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FEDERAL RESERVE statistical release
H6 (508)
Table 1

For Release at 4:15 p.m. Eastern Time

MONEY STOCK MEASURES AND LIQUID ASSETS

JOLT 2 9 , 19R3

Billions of dollars
M3
M2
Seasonal Iy adjusted
M1 plus
overnight RPs
sum of
currency,
and Eurodollars, M2 plus large
time deposits,
MMMF
travelers
balances (gen. term RPs and
checks,
pur. and
institution-only
demand
MMMF
deposits and broker/dealer),
MMDAs,
balances3
other
and savings
checkable
and small time
deposits1
deposits2
M1

Date

1982—JUNE
JOLT
AUG.
SEPT.
OCT.

nov*
DEC.
1983—JAN.
FEBHAR.
APR.
BAT
JUNE P

L

M1

M3 plus other
liquid assets4

M2.
M3.
Not seasonally adjusted
M1 plus
overnight RPs
sum of
currency,
and Eurodollars, M2 plus large
time deposits,
MMMF
travelers
balances (gen. term RPs and
checks,
institution-only
pur. and
demand
MMMF
deposits and broker/dealer),
balances3
other
MMDAs,
and savings
checkable
and small time
deposits1
deposits2

L

M3 plus other
liquid assets4

453.4
454.4
458.3
463.2
46*. 7
474.0
478.2

1864.5
1880.9
1903.6
1917.0
1929.7
194 5.0
1959.5

2260.2
2283.4
2317.9
2333.9
2352.0
2370.2
2377.6

2767.0
2798.2
2823.6
2840.5
2866.0
2882.4
2896.8

450.8
454.3
454.3
461.0
470.6
479.0
491.0

1865.4
1883.0
1896.5
1908.7
1928.6
1943.6
1964.5

2257.2
2280.8
2308.8
2324.4
2350.4
2369.2
2385.3

2763.8
2790.0
2811.8
2825.5
2860.9
28R1.3
2904.7

482.1
491.1
497.6
496.5
507.4
511.7

2010.0
2050.8
2069.9
2074.7
2096.0
2114.6

2403.3
2430.6
2447.1
2454.0
2476.3
2498.8

2930.7
2960.5

489.7
480.6
489.2
504.5
499.8
508.3

2018.3
2042.5
2065.9
2088.4
2092.5
2114.4

2415. 1
2427.0
2445.9
2465.5
2471.5
2495.4

2945.6
296U.9

13-week
average

Not seasonally adjusted
4-week
average

M1
For period ended

1983-JUME

JULY

HOTE:

13-week
average

Seasonally adjusted
4-week
average

week average

week average

1
8
15
22
29

500.7
501.9
503.0
504. 1
504.9

508.4
510.3
510.8
511.5
511.4

508.7
514.6
511.2
511.4
508.2

498.0
499.6
501.3
502.9
504.0

499.9
502.8
505.6
508.6
508.0

499.9
514. 5
513.4
506.4
497.5

6
13 P
20 P

506.1
507.5
509.2

511.3
512-2
513.3

514.3
514.7
516.1

505.0
505.8
506.3

510.3
512.1
513.9

523.9
520.5
513.7

SPECIAL CAUriOH SHOULD BE TAKEI I f IITEBPHETIWG WBEK-TO-IEEK CHAHGES I I HOHEY S0PP1T DATA,
HIGHLY fOLATILE AMD SUBJECT TO R E f l S I O I .
P--INDICATES PRELIHIIARY DATA.
FOOTIOTBS APPEAR 0 1 THE FOLLOWIHG PAGE




WHICH ARE

H.6(508)
Table 2

MONEY STOCK MEASURES AND LIQUID ASSETS
Percent change at seasonally adjusted annual rates

Date

M1

M2

M3

3 MONTHS FROH MAR.

1983 TO JUNE 1983

11.3

8.6

8.5

6 MONTHS FROH DEC.

1982 TO JOIB 1983

14.0

15.8

10.2

12 HONTHS FROH JUNE

1982 TO JOIB 1983

12.9

13.4

10.6

THIRTEEN WEEKS ENDING JOLT 20, 1983
FROH THIRTBBM SEEKS ENDING:

1/

2/

3/

4/

APR.

20, 1983 (13 WEEKS PREVIOUS)

12.7

JAM.

