Full text of H.6 Money Stock Measures : January 2, 1976
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P^PIP"^ ' - 4 FEDERAL- - RESERVE j; ffib %MP^ ^SHB^ , * f\ i''f« „ . i ] : ', I FEDERAL RESERVE Statistical Releasi H.6 TeMe 1 ' r re 1 e a s e $ t a 11 st i e d ) 1 ** - ■ . For Immediate Release i MONEY STOCK MEASURES JAN* IN BILLIONS OF DOLLARS , - . , - 1 1 _ l» 4 M$ "i 1; wi Ma *4 *2 *■» * M* Plus Time Mj Plus Time M.Pius M5PIUS i Currency Deposits at M 3 PIUB Currency Deposits at Deposits at MjPlus M 2PIUS Deposits at Plus Commercial Nonbank r Plus Large Commercial Nonbank Large Large Negotiable Demand Banks Banks Negotiable Negotiable Demand Thrift Thrift v CD'sS/ Deposits^ Other Than Institution s# CD's*/ CD's*/ Deposited Other Than ! large CD*s# institutions «* large CD's # 1% 1976 - ^rn Date Seasonally Adjusted 197,4—NOV, r etc. 283.6 284.4 1973--JAN. FEB. MAR. APR* 28l*>6— 282.4 28b.0 2B5.fi 288.3 293.0 293.5 294.2 294.7 294.1 297.1 1 MAY JUNE JULV AUG* SEPT. OCT, NOV* 976*9 - | 611*6 613.3 oei.7 697.1 703.7 614^8 * M9.1 623.1 626.9 635.9 646.1 650 f » 65347 656.3 656.6 665.7 986.3 994*4 1003*9 1015.7 10*8.3 1045.3 1055.V 1064.2 1071.1 1077.7 1088.8 707 # fr 711.2 714.8 717.3 721.5 730.1 732.6 731.7 73&*4 T49*9 747.L M3Plus large Negotiable CD'SiV Not Seasonally Ad usted 1062*4 283.1 609.7 107,2.6 [ i*$*i 6ie*6 972 ♦*» 983.0 696.8 700.0 1039.9 1073*3 620•7 616.7 624*6 633*3 634*1 645*5 630.1 630*0 * 632.7 636.6 r 663.6 9Q\ , 7 *9*2*1 1007*3 1022*4 1028.2 1047.1 1057.3 1060.2 1066*3 1074.3 t 1084*4 7> 2^7 703*9 712.7 719.1 718.2 72 7 . 9 731.4 731.1 735*4 7*0.3 7<. b *A 10Jii»6 1081** 1095*4 1108.2 1112*3 1129.4 1138.8 1141*3 U49.3 113t?*0 r 1167.3 —107-9 #4—1 1066.3 1095.7 r *» 1104.1 U13.9 1129-.4 U38.0 1142*2 1150.2 115B.9 1170.2 288*6 279*6 ! I 2d2*2 [ i i " 267.3 283*7 - 291.1 293*1 290*9 292*8 293.fr v 298*8 WEEK ENDING: 1 9 7 * — O C T . 29 NOV. DEC. 292*6 5 12 19 26 3 10 P 17 P 2* P r v j | 296.2 296.4 296*2 29**7 299*0 296.3 295*3 29*.2 658.1 r r r \ 290.3 739.4 662*3 666.1 664.8 666 48 JT43.3 1?' 7 4 7 . 1 r 746*0 748.3 669.1 667.6 666.* 666.8 751.6 750.8 r 749*6 730*1 r r r 298.' 