Full text of H.6 Money Stock Measures : January 30, 1975
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FEDERAL RESERVE statistical release Table 1 For Immediate Release MONEY STOCK MEASURES H6 IM BILLIONS OF O O L U M M L Date Currency plus demand deposits^ Mg ML M i plus time deposits] Mj plus deposits at commercial banks at nonbank other than large thrift institutions V CD's * Seasonally Adjusted T Currency plus demand deposits^ January 30, 1975 M) plus time deposits M2 plus deposits at commercial banks at nonbank other than large thrift institutions ^ CD's*' Not SMtonalty Adjusted 1973—Dec. 271.5 572.2 895-3 279.1 577.3 1974—Jan. Feb. Mar. Apr. May June July Aug. Sept. Oct. Nov. Dec. p 270.9 273.1 275.2 276.6 277.6 279 575.5 580.8 900.7 907.7 914.9 920.5 923.0 929.5 933.4 936.6 938.9 944.3 951.1 955.0 277-8 270.2 272.5 278.2 272.9 277*9 279.7 277.3 279.0 281.2 284.8 291.7 581.4 578.5 584.9 593.5 589.6 596,1 599.0 598.5 600.4 605.9 610.8 619L.0 280 280 280.8 281, 283, 283.8 585.5 589.4 591.5 596.T 599-4 602.0 603.6 607.8 612.6 613.9 1974—Dec. 4 il 18 p 25 p 285.9 284.7 283.4 282.8 614.9 r~6l4.4 r 613.4 613.8 28?.8 290, 291, 291. 614.1 616.7 618.6 r 619.9 1975—Jan. 1 p 283.6 281.5 281.6 281.9 r 613.9 614.0 r 615.7 616.0 295.6 295.6 292.2 287-3 r 624.1 626.4 r 624.9 620.2 8p 15 p 22 p v 1 Mi Mj 898.5 1 905.9 905,4 915.7 926.7 922.6 930.8 934.5 932.6 1 934.6 ; 941.1 946.9 r 958.2 Includes (1) demand deposits at alt commercial banks other than those due to domestic commercial banks and the U S Government less cash items i rr 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 ot all commercial banks Includes in addition to currency and demand deposits savings deposits t«me deposits open account and ttme certificates of deposits other than _ Prel Iminarv negotiable time certificates of deposit issued in denominations of $100 000 Of more by targe weekly reporting commercial oanks_ P ' includes Mj plus the average of the beginning and end of month deposits of mutual savings banks and savings and loan shares T Revised FEDERAL RESERVE UtnUillral &*>!*•«* M 6 Table 2 MONEY STOCK MEASURES PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES IT Period M- Nh Currency plus demand deposits^ M i plus time deposits at commercial banks other than large CD's 2 / M j plus deposits at nonbank thrift institutions ^ 4.3 2.9 4.5 6.8 5.8 7.1 1.0 1.5 4.1 5.4 "5.3 7.0 December from: Sept. 1974 (3 months previous) June 1974 (6 months previous)' Dec 1973 (12 months previous) Four wegkB ending: Jan, 22, 1975 from four' weeks ending: Oct. 23, 197** (13 weekB previous) July 2k, 1974 (26 weekB previous) Jan. 23, 1974 (52 weeks previous) I'tc mdee (t 1 demand deDouiis m all commercial banks other than those dueJo domestic commercial bank* and the \J $ Government less cash items in the process ol collection and F ft Moat (21 foreign demand balances at f R 03rtkS and (3) cutioncy outside the Treasury F R Banks and vaultiLol all commercial banks. inr uaec, m adamon to currency and demand deposits savings depots, lime deposits open aeeuoHl flhd |iwe certificates Of deposits other than negotiable lime certificates ol deposit issued in denominations ot $t00 000 or more by large weekly reporting commercial banks y me 'ude- t/i; plus itir< averse ot the beginning and end of month deposits at mutual savings banks and savings and loan shares, N o If AM raif, oi change ate based on dally average data rates of change are not compounded. v 6.9 5.5 6.7 FEDERAL RESERVE Statllttcftl R«I«M« H.6 T»bl» 3 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS •••••••^^•^^^•^•^••••i^^m Time srtd ifcvlhgi depot tt Demand deposits Currency Date Other 300.7 364.5 304.6 307.7 310.3 312.7 314.0 317.0 319.2 321.5 322.8 326.1 329.3 330.1 371.0 375.9 378.3 386.7 392.5 398.4 402.8 405.