Full text of H.6 Money Stock Measures : August 28, 1975
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FEDERAL RESERVE flDEML RttlltVE Statistic*! RtlMtf H,6 statistical Till* 1 release For Immediate Releaia AUG. 2 8 , 1973 MONEY STOCK MEASURES IN BILLIONI OF DOLLAtt \ «i | "2 1 "4 *3 1- *S M? Bus Time M2P»U5 Currency Deposits at Ma Pius M3PIU1 Deposits at Plus Commercial Nonbank Large Large Demand Banks Negotiable Negotiable Thrift Deposits^ Other Than CD's*/ Large CD's ^ Institutions^ Oate Si aionally —»r~ 1 "a »2 M, Pius Time M^ Plus Mj Pius Mj Plus Currency Deposits at Dapoiits at Largt Large Commercial Plus Nonbank Negotieble Negotiable Banki Demand, 00*5* Deposits!/ Other Than ! Thrift «, CD*asV | Large CD's^1 institutions^ Not Seteenally Ad uited Adju ited 1974—JULY AUG* 280.H 260*5 ! ; OCT. NOV. DEC* 281*6 283,6 284*4 j 1073—4 AN. FEB, MAR* APR* MAY JUNE JULY 2B2*2 283*5 266.1 287*1 289*7 294*0 294*5 615*5 620*3 626*4 630*4 637.3 1 647*3 r 651*7 294*8 649*1 733*3 290*3 645*4 727*1 293*7 293*5 295.3 295*0 293*4 648*7 649*7 652*5 652*8 651*7 732*9 733*3 735.4 734*5 732*2 293*6 295*9 296.9 292*4 269*9 649*3 632*2 654*0 630*1 648*0 731*0 733*5 733*2 731*3 729.4 293*6 292*5 291.9 632*1 ! r 652*1 651*1 t 713.1 t 733.2 732*2 UtEK ENDING 1 mmmmM^_M 1973—JUNt 25 JULY AUG* 2 9 16 23 50 6 13 P 20 P | 1 1 t 295*6 294*3 294*8 599*6 601*9 6C3.4 607 it) 611*6 613*5 1 654*2 r 653*8 654.4 1 959*6 962*6 683*2 6B3*7 970*7 976*9 981.7 987*0 995*6 1007*2 1017*2 1029*7 1046*5 * 1057*3 693*8 697*1 703*8 1043*2 1046*4 1049.9 1036*9 1062*5 1072*0 280*0 277.3 27A.9 281.2 283*1 292*3 708*3 712*4 716*1 718*8 722.9 731*3 r 733*8 1079*8 1087*6 1097*0 1103*6 1115*3 r 1130*5 r 1139*4 289*3 280*4 283*3 268*7 284*9 292*1 r 294*0 r 733*6 732*5 732*3 ^s W4 r r 960*9 950*7 960*8 967*4 972 .6 985.1 661*9 685*5 689*0 694*3 696*8 709.1 992*4 621*5 617*9 993.3 625*9 | 1008*6 634*8 ' 1023*9 \ 633*5 1029*6 646*8 t 1046*2 t 651*2 t 1059*0 713*4 707*1 ti3*9 720*6 719*6 729*1 if 732*3 599*2 598.4 600*3 605*7 609*8 618*6 i 1043.7 1043.8 1049*3 1036*2 1059*9 1073*3 1 r r 1084*4 1082*5 1096*6 1109*8 1113*7 1130*5 1140*3 1 / 1NCLU06S 111 DEMAND DEPOSITS AT ALL COMtERClAL BANKS OTHER THAN THOSE DUE TO DOMESTIC COMMERCIAL BANKS AND THE U*S .GOVERNMENT, LiSS CASH ITEMS IN THE PROCESS Of COLLECTION AND F.R*FLOAT| it) FOREIGN DEMAND BALANCES"*** F.ft.BANKS I AND <3> CURRENCY OUTSIDE THi TREASURY, P .A .BANKS AND VAULTS OP ALL COMMERCIAL BANKS* t / INCLUDES* IN ADDITION TO CURRENCY AND DEMAND DEPOSITS* SAVINGS DEPOSITS* TIME DEPOSITS OPEN ACCOUNT, AND T{ME CERTIFICATES OF DEPOSITS OTHER THAN NEGOTIABLE TINE CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF • 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS. 1 / INCLUDES M2 t PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH DEPOSITS OF MUTUAL