300*1 298*8 296.4 1/ 2/ 3/ 4/ 1 ■ - ■ 662.0 664*o 663*6 662.2 6b7.5 669*7 3rt^.n r 67fi7 1 «—*^«—« r r r 301.7 302*3 304*3 737.7 634.2 r * 7'*4.7 7M.1 7*6.4 74'J.? 7M*0 733*3 7«>5.0 7*6.1 67^.8 i U i X V i ■ *■ i ii i I N C L U O t S il) OfeMANO D E P O S I T S AT ALL COMMERCIAL 8ANKS O T n t R THAN THUSE UUF TO O O M E S T t C C O H H E R C t A l BANKS ANO THf U . S . G O V E R N M E N T , LESS CA<=H U t M S I N THE PROCfcSS O f C O L L E C T I O N ANO F . R . F t O A T l ( 2 ) FORfcIGN DEMAND BALANCES AT F . R . S A N K S i AND ( 3 ) CURRENCY O U T S I D E Thifc T R t A S U R Y , F * A . B A N K S ANO V A U L U . O F _ A J j u ^ C Q M J t £ R C J ^ k ^ U J ^ i - * _ - _ = ^ ^ ^ _ _ __ I N C L U D E S * I N A 0 0 1 T I O N TO CURRENCY ANO DEMAND D L P O S I T S * S A V I N G S D E P O S I T S ? TIMfc D E P O S I T S OPEN ACCOUNT, ANP T I M E C E R T l F l C A T f c S OF D E P O S I T S OTHER THAN N E G O T I A B L E T I M E C E R T I F I C A T E S OP D E P O S I T H S U t D I N D E N O M I N A T I O N S OF 1 1 0 0 , 0 0 0 OR H O R E ' B V L A R G L W t E K L Y R E P O R T I N G COMMERCIAL B A N K S . INCLUDES M 2 , PLUS THE AVERAGE OF THE B E G I N N I N G ANO 6 N 0 OF MONTH D t P O S l T S OF MUTUAL RAVINGS R A N K . S A V I N G S AND LOAN S H A K E S , AND CREOIT UNION SHARES. f, I N C L U O t S M 2 , PLUS N E G O T I A B L E TIMfc C E R T I F I C A T E S OF O E P O S I T I S S U E D I N D E N O M I N A T I O N S p t | ] 0 0 , 0 0 0 OR « 0 R E . 1NCLU0ES M3» PLUS NfcGOTlABLE TIMfc C E R T I F I C A T E S OF D E P O S I T I S S U E D I N D E N O M I N A T I O N S OF * 1 0 0 , 0 0 0 OR M O R E . - PRELIMINARY, R REVISED 3/ P W ■lIMIi^lkM ^^K^W *** f f O f RAL f?rsEf?Vf S t j f i f t * f »l fl*l**t# M r, Tabln ^ MONEY STOCK MEASURES PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES OATf M V. / If * ( u r r n n c y Plus p p r m i m l Deposits M, M4 Mt Plus 1 »mn D e p o s i t s at Corn m6f r i a l Banks Other T h a n Large C D S y M? Plu& D e p o s i t s <U N o n l i a n k ' t h r i f t Institutions U M ? Plus Large Negotiable CD's / M3 Pius LcHfje y Negotiable CD s f<MJM 19 ^ I * MONTHS MAY | <* f ' » if, N(JV * 1<< 7< ( 1 ? MONTHS Kill' WffK FUMM r n n p MONTHS PREVIOUS) PfrlVIOUS) PPf V l O U S ) 3 * 9v / ^ « - 7,3 9.? 6*4 9*8 6rO 9o4 7#1 .10,1 4*8 8»y 7*2 io.i I N O I N G * DC( • ? ^ 1 9 7 5 M ( H ' ENDING* M P 1 . <>'«. J 9 7 M 1 3 WttKS PREVIOUS) MINI ?»>, 19 7 M 2 6 WEEKS PREVIOUS) ?