19, 1983 (26 WEEKS PREVIOUS)

13.7

JULY

21, 1982 (52 1BEKS PREVIOUS)

12.4

FOOTNOTES TO TABLE 1
AVERAGES OF DAILY FIGURES FOR (1) CDSREICY OOTSIDE THE TREASURY, FEDERAL RESERVE BARKS, AND
THE VAULTS OF C0B9ERCIAL BANKS; (2) TRAVELERS CHECKS OF RONBANK ISSUERS; (3) DEBAND DEPOSITS
AT ALL C0HF1EBCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC BANKS, THE U.S. GOVERNMENT, AND
FOREIGN BANKS AND OFFICIAL INSTITUTIONS LESS CASH ITEHS II THE PROCESS OF COLLECTION AND
FEDERAL RESERVE FLOAT; AND (4) OTHER CHECKABLE DEPOSITS (OCD) CONSISTING OF NEGOTIABLE
ORDER OF ilTHDRAMAL (NOI) AND AUTOBATIC TRANSFER SERVICE (ATS) ACCOUNTS AT DEPOSITORY
INSTITUTIONS OTHER THAN CREDIT UNIONS, CREDIT UNION SHARE DRAFT ACCOUNTS, AND DEHAND
DEPOSITS AT THRIFT INSTITUTIONS. THE CURRENCY AND DEHAND DEPOSIT COBPONEWTS EXCLUDE THE
ESTIBATED AHOUNT OF VAULT CASH AND DBHAND DEPOSITS, RESPECTIVELY, HELD BY THRIFT INSTITUTIONS
TO SERVICE THEIR OCD LIABILITIES.
INCLUDES OVERNIGHT (AND CONTINUING CONTRACT) RPS ISSUED BY ALL COHHERCIAL BANKS AND EURODOLLARS
ISSUED BY FOREIGN (PRINCIPALLY CARIBBEAN AND LONDON) BRANCHES OF U.S. BANKS, HHDAS, SAVINGS
AND SHALL DENOHINATION TIME DEPOSITS (TIHE DEPOSITS—INCLUDING RETAIL R P S — I N AHOUNTS OF LESS
THAN $100,000), AND BALANCES IN BOTH TAXABLE AND TAX-EXEHPT GENERAL PURPOSE AND BROKE*/DEALER
HONEY HARKET MUTUAL FUNDS. EXCLUDES IRA AND KEOGH BALANCES AT DEPOSITORY INSTITUTIONS AND BONEY
HARKET FUNDS. ALSO EXCLUDES AHOUNTS HELD BY U.S. COHHERCIAL BANKS, HONEY HARKET FUNDS (GENERAL
PURPOSE AND BROKER/DEALER), FOREIGN GOVERNMENTS AND COHHERCIAL BANKS, AND THE U.S. GOVERNMENT.
H2 HILL DIFFER FROB THE SUH OF COHPONENTS PRESENTBD IN SUBSEQUENT TABLES BY A CONSOLIDATION
ADJUSTBENT THAT REPRESENTS THE ESTIBATED AHOUNT OF DEHAND DEPOSITS AND VAULT CASH HELD BY
THRIFT INSTITUTIONS TO SERVICE TIHE AND SAVINGS DEPOSITS.
INCLUDES LARGE DENOHINATION TIBE DEPOSITS AND TERB RPS (IN AHOUNTS OF $100,000 OR BORE) ISSUED
BY COBHEPCIAL BANKS AND THRIFT INSTITUTIONS, EXCLUDING THOSE HELD BY DEPOSITORY INSTITUTIONS,
THE U.S. GOVERNHENT, HONEY HARKBT FUNDS, AND FOREIGN BANKS AND OFFICIAL INSTITUTIONS. H3 »ILL
DIFFER FROH THE SUH OF COHPONENTS PRESENTED IN SUBSEQUENT TABLES BY A CONSOLIDATION ADJUSTBENT
THAT REPRESENTS THE ESTIMATED AHOUNT OF OVERNIGHT RPS HELD BY INSTITUTION-ONLY HONEY MARKET
MUTUAL FUNDS.
OTHER LIQUID ASSETS INCLUDE THE IONBANK PUBLIC HOLDING OF U.S. SAVINGS BONDS, SHORT-TEHH
TREASURY SECURITIES, COMMERCIAL PAPER, BANKERS ACCEPTANCES, AND TERM EURODOLLARS HELD BY U.S.
RESIDENTS, NET OF HONEY HARKET HUTUAL FUND HOLDINGS OF THESE ASSETS.




H.6 (508)
Table 3

COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS
Billions of dollars, seasonally adjusted unless otherwise noted

Date

Currency1

Travelers
checks2

Other
Overnight
Demand checkable
RPs&
deposlts3 deposits4

Overnight
Eurodollars6

NSA

NSA

Money
market
deposit
accounts 7
NSA

Savings deposits8
at
commercial
banks

at
thrift
Institutions

total

Small denomination
time deposits'9
at
at
total
commerthrift
cial
institubanks
tions

Money market
mutual fund balancesiO
general
purpose institution
only
and broker/
dealer

128.2

4.5

232.3

88.4

32.8

7.5

0.0

159.5

187.8

347.2

375.0

484.3

859.3

170. 1

36.6

JOLT
AUG.
SEPT.

