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FEDE-RAL RESERVE statistical H.3 release LJ.....,..dlateleleaae Vlf~/:'t AGGREGATE RESERVES AND MEMBER BANK DEPOSITSt11 AVERAGES OF DAILY FIGUIIII, IN 811Lt0ffl OF 80U.A11S SEAIONALL Y ADJUSTED ~ //{).,, 1 Y o, . •"•-..::a. ~ Private Demand Deposits Total Non· borrowed Required ..... DEPOSITS IUIJECT TO IIEIEIIVIIIIQUIRIIIENTI Period Time and Savin&s Total 167.1 167.5 167.9 168.6 168.7 110.4 170.:r 171.4 11e2 11.5 1le4 11.4 520.0 54:4.9 5Z9.6 338.7 341.9 343.5 341.7 343.3 346.2 350.2 3S5.0 12.0 12ell 12.3 156.0 156.5 151.2 156.8 B8.4 151.9 159.2 357.3 360.1 361.3 361.4 363.1 172.5 1.69.5 17lel 173.4 172.3 12.o 10.5 1le5 11·5 11.o 159.9 1S8e9 159.6 161.9 1o0·1 Total Net Interbank ~N~Y,_ 1 , Other - ;~ IK u.s. Govt. l},ii( Member Bank Deposits P.tus Nondeposit Items --· ~OBel 1~~.9 2·3 34.0!» 34.16 34.d 34.41 31te21 34.41 3'-'e76 34.90 33 .9t 34.01 34e11 34.31 34 .lit 34e2'i 34.59 FEB • 34e4U 34.71 34.33 MAR. 34.31 34.66 34.74. 34.51 34.20 34.09 34.61 34.52. 34.,..~ 34.~1 !d2.5 532.0 535.2 538.4 537.6 34.7s 34.92 34.73 34.62 34.12 34.76 5...u.o 5.37. 7 360.5 173.1 174.1 1le5 u.e. 161.6 6.4 360.7 162.5 ~. 35.11 34.S3 34.70 33.91 35 .02. 34.6,.. 34.61 34.14 531.2 535.9 537.7 538.9 360.'1 362.4 363.4 363.8 173.5 112.0 112.3 172.9 12·1 1lel 11.3 11.5 ua.4 100.9 161.0 161.4 2.8 z.o 25 35.33 34.69 34.83 34e28 1 8 p 15 p 34.76 34.52 _)4.71 34.53 34.29 34.49 34.35 34.47 34.44- 539.1 543.1 544.1 364·8 366.1 366.3· 171.7 172.7 n3.o 11.9 11.7 12.1 1S9.8 161.0 160.9 2e6 4.4 4.8 J\JIIE: JUlY 34.17 34 • .t9 34.34 AUG. 34.51 SI:.PT. NOV. OtT • 34.34 34.51 34.85 DEC. 34.9~ 1'177--.JAN. 34.18 1'77--fotAY APR. MAY P 34.~0 34.oo 513.0 514.1 514.2 ~15.6 u;.~ ' a.o ile7 3.9 3 •• 3.4 .... o 3.C: z• ., z.:. z.a z.1 ~.6 WEEK ENDING: ---- 1977--.\PR • 20 21 MAY 4 11 18 Jlfll • SEE REVERSE SIDE Fat E"XPLANATI(It OF ru ill NUl&:~• 19n - '' .f' \· MEMBER BANK RESERVES '!J/.:- . leo Z.2 515.6 5.2.1.4 sn.e 5.t3.1 523.8 529.0 534.0 538.8 540.8 539.5 54Z.9 546.1 ~45.4 547.9 545e6 544.4 543.6 545eb 547.2 , •••6 551.0 552.2 Page 2 MEMBER BANK DEPOSITS AVERAGES OF DAILY FIGURES, IN BILLIONS OF DOLLARS NOT SEASONALLY ADJUSTED • M H V t a B M M a O H K ^ n M I wmmmmmmmmmmmmmmmm DEPOSITS SUBJECT TO RESERVE REQUIREMENTS Period Time and Savings Total 1[ 1V76—MAY JUNE JULY AUG. SEPT. OCT. i OEC. 1977—JAN. FEB. MAR. APR. MAY WEEK 1 10.6 11.3 11.6 11.3 12.0 11.9 13.1 13.0 152.8 155.4 156.1 154.5 155.2 157.6 156.7 164.9 2.* 3.6 2.5 3.6 2.6 3.0 3.3 513.6 521.2 522.7 520.2 5*3.1 5a7.9 531.5 544.0 537.7 528.7 534.0 541.3 535.8 351.0 358.4 361.7 362.3 364.7 177.8 167.2 169.1 175.0 168.5 13.3 10.4 11.1 11.3 11.0 164.5 156.9 1-68.0 163.7 157.5 2.9 3.1 3.2 4.0 2.5 546.0 536.2 541.7 549*0 543.6 544.5 536.0 361.3 361.2 176.6 172.7 11.2 11.0 165.4 1*1.8 6.6 4.1 552.4 545.9 538.5 534.3 536.5 535.0 361.5 363.4 364. V 365.9 171.8 168.6 169.4 167.0 11.4 11.0 11.2 10.8 160.5 157.6 158.2 156.2 ! 5.2 2.3 Z.Z 1 *•* 545.7 542.0 544.6 543.2 366.8 367.6 367.6 167.6 172.3 173.7 10.6 157.0 2.1 544.0 !tt:i !:! m:i, I 1 518.9 522.5 P I 353.6 511.3 514.9 ] U.S. Govt. Demand Other 534.8 513.9 - Net Interbank Total 163.4 166.7 167.7 165.9 167.2 169.5 171.9 177.9 | I 33 V . 9 342.t. 343.7 342.7 344.1 346.7 506.0 512.7 Private Demand Deposits Total Member Bank Deposits Plus Nondeposit Item $2/ 4L.1 B4DING: 1977—APR. iO 27 MAY 4 11 18 *5 JUN. 1 8 P 15 P | 536.5 542.7 544.9 | | I m | P - PRELIMINARY 1/ MEMBER BANK RESERVES SERIES REFLECTS ACTUAL RESERVES REQUIREMENT PERCENTAGES WITH NO ADJUSTMENT TO ELIMINATE THE EFFECT OF * CHANGES I N REGULATION D ANO M . 2/ TOTAL MEMBER BANK DEPOSITS SUBJECT TO RESERVE REQUIREMENTSt PLUS'EURO-DOLLAR BORROWINGS, LOANS SOLD TO BANK-DELATED INSTITUTIONS , AND OTHER NONDEPOSIT I T E M S . NOTES BACK DATA ARE A V A I U B L E FROM THE BANKING SECTION, D I V I S I O N OF RESEARCH AND STATISTICS, BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM, WASHINGTON, D . C * 2 0 5 5 1 *