SAVINGS BANK, SAVINGS AND LOAN SHARES, AND CRtOIT UNION SHARES. INCLUDES M2, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE* *V/ IMCtUDftft M3, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE. http://fraser.stlouisfed.org/m PRELIMINARY! R - REVISED Federal Reserve Bank of St. Louis FI&MAL Kt3ER¥€ SUlItltCi! R t t t i l t H i Tabl" 2 MONEY STOCK MEASURES PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL M T C S M, DATE Mi P\*t% Time Deposits at Currency Plus Commercial Demand Deposits^ Banks Other Than large C D ' s ^ M^ Plus Deposits fit Nortban^Thrlft Institutions!^ M, M5Ph»s Large ,J Negotiable CD's 3 ' 1 M. M$Plti3 Large Negotiable CD's V JULY FROM! APR. 1975 (3 MONTHS PRtVfOUS) 10*3 13,5 15.0 JAN. 1975 (6 MONTHS PREVIOUS) 8»7 ll.B 14*2 7.2 1U0 JULY 1974 (12 MONTHS PREVIOUS) 5.0 *#T 10.2 7 #4 9#2 8*5 12*0 6.5 t l *4 6.2 8*6 6 #9 12*2 FOUR WEEKS ENDING! AUG. 20t 1975 PROM FOUR WEEKS ENOING* MAY 21 t 1975 (13 WEEKS PREVIOUS) FE&« 19t 1975 (26 WEEKS PREVIOUS) AUG. 21, 1974 (52 WEEKS PREVIOUS) l / 5*0 ' X i ^ f i J " B1**!10 D E P O S m A T A U COMMERCIAL BANKS OTHER THAN.fhOSS DUg KB P Q N f n t J B M M H C t A L lAUKS, AND THE u\S.GOVERNMENT. LESS CASH ITEMS IN THE PROCESS OF COLLECTION AND F.R*PLUAT$ ( 2 ) POTION fiirttf© WiHOH At F*ft.BANKS! AND ( 3 ) CURRENCY OUTSIDE THE TEASURY, F.R.BANKS AND VAULTS OF ALL COMMERCIAL BANKS* 2 / INCLUDES, IN A00X7I0N TO CURRENCY AND DEMAND DEPOSITS* SAVINGS DEPOSITS* fttlft BtJpSifS DPiN ACCOUNT. AND TIME CERTIFICATES OF J ! ! 0 ™ * ? ! ? ! . * T ^ N^OTI_A_BLE_TJME CERTIFICATES OF DEPOSIT.ISSUED I N O t l f O r a f a l H N l O l iiOD»OOOiOR HORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS. 3 / INCLUDES * 2 . PLUS THE AVERAGE OF THE BEGINNING AND END OF HONtH DEPOSITS W BOWAL SAVINGS BANKS. SAVINGS AND LOAN SHARES, AND CREDIT UNION SHARES. 4 / INCLUDES M2. PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN BiNflMSAjIBlfl 0* iiW>*DOO OR MORE* 5 / INCLUDES M3, PLUS NEGOTIABLE TIME CERTIFICATES OF OEPOSIT ISSUED IN b C N D U H V l t M I 0 *iOD MO OR MORfit NOTEI ALL RATES OF CHANGE ARE BASED ON DAILY AVERAGE OAtA* RAttS OF tHAN&l 4ftif J|8t COHPSUNeiD. FtMlAt MMIIVf MtftotlcrttotemM.« Ttfcli I COMPONENTS OF MONEY STOCK MEASURES AND MLATED ITEMS MMONM.IV MJMTIO, IN lIUIMUOr M I U M mamm*mmm*mmmm*mtmm | Datt Currency timt md ii¥i>m o»p»iitt J DtmEnd Deposits | CD'§J> TDt.l Othtr Nonbirtk ^ Thrift i M t l t u t l M t * LMM«HMMiMtttfMlMia**fMMMMMiMM MMMiHMMHnpMtoMMIIiMMMMIMBBiMM 1974—JUL V AUG. SEPT. I as.A 64*8 69.3 63 #9 213.0 214.8 67*4 67*9 216*2 216.5 66*2 68.8 69.3 69 . 