Board of Governors of the Federal Reserve System (U.S.), 1935-. "June 26, 1963," H.6 Money Stock Measures (June 26, 1963). https://fraser.stlouisfed.org/title/53/item/488623, accessed on May 2, 2025.

Title: June 26, 1963

Date: June 26, 1963
Page 1
image-container-0 % vSRlP 1, f, 7 / For immediate rta:Leuse June 26; ^963 "DEIHAND DEPOSITS, CURRENCY, AND. RELATED ITEMS Seasonally I a'dji the first half of Juiie, deposits adjusted infcrea4i sted money supply is estimated at .S149..9 billion in &00 million higher than in the month ,osf May. Time id S300 million further in the first half pf June. MONEY SUPPLY AND TIME DEPOSITS Averages of daily figures, in billions of dollars Seasonally adjusted. Period j 1 1 Period j Total Currency Demand deposit (Al] commer- 1962—May 145.7 30.0 i 115.7 89.6 June 145.6 30.1 115*4 90'. 7 July 1*15-7 | 30.2 115.5 91.8 August 145.1 30.2 : 114 ..9 92.5 September 145.3 30.2 115.1 93.4 October 146.1 30.3 115.8 94.6 November 1*i6.9 30.5 1(6.4 96.0 December 147.9 30.6 117.3 1963—January | 148.7 30.7 118.1 February 148.6 30.9 117*7 March. 148.9 31.1 117.8 April 149.4 31.2 118.2 May I 149.4 31.3 118.1 Semimonthly: 1963--Apr, (1) 149.5 j 31.3 | 118.3 ! 102.4 (2) May (1) 149.8 31.3 118.5 103.3 (2) 1*19.1 31.3 117.8 104.0 June (1) p 149.9 31.5 118.3 <*-w vCKJL- 149.3 i 31.1 118.1 Mpney Supply I Time deposit*, adju&itud component. component cial bank;;) 97.5 99.1 100.3 101,. 8 102.6 103.7 102.8 104,3 1 1 1 in 1 r n p - Preliminary. NOTE—Components may not add to totals, du6 to pounding. See reverse side for data without seasonal adjustment afta fotf description of series.
image-container-1 DEMAND DEPOSITS!, CUHKENCY, AWD BELATED ITEMS (Averages of daily figuroq, in billions of dollars. Not seasonally adjusted) Period •• i 1 • '•«»—• —'•• I t i.i. ..ap-wj^p Moftey Supply Related deposits (All commercial banks) Period Total Currency[ Demand deposit I Time f U. S. Govt. Total component component ad.justed demand 1962—May 143.6 29.8 113.8 89.9 I 7.0 June 144.0 30.0 113.9 91.1 7.2 July 144.3 30.3 114.0 92.2 7J1 August 143.8 30.3 113.5 93.0 6.8 September 1^5.0 30.3 114.6 93.8 7.2 October 146.5 30.4 116.1 94.9 7.3 November 148.2 30.8 117.5 95.4 6,0 December 151.6 31.2 120.4 •96.6 5-6 1963*-- January 151.8 30.5 121.3 98.4 4.8 February i 148.3 ! 30.5 ! 117.8 99.9 5.6 March ! 147.4 30.7 116.7 101.7 5.9 April 149.5 30.9 118.6 102.9 4.2 May 147.3 31.1 116.2 104.0 7.0 Semimonthly: 196>-Apr* (1) 148.9 31.1 117.7 102.7 4.5 I 150.2 50.7 119.5 10;). O 3.9 May (1) 148.6 31.1 117.5 103.7 6.5 (2) 146.1 31^0 115.1 104.4 7.6 Juno (1) p 148.5 51.5 117.0 104.9 5.4 Wook ending: 1962—May 16 144.6 29.8 I 114,7 89.7 6.5 23 142.0 29.8 1-12.2 90.1 B.o 30 142.1 29.6 112.5 90.4 V.5 June 6 : 143.5 I 30,0 113.5 90.7 7.1 13 144.8 50.1 114.6 91.0 5.5 20 j 145.0 30.0 114.9 91.1 6.8 27 142.8 29-9 112.9 91.4 8.6 July 4 143.3 30.2 115.1 91.9 9.5 1963—May 15 148.3 31-1 117.1 105.9 6.2 22 145.9 31.1 114.8 104.2 8.1 29 146.1 30.9 VI5.2 104.5 7.5 June 5 147.4 31.4 116.0 104.8 6.7 12 148.8 31.6 117.2 104.9 4.6 19 p 149.2 31.4 117.8' 165.O I j ! HI I !••.,«•••, .S, .l-l-M-M 5.9 p - Preliminary. NOTE—Money supply consipts of (l) deYnand deposits at-all commercial bar|ks, other than t-hosp due to domestic commercial, bonks and the U* S. Government, iocs cash items Ln process of collection and Federal Reserve float; (2) foreign demand balances at Federal Reserve Bank,q; anji (3) currency otit&ide the Treasury, the Federal Reserve, and the vaults of all commercial banks* Time deposits adjusted are time deposits at all commercial kaqkp other than those due to domestic commercial banks "and the U, &. Government,, for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
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