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FEDERAL RESERVE statistical release
For Immediate Release

G.6 (406)

November 10, 1980

DEBITS AND D E P O S I T T U R N O V E R AT C O M M E R C I A L B A N K S
Debits During the Month (Annual rate, billions of dollars)

T o savings d e p o s i t s 2 ( N S A ) by t y p e of customer

To demand deposits^ (SA)

others5

business 4

ATS/NOW3

total
709.7
889.7

538,8
685.8
624.2
597.8
704. 6

77.5
90.8
81.9
84.5
91.8
79.3
84.8

93.4
113. 1
106.0
103.9
142.0
118.0
125.4
167.7
137.8
158.7
161.6
145.2
175.0

33,379.6
33,498.0
32,450.1
33,317.7
35,141.8
36,386.3
36,320.3
34,084.2
35,846.4
36,785.7
37,549.8
38,680.3
39,008.0

21,119.0
19,679.6
19,224.3
20,500.6
23,679.3
23,035.7
22,936.8
23,792.6
25,508.0
24,788.9
25,538.8
26,705.7
26,103.5

54,498.6
53,177.6
51,674.4
53,818.3
58,821.0
59,422.0
59,257. 1
57,876.9
61,354.5
61,574.7
63,088.5
65,385.9
65,111.5

1979-SEPTEMEER
OCTOBER
NOVEMBER
DECEMBER
1980-JANUARY
FEBRUARY
MARCH
APRIL
MAY
JUNE
JULY
AUGUST
SEPTEMBER

other banks

New York City

all banks

812. 1
786.2
938.4
813.9
889.2
975.2

616, 6

679.0
720.7
604.8
587.5
633.7
631.1
719.2

86.8
79.0

80.2
85. 1
84.9
91.4

821.6
826.4
880.4

861.2
985.6

Average Deposits Outstanding (Billions of dollars)
Savings d e p o s i t s 2 ( N S A ) by t y p e of customer

Demand deposits^(SA)
N e w York City

all banks

11.2

12.3
12.4
12.5
12.7
13.2
13.3
13.7
13.8
13.9
15.5
16.7
17.6

280.2
265.5
273.2
275.2
279.5
287. 1
290.2

others5

bysiness4

ATS/NOW3

283.5
282.3
281.3
281.3
279.7
281.4

29.7
30.8
29.9
30.0
31.0
31.1
31.1
29.5
29.3
30.3
30.2
31. 1
31.9

313.1
313. 1
311.2
311.2
310.7
312.5
311.3
295.1
302.5
305.5
309.7
318. 2
322. 1

1979-SEPTEMBER
OCTOBER
NOVEMBER
DECEMBER
1980-JANUARY
FEBRUARY
MARCH
APRIL
MAY
JUNE
JULY
AUGUST
SEPTEMBER

other banks

216.6

193. 1
190.0
183.7
181.9
180.8
177. 6
174. 4
170. 0
167. 6
171.5
177.0
179.7
180. 5

10.8
10.5
10.2
9.8
9.5
9.0
8,5

8.8
9.3

10.0
10.7
10.7

18.6

total

213.3
206.7
204.7
203.8
200.5
197.1
192.3
190.3
196.3
203.7

208.0
209.8

Annual Rate of Deposit Turnover
Savings deposits^(NSA) by t y p e of customer

Demand deposits^ (SA)

1/

REPRESENTS

%

accounts

ACCOUNTS O F

INDIVIDUALS,

PARTNERSHIPS,

business 4

ATS/NOW3

8.2
10.7

8.8

9.1

12. 1

10.2

9.9

8.9

9.7

8.5
7.9
8.5

10.2
9.4

AND O F

STATES

AND P O L I T I C A L

A

^

™

total

2.8

3.3
4.2
3.9
3.8
4.6
4. 1
4.5
5. 1
4.3
4.2
4.3
4. 1
4.7

3.6
3.4
3.3
3.9
3.5
3.9
4. 2
3.6
3.4
3. 6
3.5
4. 0

8.6

8.2

AND C O R P O R A T I O N S

others5

6.9
8.4
7.8
8.3
9.4
8.3
9.4

7.6
9. 1
8,5

117.8
118.7
11 5 . 3
118.5
125.6
129.3
129.6
128.4
131.2
133.7
134.4
134.7
134.4

711.5
639. 1
643.0
684.0
763.4
741.2
738.0
805.9
871.8
617.1
844.5
859.6
818.5

174.0
169.9
166.0
172.9
189.3
190.2
190.4
196.2
202.9
201.5
203.7
205.5
202. 1

1979-SEPTEMBER
OCTOBER
NOVEMBER
DECEMBER
1980-JANUARY
FEBRUARY
MARCH
APRIL
MAY
JUNE
JULY
AUGUST
SEPTEMBER

other banks

N e w York City

all banks

SUBDIVISIONS.

A O , C « I C

T 0

~ wmmmmmmmMMMS

5/

C

AVINGS

ACCOUNTS




OTHER

THAN

NCW;

BUSINESS;

AND,

FROM

DECEMBER

1978,

ATS.