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FEDERAL

RESERVE

FEDERAL RESERVE SUIIitical Rtltai* H.6

statistical

release

**r Immadiat* ftalaatt
t4 • i<m

T.bl* i

AUO.

MONEY STOCK MEASURES
IN BILUOKI OF DOLLAR*
»1

T1 rv- nci T"

|Ij

—ar-]iq

•MMNMNMfcM mmmmtHtmmm

fTT"

H

U\ Plus Time]
MjPiUS
MjPius j
MjPlus
M2P!u»
Currency Deposits at! Deposits at
M3 Plus
Currancy
Deposits at
Commercial
targe
Larga
Plus
Large
Large
Plui
Non bank
Non bank i Negotiable
Demand
Banki
Bank*
i Negotiable
Thrift „
Thrift
i Negotiable Negotiable! Demand
Than' Institution**
Deposited Other Than Imtltutiont^
CD's!/
CD's*
CD'stf
cow ! DapoiltiJ/ .Othar
UrgCD'a*
Urge CD's A]
Not Saaaonally Adjusted
teetonelly Adjutted

Date

280*0
277*3
2T§*9
261*2
285*1
292*3

599*2
598.4
600*3
60S* 7
609*6
618*6

960.9
938*7
960*8
967*4
972*8
985*1

681.9
685*8
696*8
709.1

1643*7
1045*8
1049*5
1056.2
1059.9
1075*3

1079.8
1087*6
1097*0
1105*6
1115*3
1130*4
1139*2

289*3
280*4
263*3
288*7
284.9
292.1
294*1

621*5
617*9
625*9
634*0
635.5
646*8
651*4

992*4
993.3
1008*6
1023*9
1029*6
1047*9
1038*7

713*4
707*1
T13*9
720.6
719*6
729*1
732*7

1084*4
1062.3
1096.6
1109.8
1113*7
1130*2
1140*0

730.4
731*9
733.3

292*6
294.2
290.3

646*9
648*8
645.4

729.8
731.1
727.1

648*7
649.6
* 652*5
| r 652*6
j * 652.0

732.9
733*3
735*4
r 734.5
t 732*5

293*6
293*9
296*9
v 292*4
Y 290*0

649*3
652.2
654.0
648*3

731.0
733.3
733.2
* 731.3
* 729*7

653.7

733.2

293.5

631*6

732.6

959*6
962*6
965*0
970.7
976*9
981*7

683*2
685*7
688*2
693*8
697*1
703.8

282.2
283.5
286.1
287.1
289.7
294*0
294*5

615.5
620*3
626*4
630*4
637*3
647.3
651*8

987.0
995.6
1007*2
1017*2
1029.7
1046**
1057.1

708*3
712*4
716*1
718*8
722.9
731.3
733.9

294*2
294.1
294.8

646*3
647*6
649.1

2
9
16
23
30 P

293.7
293.5
295*3
t 295*0
t 293*5

6 P

295.4

i
1

1975—JAN.
FEB.
MAR.
APR.
MAY
JUNE
JULY P

260.4
280*3
280.7
261*6
283.6
284.4

1046*4
1049*9
1056*9
1062*)
1072*0

599.6
601*9
603.4
607*6
61L6
613*5

1974--JULY
AUG.
SEPT,
OCT.
NOV.
DEC.

i

1043*2 1

i

mm
694*3

WEEK ENDING!
1975—JUNE

11
18

25

JULY

AUG.

i

immm^mmmmmtmm

1/

1 v 650.1
t

f

i

INCLUOES ( I I DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC COMMERCIAL BANKS AND THE U.S *GOVERNMENT»
LESS CASH ITEMS I N THE PROCESS OF COLLECTION ANO F . R . F L O A T l <2) FOREIGN DEMAND BALANCES AT F.R.BANKSt AND 13) CURRENCY OUTSIDE
THE TREASURY, F.R.BANKS ANO VAULTS OF ALL COMMERCIAL BANKS*
2 / INCLUDES* IN ADDITION TO CURRENCY AND DEMAND DEPOSITS* SAVINGS DEPOSITS* TIME DEPOSITS OPEN ACCOUNT* ANO TIME CERTIFICATES OF
DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF 1 1 0 0 * 0 0 0 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS.
3 / INCLUOES * 2 * PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH DEPOSITS OF MUTUAL SAVINGS BANK* SAVINGS ANO LOAN SHARES* AND
CREDIT UNION SHARES.
<•/ INCLUDES M2» PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF 1 1 0 0 * 0 0 0 OR MORE.
5 / INCLUOES M3» PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUEO I N DENOMINATION* OF $ 1 0 0 * 0 0 0 OR MORE*
http://fraser.stlouisfed.org/

