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FEDERAL RESERVE statistical release
For Immediate R e l e a s e

G.6

DEBITS AND DEPOSIT TURNOVER AT COMMERCIAL BANKS

September

19,

1990

Seasonally Adjusted
Debits D u r i n g t h e M o n t h ( A n n u a l rate, billions of dollars)
To A T S / N O W accounts2

To demand deposits1
N e w York City

all b a n k s

129,166.6
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
131.042.7
130,590.7

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
301,578.2
301,589.9

1 9 8 9 - J UNE
-JULY
-AUGUST
-SEPTEMBER
-OCTOBER
-NOVEMBER
-DECEMBER
1 9 9 0 - J AHUARY
-FEBRUARY
-MARCH
-APRIL
-MAY
-JUNE
-JULY

To savings deposits^

other banks
640.0
580.4
650.0
672.3
665.4
610.3
615.8
609.2
587.3
617.6
583.1
601.3
566.6
608. 8

3,696.5
3.596.3
3.943.1
3 , 6 0 1. 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
4,004.2
4.163.7

154.962.7
161,461.9
171,068.3
156.225.3
155,3 85.9
166,328.5
148.393.1
162.680.5
167.418.8
152.641.2
149.415.4
149.871.6
170.535.5
170,999.2

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 ( B i l l i o n s of d o l l a r s )
ATS/NOW accounts2

Demand deposits 1
N e w York City

all b a n k s

other banks

36.0
35.7
35.7
36.0
39.6
37.3
36.8
36.2
35.9
35.2
35.2
34.3
35.0
34.0

344.8
350.7
347.4
350.8
355.1
346. 8
351. 1
349.3
351.7
350.6
351.4
345.0
348.1
348. 5

1989-JUNE
- J ULY
-AUGUST
-SEPTEMBER
-OCTOBER
-NOVEMBER
-DECEMBER
1990-JANUARY
-FEBRUARY
-MARCH
-APRIL
-MAY
-JUNE
-JULY

Savings deposits^

179.0

187. 1
188. 7
191. 1
191.9
194. 4
195.9
197. 6
197.6
199. 9

308.8
315.0
311.7
314.9
315.5
309.6
314.3
313. 1
315.8
315.3
316.2
310.6
313. 1
314.4

180.2
181.0
181.5
182.3
183.2
184.9

186.6
189.3
191.5
191. 4
190.7
192.8
193.9

201.6
z03.
20 2.
205.
203.

1
7
0
2

A n n u a l R a t e of D e p o s i t T u r n o v e r
ATS/NOW accounts2

Demand deposits
N e w York City

all b a n k s

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
3,742.8
3,838.3

824.0
788.4
841.8
802. 2
826.4
855.7
797. 7
820.0
851.4
813.3
780.8
791.9
866.2
865. 5

1989-JUNE
-JULY
-AUGUST
-SEPTEMBER
-OCTOBER
-NOVEMBER
-DECEMBER
1990-JANUARY
-FEBRUARY
-MARCH
-APRIL
-MAY
-JUNE
- J ULY

Savings deposits^

other banks

3.b
3.2
3.6
3.7
3.6
3. 3
3.3
3.3
3. 1
3.2
3..0
3. 2
2.9
3.1

19.8
19. 1
20. 6

501. 8
512.6
548.8
496.2
492. 5
537.3
472. 1
519. 5
530. 1
4 84. 0
472.5
482.5
544.6
543.8

18.8
20. 1
19.
18.
19.
20.

7
9
8
b

19.
20.
19.
20.

7
5
5
5

20. 2

zWSemmmmmsmmmxzsz.
1/

-

BEPBESENtS

FEDERAL

ACCOUNTS

RESERVE




OF

INDIVIDUALS.

SYSTEM,

PARTNERSHIPS.

WASHINGTON,

J.C.

20551.

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

AND O F S T A T E S

AND

POLITICAL

-

•^OfGgW.

FEDERAL RESERVE statistical release

[[[[
* * * f^AL Rt^> \ »

G.6

For I m m e d i a t e R e l e a s e

DEBITS AND DEPOSIT TURNOVER AT COMMERCIAL BANKS

September

Not S e a s o n a l l y A d j u s t e d

19,

1990

D e b i t s D u r i n g t h e M o n t h ( A n n u a l rate, billions of dollars)
To A T S / N O W
accounts 2

To demand deposits 1
all b a n k s

1 9 8 9 - J ONE
-JULY
-AUG UST
-SEPTEMBER
-OCTOBER
-NOVEMBER
-DECEMBER
1990-JANUARY
-FEBRUARY
-MARCH
-APRIL
-MAY
-JUNE
-JULY

