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r:-c&l*2?t*v

FEDERAL

RESERVE

FErit&At RMERVf BUtiiUc.l /tftltitt H6

s "fa H s t i c a l

release

YoW* 1

r»r N**4*Ut4 Rtlaa.t
JLWt & t , 19T9

MONEY STOCK MEASURES
(NIILLK^IOf OOiUM

~ T - T\

• » • • " « • • « • • • «

»t
^3
M) Rut Tim*
M*Plut
Currtncy Dipoitts it
MJPIUI
Ml PIUS
Dipoilti at
Lirgi
Plus
Commerce) Nonbank
Urga
Binki
D*mand
Natotiabla HiiotUbli
Thrift
Dtposlti^ Oth*r Th%rt
COW
irtititutioftgy
UrttC0>y
Maatftotly A9)wMa9
*l, .

0at6

*v7<*--JAN.

*7Q*9

MAR,
APK.
HAT
JUNt
JULY
AUG.
SEPT.
OCT,
NOV.
OCC.

2T5.2
27fc»to
??7.6

*«'#*

1

[

m a
r *&***

44W9
649.0

r 935.•

6M»*

2*0*4
?BO.*
2B0.7
281.6
2*3.6
2«4*4

569.A
991.6
597.1
999.6
601.9
601 .4
607.6
611*6
6l3.3

r 949*7
* 94B.6
t935.6
t 999.6
r 942.6
94ft . 0
970*7
974.9
491.7

2R/.£
2»1.5
296. 1
267*1
2fr^»fe

615.»>
420.3
6*4.4
630.4
637,4

n?»o

2«o*o

1

1*7*>--JAN +
f EB*
MAP.
APK,
HAY p
«lfX

575.5

999.6
1007.2

t ion*a
1019*7

643.3
670*2
674.4
6*1-2
669*7

6aa*2

443*8
497.1

roi.t
708 . 1

na.4

TlV.i
7ia.4
T12.4

ZEZ pern

Not I«t8«fift0y Ad

m.i
t

1027*1

t IMT.I

V 1043.2
1*4.4
1049*9 1
10i6»9
* 1041.*
1071.0 •
1079.9
1097.6
t 1097.0
t 1109*6

«$WU4
targt
N«|otTibf4

l4f|4CD iy

trr.9
i9pa
m»9
*ta*i
it* .9
m.a

* 990.3
r 430»0

uitad

211.2
249.1
192.3

541.4
5TB. 5
944*9
199.5
549.t
596.9
599*1
99B.4
600.1
605*7
409.B
618.6

249.3
2B0*4
293.3
186.7
2155,0

6*1.5
617.9
625.9
634.1
635.6

191*4
1IB*5
103.3

418.9
694.4
490*4

T14.0

194.4
2B3.2
294.9
r 244*3

632.4
4 33.2
633.3
r 636.9

714*4
719.3
T19.9
720.7

r642.5
446*9

r T29.4
7*9.4

* 1000.4

r iooT.a
* l6l5,t

r—
*r —V7~ ^

Mt Wat Tim* MjPIUi
M3Plu«
Currohcy DepoiHi at Daponti at
Largo
Commarclil Hoobank
Plu)
NagotTabU
Binki
Damind
Thrift
Dipoilt.J/ Othir Thwj, Irtatrtutkmi*
CD'i*
f

1
i

290.0
IT7.3

m.6

[

im.i

t 0AO*9
r 952.1
1 r 944*2

i

6AT*2
444.9
691.9

r

994.1

k

9H.I

r 1007.6

469.1
646.0

i ion.a

r997.2
t 940.9
959.T
940*9
967.4
972 • *
v43»l

474.2
601.9
699.9
609.0
696*9
494.9
709*1

r 1029*4
r 1M4.4
r 1041.7
1049.4
104f,3
1096*1
1059.9
10T9.5

992.4
993.3
1009*6
1023.9
t 1029*4

719*4
TOT.1
719,9
720.6
r 719.7

1094.4
1002 ^
1094.4
U09U
1119.9

END!***

1^75--APt.

