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FEDERAL RESERVE statistical release

[[

G.6

For Immediate R e l e a s e

DEBITS AND DEPOSIT TURNOVER AT COMMERCIAL B A N K S
Not S e a s o n a l l y A d j u s t e d

July

19,

1990

D e b i t s During t h e Month (Annual rate, billions of dollars)
To A T S / N O W
accounts 2

To d e m a n d d e p o s i t s 1
all b a n k s

19 8 9 - A P R I L
-MAY
-JUNE
-JULY
-AUGUST
-SEPTEMBER
- O CT O BE R
-NOVEMBER
-DECEMBER
1 9 9 0 - J A N UAR Y
-FEBRUARY
-MARCH
-APRIL
-MAY

N e w York City

238,265. b
274,861.8
295,522.8
268,243.0
304,407.5
266,882.2
292,750.0
285,372.8
283,603.3
303,668.0
270,852.7
291,868.6
276,077.5
282,747.7

105,461.7
121,507.2
134,020.7
117,276.1
132, 158.8
115,187.4
138,964.6
129,905.5
129,690.0
131,796.0
119,305.2
137,029.5
125,750.6
125,532.4

To M M D A 3

To s a v i n g s d e p o s i t s *

other banks
132,803.9
153,354.6
161,502. 1
150,966.9
172,248.7
151,694.7
153,785.5
155,467.3
153,913.3
171,872.0
151,547.5
154,839.2
150,326.9
157,215.3

3,205.2
3.325.2
3,770.8
3,549.0
3.762.6
3.702.7
3.891.4
3.611.5
3,904.0
4.263.7
3.721.3
4.030.4
4.285.8
4,066.2

2.700.2
2,910.5
3.136.0
2,686.7
3,066.7
2.554.3
2,651.5
2.569.1
2,880.5
3,075.9
2.551.2
2,714.9
2.848.4
3,016.4

649.6
637.9
641.4
610.4
656.7
665.2
690.4
555.9
6 30. 1
629.3
518.7
594.2
646.8
592.6

A v e r a g e D e p o s i t s O u t s t a n d i n g (Billions of dollars)
ATS/NOW
accounts2

Demand deposits 1
all b a n k s

19 8 9 - A P R I L
-MAY
-JUNE
-JULY
-AUGUST
-SEPTEMBER
-OCTOBER
-NOVEMBER
-DECEMBER
1 9 9 0 - J AN UARY
-FEBRUARY
-MARCH
-APRIL
-MAY

352.
341.
345.
352.
341.
349.
352.
349.
368.
358.
342.
343.
351.
338.

N e w Y o r k City

1
1
4
4
5
7
9
9
7
1
1
2
9
7

34.
34.
35.
36.
33.
35.
38.
36.
39.
38.
36.
35.
35.
33.

9
9
3
1
8
1
7
6
9
4
0
7
3
1

MMDA3

Savings d e p o s i t s 4

other banks

317.
306.
310.
316.
307.
314.
314.
313.
328.
319.
306.
307.
316.
305.

2
2
1
3
7
6
2
3
8
8
1
5
7
7

196.
185.
185.
187.
188.
190.
191.
194.
200.
202.
199.
202.
209.
200.

3
0
8
4
5
1
6
9
1
3
4
0
1
4

332. 3
323. 5
324. 6
328. 2
333. 2
335. 6
3 3 9 . ,5
347. 5
352. 1
353. 1
354. 3
357. 6
359. 1
357. a

1 8 3 .,1
1 8 0 ..4
17). 7
180.8
1 8 0 ., 3
179.8
1 8 1 .,8
1 8 4 .,9
185.6
187,,0
1 8 8 .. 3
1 9 0 ..7
191.6
191. 2

Annual R a t e of D e p o s i t Turnover
ATS/NOW
accounts2

Demand deposits1
all b a n k s

1989-APRIL
-MAI
-JUNE
-JULY
-AUGUST
-SEPTEMBER
-OCTOBER
-NOVEMBER
-DECEMBER
1 9 9 0 - J IN UAHY
-FEBRUARY
-MARCH
-APRIL
-MAY

1/
2/
3/
4/

676. 6
805.9
855.6
761.3
891.5
763. 1
829.6
815.6
769.3
847.9
791.8
850.4
784.4
834.7

