Full text of H.6 Money Stock Measures : February 7, 1964
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FEDERAL statistics! RESERVE release -?*ALK£$^' '.3 For/immediate release February 7, 196V. DEMAND DEPOSITS, CURRENCY, AND KELATED ITER? Seasonally adjusted money supply is estimated at $154.8 billion in the month of January, $1.3 billion higher than in the preceding month. Time deposits adjusted increased $1.9 billion in November, a somewhat larger expansion than that experienced in recent months. MONEY SUPPLY AND TIME DEPOSITS Averages of daily figures, in billions of dollars Seasonally adjusted. Money Supply Period 1963—January February March April May June July August September Oc tober November December 1964—January . p Semi-monthly: 1963—Oct. (1) (2) Nov. (1) (2) Dec. <1) (2) 1964—Jan. (1) (2)p Time deposits adjusted Demand deposit (All commercial banks) component Total Currency component 148 • 7 148 ,6 148.9 149,4 149.4 149.8 150.7 130 130 rl52 ri53 rl53-5 30.7 30.9 31, 1 31. 2 31. 5 31. 6 31. 6 31.8 31.8 32. 0 32, 3 32, 4 118.1 117.7 117.8 118.2 118.1 118.2 119,1 118.8 119.1 120,1 r121.1 r121.1 154. S 32.3 122.3 113.7 152, 1 r152, 0 r153. 4 r153 3 rl53 5 rl53. 5 155. 2 154. 4 31 32 32 32 32 32.3 32.5 32.6 120.2 r12Q,1 r121.3 r121.0 r121.0 r,121.2 122.7 121.8 108.5 109.4 110.1 111.3 rll1.6 111.9 113.0 114.4 j 99.1 100.3 101.8 102.6 103.7 104.5 105.5 106.7 107.6 108.9 110.7 r11l,8 p - Preliminary, r - Revision* N0TE—Components may not add to totals due to rounding. See. reverse side for data without seasonal adjustment and for, description of series. DEMAND DEPOSITS. CURRENCY, AND RELATED ITEMS Not seasonally adjusted) (Averages of daily figures, in billions of dollars Money Supply Period Total Currency component Related deposits (All commercial banks) U. S. Govt, Demand deposit Time demand component . adjusted 151 148 147 149 147 148 149 149 150, r152.5 r154.8 r157.4 30.5 30.5 30.8 30.9 31.1 31.4 31.8 31.9 32.0 32.1 32.6 33.1 121.3 117.8 116.7 118.6 116.2 116 117 117 118 r120.4 r122.2 r124.3 98.4 99.9 101.7 102 < 104, 105. 106. 107.3 108.1 109.3 110.0 r110.8 4.8 5.6 5.9 4.2 7.0 7.4 7.7 6.2 6, r5« r4. r5. 1964-T-January 'p 158.O 32.4 125.6 112.9 4.1 Semi-monthly: 1963~Oct. (T) (2) Nov. ( 1 ) "(2) Dec, (1) (2) 396*1—Jan. ( 1 ) (2) p 151.8 r153.1 r155 r154 •r156 ri58.0 158.8 157.2 32.2 32.0 32.5 32.7 33.2 33.0 32.7 32.1 119.6 r121.2 r122.8 r121.6 r123.6 r124.9 126.2 125.1 108.9 109.6 r109.9 110.1 r110.6 110.9 112.4 113.4 6.9 r3.6 r3.8 r4.8 r4.0 r6.1 5.3 3.0 118.1 119.5 121.4 120.8 122;6 121.5 122.1 95:8 96.2 96/6 96.9 97.5 97.8 98.3 r122 ,6 r12? .2 r125 .3 r124 .3 126 ,2 126 .1 126 .1 125 .9 124 .4 110.2 110.6 110.8 110.7 111.3 112.1 112.7 113.4 113.4 1963~January February March April May June July August September pctobeTr November December Week* ending: 1962—Dec. 5 12 19 26 1963--Jan, 2 9 16 41T 18 25 1964«Jan. 1 1963—Dec. 8 15 22 29 P 149.1 150.7 152.6 152.2 153-4 152.4 152.7 r155.6 r156l5 rl58.4 r157.6 159.0 158.9 158.6 158.3 156.4 30. 31. 3131. 30. 31. 30. 33.0 33.2 33.1 33.2 32.8 32.8 32.5 32.4 32.0 ! 1 j . ! 6.3 4.5 4.5 6.4 6.8 6.0 4.2 r4.5 r3.8 r4.1 r6.5 6.5 6.3 4.1 3.1 2.8 p - Preliminary . r - Revision* NOTE—Money supply consists of <1) demand deposits at all commercial banks, ofther. 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 Banks;,rand (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 D« S. Government,