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FEDERAL RESERVE statistical release
DEBITS AND DEPOSIT TURNOVER AT COMMERCIAL BANKS
Seasonally Adjusted
Debits During the Month (Annual rate, billions of dollars)
To NOW/ATS^
To demand deposits
accounts
other banks
New York City
all banks
292,301.8
293,419.2
264,773.3
282,809.8
273,918.3
281,469.0
287,974.5
278,234.2
293,941.3
306,523.0
298,098.7
305,837.0
315.651.2r
292,177.4

1991 -April
-May
-June
July
-August
-September
-October
-November
-December
1992-January
February
-March
-April
-May
—

145,814.4
145,362.1
131,035.1
143,722.8
136,970.6
139,325.8
143,745.8
137,464.6
144,438.8
144,607.7
143,347.7
141,665.5
148,473.7r
137,952.1

1
Demand deposits

ail banks
1991 -Apnl
-May
June
-July
-August
-September
October
November
-December
1992-January
-February
-March
Apnl
-May

146,487.5
148,057.1
133,738.2
139,087.0
136,947.7
142,143.2
144,228.7
140,769.6
149,502.5
161,915.3
154,751.0
164,171.5
167,177.5r
154,225.3

338.3
340.9
347.1
341.8
345.7
344.1
344.0
353.4
349.2
352.3
364.6
367.4
368.1r
378.9

New York City
32.3
31.5
32.3
31.5
30.7
31.6
31.3
33.4
32.1
32.4
33.4
33.0
33.2r
34.8

other banks
306.0
309.4
314.8
310.3
315.0
312.5
312.7
320.0
317.1
319.9
331.2
334.4
334.9r
344.1

1
Demand deposits
ail banks
1991 -Apnl
May
-June
July
August
September
-October
-November
December
1992-January
-February
- March
-April
-May

l
3/

864.0
860.8
762.8
827.3
792.2
817.9
837.1
787.3
841.8
870.1
817.6
832.5
857.4r
771.2

New York City
4,535.2
4,700.2
4,140.5
4.415.5
4,460.8
4,498.2
4,607.9
4,214.7
4,657.4
4,997.4
4.633.3
4.974.4
5,029.1r
4.438.0

other banks
476.5
469.7
416.2
463.1
434.9
445.9
459.6
429.6
453.9
452.1
432.8
423.7
443.3r
400.9

3,820.3
3,620.2
3,460.1
3,822.8
3,659.4
3,679.1
3,759.9
3,553.7
3,786.5
3,719.4
3,787.2
3,670.2
3,957.0r
3,552.6

NOW/ATS*
accounts
215.1
220.1
223.6
226.3
230.3
233.6
236.4
240.1
241.7
246.5
251.4
253.4
253.3r
260.2
NOW/ATS*
accounts
178
16.4
15.5
16.9
15.9
15.7
15.9
14.8
15.7
15 1
15.1
14.5
15.6r
13.7

For Immediate Release
July 17, 1992
To savings deposits

To MMDA

2,969.0
2,908.6
2,631.7
2,882.8
2,645.7
n.a
n.a
n.a
n.a
n.a
n.a
n.a
n.a
n.a

3
MMDA

390.1
396.8
401.3
404.3
406.5
n.a
n.a
n.a
n.a
n.a
n.a
n.a
n.a
n.a
J

MMDA

577.1
548.6
519.9
552.6
516.7
2,904.0
2,733.0
3,233.1
3,296.1
3,089.7
3,142.5
3,361.0
3,356.5r
3,241.4

4

Savings deposits

208.2
210.9
214.9
217.2
220.4
615.5
621.7
641.9
653.0
655.5
673.5
689.7
708.9r
737.6

7.6
7.3
6.6
7.1
6.5
n.a
n.a
n.a
n.a
n.a
n.a
n.a
n.a
n.a

Money Market Deposit Accounts.

Note•'" HisloncaMata^are a t S T n ^ e s i from Banking and Money Market Statistics Section, Division of Monetary Affairs, Board of Governors of the Federal
n.a.

