Full text of H.6 Money Stock Measures : July 24, 1975
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otcoyt FEDERAL RESERVE FEDfcfUL HlfttttVE Statistical fial«a«« H.t statistical release Table 1 For Immediate fteleate JULY 24 • MONEY STOCK MEASURES 1913 IN BILLIONS OP DOLLARS —ar~ "Si rny- pv~ 1 T1 pT" Ms »» M| Plus Time M| Plus Time Ma Plus M2Plus Currency Deposits at Deposits M2Plus MjPlus Mi Plus 1 Currency Deposits at Deposits at at Plus Commercial Nonbank Large Large Pus Commercial Nonbank ! Large Demand Demand Banks Negotiable Negotiable Banks Negotiable thrift | thrift Depbsltsl/ Other Than Institution^v i Deposits.!/ Other Than CO's# CD'ii/ [Large CLVsff ; Large CW%VInstitutions^ "1 Date 597.1 ZeOftO AUG. SEPL OCT. NOV. 955»e 676.4 otc 280.1 281*6 263.6 264.4 601.9 602.4 607.6 611.6 613.5 962*6 965*0 970.7 976.9 981.1 685.1 668.2 693.6 691.1 703.8 19T5--JAN. FEB. MAR. APR. MAY JUNE 282.2 283.5 i 286.1 1 287.1 i 269.7 | r 294.0 615.5 620.3 626.4 630.4 631.3 647.3 987.0 995.6 1C07.2 1017.2 1029.7 r 1046.3 708.3 112*4 716*1 116.B 12 2 * 9 r 131.3 1 289.9 792.0 637.6 641.5 123.5 125*9 j 292.4 294.2 294.1 r 294.8 r 643.2 64*.3 647.6 649.1 121.0 130.4 r 131.8 r 133*3 r 293.7 r 293.6 29**2 «• 6 4 8 . 7 r 649.6 652.3 2eo.5 MjPlus Large Negotiable CD'sjy Not Seasonally Adjusted Si aionally Ad|utted 197*--JUNt Us 2*8»2 260.0 211*3 278*9 2B5.1 292*3 596.5 599.2 598*4 600.3 605*7 609.8 6lB*6 269.3 280*4 263*3 288.7 284*9 t 292*1 621.5 617.9 625.9 634.8 635.5 v 646.1 lOAl»l 1043.2 1046.4 1049*9 1056.9 1062.5 I012.C 1019.8 | 10B7.6 ! 1001*0 1105.6 1115*3 r 1130.3 m* i ; I i 1 1036.8 616.2 951.2 9*6.$ 958*7 960*8 961.4 912*6 985*1 661.9 685*5 669.0 694.5 696*6 109*1 1 113*4 707.1 113.9 120.6 119.6 129.1 992*4 993*3 1008*6 1023*9 1029*6 t 1041 . 9 I | 1&U*7 1045*8 1049*5 1056*2 1059*9 1015.5 •r 1084.4 1062*5 1096.6 1109*8 1113.1 1130*2 MEEK ENDING! 1915—MAY 21 28 JUNE JULY 4 11 id 25 2 9 P 16 P i r r 132.9 133.2 135.3 r r 119.8 120.1 635.3 636.B 284.5 284.3 289*5 292.6 294.2 290.5 r 642.? 646.9 648.8 r 645.4 293*6 295.9 296.8 r ' r j 649.3 652.1 653.8 f r a » — — 1/ 2/ B/ 4/ i i 72 3 . 1 729.8 131*1 121*1 131*0 133.3 135.1 1 INCLUDES f i t OEMAND DEPOSITS Al ALL COMMERCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC COMMERCIAL BANKS AND THE U.S .GOVERNMENT LESS CASH ITEMS I N THE PROCESS OF COLLECTION AND F.R.FLOATt <2) PORE!GN DEMAND BALANCES At P.R.BANKS» AND 131 CURRENCY OUTSIDE THE TREASURY. F.R.BANKS AND VAULTS Of ALL COMMERCIAL BANKS. INCLUDESt IN AOOITION 10 CURRENCY AND OEMAND DEPOSITS. SAVINGS DEPOSITS, TIME DEPOSITS OPEN ACCOUNT* AND TIME CERTIFICATES Of DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF OEPOSIT ISSUED I N DENOMINATIONS OF 1 1 0 0 * 0 0 0 OR MORE BY LARGE WEEKLY REPORTI N * COMMERCIAL BANKS. INCLUDES M2. PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH OEPOSITS OF MUTUAL SAVINGS BANK* SAVINGS AND LOAN SHARES. ANO CREDIT UNION SHARES. INCLUDES M2. PLUS NEGOTIABLE