Full text of H.6 Money Stock Measures : June 20, 1974
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FEDERAL RESERVE itatiitkal release tiM» 1 For Immediate Release June 20* 1974 MONEY STOCK MEASURES H6 MJL Date Currency plus demand deposits^ J July August September October November December Week ending: 1974—May 1 8 15 22 29 June 5p 12 p A 262.4 265.5 266,4 266.3 265.5 266.6 269,2 271.4 1973—May June 1974--January February March April May p 1 ; ! iNMUttdtormuML , 1 i 1J 2 1i M t plus time deposits at commercial banks other than large CD'»y 1 Seasonally Adjusted 1 543.7 1 549.5 i j 552,1 \ 353.1 556.8 561.9 567.3 572.1 ] 270.8 273.7 276.2 278.1 279.3 276.8 278.6 279.3 280.6, 278.1 r 281.1 280.9 575,4 581.9 586.2 590.2 592.9 ! 589.6 591.3 593.1 v 593,9 r 59^.5 r 596.9 597.4 j I ^MH^B^BHgBBBuH^££tart^H^^H^rtaMH_H "t - . **, • M3 plus deposits 1 at nonbank Currency piut thrift institutions*' demand deposits^ | 854,1 862,6 867*1 257,9 263,6 265.7 m>i 263,0 264,0 266,1 270,9 279,1 873.5 860,3 887*7 894,8 900,4 909,0 915,8 921.6 923,0 ! | Mjj i M» ¥Ti^timelteposits M; plus deposits at commercial banks at nonbank other than large thrift institutions^ CD's*' Not Regionally Ad)uite d 1 541.8 1 853.2 548.9 863,6 1 551.1 867,6 351,3 866.6 554,4 870.0 560.1 877.2 565,7 884.0 577,2 898.4 278.1 270.8 273.5 279,6 r 274,6 581.4 579.3 585,7 594,6 591.0 275.2 274.9 275.9 274.3 271.8 590,8 590.3 592.3 590,4 r 589.2 r 278.1 279.5 r 596.5 598.3 905,9 906.3 916.5 927.7 r 924.0 —a*——in includes w\mmiimmmmmmmm»mam (1) dem&rtd deposits a t a l l commercial banks other than (hose due to domestic commerctaf banks and the U 8 aovernment less cash items m thp proress of collection and P P float (2) foreign temnd balances at P R Banks and (3) currency outside the Treasury f= R Banks and vaults ot alt commercial banks V includes in addition to currency *nd demand deposits savings deposits time deposits open account and lime certificates of deposits other than negotiable time certificates of deposit issued in denominations of $100 000 or more by large weekly reporting commercial banks P " " ^ ^ *• i r n t n a r y http://fraser.stlouisfed.org/ includes M j plus the average of the beginning and end of month deposits of mutual savings banks and savings and loan shares r Revised Federal Reserve Bank of St. Louis FEDERAL RESERVE Statistical Release H 6 Table 2 MONEY STOCK MEASURES PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES Penod Mi M2 M- Currency plus demand deposits^* Mi plus time deposits at commercial banks ether than large CD's V Mj plus deposits at nonbank thrift* institutions ^ 8.2 7,5 6.4 7.6 9.0 9.0 7.0 8.4 8.3 6.7 7.5 6.2 7.0 9.2 8.9 May from: February 1974 (3 months previous) November 1973 (6 months previous) May 1973 (12 months previous) Four weeks ending June 12, 1974 from four weeks ending: March 13, 1974 (13 weeks previous) Dec. 12, 1973 (26 weeks previous) June 13, 1973 (52 weeks previous) J includes o> 4ettan<i deposits at all commercial banks other than those due to domestic commercial banks and trie U J Government, less cash items in the process of collection and F R float (2, foreign demand balances at F R Banks and (3) currency outside the Treasury F R Banks and vaults of aii commercial banks, V includes m additton to currency and demand deposits savings deposits time depdsits open account and time certificates of deposits other than negotiable time certificates of deposit issued tn denominations of $100 000 or more by large weekly reporting commercial