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FEDERAL RESERVE statistical release
H.6 (508)
Table 1

MONEY STOCK MEASURES

For release at 4:30 p.m. Eastern Time

Billions of dollars

December 18, 2003

Date

M11

M22

M33

Seasonally adjusted
2001-Dec.

1172.9

5445.1

8006.2

2002-Jan.
Feb.
Mar.
Apr.
May
June
July
Aug.
Sep.
Oct.
Nov.
Dec.

1179.0
1185.2
1187.1
1172.6
1183.3
1188.9
1195.7
1184.5
1191.3
1202.6
1202.2
1210.4

5469.1
5507.4
5508.3
5494.8
5557.5
5587.7
5635.5
5673.4
5699.1
5737.0
5777.3
5792.9

8017.9
8069.6
8082.8
8085.0
8152.4
8180.9
8227.1
8293.7
8335.3
8346.9
8470.0
8525.8

2003-Jan.
Feb.
Mar.
Apr.
May
June
July
Aug.
Sep.
Oct.
Nov. p

1212.8
1233.4
1236.7
1236.9
1257.8
1271.9
1277.8
1285.7
1288.0
1286.9
1281.9

5821.8
5875.0
5887.1
5910.0
5998.7
6047.5
6099.5
6143.6
6122.4
6091.9
6070.5

8526.0
8572.9
8599.3
8617.6
8711.7
8780.2
8916.9
8956.5
8953.6
8896.1
8861.3

Not seasonally adjusted
2001-Dec.

1202.9

5488.1

8078.0

2002-Jan.
Feb.
Mar.
Apr.
May
June
July
Aug.
Sep.
Oct.
Nov.
Dec.

1185.2
1171.2
1188.7
1187.9
1177.5
1186.5
1193.4
1176.6
1181.3
1192.4
1200.8
1240.3

5476.4
5494.5
5543.3
5557.1
5525.8
5564.0
5606.9
5651.2
5677.1
5716.4
5791.9
5842.2

8059.8
8102.1
8148.5
8143.7
8130.5
8154.4
8173.9
8242.2
8260.4
8290.1
8485.8
8603.5

2003-Jan.
Feb.
Mar.
Apr.
May
June
July
Aug.
Sep.
Oct.
Nov. p

1219.9
1219.2
1238.2
1253.0
1251.3
1269.0
1274.3
1279.6
1275.6
1276.2
1281.0

5830.6
5857.0
5919.5
5976.8
5964.0
6016.4
6065.4
6122.8
6096.8
6073.4
6091.5

8570.1
8603.0
8661.3
8679.5
8687.4
8749.1
8858.1
8906.3
8874.5
8843.3
8884.3

Footnotes appear on the following page
p
preliminary
Components may not add to totals due to rounding.



Page 2
H.6 (508)
Table 2

MONEY STOCK MEASURES
Percent change at seasonally adjusted annual rates

3

Months

from

Aug.

6

Months

from

May

12

Months

from

Nov.

2003
2003
2002

TO
TO
TO

Nov.
Nov.
Nov.

Thirteen weeks ending December 8 , 2003
from thirteen weeks ending:
Sep. 8, 2003 (13 weeks previous)

2003
2003
2003

M1

M2

M3

-1.2

-4.8

-4.3

3.8

2.4

3.4

6.6

5.1

4.6

1.4

-1.3

-0.5

June

9,

2003

(26

weeks

previous)

6.3

4.8

5.4

Dec.

9,

2002

(52

weeks

previous)

7.0

5.9

5.8

Footnotes to Table 1:
1.

2.

3.

