The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
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 .