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/tf* A IdkXyJ g.s*Y3,
FEDERAL RESERVE statistical release




f^AL R t ^

Table 1

H.t (60S)

For Immediate Release

Money Stock Measures
In Billions of Dollars

MM

M-1 +

M-1 Plus
Sewings
Currency
Depoelts at
Hue
CBeend
y
Checkable
Deposits at
Thrift Inst. 2/
1978—DEC.
1979—JAN.
FEB.
MAR.
APR.
MAY
JUNE
JULY
AUG.
SEPT.
OCT.
NOV.
DEC. P

M-2

M-3

M-4

M-1 Mue
Time
M-2 Plus
M-2 Plus
Depoelts at Deposits at
large
Commercial
Nonbank
Negotiable
Banks Other
Thrift
CDs 5/
Then Lsrge Institutions!/
CDs-3/

361 . 5
360.2
359.4
360.0
365.5
365.7
370.3
373.5
375.6
379.2
380.0
380.4
382.1

598.8
592.9
r592.8

380.2

591.7

948.4

1044.4

566.1
581.9
578.3
578.3
584.0
583.1
589.2
594.3
597.6

601.2

879.0
879.0
880.9
883.9
894.4
898.4
909.0
918.7
927. 1
936.6
943.3
948.3
952.6

r

1503.3
1507.7
1513.9
1521.9
1535.4
1541.6
1556.9
1571.6
1584.6
15 9 9 . 0
1608.6
1615 . 9
1623.3

975.6
979.5
983.0
982.9
989.4
989.0
993.9
1003.3
1013.0
1024.7
1034.4
r1043.2
r1046.8

M-5

M-1 +

M-1

M-3 Plus
Large
Negotiable
CDs 5/

Currency
Plus
Demand
Deposits V

1600.0
1608.2
1616.0
1620.9
1630.4
1632.1
1641.8
16 5 6 . 2
1670.5
1687. 1
1699.6
r 1710. 9
1717.6

371.6
365.9
352.6
354.9
368.7
360.3
369.5
375.4
373.0
377.0
379. 8
382.6
392.7

JAN.

M-2

M-3

31,

1980

M-4

M-5

M-1 Plus
M-1 Rue
Savings
Time
M-2 Plus
M-2 Plus
Deposits at Depoelts at Deposits at
Large
CBs and
Commercial
Nonbank
Negotiable
Checkable Banks Other
Thrift
CDs 5/
Deposits at Than Large Institutions^/
Thrift Inst. 1/
CDs 3/
5 94. 1
5 86.8
571.4
5 74. 3
5 89.6
579.5
590.0
598.0
5 94.9
5 97.2
597. 0
593.2
r 601. 5

884.7
883.7
875.2
882.6
901.4
896.7
910.6
921.6
923.9
931.8
940.3
945.3
958.3

1506.0
1510.8
1506.3
1521.8
1545.5
1541.0
1560.9
1577.6
1581.6
1593.2
1604.3
r1609.5
1626.0

984.2
984.7
974.8
980. 1
994.1
985.7
995.0
1005.6
1010.3
1021.7
1033.7
1041.2
1055.5

M-3 Plus
Large
Negotiable
CDs a/

1605.6
1611.9
1605.9
1619.3
1638.1
1630.0
1645.3
1661.6
1668.0
1683.0
1697.6
r1705.4
1723.1

WEEK ENDING :
1979-NOV.

28

378.3

5 83.2

941.2

103 8 . 5

DEC.

5
12P
19P
26P

r380.6
381.6
381.2
383.0

591.5
592.5
591.9
593.3

949.7
951.2
951.8
954.1

1045.7
1046.5
1045.9
1047.5

r386.8
389.9
391.4
393.5

r 596.2
599.3
600.2
6 01.4

950.9
95 5 . 1
956.9
959.7

r1048.6
1052.7
1054.1
1056.6

1980-JAN.

- 2P

382.9
382.6
r383.2
380.3

592.9
593.4
r592.6
588.2

953.6
955.6
r 957.5
954. 9

1046.0
1049.2
r1053.1
1051.1

401.6
39 8 . 8
r393.9
381.9

610.2
609.0
r 6 02.8
589.1

968.8
969.7
r 96 7 . 1
955.8

1064.8
1065.4
r1063.3
1051.8

23P

"

"

"

N K S

T

""FT

!

