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FEDERAL
statistical

RESERVE

release

For immediate r e l e a s e
February 3 , 1966.
DEMAND DEPOSITS, CDRREMCY, AND RELATED ITEMS
The s e a s o n a l l y a d j u s t e d money s u p p l y i n c r e a s e d $ 1 . 1 b i l l i o n f u r t h e r on
a m o n t h l y a v e r a g e b a s i s i n January, r e f l e c t i n g v e r y r a p i d e x p a n s i o n from midDecember t o e a r l y J a n o a r y . However, t h e money s u p p l y h a s d e c l i n e d on a weekly
b a s i s s i n c e r e a c h i n g a new h i g h i n t h e week ending January 5 . Time d e p o s i t s
a d j u s t e d i n c r e a s e d $ 1 . 0 b i l l i o n f u r t h e r i n January, t h e s m a l l e s t monthly average
increase s i n c e July 1964.
MDMEY SUPPLY AND TIME DEPOSITS
A v e r a g e s o f d a i l y f i g u r e s , i n b i l l i o n s of d o l l a r s
Seasonally adjusted

Period
Total
1965—January
February
Maxell
April
May
June
July
August
September
October
November
December

Time deposits
adjusted
Currency iDemand deposit
(All commercial
component
component
banks)
34.5
125.5
128.8
34.7
f
131.0
125.1
34.7
i
125.6
1
132.1
i
126.4
34.7
133.5
*34.9
125.1
134.6
35.0
!
126.8
135.9
35.2
12 J . 3
137.6
35.4
127.3
140.1
35.6
128.7
141.6
35.9
129.7
143.6
1
36.L
129.6
145.5
131.2
147.0
36.3
148.0
'
131.9
36.6

Money Supply

]

1966—January ^

1

Week ending:
1966—Dec. 29

160.0
159.7
160.3
161.1
160.0
161.6
162.5
162.7
164.3
165.6
165.7
167.4

|
1
[
!
i
!

I

168.5

j

1

168.6
169.6
169.0
168.2
167.7

Average of l a s t four 1
weeks
1

168.6

Jan.

5

1

12 p
19 p

26 p

36.3
36.4
36.6
36.7
36.6
|

132.3
133.1
132.4
131.5
131.0

147.4
147.8
147.6
148.0
148.2

36.6

132 .0

147.9

p - Preliminary*
NOTE: Components may not add t o t o t a l s due to rounding. See r<evefcse side for

http://fraser.stlouisfed.org/ data without s e a s o n a l adjustment and for d e s c r i p t i o n of s e r i e s .
Federal Reserve Bank of St. Louis

DE A D DEPOSITS, CURRENCY, AND RELATED HEMS
JM N
(Averages of d a i l y f i g u r e s , in b i l l i o ' n s of d o l l a r s .

Not seasonally a d j u s t e d . )

Money Supply
Period
Total

Currency
componet

1965—January
February
March
April
May
June
July
, August
September
October
November
December

164.4
159.5
159,0
161.6
157.6
159.6
160.9
160.5
163.2
165.8
167.4
172.0

34
34
34
34
34
34.9
35.4
35 .5
35 ,6
36 .0
36.5
37.0

1966—January p

173.1

36.5

Week ending:
1965—Jan. 6
13
20
27

166.9
165.2
164.5
162.5

34.3
34.6
34.2
34.0

162.5
161.4
159.7
156.7

Demand deposit
componet

1965—Feb.

5
12 p
19 p
26 p

128.3
130.8
132.7
134.0
135.4
136.6
138.3
140.2
141.4
143.5
144.4
145.3

4.2
5.7
6.7
5.6
.7
.3
.1
.4
.6
,0
0
4.5

147.4

3.7

132.1
130.6
130.3
128.5

126.7
127.7
128.5
129.3

6.
4.
2.
3.

34.0
34.4
34.2
34.1

128.5
127.0
125.4
122.5

129.7
130,4
>30.9
131.3

4.6
4.7.
5-3]
7.1

159,0

3
10
17
24

Mar.
19JG€k-Jan.

Related deposits,
(All commercial banks)*
Time
U.S. Gov't,
adjusted
demand

34.1

124.8

131.7

6.7

175.6
174.2
173,4
171^2

36.9
36.9
36.5
36.1

138.7
137.4
136.9
135.0

146.6
146.8
147.4 ,
147.9

130
125
124
127
123
124
125
125.0
127.5
129v«
33

,2
8
.5
3

p j Preliminary.
NOTE—Money supply consists of (1) demand deposits at all commercial banks, other
than those due to domestic commercial banks and the U.S. Government, less cash items
in process of collection and Federal Reserve float; (2) foreign demand balances at
Federal Reserve Banksj and (3) currency outside the Treasury, the Federal Reserve and
the vaults of all commercial banks. Time deposits adjusted are time deposits at all
"commercial banks other than those due to domestic commercial banks and the U.S.
Government.