128.8
129.6
130.5

j

t\m 4
I. 4

232.1
232.5
234.0

89.1
91.8
94.3

33.3
34.0
34.1

8.5
8.4
7.4

0.0
0.0
0.0

158.2
158.4
159.6

186.8
188.3
190.4

345.0
346.7
350.0

383.8
388.6
391.4

489.2
491.2
491.8

872.9
879.8
883.2

172.9
182.3
185.1

40.4
47. 1
48.2

OCT.
NO?.
DSC.

131.3
131.9
132.8

l
I
Il l 2

23 6 . 0
237.6
239.8

97.0
100.1
101.3

37.4
38.5
38.5

6.5
6.7
5-8

0.0
0.0
43.2

162.3
166.2
163.4

195.7
200.1
195.9

358.0
366.4
359.3

389.9
389.2
383.2

488.1
485.8
475.9

878.0
874.9
859.1

187.6
191.1
182.2

49.3
49.9
47.6

1983-JAR.
FEB.
HAH.

134.2
135.6
137.0

1* 1
I1.3
I1.5

239.4
238.7
240.1

104.5
112.5
116.0

40.1
41.0
40.9

7.2
7.8
7.8

189.1
277.7
320.5

151.7
144.7
142.3

183.3
181.0
180.4

335.1
325.7
322.7

356.7
337.7
326.8

440.7
417.4
407.0

797.4
755. 1
733.8

166.7
159.6
154.0

46.1
45.2
43.5

138.0
139.3
1*0-3

1.6
1.7
t1-7

238.9
24 2 . 5
24 4 . 0

115.0
120.9
122.7

42.5
46.0
47.1

8.1
9.1
9.4

341.2
356.8
367.3

140.8
140.8
140.8

180.7
182.3
184.2

321.5
323.0
324.9

321.5
318.8
319.6

404.2
401.4
402.6

725.7
720.1
722.2

146.7
140.9
139.3

41.0
40.4
39.2

1982-JUHB

APS.
HAT
JURE P
WBEK EH D U G
1983
JURE

JULT

1/

2/
3/
4/

5/
6/
7/
8/
9/
10/

1
8
15
22
29

110.0
140.2
140.2
140.4
140.7

242.4
24 5.8
24 4. 1
24 3 . 9
24 1.5

121.7
123.8
122.2
122.5
121.5

47.7
45.4
48.0
47.4
47.8

9.8
8.7
8.6
9.4
10.7

363.7
366.9
367.9
367.6
367.1

140.8
141.3
141.2
140.9
140.2

317.6
317.6
318.4
319.9
321.7

140.6
140.6
140. 1
138.9
137.9

40.0
39.6
39.6
39.1
36.6

6
13 P
20 P

140.8
140.3
140.8

246.4
246.6
245.8

122.5
123.2
124.8

46.2
43.3
43.1

9.1
7.8
9.3

368.2
368.5
368.4

140.6
139.9
139.4

323.5
324.9
326.5

137.8
138.5
138.5

38.8
38.5
38.5

C0RRERC1 O0TSID! THB O.S. TBEASUBY. F. B. BIRRS I I D TAULTS OF COBIBUCIAL

IARKS.