Consists of (1) currency outside the U.S. Treasury, Federal Reserve Banks, and the vaults of depository institutions; (2) travelers checks of nonbank issuers; (3) demand deposits at all
commercial banks other than those due to depository institutions, the U.S. government, and foreign banks and official institutions, less cash items in the process of collection and Federal
Reserve float; and (4) other checkable deposits (OCDs), consisting of negotiable order of withdrawal (NOW) and automatic transfer service (ATS) accounts at depository institutions,
credit union share draft accounts and demand deposits at thrift institutions. Seasonally adjusted M1 is calculated by summing currency, travelers checks, demand deposits, and OCDs,
each seasonally adjusted separately.
Consists of M1 plus savings deposits (including money market deposit accounts), small-denomination time deposits (time deposits in amounts of less than $100,000), and balances in retail
money market mutual funds. Excludes individual retirement account (IRA) and Keogh balances at depository institutions and money market funds. Seasonally adjusted M2 is computed by
summing savings deposits, small-denomination time deposits, and retail money fund balances, each seasonally adjusted separately, and adding this result to seasonally adjusted M1.
Consists of M2 plus large-denomination time deposits (in amounts of $100,000 or more), balances in institutional money funds, RP liabilities (overnight and term) issued by all depository
institutions, and Eurodollars (overnight and term) held by U.S. residents at foreign branches of U.S. banks worldwide and at all banking offices in the United Kingdom and Canada.
Excludes amounts held by depository institutions, the U.S. government, money funds, and foreign banks and official institutions. Seasonally adjusted M3 is calculated by summing large
time deposits, institutional money fund balances, RP liabilities, and Eurodollars, each seasonally adjusted separately, and adding this result to seasonally adjusted M2.
Note: Current and historical H.6 data are available each week on the Federal Reserve Board's web site (http://www.federalreserve.gov/). Monthly data are available back to January
1959, and weekly data are available back to January 1975 for most series. For information about individual copies or subscriptions, contact Publications Services at the Federal Reserve
Board (phone 202-452-3245, fax 202-728-5886). For paid electronic access to current and historical data, call STAT-USA at 1-800-782-8872 or 202-482-1986.




Page 3
H.6 (508)
Table 3

MONEY STOCK MEASURES
Billions of dollars
Seasonally adjusted
M2

M1
Period ending
2003-Sep. 15
22
29

M3

13-week
average

4-week
average

week
average

13-week
average

4-week
average

week
average

13-week
average

4-week
average

week
average

1281.1
1282.8
1283.3

1280.4
1283.3
1286.7

1284.2
1294.5
1290.6

6113.6
6118.7
6121.1

6129.1
6128.1
6121.9

6128.4
6120.8
6107.6

8921.7
8934.2
8941.6

8944.2
8949.9
8955.4

8971.4
8952.9
8950.4

Oct.

6
13
20
27

1285.1
1285.6
1286.2
1286.9

1289.8
1287.1
1284.5
1284.3

1289.9
1273.5
1283.9
1289.8

6121.7
6122.7
6123.1
6121.9

6115.0
6108.3
6101.3
6094.3

6103.2
6101.5
6092.9
6079.4

8941.7
8940.8
8941.1
8938.9

8947.6
8930.6
8915.6
8898.6

8915.5
8903.6
8892.9
8882.4

Nov.

3
10
17
24

1287.2
1287.7
1285.9
1285.7

1288.1
1291.3
1290.6
1288.3

1305.2
1286.2
1281.1
1280.7

6117.5
6112.8
6105.0
6099.9

6087.1
6082.5
6080.7
6075.3

6074.4
6083.4
6085.6
6057.8

8932.2
8923.5
8915.0
8909.2

8889.3
8880.8
8875.8
8868.7

8878.3
8869.6
8872.9
8854.1

1285.2
1285.1

1279.5
1277.2

1270.1
1276.8

6093.9
6087.8

6070.4
6062.5

6054.7
6051.7

8902.6
8893.5

8859.9
8849.6

8842.8
8828.7

Dec.

1p
8p

Not seasonally adjusted
2003-Sep. 15
22
29

1276.2
1273.9
1272.9

1257.3
1275.0
1305.2

6087.4
6093.5
6095.2

6115.2
6113.7
6096.2

6138.4
6067.2
6033.7

8867.4
8876.8
8880.3

8891.0
8889.4
8875.7

8936.6
8842.8
8812.1

Oct.