-3 407.6 412.3 414.9 420.4 88.5 90.2 91.7 r 329.0 329.8 330.1 r 330.9 415.7 r 418.2 420.3 r 422.6 93.1 93.3 92.9 92.7 r 330.3 332.5 r 334.1 334.1 r 423.4 425.8 r 427.0 426.7 CO't^ 1973—Dec 61.6 209.9 | 6 3 8 1974—Jan. Feb. Mar. Apr. 62.0 62.7 63.3 63.9 64.3 64.6 64.8 65*4 208.9 210.4 211.9 212.8 213.2 215.0 215.4 215.1 215.0 215.3 216.0 216.1 i! I| j ' j 66.4 1 83.6 1 ! | j1 j| 83.8 84.8 86.2 85.5 90.3 67.8 67.6 67.8 67.7 218.1 217.1 215.6 215.2 I 86.7 67.7 67.8 67.9 68.2 215.9 213J r 213.7 213.6 May June July Aug. Sept. Oct. Nov. Dec. p 1974—Dec. 1975—Jan. 1 / ! | | 4 11 18 p 25 P 1p 8p 15 P 22 p i 65.8 66.4 67.3 67.7 1 I i ! i ! | i 1 ! 68.2 68.0 73.9 78,5 81.3 in_iudes negotiable Utm certificates of deposit xs&usd m -denomination* ol $100 000 or more by large weekly reporting commercial banks A\erage of beginning and end of month deposits at mutuaf savings banks and savings and toans shares Nonbank 1 thrift institutions 3/ _ - Total 325.2 326.9 329.5 331.1 331.5 332.7 334.0 334.5 335.3 336.6 338.5 341.1 1 ! j 1 p _ R preliminary J FEDERAL RESERVE Statistical Release H 6 Table 4 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS Demand deposit s Date Currency 1974—Dec. P 4 11 18 p 25 P 1975—Jan. 1 P 8P 15 P 22 p 298.2 362.2 321.2 65.8 66.1 66.7 71.8 77.2 79.6 82.8 87.1 88.7 88,8 87.1, 90 £ 303.6 308.3 312.4 315.3 316.7 318.3 319.2 321.2 321.4 324.7 325.9 327.3 369.4 324.5 374.3 326.9 379.1 330.8 387.1 333.2 393.9 333.0 397.9 334.7 402.0 335.6 408.3 !j 334.2 j ; 410.. 2 1 334.1 335.2 413.5 413.0 336.2 |j? 417.7 339.3 8.1 6.6 6.4 6.0 7.6 6.1 5.4 4.0 5.4 3.7 3.3 4.6 68.3 69.1 69.0 69.5 220.5 221.2 222.4 222.1 158.9 159.1 160.0 159.8 58.5 59.1 59.4 59.3 87,.? 88,9 90.4 91.7 325.3 326.4 327.1 328.4 413.0 '* 415-3 \v 417.5 420.1 3-7 3.0 4.7 5.7 68.1 68.4 67.8 67.4 227.5 227.2 224.3 219.8 164.2 163.1 160.8 157.8 60.3 61.2 60.5 59.2 92.7 9.2-8 92.3 9i>8 r 328.5 330.9 \v 332.7 ! 332.9 r 421.2 423.7 r 425.0 424.8 5.5 4.4 3.1 3.6 61.9 62.7 63-5 64.1" 64.8 65.3 65.7 65.8 66.4 67.8 68.9 Sept. 64.0 56.9 54.6 54.7 56.2 54.8 56.1 56.5 56,2 56.8 57.4 58.0 59.4 Mar. Oct. Nov. Dec. _ U S Gov't demand6-7 156.4 151.1 152.4 155.8 151.3 153.6 154.4 152.4 153.5 154.6 156.0 160.5 61.6 Feb. Aug. Total CD's -' 216.2 208.3 209.8 214.7 208.7 213.1 214.4 211.6 213.2 214.8 217.1 222.8 1974—Jan. June July Other Nonbank thrift institutions4' 3 157.0 62.7 May Member Domestic nonmember -' J 216.4 1973—Dec • Apr. Total i' Time and savings deposit 1 j 1 j i | | 6.3 LwmiittiiHiuaiMiiimiB 1 uibl deposit! include, in addition to the member and domestic nonmember deposit* thoWfr, deposits due \ at F R Banks and M^ type balances at agencies 8nd branches of foreign bank*. 2 / Bated on most recent call report single day observations erelan and International Ifoiftuifdrlf 3 / Includes negotiable time certificates of deposits issued in denominations of $100,000 Or more by large weekly reporttna COfflrpfifClftl banks/ 4 / Average of beginning and end of month deposits at mutual savings banks and savings and loan shares 5 / U S Government demand deposits at all commercial bank* P - preliminary R - revised Rev 2/74