] XCLDDES TBB BST] BATED A! 00fit Of frAotT Cl SH

HELD BT THHIFT IRSTITUTIORS TO SEHTICE THBIB OCD LIABILITIES.
OUTSTAHDING AHOORT OF O.S. DOLLAB-DEROHIRATED TBAfBLEHS CHECKS OF HORBARK ISSDEBS.
DEHARD DEPOSITS AT COBBEBCIAL BARKS ARD FOBEIGR BELATED IRSTITOTIORS OTHER TBAR THOSE DOE TO DOHESTIC BARKS, THB O.S. GOfBBRHENT ARD FOREIGR BARKS ARD OFFICIAL IHSTITOTIORS LESS CASH ITEHS IR THE PROCESS OF COLLECTIOR ARD F.B. FLOAT. EXCLUDES THB
ESTIBATED AHOORT OF DEHARD DEPOSITS HELD AT COHBEBCIAL BARKS BT THRIFT IRSTITUTIOHS TO SBRTICE TflEII OCD LIABILITIES.
IHCLUDES ATS ARD ROW BALARCES AT ALL DEPOSITOR! IRSTITOTIORS EXCEPT CBEDIT UHIOHS, CREDIT ORIOR SHAPE DRAFT BALARCES ARD
DBRAND DEPOSITS AT THBIFT INSTITOTIORS. OTHER CHECKABLE DEPOSITS SBASORALLT ADJUSTED EQUALS DBHARD DEPOSITS PLUS OCD
SEASORALLT ADJUSTED LESS DEHARD DEPOSITS SEASORALLT ADJUSTED. ROV ACCODRTS IRCLODB CBILIRG FREE "SUPEB HOWS,*
AUTHORIZED BT THB DEPOSITORT IRSTITOTIORS DEBEGULATIOR COHHITTEE TO BE OFFERED BBGIRRIRG JAROABT 5, 1983. PtBLIHIRABT
DATA INDICATE THAT BALARCBS IR "SUPER ROWS" WERE ABOUT $33.1 BILLIOR IR THE WEEK ERDED JOLT 6, ABOOT $33.1 BILLIOH
IR THE WEEK BIDED JOLT 13, ARD ABOUT $32.9 BILLIOR IR THB WBBK ERDBD JULT 20. THBSB FIGUBBS IRCLUDB BALARCBS IR
•SUPER ROWS" AT COHHEICIAL BARKS OF ABOUT $23.1 BILLIOR IR THB WBEK BRDED JULT 6 ARD ABOUT $23.1 BILLIOR IR THB
WEEK EHDED JULT 13. FIGURES POB THB LATEST WBBK ARE ROT TBT ATAILABLE BT TTPE OF IRSTIT0TIOR.
IRCLUDES OfEBHIGHT ARD CORTIRUIRG CORTHACT BPS ISSUED BT COHHBBCIAL BARKS TO OTBER THAR DBPOSITOBT IRSTITOTIORS ARD HORBT
HAHKET HUTUAL FURDS (GERERAL PURPOSE ARD BROK EH/DEALER).
ISSUED BT FOBEIGR (PRINCIPALLY CABIBBEAR ARD LORDOH) BRAHCHBS OF U.S. BARKS TO O.S. RESIDEITS OTHEB TBAR
DEPOSITOBT IRSTITUTIORS ARD HORET HAHKET HUTOAL FDRD§.
MONEY HARKET DEPOSIT ACCOURTS (RHDAS) WEBE AUTHORIZED BT THE DEPOSITOBT IRSTITUTIORS DBBEGULATIOR COHHITTBB TO BE OFFBBED
BBGIRRIRG DBCBHBEB 14, 1982.
SAVINGS DEPOSITS EXCLUDE HHDAS.
SHALL DEHOniRATION TIHE DEPOSITS — INCLUDING RETAIL BPS — ARE THOSB ISSUED IR AHOURTS OF LESS THAR $100,000. ALL INDIflDOAL
RBTIREHBNT ACCOURTS (IRA) AHD KBOGB ACCOUNTS AT COHHBRCIAL BARKS ARD THRIFTS ABB SUBTRACTED FROH SHALL TINE DEPOSITS.
NOT SEASONALLT ADJUSTED, INCLUDES BALARCES IR BOTH TAXABLB ARD TAX-EXBHPT FURDS. ALL IRDITIDUAL BETIBBHBNT ACCOUNTS
AND KEOGH ACCOUNTS AT HONEY FUNDS ABE EXCLUDED.




H.6 (508)
Table 3—continued

COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS
3iilions or uonars, seasonally aa ustea uniess omerwise noiea
Large denomination time deposits''
Oats
at commercial
at thrift
banks'-?
institutions
total

Term 4
Eurodollars

Term RPs3
at commercial
banks
NSA

at thrift
institutions
NSA

total
NSA

NSA

Savings
bonds

Short-term
Treasury
securities^

acceptances^

Commercial
paper?

267.4

60.0

327.4

24.6

11.7

36.3

84.7

67.7

197.2

41.6

115.7

JULT
AUG.
SEPT.

271.7
273.6
273.6

60.4
61.3
62.5

332.1
334.9
336.1

22.7
25.4
24.6

11.8
11.6
11.8

34.5
37.0
36.4

83.7
80.9
80.6

67.6
67.5
67.5

202.9
204.1
203.6

42.0
41.3
41.4

118.7
112.0
113.7

OCT.
NOT,
DEC.

275.3
273.7
267.0

64.3
66.8
66.7

339.6
340.4
333.8

26.0
27.8
28.2

11.7
11.6
12.1

37.7
39.4
40.3

81.1
79.5
80.1

67.6
67.8
67.9

210.3
214.5
217.6

42.8
43.1
44.9

112.3
107.3
108.8

1983-JAN.
FSB.
MAR.