N e w York City

3,017.6
3,482.5
3,795.0
3.247.5
3.911.6
3.279.7
3.594.8
3.548.5
3,250.4
3,433. 3
3.314.9
3.836.2
3.564.6
3.796.3

MMDA3

other banks

418.7
500.9
520.9
477.4
559.9
482.2
489.4
496.3
468. 1
537.5
495.2
503.6
474.7
514.3

16.3

18.0

20.3
18.9
20.0
19.5
20.3
18.5
19.5

21. 1

18.7
20.0
20.5
20.3

8. 1
9.0
9.7

8.2

9.2
7.6
7.8
7.4

8.2
8.7
7.2
7.6
7.9
8.4

R E P R E S E N T S ACCOUNTS OF I N D I V I D U A L S , P A R T N E R S H I P S , AND CORPORATIONS AND OF S T A T E S AND P O L I T I C A L
SUBDIVISIONS.
ACCOUNTS AUTHORIZED FOR N E G O T I A B L E ORDERS OF WITHDRAWAL I S O * ) AND ACCOUNTS AUTHORIZED FOB AUTOMATIC
TRANSFER TO DEMAND D E P O S I T S ( A T S ) . ATS DATA A V A I L A B I L I T Y S T A R T S WITH DECEMBER 1 9 7 8 .
MONEY MARKET D E P O S I T ACCOUNTS.
EXCLUDES ATS AND NOW ACCOUNTS, MMDA, AND S P E C I A L CLUB ACCOUNTS SUCH AS CHRISTMAS AND VACATION CLUBS.

NOTE:

H I S T O R I C A L DATA FOR DEMAND D E P O S I T S ARE AVAILABLE BACK TO 1 9 7 0 E S T I M A T E D I N PART PROM D E B I T S
S E R I E S FOR 2 3 3 S M S A ' S NHICH WERE AVAILABLE THROUGH J U N E 1 9 7 7 . H I S T O R I C A L DATA FOR ATS/NOW AND
SAVINGS D E P O S I T S ARE A V A I L A B L E BACK TO JULY 1 9 7 7 . BACK DATA ARE AVAILABLE ON REQUEST FROM BANKING AND MONEY
MARKET S T A T I S T I C S S E C T I O N , D I V I S I O N OF MONETARY A F F A I R S , BOARD OF GOVERNORS OF THE
FEDERAL RESERVE S Y S T E M , WASHINGTON, D . C . 2 0 5 5 1 .




Savings d e p o s i t s 4

3.5
3.5
3.6
3.4
3.6
3.7
3.8
3.0
3.4
3.4

2.8

3.1
3.4
3.1

FEDERAL RESERVE statistical release

[[[
"'•f^LRE^V

G.6

For Immediate R e l e a s e

DEBITS AND DEPOSIT T U R N O V E R AT C O M M E R C I A L B A N K S
Seasonally Adjusted

July

19,

1990

Debits During the Month (Annual rate, billions of dollars)
To A T S / N O W a c c o u n t s 2

To demand d e p o s i t s 1
all banks
1989—APRIL
-MAY
-JUNE
-JULY
-AUGUST
-SEPTEMBER
- 0 C T 0 3ER
-NOVEMBER
-DECEMBER
1990-JANUARY
-FEBRUARY
-MARCH
-APRIL
-MAY

245,230.1
266,468.1
284,129.2
276,453.7
292,446.5
281, 432.2
293,424.9
296,768.7
280,074.4
286, 425.2
299,450.2
285,111.5
274,403.6
273, 186.2

New York City
107,808.9
120,964.1
129,16b.6
114,991.8
121,378.1
125,206.9
138,039.0
130,440.2
131,681.3
123,744.6
132,031.4
132,470.3
124,988.2
123,314.6

To s a v i n g s d e p o s i t s ^

other banks
137,421.3
145,483.9
154,962.7
161,461.9
171,068.3
156,225.3
155,385.9
166,328.5
148,393.1
162,690.5
167,418.8
152,641.2
149,415.4
149,871.6

585.5
647.2
640.0
580.4
650. 0
672.3
665.4
610.3
615.8
609.2
587.3
617.6
583.1
601.3