6
13
20
27

1276.2
1276.1
1276.1
1276.6

1274.6
1272.2
1272.0
1270.5

1260.9
1247.8
1274.2
1299.0

6094.5
6096.0
6098.7
6099.1

6084.0
6073.0
6077.4
6077.7

6096.5
6094.7
6084.8
6034.6

8877.1
8876.1
8877.6
8876.9

8859.3
8841.4
8843.5
8845.2

8845.5
8865.0
8851.4
8819.0

Nov.

3
10
17
24

1278.4
1278.8
1276.7
1276.6

1284.6
1285.5
1282.2
1278.4

1317.3
1251.5
1261.0
1283.8

6094.8
6092.4
6088.6
6087.5

6070.3
6071.1
6078.7
6084.7

6066.9
6098.1
6115.0
6058.7

8870.7
8865.8
8864.2
8865.5

8845.5
8849.8
8863.4
8875.1

8846.5
8882.2
8905.8
8865.9

1277.2
1278.5

1278.3
1282.9

1317.0
1269.9

6087.1
6084.4

6092.5
6095.5

6098.3
6110.0

8867.5
8867.3

8886.9
8893.4

8893.5
8908.2

Dec.

Note:

1275.4
1276.0
1276.0

1p
8p

Special caution should be taken in interpreting week-to-week changes in money supply data, which are highly volatile and subject to revision.

p
preliminary data.
Components may not add to totals due to rounding.




Page 4
H.6 (508)
Table 4

SEASONALLY ADJUSTED COMPONENTS OF M1
Billions of dollars
Other checkable deposits
Currency 1

Date

Travelers checks2

Demand deposits3

2002-July
Aug.
Sep.

613.7
616.4
618.3

8.5
8.3
7.9

305.1
290.0
292.7

148.0
149.4
151.0

At thrift
institutions5
120.4
120.4
121.4

Oct.
Nov.
Dec.

620.9
623.6
627.3

7.7
7.5
7.5

299.7
294.5
297.0

151.6
152.2
153.9

122.8
124.5
124.7

274.4
276.6
278.6

2003-Jan.
Feb.
Mar.

631.0
636.2
640.3

7.6
7.6
7.5

295.6
305.9
304.1

153.1
156.1
158.1

125.5
127.6
126.7

278.6
283.7
284.8

Apr.
May
June

643.2
645.8
646.5

7.4
7.5
7.9

304.0
315.0
322.2

154.7
158.2
164.0

127.6
131.4
131.3

282.3
289.6
295.3

July
Aug.
Sep.

646.2
649.2
653.0

8.2
8.0
7.8

322.5
322.4
317.3

165.3
167.5
171.1

135.7
138.7
139.0

300.9
306.2
310.0

Oct.
Nov. p

658.2
661.4

7.6
7.4

313.6
306.2

169.3
171.0

138.2
135.8

307.4
306.8

657.4
658.3
659.9

7.7
7.6
7.5

300.7
311.5
315.6

169.4
168.8
167.6

138.4
137.6
139.1

307.7
306.4
306.8

660.1
660.5
661.3
661.8

7.5
7.4
7.4
7.4

329.2
309.4
303.2
305.7

172.4
171.7
171.7
170.5

136.0
137.1
137.4
135.4

308.4
308.9
309.1
305.9

662.7
662.8

7.3
7.3 e

297.4
298.0

169.9
176.2

132.7
132.5

302.6
308.7

At commercial banks4

Week ending
2003-Oct. 13
20
27
Nov.

Dec.

1.
2.
3.
4.
5.

3
10
17
24
1p
8p

Total
268.4
269.8
272.4

Currency outside U.S. Treasury, Federal Reserve Banks and the vaults of depository institutions.
Outstanding amount of U.S. dollar-denominated travelers checks of nonbank issuers. Travelers checks issued by depository institutions are included in demand deposits.
Demand deposits at commercial banks and foreign-related institutions other than those due to depository institutions, the U.S. government and foreign banks and official institutions, less cash
items in the process of collection and Federal Reserve float.
Consists of NOW and ATS balances at commercial banks, U.S. branches and agencies of foreign banks, and Edge Act corporations.
Consists of NOW and ATS balances at thrifts, credit union share draft balances, and demand deposits at thrifts.

e
estimated
p
preliminary
Components may not add to totals due to rounding.



