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F E D E R A L R E S E R V E statistical release DEBITS AND DEPOSIT TURNOVER AT COMMERCIAL BANKS FEDERAL RESERVE Statistical Release G.6 (406) For Immediate Release July 9, 1980 Debits During The Month (Annual Rate, Billions Of Dollars) To Demand Deposits U (SA) All Banks 1 9 7 9-MAY JUNE JULY AUGUST SEPTEMBER OCTOBER NOVEMBER DECEMBER 1980-JANUARY FEBRUARY MARCH APRIL MAY New York City 47,820.0 50,556.3 51,825.1 52,590.7 54,318.3 53,454.7 51,853.9 53,967.2 59,086.2 59,948.9 58,795.9 57,837.6 61,448.2 To Savings Deposits 21 (NSA) By Type Of Customer Other Banks 17,212.7 19,749.5 19,989.2 20,360.3 21,118. 1 19,681.7 19,223.2 20,498.1 23,678.0 23,636.7 22,417.8 23, 792.5 25,508.8 30,607.3 30,806.7 31,835.8 32,230.4 33,200.2 33,772.9 32,630.8 33,469.1 35,408.2 36,312.2 36,378.0 34,045.0 35,939.4 Total Business 2 / 72 5 . 4 653. 9 717. 4 725.2 655. 9 823.9 750.6 724. 3 856.2 760.4 826. 8 88 8 . 6 746. 5 74. 1 76.0 78.5 81.9 78.2 95. 0 85. 3 88. 1 92. 8 79.4 85.5 87.0 79.0 Other 651.3 577. 9 638.8 643.3 577. 8 728.9 665.3 636. 2 763.4 681.0 741.4 801. 6 667. 5 Average Deposits Outstanding (Billions Of Dollars) Demand Deposits 1 / (SA) All Banks 1979-MAY JUNE JULY AUGUST SEPTEMBER OCTOBER NOVEMBER DECE MB ER 1980-JANUARY FEBRUARY MARCH APRIL MAY New York City 300.2 305.1 306.9 306.6 313.8 314.0 312.7 313.0 312.4 312.3 311.2 294.8 302.3 27.4 28.8 28.5 28.7 29.7 30.8 29.9 30.0 31.0 31.1 31. 1 29.5 29.3 Savings Deposits 2 / (NSA) By Type Of Customer Other Banks 272.8 276.3 278.4 277.9 284.1 283.2 282.8 283.1 281.4 281.3 280.2 265.3 273. 1 Total Business 2 / 211.8 212.9 214. 7 213.8 211.9 208. 5 202. 1 200. 2 199.5 196.7 192. 7 188.6 184. 8 10.7 10. 7 10.8 11.2 11.4 11.3 10.9 10.5 9.9 9.6 9.1 8.6 8.8 Other 201. 1 202.2 203. 9 202. 6 200. 5 197.3 191. 1 189.7 189.6 187. 1 183.7 179.9 176. 0 Annual Rate Of Deposit Turnover Demand Deposits 1 / (SA) All Banks 1979-MAY JUNE JULY AUGUST SEPTEMBER OCTOBER NOVEMBER DECEMBER 1980-JANUARY FEBRUARY MARCH APRIL MAY 159.3 165.7 168. 8 171.5 173. 1 170.2 165.8 172.4 189.1 191.9 188.9 196.2 203.3 1/ 2/ 3/ New York City 628.3 685.6 700.5 708.9 71 1 . 4 639.1 643.0 684.0 763.4 76 0 . 6 721.3 805.9 871.8 Savings Deposits 2J (NSA) By Type Of Customer Other Banks 112.2 111.5 114.3 116.0 116.9 119.2 115.4 118. 2 125.8 129.1 129.8 128.3 131.6 Total Business 2 / 3.4 3. 1 3. 3 3.4 3. 1 4.0 3. 7 3.6 4.3 3.9 4.3 4. 7 4.0 6. 9 7. 1 7. 3 7.3 6.9 8.4 7. 8 8.4 9.3 8.2 9.4 10. 1 8.9 Other 3.2 2.9 3. 1 3. 2 2.9 3.7 3.5 3.4 4. 0 3.6 4. 0 4. 5 3.8 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 C O R P O R A T I O N S AND OF S T A T E S AND POLITICAL SUBDIVISIONS. E X C L U D E S NOW ACCOUNTS AND S P E C I A L CLUB A C C O U N T S , SUCH AS C H R I S T M A S AND VACATION C L U B S . R E P R E S E N T S C O R P O R A T I O N S AND OTHER P R O F I T - S E E K I N G O R G A N I Z A T I O N S (EXCLUDING COMMERCIAL BANKS BUT I N C L U D I N G S A V I N G S AND LOAN A S S O C I A T I O N S , MUTUAL S A V I N G S B A N K S , C R E D I T U N I O N S , THE E X P O R T - I M P O R T BANK, AND FEDERALLY SPONSORED L E N D I N G A G E N C I E S ) . NOTE: H I S T O R I C A L DATA FOR THE P E R I O D 1 9 7 0 THROUGH J U N E 1 9 7 7 HAVE BEEN E S T I M A T E D ; T H E S E E S T I M A T E S ARE BASED I N PART ON THE D E B I T S S E R I E S FOR 2 3 3 S M S A ' S , WHICH WERE A V A I L A B L E THROUGH JUNE 1 9 7 7 . BACK DATA ARE A V A I L A B L E FROM P U B L I C A T I O N S S E R V I C E S , D I V I S I O N OF A D M I N I S T R A T I V E S E R V I C E S , BOARD OF GOVERNORS OF THE FEDERAL RESERVE S Y S T E M , WASHINGTON, D . C . 20551. DEBITS AND TURNOVER DATA FOR S A V I N G S D E P O S I T S %RE NOT A V A I L A B L E P R I O R TO J U L Y 1 9 7 7 .