Reserve System, Washington, D.C. 20551.
not available
r revised




7

Savings deposits

2.8
2.6
2.4
2.5
2.3
4.7
4.4
5.0
5.0
4.7
4.7
4.9
4.7r
4.4

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

For Immediate Release

July 17, 1992

i
To demand deposits
all banks
1991 -April
-May
-June
-July
-August
-September
October
-November
December
1992-January
-February
-March
-April
-May

292,360.3
289,898.2
268,188.9
283,997.6
286,956.8
271,983.5
296,037.8
267,995.2
301,642.6
306,706.9
276,158.6
313,513.5
314,388.6r
290,950.2

other banks

New York City
145,700.2
145,073.9
133,851.7
139,527.4
146,342.8
137.659.5
149,704.6
136,592.8
153,462.8
158,932.3
143,476.0
168,122.2
164,994.4r
153,163.7

To NOW/ATS'
accounts

146,660.1
144,824.3
134,337.2
144,470.2
140,614.0
134,324.0
146,333.2
131,402.4
148,179.8
147,774.6
132,682.6
145,391.3
149,394.3r
137,786.5

3,967.1
3,549.9
3.446.1
3,729.0
3.693.2
3,679.4
3,770.6
3,314.0
3.841.0
4,130.2
3.450.5
3,747.2
4,104.5r
3.515.5

T
To MMDA

4
To savings deposits

2,9945
2,978.6
2,714.5
2,868.0
2,751.7
n.a
n.a
n.a
n.a
n.a
n.a
n.a
n.a
n.a

623.9
545.5
516.4
558.2
537.0
3.110.7
3,132.6
2,939.5
3,331.1
3.364.7
2,872.0
3.363.7
3,459.2r
3,031 2

Average Deposits Outstanding (Billions of dollars)
NOW/ATS^
accounts

Demand deposits
all banks

1991 -April
-May
-June
-July
-August
-September
-October
-November
-December
1992-January
-February
-March
-Apnl
-May

340.5
333.5
345.6
344.1
340.3
344.2
344.8
356.5
366.2
360.2
354.8
357.0
370.2r
370.3

Savings deposits

MMDA

other banks

New York City

31.9
30.6
32.2
32.2
30.7
32.0
31.3
33.6
34.4
34.3
327
31.7
32.7r
33.7

222.6
217.3
221.8
222.9
226.9
231.0
233.0
239.2
245.1
251.7
251.5
255.0
262.2r
256.8

308.6
303.0
313.4
311.9
309.6
312.2
313.5
322.9
331.8
325.8
322.1
325.3
37 4r
036.6

208.8

390.1
392.0
398.1
401.1
405.4
n.a
n.a
n.a
n.a
n.a
n.a
n.a
n.a
n.a

211.1

#

215.7
218
221.
629.6
637.8
648.4
654.5
665.5
678.6
690.8
700.4r
702.4

Annual Rate of Deposit Turnover
Demand deposits
all banks

1991 -April
-May
-June
July
-August
-September
October
-November
December
1992-January
-February
-March
April
-May
1/
2/
3/

858.6
869.3
776.0
825.3
843.2
790.2
858.6
751.7
823.7
851.5
778.4
878.2
849.3r
785.8

1

New York City

4.565.4
4.742.5
4,154.4
4.334.6
4.771.4
4.305.8
4.775.5
4,059.4
4,461.1
4.633.6
4,387.6
5.308.9
5,042.4r
4,551.3

NOW/ATS^
accounts

Savings deposits

MMDA

other banks

475.2
478.0
428.6
463.2
454.2
430.2
466.8
406.9
445.1
453.6
412.0
446.9
442.7r
409.3

17.8
16.3
15.5
16.7
16.3
15.9
16.2
13.9
15.7
16.4
13.7
14.7
15.7r
13.7

7.7
7.6
6.8
7.2
6.8

n.a
n.a
n.a
n.a
n.a
n.a
n.a
n.a
n.a

Represents accounts of individuals, partnerships, and corporations and of states and political subdivisions.
Negotiable Order of Withdrawal accounts and accounts authorized for Automatic Transfer to Demand Deposits.
Money Market Deposit Accounts.

Notei^Hi^ont^dam^tfeavatebteon^equest from Banking and Money Market Statistics Section, Division of Monetary Affairs. Board of Governors of the Federal
Reserve System, Washington. D.C. 20551.
n.a. not available
r revised




3.0
2.6

2.4
2.5
2.4
4.9
4.9
4.5
5.1
5.1
4.2
4.9
4 9r
43