P * PRELIMINARY!
Federal Reserve Bank of St. Louis

R - REVISED

~

FEDERAL i f S E R V E S t a t i s t i c a l Release H 6

Table 2

MONEY STOCK MEASURES
PER CENT CHANCE AT SEASONALLY AOJUSTED ANNUAL HATES
'3
Mi Plus Time
Deposits at
Currency Pius
Commercial
Demand Deposits-*/ Banks Other Than
Large C P ' s ^

DATE

M 2 Plus Deposits
at Nonbank'Thrift
Institutions'^/

*#
M 2 Plus Large .J
Negotiable CD's 37

MP

Ms Plus Large r
Negotiable CD's"

JULY FROM!
APR,

1975

<$ MONTHS PREVIOUS)

JAN*

1975

(6 MONTHS PREVIOUS)

JULY

1974

U 2 MONTHS PREVIOUS!

FOUR WEEKS ENDING! AUG*
FftgM FOUR WEEKS ENDING*

6*

13*6

13 «7

8.4

12*2

11*0

H«2

7,2

11*0

5*0

a*?

10«2

7*4

9,2

10*3

1973

MAY

7#

1973 (13 WEEKS PREVIOUS!

10*9

13*9

FEB.

5t

1975 126 WEEKS PREVIOUS!

9*2

12*0

AUG,

7,

1974 ( 5 2 WEEKS PREVIOUS!

5,1

8*7

1/

INCLUOES ( 1 ! DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER
LESS CASH ITEMS I N THE PROCESS OF COLLECTION AND P*A .FLOAT*
THE TEASURY* F.R.BANKS AND VAULTS OP ALL COMMERCIAL BANKS.

f|)

8*3

7 *3

THOSB Mil TO W W STIC COMMERCIAL BANKS AND T W U.S.GOVERNMENT,
FQREIftN DENA m MLAKCiS AT F.R.BANKSI MfD l»> CURRENCY OUTBID!

2 / INCLUDES, IN AOOITION TO CURRENCY AND DENANO DEPOSITS. SAVINMOfPOSITSt TINE PIPOtlYS OPEN ACCOUNT* AND TIME CERTIFICATES Op
DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OP DEPOSIT ISSUED IN DENONlNAITtftNi jtf « 0 0 » 0 0 * OR MORE BY LARGE MEEKLY REPORTING COMMERCIAL BANKS*
3 / INCLUDES M2, PLUS THE AVERAGE OF THE BEGINNING ANO *W> OF MONTH DEPOSITS OF NUTUAL SAVtNES RANKS. SAVINGS ANO LOAN SHARES*
ANO
r
CREDIT UNION SHARES*
4 / INCLUDES H*. PLUS NEGOTIABLE TIME CERTIFICATES OF OEPOSfT ISSUED IN DENOMINATIONS Op SI00,000 OR MORE.
3 / INCLUDES M$, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OP • 1001000 OR MORE.
NOTE I ALL RATES OF CHANGE ARE BASED ON DAILY AVERAGE DATA I RATSS OF CHANOR A M NOT COMPOUNDED*



FEDERAL RESERVE Statistical Releaje H.6

Table 3

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
SEASONALLY ADJUSTED, IN BILLIONS OP DOLLARS
!
Date

^

Time and Savings Deposits
CD's^

1974—JULY
AUG.

64.8
65.5
65*9
66.5
67.4
67.9

SEPT*
OCT.
NOV.
DEC.

68.2
68.8
69.5
69.6
70*3
71.2
71.5

1975—JAN,
?£B*
MAR.
APR.
MAY
JUNE
JULY P

|

Demand Deposits

Currency

I
|
1
1
i

I

Total

Other

215.6
215.0
214.8
215.2
216.2
216.5

83.6
83.8
84 f 8
86.2
85*5
90.3

319.2
321.5
322*7
325.9
328 .0
329.1

402*8
405*2
407*5
412*1
413*6
419.4

214.0
214*7
216.6
217.5
219,4
222.8
223.1

92.7
92.1
89.8
88,4
85.5
84.1
82.1

333.3
336*8
340.3
343*3
347.6
353*3
357.2

426*0
428.9
430*0
431*7
433.1
437,3
439.4

84.1
84.1
84.2

352*1
353.5
354.3
355.0
356.1
357.2
357.8
358.5

439.2
439*7
440.1
439.5
439.0

|

358.3

437.8

j

360 .0
360.7
361*7
363*2
365.3
368.2

1

1
1
i

Nonbank
,
Thriftjnstitutlons^

371 .5
375.3
380*8
386.8
392.4
399,0
405 .3

WEEK ENDING:
1975—JUNE

n

16
25
JULY

AUG.