NAY

It
23
JO

?B4.3

T
14

2BC.0
269.X)

287,1

a

»• P

n

1/

P

[

630.4
6 m *
630.9

719.0
717.7
716.2
719.6
T22.3
722.9
729*4
r 726.9
730*2

r m * 0

1

633.2
6i«.g
637*7
6 4 1 . !>

^2*2.3

i
|

r643.0
446*3

m.v

?o
JUNE

i

m.i

2«»4.l

1
1

i r

199*4
192*4

7^4*6

fio.o

j

INCLUOkS i\)
OfcNANO OkPOSIIS AT A l t C0NMERC1AI BANKS OTMt* THAN THOSt CUf TO OOHfSTJC COMNBftCIAl BANKS ANO T>« U*S *GOVfKNPtf NT«
CtSS CA^H lit**
I N THC PROCESS Of COLtlCTlON ANO * . R * F t O A T t 12) FOBIIGN 0€NAf© BAlANCIS AT P.H.BAHHSl AHO { B I CUHAINCV OUTSIOf
THE TRtASUPY, P.P.BANRS ANO VAUVTS Of A U tOMMIAClAL BANKS.
2 / INCtUOtS, IN AOOlttON 70 CURfttNCV AW OEHAND OfePOSITS. SAV1N0S OtPOSlTS. T l H t OtPOSlTS OPEN ACCOUNT. ANO TIME C t M ! P I C A 7 t S OP
OtPOSns 01HCA THAN NFGOTlABLt T I H t CtRTlFtCATtS OF OSPOSIT ISSUfO IN DENOMINATIONS OF 3 1 0 0 , 0 0 0 OR MOKf BY LA AC* WEEKLY KEPOKTINO COWMfcRClAL BAMRS.
3 / INCLUDE M2. PLUS TMt AYfRACt OP THL BtCINNING AND END OF MONTH DEPOSITS OP MUTUAL SAVINGS BANK, SAVINGS ABO LOAN SHARES. ANO
C M O I T U N i m SHAKES*

*>/ INCLUDtS HZ, PLUS NL0O71A8Lt 7IME UKT1MC4TES OP DEPOSIT ISSUEO I N 0EN0N1NATIONS OP 1 1 0 0 . 0 0 0 OK MOKE.
http://fraser.stlouisfed.org/ 5/ iNCLUOfS M3» PLUS NttVOTlAnLfc TIMfc CWTIP1CATES OP DEPOSIT ISSUIO I N OEtCMINATIONS OP 1 1 0 0 * 0 0 0 OK MOKE.
P - PPeL!«V4AHYt
K - KGVISEO

Federal Reserve Bank of St. Louis

FEDERAL RESERVE Statlltlcil M e a i e H S
Table 2

MONEY STOCK MEASURES
PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES

*i

mmmaamm
9

i

i

*4

^3

Mi Plus Time
Deposits at
M2 Plus Deposits
Currency Plus
Commercial
at Nonbank'Thnft |
Demand Deposits*^ I Banks Other Than |
Institutions^
Large CD's^
J

OAT£

HAY

l

£PUM1

1

*5

M2 Plus Large
Negotiable CD's 5 '

M3 Plus Large fi
Negotiable CD's*

1

KB,

!<>?*>

(3

MONTHS PREVIOUS)

NOV,

IV7A

it

«UNTH<

HAY

1974

(12

Pf<(ViOUS)

MONTHS PRFVIOUSI

*0\Jk WfcEKl, ENDINGS
JUNE 11 •
M O M POUK WfctK* ENDING*

U3

6.9

11.0

13.7

5.9

10*2

***

8.4

10.B

T.4

9*9

4.4

7.7

a.5

7,9

0.6

197*>

NAfc,

12 9

IQT,

WEEKS PREVIOUS)

10*0

12.1

7.1

OfC.

lit

1V74 ( 2 6 WEEKS PREVIOUS 1

5.1

9.4

7*7

JUNfc

12,

1 V 7 * ( 5 ? WEEKS PREVIOUS!

4.8

6*1

7.9

-

ii ' i i ii n II tniii n r

in~**^—^ \iigtmammimiimmmmmtmimMm

1/ INCLUCtS ( I I DfcMAND OEPOSITS AT ALL COMMERCIAL BANKS OTHER,THAN THOSE {SUE ffi DOMESTIC COMMERCIAL BANKS AND TUB U.S.GOVERNMENT.
LtSS CASH ITEMS IN THE PROCESS Of COLLECTION AND F.R.fLOATl <2> FMCfoT Mffifft4ALAttCES AT ^ M M N K S t W
AND «3I CUR*WeV OOTMOI
1HE TfASURY, F.R.BANKS AND VAULTS OP ALL COMMERCIAL BANKS,
•
'
" ' «"*»"* «"""«
2/ INCLUCbS* MLAflOITlON TD CURRENCY AND DEMAND 0EPOSITS.SAVIN6S OgpOSHS, TIME DEPOSITS OPEN ACCOUNT. ANO fINE CERTIFICATES OP
0T,m£ T I W
T , f , c T c s oF 0EP

XKJEtSKI 2£s!!"

