Full text of H.6 Money Stock Measures : January 24, 1974
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FEDERAL RESERVE ST cal Table 1 *4t*fc^ For Immediate Release J a n u a r y 2 4 , 1974 MONEY STOCK MEASURES H6 release IN BILLIONS Of DOLLARS Mi Mi Date Currency plus demand deposits^ 255 5 1972--December 1973--January February March April May June July August September October November December Week ending 1973--December 1974--January 255 256 256 258 260 263 264 263 263 264 266 r268 5 12 19 26 266 6 267 9 268 8 269.2 2 r269 7 267 6 268 4 9 P 16 p includes 4 7 6 2 5 2 3 9 4 4 6 4 M3 M i plus time deposits] Mj plus deposits at commercial banks at nonbank other than large thrift institutionsv 2 CD's ' Seasonally Adjusted 525 1 822 0 527 Mj M3 M, plus time deposits M2 plus deposits Currency plus *t commercial banks at nonbank otrrr than larpe demand deposits1' thrift institutions3' CD's^ Net Seasonally Adjusted 826 5 530.3 262 9 M, 534 1 527.8 531 4 539 5 538 2 544 7 546 6 262 6 254 .0 254 .1 259 .5 256 0 261 2 263 260 261 264 268 r276 547 0 550 3 555 8 561 0 r572»0 3 3 4 8 271 3 274 5 276 3 276.9 565 2 568 6 572 7 573.3 r569.7 567 7 568 7 r282.5 r581.1 579.0 577.0 i 828 .7 834 9 839 7 845 6 852 0 859 4 863 5 866 5 868 8 875 4 882 6 •889 .1 530 532 536 540 545 547 550 552 557 562 r566, 563 564 567 r567 280.3 278 0 834 6 831 6 838 8 849 8 850 2 859 9 863 7 862 9 866 4 873 4 879,8 r893.8 (1} demand deposits at an commercial banks other than those due to domestic commercial banks and the U S Government less cash Hems in the process of collect on and F R float (2) tore gn demand balances at F ft Banks and (3) currency cfuts de t h * Treasury F R. Banks and vaults ot aft commerc a! banks Includes in add t on to currency and demand depos ts sav ngs depo*. ts t me depos ts open account and \ me cert f cates of deposits Qth*»r then _ P r e l i m i n a r y negot able time cert t cates of depos t ssued n denom naiions of $100 000 or more by large weekly report nq commercial banks " y Includes M j plus the average of the beg nn ng and end of month 4r * 1 of mulua! sav ngs banks and sav ng and loan shares r " KeVlSPd FEDERAL RESERVE Statistical Release H 6 Table 2 MONEY STOCK MEASURES PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES m^mm^^amm^mmmtmmmmmmm^mmt^mmmKmmmmmmmiimmm^^^i^^^''''^ _ Currency plus demand deposits1' Period M2 Mi plus time deposits at commercial banks other than large CD's 2/ I M3 M2 plus deposits at nonbank thrift institutions ^ December 1973 from Sept June Dec 1973 (3 months previous) 1973 (6 months previous) 1972 (12 months previous) 7.6 4 0 5.0 10.4 7.8 7.9 7.3 3.4 4.8 9.8 7.9 7.7 9 3 6.9 8.2 Four weeks ending Jan 16,1974 from four weeks ending Oct 17,1973 July 18,1973 Jan 17,1973 (13 weeks previous) (26 weeks previous) (52 weeks previous) | ^ includes (1) demand deposits at alt commercial banks other than those due to domestic commercial banks and the U S Government less cash items in the process of collection and F R float (2) foreign demand balances at F R Banks and ^ (3) currency outside the Treasury F R Banks and vaults of^ali commercial banks ^ includes m addition to currency and demand deposits savings deposits time deposits open account and time certificatess <of cMttAftaeFthan negotiable 1 me certificates of deposit issued in denominations