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.•*«s?& F E D E R A L R E S E R V E statistical rel ease y ^ ^ f«ALR^ j Tj to t$ H.3 diate Release <-/.-, AGGREGATE RESERVES AND MEMBER BANK JUNE \ AVERAGES OF DAILY FIGURES, IN BILLIONS OF DOLLARS 4>; oc /j/ *S SEASONALLY ADJUSTED • W W — | i 6t 1977 M: c ii MEMBER BANK RESERVES V DEPOSITS SUBJECT TO RESERVE REQUIREMENTS Period % n P r i v a t e Demand Deposits Nonborrowed Total 34.05 34.16 34.21 34.41 34*27 34.41 34*78 34.90 34.17 134,2s 34.34 34.51 134.34 34 • 5 1 34*8 5 }4.95 MAY JUNE JULY AUG. SEPT* OCT. NOV • DEC. 1 9 7 7 « J AN • FEB • MAR . APR. P Required Total 33.89 33. 9t 34.07 34.11 34.31 34.14 34.29 34.59 34.68 509.7 508.1 1 513.0 | 1 1 1 i 1 ! | ! 514.1 514.2 515.6 520.0 524.9 529.6 Time and Savings Total Net Interbank Other 339.9 33fr*7 341.9 343.5 341.7 343.3 34 6 . 2 350.2 35f>.0 167.2 167.1 167.5 167.9 168.6 168.7 170.4 170.7 171.4 11.3 11.2 11.5 11.4 11.4 11.9 12.0 12*8 12.3 155.9 155.9 156.0 156.5 157.2 156.8 158.4 157.9 lf>9.2 • | U.S. Govt. *.6 2*3 3.6 2*7 3*9 3.6 3.4 4.0 3*2 2.7 % Y* Total Member Bank Deposits Plus Nondeposit Items ! 517.2 515.6 5 21 . 4 522.8 5l3.1 523.8 529.0 534.0 538.8 540.8 539.5 34.20 34.61 34.51 34.20 34.09 34*49 532.5 532.0 535.2 538.4 357.3 360.1 361.3 361*4 172.5 169.5 171.1 173.4 12.6 10.5 11.5 11.5 159.9 158.9 159.6 lol.9 2.5 2.8 3.6 542 . 9 5 46 . 1 34*76 34.70 34*41 533.7 362*0 169.7 11.9 157.8 2.0 541.1 34.26 33.95 34.72 34.76 539.3 539.3 540.0 537.7 363*1 361*9 360.5 360.7 173.6 174.7 173.1 174.1 12.3 11.8 11.5 11.6 161.3 162*9 161.6 162.5 2.6 2.8 6.4 2.9 546.7 35.02 34.64 34.63 34.14 537.2 535.9 537.8 538.6 360*9 362.4 363.5 363.7 173.5 172.0 172.4 172.7 12*1 11.1 11.3 11.5 161.4 160.9 161.0 161.2 2*8 1.6 2.0 2.2 544.4 34.7d 34.40 34.31 34.68 34.71 - 1 34.33 WEEK ENDINGS '•M I'l"" • i •• • * 9 7 7 - * - M A R . 30 APR* 6 ' 13 20 27 34.51 34.23 34.75 3*.92 34.45 34.19 34.73 34*82 MAY 4 1 35.33 11 34.69 34.91 18 P 34.30 25 P 35.11 34.53 34.78 33.99 | j 547.1 547.9 545 . 6 543 .6 545*9 546.9 * SEE RE VERSE SIDE FOR EXPLANJ TION OF FOI iTWflTES. ' M.3 Page 2 MEMBER BANK DEPOSITS AVERAGES OF DAILY FIGURES. IN BILLIONS OF DOLLARS NOT SEASONALLY ADJUSTED * DEPOSITS SUBJECT TO RESERVE REQUIREMENTS Period Net Interbank Total Other U.S. Govt. Demand 346.7 347.6 353.6 168.8 163.4 166.7 167.7 165.9 167.2 169.5 171.9 177.9 11.2 10.6 11.3 ll.t 11.3 12.0 11.9 13.1 13.0 157.6 152.8 155.4 1?6.1 154.5 155.2 157.6 15B.7 164.9 2.9 2.45 3.6 2.5 2.7 3.6 2.8 3.0 s.3 519.4 513.6 521.2 522.7 520.2 5*3.1 527.9 531.5 544.0 537.7 52ft *7 534.0 541.3 357.0 35*.4 361.7 362.3 177.8 167.2 169.1 175.0 13.3 1C.4 11.3 164.5 156.9 ll>rf.O 163.7 2.9 3.1 3.2 4,0 546.0 536.2 541.7 549.0 363.6 166.6 \U3 155.3 2.6 540.2 364. A 363.0 361.3 361.* 176.5 177.6 176 . 6 172.7 13.0 11.9 11.2 11.0 163.4 165.7 165.4 X *"I. i$o 2.5 2.1 6.6 4.1 550.8 550.5 552.4 545.9 U.« 11.0 11.2 10.6 160.5 157.6 158.3 156*0 5.2 2.3 2.3 2.1 545.7 542.0 544.6 543.0 1976—APR. MAY JUNE JULY *UG. 511.9 506.0 1 512*7 513.9 [ 511.3 340.2 339.9 342.5 343.7 342.7 OCT* NOV. DEC* 518.9 522.5 534.8 1977—JAN. FEB* MAR. APR. P Private Demand Deposits Time and Savings Total Total Member Bank Deposits Plus Nor deposit Items^ 1U1 WEEK ENDING* 1977—«A«. 30 $32.7 APR. 6 13 20 543.3 542 . 7 544.5 53B.0 P MAY 4 11 P IB P 25 P 538 . 5 534 .3 536 .6 534,7 1 361.5 363.4 364.9 345.8 1 171 .B 168.6 169.4 !64«S j MEMBER BANK RESERVES SERIES REFLECTS ACTUAL RESERVES REQUIREMENT PERCENTAGES WITH NO ADJUSTMENT TU tLlMlNATE THE EFFECT1 OF • CHANGES I N REGULATION D AND M. ti TOTAL MEMBER BANK 0EPOS1TS SUBJECT TO RESERVE REQUIREMENTS* PLUS EURODOLLAR BORROWINGS t LOANS SOLD TO BANK-RaATED INSTITUTIONS t AND OTHER NONDEPOSIT ITEMS. NOTE) BACK DATA ARE AVAILABLE FRCM TM* BANKING SECTION* DIVISION OF RESEARCH AND STATISTICS* BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM. WASHINGTON* O . C . 2 0 5 5 1 . 1/