247.6
235.2
231.6

63.1
62.7
64.6

310.7
297.9
296.2

27.9
28.6
29.4

12.6
12.2
12.3

40.6
40.8
41.7

81.2
83.8

68.1
68.5

219.3
219.3

45.3
43.2

113.5
115.1

231.1
227.0
228.7

69.2
72.5
75.3

300.4
299.5
304.0

30.3
32.7
31.6

12.4
12.5
13.0

42.7
45.3
44.6

i9A;t-jo»

APR.
NAT
JUNE P
MEEK ENDING:
1983-JUNE

JULT

1/

1
8
15
22
29

227.4
228.2
229.5
230.2
229.3

32.5
30.0
31.3
32.3
33.0

6
13 P
20 P

227.4
227.4
226.3

29.6
27.8
29.8

LARGE DENOMINATION TIME DEPOSITS ARE THOSE ISSUED IN ABOOSTS OF $100,000 OB BORE, ElCLODIMG THOSE BOOKED AT INTERNATIONAL
BANKING FACILITIES (IBPS).
2/ LARGE DENOMINATION TIME DEPOSITS AT COMMERCIAL BANKS LESS LARGE TIHE HELD BT MONET HARKET H0T0AL FUNDS AHD THRIFT INSTITUTIONS.
3/ TERM RPS ARE THOSE WITH ORIGINAL HATORITT GREATER THAN ONE DAT, EXCLUDING CONTIH0ING CONTRACTS AND RETAIL RPS.
4/ TERM EURODOLLARS ARE THOSE 81TH ORIGINAL HATORITT GREATER THAN ONE DAT EXCLUDING THOSE HELD BT DBPOSITORT INSTITUTIONS AND
MONBT MARKET MUTUAL FUNDS.
5/ IICLODBS U.S. TREASURT BILLS AND COUPONS WITH REMAINING HATORITT OF LESS THAN 18 MONTHS HELD BT OTHER THAN DEPOSITORT INSTITUTIONS, F. R. BANKS, AND MONET HARKST MUTUAL FUNDS.
6/ NET OF BANKERS ACCEPTANCES HELD BT ACCEPTING BANKS, F.R. BANKS, FOREIGN OFFICIAL INSTITUTIONS, THE FEDERAL HOHE LOAN BANK
SYSTEM, AND MONET MARKET HUTUAL FUNDS.
7/ TOTAL COMMERCIAL PAPER LESS COMMERCIAL PAPER HELD BT HOHET MARKET HUTUAL FUNDS.




H.6 (508)
Table 3A

COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS
Billions of dollars, not seasonally adjusted
Other checkable deposits

Demand deposits
Date

1

Currency

Travelers
checks2

at member
banks3

at domestic
nonmember
banks4

at foreignrelated
banking
offices
In the U.S.5

total 6

at
commercial
banks7

at thrift
institutions8

Overnight
tout

Overnight ^
Eurodollars

128.3

4.7

149.2

78.1

3.7

230.7

69.2

18.0

87.2

32.8

7.5

JOLT
AOG.
SBPT.

129.8
130.1
130.2

1.9
11 . 9

151.0
150.1
152.5

77.4
76.2
77.0

3.7
3.7
3.9

231.7
229.6
232.9

69.3
70.7
73.4

18.5
19.1
19.9

87.9
89.8
93.3

33.3
34.0
34.1

8.5
8.4
7.4

OCT.
NOV.
DEC.

131.3
132.7
135.2

1.4
i1.2
1.0

155.7
158.0
163.3

78.3
79.3
81.0

4.0
3.9
3.9

237.6
240.6
247.7

76.1
79.2
81.0

21.2
22.3
23.1

97.3
101.5
104.0

37.4
38.5
38.5

6.5
6.7
5.8

1983-JAR.
FEB.
MAR.