of S100 000 or more by !arg& weekly reporting commercialbbaa ^ q ^ ^ ^ hares^B^ ^ include^ M2 plus the avenge of the begmnmg and en<i of month deposits of mutual savings banks and savings and loan shares^ http://fraser.stlouisfed.org/ Note Alt rates of change are based on daily average data rates of change are not compounded Federal Reserve Bank of St. Louis p - Pre lintf nary r - Revised FEDERAL RESERVE Statistical Rebate H 6 Table a COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY ADJUSTED IN BILLIONS OF DOLLARS Time and savings deposits Date Currency Demand deposits i CD's^ Other j Total 1 Nonbank I thrift institutions^ 1972--December 56 8 198 7 43.2 269 6 312 8 269 9 1973--January February March 57.0 57.5 57.9 58 7 59.0 59 4 59.5 59 7 60.1 60 3 60 8 61 4 198 4 199.3 198 7 199 5 201 6 203.9 204 9 204 2 203 3 204 0 205 8 r207.0 44.4 48.8 272 5 273 8 316 9 322 6 300 8 304 4 307 0 309.4 311 4 314 2 315 9 315 9 316 6 318 3 320 2 322 6 April May June July August September October November December 1973--December L974--January 5 12 19 26 i i 60.8 61 4 61 4 62 1 2 9 p 16 p j 61.9 62.0 61.8 1 ! j ! 205 9 206 4 207 3 r207.2 1 r207.8 r205.6 206.5 1 276.0 330.9 278 ,0 280.1 282 0 283 3 286 6 288 9 292 8 295 8 r298*2 336.7 341 8 344 1 347 7 353 6 355 6 356 1 356 8 r360.7 61.1 62 8 62 0 62 9 296 7 296 4 298 7 298.6 357 8 359 2 360 7 361.5 64.0 64.3 65.2 r300 0 300.1 300.4 r364.0 364.4 365 5 54.9 58.7 61 7 62 0 1 | 1 64 5 i 67.0 66 8 63 4 61 1 62 5 ! j inr iuae<^ npgot able Urns certificates of depos \ s&ued n denominations o? $100 000 or mors by *arg ^e&fciy repo t ng commercial banks A t- s^» of bpq nn ng and end of month depos ts at mutual sav ngs banks and savfngs and loans shares | p - Preliminary r - Revised FEDERAL RESERVE Statistical Release H 6 Table 4 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED IN BILLIONS OF DOLLARS Tim B and savings deposits Date 1972--December 1973--January February March April May June July August September October November December Currency Demand deposits 57 8 20 5 0 56 7 56 7 57 3 58 2 58 7 59 4 59 9 60 0 60 t 60 3 61 3 r62.6 205 9 197 3 196 7 201 3 197 3 201 8 203 2 200 8 201 8 203 6 207 1 r213.6 61 62 62 63 209 6 211.9 213 6 213.7 Total Nonbank thrift institutions ^ 267 5 311 7 296 1 271 5 273 8 277 3 280 0 282 2 283 4 283 5 286 3 288 4 291 8 292 6 r295.8 316 6 322 5 331 4 336 1 340 9 342 7 345 8 354 7 357 2 358 2 356 7 r359.9 63.5 64.4 63.4 64.4 293 8 294 2 296 4 296.4 357.3 358 6 359.8 360 8 64.6 65*6 66.7 r298.5 298*7 299.0 r363.2 r364.2 365.6 44 3 45 48 54 56 58 59 62 68 68 66 64 64 1 1 j Other CDs y I 6 0 1 8 3 3 4 8 3 1 1 | j ! j ; ! 300 303 307 310 312 315 317 315 316 317 318 321 5 8 4 3 0 3 0 9 1 6 9 8 1 1 U S Gov t demand^ ~ 1 8 0 9 6 10 1 8 2 8 4 6 9 6 3 4 0 5 1 5 8 4 2 r6.1 Week e n d i n g 1973--December 1974--January 5 12 19 26 2 9p 16 p ! 8 5 6 2 61.9 62.3 61.7 ! r220.6 r218.1 216.3 | ! Includes negotiable time certificates of deposit Issued In denominations of $100 000 or more by large iVeekly reporting^commerclat banks Average of beginning and end of month deposits at mutual savings banks and savings and loan Shares http://fraser.stlouisfed.org/ U S Government demand dgposits at all commercial banks Federal Reserve Bank of St. Louis 4 3 5 r8 2 1 4 3 9.7 8.3 6 1 _ p w i *mi. P "" " * - i i m i r - <ReVi&od