Full text of H.6 Money Stock Measures : April 10, 1975
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FEDERAL RESERVE FEDERAL RHf RVE Statistical fUltitf H.6 statistical release TtbUl APRIL MONEY STOCK MEASURES 10, 1*75 IN BILLION* OF DOLUM mammmm*mmmmm*mm*mmmm Ml *a I 1 *t 1 *4 1 Mg 1j Ml Mt Plus Time] M^Plus Currency Deposits at M^Pius 1 M3PIUs Currency Deposits at Commercial Large ! Large |1 PIUS *>>*" Nonbank Negotiable Negotiable Demand Demand Banks Thrift Cb's^ Deposits^ Deposits^/ Other Than Institutions^ CD's*/ Large CD's 2/ Date 1 "ft | *3 *4 *a M \ Plus Time M a Plus MjPlus Deposits at Deposits M2PIU5 at Large Commercial Nonbank Large Banks Negotiable Negotiable Thrift v Other Than CD***/ CD'si* Large CD's# ; Institutions^ Not Seasonally Ad usted Seasonally Adjusted 1974—MAR* APR* JUNE 275.2 ,276*6 585.5 I 589.4 ! 9*8*8 1 670.2 j !j 200.0 280*5 280,? I 2B1.1 597.1 599.7 602*2 603.8 608*1 613.0 614.3 955.9 959.9 963*0 965*5 971.2 978*3 982. 5 678.6 685.3 686.0 686.7 694.5 698*5 704*6 616.0 621*0 627.4 967*5 996.0 1007*6 708.9 713.2 717.4 1 JULY AUG-. SEPT* OCT, NOV. DEC a |i 197 5 ~ J AN* FEB. MAR* P 262*2 283,8 284.3 282.2 263*8 287*1 | j 940.0 945.9 653.4 663*3 loot.9 101V.6 102Ti3 2T2.5 2T2.9 589.7 1037*2 1063.6 1072*6 278*2 280.1 277.3 279.4 281.7 285.3 292*2 596.6 599.3 598.7 600*7 606*3 611.1 619.4 1080*4 1088*2 1097.5 289.3, 280*6 264*3 1043.5 1046*7 1050*3 1C57.4 584.9 593*5 276.2 , 621*9 618.5 627.0 1 ! i 941*1 952.2 946.3 957.4 961*2 958.9 961*2 9fc6.0 974.2 965.8 6*1*5 665.3 666.9 676K 662.1 685*8 689*4 695.1 696.2 709.8 * 992 . 9 993*5 960.1 1 1 | 1007.7 1024*0 1025.5 1V37.0 1044*0 1046*0 1049.9 1056*7 1061.2 1076*3 1085*0 1062*8 1066.3 714*0 707.9 715.2 WEEK ENOlNGt FEB. MAR, APR, * 12 19 26 261.6 264.2 263.6 264.7 3 12 19 26 P 266.3 266*1 266.2 R 287.3 2 P 287.6 616.8 621.2 621.0 623.4 j 624.0 626.0 627.0 R 628*0 629.5 709.7 714.1 713.3 714.7 262.0 261*8 261.1 278*0 714.2 717*2 716*7 R 718*3 283*3 263.4 R 284.2 R 262*3 720*0 286*1 ! | | 616.5 619*0 619.1 617.8 707.4 709*1 708*3 705.9 623*6 627.4 627.0 R 625.6 711.4 715.4 R 715*3 R 714*1 719.4 631.0 M 1/ * M « M J INCLUDES t l ) DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE OUE TO DOMESTIC COMMERCIAL BANKS AND THE U.S*GOVERNHENT, LESS CASH ITEMS I N THE PROCESS OP COLLECTION AND F . R . F L O A T , t 2 > FOREIGN DEMAND BALANCES AT P.R.BANKS) AND ( 3 1 CURRENCY OUTSIDE THE TREASURY, J U * * 6 A N K ^ A N D VAULTS OF * U . COMMERCIAL BANKS* 2 / INCLUDESf I N ADDITION TO CURRENCY AND DEMAND DEPOSITS, SAVINGS D E P O S I T S , TIME DEPOSITS OPPH ACCOUNT* AND TIME CERTIFICATES OF DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF 6 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS. 3 / INCLUDES M2* PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH DEPOSITS OF MUTUAL SAVINGS BANK, SAVINGS ANO LOAN SHAKES, AND CREDIT UNION SHARES* 4 / INCLUOES M 2 , PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF 6 1 0 0 , 0 0 0 OR MORE. 3 / INCLUDES H 3 , PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUEO I N DENOMINATIONS OF 6 1 0 0 , 0 0 0 OR MORE. Ft Of M l fltlf fWt ttat tiiletl K t l t . M H « Tabic 1 MONEY STOCK MEASURES f*ft CIHT CHANOE AT IIA80NALLY ADJUtTIO ANNUAL RATES 1 M* "l — ¥9 Mi Plus Tim* | Mi Plut Dtpoiit* Deposits at Currency Plus ! i t Nonbanh Thrift Commercial Demand Deposits^ Banks Other Than InitltutloniJ/ ! Large CD'S* DATE MARCH FRQMt | j 13 MONTHS PREVIOUS! 3.9 a*5 910*2 SEPT. 1974 <6 MONTHS PREVIOUS 1 4*3 7.B 8.1 MAR. ( 1 2 MONTHS PREVIOUS! 4.3 7*2 T.2 8.9 1*3 1974 9 M.Pius Large M j Plus Large J Negotiable C D * i y Negotiable C D ' * * 1974 DEC. * i * 8*3 j 9*2 7 3 **8 I 9*0 8*9 •A POUR WEEKS ENDING * APR* FROM POUR WEEKS ENDING! 2. 1975 JAN. It 1975 ( 1 3 WEEKS PREVIOUS! 4*4 OCT* 2« 1974 ( 2 6 WEEKS PREVIOUS! 4.5 ; 8*0 8,S APR* 3» 1974 ( 5 2 WEEKS PREVIOUS! 4*3 i 7.2 9.1 1/ INCLUDES C I ! DEMAND DEPOSITS AT ALL CONNERCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC CONNERCIAL BANKS AND THE U.S.GOVfcRNMfeNt* LESS CASH ITEMS I N THE PROCESS OF COLLECTION AND P.R.PLOATl 1 2 ! FOREIGN DENAND BALANCES AT F.fc.ftANKSI AND O t CURRENCY OUTSIDE THE TEASURY* P.R.BANKS AND VAULTS OP ALL COMMERCIAL BANKS. 2 / INCLUDES* I N ADDITION TO CURRENCY AND DENAND DEPOSITS, SAVINGS DEPOSITS* T I N E DIPOSITS OPEN ACCOUNT. AND TIHE CERTIFICATES OF DEPOSITS OTHER THAN NEGOTIABLE TINE CERTIFICATES OP DEPOSIT ISSUED I N DENOMINATIONS OF * l O 0 , O O O ON MOfcE BY LARGE WEEKLY REPORT ING CONNERCIAL BANKS* 3 / INCLUDES M2» PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH DEPOSITS OF MUTUAL SAVINGS BANKSt SAVINGS AND LOAN SHARES* AND CREDIT UNION SHARES. , 4 / INCLUDES N 2 , PLUS NEGOTIABLE TINE CERTIFICATES OF OEPOSIT ISSUED I N DENOMINATIONS OP * 100#000 OR MORE. 5 / INCLUDES N 3 . PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OP * 1 0 0 * 0 0 0 OR MORE. NOTEt ALL RATES OP CHANGE ARE BASED ON DAILY AVERAGE DATA I RATES OP CHANGE AftE NOT COMPOUNDED. PCDMM RIMRVI ttattotlwl RtUMt H.t Tabl* » COMPONENTS OP MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY ADJUSTED, IN IILLIONI OF DOLLARS Time and Savlnn Depotif Demend Deposits Currency Date L 1974—MAR. APR. MAY JUNE JULY AUG. 63.3 63.9 64.3 64*6 64*8 63.5 i 211*9 212*8 213*3 213*4 213*7 213*3 SEPT. 65.9 1 OCT. NOV. DEC. 66.5 67*3 67.6 1 2U.3 1975—JAN. FEB. MAR. P 215*7 216*3 216*6 i 1 Total Othtr CD'i^ H ^^ a a M H M M H M ^ H H M H W H i 68 . 6 73*9 78*5 81*3 83*6 83.8 84*8 86*2 85.5 90*3 310*3 312*7 314.0 317*1 i a il 319*2 321.5 322 * t 325*9 329.2 330*0 Nonbank ., Thrift Institutions2' | 378.3 386*7 392*3 396*4 402.6 405.2 4©?.5 412*1 414*7 420*3 68.1 68.6 69.4 214*1 213.1 217.7 92*9 92.2 89.9 333*8 337*2 340.4 426*7 429*4 430.3 68,2 68*6 68*8 68.6 213*6 213.6 214.8 215*9 93*0 92.9 92*3 91*3 335.0 337.1 337.5 338*6 427.9 430.0 429.7 430.0 354*3 366.5 357.1 366.6 360*4 360.7 361*6 363.1 1 363*3 366*3 371*5 375.0 360*1 WEEK ENDING! 