Full text of H.6 Money Stock Measures : July 16, 1970
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FEDERAL RESE R V E sta t l s t i c a i release For immediate release July 16 1970 The seasonally adjusted money supply is estimated at $205 6 billion in the first week of July, about $1 9 billion above the revised June level T^tal time and savings deposits increased sharply in the latest week to a level $3 5 billion above the June level* MOflET SUPPLY AND TIME DEPOSITS (Averages of daily figures, in billions of dollars) Seasonally adjusted Time deposits adjusted (All commercial banks) 200 8 197 7 194 5 194 1 193 5 193 4 194 1 Money Supply Perxod Total Currency component Demand d e p o s i t component 1969—June July August September October November December 199 0 199.3 199.0 199 0 199 1 199 3 199 6 44.8 45.0 45.3 45.2 45.6 45 9 45.9 154 154 153 153 153 153 153 2 4 8 7 6 4 7 1970—January February March April May June p -r 201 1 199 3 201 5 203 3 203 9 203.7 46 1 46 4 46 7 47.0 47.6 47 8 155 153 154 156 156 155 0 0 8 2 2 9 r 204 0 203 4 203 9 202.1 Week ending1970—June 3 10 17 24 July 1 p 8 p Average of l a s t 4 weeks • p - Preliminary r - Revised 204 5 205 6 204.0 | j j! i 1 |i r 47 6 47! 7 47 8 47.8 r 471 8 48 1 47 9 l 192 192 194 197 199 201 156 4 155 7 156 0 154.3 r 1 0 3 9 6 0 200 0 200 5 200 7 201.0 156 6 157 5 : 202 3 204 5 156.1 | 201 1 DEMAND DEPOSITS, CURRENCY, AND RELATED ITEMS (Averages of daily figures, in billions of dollars Not seasonally adjusted ) Money Supply Period 1969—June July August September October November December 197 0 197 8 195 9 197.6 199.3 201.0 206 0 Currency component 44 7 45 2 45 4 45.2 45.6 46.4 46 9 1970—January February March April 207 1 197 8 199.7 204.2 199.9 201.8 46 1 45 9 46 3 46.6 47.3 47.7 Total May June p Demand deposit component 152.3 152 7 150 5 152.4 153.7 154.7 159.1 161.1 151.9 153.4 157.-6 152.6 154.1 Related deposits (All commercial banks) ]USGov't Tlme adjusted demand 201 0 oTo 197.7 5 6 4 3 195 5 194 3 5.3 193.7 4.2 192.6 5.1 192.4 5.5 191.7 192.0 194.9 198.3 200.0 201.2 ! 4.7 7.1 6.9 5i3 6.4 6.5 j Week ending 1970—June 3 10 17 24 July 1p 8 p 200.8 201 7 203. A r 199.2 ^02 4 204.4 1 r 47.6 48 0 47.8 47 5 153.3 153.6 155.6 151.7 47 5 48 9 154.9 155.5 1 r 200.6 200.9 200.9 201.0 202 5 204 5 5.1 4.2 5.3 r 9.4 8.0 7.0 i^ - Preliminary r - Revised NOTE Money supply consists of (1) demand deposits at all counaercial banks, other than those due to domestic commercial banks and the U S Government, less cash items in process of collection and Federal Reserve float, (2) foreign demand balances at Federal Reserve Banks, and (3) currency outside the Treasury, the Federal Reserve and the vaults of all commercial banks Time deposits adjusted are time deposits at all commercial banks other than those due to domestic commercial banks and the U S Government.