Full text of H.6 Money Stock Measures : July 6, 1978
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• u o f GOV*'--- FEDERAL R E S E R V E statistical release W: FEDERAL RESERVE Statistical Release H.6 For Immediate Release Table 1 MONEY STOCK MEASURES JULY 6« 1976 IN BILLIONS OF DOLLARS M2 M4 "3 M, Plus Time M 2 Plus M 2 Plus D e p o s i t s at Currency D e p o s i t s at Large Commercial Plus Nonbank Negotiable Banks Demand Thrift CD's!/ Deposits-!/ O t h e r Than Institutions^/ Large CD's 2/ Date *5 MI M3 Plus Large Negotiable CD'sS/ Currency Plus Demand Depositsl/ M2 "3 M4 M i Plus Time M2 P l u s M2 P l u s D e p o s i t s at D e p o s i t s at Large Commercial Nonbank Negotiable Banks Thrift O t h e r Than CD's4/ Institutions^ Large CD's^/ M3 P l u s Large Negotiable CD's-5/ Not Seasonally Adj usted Seasonally Adjusted 1977—MAY JUNE JULY AUG. SEPT. OCT. NOV. DEC. 322.4 324.3 327.5 329.2 331.6 334.7 334.9 337.2 768.4 774.2 782.9 787.9 793.8 800.3 804.2 808.4 1290.9 1302.0 1317.2 1330.0 1343.5 1356.8 1366.0 1375.0 831.3 837.5 845.8 851. 1 857.6 866.7 875.1 882.4 1353.8 1365.3 1380.0 1393.2 1407.4 1423.2 1436.9 1449.0 317.4 323.3 329.1 326.9 329.8 334.1 337.1 346.9 766.9 775.5 785.2 785.5 790.0 797.6 801.7 813.8 1291.2 1306.9 1323.5 1328.0 1338.4 1351.9 1359.0 1376.3 828.0 838.5 848.0 849.9 855.4 865.9 873.3 889.7 1352.3 1369.9 1386.3 1392.4 1403.8 1420.2 1430.6 1452.3 1978—JAN. FEB. MAR. APR. MAY 340.1 339.9 340.9 346.3 348.6 8 14.8 818.0 821.8 829.7 835.1 1385.4 1392.0 1399.5 1410.9 r 1419.7 891.1 897.4 903.9 913.2 r 922.2 1461.7 1471.3 1481.5 1494.3 r 1506.8 345.9 334.1 336.2 348.7 343.3 819.4 812.8 820.4 836.0 r 833.6 1387.8 1384.9 1399.5 1420.7 r 1420.2 895.8 889.7 900.6 917.4 918.2 1464.2 1461.8 1479.7 1502.0 1504.9 3 10 17 24 31 351.5 347.3 r 347.5 347.4 351.5 835.6 832.4 r 833.9 834 . 7 840.3 921.4 919.1 r 920.8 922.3 928.1 348.6 343.2 r 343.8 338.9 345.0 835.9 831.8 r 833.9 830.0 837.6 918.3 915.3 r 918.1 915.5 923.8 7 14 21 P 28 P 351.7 r 351.1 r 349.2 349.9 841.0 r 840.7 r 839.4 841.9 r r 928.4 928.0 925.6 927.4 350.4 r 351.8 r 348.9 344.8 843.1 r 844.8 r 840.8 838 . 0 929.5 r 931.3 r 926.4 923.9 WEEK E N D I N G : 1978-MAY JUNE 1/ INCLUDES ( 1 ) DEMAND D E P O S I T S AT ALL COMMERCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC COMMERCIAL BANKS AND THE U . S . G O V E R N M E N T , L E S S CASH ITEMS I N THE PROCESS OF COLLECTION AND F . R . F L O A T ; ( 2 > FOREIGN DEMAND BALANCES AT F . R . B A N K S * AND < 3 ) CURRENCY O U T S I D E THE T R E A S U R Y , F . R . B A N K S AND VAULTS OF ALL COMMERCIAL BANKS. 2 / I N C L U D E S , I N A D D I T I O N TO CURRENCY AND DEMAND D E P O S I T S , SAVINGS D E P O S I T S , TIME D E P O S I T S OPEN ACCOUNT, AND TIME C E R T I F I C A T E S OF D E P O S I T S OTHER THAN NEGOTIABLE TIME C E R T I F I C A T E S OF D E P O S I T I S S U E D I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY R E P O R T ING COMMERCIAL B A N K S . 3 / INCLUDES M 2 , PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH D E P O S I T S OF MUTUAL S A V I N G S BANK, SAVINGS AND LOAN S H A R E S , AND C R E D I T UNION S H A R E S . 