*>♦ WEEKS PREVIOUS) PH . J M, 1 W M S , 1,0 7»0 ^ 7 6*e 6.9 4*1 B.8 6.0 1MMEKC1AL BANKS OTHER THAN THOSE DUE TODOM«?IC rinir»ttC edMMlRCIAL BANKS AND THE U.S.GOVERNMENT, m iNCIunts <n D b M A N D D E P O S I T S AT ALL C AND F . R . F L O A T ; iZ) FOREIGN DEMAND j£AfLANCBS AT P f R * 0 A N K $ * AND ( 3 1 CURRENCY OUTSIDE L L t SS LASH IT EMS IN THL PROCESS OF C U LECTION THE 11 A SUPY, F.R.BANKS AND V A U L T S OF ALL COMMERCIAL BANKS. DEPOSITS, SAVINGS OEPO&ITSi TIM-E P O S I T S OPgN ACCOUNTt AND TIME CERTIFICATES OF ^/ I N C L U D E S , IN A D D I T I O N TQ CiJRREJ*CYRANO.DEMAND D E P O S I T S (MM ER THAN N E G O T I A B L E TIME Q ERTtFlCATES OF DEPOSIT ISSUED I N OENdMlNATl flNS OP tiOOfOOO OR MORE BV LAfcGE WEEKLY REPORT1NG COMMFRCT AL B A N K S * 3 / INCLUDES H 2 , PLUS THt AVERAGE OP JH\ BEGINNING AND END UF MONTH DEPOSITS OF/MUTUAL. 1AV!N6S BANKS, SAVINGS AND LOAN SHARES* AND C R E D I T UNION S H A R P S . A/ INCLUDES M 2 , PLUS NLGOTIABLE TIME CER TIFICATES Of DEPOSIT I S S l f S t I N OENOMINAftONg . _ O ^ l i l O O t O O O . O R M0*E# 5 / I N C L U D F S M 3 , PLUS NEGOTIABLE TIMC CER T1EILATES Of DEPOSIT ISSUED I N DENOMINATICTW OP liCLOfrOoo'Oij MORE. NLTEJ ALL RATE S OF CHANGt ARE BASED ON DAILY AVERAGE DATA? KATES OF CHANGE ARE Hqf COMPOUNDED «. i/ * / nh> " " -- " j > 3 FEDERAL RESERVE Statlfttical Ritetee H.6 " "' 4- it Tabla 3 1 X J I" COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS Time i nd Savings Depotlti Date Demand Deposits Currency ; J/ co s Total Other Nonbank Thrift Institutions*' i i i . i ^ r u n [»inii,Tiriiuriuilmiii f I ! 1975--JAN. FEB. MAR* APR* MAV JUNE JULY AUG. SEPT* OCT. NUV. 66*2 60*7 o9.4 69.5 70,2 71*1 71.4 7L9 72*0 72.5 r 73.4 ) ! 65. * 90.3 216.2 216*5 67*4 67.9 197a--N0V. DEC. ! 1 213*4 213*7 2J^#t> i*6*3 ^2in*3 221.9 222.1 222*3 2?2.7 221.5 223.7 ! 1 I 92*7 92.1 69.8 B3*4 ^05.5 84*1 62*1 76.0 79.1 B1.3 61*4 413*5 4X9.3 365.3 360.2 333*2 336.7 340*1 3A3.1 347.4 453*1 357.0 359.4 361.7 364.6 __36B*6 426.0 42B*B 429*9 431.5 4 32.9 437.1 439.1 437*4 440.7 445.8 450.0 371.5 375.3 380 *B 366 .ti 392.4 399.2 405.4 410.5 414. 6 419.0 423.1 365.5 446.8 366.1 * 367*0 r 36B.6 370.0 447.1 448.7 r ft<*9.9 4 51.6 370.1 371.2 r 371.1 371.6 452.5 454,4 454.2 454.8 32B.O 3^9,1 ! " i WEF* ENDING: 19?«.--0CT* 29 NOV. DEC. 5 12 19 tb * 10 P 17 P 2* P 1/ 2/ P 72.7 220*0 81*3 72*8 72.3 223t4 r 225.1 61.0 BO.9 bl.2 61.5 223.3 1 ^ 73.9 73.8 73.9 73.7 225.1 222*5 r 221.5 2 2 1 .6 32.4 63 .2 >-83.2 B3.3 I 0 INCLUDES NEGOTIABLE TINE CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF 1 1 0 0 * 0 0 0 OR WORE BY LARGE WEEKLY RfcPORT1NG COMMERCIAL BANKS.