Page 5
H.6 (508)
Table 5

SEASONALLY ADJUSTED COMPONENTS OF NON-M1 M2
Billions of dollars
Small-denomination time deposits2

Savings deposits 1
Date

At commercial
banks

At thrift
institutions

Total

Retail
money
funds 3

Total
Non-M1 M2

1910.4
1956.0
1983.3

658.1
669.8
681.2

2568.5
2625.8
2664.5

609.7
606.3
601.2

309.6
308.0
306.1

919.3
914.4
907.3

952.0
948.8
936.0

4439.8
4488.9
4507.8

Oct.
Nov.
Dec.

2006.0
2041.9
2048.3

693.6
701.6
714.5

2699.6
2743.6
2762.8

597.8
595.0
591.0

304.5
303.1
302.2

902.2
898.1
893.2

932.5
933.4
926.5

4534.4
4575.1
4582.5

2003-Jan.
Feb.
Mar.

2080.4
2108.3
2116.0

727.0
743.3
755.4

2807.4
2851.6
2871.4

587.5
584.0
580.7

300.7
298.2
296.6

888.3
882.1
877.3

913.3
907.8
901.7

4608.9
4641.6
4650.4

Apr.
May
June

2146.6
2188.4
2227.6

767.5
793.4
802.1

2914.1
2981.8
3029.7

576.8
571.8
566.4

294.8
291.8
288.5

871.7
863.6
854.9

887.4
895.4
890.9

4673.1
4740.8
4775.6

July
Aug.
Sep.

2280.3
2316.8
2303.6

816.4
831.3
838.5

3096.6
3148.1
3142.1

557.7
550.2
544.6

285.4
281.8
279.4

843.0
832.0
823.9

882.0
877.7
868.2

4821.7
4857.9
4834.3

Oct.
Nov. p

2306.2
2321.7

841.4
833.5

3147.6
3155.1

539.8
534.6

277.2
274.9

817.0
809.5

840.4
824.0

4805.0
4788.7

2315.1
2316.1
2300.4

847.9
839.0
839.6

3163.0
3155.1
3140.0

540.8
539.7
539.1

277.9
277.1
276.7

818.7
816.7
815.7

846.3
837.2
833.8

4827.9
4809.0
4789.6

2288.7
2324.9
2332.2
2317.5

835.5
835.5
837.1
828.5

3124.1
3160.3
3169.3
3146.1

537.3
535.8
534.6
533.5

276.0
275.4
275.0
274.5

813.3
811.2
809.5
808.0

831.8
825.6
825.7
823.0

4769.3
4797.2
4804.5
4777.1

2326.7
2327.4

833.1
826.7

3159.8
3154.1

533.1
533.0

274.3
273.7

807.3
806.7

817.5
814.0

4784.7
4774.8

Nov.

Dec.

3.

Total

At commercial
banks

2002-July
Aug.
Sep.

Week ending
2003-Oct. 13
20
27

1.
2.

At thrift
institutions

3
10
17
24
1p
8p

Savings deposits include money market deposit accounts.
Small-denomination time deposits are those issued in amounts of less than $100,000. All IRA and Keogh account balances at commercial banks and thrifts are subtracted from small time
deposits.
IRA and Keogh account balances at money market mutual funds are subtracted from retail money funds.

p
preliminary
Components may not add to totals due to rounding.



Page 6
H.6 (508)
Table 6

SEASONALLY ADJUSTED COMPONENTS OF NON-M2 M3
Billions of dollars
Large-denomination time deposits1
Date

At commercial
banks 2

At thrift
institutions

Total

RPs3

Eurodollars4

Total
Non-M2 M3

2002-July
Aug.
Sep.

1195.0
1194.3
1186.2

703.9
702.8
699.9

111.3
112.7
113.0

815.2
815.6
812.9

373.3
400.9
424.3

208.1
209.6
212.8

2591.6
2620.3
2636.3

Oct.
Nov.
Dec.

