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'Q*COWJ

FEDERAL

RESERVE

statistical

••f^tt^C

H-6

release

For immediate release
- July 10, 1969.

The seasonally adjusted money supply increased $200 million an average
in June, and expaas±ofi in the first half of 1969 is estimated at a 2.4 per cent
annual rate. Time[and savings deposits declined further in the latest week, and
these deposits declined $900 million an average in June .

MONEY SUPPLY AND TIME DEPOSITS,
(Averages of; daily figures, in billions of dollars)
Seasonally adjusted

)

Money Supply
Period
1968—June
July
August
September
October
November
December

187.4
189.4
190.3
189.5
190.2
191.9
193.1

1969—January
February
March
April

193.7
193.8
194.0
195.7
195.2
195.4

1
1
I
1

May

June p

Week ending:
1969--June

4
25 p
2 p

195.8

July .

Average of l a s t 4 week! i
p - Preliminary.




§
j

42.0
42.2
42.6
42.7
42.8
43.2
43.4

i
|

145.4
147.2
147.6
146.7
147.4
148.7
149.6

188.2
190.4
193.8
196.6
199.5
201.9
204.3

150.1
149.9
149.8
151.5
150.7
150.5

202.5
201.0
201.0
200.8
200.1
199.2

':

43.6
43.9
44.2
44.2
44.6
44.9

1

44.9
44.8
44.9
44.9

150.1
150.9
150.3
r 150.0

199.6
199.7
199.2
198.7

45.0

150.9

198.1

44.9

150.5

198.9

;

195.0
195.8
r 195.1
r 194.9

11
18

Demand d e p o s i t
component

Currency
component

-Total

Time deposits
adjusted
(All commercial
banks)

I

195.A
r - Revised

'

DEMAND DEPOSITS, CURRENCY, AND RELATED ITEMS
(Averages of d a i l y f i g u r e s ,

i n b i l l i o n s of d o l l a r s -

Not s e a s o n a l l y

adjusted.)

|
Related deposits
' ( A l l commercial b a n k s )
| U.S. Gov't.
Tiine
Currency | Demand d e p o s i t
demand
adjusted
component
component I
Money Supply

Period
Total

•••^^™

»-•

"•

1968—June
July
August
September
October
November
December

185,6
187.2
186.9
188,6
190.6
193.4
199.2

41.9
42.4
42". 7
42.7
42.9
43.7
44.3

143.6
144.8
144.2
145.8
147.7
149.7
154.9

1 96 9—January
February
March
April
May
June p

199.5
192.4
192.6
196.7
191.6
193.5

43.5
43.4
43.8
43.9
44.3
44.8

155.9
149.0
148.8
152 . 8
147.3
148.7

P

192.9
193.9
r 194.2
r 191.7

44.8
45.0
44.8
44.6

2 P

194.3

44.8

,\7eek e n d i n g :
1969--June

4
11
18
25

July

|

.

...

199;. 1
200J7
202 .5

5.4
5.7
5.5
5:9
6.1
4:2
4.8

202.1
201:.'6
202:6
201.6
200^9
199.5

4.7
6:6
4'.5
5.1
8.8
5.7

148.1
148.9
149.4
r 147.1

200.6
200.3
199.6
198.9

5.4
4.0
5.4
8.0

149.5

198.5

188.6
190 ..8
194 .4

1

:

1

196',2

J
1

5.7

p - Preliminary.
r - Revised.
NOTE: Money supply c o n s i s t s of (1) demand d e p o s i t s a t a l l commercial b a n k s , o t h e r t h a n
t h o s e due t o domestic commercial banks and t h e U . S . Government, l e s s c a s h s t e r n s
in process of c o l l e c t i o n and F e d e r a l R e s e r v e f i l o a t ; ( 2 ) f o r e i g n demand b a l a n c e s , a t
F e d e r a l Reserve Banks; and ( 3 ) c u r r e n c y o u t s i d e t h e T r e a s u r y , t h e F e d e r a l R e s e r v e
and the v a u l t s of a l l commercial b a n k s . Time d e p o s i t s a d j u s t e d a r e time d e p o s i t s
a t a l l commercial banks o t h e r t h a n t h o s e due t o ^ d o m e s t i c commercial banks and t h e
U . S . Government.