133.2
133.7
135.4

1.9
11 . 1
11.3

161.9
153.4
155.4

80.1
76.2
76.5

3.7
3.6
3.7

245.1
232.8
235.2

82.4
83.6
86.7

25.1
26.4
27.7

107.5
110.0
114.3

40. 1
41.0
40.9

7.2
7.8
7.0

137.4
138.9
140.3

1.4
i1.5
1.9

160.1
157.4
160.2

79.0
77.5
78.6

3.8
3.7

242.4
238.2
242.1

90.8
88.7
90.7

29.5
29.5
30.3

120.2
118.2
121.0

42.5
46.0
47.1

8.1
9.1
9.4

15
22
29

139.3
141.2
140.7
140.3
139.4

157.1
161.2
162.4
159.6
156.2

77.2
80.4
79.6
78.0
76.0

3.6
3.7
3.7
3.7
3.8

237.5
244.9
245.3
240.9
235.7

88.9
92.5
92.0
90.2
88.1

29.6
31.2
30.5
30.1
29.3

118.5
123.7
122.5
120.3
117.5

47.7
45.4
48.0
47.4
47.8

9.8
8.7
8.6
9.4
10.7

6
13 P
20 P

143.3
142.3
141.6

166.3
165.1
163.0

81.7
80.7
78.9

3.9
3.7
3.7

251.3
249.1
245.1

93.0
92.7

31.3
31.3
30.5

124.2
124.0
121.9

46.2
43.3
43. 1

1982-JORB

APB.
HAT
JORB P

VEBK BRDIRG:

1983-JORB

JOLT

1/

1
8

91.3

9. 1
7.8
9.3

CORRBMCY OOTSIDE THE O.S. TBBASOBT, P.B. BAIKS AID THB VA0LTS OP COMMERCIAL BARKS. EXCLUDES THE BSTIHATED AHO0RT OF fAOLT
CASH HELD BT THBIFT IRSTITOTIORS TO SERVICE THEIB OCD LIABILITIES.
2/ O0TSTA1DIMG AHO0MT OF O.S. DOLLAB-DEHOHIMATED TRAVELERS CHECKS OF WONBAUK ISSOERS.
3/ DBHARD DEPOSITS OTHER THAN THOSE DOE TO DOMESTIC BARKS, THE O.S. GOfBRRHERT ARD FOREIGR BARKS ARD OFFICIAL IRSTITOTIOHS LESS
CASH ITEMS IR THE PROCESS OF COLLECTION ARD F.B. FLOAT AT MEMBER BARKS OF THB FEDERAL RBSERVB SYSTEM.
4/ DEHARD DEPOSITS OTHER THAR THOSB DOB TO DOMESTIC BARKS, THB O.S. GOfBRRHBRT ARD FORBIGR BARKS ARD OFFICIAL IRSTITOTIORS LESS
CASH ITEMS IR THB PROCESS OF COLLBCTIOR AT RORMEHBBR BARKS.
5/ DEPOSITS AS DBSCBIBED IR FOOTROTB 4 AT AGBRCIBS ARD BRARCHES OF FORBIGR BARKS, EDGE ACT CORPORATION ARD FOREIGR IBVESTHERT
COMPANIES.
6/ EQUALS SUM OF THREE PREVIOUS COMPORERTS LESS THE ESTIMATED AHOORT OF DBRARD DEPOSITS HELD AT COMMERCIAL BARKS BT THRIFT
IMSTITOTIORS TO SERVICE THEIB OCD LIABILITIES.
7/ MOff AND ATS BALANCES AT COMMERCIAL BARKS, BBARCHES ARD AGERCIES OF FORBIGR BARKS, ARD EDGE ACT CORPORATIONS.
8/ NOW AND ATS BALANCES AT SAVINGS AND LOAH ASSOCIATIONS AHD HOTOAL SAVINGS BARKS, CRBDIT ORIOR SHARE DRAFT BALARCBS, AND
DEMAND DEPOSITS AT THRIFTS.
9/ INCLUDES OVERNIGHT AND CONTINUING CONTRACT BPS ISSOED BT COHHBBCIAL BARKS TO OTHER THAR DEPOSITORY IRSTITOTIORS AND NONET
MARKET MUTUAL FUNDS (GENERAL PURPOSE AND BROKER/DEALER).
10/ ISSUED BY FOREIGN (PRINCIPALLY CABIBBEAN AND LONDON) BRANCHES OF O.S. BARKS TO O.S. PBSIDBRTS OTHER THAR DEPOSITOR!
INSTITUTIONS AND MONEY HARKET MUTUAL FUNDS (GENERAL PURPOSE AHD BROKER/DEALER).




H.6 (508)
Table 3A—continued

COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS
Billions of dollars, not seasonally adjusted
Small denomination time deposits2

Savings deposits1

Money market deposit <accounts

Large denomination time deposits 3

at
thrift
institutions

total

0.0

0.0

0.0

160. 1

188.5

348.6

376.9

4 84.5

861.4

263.8

59.7

323.5

JOLT
ADG.
SEPT.

0.0
0.0
0.0

0.0
0.0
0.0

0.0
0.0
0.0

159.9
159.3
159.7

188.7
187.5
188.5

348.6
346.8
348.2

383.0
387.4
389.7

488.7
4 89.2
489.3

871.6
876.6
879.0

267.5
271.9
272.7

59.9
61.0
62.2

327.4
332.9
334.9

OCT.
NOV.
DEC.