6 70.3 71.2 71.3 214.0 214.7 2 1 * #6 217.5 219.4 222.8 223.0 1 NOV. DEC. 1 m*—JAN* FEB, MAR* APR. MAY JUNE JULY 1 323*9 328*0 329.1 nui 402*8 409«2 407*5 412*1 413*6 419*4 360.0 360*7 361.7 363.2 363*3 368*2 92.7 92.1 89*6 88*4 83.3 64.1 62.1 333.3 336.8 340*3 343*3 347*4 333*3 337.2 426*0 428*9 430*0 431.7 433.1 437*3 439*3 371.9 373.3 360*8 386.8 392.4 399*2 403.6 334*3 438.3 355*0 336*1 337*2 337.9 358*3 439*2 439.7 440*1 439.3 436.6 aa t6 83*8 64*8 66*2 85.5 90*3 1 ; I | j j 319.2 321*5 ! t WEEK ENDING? 1973—JUNE 23 JULY 2 9 16 23 | i 30 AUG. 6 13 P 20 P ! 71.4 223.4 64.2 71.0 71.6 71.A 71.5 71.5 222.7 222.0 223*9 223.5 221.8 84.2 83*6 82*9 81*6 60*8 71.9 72.0 71.9 * 223.1 r 222.3 222*9 r 79*4 78*7 77*9 1 i r 356*6 359.5 359.5 ! f 436.0 438.2 437.3 • T^WCTUBR NKflTIABl? Vine CERT!P!CATS5 B F DEPOSIT ISSUED ]^1 D E N O H I N A T l b N S bf ' I 1 W . 5 W 6* UB1!1'iv LAW? »RULV wwiING COMMERCIAL BANKS. 2/ AVERAGE OF 5EGINN1NG AND END OF KONTH DEPOSITS AT MUTUAL SAVINGS 8ANKSf SAVINGS ANO LOAN SHARES, AND CREDIT UNION SHARES. P - PRELIMINARY! R - REVISED FtOtftAl R t l t K V t tUtUtlcal R«l«tt« H 6 Tabl. 4 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED. IN BILLION* OF DOLLARS 0«m«nd Dtpoitit Date Currency 3 Tola! * Tlma and Savlnga Dapattt Mamber Domastlc Nonmambar2| CD'i^ Other Total Nonbink Gov't. Thrift m U.S. Dam and JN Institutional 65*3 65.? 65*8 66*4 67*9 69*0 214*7 21U6 213*1 214*7 217*3 223*3 154*4 1*2.3 163*3 154.4 156*0 160*4 56.5 56«i 56*6 57*1 57*7 58*9 82*6 37.1 88*7 88*8 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*6 361*7 360*3 360.5 361 91 363*0 366*5 67*8 67*9 b8*9 69*2 70.1 71.3 r 72*0 221.5 212*6 214*4 219*5 214*6 220.8 222.0 158*9 152*4 154*0 157*6 154*1 157*? 158*5 58*7 56*6 57*1 58.8 57*8 60*6 60*5 91.9 89*2 88*1 85*8 84*1 62.3 81*3 332*2 337*4 342*6 546*1 350.6 354*6 987*2 424*1 426*6 430*6 432*0 434*7 436*9 438*5 371.0 375*4 382*7 389*1 394*1 401*5 407.8 71.0 219*5 156*9 59*6 81*7 354*9 436*6 2 9 16 23 30 71*4 73*1 72.3 71*8 71*2 222*2 222*9 224*5 220*6 218*7 158*9 158*? 160*0 157*6 156*6 60.0 61*1 61*5 60*0 59*1 Wit 81. 4 355.7 356.3 $58*2 437*4 437*6 438*3 439.0 439*5 6 13 P 20 P 72.4 72.7 72.3 221*2 2i?*e 219*6 158*1 156*3 156.2 60*2 60.7 60*3 358*5 *59*S 3*9.2 439*5 440*7 440*3 1974—JUIY AUG. SEPT. OCT* NOV* DEC* 1975—JAN * PEE. MAR* APR* MAY JUNE JULY r 4*0 3.4 3*9 4*2 4*2 4*2 3*4 WEEK ENDING' 1979—JUNE 25 JULY AUG* f 1 / +6VAL OEPOSIFS INCLUDEt IN AOOITTON 70 THE MEMBER AND DOMESt ric NehMSM&fcfc INTERNATIONAL INSTITUTIONS AT F*R •BANKS AND Ml TYPE BALANCES AT AGEMfelES 81,1 81*2 *£** SUO 81*1 rareim 357.8 * wm%"DSWBSITS.DUE TO FOREIGN AND AMBffeSUNfeWgS OP FOREIGN SANKS* 7/ BASED ON MOST RECENT CAL* REPORT SINGLE-DAY O&SfeftVATlONS* .1 - l % 3/ INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OH! H6I&1O6D OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS* 4/ AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS* SAVINGS"TBW.TBAITSHARES* AND CREDIT UNION SHARES* 9/ U*S.GOVERNMENT DEMAND DEPOSITS AT-ALL COMMERCIAL BANKS* P - PRELIMINARY* R - REVISED