The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
•vis^t FEDERAL RESERVE statistical release H.3 (Ml) Aggregate Reserves and Member Bank Deposits JAN. 2 5 , 1980 Averages of Daily Figures, in Billions of Dollars Seasonally Adjusted • Monetary Period Total Nonborrowed Required r DEPOSITS SUBJECT TO RESERVE REQUIREMENTS MEMBER BANK RESERVES ±1 Basely Total Time and Savings Private Demand Deposits Total Net Interbank Other U.S. Govt. Demand 616.7 429.4 135.1 9.8 175.2 2.3 621.1 619.7 616.4 618.6 613.9 613.1 618.7 623.7 630.5 o38.2 644.2 645.7 433.5 436.1 434.1 432.0 428.7 425.9 429.4 434.4 439.8 445.6 451.8 452.0 185.6 181.9 130.5 184.7 183.5 134.8 187.5 187.1 189.0 190.8 190.4 192.0 10.0 8.1 9.4 9.9 9.8 8.9 10.3 9.9 11.3 13.2 12.7 13.4 175.6 173.8 171.1 174.8 173.7 175.9 177.2 177.3 177.7 177.7 177.7 178.7 1.9 1.8 1.8 1.8 1.7 2.4 1.8 2.2 1.8 1.8 2.0 1.8 4 1 * . 48 40.75 40.81 40.65 40.48 40.42 40.82 41.07 41.46. 42.30 43.13 43.53 40.48 39.78 39.82 39.73 38.72 39.00 39.65 39.98 40.12 40.28 41.22 42.06 41.26 40.54 40.66 40.47 40.34 <*0.20 40.61 40.85 41.27 42.04 42.88 43.13 143.4 143.3 143.9 144.5 144.9 145.b 146.9 148.4 150.1 151.6 152.8 153.8 14 21 28 43.13 43.31 43.10 41.27 41.44 41.08 42.87 43.19 42.97 152.8 153.1 153.0 642.4 645.2 645.3 451.8 452.0 452.7 188.8 191.1 190.9 11.2 13.4 12.6 177.6 177.7 178.2 1.8 2.2 1.7 DEC. 5P 12P 19P 26P 43.60 43.84 43.28 43.50 41.78 42.55 41.5'* 42.26 43.36 43.25 '+3.16 43.00 153.2 153.8 153.3 153.9 645.7 645.1 642.8 646.5 453.2 452.6 451.9 451.5 190.1 189.9 189.3 193.7 12.9 12.2 11.5 14.7 177.2 177.7 177.8 178.9 2.4 2.6 1.6 1.3 1980-JAN. Z? 9P 16P 43.44 43.62 43.93 42.01 42.89 42.70 42.89 43.38 43.38 154.8 154.9 155.2 645.4 644.9 648.5 449.6 452.4 455.0 194.2 189.8 191.7 13.4 11.8 12.7 180.8 178.0 179.0 1.7 2.6 1.9 1979—JAN. FEB. MAR. APR. MAY JUNE JULY AUG. SEPT. OCT. NOV.P JEC.P l 1 WEEK EMOING: 1979-NOV. SEE REVERSE SI0E FOR EXPLANATION OF FOOTNOTES. H.*(502) Page 2 Aggregate Reserves and Member Bank Deposits AVERAGES OF DAILY FIGURES, IN BILLIONS OF DOLLARS NOT SEASONALLY ADJUSTED 1 DEPOSITS SUBJECT TO RESERVE REQUIREMENTS m SANK RESERVES ll 1 — t~-M = Monetary Tottf 41.45 144.6 624.0 429.6 42.87 40.49 40.06 40.55 40.10 39.88 40.71 40.49 40.86 42.01 42.77 43.56 144.4 141.9 142.3 144.2 144.4 145.6 147.9 148.4 149.4 151.3 153.5 156.2 627.1 614.3 614.3 621.1 610.9 613.9 619.2 620.4 629.0 637.8 642.3 653.1 433.8 434.2 434.9 432.3 429.8 427.2 429.8 434.1 439.4 445.7 449.2 452.0 153.6 154.1 153.5 639.7 643.7 642.0 448.6 449.5 450.4 154.5 155.7 156.1 157.4 647.7 648.7 651.6 654,4 156.7 157.2 157.7 663.6 660.0 656.0 41.68 40.81 1979—JAN. FEB. MAR. APR. MAY JUNE JULY AUG. SEPT. OCT. NOV.P OEC.P 43.08 ^0.70 40.22 40.72 40.24 40.10 40.92 40.72 41.05 42.27 43.02 43.96 42.08 39.73 39.23 39.81 38.47 38.69 39.75 39.63 39.71 40.25 41.10 42.49 28 42.87 43.41 43.02 41.01 41.55 41.00 42.62 43.30 42*89 5? 12? 19P 26P 43.61 43.67 43.8^ 44.06 41,80 42.38 42.13 42.83 43.38 43.08 43.70 43.56 2? 9? 16P 44.77 44.81 46.54 43.34 44.08 45.31 44.22 44.57 45.99 ! Total Private Demand Deposits Time and Savings Required 1978—OEC. 1 Basely Nonborrowed Net Interbank Total Other U.S. Govt. Demand 191.9 10.4 181.5 2.5 191.5 178.2 177.5 186.8 179.2 183.9 187.8 184.5 187.5 190.5 191.4 199.2 10.6 11.3 13.0 13.0 14.1 180.9 170.3 168.4 177.1 170.1 175.0 177.4 174.8 176.3 177.5 178.4 185.1 1.9 1.8 1.9 2.0 1.8 2.8 1.6 1.7 2.1 1.6 1.7 1.9 189.7 192.3 190.2 10.9 13.7 12.6 178.8 178.6 177.5 1.4 1.9 1*5 451.6 452.2 451.9 452.2 194.3 194.8 197.0 200.7 13.8 ! 