Full text of H.6 Money Stock Measures : July 22, 1976
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ife. F E D E R A L RESERVE FEDERAL RESERVE Statistical Release H.6 statistical release Table 1 For Immediate Release MONEY STOCK MEASURES JULY 22, 1976 IN BILLIONS OF DOLLARS Ml M2 M3 M4 MS M] Plus Time M 2 Plus Currency Deposits at M 2 Plus M3Plus Deposits at Commercial Nonbank Plus Large Large Banks Demand Negotiable Negotiable Thrift CD's^ Deposits-!/ Other Than CD's£/ Institutions^ Large CD's 2/ Date Ml 1975— JUNE JULY AUG. SEPT. OCT. NOV. DEC. 1976 —JAN. FEB. MAR. APR. MAY JUNE P 291.0 291.9 293.2 293.6 293.4 295.6 294.8 295.1 296.5 298.0 301.7 303.3 303.0 670.2 678.5 683.4 691.9 697.2 700.2 303.1 302.9 697.3 697.6 304.2 304.0 303.7 301.9 301.7 304.3 304.1 M3 MS M4 M] Plus Time M2Plus M 2 Plus Currency Deposits at Deposits at Commercial Nonbank Plus Large Banks Negotiable Demand Thrift CD's4/ Deposits!^ Other Than Institutions^ Large CD's^ Seasonally Adjusted 64 2. A 647.5 650.6 652.9 655.8 662.1 664.3 M2 M 3 Plus Large Negotiable CD's.5/ Not Seasonally Adjusted 1040.2 1051.6 1060.6 1068.1 1075.8 1086.5 1092.9 726.5 729.6 729.3 731.9 736.7 743.9 747.2 1124.3 1133.7 1139.3 1147.1 1156.6 1168.3 1175.8 290.3 292.1 290.0 291.7 292.3 297.4 303.2 643.5 647.6 647.2 649.5 653.2 660.2 669.3 1044.5 1055.0 1057.1 1062.8 1070.4 1080.6 1094.6 725.8 729.1 728.4 732.2 736.9 743.0 752.8 1103.7 1117.2 1127.3 1141.1 1151.2 1158.4 749.4 753.8 756.5 763.4 765.4 770.8 1182.9 1192.6 1200.5 1212.5 1219.4 1229.0 301.0 292.9 295.2 303.3 298.4 302.3 675.3 675.3 683.3 696.7 695.6 701.5 1107.1 1113.3 1129.0 1149.2 1152.0 1163.3 753.7 746.4 755.1 766.1 763.0 770.7 764.8 765.6 297.9 295.1 695.6 693.1 762.5 760.8 699.7 700.6 701.3 699.5 701.2 768.4 770.3 771.7 770.6 773.2 300.4 302.5 305.2 300.7 300.3 698.8 701.6 704.4 699.6 700.4 767.1 770.4 773.3 768.7 770.4 r 704.9 705.2 r 776.4 775.6 307.3 3Q7.0 r 708.5 708.2 r 778.3 777.3 , 1126.8 1136.3 113&.3 1145.5 1154.1 1163.5 1178.1 1185.6 1186.3 1200,3 1218.6 1219.4 1232.4 WEEK ENDING: 1976—•MAY 19 26 JUNE 2 9 16 23 30 P JULY 7 P 14 -P I/ INCLUDES (1) DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC COMMERCIAL BANKS AND THE U.S.GOVERNMENT, LESS CASH ITEMS IN 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 OF ALL COMMERCIAL BANKS. 