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F E D E R A L

R E S E R V E

statistical

release
Immediate Release

MJ

AGGREGATE RESERVES AND MEMBER BANK DEPOSITS
AWCBA/MT* Of
A* M
i l V FIGURES,
r 1/21 I M C IN
IM BILLIONS
A l l I l A M t OF
AC DOLLARS
fWM I A M
AVERAGES
DAILY

*''

SEASONALLY ADJUSTED
Mf M M * BANK RESERVES V

1

Requirtd

Total

Time and
Savings

34.07

513.0

341.9

34.31
34.14
34.29
34.59
34.68

514.2
515.6
520.0
5*4.9
529.6

Net
Interbank

Other

U.S.
Govt.

521.4
522.8
523.1
523.8
529.0
534.0
538.8

341.7
343.3
346.2
350.2
355.0

156.0
156.5
157.2
156.6
158.4
157.9
159.2

3.6
4.7
3.9
3.6
3.4
4.0

j

3.2

1

532.5
532.0
535.2
538.4
537.6
544^5

357.3
360.1
361.3
361.4
363.1
367.0

172.5
169.5
171.1
173.4
172.3
173.8

12.6
10.5
11.5
11.5
11.6
11.9

159.9
158.9
159.6
161.9
160.7
161.9

2.7
2.5
2.8
3.6

34.14

538.9

363.8

172.9

11.5

161 . 4

2.2

547.2

34.53
34.28
34.46
34.71
34.83

34.35
34.47
34.44
34.91
35.Ol

539.1
543.1
544.1
546.5
543.4

364.8
366.1
36*. 3
367.5
368.5

171.7
172.7
173.0
174.3
172.5

11.9
11.8
12.1
11.6
10.6

159.8
161 . 0
1*0.9
162.7
161 . 9

2.6
4.3
4.8
4.6
2.4

546.6
551.0
554.1
555.9
551.8

35.48
34.99
35.06

35.25
34.6*
35.16

546.9
545.5
551.3

369.1
369.1
368.8

176.0
173.8
178.7

11.8
11.0
12.3

164.2
162.8
166.4

1.6
2.6
3.8

34.41
34.27
34.41
34.78
34.90

34.78
34.40
34.31
34.68
34.72
34.86

34.71
34.33
34.20
34.61
34.52
34.60

34.51
34.20
34.09
34.49
34.51
34.71

25

34.28

33.97

1
8
15
22
29

34.76
| 34.51
i 34.69
34.98
35.16
35.74
35.15
35.47

1
1

2.1
3.7

540.6
539.5
542.9
546.1
5*5.4
552.9

I
j

WEEK E N D I N G :

1977—MAY
JUNE

JULY

6
13 P
20 P




r

SEE Rl 5VERSE

SIDE FOR

EXPLAM nOTTTJrTo lllNOltU

1977

Total Member
Bank Deposits
Plus Nondeposit
Items

11.5
11.4
11.4
11.9
12.0
12.8
12.3

34.51
34.34
34.51
34.85
34.95

1977—JAN.
FEB.
MAR.
APR.
HAY
JUNE P

Total

1,

i

167.5
167.9
168.6
168.7
170.4
170.7
171.4

34.16

AUG.
SEPT.
OCT.
NOV.
DEC.

m
"*«>.

Private Demand Deposits

Nonborrowed

34.29

197*—JUNE

f

DEPOSITS SUBJECT TO RESERVE REQUIREMENTS

P triad
Total

AUGUST

^

.
j

555.6
553.8
559.9

H.3

Page 2

MEMBER BANK DEPOSITS
AVERAGES OF DAILY FIGURES, IN BILLIONS OF DOLLARS
NOT SEASONALLY ADJUSTED
DEPOSITS SUBJECT TO RESERVE REQUIREMENTS
Period

Private Demand Deposits

Time and
Savings

Total

U.S. Govt.
Demand

Total Member
Bank Deposits
Plus Nondeposit
Items^/

Total

Net
Interbank

Other

522.5
534.8

342.5
343.7
342.7
344.1
346.7
347.6
353.6

166.7
167.7
165.9
167.2
169.5
171.9
177.9

11.3
11.6
11.3
12.0
11.9
13.1
13.0

155.4
136.1
134.5
155.2
157.6
156.7
164.9

3.0
3.3

521.2
522.7
520.2
523.1
5*7.9
531.5
544.0

537.7
528.7
534.0
541,3
535.8
344.5

357.0
358.4
361.7
362.3
364.7
367.8

177.8
167.2
169.1
175.0
168.5
173.0

13.3
1G.4
11.1
11.3
11.0
11.7

164.5
156.9
156.0
163.7
137.5
161.2

2.9
3.1
3.2
4.0
2.5
3.7

546.0
536.2
541.7
549.0
543.6
552.9

535.0

365.9

167.0

10.8

136.2

2.1

543.2

536.5
342.7
545.0
546.5
541 . 6

366.8
367.5
367.6
367.6
368.5

167.6
172.4
173.7
173.1
170.0

10.6
12.0
11.9
11.1
1C.3

157.0
160.3
161.8
161.9
159.7

2.1

344.0
550.5
553.0
55&.0
55U.1

369.0
36* . 0
366.9

177.3
176.8
178.6

12.4
12.2
12.3

164.9
164.6
166.3

1976—JUNE
JULY
AUG.
SEPT.

512.7
513.9
511.3
514.9

NOV.
DEC.
1977—JAN.
FEB.
HAR.
APR.
NAY
JUNE P

3.6
2.*
2.7
3.6
2.4

MEEK E N D I N G :
1977—MAY
JUNE

JULY

25
1
8
15
22
29

|
1

6
13 P
20 P

548.7
548.1
550.5

P -

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4.4

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537.4
55o.4
55*.i.

2.3
2*9

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