12.7 13.0 15.1 180.6 182.1 184.0 185.6 1.8 1.7 2.7 1.5 451.6 453.8 455.3 210.1 203.7 198.9 16.7 13.7 12.7 193.5 190.0 186.2 1.9 2.5 1.8 ! 1 7.9 9.1 9.7 9.2 8.9 10.4 9.8 WEEK ENDING: 1979-NOV. OEC. 1980-JAN. 14 21 | ! 1 , , ! [ i P - PRELIMINARY 1/ MEMBER BANK RESERVES SERIES REFLECTS ACTUAL RESERVES REQUIREMENT PERCENTAGES WITH NO ADJUSTMENT TO ELIMINATE THE EFFECT OF CHANGES IN REGULATION 0 AND M. EFFECTIVE NOVEMBER 2t 1978, A SUPPLEMENTARY RESERVE REQUIREMENT OF 2 PERCENTAGE POINTS WAS IMPOSEO ON TIME DEPOSITS OF $100,000 OR MORE. THIS ACTION INCREASED REQUIRED RESERVES APPROXIMATELY $3.0 BILLION IN THE WEEK BEGINNING NOVEMBER 16, 1978. EFFECTIVE OCTOBER 11, 1979, AN 8 PERCENTAGE POINT MARGINAL RESERVE REQUIREMENT WAS IMPOSED ON "MANAGED LIABILITIES". ON OCTOBER 25, 1979, RESERVES OF EDGE ACT CORPORATIONS WERE INCLUDED IN MEMBER BANK RESERVES. IN THE WEEK BEGINNING OCTOBER 25, 1979, THESE ACTIONS RAISED REQUIRED RESERVES $320 AND $318 MILLION, RESPECTIVELY. 2/ INCLUDES TOTAL RESERVES (MEMBER BANK RESERVE BALANCES IN THE CURRENT WEEK PLUS VAULT CASH HELD TWO WEEKS EARLIER); 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 SECTION, DIVISION OF RESEARCH AND STATISTICS, BOARD OF GOVERNORS OF THE FEDERAL RESERVE^YSTEM, WASHINGTON, D,C. 20551. Pag* 3 H.3 («02) Aggregate Reserves and Monetary Base Adjusted for Changes In Reserve Requirements j / of Dally Figures, In Millions of Dollars | SEASONALLY ADJUSTED MEMBER 1ANK RESERVES Period Total Nonborrowed Required ~ | NOT SEASONALLY ADJUSTED MEMBER BANK RESERVES ' Monetary Base L—^—__^—___^_ Total Nonborrowed Required 1 ' I ' Monetary Baee 144,879 1978—-DEC. 41,572 40, 7 0 3 41,339 142,685 41,979 41,111 41,747 1 9 7 9 — JAN, FEB. MAR. APR. MAY JUNE JULY AUG. SEPT. OCT. NOV.P DEC.P 41,767 41,028 41,100 40,910 40,749 40,697 41,127 41,375 41, 773 42,480 42,659 43, 213 40,764 40,055 40,109 39,993 38,984 39,279 39,957 40,290 40,432 40,457 40,747 41,741 41,552 40,819 40,942 40,734 40,607 40,476 40,917 41,154 41,581 42,216 42,415 42,815 143,700 143,616 144,176 144,748 145,129 145,877 147,240 148,725 150,445 151,770 152,375 153,491 43,368 40,978 40,502 40,988 40,505 40,381 41,221 41,021 41,364 42,446 42,547 43,640 42,366 40,005 39,512 40,071 38,740 38,963 40,050 39,936 40,023 40,423 40,635 42,167 43,154 40,769 40,344 40,812 40,364 40,160 41,010 40,800 41,172 42,182 42,303 43,242 144,717 142,140 142,621 144,453 144,704 145,894 148,231 148,689 149,760 151,470 153,024 155,868 42,306 42,959 42,575 40,448 41,094 40,554 42,053 42,844 42,440 152,015 152,758 152,463 42,052 43,063 42,495 40,194 41,198 40,474 41,799 42,948 42,360 152,740 153,766 152,975 42,973 42,855 42,829 42,784 152,780 153,380 153,012 153,693 43,225 43,271 43,489 43,836 41,406 41,980 41,805 42,612 42,990 42,685 43,370 43,340 154,140 155,317 155,742 157,205 42,627 43,165 43,194 154,512 154,680 154,974 44,508 44,591 46,357 43,077 43,859 45,131 43,958 44,352 45,806 156,465 156,953 157,487 | WEEK E N D I N G : 1979-NOV. .14 21 28 DEC. 5P 12P 19P 26P 43,208 43,441 42,948 43,280 41,389 42,150 41,264 42,055 1980-JAN. 2P 9P 16P 43,177 43,404 43.745 41,745 42,671 42,519 i | J INCLUSIONS OF EDGE ACT CORPORATION RESERVES, AND OTHER CHANGES IN REGULATIONS D, K AND M. HISTORICAL DATA AND A DESCRIPTION OF THE ADJUSTMENT PROCEDURE ARE AVAILA3LE FROM THE BANKING SECTION, DIVISION OF RESEARCH AND STATISTICS, BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM, WASHINGTON, D.C. 20551.