I » S M « I = N s . CHEOIT UNIO. SH,«E DRAFT

ING COMMERCIAL BANKS.
4 /

r o c n i ? E S ?nM
CRrD J T UNION
INCLUDES M2,
INCLUDES M3,

5/
6/

P

R

-

cLUS
AVERAGE OF THE BEGINNING AND END OF MONTH DEPOSITS OF MUTUAL SAVINGS BANK, SAVINGS AND LOAN SHARES, AND
SHARE S .
PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE.
PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE.
IULCECT T C r R m s ™ LEBsSrWEEjf:NDTMONGTHs!K"TO W E E K
" " " " ARE 0 F T E N

"" L A U ™
REVISED




iM.«(SM)

Table 2

Money Stock Measures

Percent Change at Seasonally Adjusted Annual Rates

D*e

DEC.

M»1

M-1+

M-2

M-3

M-4

M-5

Currency
Plus
Demand
tXpoete^

M-1 Rus Savings
DepoeKs el CBs
and Checkable
Deposits at
Thrift Inet. 2/

M-1 Plus Time
Deposits at
Commercial
Banks Other Than
Large CDs 3/

M-2 Plus Deposits
at Nonbank Thrift
Institutions 4y'

M-2 Plus Large
Negotiable CDs §/

M-3 Plus Large
Negotiable CDs#

FROM:

SEPT.

1979

(3

MONTHS

PREVIOUS)

3 . 1

- 5 . 6

6.8

6 . 1

8.6

7.2

JUNE

1979

(6

MONTHS

PREVIOUS)

6 . 4

1.2

9.6

8.5

10.6

9.2

DEC.

1978

(12

5.7

1. 1

8.4

8.0

7.3

7.4

FOUR

WEEKS

FROM

OCT.

ENDING:

FOUR

24,

MONTHS

PREVIOUS)

JAN.

WEEKS

ENDING:

1979(13

WEEKS

23,

1980

PREVIOUS)

2 . 0

- 5 . 5

5.3

6.4

JULY

25,

1979(26

WEEKS

PREVIOUS)

4 . 9

—0.6

8.3

9.6

JAN.

23,

1978(52

WEEKS

PREVIOUS)

6 . 0

1.5

8.6

7.3

1 /

Tun
LESS
THE

2/

imcc

li

CASH

Ml,

INCLUDES,
DEPOSITS
ING

4/

ncuAMn

TREASURY,

INCLUDES
ACCOUNTS,

3/

i

ITEMS

THAN

TO

ai i
OF

r n u u rnr-

r a i oak
i i z c nTucn tuahi t l m c c

COLLECTION

AND

VAULTS

OF

ALL

DEPOSITS

AT

COMMERCIAL

DEPOSITS

ADDITION

OTHER

AND

i

at

PROCESS

SAVINGS

DEMAND

COMMERCIAL

INCLUDES M2,
CREDIT UNION

n c o n c i t c
THE

F.R.BANKS
PLUS

AND
IN

IN

AT

CURRENCY

NEGOTIABLE

MUTUAL
AND

TIME

F.R.FLOAT;

COMMERCIAL

SAVINGS

DEMAND

(2)

mic

FOREIGN

t n

nnuc

DEMAND

DAKII/C

BALANCES

AT

F.R.BANKS;

TUT
(3)

II

e

rftweninJpiLi'i'

CURRENCY

OUTSIDE

BANKS.

BANKS

NOW

ACCOUNTS

AT

BANKS

AND

THRIFT

INSTITUTIONS,

CREDIT

UNION

SHARE

DRAFT

BANKS.

DEPOSITS,

CERTIFICATES

OF

SAVINGS

DEPOSIT

DEPOSITS,

ISSUED

IN

TIME

DEPOSITS

DENOMINATIONS

OF

OPEN

ACCOUNT,

$100,000

OR

AND

MORE

TIME
BY

CERTIFICATES

LARGE

WEEKLY

OF

REPORT-

BANKS.

PLUS THE
SHARES.

AVERAGE

OF

THE

BEGINNING

AND

END

OF

MONTH

DEPOSITS

OF

MUTUAL

SAVINGS

BANKS,

SAVINGS

5/

INCLUDES

M2,

PLUS

NEGOTIABLE

TIME

CERTIFICATES

OF

DEPOSIT

ISSUED

IN

DENOMINATIONS

OF

$100,000

OR

MORE.

