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FEDERAL RESERVE statistical release <*Yl> *-^?^ M.S (602) For AT- MAR. 31, 1980 Aggregate Reserves and Member Bank Deposits Averages of Daily Figures Seasonally Adjusted DEPOSITS SUBJECT TO RESERVE REQUIREMENTS MEMBER BANK RESERVES J - / Monetary Period ! Total Non- Required Basely Total borrowed Private Demand Depoaits Time and Savings U.S. Govt. Total Net Other Demand Interbank 1979—FEB. MAR. APR. MAY JUNE JULY AUG. SEPT. OCT. NOV.P DEC.P 40,872 40,750 40,698 40,666 40,531 40,782 41,110 41,429 42,188 43,074 43,506 Millions of dollars 39,899 39,760 39,781 38,901 39,113 39,612 40,025 40,089 40,165 41,163 42,033 40,663 40,592 40,522 40,525 40,310 40,572 40,388 41,238 41,924 42,830 43,108 143.4 143.9 144.6 145.1 145.9 147.1 148.6 150.0 151.5 152.8 153.6 617.5 615.4 618.8 616.0 614.7 619.4 625.4 631.5 638.2 642.0 644.7 432.9 432.3 431.9 429.8 427.6 430.6 436.3 441.7 446.7 450.0 451.1 3illions of dollars 182.7 181.2 185.0 1 184.2 185.0 j 186.9 187.0 I 188.1 I 189.8 190.0 191.9 10.1 11.4 11.9 11.7 11.2 12.4 12.2 13.3 15.1 14.7 15.6 172.6 169.8 173.2 172.5 173.7 174.5 174.8 174.7 174.7 175.3 176.3 1.9 1.8 1.9 1.9 2.1 1.8 2.1 1.7 1.7 1.9 1.8 1980—JAN.P FEB.? 43,512 43,398 42,272 41,743 43,162 43,199 154.8 155.6 643.9 647.7 451.9 454.4 189.6 191.3 14.2 14.7 175.4 176.6 2.4 1.9 43,211 42,610 44,172 43,498 42,452 41,374 41,978 41,441 42,655 42,781 43,572 43,726 155.3 154.6 156.5 156.0 648.4 649.4 645.5 646.3 453.1 454.0 454.4 455.3 193.2 193.7 189.1 189.1 15.0 15.9 12.8 14.3 178.3 177.8 176.2 174.8 2.1 1.7 2.0 1.9 43,657 43,365 43,943 41,149 39,926 40,942 43,147 43,226 43,720 156.3 156.0 157.0 649.9 648.9 650.8 456.8 457.3 457.7 191.2 189.6 190.7 17.8 15.4 16.1 173.4 174.3 174.6 2.0 2.0 2.4 WEEK ENDING: 1980-FEB. MAR. 6P 13P 20P 27P 5P 12P 19P | I I _ _ _ _ _ i SEE REVERSE SIDE FOR EXPLANATION OF FOOTNOTES. H.»(502) Pl0ft2 Aggregate Reserves and Member Bank Deposits AVERAGES OF DAILY FIGURES NOT SEASONALLY ADJUSTED • • • M M M H M M M ^ M DEPOSITS SUBJECT TO RESERVE REQUIREMENTS MEMBER BANK RESERVES ±1 Monetary Period Total Nonborrowed Basel/ Required Total Time and Savings Private Demand Deposits Total Net Interbank Millions of dollars 39,730 39,226 39,807 38,472 38,686 39,746 39,630 39,713 40,246 41,103 42,485 40,494 40,059 40,548 40,096 39,883 40,705 45,252 43,224 44,011 41,570 44,902 43,026 6P 13P 20P 27P 43,914 42,360 44,002 42,787 43,155 41,124 41,808 40,730 43,358 42,531 43,402 43,015 5P 12P 19P 42,991 42,506 43,530 40,483 39,067 40,529 42,481 42,367 43,307 ' 1980—JAN.P FEB.P U.S. Govt. Demand Billions of dollars 40,703 40,217 40,724 40,237 40,104 40,916 40,715 41,053 42,269 43,015 43,958 ! 1979—FEB. MAR. APR. MAY JUNE JULY AUG. SEPT. OCT. NOV.P DEC? Other 141.9 142.3 144.2 144.4 145.6 147.9 148.4 149.4 151.3 153.5 156.2 | 40,862 42,005 42,771 43,560 , ! 614.3 614.3 621.1 610.9 613.9 619.2 620.4 629.0 637.8 642.2 652.9 434.2 434.9 432.3 429.8 427.2 429.8 434.1 439.4 445.8 449.1 452.0 178.2 177.5 186.8 179.2 183.9 187.8 184.5 187.5 190.5 191.4 199.0 9.9 11.1 11.6 11.0 11.0 12.6 12.0 13.3 15.1 15.3 16.2 168.3 166.4 175.2 168.2 172.9 175.2 172.6 174.2 175.4 176.2 182.8 1.8 1.9 2.0 1.8 2.9 1.6 1.7 2.1 1.6 1.7 1.9 156.1 154.0 652.4 644.3 454.6 455.8 195.5 186.7 15.2 14.5 180.3 172.2 2.2 1.9 154.7 153.4 155.1 152.9 647.7 645.5 642.1 641.3 454.5 455.4 455.7 456.7 191.0 188.7 184.3 182.8 15.3 14.8 12.7 14.5 175.8 173.9 171.7 168.3 2.2 1.5 2.0 1.9 154.2 154.7 155.5 648.5 647.5 650.4 458.7 459.9 460.4 188.0 185.9 187.1 17.4 14.6 15.6 170.6 171.3 171.5 1.8 1.6 2.9 | WEEK ENDING: 1980-FEB. MAR. | I P - PRELIMINARY 1/ MEMBER BANK RESERVES SERIES REFLECTS ACTUAL RESERVES REQUIREMENT PERCENTAGES WITH NO ADJUSTMENT TO ELIMINATE THE EFFECT OF CHANGES IN REGULATION D 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, 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. 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