Full text of H.6 Money Stock Measures : June 13, 1974
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FEDERAL RESERVE statistical release Table 1 H6 ••'SB&r for immediate Kninase MONEY STOCK MEASURES June 13, 1974 IN BILLIONS OF DOLLARS M, ()<)!<: Cu"cniy plu'j 1 9 7 3 — May Juno July August September October November December L974--January February .'•'uri'!i A;>ri 1 •May v Week e n d i n g : 1 19*74--Mnv 8 15 22 29 June 5 p 262, 265, 266, 266, 265, 266, 269, 271, M, M; M, Currency plus Mi plus time depose at commercial h,ink<i other than large Mj plub depoi'tr. thrift institution 3 / Not Seasonally Adjusted 541.8 548.9 551.1 551.3 554.4 560.1 565 ,7 577 ,2 H53.2 863.6 867.6 866.6 870.0 877.2 884.0 898.4 Ms M i piun rimr rinposits M2 pins f1(»pnr.ilB HI (omnieiciai banks at nonhank nthpr than latfp thrift institutions^ CD's^ Seasonally Adjusted 543.7 549.5 552.1 555.1 556.8 561.9 567.3 572.1 270.8 273.7 276.2 278.1 279.3 575.4 581.9 586.2 590.2 592.9 276 ,8 278 ,6 279 ,5 r 280.6 278.1 589.6 591.3 593.1 r 593.8 r 592.7 281.0 596.5 demand depo$<ts 894.8 257.9 263.6 265.7 263.0 264.0 266.1 270.9 279.1 900, 909, 915, 921, 925, 278.1 270.8 273.5 279.6 274.5 581.4 579.3 585.7 594.6 591.0 275 274 275 274 ,2 .9 ,9 ,3 271.8 590, 590. 592. 590, 589, 278.0 596.1 854 862 867 870 873 880.3 887.7 V Total deposits include, in addition to the member and domestic nonmember deposits shown, deposits due to foreign and international institutions at F.R. Banks end My type balances at agencies and branches of foreign banks. £ / Based on most recent call report single-day observations. 3 / includes negotiable time certificates of deposits 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 and savings and loan shares. 6 / U S Government demand deoosits at all commercial banks. v 3t nonrjjink 905.9 906.3 916.5 927.7 SM'i.l p - Preliminary, r - Revised, Rev. 2/74 FEDERAL RESERVE Statistical Release H 6 Tftblt 2 MONEY STOCK MEASURES PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES "t Currency plus demand deposits^ Period M 2 M i plus time deposits at commercial banks other than large CD's V ^3 M2 plus deposits i at tinhhank thrift institutions37 May from February 1974 (3 months previous) November 1973 (6 months previous) May 1973 (12 months previous) 8.2. 7.5| 6.4 7.6 9.0 9.0 Four weeks ending June 5, 1974 from four weeks ending* March 6, 1974 (13 weeks previous) Dec, 5* 1973 (26 weeks previous) June 6, 1973 (52 weeks previous) 7.3 i j 1. " K *udes 7.6 6.3 • -i W I I I I 7,1 9.1 8.9 >^m^gmtmmmHfmmm^tmmmmmmmmmmmmmmmm (t \ demand ^ p o s t^ at an commercial banks other than those due 10 domestic commercial banks and the U S Government less cash terns \t\ the J p oces-- of cott^ct on and F R float (?) foreign demand balances at F R Banks and (3) currency outs de the Treasury F R Banks and vaults ot a l l commercial banks V includes n add t on to cur ency and demand deposits sav ngs deposits time deposits open account and time certificates of deposits other than neqoi able i me ce t t cates ot deposit issued m denominations of $100 000 or more by targe weekly reporting commercial banks v inc ludej M^ plus the avenge of the beg inn ng and end of month deposits of mutual savings banks and savings and loan shares Note An ates of change are based on da »y average data rates ot change are not compounded 7.0 8,4 8.3 FEDERAL