^ AVERAGE CF BEGINNING AND tND OF MONTH DEPOSITS *T MUTUAL SAVINGS BANKS. SAVINGS ANO LOAN SHARES, ANO CREDIT UNION SHARES, PRtLlMlNARYi R - RfcVlSfcu sf FEDEftAL ftf SERVE S l i t i i U c i ! 8#lett» H 6 Table 4 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED IN BILLIONS OF DOLLARS B H I I ^ H B H n H H S R a B ! ! « W f f i « W M ^ H M M _ ■ i Date ^ 197A--NOV* OK . fie. MAR • APft* MAY JUNf JULY AUG. SEPT. - — OCT. NOV. Currency In Demand Depotits Total 1 ' Domestic Nonmembef^ Member i ■ Time and Saving* Depoilt CD'< J/ Other Total mmiUiJ.iuiiH.Uilill.nl -11LI.IW* 1sfonbank Thrift 1 institutions^ U S Gov't Demand^ 67*9 69.0 217.3 223,3 156.0 160.4 57.7 50.9 b r.i 0' 3 24*6 326*3 411*7 416*7 363*0 366*5 3*4 4*> *1W6 213.4 2 18*2 213*7 219.9 221.1 218.7 220*9 ?a.l r 224.e 152.3 153.9 157.5 154.0 157,7 156*3 1*6.3 167*5 1S7#2 159*6 58.5 ! 56.1 ! 56.2 57*7 56.9 59.2 5 9 * 8 fc ! 59.* 60 »3 s 60*9 62*1 9 .9 B U2 1 8 4.1 0 1*0 e ♦.1 B >*4 6 1*3 8 1.1 8 ?*7 0 *.7 ^.9 332.1 337*3 342*4 345*9 350*4 354*4 357*0 359.1 359*9 363*1 364.f ^24.0 426*5 4,30. *» 431*8 434,5 436*7 4&8#3 440,2 44 2 . 6 446*8 447*7 m.o 67.B 66.8 69.1 „ 70*0 71.2 71.9 72.2 71.9 ' 7<!.5 73*9 375*<» 3 8 2 * 7 > A *~~* 389.1 394*1 1 401*5 407.4 410*2 413.13 417*7 : 420.6 4*0 3*3 3.6 4*0 4*1 A.l 3*3 2*6 3*8 3.3 3*5 ' \ ! ! j < i wEtK ! ! ENDING' 1 9 7 5 - - O C T . 29 NOV. 5 12 19 DtC. ' i 3 10 P 17 P 2<* P 71.9 218.6 73*0 f74*2 73.9 73.B 7** , 4 75.3 r75.0 7b.6 225*$ t 226.Q r224.6 222.7 ! ji 227.* 22V.0 229*0 226.6 !<>$>.6 ** r 160*6 160.2 159*3 156.3 161*3 160*4 162.1 162*1 f r 60*1 8 363*7 ' 61.6 62.7 62** 61*4 8! 363*5 364*5 ' 3o4.B 62*5 63*1 63.5 63r*3 i 8 P aI r ^ ^i*# 3*6 447*4 r 365.0 8 —- s^ - *_ 366*6 | i 2.7 447*0 447.6 L ,446.8 3*3 3*4 3*5 3*4 1*49*3 45 U 0 ; 461*0 , 451*8 3.4 3*0 4*9 5*0 { ! I 1/ 2/ 3/ 4/ 5/ P i TOTAL D t P O S U S lNCLUDEi I N ADDITION TO _TH£-MEMBER-ANO-DOMfcSTlG-NONM£MBBM>W dim out TO FOREIGN A ND INTERNATIONAL INSTITUTIONS AT F*R*8ANK S AND Ml TYPE BALANCES AT AGENCIES AND fSJfcANGHBS OP IfOR BASED ON HOST RECENT CALL REPORT SINGL E-OAY OBSERVATIONS* **% SIGN BANKS* INCLUDES NEG0TJA8LE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OP imOiOOO 1 OR HOfifi 8V LARGEJWEEKLV REPORTING COMMERCIAL BANKS. SHARES* AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKSf SAV1 IJi«3,S AND LOAN SHA , f * RESt AND CREDIT UNION U.S.GOVERNMENT DEMAND DEPOSITS AT ALL COMMERCIAL BANKS* - PRELIMINARY; R - REVISED „,.,„„,,„«, vn^^iiini^iiNM.iiiiiii.M^.lifriiiilifiiffiiTiThriffi