TIME CERTIFICATES OF OEPOSIT ISSUED I N DENOMINATIONS OF 1 1 0 0 , 0 0 0 OR MORt. INCLUDES M3» PLUS NEGOTIABLE T I M * CERTIFICATES OF OEPOSIT ISSUED I N DENOMINATIONS OF S 1 0 0 * 0 0 0 OR MORE. - PRELIMINARYl R - REVISED */ http://fraser.stlouisfed.org/P Federal Reserve Bank of St. Louis F£DFRAt RfSfBV? ^ i M s h r i M RH«ii*e H 6 Table 2 MONEY STOCK MEASURES PER CEN T CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES UMIIII— „ .—i—I..II.I — .ii. i i n i i w w — ^ ^ ^ w — • I n? u uwi- "i M f u r ' e n r v Plu* Demand Deposits ^ Mi Plus Time Deposits at Commercial Banks Other Than [ Large C D ' s ^ 2 M 3 M 2 Plus Deposits at Nonbank'Thrift Institutions'-^ M4 M-f'lus Large Negotiable CD's 2 7 M 5 M 3 Plus Large Negotiable CD's MMMMfeMMmBBanHm^BMMmMMH I M P H H H M m a i M H M I M a ^ M N M ^ a l fuont MAR. 197* ( 1 M n m » r, rofvlnUSl 11.0 13.^ 15.& 8.5 12.1 HFl . 1974 If, "»FVtlJH^I 6,B 11*0 13*? 7 #8 10*9 MINK 1974 I J ? MONTHS ^•0 8*A 9.5 7*8 9.0 MrWtw, ^PEVIPUSI F0IM> WfcfcKS INnjNf HP • J' f 1975 rnpu rpHIR w«l" • N!HN<* APR. I6» 197*, e n WEPKS ppfvmiiS) 10.*, 13.4 0*5 r JAN, I S , r->7* ' " WfM rPtVUIUS) 7.9 11.6 T.6 JUl> JT. 1«>74 ' * ? WFFKS POfVlfHIS) *>.0 a . *> 7*6 1 / INCLUDES ( I I DFMANO l ^ n s m AT A l l COMMERCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC COMMERCIAL BANKS AND THE U.S.GOVERNMENT, LESS CASH JTfMS ?H THE PROCESS Of COLLECTION AND FJUFLOATl 12) FOREIGN DEMAND BALANCES AT F«R,BANKS* AND O l CURRENCY OUTSIDE THE TEASURY, F.R.BANKS AND VAULTS OF ALt COMMERCIAL-RANKS, ' 1 / INCUDES, IN ADDITION TO CURRENCY AND DEMAND DEPOSITS, SAVINGS DEPOSITS* TIME DEPOSITS OPEN ACCOUNT* AND TIME CERTIFICATES OF DEPOSITS OTu^p THAN NEmTIAftLF TIMf r t R T I F K A T E S 0^ DEPOSIT ISSUED I N DENOMINATIONS OF * 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORTING CONNERCIAl BANKS* V ^ r 1 " ! ? 6 5 **' PlMS ™ r m *A0IE °P t H t BfcGI *Nl*G *N0 EWD W MONTIS DEPOSITS OF MUTUAL SAVINGS BANKS* SAVINGS AND LOAN SHARES, AND 4 / INUUDES M?. PLUS NEGnTIihLF TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS Of 4 1 0 0 , 0 0 0 Oft MORI, %/ INCLUDES N3» PLUS NEGOTIABLE TIME CFRTirlCATES OF DEPOSIT ISSUED I N DENOMINATIONS Of A100,000 OR MOKE* HOTEI ALL RATES OF CHANGE ARE BASED ON DAILY AVERAGE DAtAf RATES 0^ 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 DOLLAR'S 1 Currency Date Time and Savings Deposits Nonhank Demand Deposits i |974~JUNE JULY AUG, SEPT, OCT. NOV, DEC, 64,8 t5.5 65.9 66.5 67.4 fc7.9 215.2 216.2 216.5 1975 — J A N . FEB, MAR, APR, HAY JUNE 60*2 te.6 69.5 69,6 70,3 71.1 214.0 214.7 216.6 217.5 219, 4 222*8 b*<9b r CD's^ Other 21S4 01*3 21*.6 Z15.0 83.6 63*8 64.8 86.2 85.5 90.3 319*2 3 2 1 . *> 32 2 . 7 325,9 328.0 329.1 92*7 92.1 89.8 88.4 85.5 84.1 333.3 336.8 340.3 343*3 347*6 353.3 ! ! j ! j Total 317.1 r Thrift Institutions-^ ! 