Full text of H.6 Money Stock Measures : August 14, 1975
The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
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