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.*£Mm.. FEDERAL RESERVE statistical release i RE** H.3(502) '•?., « Aggregate Reserves and Member Bank Depo AVERAGES OF DAILY FIGURES, IN BILLIONS OF DOLLARS AUG. yS 5- <#, 3*1979 S E A S O N A LLY ADJUSTED MEMBER BANK RESERVES jJ DEPOSITS SUBJECT TO RESERVE REQUIREMENTS Monetary Period Total Nonborrowed Base kl Required Private Demand Deposits Time and Savings Total Total 1 Net | Interbank Other U.$. Govt. Demand rmmmmm*mmm*^*WfyT*t 595.8 600.5 602.7 607.0 608.9 616.9 616.7 143.4 143.3 143.9 144.5 144.9 145.6 621.1 619.7 616.4 618.6 613.9 613.1 40.25 40.28 33.55 37.95 40.23 40.10 144.7 145.3 612.6 611.1 428.3 427.3 6 13 20 27 40.45 39.99 40.72 40.22 39.11 38.69 39.40 38.63 40.09 39.91 40.59 40.07 145.5 144.8 145.3 145.7 614.7 611.4 614.7 612.5 425.1 425.0 425.9 426.5 * 4 11 18 P j 25 P 41.14 39.98 41.05 41.06 39.46 39.04 39.87 39.76 40.49 40.02 40.76 41.02 146.9 145.7 147.1 147.3 617.6 619.7 618.5 617.5 428.4 428.4 428.8 429.7 i | i j j j 1 ! 175.6 173.8 171.1 174.8 173.7 175.9 1,9 1.8 i.S 1.8 1.7 8.9 9.3 173.4 172.6 2,0 W9 187.3 184.8 185.0 184.6 9.4 8.7 9.5 8.7 177.9 176.1 175.5 175.9 2.3 1.6 3.8 1.3 187.9 189.0 187.6 186.2 12.6 9.9 9.9 9.8 175.3 179.2 177.6 176.4 lT3 2.3 2.1 1.7 185.6 181.9 180.5 184.7 183.5 184.8 41.26 40.54 40.66 40.47 40.34 40.20 ; i i 10.0 8.1 9.4 9.9 9.8 8.9 433.5 436.1 434.1 432,0 428.7 425.9 40.48 39.78 39.82 39.73 38.72 39.00 1 37.45 37.92 37.77 38.02 38.22 39.53 41.04 3.8 3,6 3.3> 4.0 3.5 184.6 186.1 186.5 186.2 187.2 187.0 185.1 41.48 40.75 40.81 40.65 40.48 40.42 i ! 173.4 174.7 175.2 176.9 177.0 175.9 175-2 407,4 410.8 413.0 416.8 418.3 427.5 429.4 36.53 36.80 36.79 37.15 37.10 39.05 40.40 1979—JAN. FEB. MAR. APR. MAY JUNE WEEK 133.5 134.7 135.3 136.8 137.8 139.9 142.4 37.63 38.11 37.93 38.21 38.38 39.75 41.27 1978—JUNE JULY AUG. SEPT. OCT. NOV. DEC. 1 ! 11.2 11.4 11.2 9.3 10.2 11.1 9.8 ! | ! 2 >3 2.3 ENDING: 1979—MAY JUNE JULY 23 30 1 j I I ,1 SEE REVERS E S I D E FOR E X P L A N A T I O N ()F FOOTNOTES •"" •• 182.3 181.9 ——•^••J 1 ••^^•"•"W^"*^^"^* H.»(502) Page "2 Aggregate Reserves and Member Bank Deposits AVERAGES OF DAILY FIGURES, IN BILLIONS OF DOLLARS NOT SEASONALLY ADJUSTED MEMBER BANK RESERVES ±1 DEPOSITS SUBJECT TO RESERVE REQUIREMENTS Monetary Period Total Nonborrowed Required Private Demand Deposits Total Time and Savings U.S. Govt. Net Interbank Total Other Demarkt 1978—JUNE JULY AUG. SEPT. OCT. NOV. DEC. 37.30 38.25 37.57 37.81 38.38 39.65 41.68 36.21 36.93 36.43 36.75 37.10 38.94 40.81 37.13 38.05 37.40 37.61 38.22 39.42 41.45 133.5 135.7 135.2 136.2 137.5 140.5 144.6 596, 600. 599. 605. 608, 615, 624.0 408.6 411.1 412.8 416.6 418.5 425.2 429.6 183. 186, 183, 184, 186, 188, 191, li.i 11.5 ll.i 9„3 10.1 11.4 10.4 172.6 174.9 172.8 175.4 176 8 176.6 181.5 4.* 3.2 2,5 4,6 3.0 2.0 2.5 1979—JAN. FEB. MAR. APR. MAY JUNE 43.08 40.70 40.22 40.72 40.24 40.10 42.08 39.73 39.23 39.81 38.47 38.69 42.87 40.49 40.06 40.55 40.10 39.88 144.4 141.9 142.3 144.2 144.4 145.6 627.1 614.3 614.3 621.1 610.9 613.9 433.8 434.2 434.9 432.3 429.8 427.2. 191.5 178.2 177.5 186.8 179.2 183.9 10.6 7.9 9.1 9.7 9.2 8.9 180. 170, 168, 177, 170, 175 1.9 1.8 1.9 2.0 23 30 39.61 39.77 37.91 37.44 39.60 39.59 143.7 144.1 608.7 608.1 430.0 429.7 176,.5 176 .5 8.0 8.9 168.5 167.6 2.2 1.8 JUNE 6 13 20 27 39.67 39.33 40.60 40.18 38.33 38.03 39.28 38.60 39.31 39.25 40.47 40.03 145, 145. 