2,986.4
3,406.5
3,696.5
3,596.3
3,943.1
3,601.9
3,911.9
3,855.2
3,727.5
3,910.4
4.115.7
4,075.7
3,993.3
4,165. 6

Average Deposits Outstanding (Billions of dollars)
ATS/NOW accounts2

Demand d e p o s i t s 1
all banks
19 8 9 - A P R I L
-MAY
-JUNE
-JULY
-AUGUST
-SEPTEMBER
-OCTOBER
-NOVEMBER
-DECEMBER
1990-JANUARY
-FEBRUARY
-MARCH
-APRIL
-MAY

351.6
347.4
344.8
350.7
347. 4
350.8
355. 1
346.8
351. 1
349.3
351.7
350.6
351.4
345.0

N e w York City
34.9
36.2
36.0
35.7
35.7
36.0
39.6
37.3
36.8
36.2
35.9
35.2
35.2
34.3

Savings d e p o s i t s ^

other banks
316.7
311.2
308.8
315.0
311.7
314.9
315.5
309.6
314.3
313. 1
315.8
315.3
316.2
310.6

183.0
179.9
179.0
180.2
181.0
181.5
182.3
183.2
184.9
186.6
189.3
191.5
191.4
190.7

190.7
187.2
187. 1
188.7
191. 1
191.9
194.4
195.9
197. 6
197.6
199.9
201.6
203.1
202. 7

Annual Rate of Deposit Turnover
Demand d e p o s i t s 1
all banks

9 89—APRIL
-MAY
-JUNE
-JULY
-AUGUST
-SEPTEMBER
-OCTOBER
-NOVEMBER
-DECEMBER
1990-JANUARY
-FEBRUARY
-M ARCH
-APRIL
-MAY

1/
2/
3/

697.5
767. 1
824.0
788.4
841.8
802.2
826.4
855.7
797.7
820.0
851.4
813.3
780.8
791.9

ATS/NOW accounts2

N e w York Ci*

3,092.2
3,342. 1
3,588.5
3,222.3
3,402.4
3,482.2
3,486.5
3,499.8
3,578.1
3,422.4
3,677.3
3,760.2
3,551.5
3,590.9

433.9
467.5
501.8
512.6
548. 8
496. 2
492.5
537.3
472.1
519.5
530.1
484.0
472.5
482.5

Savings d e p o s i t s 3

other banks

15.7
18.2
19.8
19. 1
20.6
18.8
20.1
19,7
18.9
19.8
20.6
20.2
19.7
20.5

REPRESENTS ACCOUNTS OF I N D I V I D U A L S , PARTNERSHIPS, AND CORPORATIONS AND OF S T A T E S AND POLITICAL
SUBDIVISIONS.
ACCOUNTS AUTHORIZED FOR NEGOTIABLE ORDERS OF WITHDRAWAL (MOW) AND ACCOUNTS A U T H O R I Z E D FOR A U T O M A T I C
TRANSFER TO DEMAND DEPOSITS ( A T S ) . ATS DATA AVAILABILITY S T A R T S WITH DECEMBER 1 9 7 8 .
EXCLUDES A T S AND NOW A C C O U N T S , !A I D A , A D S P E C I A L CLUB A C C O U N T S S U C H A S C H R I S T M A S AND V A C A T I O N C L U B S .

NOTE: HISTORICAL DATA Fui; DLHANi) D E P G S I I S ARE A V A I L A B L E BACK TO 1970 E S T I M A T E D I N P A R T FFOH D E B I T S
SERIES FOR 2 3 3 SMSA'S WHICH WERE AVAILABLE THROUGH J U N E 1 9 7 7 . HISTORICAL DATA FOR A T S / N O W AND
SAVINGS DEPOSITS ARE AVAILABLE BACK TO J U L Y 1 9 7 7 . BACK DATA ARB A V A I L A B L E ON R E Q U E S T FROM B A N K I N G AND MONEY
MARKET S T A T I S T I C S S E C T I O N , D I V I S I O N OF MONETARY A F F A I R S , BOARD O F G O V E R N O R S OF THE
FEDERAL RESERVE SYSTEM, WASHINGTON, D . C . 2 0 5 5 1 -




3.2
3.6
3.6
3.2
3.6
3.7
3.6
3.3
3.3
3.3
3.1
3.2
3.0
3.2