398.4 402*8 40*#2 407.5 412.1 413.6 41V.4 3S8.7 300*0 360.7 361*7 363.2 365.3 36B.2 426.C 428.9 430*0 431.7 433.1 437.3 371.5 375*3 380.8 386.8 392.4 399.0 r WEEK ENDING: 1975--MAY 21 28 JUNE JULY ?0.5 70.8 4 11 18 25 70.6 71.1 71.2 71,A 2 9 P 16 P j ' . 1 1..11 — 219.A 221,2 ! 71.0 71.5 71. 4 r 221.9 223.1 222.9 r 223.A r r 222.7 222.0 223.8 r 85.9 84.4 347.7 349.5 433.7 433*9 63.9 84.1 84.1 84,2 350.7 352.1 353.5 354,3 434.6 436.2 437.7 438.5 355.0 35t>.0 357.1 439.2 439.7 440*1 ' > 84.2 83.6 83.1 r 1 ,_ ., .-^ w ..„w W w .*r,w x* »-r^ i » r * *,« »c ^ \. r~ ucru^ii id^ucu jn ucntunjixA i Juno ur iiuu*uuu ur* nu^c PT i*^t»t WCCM-T Kcruni- ING COMMERCIAL BANKS, If AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARESf AND CREDIT UNION SHARES, PRELIMINARY; R - REVISED FEDERAL RESERVE Statttt-.cai Rf..«a^ * f, Table 4 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED IN BILLIONS Of DOLLARS mmmmmmmmmmmmm Demand Deposits Date Currency t^74™JUN£ JULY AUG. S€PT. ocf. NOV. DFC. 1975—JAN. FEB. MAR, APR. MAY JUNE m%K 64.8 6**3 65#7 65.b 66.4 67.9 69.0 213.5 214.7 211.6 213.1 214.7 217.2 223.3 67.8 6?. 9 68.9 6*.2 1 70.1 ; 7i.3 r 1 Member Domestic Nonmember^ 153.6 154.* 152.3 153.3 154.4 1^6.0 160.4 S6.1 56.* 56 . 1 56.6 57.1 57.7 58.9 221.5 212.6 214.4 21^.5 214.8 220.8 158.9 1*2.4 154.0 1*7.6 1*4.1 157.9 58,7 56.6 57.1 58.8 57.8 60.0 214.4 214.? 153.8 153.7 57. * 57.* 156.9 157.7 159.2 156.9 59 .C 60.3 60.6 59.6 1 j Other CD's^ 79.6 82.8 87.1 88.7 66.8 87.1 90.5 1 91.9 8<*.? 88.1 8*>.8 64.1 82.3 318.3 319.2 321.1 321.3 324.6 324.6 326.3 1 i i Tota-I 397.9 402.0 408.2 410.1 413.3 411.7 416.8 ! 3*2.2 337.4 342.6 346.1 350.6 354.6 424.1 426.6 430.6 432.0 434.7 436.9 84.6 83.9 350.7 352.5 435.3 436.4 63.1 82.9 82.3 81.7 353.1 354.3 354.6 354.9 ! [ Nonbank Thrift Institutions 4 ' 360.7 361.7 360.3 360.5 361.7 363.0 366.5 !j ! 1 1 ! I j | j * 371.0 375.4 382.1 389.1 394.1 401.1 U.S. G o v ' t Demand^ 6.1 5*4 4.0 5.5 3.-» 3.4 4.9 | j 4.0 3.4 -3.9 j j |1 I I 4.*. 4.2 4.2 ENDING: 1975—HAY JUNE JULY 1/ i Total^ Time aiid Savings Deposit 21 28 70.i 70.1 4 11 18 25 7C.e 71.7 71.4 71.0 2 9 P 16 P 71.4 73,0 72.2 | 1 r r 219.0 220.8 222.8 219.5 r * 222.2 222.9 224. 5 r r r T 158.9 158.8 159.9 r 60.0 61.1 61.5 \ | \ r 1 81.7 81.4 81.3 r 355.7 356.2 357.C 3.9 2.9 ; 436.2 3.1 437.2 J 3.4 5.8 4.9 436.9 4 3 6 .-6 ] r 437.4 *37.6 438.3 r 3.1 4*4 3.6 TOTAL DEPOSITS INCLUDE, \K ADDITION TO THE MEMBER AND DOMESTIC NONMEMtLR DEPOSITS SHOWN, DEPOSITS bUE TG FOR^lGN^ANO INTERNATIONAL I N S T I T U T I O N S AT FVR.EANKS" AND Ml TYPE BALANCES AT AGENCIES AND BRANCHES OF FOREIGN B^NKS. 2/ fi*SEC CN MOST RECFNT CALL RtPORT S I N G L E - L A Y OBSERVATIONS. 3 / INCLUDES NEGOTIAHLF TIME I. ER TI F l c W f ! §, 0F_ DE PCS I T * 1SSUE 0 I N CfNOHINATIONS OF M O O , 0 0 0 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL EANKS. AY AvCR*GE OF BEGINNING AND t ND OF MONTH DEPOSITS AT MUTUAL SAVINGS EANKS, SAVINGS AND LOAN SHARES* AND CREDIT UNION 5*4AR£5* 5 / U.S.GOVERNMtNT n^MANC C t P L S I T S AT ALL COMMERCIAL BANKS. P - PRELIMINARY; R - REVISE':