146, 145, 615.8 613.0 617.6 609.6 427.3 426.8 426.4 427.3 186,.7 184 .9 184,.5 180 •7 9.4 8.6 9.7 8.2 177^2 176.3 174.8 172.5 '.I.*. 1.4 6.7 1.6 JULY 4 11 18 P 25 P 41.45 39.48 41.54 41.25 39.77 38.54 40.36 39.96 40.80 39.51 41.25 41.22 143, 147, 148, 147. 622. 622, 619, 614. 429.7 429.1 428.9 429.7 190 191 189 183 13.8 10.2 9.9 9.5 177.1 181.0 179.1 174.3 i.4 i.a 2.8 WEEK ENDING: 1979—MAY P 1/ ,8 .2 .0 .8 ± 2.0 1.7 1.4 PRELIMINARY MEMBER BANK RESERVES S E R I E S REFLECTS ACTUAL RESERVES REQUIREMENT PERCENTAGES WITH NO ADJUSTMENT TO E L I M I N A T E THE EFFECT, QF , ^ _ , * CHANGES I N REGULATION 0 AND M. EFFECTIVE NOVEMBER 2 , 1 9 7 8 , A SUPPLEMENTARY RESERVE REQUIREMENT OF 2 PERCENTAGE P 01 NTS WAS IMPOSED ON T I M E DEPOSITS OF $ 1 0 0 , 0 0 0 OR MORE. T H I S ACTION INCREASED REQUIRED RESERVES APPROXIMATELY $ 3 . 0 B I L L I O N I N THE WEEK B E G I N N I N G NOVEMBER 1 6 , 1 9 7 8 . 2/ INCLUDES TOTAL RESERVES (MEMBER BANK RESERVE BALANCES I N THE CURRENT WEEK PLUS VAULT CASH HELD TWO WEEKS E A R L I E R ) ; CURRENCY OUTSIDE THE U . S . TREASURY, FEDERAL RESERVE BANKS AND THE VAULTS OF COMMERCIAL BANKS; AND VAULT CASH OF NONMEMBER BANKS. NOTE: BACK DATA ARE AVAILABLE FROM THE BANKING S E C T I O N , O I V I S I O N OF RESEARCH AND S T A T I S T I C S , BOARD OF GOVERNORS 0 * T HE FEDERAL RESERVE SYSTEM, WASHINGTON, D . C . 2 0 5 5 1 . H.3 (502) Page 3 Aggregate Reserves and monetary Base ADJUSTED FOR CHANGES IN RESERVE REQUIREMENTS-1' AVERAGES OF DAILY FIGURES, IN MILLIONS OF DOLLARS mmammtmmmmmmmmaamammmmmmm,''-:i^jmm wammmmmtssmmmmmmmmmm SEASONALLY ADJUSTED MEMBER BANK RESERVES Pertod Total 1978—JUNE JULY AUG. SEPT. OCT. NOV. DEC. ^IJJIFBER Monetary Base Required BANK RESERVES Total Nonborrowed Required | Monetary Base 39,503 39,782 39,788 40,163 40,122 40,570 40,403 40,420 40*902 40,760 41,031 41,237 41,051 41,039 136,494 137,699 138,290 139,841 140,777 141,450 142,381 40,280 41,223 40,555 40,816 41,397 41,162 41,679 39,186 39,906 39,416 39,756 40,120 40,459 40,811 40,103 41,026 40,388 40,623 41,235 40,940 41,447 136,481 138,641 138,204 139,1B4 140,535 142,028 144,579 41,479 40,754 40,815 40,647 40,481 40,421 40,476 39,781 39,825 39,730 38,716 39,004 41,264 40,545 409657 40,471 40,340 40,201 143,400 143,345 143,893 144,486 144,862 145,596 43,080 40,704 40,218 40,725 40,238 40,105 42,078 39,731 39,227 39,808 38,473 38,687 42,866 40,495 40,060 40,549 40,097 39,884 144,429 141,866 142,337 144,190 144,437 145,614 23 30 40,250 40,280 38,547 37,953 40,233 40,097 144,723 145,272 39,614 39,772 37,911 37,445 39,597 3 9 , 5 89 143,673 144,067 JUNE 6 13 20 27 40,449 39,993 40,720 40,219 39,109 38,694 39,396 38,633 40,089 39,915 40,588 40,068 145,490 144,830 145,771 145,742 39,666 39,328 40,605 40,182 38,326 38,029 39,281 38,596 39,306 39,250 40,473 40,031 145,135 145,070 146,030 145,215 JULY 4 11 18 P 25 P 41,141 39,985 41,051 41,056 39,464 39,044 39,870 39,764 40,495 40,022 40,759 41,020 146,877 145,736 147,056 147,321 41,449 39,477 41,544 41,252 39,772 38,536 40,363 39,960 40,803 39,514 41,252 41,216 148,000 147,174 148,830 147,892 1 ! , j ENDING: 1979—MAY 1/ Nonborrowed NOT SEASONALLY ADJUSTED 40,597 41,099 40,928 41,223 41,399 41,274 41,271 1979—-JAN. FEB. MAR. APR. MAY JUNE WEEK r ^ | ! ADUSTED FOR BREAKS IN SERIES DUE TO CHANGES IN REGULATIONS D AND M. HISTORICAL DATA AND A DESCRIPTION OF THE ADJUSTMENT PROCEDURE ARE AVAILABLE FROM THE BANKING SECTION, DIVISION OF RESEARCH AND STATISTICS, BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM, WASHINGTON, D.Co 20551.