6/

INCLUDES

M3,

PLUS

NEGOTIABLE

TIME

CERTIFICATES

OF

DEPOSIT

ISSUED

IN

DENOMINATIONS

OF

$100,000

OR

WHRE.

RATES

OF

4 U

Akin
AND

CHANGE

ARE

BASED

ON

DAILY

AVERAGE

DATA;

RATES

OF

CHANGE

ARE

NOT

COMPOUNDED.

AND

LOAN

SHARES,

AND

1

FEDERAL RESERVE Statistical Release H.S (80S)

Table 3

Components of Money Stock Measures and Related Items
Seasonally Adjusted, in Billions of Dollars

Time and Savings Deposit# U
Currency

Dote

Demand
Deposits

Time Deposits
CDs a/

97.7
98.4
99.0
99.5
100.2
100.7
101.5
102.4
103.6
104.9
105.4
105.8
106.3

263.8
261.8
260.4
260.5
265.3
265.0
268.7
271.1
272.1
274.4
274.6
274.6
275.8

96.6
100.5
102.1
99.0
95.0
90.6
84.9
84.7
85.9
88.1
91.1
95.0
94.3

28

106.0

274.2

95.9

DEC.

5
12P
19P
26P

105.6
106.1
106.2
106.5

r275.0
275.5
275.0
276.5

96.0
95.2
94.2
93.5

1980-JAN.

2P
9P
16P
23P

106.7
107.2
107.1
107.4

276.2
275.5
r276.1
272.9

92.4
93.6
r 95.6
96.2

1978—DEC.
1979—JAN.

FEB.
MAR.
APR.
MAY
JUNE
JULY
AUG.
SEPT.
OCT.
NOV.
DEC. P

Savings 3/

Total

Other

221.6
218.3
216.5
215.3
215.3
214.1
215.6
217.4
218.5
218.5
215.4
209.0
207.3

614. 1
619.3
623.6
622.9
623.9
623.2
623.6
629.8
637.3
645.4
654.4
662. 8
r664.7

360. 1

208.2

664 . 2

r 361.b
362.1
363.2
364.2

207.5
207.5
207.4
206.9

r665.1
664.9
664.8
664.5

206.5
207.4
r206.0
204.6

663.1
666. 6
r669.9
670.9

295.9
3 00.1
305.0
308.5
313.6
313.6
323.2
327.o
332.9
338.8
347.9
359.8
r 363.1

Nonbank
Thrift
Institutions &

624.4
628.7
633.0
638.0
641.0
643. 2
647.9
652.9
657.5
662.4
665 • 3
r667.6
670.7

WEEK ENDING:
1979-NOV.

W
2/

n u u r t\r* T A I

a * Mi/ c

364. 1
365.6
r 368.3
370.1

YIM£ AI45 £AV/1H65 DEPOSITS AT ALL COMMERCIAL BANKS.
NPNNNT
INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR *I0RE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS.
3 / INCLUDES NOW ACCOUNTS AT COMMERCIAL BANKS.
„
AVERAGE
OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARES, AND CREDIT UNION SHARES.
4 /
P - PRELIMINARY;
R - REVISED




p m w r a l m m r v b « w w m i i w h w i h.«




(see)