1145.8
1211.4
1236.8

704.8
695.9
676.3

114.0
115.7
117.3

818.8
811.6
793.6

423.4
443.4
474.6

221.8
226.4
227.9

2609.9
2692.8
2732.9

2003-Jan.
Feb.
Mar.

1201.0
1181.2
1168.5

684.4
682.0
687.3

118.5
118.5
117.7

802.9
800.5
805.1

466.3
480.9
499.4

234.0
235.2
239.3

2704.2
2697.8
2712.3

Apr.
May
June

1146.8
1127.9
1147.6

686.9
691.1
687.7

117.9
117.0
118.1

804.8
808.1
805.7

509.3
517.5
520.2

246.6
259.5
259.1

2707.5
2713.0
2732.7

July
Aug.
Sep.

1188.4
1170.4
1179.6

744.5
748.5
754.5

121.2
122.5
122.0

865.7
871.0
876.4

496.2
494.3
498.5

267.1
277.2
276.7

2817.3
2812.9
2831.3

Oct.
Nov. p

1149.1
1125.1

744.8
755.9

121.0
120.1

865.8
876.0

505.9
507.7

283.4
281.9

2804.2
2790.8

1153.5
1145.5
1147.1

743.4
739.3
743.0

120.8
121.2
120.8

864.3
860.5
863.8

499.8
509.3
507.9

284.5
284.6
284.3

2802.1
2800.0
2803.0

1148.7
1131.4
1118.9
1128.2

744.2
752.6
758.7
755.7

120.4
119.5
119.9
120.2

864.6
872.2
878.7
876.0

509.0
500.3
509.7
509.8

281.6
282.3
280.0
282.3

2803.8
2786.2
2787.3
2796.3

1110.2
1105.7

762.7
768.4

120.8
120.6

883.5
889.0

511.1
500.1

283.4
282.2

2788.1
2777.0

Week ending
2003-Oct. 13
20
27
Nov.

Dec.

1.
2.
3.
4.

Institutional
money funds

3
10
17
24
1p
8p

Large-denomination time deposits are those issued in amounts of $100,000 or more, excluding those booked at international banking facilities.
Large-denomination time deposits at commercial banks less those held by money market mutual funds, depository institutions, U.S. government, and foreign banks and official institutions.
Overnight and term RPs of $100,000 or more issued by depository institutions, excluding those held by depository institutions and by money funds.
Overnight and term Eurodollars issued to U.S. addressees by foreign branches of U.S. banks worldwide and by all banking offices in the United Kingdom and Canada, excluding those held
by depository institutions and by money funds.

p
preliminary
Components may not add to totals due to rounding.




Page 7
H.6 (508)
Table 7

NOT SEASONALLY ADJUSTED COMPONENTS OF M1
Billions of dollars
Other checkable deposits
Currency1

Date

Travelers checks2

Demand deposits3
At commercial banks4

615.8
616.8
616.5

8.2
8.1
7.8

303.9
287.4
290.0

145.8
145.8
147.3

Oct.
Nov.
Dec.

618.3
623.1
630.5

7.7
7.6
7.7

295.3
296.6
317.5

150.2
149.4
158.4

120.8
124.0
126.2

271.0
273.5
284.6

2003-Jan.
Feb.
Mar.

628.9
635.2
639.9

7.7
7.7
7.7

300.4
297.4
302.9

159.8
154.7
158.7

123.2
124.2
128.9

282.9
278.9
287.6

Apr.
May
June

643.4
646.5
647.7

7.5
7.5
7.7

307.7
307.6
318.5

160.5
157.5
161.9

133.9
132.1
133.3

294.4
289.7
295.2

July
Aug.
Sep.