2/ INCLUDES, IN ADDITION TO CURRENCY AND DEMAND DEPOSITS, SAVINGS DEPOSITS, TIME DEPOSITS' OPEN ACCOUNT, AND TIME CERTIFICATES OF DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE BY LARGE WEEKLY REPORT*3/ INCLUDES M2, CREDIT UNION 4/ INCLUDES M2, 5/ INCLUDES M3, p - PRELIMINARY; PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH DEPOSITS OF MUTUAL SAVINGS BANK, SAVINGS AND LOAN SHARES, AND SHARES. PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE. PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE. R - REVISED FEDERAL RESERVE Statistical Release H.6 Table 2 MONEY STOCK MEASURES PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES M i M3 MM Mi Plus Time Deposits at Currency Plus Commercial Demand Deposits-^ Banks Other Than Large CD's^ DATE M2 Plus Deposits at Nonbank Thrift Institutions^/ M4 «5 M2 Plus Large Negotiable CD's5' Ma Plus Large Negotiable CD's3' JUNE FROM: MAR. 1976 (3 MONTHS PREVIOUS) 6.7 DEC. 1975 (6 MONTHS PREVIOUS) 5.6 JUNE 1975 (12 4.1 MONTHS PREVIOUS) FOUR WEEKS ENDING: JULY 14, FROM FOUR WEEKS ENDING: 10.8 9.0 11.0 7.6 9.5 12.0 6.3 9.0 11.4 6.1 9.3 1976 14, 1976(13 WEEKS PREVIOUS) 4.8 JAN. 14, 1976(26 WEEKS PREVIOUS) 5.5 JULY 16, 1975(52 WEEKS PREVIOUS) 3.9 APR. 9.8 9.0 10.9 8.9 7.2 6.9 6.2 I/ INCLUDES (1) DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC COMMERCIAL BANKS AND THE U.S.GOVERNMENT 4 LESS CASH ITEMS IN THE PROCESS OF COLLECTION AND F.R .FLOAT; 12) FOREIGN DEMAND BALANCES AT F.R.BANKS; AND (3) CURRENCY OUTSIDE THE TEASURY, F.R.BANKS AND VAULTS OF ALL COMMERCIAL BANKS. 2/ INCLUDES, IN ADDITION TO CURRENCY AND DEMAND DEPOSITS, SAVINGS DEPOSITS, TIME DEPOSITS OPEN ACCOUNT, AND TIME CERTIFICATES OF DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE BY tA*G£ WEEKLY REPORTING COMMERCIAL BANKS. " ~. "' ^/ INCLUDES M2t PLUS THE AVERAGE OF THE BEGINNING AND END OF 'MONTH DEPOSITS OF MUTUAL SAVINGS BANKS, SAVINGS ^ND LOAN SHARES, AND CREDIT UNION SHARES. 4/ INCLUDES M2, PLUS NtGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE. 5/ INCLUDES M3, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE. NOTE: ALL RATES OF CHANGE ARE BASED ON DAILY AVERAGE DATA; RATES OF CHANGE ARE NOT COMPOUNDED. FEDERAL RESERVE Statistical Release H.6 Table 3 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS Time and Savings Deposits Date Currency Demand Deposits CD's^ Other Total Nonbank ^ Thrift Institutions-2* 1975— JUNE JULY AUG. SEPT. OCT. NOV. DEC. 71.0 71.3 71.9 72.0 72.6 73.4 73.7 220*0 220.6 221.3 221.6 220.8 222.1 221.0 84.1 82.1 78.8 79.1 80.9 81.8 82.9 351.4 355.5 357.4 359.2 362.4 366.5 369.6 435.5 437.6 436.2 438.3 443.3 448.3 452.4 397.8 404.1 410.0 415.2 420.0 424.4 428.6 1976—JAN. FEB. MAR. APR* MAY JUNE P 74.2 75.1 75.7 76.7 77.4 77.6 220.8 221.5 222.3 225.0 226.0 225.4 79.2 75.4 73.2 71.4 68.2 70.6 375.2 381.9 385.4 390.2 393.9 397.2 