RESERVE Statistical Release H 6 Table 3 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY AOJUSTED, IN BILLIONS OF DOLLARS Time and savings deposits Date 1 Currency I I 58^9 Demand deposits CD's3' Other 59.4 59.5 59.8 60.2 60.5 61.0 61.7 203,4 206.2 206.9 206.4 205.3 206.1 208.2 209.7 61.3 62.0 63.9 66.3 66.7 63.8 62.0 62.8 281.4 263.9 285.7 288.8 291.4 295.3 298.1 1974--January February March April May p 61.9 62.7 63.4 64.0 64.5 208.9 211.1 212.9 214.1 214^ Week ending 1974—May 1 8 15 22 29 63.9 64.5 64.4 64.6 64.6 213.0 214.1 215.1 216.0 213.5 1973—May June July August September October November December June 5 p 12 P 1 64.5 65.0 | j | [ r 216.6 215.9 Nonbank 1 thrift institutions^ 300.6 342.7 345.9 349.6 355.1 358.0 359.1 360.1 363,5 310.4 313.1 315.0 315.6 316.7 318.5 320.4 322.7 65.5 66.6 67.7 75.4 81.2 304.6 308,2 310,0 312.1 313.6 370.1 374.8 377.7 387.4 394.8 325.0 327.1 329.6 331.4 332,1 78.0 79.7 80.6 82.5 312.8 312.7 313.6 313.3 r 314.5 390.8 392.4 394.2 395.2 r 397.0 r 81.9 82.2 r 315.8 3-16.5 397.7 398.8 ttrt includes negot able time certificates ot depos t ssued n denominations of $100 000 or more by large weekly reporting commercial banks Average of beq nn ng and end of month depos ts at mutual sav ngs banks and savings and loans shares Total j p - Preliminary r - Revised FEDERAL RESERVE Statistical Release H 6 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED IN BILLIONS OF DOLLARS Demand deposit 9 t)3le Currency 1973—hay June July August. September October November December j i j 1974—January February March April May p Week ending 1974—May June j 58.7 59.4 60.0 60,0 60.1 60.4 61.5 62.7 61.6 61.9 62.7 63.6 64.3 1 8 15 22 29 p 63.0 64.5 64.4 64.2 64.1 5 p 64.6 j i j | ! i i ! Time and savings de posit 1 Total'' Member Domestic nonmember i/\ 199.2 204'. 1 205.7 202.9 203.8 205.7 209.5 216.4 145.8 149.1 149.7 147.8 148.2 149.7 151.8 157.0 51JL 52.4 53.2 52.7 53.3 53.8 55.1 56.6 216.5 209.0 210.8 216.1 210.3 156.4 151.2 152.5 156.0 151,5 57.1 55.2 55.5 57,3 56,0 212.1 210.5 211.5 r 210.1 r 207.7 153,2 151.7 152.2 r 151.3 149.6 56.1 56.0 56.6 r 55.9 55.3 t 79.6 315.6 315.4 316,4 i? 3 1 6 . 1 if 317,6 213.4 153.7 56.8 79.4 318.1 1 i i' | | j i ! ! | ! 1 CD3 3 58.8 59.3 62.3 68.4 68.8 66.3 64.1 64.1 283.9 285.3 285.4 288.3 290.5 294.0 294.8 298.1 342,7 344.7 347.8 356.7 359.3 360.3 359,0 362.2 66.1 65.9 67.0 72,4 77.8 303.4 308.5 312<2 314.9 316.5 369,4 374,4^ 379.2 387.3 394.3 74.3 76.0 76,0 78,8 i Total Other Nonbank 1 US Gov t thrift institutions"' demand^ \ j i 1 3U.4 314.7 316,5 315,3 315.6 317.0 318,3 321,2 8.7 7,1 6.5 4.1 5.3 6,0 4.3 6,3 324.5 j 326,9 330,8 f 333.2 333,1 8.0 6.6 6.3 6,0 7.5 ! | 389.9. 391.4 393,3 ! r 394.9 397.2 397.5 9,3 11,1 7.5 6,5 5,3 4.2 —mmmmm—mmmm 1 / Total depot H nclude n add lion to the membet and domestic nonmember deposits shown deposits due to foreign end interndilo/ia! tnsilhitiani a\ F ft Sank* and M j type balances 3t agencies and branches of foreign banks 2 / Based on most recent call pport si glp day observations 3/ Include* negot able time cemf cates of depos ts issued m denominations of $100 000 or more by Urge wixkly reporting commercial bank* 4 / Average of beg nn ng and end of month depostu at motudt savings banks and swings and loan shares 6 / U S Government de njnd deuo^ K at dfl commercial banks p - Preliminary, t * Revised, Rev ? / 7 4