648.7
650.4
650.9

7.8
7.8
7.7

319.9
321.4
313.0

163.0
163.4
167.1

134.8
136.6
136.8

297.8
300.0
304.0

Oct.
Nov. p

655.8
660.4

7.6
7.6

309.4
309.2

167.8
167.9

135.5
135.9

303.3
303.8

656.6
655.9
656.0

7.7
7.6
7.6

288.9
309.2
327.1

162.2
167.4
172.5

132.5
134.0
135.8

294.7
301.4
308.3

656.7
660.1
659.6
659.8

7.6
7.6
7.6
7.5

337.1
286.4
297.0
312.3

175.1
161.7
163.6
170.9

140.8
135.7
133.3
133.3

315.9
297.4
296.8
304.2

663.2
663.6

7.5
7.5 e

333.0
291.3

174.0
171.0

139.4
136.6

313.4
307.5

Nov.

Dec.

4.
5.

Total

2002-July
Aug.
Sep.

Week ending
2003-Oct. 13
20
27

1.
2.
3.

At thrift
institutions5
119.7
118.6
119.7

3
10
17
24
1p
8p

265.5
264.4
267.0

Currency outside U.S. Treasury, Federal Reserve Banks and the vaults of depository institutions.
Outstanding amount of U.S. dollar-denominated travelers checks of nonbank issuers. Travelers checks issued by depository institutions are included in demand deposits.
Demand deposits at commercial banks and foreign-related institutions other than those due to depository institutions, the U.S. government and foreign banks and official institutions, less cash
items in the process of collection and Federal Reserve float.
Consists of NOW and ATS balances at commercial banks, U.S. branches and agencies of foreign banks, and Edge Act corporations.
Consists of NOW and ATS balances at thrifts, credit union share draft balances, and demand deposits at thrifts.

e
estimated
p
preliminary
Components may not add to totals due to rounding.



Page 8
H.6 (508)
Table 8

NOT SEASONALLY ADJUSTED COMPONENTS OF NON-M1 M2
Billions of dollars
Small-denomination time deposits2

Savings deposits 1
Date

At commercial
banks
1899.7
1949.0
1980.0

2002-July
Aug.
Sep.

At commercial
banks

At thrift
institutions

Total

Total
Non-M1 M2

654.4
667.4
680.1

2554.1
2616.4
2660.0

609.1
606.6
601.9

309.3
308.2
306.4

918.4
914.7
908.3

941.1
943.5
927.5

4413.6
4474.6
4495.8

2001.7
2055.1
2060.9

692.1
706.2
718.9

2693.8
2761.3
2779.8

598.7
596.4
591.7

304.9
303.8
302.5

903.7
900.2
894.2

926.6
929.5
928.0

4524.0
4591.0
4601.9

2003-Jan.
Feb.
Mar.

2075.8
2097.4
2127.2

725.3
739.4
759.3

2801.1
2836.8
2886.5

587.7
583.8
579.9

300.8
298.1
296.2

888.5
881.9
876.1

921.1
919.0
918.8

4610.7
4637.7
4681.3

Apr.
May
June

2171.2
2177.5
2217.5

776.3
789.5
798.4

2947.4
2966.9
3015.9

575.8
571.1
565.7

294.3
291.4
288.2

870.2
862.6
853.9

906.1
883.2
877.5

4723.7
4712.7
4747.4

July
Aug.
Sep.

2264.4
2308.3
2299.0

810.7
828.2
836.8

3075.1
3136.6
3135.8

557.5
550.6
545.1

285.3
282.0
279.6

842.7
832.6
824.8

873.3
874.1
860.7

4791.2
4843.2
4821.2

Oct.
Nov. p

2303.3
2338.5

840.3
839.6

3143.6
3178.1

540.5
535.6

277.6
275.4

818.1
811.0

835.5
821.5

4797.2
4810.6

2331.4
2317.4
2262.2

853.9
839.5
825.6

3185.2
3156.9
3087.8

541.7
540.4
539.4

278.4
277.4
276.8

820.1
817.8
816.1

841.5
835.9
831.6

4846.8
4810.6
4735.5

2277.8
2363.1
2370.1
2314.6

831.5
849.2
850.7
827.5

3109.3
3212.3
3220.9
3142.1

537.8
536.7
535.6
534.6

276.3
275.9
275.5
275.1

814.1
812.6
811.1
809.7

826.2
821.7
822.0
823.2

4749.6
4846.6
4854.0
4774.9

2324.0
2372.5

832.1
842.7

3156.1
3215.2

534.1
533.8

274.8
274.1

808.9
808.0

816.3
816.9

4781.3
4840.1

Nov.