4 / I N C L U D E S M 2 , PLUS NEGOTIABLE TIME C E R T I F I C A T E S OF D E P O S I T I S S U E D I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE. 5 / INCLUDES M 3 , PLUS N E G O T I A B L E TIME C E R T I F I C A T E S OF D E P O S I T I S S U E D I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE. FRASER P - PRELIMINARY; R - REVISED Digitized for FEDERAL RESERVE Statistical Release H.6 Table 2 MONEY STOCK MEASURES PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES DATE HAY FROM: FEB. 1978 (3 MONTHS P R E V I O U S ! 10.2 NOV. 1977 <6 MONTHS P R E V I O U S ) 8.2 MAY 1977 (12 8.1 MONTHS P R E V I O U S ) M3 M4 "5 Mi P l u s Time D e p o s i t s at Commercial B a n k s Other Than Large CD's-^ M2 Plus D e p o s i t s at N o n b a n k Thrift Institutions^/ M2 P l u s Large N e g o t i a b l e CD's M3 P l u s Large N e g o t i a b l e CD's 8.0 l l . l 9.7 7.7 7.9 10.8 9.7 8.7 10.0 10.9 11.3 CD C u r r e n c y Plus D e m a n d Deposits-^ M2 * *1 » FOUR WEEKS E N D I N G : JUNE FROM FOUR WEEKS E N D I N G : 28, • 1978 MAR. 29, 1978(13 WEEKS P R E V I O U S ) 11.4 9.3 10.4 DEC. 28, 1977(26 WEEKS P R E V I O U S ) 8.0 8.1 10.3 JUNE 29, 1977(52 WEEKS P R E V I O U S ) 8.1 8.6 10.7 1/ I N C L U D E S U ) DEMAND D E P O S I T S AT ALL COMMERCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC COMMERCIAL BANKS AND THE U . S . G O V E R N M E N T # L E S S CASH ITEM$ I N THE PROCESS OF COLLECTION AND P . R . F L O A T : ( 2 1 FOREIGN DEMAND BALANCES AT F . R . B A N K S ; AND CURRENCY O U T S I D E THE T E A S U R Y , F , R . B A N K S AND VAULTS OF ALL COMMERCIAL B A N K S . n Z / I N C L U D E S , I N A D D I T I O N TO CURRENCY AND DEMAND D E P O S I T S , S A V I N G S D E P O S I T S , TIME D E P O S I T S OPEN ACCOUNT, AND TIME C E R T I F I C A T E S OF D E P O S I T S OTHER THAN NEGOTIABLE T I M E C E R T I F I C A T E S OF D E P O S I T I S S U E D I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORT ; IffG' 1AL BANKS • 3 / INCLUDES M 2 , PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH D E P O S I T S OF MUTUAL S A V I N G S B A N K S , S A V I N G S AND LOAN S H A R E S , AND C R E D I T UNION S H A R E S . 4 / INCLUDES M 2 , PLUS NEGOTIABLE TIME C E R T I F I C A T E S OF OEPOSrIT I S S U E D I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE. 5 / INCLUDES M 3 , PLUS NEGOTIABLE TIME C E R T I F I C A T E S OF D E P O S I T I S S U E D I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE. NOTE* ALL RATES OF CHANGE ARE B A S E D ON DAILY AVERAGE DATA; RATES OF CHANGE ARE NOT COMPOUNDED. http://fraser.stlouisfed.org/ # Federal *Reserve Bank of St. Louis e e e * $ # t e 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 1977—HAY JUNE JULY AUG. SEPT. OCT. NOV. DEC. 83.8 84.2 85.1 85.5 86.3 87.1 87.7 88.6 238.6 240.1 242.3 243.7 245.3 247.6 247.2 246.6 1978—JAN. FEB. MAR. APR. MAY 89.4 90.1 90.7 91.3 92.2 250.7 249.8 250.2 255.1 256.4 76.3 79.4 3 10 17 24 31 91.9 92.0 92.2 92.3 92.6 7 14 21 P 28 P 92.9 92.8 92.9 93.2 62.9 63.3 Other Total Nonbank Thrift Institutions-' 446.0 449.9 455.5 458.7 