Demand Deposits 1 / (SA) New York City All Banks 277.1 279.7 278.2 277.0 284.6 284.3 287.9 29 2.1 292.3 295.3 297.9 295.9 298.8 1977-DECEMBER 197B-JANUARY FEBRUARY MARCH APRIL MAY JUNE JULY AUGUST SEPTEMBER OCTOBER NOVEMBER DECEMBER 27.1 28.2 27.2 26.3 27.6 26.6 26.8 27.8 28.5 28.2 29.1 28.0 28.2 Other Banks 249.9 251.5 251.0 250.7 257.0 257.6 261.1 264.3 263.9 267.1 268.8 268.0 270.6 Total Business 2 / 215. 9 217.7 218.2 220. 2 222.1 222.6 223.0 222.5 221. 6 221 i 3. 221.2 219. 3 217.6 Other 205.1 207.1 207.6 209.7 211.4 211.6 211.9 211.4 210.3 209.8 209.6 207.7 204.1 10.8 10.7 10.6 10.6 10.7 11.0 11.1 11.1 11.3 11.5 11.6 11.6 11.4 Annual Rate Of Deposit Turnover Savings Deposits 2J (NSA) By Type Of Customer Demand Deposits 1 / (SA) All Banks 131.4 131.7 131.2 134.2 137.5 139.4 144.5 139.3 146.5 141 .9 144. 1 145.1 141.6 1977-DECEMBER 1978-JANUARY FEBRUARY MARCH A°P> IL MAY JUNE JULY AUGUST SEPTEMBER OCTOBER NOVEMBER DECEMBER # I I ^ 1/ ~ 2/ 3/ New York City 539.9 499.6 494.2 520.0 547.9 555.3 596.0 553.1 577.6 549.6 530.1 559.8 535.9 Other Banks 87.0 90.5 92.0 93.8 93.4 96.5 98. 1 95.9 100.0 98. 8 102.3 101.8 100.5 Business 2 / Total 1.6 1.8 1.5 1.7 1.9 1.8 2. 0 2.0 2.0 1.9 2.1 2.0 2.0 Other 4.6 4.7 4.0 4.6 4.6 4.7 5.5 5.1 5.2 5.4 5.8 5.8 5 .4 REPRESENTS ACCOUNTS OF INDIVIDUALS, PARTNERSHIPS, AND CORPORATIONS AND OF STATES AND POLITICAL SUBDIVISIONS. EXCLUDES NOW ACCOUNTS AND SPECIAL CLUB ACCOUNTS, SUCH AS CHRISTMAS AND VACATION CLUBS. REPRESENTS CORPORATIONS AND OTHER PROFIT-SEEKING ORGANIZATIONS (EXCLUDING COMMERCIAL BANKS BUT INCLUDING SAVINGS AND LOAN ASSOCIATIONS, MUTUAL SAVINGS BANKS, CREDIT UNIONS, THE EXPORT-IMPORT BANK, AND FEDERALLY SPONSORED LENDING AGENCIES). NOTE: HISTORICAL DATA FOR THE PERIOD 1970 THROUGH JUNE 1977 HAVE BEEN ESTIMATED: THESE ESTIMATES ARE BASED IN PART ON THE DEBITS SERIES FOR 233 SMSA'S, WHICH ARE AVAILABLE THROUGH JUNE 1977. BACK DATA ARE AVAILABLE FROM PUBLICATIONS SERVICES, DIVISION OF ADMINISTRATIVE SERVICES, BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM, WASHINGTON D.C. 20551. DEBITS AND TURNOVER DATA FOR SAVINGS DEPOSITS ARE NOT AVAILABLE PRIOR TO JULY 1977. BEGINNING WITH JULY 1977, DATA HAVE BEEN REVISED TO TAKE ACCOUNT OF CALL REPORT BENCHMARKS AS OF June 30, 1978. 1.5 1.6 1.3 1.6 1.8 1.6 1.8 1.8 V.7 1.9 1.8 1.8