Dec.

3.

Total

Oct.
Nov.
Dec.

Week ending
2003-Oct. 13
20
27

1.
2.

At thrift
institutions

Retail
money
funds 3

3
10
17
24
1p
8p

Savings deposits include money market deposit accounts.
Small-denomination time deposits are those issued in amounts of less than $100,000. All IRA and Keogh account balances at commercial banks and thrifts are subtracted from small time
deposits.
IRA and Keogh account balances at money market mutual funds are subtracted from retail money funds.

p
preliminary
Components may not add to totals due to rounding.



Page 9
H.6 (508)
Table 9

NOT SEASONALLY ADJUSTED COMPONENTS OF NON-M2 M3
Billions of dollars
Large-denomination time deposits1
Institutional
money funds

Date

At thrift
institutions
111.3
112.3
113.1

Total

At commercial
banks
316.3
340.2
359.3

2002-July
Aug.
Sep.

1172.6
1173.7
1147.2

Oct.
Nov.
Dec.

1122.8
1215.3
1264.7

707.0
698.1
674.7

114.4
116.0
117.0

821.4
814.2
791.7

359.9
385.5
423.8

2003-Jan.
Feb.
Mar.

1238.4
1218.8
1190.2

678.7
678.2
685.2

117.5
117.9
117.4

796.3
796.1
802.6

Apr.
May
June

1143.9
1122.0
1134.8

685.4
696.9
692.2

117.7
118.0
118.8

July
Aug.
Sep.

1166.0
1149.8
1142.0

744.3
747.4
755.5

Oct.
Nov. p

1127.2
1128.7

Week ending
2003-Oct. 13
20
27
Nov.

Dec.

1.
2.
3.
4.

At commercial
banks 2
703.8
700.6
700.2

RPs3

3
10
17
24
1p
8p

At thrift
institutions
57.9
58.2
53.6

Total

Eurodollars4

Total
Non-M2 M3

374.3
398.4
412.9

205.0
206.0
209.9

2566.9
2591.0
2583.3

51.3
53.2
52.6

411.2
438.7
476.4

218.3
225.8
228.5

2573.7
2694.0
2761.3

420.5
441.5
458.0

49.4
50.7
47.5

469.9
492.2
505.5

234.9
238.9
243.5

2739.5
2746.0
2741.8

803.1
814.9
811.0

455.9
475.9
480.1

49.4
49.1
49.4

505.4
525.0
529.5

250.3
261.5
257.4

2702.7
2723.4
2732.7

121.2
122.4
122.1

865.5
869.8
877.7

444.1
435.5
431.9

53.6
55.4
52.2

497.7
490.8
484.1

263.4
273.1
274.0

2792.6
2783.4
2777.7

749.4
759.3

121.7
120.7

871.1
879.9

433.8
441.6

57.4
60.4

491.2
502.0

280.3
282.1

2769.9
2792.8

1133.3
1127.9
1136.7

751.4
742.2
745.1

122.1
121.7
121.1

873.5
863.9
866.3

426.7
438.1
437.2

56.2
56.8
60.5

482.9
494.9
497.8

280.7
279.8
283.7

2770.4
2766.6
2784.5

1127.2
1126.1
1123.9
1141.6

747.8
758.5
764.1
759.2

121.0
120.5
120.8
120.8

868.8
879.0
884.8
880.0

443.1
440.0
442.1
441.9

59.2
58.4
60.1
60.0

502.3
498.4
502.3
501.9

281.3
280.7
279.8
283.7

2779.6
2784.2
2790.9
2807.2

1123.2
1128.9

760.8
765.9

120.5
120.2

881.3
886.1

441.7
438.0

64.0
63.7

505.6
501.7

285.1
281.5

2795.2
2798.2

815.1
812.9
813.2

Large-denomination time deposits are those issued in amounts of $100,000 or more, excluding those booked at international banking facilities.
Large-denomination time deposits at commercial banks less those held by money market mutual funds, depository institutions, U.S. government, and foreign banks and official institutions.
Overnight and term RPs of $100,000 or more issued by depository institutions, excluding those held by depository institutions and by money funds.
Overnight and term Eurodollars issued to U.S. addressees by foreign branches of U.S. banks worldwide and by all banking offices in the United Kingdom and Canada, excluding those held
by depository institutions and by money funds.

p
preliminary
Components may not add to totals due to rounding.




