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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