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FEDERAL

RESERVE

release

Table 1

'"OrR^

H6
M,
Date

Currency plus
demand deposits^

MONEY STOCK MEASURES
INjM
tiflti ntjflm*
Mj
LL

M i plus ttme deposits] M 2 plus deposits
at commercial, banks
at rtonbank
other than large
thrift Institutions3'
CD'iV
Seasonally Adjusted
887.8
567.2
895.3
572.2

Not Seasonally Adjusted

581.4
578. 5
584.9
593.5
589.6
596.1
599.0
598.5
600.4
605.9
610.8

905.9
905.4
915.7
926.7
922.6
930.8
934.5
932.6
934.6
941.1
947.0

r 283.3

610.0
612.1
612.6
r 613.4

284.1
284.9
285.4
282.8

609.7
611.1
611.3
609.0

285.8

615.2

288.7

614.4

575.5
580.8
585.5
589.4
591.5
596.7
599.4
602.0
603.6
607. 8
612.7

282.0
282.8
283.3

4 p

M 2 plus deposits
at nonbank
thrift institutions ^

i.

277.8
270*2
272.5
278.2
272.9
277.9
279.7
277.3
279.0
281.2
2B4.9

270.9
273.1
275.2
276.6
277.6
279.7
280.2
280.5
280.8
281.7
283.3

Dec.

•ST

M, ptus time deposits
at commercial banks
other than large

883.9
898.5

1974--Jan.
Feb.
Mar.
Apr.
May
June
July
Aug.
Sept.
Oct. p
Nov. p

6
13
20
27

Currency plus
demafid deposits*'

M

565.6
577.3

269.4
271.5

1974—Nov.

!T

For immediate Release
December 1 3 , 1974

270.9
279.1

1973—Nov.
Dec.

v

statistical

900*7
907.7
914.9
920.5
923.0
929.5
933.4
936.6
938.9
944.3
951.2

include* (i) demand deposit* at all commercial bank* other than those due to domestic commercial banks and the tl 8 Government less cash items in the process of collection ana F R Moat
(2) lore qn demand balances at F R Banks and
(3) currency outside the Treasury P R Banks and vaults ol all commercial banks
2/ includes in add I on IO currency and demand deposits savings deposits time deposits open account and I me gert licates ot depos is other than
_ Preliminary
r e

negotiable I me e n l caies ol dpposit issued in denominations ol 1100 000 or more by large weekly reporting commercial banks
P
nary
y includes Mj plus Hie average ol the beginning and end ol month depos ts ol mutual savings banks and savings arid loan shares
http://fraser.stlouisfed.org/
r - Revised
Federal Reserve Bank of St. Louis

tf.OtRAL RESERVE S»illt»tc*l I W M M H.6
Ttbl* 2

MONEY STOCK MEASURES
PER CENT CHANGE At SEASONALLY ADJUSTED ANNUAL RATES

TT

1i
fVnod

Currency plus
demand deposits17

M-

Mi plus lime deposits
at commercial banks
.other thin large

Mj plus deposits
at nonbdnk
thrift institutions^

Nov wither from*
AUR, 1974 (3 months previous)
May 1974 (6 months previous)
Nov. 1973 (12 months previous)

Four weeks ending! Dee*
from four weeks ending I

4*0
4,1
5,2

1A

4.3
4.2
5.2

7,0
7*0
8.0

8,0

4, 1974

Ssnrt* 4, Wfir-(\i
weeks previous)
June 5, 1974 (26 weeks previous)
Dec. % 1973 (52 weeks previous)

rnrninmirT
y

6.2
6#1
7*1

rTirtrfyriryrif^TiTinTT^^

iironnr \ lifcoi IT* 11 i\ i n

includes ft i demand deposits at all commercial banks other than thoae due to domestic commercial %m» m tm U t Oovarnmem less cash Items its the
process of collection and F « float
12) loreiga demand balances at F ft Banks and
,
13) currency Outside the Treasury F ft Banks and vaults of alt commercial tayfrs
v
includes m addition to currency and demand deposits savings deposits time deposits open account andttmecertificates of deposits other i
negotiable time cenificates of deposit tasuad to denomination* of S100 000 or more,by latfl fhttkfy fHftttltf commercial banks
* includes «? *****lf* average of the beginning and end of month depoafielrf mutual advmpa MUM i M tevWfts and kMMi Shares
Note Ail rates of change are baaed on daily average data rates of change are not compounded



FEDERAL RESERVE SttttltlCil R«l«tt« H.6

Tibia 3

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

Time ana iiviftti tftpttjltt
Date
/

I

Currency

1973—Nov.
Dec.

