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•"ofj-ovj F E D E R A L R E S E R V E stotistical releose M H.3 AGGREGATE RESERVES AND MEMBER BANK DEPOSITS AVERAGES OF DAILY FIGURES, IN BILLIONS OF DOLLARS ...^~.~ I „ ~ SEASONALLY ... ADJUSTED MEMBER BANK RESERVES 1 Period Total Non- JUNE 1 JULY AUG. SEPT. OCT. NOV. DEC. 1978—-JAN. P WEEK * &£?& ^U 1 ;' FEBRUARY 1 0 , 1978 •' 0 ><•"•. '*.*. DEPOSITS SUBJECT TO RESERVF jftQyggyJWT v % Required Private Demand Deposits Time and Total borrowed 1977—JAN. FEB. MAR. APR. MAY ^ 'Fot^lmmediate Release U.S. Total Net Interbank 357.3 360.1 361.3 361.4 363.1 367.0 369.2 370.8 372.4 377.1 383.5 387.7 172.5 169.5 171.1 173.4 172.3 173.8 175.8 177.0 176.9 179.0 177.6 178.5 12.6 10.5 11.5 11.5 11.6 11.9 11.6 12.0 11.5 11.7 11*1 11.3 159.9 158.9 159.6 161.9 160.7 161.9 164.2 165.1 165.4 167.2 166.5 167.1 2.7 2.5 2.8 3.6 2.1 3.7 2.8 3.6 3.7 3.3 3.5 3.7 Savings Other Govt. 34.78 34.40 34.31 34.68 34.72 34.86 35.35 35.64 35.63 35.90 36.01 36.21 34.71 34.33 34.20 34.61 34.52 34.60 35.03 34.58 35.00 34.59 35.15 35.64 34.51 34.20 34.09 34.49 34.51 34.71 35.08 35.44 35.42 35.69 35.76 36.02 532.5 532.0 535.2 538.4 537.6 544.5 547.7 551.4 552.9 559.4 564.6 569.9 36.94 36.45 36.63 575.8 390.5 182.4 12.2 170.1 3.0 ! ENDING: 1977—NOV. 30 35.93 34.85 35.49 566.9 385.8 178.0 10.9 167.1 3.1 DEC. 7 14 21 28 35.86 36.22 36.26 36.19 35.28 35.71 35.73 35.50 35.85 35.91 36.11 35.94 568.5 568.3 571.7 568.0 386.3 387.3 387.5 388.8 179.2 178.0 179.2 176.2 11.3 11.2 11.9 10.0 167.8 166.8 167.3 166.1 3.1 2.9 4.9 3.0 4 11 18 25 P 36.89 36.22 37.56 37.04 36.39 35.78 37.14 36.45 36.60 35.91 37.30 36.63 576.8 574.2 574.9 577.9 390.3 390 . 1 390.0 390.8 182.8 180.7 181.2 184.4 13.2 11.6 11.8 12.9 169.6 169.1 169.4 171.5 3.7 3.5 3.8 2.8 1 P 36.95 36.48 577.8 391.9 183.9 12.4 171.5 2.0 1978—JAN. * FEB. 1 36.69 i SEE REVERSE SIDE FOR EXPLANATION OF FOOTNOTES. | Page 2 H.3 MEMBER BANK DEPOSITS AVERAGES OF DAILY FIGURES, IN BILLIONS OF DOLLARS NOT SEASONALLY ADJUSTED DEPOSITS SUBJECT TO RESERVE REQUIREMENTS Private Demand Deposits Period Total i 1977—JAN. FEB. MAR. APR. MAY JUNE JULY AUG. SEPT. 1 OCT. NOV. DEC. 1978—JAN. P WEEK Time and Savings Total Net Interbank Other U.S. Govt. Demand 537.7 528.7 534.0 541.3 535.8 544.5 547.6 548.3 552.1 558.2 562.1 575.3 357.0 358.4 361.7 362.3 364.7 367.8 369.5 371.7 373.0 377.5 380.7 386.4 177.8 167.2 169.1 175.0 168.5 173.0 175.6 174.1 175.2 178.0 178.7 185.1 13.3 10.4 11.1 11.3 11.0 11.7 11.7 11.8 11.5 11.6 11.4 12.0 164.5 156.9 158.0 163.7 157.5 161.2 163.9 162.2 163.7 166.4 167.4 173.1 581.4 390.3 188.0 12.9 175.1 3.1 1 2.9 3.1 3.2 4.0 2.5 3.7 2.6 2.5 3.8 2.7 2.6 3.8 ENDING: 1977—NOV. 30 564.3 382.7 178.9 11.0 167.9 2.8 DEC. 7 14 21 28 568.4 570.9 578.7 575.7 383.6 385.4 386.3 388.3 182.5 183.5 185.8 183.4 11.6 11.4 12.2 11.0 171.0 172.1 173.6 172.4 2.1 1.9 6.5 3.9 1978—JAN. 4 11 18 25 P 594.2 583.2 579.7 577.2 390.2 390.0 389.8 390.4 199.2 190.3 186.8 183.8 16.7 13.0 11.9 12.5 182.5 177.4 174.9 171.3 4.9 2.9 3.0 3.0 * FEB. 1 P 577.2 391.0 183.4 12.1 171.3 2.8 P 1/ 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 OF CHANGES I N REGULATION D AND M . 2/ TOTAL MEMBER BANK DEPOSITS SUBJECT TO RESERVE REQUIREMENTS, PLUS EURO-DOLLAR BORROWINGS, LOANS SOLD TO BANK-RELATED I N S T I T U T I O N S , AND OTHER NONDEPOSIT I T E M S . 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 OF THE FEDERAL RESERVE SYSTEM, WASHINGTON, D . C . 2 0 5 5 1 . * Data from t h e Boston Federal Reserve D i s t r i c t have been e s t i m a t e d . than u s u a l r e v i s i o n s . Deposit d a t a for the week of February 1, may be s u b j e c t to l a r g e r