1975—FEB. J 11 !•«• 5 12 19 26 MAR* 3 12 19 26 P 68.9 69.4 R 69.4 69*4 216.4 218*7 216*9 ft 2 1 7 . 9 90.2 89*3 89.6 90*3 338*7 339*6 340.8 R 340*7 426.9 429*1 R 430.5 R 431.0 APR. 2 P 69.7 217.9 90*5 341.9 432.4 *• 1 / INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100*000 OR MORE BY URGE WEEKLY REPORTING COMMERCIAL BANKS. 2 / AV1RAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS* SAVINGS AND LOAN SHARES* AND CREDIT UNION SHARES. • - PRELIMINARY! R ~ REVISED H o t M l MMJtVt tUtlttlMl R d * * i * N I Ttfelt 4 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT StAIONAUV ADJUSTED, IN BILLION! OF DOLLARS M M M M i t a ^ M M M M H M n n n n H f*MMMM«MMMttMMI 1 Ditfi Currency TottM* 62*7 63*5 64*1 64*e 65*3 6**7 65*6 1974—MAR. APR* MAY JUNE JULY AUG. 5EP7, Dtmirtd Dtpoiltt J DomtttiC J Honmtmb«r*| Mtmb§f 152*3 155*0 131*3 153*6 154,4 152*3 153*3 209*8 214*7 206*8 213*5 214.e 211*9 213.6 1 67.6 66*9 217.5 223.3 67.7 67,e 66,t 221*6 67*4 68*2 66*0 67.3 1 214*7 213.7 213*1 i 210*1 153*6 152*6 *2 19 26 P 66.2 69*1 68.8 66.5 215.1 216*3 21**3 213.6 154*1 154*4 153*6 152** 56*6 56*3 37*6 2 P 66.9 217.2 153*4 56*4 NOV* DEC. 1975-~JAN* «B. MAR. P 213*0 215*5 I j 155*9 160.3 ! 156*7 152*2 154*1 59.7 57.6 1 56.2 CD'i*V 66.7 71.e 54*1 56.2 54*6 56*1 56.6 56*3 57*0 57*7 56*4 59.7 i Tim* and livings Dipotlt | 77.2 1 79.6 62*6 61.1 66.7 66.6 6t*l 90.5 | Othtr TOtil 312.4 315.3 316.7 318.3 319.2 321.1 321.3 324*6 3*5*6 327.1 3?v*i 38 7 . 1 i93.V 397.9 402*0 406.2 4io.i 413.3 4li:,9 417.6 92*1 69*3 66*2 332.7 337.6 342.7 90*6 334.5 90*1 69*1 66*1 337.2 336.0 339*6 67*6 •7*9 66*2 i 424*7 4^7.1 430*9 i i 11 mtmmmmmm 1 Nonbank 1 Thrift J lrtitltutlort**1 356*2 35B.7 35&.1 360.0 361.9 3rt 0 . 3 360. h 361.7 363.0 366.5 i 311,0 375.0 353*1 U S Gov't Demand^/ 6.A 6*6 I 7.6 6*1 5.4 4.0 6*5 3*7 3*3 4.6 ; j 4*0 3*3 3*6 WEEK ENDING* -—-—» » ~- ~— 1975—MB. 5 12 19 26 MAR. APft. $ ! 152*1 160*6 1 67*7 5t»9 ; 57*6 fttnO M*» 425*3 427.3 4.3 3*0 427*2 421*9 3.1 66*6 340*3 342.C 342*9 ft 5 4 3 * 3 426*1 430.0 431*1 ft 4 3 1 * 6 2*7 2*6 4*4 4*4 66.4 344,9 433.3 4*2 I 3*4 \tttmmmmmmm 1 / TOTAL OEFOSITS INCLUDE, IN AtlOtTION TO THC MENU A AND DOM* IT I t HCMW D l f t O m i IMOWN, DEPOSITS DUfc TO FOREIGN AND INTERNATIONAL INSTITUTIONS AT f.A.BANKS AND Nl TYPE BALANCES At A«J'i it til AND SftANCHCS OF FORUGN *ANk$. 2 / SASED ON HOST RECENT CAU REPORT SINCU-DAY OSSEAVAtfONIi 9/ INCLUDES NtCOTIA.Lt TINE CERTIFICATES OF D t F f l S l f t l l U l D IN DENfiNlNMlIM*' OF 1X00,000 OR NORE BY LARGE MEEKLY REPORTING C0NNERC1AL SANKS. 4 / AVERAGE OF .WINNING AND END OF MONTH DEPOSITS AT HUtUAl SAVINGS tyANKi* SAVINGS AND LOAN SHARES, AND CREDIT UNION SHAftfeS. 9/ U.S.GOVtRNNtNT DEMAND DEPOSITS AT ALL COMNERClAL BAN*I. http://fraser.stlouisfed.org/ P - RRELtMtNARVt R - RSVtSED Federal Reserve Bank of St. Louis