V

™

*

°*»

ISSUED INfitoJSSAtSB'Sii^o*°oVHOJ?BT

K*2

SKL^KPST

CAEDtTuVIoN SHARES^ * V E R * G E "* ™ E " t I N N I N G * N D 6 N D OF HONTN DEPOSITS OF MUTUAL SAVINGS HANKS, SAVINGS AND LOAN SHARES, AND
* / JNCLUCIS N2, PLUS NfcGOTlABLfc TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF *100,000 OR MORE.
V INCLUDES MB, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN o K i r N A f l S I OF JlOO.SJ OR M O R I :
NOU.
ALL RATES OF CHANGE ARE BASED ON DAILY AVERAGE DATA» RATES OP CHANGE ARi'NOT CONFOUNDED.




FIDERAL RESERVE Statistical Ral.at. H.6

T«bl« 3

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
SEASONALLY ADJUSTED, IN BILLIONS Of DOLLARS
« * l « H « M B « M H W W i ^ i M

Time *nd Savings Deposits
Currency

Date

4^74—JAN.
FEB*
MAR*
APR*
HAY
jUNe
JULY
AUG.
SEPU

tffbK

64*8
65*5
65*9
66,5
67.4
67*9

208.9
210.4
21).9
212.8
213.3
2)5.4
215.6
21$.0
214.8
21&.2
216.2
216.*

68.2
6ft.a
69.5
69.6
70.3

214,0
*14. 7
216.6
217.5
219,5

62.0
tz.i
63.3
63.9
64,2

1

6*.6

i

OCT.

1

NOV.
DEC.

;

W75--JAN.
FtB.
MAR.
APR.
MAY

!
P

CD's^
66.4
68*2
66.0
73.9
78»H
»*•*
83*6
83.8
84.8
P6*2
*5*5
90.3

i

!
L
[
!
I

Total

Other

j

304.6
i07.7
310*3
312.7
314.0
317.1
319.2
321.5
3^2.7
325.9
328.0
329.1

]

92.7
92.A
69.8
66.«•
85.5

333*3
336.8
340.3
343.3
347.6

ee.6

j

1

i

1

Nonbank
Thrift institutions

371.0
375.9
378*3
386.7
?*2.5

r
r
r
r
r

349.6
351.5
354*4
356.3
357.0

39* .4

r 3*>6#7

402.8
405.2
407*5'
<*12.1
413.6
419.4

r

360.0
360*7
* 361.7
r 363.2
365.3
r 368.2

426.0
428.9
430.0
431.7
433.1

371.5
375.3
380.8
r 386 .8
r 392.3

ENDING:

1 0 ^ —APR.

MAY

lb
Zi
\K\

69.5
69.7
69,8

7
l*t
21
2b

69,8
70.2
70.5
70.8
1

JUNE

*»»Hrnii i

Demand Deposits

4 P
11 P

r

i

1

|

217.6
<16.6
216.8

67.9
87.2

S43.3
343.5
344.4

431.8
431.4
431*6

218*2
218.8
219.4
r 221.2

66.4
86.3
65. *
84.4

345.1
347.0
347.8
r 349.5

431*6
433.3
-33.7
r 433.9

;

r

r -34.6
^ 3t . 1

j

!

i

r

7L.5
71.1

r 221.7
223.0

r

83.V
f3.V

1

I, INCLUDES NEGOTIABLE TIME CERT i • ICATES Of UtPOSIT ISSUED IN DENOMINATIONS Of
& COMMEKCIAL

ILQOtOOO CR MORE BY LARGE WEEKLY REPORT-

BANKS.

2e *WERAGt OE BEGINNING AND tNO Dh MONTH O L P L S I T * AT MUTUAL
P - PRELIMINARY; R - REVISED



350*7
352.2

SAVINGS BANKS, SAVlHGS AND LOAN SHARES, ANt> CREDIT UNION

SHARES.