0.0
0.0
26.5

0.0
0.0
16.8

0.0
0.0
43.2

163.0
165.0
161.8

194.8
198-3
195.0

357.8
363.4
356.7

388.3
387.1
380.2

4 87.0
484.5
473.6

875.3
871.6
853.9

275.0
274.6
270.0

64. 1
66.3
66.5

339.1
340.8
336.5

1983-JAN.
PEB.
HAB.

114.2
163.3
185.8

74.9
114.5
134.6

189.1
277.7
320.5

150.3
143.5
142. 1

184.3
181.0
181. 1

334.7
324.5
323.2

356.3
339.3
329.2

442.3
419.2
408.5

798.6
758.5
737.7

250.4
238.7
233.4

63.8
63.9
65.5

314.2
302.6
298.9

198.0
207.6
215.0

143.2
149.2
152.3

341.2
356.8
367.3

141.9
141.7
141-5

182.4
182.9
184.8

324.3
324.6
326.3

322.7
320.5
321.1

405.9
402.3
402.9

728.6
722.7
724.0

229.2
225.6
226.1

68.9
72.6
74.8

298.1
298.2
300.9

1
8
15
22
29

212.2
214.3
215.3
215.3
215.3

151.5
152.6
152.6
152.3
151.8

363.7
366.9
367.9
367.6
367. 1

141.4
142.1
141.8
141.9
140.7

319.9
320. 1
320.6
321.3
322.1

227.2
226.7
226.5
226.0
225.7

6
13 P
20 P

216. 1
216.8
217.0

152.2
151.7
151.4

368.2
368.5
368.4

142. 1
141.6
140.9

323.4
324.5
325.8

223.8
223.2
222.1

1982-JONB

APB.
HAT
JO ME P

at
thrift
institutions

at
thrift
institutions

at
commercial
banks

Date

at
commercial
banks

at
commercial
banks

total

total

at
commercial
banks4

total5

at
thrift
institutions

HEBK ENDING
1983
JUNE

JOLT

2/

SHALL DEMOHINATIOH TIHE DEPOSITS — HfCLODIWG BET AIL BPS — ABE THOSE ISSOBD II AHOONTS OP LESS THAU $100,000. ALL
INDIflDOAL RETIBEHEIT ICCO0MTS (IBA) AID KBOGH ACCOUNTS AT COHHBBCIAL BANKS AND THRIFTS ARE SOBTRACTBD FROH SHALL

3/
4/

LARGE DENOHINATION TIHE DEPOSITS ARE TflOSE ISSOED IN AHOONTS OF $100,000 OB HORB, EXCL0DING THOSE BOOKED AT INTEBNATIONAL
BANKING FACILITIES (IBPS).
.„••-.
LARGE DENOHINATION TIHE DEPOSITS AT COHHBBCIAL BANKS LESS LARGE TTHB HELD BT HONET HARKET HOTOAL FONDS AND THRIFT

5/

TOTAL LARGE DENOHINATION TIHE DEPOSITS EXCEEDS SOH OF THREE PRRflOOS COL0HNS BT SOCH DEPOSITS AT CREDIT ONIONS.




H.6 (508)
Table 3A—continued

COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS
Billions of dollars, not seasonally adjusted

7
Term RP's1

Date

at
commercial
banks

at
thrift
institutions

total

Term
Eurodollars 2

Savings
bonds

Short-term
treasury
securities 3

Bankers
acceptances

Commercial
paper 5

24.6

11.7

36.3

84.7

67.4

197.0

41.4

116.1

JOLT
AUG.
SEPT.

22.7
25. *
24.6

11.8
11.6
11.8

34.5
37.0
36.4

83.7
80.9
80.6

67.4
67.5
67.5

198.7
199.1
199.2

41.3
40.9
41.8

118.0
114.7
112.0

OCT.
NOV.
DEC.

26.0
27.8
28.2

H.7
11.6
12.1

37.7
39.4
40.3

81.1
79.5
80.1

67.7
68.0
68.2

206.8
212.5
216.9

43.4
43.9
45.1

111.5
108.2
109.2

1983-JAN.
PEB.
HAB.