2
9
16
23
30 P
6 P

!

!

r

71.1
71.2
71.4

223.1
222.9
223.4

71.0
71.6
71.4
71.5
7L.6

222.7
222.0
223.9
! r 223.5
| r 221.9

84.2
83*6
82.9
r 8146
r 80.5

71.8

223.6

79.5

1

1
!
r

|

436*2
437.7
438*5

1NG COMMERCIAL BANKS.
2j AVERAGE OF BEGINNING ANO ENO OE MONTH DEPOSITS AT MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARES, AND CREDIT UNION SHARES.
- PRELIMINARY; R - REVISED




PIDIHAL REIERVt S U t l i t l c t l

ftctfillf

H6

Tabic 4

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS
Damand Dapotitt
Datt

Currency

65.3
65.7
65.8
66.4
67*9
69.0

1974—-JULY
AUG.
SEPT*
OCT*
NOV.
OEC.
1975—JAN*
FEB.
MAR.
APR.
HAY
JUNE
JULY P

!
1
j
11
I
!

1
1

Tim* and Saving* Df petit

Domaiticj
Nonmtmby^j

CD's*

Othar

™J

Total

Nonbank
Thrift
Institutions^

U S Gov't
Demand^

Total^

Mem bar

214.7
211*6
213.1
214*7
217.3
223.3

154*4
152.3
153.3
154*4
156*0
160*4

56*5
56.1
56.6
57*1
57*7
58.9

82*8
87.1
88*7 j
88*8 1
87.1
90*5

319.2
321*1
321*3
324*6
324*6
326*3

402.0
408.2
410*1
413.3
411.7
416*8

361.7
360*3
360*5
36K7
363.0
366*5

332*2
337.4
342*6
346*1
3 50*6
354*6
357*3

424*1
426*6
430*6
432*0
434.7
436*9
438*6

371.0
375.4
382.7
389.1
394.1
401*1
407*4

354*3
354*6
354*9

437.2
436*9
436*6

3.4
5*8
4.9

355.7
356.3
1
357.1
I
357*7
* 358*3

437.4
437.6
438*3
439*0
439*7

3.1
4.4
3*6
3.4
2.7

439.3

3.1

I

67.8 !
67.9
68*9
69*2
70*1
1
71.3
72.1

221*5
212*6
214.4
219*5
214*8
220*8
222*1

158*9
152*4
154.0
1*7*6
154*1
157*9
158*5

58*7
56*6
57*1
56.8
57*8 |
60.0
60*5

91*9
89*2
88*1
85*8
84*1
82*3
81*3

71.7
71.4
71.0

220*8
222*8
219*5

157.7
159.3
156*9

60*3
60*6
59*6 |

82*9
82*3
01*7

71.4
73*1
72*3
71.8
71.2

222*2
222*9
224*5
220*6
218*8

158*9
158.7
160*0
r 15T.6
v 156*7

60*0
61.1
61.5
60*0
59*2

81*7
81*4
81*2
81*2

221*1

158*0

60*2

BUZ

5.4
4*0
5.5
3.7
3.4
4*9
j

4.0
3*4
3.9
4.2
4.2
4.2
3.5

WEEK ENDING?
1975—JUNE 11
18
25
JULY

AUG.

1/

2
9
16
23
30 P
6P

1
1

72.3

1
r
r

|
1
j

ei.v

;

*

358*2

T0TA4 DEPOSITS INCLUDE* I N ADDITION TC THE HEMB6I \ AND O0MEST I C NONHEfll Eft DEPOSITS SHOWN. DEP BSITS DUE T
D FOREIGN A ND
INTERffAT^itifNAL INSTITUTIONS AT F.R.BANKS AND HI TYPE BALANCES At AGENCIES AND BLANCHES OF FOREIGN BANKS.
2 / BASE£ ON HOST RECENT CALL REPORT SINGLE-DAY OBSERVATIONS.
3 / INCLUDES NEGOTIABLE TIME CERTIFICATES OP DEPOSIT ISSUED tU DENOMINATIONS Of * 1 0 0 , 6 0 0 OR MORE BY L/5RGE WEEKLY
REPORTING COMMERCIAL BANKS*
4 / AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS. SAVINGS AND LOAN SHARES• AND CREDIT UNION SHARES*

5 / U.S.GOVERNMENT DEMAND DEPOSITS AT ALL COMMERCIAL BANKS*
http://fraser.stlouisfed.org/
P - PRELIMINARY!
R - REVISED
Federal Reserve Bank of St. Louis