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FEDERAL

IT
Currency plug
demand deposits^

1
1
8
9
3
1

263,
265,
263,
264,
266,
270,
279,

551,
551,
554,
560,
565,
577,

863,
867,
866,
870,
877,
884
898

6
6
6
0
2
0
4

4
9
2
2
8
,4

900.4
909,0
915.8
921.5
924.9
930.9

278.1
270.8
273
279
274
278

581,
579
585
594
590
596

905
906
916
927
*923
932

9
3
5
7
9
0

596
597
598
597

278,
279,
280,
276,

596
598
598
594

598.4

280.8

552,
555
556
561
567
572

1974--Jan.
Feb.
Mar.
Apr .
May
June

270,
273,
276,
278,
279,
280

575
581
586
590
592
597

281.2
280.9
281.5
280.4
281.2 I

3 p

Ms

M) plus time deposits
Mj plus-deposits
Currency plus
at commercial banks
at nonbank
demand deposits^
other than large
thrift institutions ^
CD's*'
Not Seasonally Adjusted

862,
867,
870,
873,
880,
887,
894

265.5
266,4
266,3
265,5
266.6
269.2
271.4

July

For Immediate Release
J u l y 1 1 , 1974

:

M \ plus time deposits] Mj plus deposits
at commercial banks
at nonbank
other th
thrift institutions3'
;»
seasonally Adjusted

1973--June
July
Aug.
Sept.
Oct.
Nov.
Dec.

5
12
19
26

release

MONEY STOCK MEASURES
IN BILLION. M MUMf
M
1J,
±
M

Week endfe:
1974—June

statistical

f tblt i

H6

Date

RESERVE

549.5

548.9

2
6
3
5

4
0
8
2

599.0

includes (1) demand deposits at all commercial banks other than those due to domestic commercial banks and the U S Government less cash Hems m the process of collection and F R float
(2) toretgn demand balances at F R Banks and
(3) currency outside the Treaaury F R Banks and vaults ot all commercial banks
1/ Includes In addition to currency and demand deposits savings deposits time deposits open account and lime certificates of deposits other than
.

negotiable time certificates of deposit Issued in denominatione ot $100 000 or more by large weekly reporting commercial banks
P ~ ° r e «• i f l i n a r y
http://fraser.stlouisfed.org/
includes M2 plus the average of the beginning and end of month deposits of mutuat savings banks and savings and loan shares
t - Revised
Federal Reserve Bank of St. Louis

FEOERAL RESERVE Statistical Release H 6

table 2

MONEY STOCK MEASURES
PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES

_.

Currency plus
demand deposits^

Period

June

in mi W W * — — — i — — — — w m m m m 1

Ma

'

M i plus time deposits
at commercial banks
other than large
CD's V

•;
Mj plus deposits
at nonbank
thrift institutions^

from:

Mar* 1974 (3 m o n t h s p r e v i o u s )
D e c . 1973 (6 m o n t h s p r e v i o u s )
J u n e 1973 (12 m o n t h s p r e v i o u s }
Four weeks e n d g . J u l y 3 ,
from f o u r w e e k s e n d i n g :
Apr.
Jan,

,

3 , 1974
2 , 1974

J u l y 4,

1973

7.6
8.8
8.7

6,8
6.8
5.6

7.8
8.7
8.7

6.6
8.1
7.9

1974

(13 weeks p r e v * )
(26 w e e k s p r e v * )
\D1

6.8
7.0
5.8

Tare BITS prr^v. }

:

> - * * * ^ I I I n n il nit f mam mint

J

includes (i) demand deposits at all commercial banks other than those due to domestic commercial banks and the U.S. Government less cash items In the
f
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 all commercial banks.
V includes m addition to currency and demand deposits savings deposits time deposits open account, and time certificates of deposits other than
negotiable ume certificates of deposit issued in denominations of $100 000 or more by large weekly reporting c^romSf<Mai banks.
includes M2 plus the average of the beginning and end of month deposits of mutual savings banks and savings and loan Sfraf&s.
DigitizedNote
for FRASER
All rates of change are based on daily average data rates of change are not compounded.


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rift 1

FEDERAL RESERVE Statistical Release H 6
Table 4

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS

Demand deposits
Currency

Date

i
1
|

1973--June
July
Aug.
Sept.
Oct .
NoV.

|
!

1974--Jan.
Feb.
Mar.
Apr .
May
June p
Week e n d i n g :
1974--June

1
!

5
12

i!
[

1 9 p I1
26 p , !
Jvfly

3 p ';

59.4
60.0
60.0
60.1
60.4
61.5
62.7
61.6
61.9
62.7
63.6
64.2
64.9

i

!
'

|

!
|
j

64.6
65.3
65.0
64.4

j

65.3

]

Totaliy

Member 1

|

Domestic
nonmember -1

Time and savings deposit
CD's^

Total

52.4
53.2
52.7
53.3
53.„8
55.1
.56.6

1 59.3
62.3
j 68.4
j 68.8
! 66.3
| 64.1
! 64.1

285.3
285.4
288.3
290.3
294.0
294.8
298.1

344.7
1 347.8
| 356.7
359.3
! 360.3
359.0
362.2

156.4
151.2
152.5
156.0
151.5
153.6

57.1
55.2
55.5
57.3
56.0
57.3

66.1
! 65,9
'! 6 7 . 0
| 72.4
i 77.8
79.8

303.4
308.5
312.2
314.9
316.4
318.2

369.4
374.4
379.2
387.3
394.2
397.9

213.6
214.3
215.3
212.1

153.9
153.9
154.2
152.3

56.8
57.6
57.7
57.0

79.2
79.6
79*2
80,2

318,2
318,4
318.5
| 317.?

397.4
398.1
! 397.7
! 397.8

215.5

155.1

57.6

'81.1

318*2

399.3

204.1
205.7
202.9
203.8
205.7
209.5
216;4

149.1
149.7
147.8
148.2
149.7
151.8
157.0

2.16.5
209.0
210.8
216.1
210.2
213.9

I

\mm^mimmmmmmmm
U Total deposit! mclude m addition to the member end domestifc nonmember deposit* shown, deposits due to foreign and International Institutions
at F R Banks and M^ type balance* at amende* and branches of foreign banks
2 / Based on most recent call report single day observations
3/ Includes negotiable time certificates of deposits Issued in denominations of $100,000 or more by large weekly reporting commercial banks.
4 / Average of beginning and end of month deposits st mutual savings hanks and savings and loan shares
& / U 8 Government demand deoostts at all com more 1st banks




Other

|
Nonbank 1 US Gov't
thrift
j demand ^
institutions-'!
314.7
316.5
315.3
315.6
317.0
318.3
321.2

7.1
6.5
4.1
5.3
6.0
4.3
6.3

324.5
11 3 2 6 , 9
j! 3 3 0 . 8
I 333.2
333.1
335.0

8.0
6.6
6.3
6.0
7.5
6.2

1

4.2
3.7
6.7
7.9
8.7

mmmmmammmmmmm

p *• preliminary
t ~ revised
Rev. 2/74