295,522.8
268,243.0
304.407.5
266,882.2
292,750.0
285, 372.8
283.603.3
303,668.0
2 70,852.7
291.868.6
276,077.5
2 82,747.7
302.181.4
302,826.4

N e w York City

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
171.848.6
172,726.3

134.020.7
1 17,276.1
132.158.8
115.187.4
1 38,964. 6
129.905.5
129,690.0
131.796.0
1 19,305. 2
137,029.5
125,750. 6
125,532.4
130,332.7
130.100.1

To M M D A 3

To savings d e p o s i t s 4

other banks

3,770.6
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
4,098.2
4.108.9

3.136.0
2,t>86.7
3,0 66. 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
2,992.1
3,033.8

641.4
610.4
656. 7
665.2
690.4
555. 9
630. 1
629.3
518.7
594.2
646. 8
592.6
567. 8
640.3

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

1 9 8 9 - J UNE
-JULY
-AUGUST
-SEPTEMBER
-OCTOBER
-NOV EMBER
-DECEMBER
1990-JANUARY
-FEBRUARY
-MARCH
-APRIL
-MAY
-JUNE
- J ULY

345.4
352.4
341. 5
349.7
352. 9
349. 9
368.7
358. 1
342. 1
343. 2
351.9
338.7
348.7
350.2

N e w Y o r k City

310. 1
316.3
307.7
314. 6
314.2
313.3
328.8
319.8
306. 1
307.5
316.7
305.7
314.4
315.7

35.3
36. 1
33.8
35. 1
38.7
36.6
39.9
38. 4
36. 0
35.7
35.3
33. 1
34. 3
34.4

MMDA3

Savings deposits4

other banks

185. 8
187. 4
188.5
190. 1
191.6
194.9

200. 1
202.3
199.4
202.0
209. 1
200.4
204.2
201. 8

324.6
328.2
3 3 3.2
335.6
339.5
347. 5
352. 1
353. 1
354.3
357.6
359. 1
357.8
363. 0
365.3

179. 7

180.8
180.3
179.8

181.8
184.9
185.6
187.0
188. 3
190.7
191.6
191.2
193.5
194.6

A n n u a l Rate of D e p o s i t T u r n o v e r
ATS/NOW
accounts2

Demand deposits1
all b a n k s

1 9 8 9 - J UNE
-JULY
-AUGUST
-SEPTEMBER
-OCTOBER
-NOV EMBER
-DECEMBER
1990-JANUARY
-FEBRUARY
-MARCH
-APRIL
-MAY
- J UNE
-JULY

1/
2/
3/
4/

855.6
761.3
891.5
763. 1
829.6
815.6
769. 3
847.9
791.8
8 50. 4
784.4
834.7
866.5
864. 8

N e w Y o r k City

3,795.0
3.247.5
3.911.6
3.279.7
3.594.8
3.548.5
3.250.4
J,433.3
3.314.9
3.836.2
3.564.6
3.796.3
3,797.6
3.777.5

MMDA3

520.9
477.U
5 59.9
482.2
489.4
496.3
468. 1
537.5
495.2
503.6
474.7
514.3
546. 6
547. 1

20. 3
18.9

20.0

19.5
20. 3
18.5
19.5

21. 1

9.7

8.2
9.2
7.6
7.8
7.4

8.2

18.7
20.0
20.5
20. 3

8.7
7.2
7. 6
7.9
8.4

20.4

8.3

20. 1

8. 2

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 O F S T A T E S AND P O L I T I C A L
SUBDIVISIONS.
ACCOUNTS A U T H O R I Z E D FOR N E G O T I A B L E ORDERS OF WITHDRAWAL (NOW) AND ACCOUNTS A U T H O R I Z E D FOR 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 A C C O U N T S , MMDA, AND S P E C I A L CLUB ACCOUNTS SUCH AS C H R I S T M A S AND VACATION C L U B S .

NOTE:

H i S T C n I C A L DATA FOR DEMAND D E P O S I T S ARE A V A I L A B L E BACK TO 19 70 E S T I M A T E D I N PART FROM 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 J U N E 1 9 7 7 . H I S T O R I C A L DATA FOR ATS/NOW AND
S A V I N G S D E P O S I T S ARE A V A I L A B L E BACK TO J U L Y 1 9 7 7 . BACK DATA ARE A V A I L A B L E ON REQUEST FROM BANKING
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
F E D t R A L R E S E R V E S Y S T E M , WASHINGTON, D . C . 2 0 5 5 1 .




Savings d e p o s i t s 4

other banks

AND MONEY

3. 6
3.4
3.6
3. 7
3. 8
3.0
3.4
3.4

2.8

3. 1
3.4
3. 1
2.9
3.3