Table 4

Components of Money Stock Measures and Related Items

Currency

Dele

Tote#

Time end Savings Depeeitl/

(

i

Not Seasonally Adjusted, In Billions of Dollars

Member

Domeetic 2/
Nonmember

Time Deposits
CDs 4/

Other

Savings57

Total

Other
Checkable
Deposits &

3.0
2.9
2.9
3.0
3.2
3.3
3.3
3.4
3.4
3.5
3.4
3.4
3.4

U.S.
Nonbank
Gov't.
Thrift
Institutions^ Demand 5/

621.4
627.1
631.1
639.2
644.0
644.3
650.3
656.0
657.8
661.4
664. 0
r 664.2
667.6

10.3
12.0
8.4
6.5
5.3
8.4
10.8
13.2
9.8
12.5
11.7
5.5
9.4

99.3
97.6
97.7
98.7
99.9
100.6
101.8
103.2
103.9
104.6
105.2
106.6
108,1

272.3
268.3
254.9
256.1
268.8
259.7
267.7
272.2
269.1
272.4
274.6
276.0
284.6

182.8
178.9
169.3
170.1
178.1
171.4
176.7
180.2
178.1
179.1
180.1
181.3
187.9

85.5
85.2
81.7
82.0
86.8
84.2
86.4
87.8
87.0
89.1
90.0
90.3
92.5

99.5
101.1
99.6
97.5
92.6
88.9
84.4
34.0
86.4
89.8
93.4
95.9
97.1

293.5
299.8
306.7
311.3
315.1
320.5
323.9
327.0
332.5
338.1
346.7
r 355.4
r360.2

219.6
218.0
215.9
216.5
217.7
215.9
217.2
219.2
218.5
216.7
213.8
207.3
r205.4

612.6
618.8
622.1
625.3
625.4
625.3
625.5
630.1
637.3
644.7
653.9
r 658.6
662.7

28

106.3

272.0

178.6

89.1

97.3

356.4

206.5

660.2

6.6

DEC.

5
12 F
19f
26f

106.9
108.1
108.2
109.3

r280.0
281.8
283.3
284.2

184.8
185.2
186.5
188.4

90.6
92.3
92.6
91.8

97.7
97. 6
97.2
96.9

358.1
359.2
360. 1
361.7

r206.0
206.0
205.3
204.5

r 661.8
662.8
662.6
663.1

r 5.1
4.4
8. 0
14.9

1980—JAN•

2f
9f
16F
23P

107.1
107.9
r106.7
106.0

294.5
290.9
r287.2
275.9

195.3
191.2
r189.3
181.4

94.3
95.4
r 93.7
90.1

96. 0

362.0
364.1
r 367.8
370.1

205.2
206.8
r205.4
203.9

663.2
666.6
669.4
669.9

15.1
10.3
r 8.4
13.5

1978—DEC.
1979—JAN.
FEB.
MAR.
APR.
MAY
JUNE
JULY
AUG.
SEPT.
OCT.
NOV.
DEC. P

WEEK ENDING:
1979—NOV.

95.7
?96.2
96.0

1 / TIME AND SAVINGS DEPOSITS AT ALL COMMERCIAL BANKS.
2 / TOTAL DEMAND DEPOSITS INCLUDE, IN ADDITION TO THE MEMBER AND DOMESTIC NONMEMBER DEPOSITS SHOWN, DEPOSITS DUE TO FOREIGN AND
INTERNATIONAL INSTITUTIONS AT F.R.BANKS AND M l TYPE BALANCES AT AGENCIES AND BRANCHES OF FOREIGN BANKS.
3 / BASED ON MOST RECENT CALL REPORT DATA.
4 / INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORTING
COMMERCIAL BANKS.
5/ INCLUDES NOW ACCOUNTS AT COMMERCIAL BANKS.
„
t
n AKIiy< .
6 / INCLUDES NOW ACCOUNTS AT THRIFT INSTITUTIONS, CREDIT UNION SHARE DRAFT ACCOUNTS, AND DEMAND DEPOSITS AT MUTUAL SAVINGS BANKS.
7 / AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARES, AND CREDIT UNION SHARES.
8 / U . S . GOVERNMENT DEMAND DEPOSITS AT ALL COMMERCIAL BANKS. INCLUDES TREASURY NOTE BALANCES, BEGINNING NOVEMBER 2 , 1 9 7 8 .
P - PRELIMINARY;
R - REVISED

Special Supplementary Table
Savings Deposits Authorized for Automatic Transfer (ATS)—
and NOW Accounts in New York State
(Amounts outstanding, million of dollars,
Insured commercial banks)

2/

ATS Accounts—

Now Accounts in
New York Stated/

Dec. 26

7270

2335

Jan.

2

7360

2450

9

7535

2565

16

7670

2535

23

7370

2365

1/

Excluding commercial banks in Massachusetts, New Hampshire, Connecticut,
Rhode Island, Maine and Vermont.

2/

ATS estimates are based on data collected by the Federal Reserve and the
FDIC from a stratified random sample of 351 commercial banks. NOW
estimates are based on data collected from a sample of 38 banks in New
York State.




t