61.0
61.6

1974--Jan.
Feb.
Ma*.
Apr.
May
June
July
Aug.
Sept.
Oct. p
Nov. p

62.0
62.7
63.3
63.9
64.3
64.6
64.8
65,4
65.8
66.5
67.1

1974--Nov.

Dec.

J

6
13
20
27

p
p
p
p

67.0
66.8
67.1
67.4

4 p

67.8

Demand deposits
1

!
1

Nonbank
thrift institutions &

CD's^

Other

Total

208.4
209.9

63.1
63.8

297.7
300.7

360.8
364.5

320.6
323.1

208.9
210.4
211.9
212.8
213.2
215.0
215.4
215.1
215.0
215.2
216.2

66.4
68.2
68.0
73.9
78.5
81.3
83.6
83.8
84.8
86.2
85.5

304.6
307.7
310.3
312.7
314.0
317.0
319.2
321.5
322.8
326.1
329.4

371.0
375.9
378.3
386.7
392.5
398.4
402.8
405.3
407.6
412.3
414.9

325.2
326.9
329.5
331.1
331.5
332.7
334.0
334. 5
335.3
336.6
338.5

85.7
85.5
85.1
r 85.3

328.1
329.2
329.3
r 330.1

413.8
414.7
414.4
r 415.4

86.5

329.5

416.0

215.0
216.0
216.2
r 215.9
218.0

!
!

1

j

incudes negotiable time certificates of deoosu issued in denominations ol S100 000 or more by large weekly reporting commercial bank*
t ' &ve'*ge of beqmmng end end of month deposits at mutual savings banks and savings and loans shares.



1
|

1

j

"•" " V "Jl

p _ pr
>. - P

e

\ imlnary
-T
A

FEDERAL RESERVE Statistical Release H <
Table 4

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS
mmmmmmmmmmammmammmmmmmmmKimmHSmmmmm

Date

Demand deposits
Currency

156.4
151.1
152.4
155.8
151-. 3
153.6
154.4
152.4
153.5
- 154.5
156. 3

56.9
54.6
54.7
56.2
54.8
56.1
56.5
56.2
56.8
57.4
58.1

|
|j
I
1

216.8
217.3
217.7
| r 215.2

156.3
155.8
156.3
r 154.9

57.7
58.6
58.3
57.5

I

67.5
67.7
67.6
68.3

220.4

158.8

58.5

!

'
!

.

67.2 1
i

CD's ?/

216.2
208.3
209.8
214.7
208.7
213.1
214.4
211,6
213.2
214.8
217.3'

61.6
61.9
62.7
63.5
64.1
64.8
65.3
65. 7
65.8
66.4
67.6
p
p
p
p

Domestic
nonmember - ;
55.1
56.6

1974--Jan.
Feb.
Mar.

6
13
20
27

Time and savings deposit

151.8
157.0

61.5
62.7

1974--Nov.

Member

mmmummmmmmmmm

209.5
216.4

1973--NOV.
Dec.

May
June
July
Aug.
Sept.
Oct. p
Nov. p

Total "

i

L

|
j
i
|

Other

Total

64.3
64.0

294.7
298.2

359.0
362.2

65. B
66.1
66.7
71.8
77.2
79.6
82.8
87.1
88.7
88.8
87.1

303.6
308,3
312.4
315.3
316.7
318.3
319,2
321,2
321.4
324.7
326,0

369.4
374.3
379.1
387.]
393,9
397.9
402.0
408.3
410.2
413.5
413.0

87.4
87,1
86,7
r 86.8

325.6
326,2
325,9
* 326,2

413.0
413.3
412,6
i r 413,0

87,6

325, 7

413.3

y Total deposit* include, in addition to the member and domestic nonmember deposits shown, deposits due to foreign and international Institution?
at F R Banks and M j type balances at agencies and branches of foreign banks
2 / Based on most recent call report single day observations
3 / Includes negotiable time certificates of deposits issued in denominations of $100,000 or more by large weekly reporting comnierdal banks.
4 / Average of beginning and end of month deposits at mutual savings banks and savings and loan shares
/ UFRASER
S Government demand deposits at all commercial hanks
Digitized5for



]

Nonbank
thrift
institutions4

i

:1
!
!
i
!

UIIMH nil n m / m i — 1 . Lmmmmmimmmmmmm

US Gov't
demand6'

318.3
321.2

4.3
6.3

324.5
326,9
330.8
333.2
333,0
334.7
335.6
334,2
334.1
335.2
336.2

8.1
6,6
6,4
6.0
7.6
6.1
5.4
4.0
5.4
3.6
3.3

!
!
!
:

!
1

3.2
2.8
3.1
3,8
3.6