27.9
28.6
29.4

12.6
12.2
12.3

40.6
40.8
41.7

81.2
83.8

68.4
68.5

221.3
225.5

45.4
43.5

114. 1
116.6

30.3
32.7
31.6

12.4
12.5
13.0

42.7
45.3
44.6

1982-JUNB

APB.
HAT
JUNE P
iEEK ENDING:
1983-JUNB

JOLT

1/
2/
3/
4/
5/

1
8
15
22
29

32.5
30.0
31.3
32.3
33.0

6
13 P
20 P

29.6
27.8
29.8

TEBH BPS ABE THOSE ilTH ORIGINAL HAT0BITT GBEATEB THAU OWE DAT, EXCLUDING CONTINUING CONTRACTS AND RETAIL RPS.
TEBH ED BODOLLARS ABB THOSE VITH ORIGINAL HAT0BITT GREATER THAN ONE DAT EXCLUDING THOSE HELD BT DEPOSITOBT INSTITUTIONS AND
HONET HABKET H0T0AL FUNDS.
INCLUDES U.S. TBEASUBT BILLS AND COUPONS 0ITH REMAINING HATDRITT OF LESS THAN 18 HONTHS HELD BT OTHER THAN DEPOSITORY INSTITUTIONS, P.B. BANKS, AMD HONET HABKBT HUTUAL FUNDS.
NET OF BANKERS ACCEPTANCES HELD BT ACCEPTING BANKS, F.B. BANKS, FOBEIGN OFFICIAL INSTITUTIONS, THE FEDERAL HOHE LOAN BANK
STSTBH, AND HONET HARKET HUTUAL FUNDS.
TOTAL COHHEBCIAL PAPER LESS COHHEBCIAL PAPER HELD BT HONET HARKBT HUTUAL FUNDS.




H.6 (508)
Table 4
MEMORANDA ITEMS
Billions of dollars, not seasonally adjusted
Demand deposits at banks due to

8
Time and
savings
deposits
due to foreign
commerical
banks and
foreign official
institutions

U.S. government deposits

IRA and Keogh Accounts

demand
deposits at
commercial
banks

balances at
Federal
Reserve
Banks

9.6

3.2

3.3

7.5

130.1

1.0

14.7

23.8

3.9

42.5

9.9
9.7
9.4

2.5
2.3
3.3

3.3
3.3
3.8

5.7
5.8
9.0

129.5
126.1
125.6

0.9
1.0
1-1

15.2
15.6
16.0

24.5
25.1
25.8

I1.1
l1.2
I1.3

43.8
44.9
46.2

2.2
1.9
2.1

9.2
9.2
9.0

2.5
2.6
2.9

3.2
3.1
3.2

13.8
5.3
7.9

19.5
10.9
14.0

1.1
1.1
1.1

16.6
17.2
17.9

26.6
27.1
27.7

I1.4
I«.5

1.6

47.6
48.8
50.1

7.8
7.9
8.1

2.1
2.0
1.9

8.7
8.3
8. 1

2.8
2.8
2.7

3.3
3.2
3.3

13.5
7.4
10.4

19.6
13.4
16.5

1.0
0.9
1.0

19.3
20.7
22.8

28.8
29.7
31.3

».7
(.8
1.9

52. B
55.2
59.0

7.9
8.1
8.2

2.0
2.0
2.0

7.9
7.7
7.7

3.9
2.5
3.4

3.8
3.6
3.4

10.3
10.0
9.8

18.0
16.0
16.6

1.1
0.9
0.8

26.2
27.3
27.9

33.6
34.9
35.5

5.2
5.4e
5.5e

65. 1
67. 6e
68.9e

1
8
15
22
29

8.9
8.0
8.0
8.2
8.5

2.0
1.8
2.1
2.0
2.1

7.5
7.6
7.7
7.7
7.7

2.0
3.9
3.9
3.7
2.3

2.9
2.6
3.1
3.8
3.9

3.1
4.0
2.7
13.2
19.2

8.0
10.5
9«8
20.7
25.3

0.8
0.8
0.8
0.9
0.9

6

8.8
8.5
8.1

2.0
2.1
2.1

7.6
7.6
7.6

3.1
2.4
3.4

4.5
4.5
3.3

19.0
19.2
19.2

26.5
26. 1
25.9

0.8
0.8
0.8

foreign
commercial
banks

foreign
official
institutions

9.4

2.4

JOLT
AUG.
SEPT.

9.6
8.6
8.4

2.5
2.3
2.0

OCT.
MOV.
DEC.

8.4
8.4
8.6

Date

1982-JOMB

1983-JAM.
FEB.
BAR.
APR.
HAY
JOHB P

note balances total demand time and savings
at commercial deposits and
deposits at
banks and thrift
note and
commercial
institutions
FR balances
banks

•EEK BIDING:
1983
JO IE

JOLT

13 p
20 p

B^ESTIHATED




commerical
banks

thrift
institutions

money
market
mutual funds

total