462.1 465.6 469.3 471.2 508.9 513.2 518.3 521.9 525.9 531.9 540.2 545.2 522.4 527.8 534.3 542.1 549.8 556.5 561.7 566.6 83.4 87.1 474.7 478.1 480.9 483.4 486.5 551.0 557.5 562.9 566.8 573.6 570.7 574.0 577.7 581.2 584.6 259.6 255.3 255.2 255.0 258.9 85.8 86.7 86.9 87.6 87.8 484.1 485.1 486.5 487.3 488.8 569.9 571.8 573.3 574.9 576.6 258.9 258.3 256.3 256.7 87.4 87.4 489.3 489.6 r 490.2 492.0 576.7 576.9 576.4 577.5 62.8 63.2 63.8 66.4 70.9 74.0 82.0 WEEK E N D I N G : 1978—MAY JUNE 1/ 86.2 85.5 INCLUDES NEGOTIABLE TIME C E R T I F I C A T E S OF D E P O S I T I S S U E D I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY R E P O R T ING COMMERCIAL B A N K S . 2 / AVERAGE OF BEGINNING AND END OF MONTH D E P O S I T S AT MUTUAL S A V I N G S BANKSt S A V I N G S AND LOAN S H A R E S , AND C R E D I T UNION S H A R E S . P - PRELIMINARY; R - REVISED F E D E R A L RESERVE S t a t i s t i c a l R e l e a s e H . 6 f f Table 4 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS N O T S E A S O N A L L Y A D J U S T E D , IN B I L L I O N S OF DOLLARS Demand Deposits Date Currency Total-" Member T i m e and Savings Domestic Nonmember2f CD's^ Other Total -MAY JUNE JULY AUG. SEPT. OCT. NOV. DEC. 83.5 84.3 85.8 85.9 86.2 86.9 88.4 90.1 233.b 239.0 243.3 241.0 243.6 247.1 248.7 256.8 161.7 165.1 167.7 166.3 167.5 170.0 170.3 176.3 68.4 70.2 71.4 70.8 71.8 72.8 74.1 76.2 61.2 63.0 62.8 64.5 65.4 68.3 71.6 75.9 449.5 452.2 456.1 458.6 460.2 463.5 464.5 466.9 510.7 515.2 518.8 523.0 525.7 531.9 536.1 542.8 -JAN. FEB. MAR. APR. MAY 88.7 89.0 90.0 91.1 92.0 257.2 245.0 246.2 257.6 251.3 175.8 167.3 168.4 175.7 171.2 76.9 73.6 73.8 77.8 76.2 76.4 76.9 80.2 81.4 84.6 473.5 478.8 484.2 487.3 490.3 549 .9 555.7 564.4 568.7 574.9 3 10 17 24 31 91.1 92.6 92.2 91.8 92.1 257.5 250.7 r 251.6 247.1 252.9 175.7 170.C r 170.8 168.5 173.8 77.4 76.8 76.9 75.1 75.2 82.4 83.5 84.3 85.5 86.3 487.3 486.6 490.1 491.1 492.6 569.7 572.1 574.3 576.6 578.9 7 14 21 P 28 P 93.3 93.3 92.9 92.5 257.0 X 258.6 r 256.0 252.4 174.3 r175.5 r 173.3 171.6 78.6 79.2 r 78.7 77.0 86.4 86.5 85.6 85.9 492.7 493.0 r 491.8 493.1 579.1 579.5 577.5 579.0 Nonbank Thrift Institutions^/ U.S. G o v ' t . Demand-^/ 524:3 54$ i 5 546.4 554.2 # 5&#.4 572.1 579.1 584.6 r 586.7 ENDING: -MAY JUNE 1/ 2/ 3/ 4/ 5/ P 3.3 2.9 r 11.8 5.9 TOTAL D E P O S I T S I N C L U D E , I N A D D I T I O N TO THE MEMBER AND DOMESTIC NONMEMBER D E P O S I T S SHOWN, D E P O S I T S DUE TO FOREIGN AND 1 INTERNATIONAL I N S T I T U T I O N S AT F . R . B A N K S AND M l TYPE BALANCES AT A G E N C I E S AND BRANCHES OF F O R E I G N B A N K S . BASED ON MOST RECENT CALL REPORT S I N G L E - D A Y O B S E R V A T I O N S . INCLUDES NEGOTIABLE TIME C E R T I F I C A T E S OF D E P O S I T I S S U E D I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY R E P O R T I N G COMMERCIAL B A N K S . AVERAGE OF BEGINNING AND END OF MONTH D E P O S I T S AT MUTUAL SAVINGS BANKS, SAVINGS AND LOAN S H A R E S , AND C R E D I T UNION S H A R E S . U . S . G O V E R N M E N T DEMAND D E P O S I T S AT ALL COMMERCIAL B A N K S . - PRELIMINARY; R - REVISED