454.4 457.3 458.5 461.6 462.0 467.9 433.5 438.8 444.0 449.2 454.0 458.2 19 26 77.4 77.2 225.8 225.7 67.6 68.0- 394.1 394.7 461.7 462.7 2 9 16 23 77.6 77.8 77.7 77.7 77.6 226*5 226.2 226.0 224.2 224.1 68.7 69.7 70.4 71.1 72.0 395.5 396.6 397.6 397.7 399.5 464.2 466.3 468.0 468.7 471.5 r 226.5 225.8 71.5 70.4 T400.6 401.1 T472.1 471.5 WEEK ENDING: 1976^-MAY JUNE 30 P JULY 7 P 14 1> *77.8 78.3 I/ INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100*000 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS. 2/ AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARES, AND CREDIT UNION SHARES. P - PRELIMINARY; R - REVISED 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 Date Currency Total17 Member Time and Savings Deposit Domestic Nonmember^J CD's^ Other Total Nonbank Thrift Institutions47 U.S. Gov't. Demand-5/ 1975 — JUNE JULY AUG. SEPT. OCT. NOV. DEC. 71.2 71.9 72.1 71.9 72.5 73.9 75.1 219.1 220.3 217.8 219.9 219.9 223.5 228.1 157.2 157.9 155.8 157.0 150.6 159.0 162.1 58.9 59.4 59.0 59.7 60.3 61.4 62.6 82*3 81.3 81.1 82.7 83.7 82.9 83.5 353.2 355.7 357.3 357.7 360.8 362.8 366.2 435.5 436.9 438.4 440.4 444.5 445^6 449.6 401.0 407.2 409.9 413.3 417.2 420.4 425.3 4.2 3.4 2.7 3.9 3.4 3.5 4.1 1976— JAN. FEB. MAR. APR. 73.8 74.1 75.1 76.3 77.2 77.8 227.2 218.8 220.1 227.0 221.2 224.5 162.0 155.7 156.8 161.7 157.1 159.0 62.1 59.9 60.2 62.3 61.0 62.3 78.5 73.0 71.8 69.4 67.4 69.1 374.3 382.5 388.1 393.4 397.2 399.3 452.8 455.5 459.9 462.8 464.6 468.4 431.9 438.0 445.7 452.5 456.4 461.8 3.8 4.5 3.9 3.8 3.7 4.7 77.1 76.7 220.8 218.4 156.4 155.2 61.1 60.1 66.9 67.6 397.6 398.0 464.5 465.6 < 3.8 3.8 30 P 77.5 78.5 78.1 77.6 77.3 222.9 224.0 227.1 223.1 223.0 158.6 158.3 161.0 157.9 158.3 61.0 62.5 63.0 62.0 61.4 68.4 68.8 68.9 69.1 70.0 398.4 399.1 399.2 398.9 400.1 466.7 467.9 468.1 468.0 470.1 3.0 3.5 5.3 6.4 4.4 7 P 14 P r79.4 79.2 227.9 227.8 * 16 1.3 160.5 r63.1 63.8 69.8 69.1 r401.3 401.3 *471.0 470.3 r3.6 3.0 MAY JUNE P WEEK ENDING: 1976—MAY 19 26 JUNE 2 9 16 23 JULY I/ TOTAL DEPOSITS INCLUDE* IN ADDITION TO THE MEMBER AND DOMESTIC NONMEMBER DEPOSITS SHOWNt DEPOSITS DUE TO FOREIGN AND INTERNATIONAL INSTITUTIONS AT F.R.BANKS AND Ml TYPE BALANCES AT AGENCIES AND BRANCHES OF FOREIGN BANKS. 2/ BASED ON MOST RECENT CALL REPORT SINGLE-DAY OBSERVATIONS. 3/ INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE BY LARGE WEEKLY * ' REPORTING COMMERCIAL BANKS. 4/ AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARES, AND CREDIT UNION SHARES. 5/ U.S.GOVERNMENT DEMAND DEPOSITS AT ALL COMMERCIAL BANKS. p - PRELIMINARY; R - REVISED