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FEBSRAL RESERVE statistical release as For Immediate Release Table 1 AGGREGATE RESERVES OF DEPOSITORY INSTITUTIONS AND MONETARY BASE Adjusted for changes in reserve requirements 1 Averages of daily figures Reserves of depository institutions total 2 | non borrowed required Period millions of dollars seasonal l\/ adjusted Monetary base3 billions of dollars APRIL 2 5 , Reserves of depository institutions total2 required non borrowed millions of dollars not seasona ly adjusted 1983 Monetary base3 billions of dollars 1982—MAR. APR. HAY JUNE JULY AUG. SEPT. OCT. NOV. DEC. 38,356 38,433 38,504 38,575 38,523 38,804 39,566 39,875 40,458 40,891 36,801 36,865 37,387 37,370 37,832 38,289 38,632 39,398 39,837 40,257 37,994 38,160 38,145 38,266 38,210 38,492 39,182 39,471 40,056 40,391 165.3 166.4 167.7 168.6 169.1 170.2 171.8 172.9 174.0 175.2 37,799 38,330 38,189 38,069 38,434 38,512 39,353 39,997 40,679 41,572 36,244 36,762 37,071 36,864 37,743 37,996 38,420 39,519 40,058 40,938 37,437 38,057 37,830 37,761 38,120 38,199 38,969 39,592 40,277 41,072 163.3 165.6 167. 1 168.2 170.0 170.4 171.4 172.9 175.1 178.4 1983—JAN. FEB. MAR. P 40,955 40,462 40,724 40,425 39,880 39,932 40,408 40,037 40,304 177.1 177.6 179.3 42,253 40,229 40,156 41,723 39,647 39,364 41,706 39,804 39,737 177.3 175.4 177.0 40,811 40,367 40,501 41,010 40,934 40,101 39,741 39,611 40,369 40,038 40,292 39,899 40,110 40,701 40,496 178.5 178.5 178.9 179.7 180.1 40,292 39,548 40,005 40,497 40,519 39,582 38,922 39,115 39,856 39,623 39,773 39,080 39,614 4 0 , 188 40,081 175.2 176.9 177.2 177.2 177.0 4 1,127 40,490 41.415 39,360 39,905 40,750 40,399 39,955 41,249 179.9 179.4 180.8 40,283 39,969 41,754 38.516 39,384 41,089 39,555 39,434 41,588 179.3 179.3 180.4 WEEK ENDING: 1983—MAR. APR. 1/ 2/ 3/ 2 9 16 23 30 6 P 13 P 20 P I RESERVE AGGREGATES INCLUDE REQUIRED RESERVES OF MEMBER BANKS AND EDGE ACT CORPORATIONS AND CTHER DEPOSITORY INSTITUTIONS. DISCONTINUITIES ASSOCIATED WITH THE IMPLEMENTATION OF THE MONETARY CONTROL ACT, THE INCLUSION OF EDGE ACT CORPORATION RESERVES, AND OTHER CHANGES IN REGULATION D HAVE BEEN REMOVED. RESERVE BALANCES NITH FEDERAL RESERVE BANKS (WHICH EXCLUDE REQUIRED CLEARING BALANCES) PLUS VAULT CASH AT INSTITUTIONS NITH REQUIRED RESERVE BALANCES PLUS VAULT CASH EQUAL TO REQUIRED RESERVES AT OTHER INSTITUTIONS. INCLUDES RESERVE BALANCES AND REQUIRED CLEARING BALANCES AT FEDERAL RESERVE BANKS IN THE CURRENT WEEK PLUS VAULT CASH HELD TWO WEEKS EARLIER USED TO SATISFY RESERVE REQUIREMENTS AT ALL DEPOSITORY INSTITUTIONS PLUS CURRENCY OUTSIDE THE U.S. TREASURY, FEDERAL RESERVE BANKS, THE VAULTS OF DEPOSITORY INSTITUTIONS, AND SURPLUS VAULT CASH AT DEPOSITCRY INSTITUTIONS- NOTE: HISTORICAL DATA ARE AVAILABLE FROM THE BANKING SECTION, DIVISION OF RESEARCH AND STATISTICS, BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM, WASHINGTON, D-C 20551. H.3 Table 2 AGGREGATE RESERVES OF DEPOSITORY INSTITUTIONS Not adjusted for changes in reserve requirements Average of daily figures, not seasonally adjusted Reserves of depository institutions1 Period total 2 nonborrowed required Monetary base3 millions of dollars 1982—MAB. APB. HAY JUNE JULY AOG. SEPTOCT. NOV. DEC. 39,235 39,557 39,550 39,565 39,967 40,178 39.962 40,587 41,199 41,853 37,680 37,989 38,433 38,360 39,275 39.662 39.028 40,109 40,578 41,219 38,873 39,284 39,191 39,257 39,653 39,866 39,578 40,182 40,797 41,353 165.4 167.6 169.2 170-4 172.3 172.8 172.3 173.8 176.0 179.3 1983—JAN. FEE. NAB. 41,862 39,787 38,022 41,333 39,205 37,230 41,316 39,362 37,602 177.9 176.0 175.9 2 9 16 23 30 39,827 37,341 37,760 38,205 38,263 39,117 36,715 36,870 37,564 37,367 39,308 36,873 37,369 37,896 37,825 175.8 175.7 176.0 176.0 175.9 6 P 13 P 20 P 38,045 37.715 39,339 36,278 37,130 38,674 37,317 37,180 39,173 178.1 178.2 179.1 KEEK P ENDING: 1 9 8 3 — MAB. APB. 1/ BESEBVES OF DEPOSITORY INSTITUTIONS SEBIES BEFLECT ACTUAL BESEBVE BEQOIBEMENT PEBCENTAGBS NITH NO ADJUSTMENTS TO ELIMINATE THE EFFECT OF CHANGES IN REGULATION D, INCLUDING CHANGES ASSOCIATED BITH THE IflPLEHENI i I I O o ^ L T H E M C M E T * H Y CONTBOI ACT. INCLUDES BEQUIBED BESEBVES OF HBHBEB BAKKS AND EDGE ACT CORPOBATIONS AND, BEGINNING NOVEMBER 13, 1980, OTHEB DEPOSITOBI INSTITUTIONS. UNDEfi THE TRANSITIONAL PHASE-IN PROGRAM 1ATED SEDUCTION OF $800 BILLION; AND MAECH 3, 1983,'"AN"ESTIHiTBD~HE^ ™l^TX™Jll ] ? f h , R E S ? ! V L * G ^ ? ^ T ? ! HAVE BEEN BEDUCED BY SHIFTS OF RESERVABLE LIABILITIES TO INTEBNATIONAL 2/ T V !ue!R!E B A L A N C E S y i T H "DEBAL BESEBVE BANKS (WHICH EXCLUDED BEQUIBED CLEARING BALANCES) PLUS VAULT CASH AT r ^ n ^ L " ? H E Q ° I B E D B E S E B V E BALANCES PLUS VAULT CASH EQUAL TO BEQUIBED RESERVES' AT OTHER INSTITUTIONS ^ n ^ D ^ c S E ^ f n V A L A M C E S A N D B E Q U I B E D CLEABING BALANCES AT FEDEBAL BESEBVE BANKS IN THE CUBRENT WEEK PLUS ^ o i L ^ A S H H E L ° T H ° M B E K S E A B L I E B U S E D T 0 SATISFY RESERVE REQUIREMENTS AT ALL DEPOSITORY INSTITUTIONS p£us