banks tncfudes M ? plus the average of the beginning at\6 m6 Of month deposits of mutual savings banks and savings jf/ltf l ^ n Shares Note AH rates of change are based on daily average data rates of 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 DOLLARS i^^^^ Date Currency Demand deposits 19 73—May June July August September October November December 58^ 59.4 59.5 59.8 60.2 60.5 61.7 203.4 206.2 206.9 206.4 205.3 206.1 208.2 209.7 1974--January February March April May p 61.9 62.7 63.4 64.0 64.5 208.9 211.1 212.9 214.1 214.8 J 5 12 19 1 j j 61.0 • ! 1 Week ending: 1974--May 1 8 15 22 29 June j j p P p 63.9 64.5 64.4 64.6 64.6 64.5 65.0 64,9 1 i ! 1 | 213.0 214a 215.1 216.0 213.5 216.6 215.9 216,8 1 f ! 1 1 1 ! TlmeanTtavlngt deposits CO's^ Other 61.3 62.0 63.9 66.3 66.7 63.8 62.0 62.8 281,4 203.9 285.7 288.8 291.4 295.3 298.1 300,6 i ! ! 1 i I 1 Nonbank j thrift institutions?/ Total 342.7 345.9 349.6 355.1 358.0 359.1 360.1 363.5 3.10.4 313.1 315.0 315.6 316.7 318.5 320.4 322.7 325.0 327.1 329.6 331.4 332,1 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 78.0 79.7 80.6 82.0 82.5 312.8 312.7 313.6 313.3 r 314.4 390.8 392.4 394.2 395.2 r 396. 9 81.9 r82.5 83.5 315.8 r 316.2 316.8 397.7 398.8 400.2 includes negotiable time certificates of deposit t$$ve<3 m denominations of 5100 000 or more by large weekly reporting commercial bank<* A \ t ' a g e of beginning and end of month deposits at mutual s&vings banks and savings and loans shares | 1 1 i i p - Preliminary r - Revised FEDERAL RESERVE Statistical Release M 6 Table 4 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS | Date Currency 1973—May June July August September October November December 5877 [ ! ; 1974--January February March April May p \ Week ending: 1974—May 1 8 15 22 29 June 5 12 p p 59.4 60.0 60.0 60.1 60.4 61.5 62.7 ! | ; ! 1 Demand deposits | Domestic nonmember -' Total I' Member 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 51.1 52.4 53.2 1 1 52.7 1 53.3 53.8 55.1 56.6 J I 1 1 61.6 61.9 62.7 63.6 64.3 | ji ! 216.5 209.0 210.8 2-16.1 210.3 156.4 151.2 152,5 156.0 151.5 57.1 55.2 55.5 57.3 r 56.1 63.0 64.5 64.4 64.2 64.1 212.1 210.5 211.5 210.1 1 v 207.6 153.2 151.7 152.2 r 151.4 r 149.5 56.1 56.0 56.6 55.9 r 55.4 64.6 65.3 1 r 213.5 1 214.2 r 153.8 153.8 56.8 57.6 ! ! , i | Time and savings deposit j j CD's 2-' 1 Other 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 77.3 303.4 308.5 312.2 314.9 v 316.4 369.4 374.4 379.2 3.87.3 * 394.2 74.3 76,0 76.9 78,8 79.6 315*6 31S.4 316.4 ! 316.1 | r 317*5 r 79.2 79.4 v 318.3 318.8 Nonbank 1 U S Gov't thrift institutions-' demand-' Total | ! ' 1 1 1 ! ! i | 311.4 1 314.7 316.5 315.3 315.6 317.0 318.3 1 321.2 i 324.5 326.9 330.8 333.2 r 333.0 389.9 391.4 393.3 8.7 7.1 6.5 4.1 5.3 6.0 4.3 6.3 'i 1 8.0 6.6 6.3 6.0 7.5 r 397.0 9.3 11.1 7.5 6.5 r 5.2 397.5 398.1 4.2 3.7 394;9 Ummmimimmmtmmmm mmmmammmmmm ]_f Total deposits mclude m addition to the member and.domestic nonmember deposits shown, deposits due to foreign and international institution* st F R Banks and M^ type balance* at agencies and branches of foreign banks, 2 / Based on most recent call report smgte day observations 3 / Includes negotiable time certificates of deposits issued in denominations of $100,000 or more by large weekly reporting commercial banks. p - Preliminary. t - ReViaed. 4 / Average of beginning and end of month deposits at mutual savings banks and savings and loan shares* §>/ U S Government demand deposits at a)f commprciai banks Rev 2/74