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F E D E R A L

twi

R E S E R V E

statistical

release

•?$&&?•

H.3

For Immediate Release

AGGREGATE RESERVES AND MEMBER BANK DEPOSITS

A*^

4, 1976

AVERAGES OF DAILY FIGURES, IN BILLIONS OF DOLLARS
SEASONALLY ADJUSTED
MEMBER BANK RESERVES V
Period

DEPOSITS SUBJECT TO RESERVE REQUIREMENTS

Nonborrowed

Required

34.82
35.27
1 35.50
35.52
35.81
35.96
36.14

34.56
34.95
34.44
34.89
34.50
35.10
35.57

34.67
35.00
35.30
35.31
35.60
35.71
35.95

543.4
547.2
550.5
553.0
558.5
564.4
569.1

366.3
368.9
370.8
373.0
377.1
383.5
387.0

36.60
36.93
36.67
36.95
37.27
37.73

36.12
36.53
36.34
36.^0
36.06
36.63

36.33
36.69
36.47
36.81
37.05
37.55

575.7
577.8
582.1
586.1
592.1
595.6

31

37.34

35.94

36.94

JUNE

7
14
21
28

37.09
38.09
37.89
37.53

36.45
37.30
36.69
35.81

JULY

5
12
19 P
26 P

38.79
37.29
39.28
37.93

37.60
36.38
37.69
36.47

Total

1977—JUNfc
JULY
AUG.
SEPT.
OCT.
NOV.
DEC.
1978—JAN.
FEB.
MAR.
APR.
MAY
JUNE

Private Demand D e p o s i t s
Net
Interbank

Other

U.S.
Govt.

173.8
175.3
176.5
176.7
178.3
178.0
178.5

11.8
11.6
12.0
11.5
11.7
11.1
11.3

162.0
163.7
164.5
165.2
166.5
166.9
167.1

3.2
3.0
3.2
3.3
3.1
3.0
3.6

390.5
395.4
399.2
400.7
406.0
407.1

182.1
179.5
179.6
182.0
183.5
184.6

12.2
12.3
12.5
12.3
12.8
12.7

170.0
167.3
167.0
169.8
170.6
171.9

3.1
3.0
3.4
3.3
2.6
3.9

598.1

408.1

187.1

14.5

172.7

2.9

37.04
37.98
37.66
37.36

595.5
593.8
597.5
594.3

407.5
407.3
406.4
407.1

185.3
184.4
185.0
183.9

12.5
11.4
14.1
12.9

172.8
173.0
170.9
171.0

2.6
2.0
6.1
3.3

38.07
37.45
38.89
37.92

604.5
599.5
598.4
599.7

408.8
410.1
410.7
410.9

189.5
185.5
184.9
185.9

15.0
12.5
12.7
12.7

174.5
173.0
172.2
173.2

6.2
3.9
2.8
2.8

Total

i

T i m e and
Savings

Total

MEEK E N D I N G :
1978—MAY




SEE REVERSE SIDE FOR EXPLANATION OF FOOTNOTES.

H.a

Page 2

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

Period
Total

1977—JUNE
JULY
AUG.
SEPT.
OCT.
NOV.
DEC.

f

1978—JAN.
FEB.
MAR.
APR.
MAY
JUNE

Time and
Savings

___________________________^
Total

Net
Interbank

Deposits
Other

U S. Govt.
Demand

544.5
547.6
548.3
552.1
558.2
562 . 1
575.3

367.8
369.5
371.7
373.0
377.5
380.7
386.4

173.0
175.6
174.1
175.2
178.0
178.7
185.1

11.7
11.7
11.8
11.5
11.6
11.4
12.0

161.2
163.9
162.2
163.7
166.4
167.4
173.1

3.7
2.6
2.5
3.8
2.7
-.6
3.8

581.3
572.5
579.4
588.6
588.3
596.8

390.3
393.2
399.3
401.2
406.1
408.6

187.9
176.1
176.6
183.8
179.3
183.7

12.9
12.1
12.1
12.0
12.1
12.7

175.1
164.1
16^.5
171.8
167.2
171.0

3.1
3.1
3.5
3.6
2.9
4.5

592.5

409.2

180.4

12.4

168.0

2.8

596.1
595.4
600.6
593.1

409.0
409.0
407.1
408.7

184.8
184.4
184.4
180.3

13.0
11.5
13.7
12.1

171.8
172.8
170.8
168.2

2.4
2.1
9.1
4.1

608.4
602.0
599.5
596.2

410.9
410.5
410.7
411.4

191.9
188.3
186.3
182.3

16.1
13.9
12.7
11.8

175.9
174.4
173.6
170.6

5.6
3.2
2.5
2.4

WEEK E N D I N G :
1978—MAY
JUNE

JULY

31
7
14
21
28
5
12
19 P
26 P

j

[
[
|
!

P —• PRELIMINARY
1/
MEMBER BANK RESERVES S E R I E S REFLECTS ACTUAL RESERVES REQUIREMENT PtRLENlAGES WITH NO ADJUSTMENT TO E L I M I N A T E THE EFFECI OF
CHANGES I N REGULATION D AND M .
___ c c n c B A I
NOTE:
BACK DATA ARE AVAILABLE FROM THE BANKING S E C T I O N , D I V I S I O N OF RESEARCH AND S T A T I S T I C S , BOARD OF GOVERNORS UF THE hfcUtKAL
RESERVE SYSTEM, WASHINGTON, D . C . 2 0 5 5 1 .