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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.