Page 10
H.6 (508)
Table 10

MEMORANDUM ITEMS
Billions of dollars, not seasonally adjusted
Demand deposits
at banks due to
Date

Foreign
commercial
banks

Foreign
official
institutions

U.S. government deposits

22.4
27.9
38.6

18.6
16.1
15.3

26.5
24.3
24.0

5.8
5.1
5.3

13.2
5.7
4.1

5.3
3.6
4.8

7.5
6.7
6.7

18.2
19.2
20.3

3.7
3.9
4.2

20.9 e
20.9 e

Balance
at
Federal
Reserve
5.3
5.1
5.8

Note
balances at
depository
institutions1
11.8
18.3
27.7

164.9
165.8
166.8

96.7
97.5
98.2

At
money
market
funds
169.4
171.7
174.0

20.2
23.1
25.9

166.8
166.3
165.8

98.2
97.8
97.4

175.2
175.9
176.5

440.2
440.0
439.8

22.8
14.3
13.1

26.2
23.0
19.8

165.8
166.3
166.8

97.6
98.7
99.9

178.1
180.7
183.3

441.5
445.7
450.1

4.2
6.0
12.4

17.1
16.2
24.0

20.4
23.5
26.6

167.2
167.5
167.8

101.0
101.5
101.9

183.0
180.7
178.4

451.2
449.7
448.2

6.2
5.6
6.2

13.5
6.4
18.2

23.4
15.9
28.6

24.2
18.3
12.5

167.8
167.7
167.5

102.2
102.4
102.5

176.2 e
174.1 e
172.0 e

446.3 e
444.2 e
442.1 e

3.9
4.1

4.9
5.1

12.1
10.1

20.9
19.3

167.6 e
168.1 e

102.6 e
102.7 e

170.9 e
170.9 e

441.1 e
441.6 e

3.6
4.3
3.8

4.0
5.0
5.2

0.8
10.7
19.6

8.4
20.0
28.6

4.3
3.8
4.4
4.0

5.7
5.1
4.5
5.2

23.6
6.8
4.5
12.9

33.6
15.6
13.4
22.1

4.2
4.3

5.7
4.8

10.0
7.2

19.9
16.2

7.5
7.1
6.8

1.0
1.0
1.1

Oct.
Nov.
Dec.

7.2
7.9
8.7

1.1
1.1
1.1

14.0
14.8
15.5

3.1
3.2
3.8

4.9
5.0
4.9

2003-Jan.
Feb.
Mar.

8.6
7.9
7.3

1.1
1.1
1.1

16.4
17.3
18.2

3.8
3.6
3.6

Apr.
May
June

7.2
7.5
7.8

1.1
1.1
1.2

18.4
18.0
17.6

July
Aug.
Sep.

7.7
7.3
7.0

1.2
1.2
1.3

Oct.
Nov. p

6.8 e
6.8 e

1.1 e
1.1 e

Nov.

Dec.

3
10
17
24
1p
8p

Source: Daily Treasury statement.

e
estimated
p
preliminary
Components may not add to totals due to rounding.




IRA and Keogh Accounts
Time and
savings
deposits at
commercial
banks
11.6
14.5
17.3

Demand
deposits at
commercial
banks
5.3
4.6
5.1

2002-July
Aug.
Sep.

Week ending
2003-Oct. 13
20
27

1.

Time and
savings
deposits
due to
foreign
banks and
official
institutions
16.9
15.5
14.1

Total
cash
balance

9.1 e
9.1 e

At
commercial
banks

At
thrift
institutions

Total
431.1
435.0
438.9