J

imttftllEISftVt-fttttlttital ftalaa*. H.6

Table 4

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS
1

Demand Deposits

Time and Savings Deposit
r

Currency

Date

Total^

156*4
151.1
152.3
155.P
151.3
1*3.6
1*54.4
152*3
153.3
154*4
156.0
160.4

56.9
54.6
54*7
56*2
54*8
56.1
56.5
56*1
56*6 |
57.1
57*7
58.9

61*6
61.9
62.7
63*5
64.1
&4*8
&5.36^.?
65.8
66.4
67.9
69.C

216.2
208*3
£09.6
214.7
*08.6
213.5
214*7
211*6
213.1
214*7
217.3
22**3

67*3
67**
68.*
69.^
70*1

221.5
*12.6
214.4
219.5
214.9

158.9
152.4
154#o
157.6
154.2

58.7
£*>*6
57*1
58.a
57.9

16
23
30

69.5
69.1
68.5

222.9
219.S
/I4.a

160.1
1*7.5
154.6

60*0
59.0
57.1

7
14
21
28

69.9
70.2
70.1
r 70.1

214.5
215.0
?14.«a
2:14.2

154.3
154.1
153.B
153.7

57*4
58.2
57.6
r 57.S

4 P
11 P

*70.5
71.7

19?4-'JAN»

m
.
MAR*
APR*
MAY
JUNE
JUiv
AUG.
SEPt*
OCT*
NOV/*
OtC*

|
!

1975—.JAN.
|

Ffcb*

1

MAP*
AW*.
MAY P

WEEK

Member

[Domestic
Nonmember^

1

1

,

!

CD's^

;

1

,

'

L .

J

Other

65.8
66.1
66.7
71*8
77.2
79.6
82.6
B7.1
88.7
68.8
87*1
90.5

I

i

Total

303,6
308.3
312*4
315.*
316.7
318.3
319*2
321.1
321.3
324.6
32^.6
326*3

369.4
374.3
379*1
387.1
3*3.9
397*9
402*0
408.2
41C.1
413.*
411,7
••16.8

9i*9
69.?
BB.l
6!>.B
84.1

332.2
337.4
342.6
346.1
350,6

8 5.9
85#|
b4.f>

346.1
346.2
3*7.0

432.0
431.4
431.7

64.0
fc4.3
84.5
H3.9

348.0
349.9
350.8
352.5

432.0
*34.3
435.3
r 436.4

424.1
*26.6
430.6
432.0
r 434.7

Nonbank l
Thrift 1
'institutions^

«• 3 4 8 * 9
351*6
*• 3 5 6 * 1
* 358*6
| t 358,5
I t J60.7
* *6l*7
i
360*3
36U.5
361 . 7
363*0
366**
1

U

5.1
6*6

;

r

371.0
375.4

1

1

6*4

i

6.0
7.6
u«l

1

5.4

!

4*0

1

5.5

I

3.7
5*4
4.9

'
|

4.0
1*4
3,9

I

t#2

382.7

|
r

189.1
393.8

UQV't

*.3

ENDING:

1975—APR.

HA*

JUNE

r 218*9
220*7

r

156.8
157.f

1

58*9
60.3

r

63.1
B«.7

i

r353.1
354.4

I

j

3.6
4.9
5*1
.1
J.7

!

U*
*•*

I

r436.2
437..1

I

•

1

a.i
*.3

i J L**JHII»III

i mmmmmmmmmm

U
^ L ? ! r S S ! . T S * . I ^ l I O i * 1 N A D O 1 T , 0 N T o T H * HEMBtR AND OOMESTIC NdNNENRER DEPOSITS SHOWN, DEPOSITS DUE TO FOREIGN ANO
>, IV£S i ^ S I S t ! ? ! I i ! U T I ? N S M F»R»B*NK5 ANO Ml TYPE. BALANCES AT AGENCIES ANO BRANCHES~OF FOREIGN BANKS.
2 / BASED ON HOST RECENT CALL REPORT SINGLt-OAV OBSERVATIONS.
3
' i t S ; « 2 t L N ^ S I J ^ ! T I " £ CERtiUCATcS OF DEPOSU ISSUED IN DENOMINATIONS OF $100,000 OR MORE fcY LARGE MfctKLV
REPORTING COMMERCIAL BANKS*
*>
H
tJ 0N ™ C * P U S I T S * T WTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARtS, ANO « | D 1 T UNION SNAfc.t*
 ^ r ^ L * ^ ^ ^
5 / U*S.GOVBWKENT 0£MA*iO DtPOMTS AT ALt COMMfRClAt BANKS.
http://fraser.stlouisfed.org/
P - PREUfclNAKY, ft ^ REVISE*

Federal Reserve Bank of St. Louis