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n FEDERAL RESERVE stotistical release PJIA£A^'/ G 10 AGGREGATE RESERVES AND MEMBER BANK DEPOSITS (Averages of d a i l y f i g u r e s , in b i l l i o n s of d o l l a r s ) Seasonally a d j u s t e d Member bank r e s e r v e s 1/ Period Total Nonborrowed Total 244.6 244.0 244.4 247.7 251.0 254.0 256.0 257.2 259.2 262.4 266.1 268.4 271.1 22.49 22.43 22.42 21.71 21.86 21.85 22.17 22.11 22.14 ll 67--Jan. Feb. Mar. Apr . May Jun. Jul. 22.77 22.99 23.41 23.46 23.45 *3.61 23.84 ,24.10 24.30 24.63 22.33 22.65 23.21 23.30 23.39 23.49 23.80 24.09 23.18 24.45 22.41 22.63 22.92 ' 23.08 23.05 23.14 23.45 23.76 23.94 24.29 Sept . Oct. p — Deposits s u b j e c t t o r e s e r v e requirements I f Required 1966--Oct. Nov. Dec. llni For immediate r e l e a s e November 14, 1967. - Time and Savings Net Demand Deposits Total P r i v a t e 3/ U.S. Gov't 129.0 128.4 129.4 115.6 115.6 114.9 111.6 111.6 111.7 4.0 4.0 3.2 131.4 133.6 135.6 137.2 138.6 140.8 142.5 144.8 146.3 147.4 116.3 117.4 118.4 118.9 118.6 118.4 119.9 121.4 122.1 123.7 111.4 112.4 113.6 113.1 114.5 116.1 116.7 117.6 117.6 118.1 4.9 5.0 4.8 5.8 4.1 2.2 3.2 3.7 4.5 5.6 p - Preliminary. Data on member bank r e s e r v e s p r i o r t o A p r i l , 1967 are a d j u s t e d t o e l i m i n a t e e f f e c t s of changes in r e s e r v e requirement p e r c e n t a g e s . 2/ Components may not add t o t o t a l s due to rounding. 2/ P r i v a t e demand d e p o s i t s include a l l demand d e p o s i t s except those due t o U.S. G o v ' t , l e s s cash items in process of c o l l e c t i o n and demand balances due from domestic commercial banks.