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FEDERAL RESERVE statistical release •?*£&>? H.t 4, . n»i_ Aggregate Reserves and Member Bank Deposits% AVERAMS OF DAILY FMURES, IN BILLIONS OP DOLLARS Or /?/>. $ SEASONALLY ADJUSTED # | ^ | MOWER SANK RESERVES j / Monetary Period Nonborrowed Required 36.88 36.67 36.93 37.27 37.63 38.11 37.*I3 38.21 38.38 39.75 41.27 36.48 36.34 36.38 36.06 36.53 36.80 36.79 37.15 37.10 39.05 40.40 36.64 36.47 36.79 37.05 37.45 37.92 37.77 38.02 38.22 39.53 41.04 41.48 40.75 40.48 39.78 Total 1978—FEB. MAR. APR. MAY JUN£ JULY AUG. SEPT. QCT. NOV. DEC. j 1979—JAN. F E B * *> 1 j 41.26 40.54 j | > • < -£u ; DEPOSITS SUBJECT TO RESERVE REOmRCMEIfflrf ~ " % Private Demand Depoelts U.S. Govt. Time and Net Savings Demand Other Total Interbank ToM 130.3 130.6 131.4 132.6 133.5 134.7 135.3 136.8 137.8 139.9 142.4 > 577.3 581.3 585.8 591.5 595.8 600.5 602.7 607.0 608.9 616.9 616.7 | 1 394.6 398.3 400.7 405.1 407.4 410.8 413.0 416.8 418.3 427.5 429.4 ! 179.7 179.7 181.8 183.6 184.6 186.1 186.5 186.2 187.2 187.0 185.1 10.7 11.0 10.8 11.5 11.2 11.4 11.2 9.3 10.2 11.1 9.8 169.0 168.7 171.0 172.1 173.4 174.7 175.2 176.9 177.0 175.9 175.2 3.0 3.4 3.3 2.7 3.8 3.6 3.3 4.0 3.5 2.3 2.3 175.6 173.8 1.9 1.8 2.1 i.T 1.9 2.0 143.4 143.3 621.1 619.7 433.5 436.1 185.6 181.9 10.0 431.3 433.7 435.3 435.7 186.8 186.9 183.2 181.3 11.0 10.2 9.3 8.5 175.9 176.7 173.9 172.8 8.1 i WEEK E N D I N G : 1979—JAN. FEB. MAR. 10 17 24 31 40.67 42.09 41.27 41.68 39.98 41.19 40.35 40.25 40.79 41.68 41.25 41.34 142.4 143.9 143.3 143.9 620.2 622.3 620.4 619.0 7 14 21 28 P 41.16 40.70 41.03 40.13 40.35 39.64 40.09 39.04 40.88 40.59 40.67 40.04 143.6 143.0 143.5 143.0 619.2 616.0 623.1 620.7 434.9 435.9 436.6 437.2 182.2 178.4 184.7 182.1 9.1 5.5 8.9 8.9 173.X 172.9 175.8 173.2 2.1 1.7 1.9 1.4 7 P 14 P 41.29 40.75 40.27 39.86 41.12 40.67 144.4 143.7 620.7 616.6 435.9 435.1 182.8 180.1 9.1 9.1 173.7 171.0 2.0 1.5 | 1 1 SEE REVERSE SIDE FOR EXPLANATION OF FOOTNOTES. H.» Page 2 Aggregate Reserves and Member Bank Deposits AVERAGES OF DAILY FIGURES, IN BILLIONS OF DOLLARS NOT SEASONALLY ADJUSTED 1 MEMBER BANK RESERVES l l Period Nonborrowed Total 1978—FEB. MAR. APR. MAY JUNE JULY AUG. SEPT. OCT. NOV. DEC. 1979—JAN. FEB. DEPOSITS SUBJECT TO RESERVE REQUIREMENTS Monetary t 1 P 36.85 36.13 36.97 37.08 37.30 38.25 37.57 37.81 38.38 39.65 41.68 43.08 40.70 j Required Basely 36.44 35.80 36.41 35.87 36.21 36.93 36.43 36.75 37.10 38.94 40.81 36.61 35.93 36.82 36.86 37.13 38.05 37.40 37.61 38.22 39.42 41.45 128.9 129.2 131.1 132.2 133.5 135.7 135.2 136.2 137.5 140.5 144.6 42.08 39.73 42.87 40.49 Total j Time and Savings Private Demand Deposits Total Net Interbank 572.5 579.4 588.6 588.3 596.8 600.6 599.2 605.9 608.4 615.1 624.0 393.2 399.3 401.2 406.1 408.6 411.1 412.8 416.6 418.5 425.2 429.6 176.1 176.6 183.8 179.3 183.7 186.4 183.9 184.7 186.9 188.0 191.9 10.5 10.7 10.6 10.8 11.1 11.5 11.1 144.4 141.9 627.1 614.3 433.8 434.2 191.5 178.2 10.6 1 9.3 10.1 11.4 10.4 7.9 Other U.S. Govt. Demand 165.6 166.0 173.3 168.5 172.6 174.9 172.8 175.4 176.8 176.6 181.5 3.1 3.5 3.6 2.9 4.5 3.2 2.5 4.6 3.0 2.0 2.5 180.9 170.3. 1.9 1.8 2.0 1.7 2.0 1.8 WEEK E N D I N G : 10 17 24 31 41.72 44.86 42.98 42.61 41.04 43.96 42.06 41.18 41.84 44.46 42.97 42.27 144.3 146.5 143.7 142.6 632.7 628.7 622.2 617.3 432.8 433.7 434.8 434.6 197.9 193.3 185.4 180.9 12.4 10.1 9.4 8.6 185.5 183.2 176.0 172.3 FEB. 7 14 21 28 P 41.52 40.69 40.88 39.73 40.70 39.64 39.94 38.64 41.24 40.58 40.52 39.64 142.8 142.0 142.2 140.4 616.7 611.8 615.5 613.3 433.5 434.2 434.4 434.9 181.1 176.0 179.0 176.8 9.3 5.3 3.3 8.8 171.7 170.7 170.7 168.0 2.2 1.6 2.0 1.5 MAR. 7 P 14 P 40.40 39.96 39.37 39.07 40.23 39.88 142.6 142.2 616.9 614.4 435.0 43.54 180.1 177.5 9.1 8.5 171.1 168.9 1.8 1.6 1 9 7 9 — JAN. M - PRfcLlMINAttV 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 2, 1978, A SUPPLEMENTARY RESERVE REQUIREMENT OF 2 PERCENTAGE POINTS WAS IMPOSED ON TIME DEPOSITS OF $100,000 OR MORE. THIS ACTION INCREASED REQUIRED RESERVES APPROXIMATELY $3.0 BILLION IN THE WEEK BEGINNING NOVEMBER 16, 1973. 2/ INCLUOES TOTAL RESERVES (MEMBER BANK RESERVE BALANCES IN THE CURRENT WEEK PLUS VAULT CASH HELD TWO WEEKS EARLIER), CURRENCY IN CIRCULATION (CURRENCY OUTS IDE 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 SYSTEM, WASHINGTON, O.C. 20551.