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tiS^tti*

h FEDERAL

RESERVE

s t o ti s ti c a I

r e I e a ta.
**rm

"'Sfs^-"
FIDCKAL RESERVE BtitlitlCll fttl«M» « *

N f Immediate ieteate

Table 1

MONEY STOCK MEASURES

June 26, U73

IN BILLIONS OF DOLLARS
"i

Mi nutTima
Currency Deposits at
Plus
Commercial
Demand
Banks
Deposits^ Othar Than
large CD't-V

Data

M*Plu*
Deposits at
Nonbank
Thrift
Institutions*

|

MS

|

"-*T" | m

M 2 PtUi
Ms Plus
Currency
Large
Large
Plus
Negotiable Negotiable
Demand
CDiaS/ 1i Deposits!/
CD»s«y !

Mt Plus Time
Deposits at

MjPlut
M 3 Plus
Deposits at
Large
commarclal ! Non bank
Negotiable
Banks
i
Thrift v
Othar Than,
CD's*
iLargaCP^l Institutional

210*9
273.1
275.2
21b%6
2TT*6
280*0
260.A
2eo%5
2B0.T
281*6

1
[
!
!

t

We.

991.5
1000.6
1607.6
1019*7
1027.1
1037.1
10*3*2
1046.4
1G49.9
10*6.9
1062.5
1072.0

27?*a
2"»0.2
272.5
?78.2
272.9
27a.^
280.0
277.3
2tb*9
281.2
285.1
292.3

58t*4
578.4
IS6.Q
593.5
589*7
596*5
599.2
596*4
600*3
605.7
609*8
616*6

Uri,
M«*otT*bl*

930*3
636.6
960*9
952*.
948 V2
957*2
960*9
950,7
960*8
967*4
9T2.8_
985*1

647.2
644.1
6514?
665.3
666*9
676.2
681.9
685.5
689*0
694*5
696*8
709*1

996,1
eoa.i
lOOTaS
io*a*a
1025,4
1036*8
1043.7
1045.a
1049.5
1056.2
1059.9
1075.5

992.4
593* 3
1008*6
1023*9
t 1029.2

713.4
707*1
71B.9
720.6
r 719.6

1084.4
1082*5
1096*6
1109.8
rlil>*3

2«4%%

580 *B
%*l.*
589*4
1*1*6
59?*i
599*6
601**
60S* A
607*6
611.6
6*3*5

932.4
939.6
945*7
948.6
95**6
9*9*6
962.6
965.0
970*7
9T6.9
961.7

6*1.9
649.0
6*3.4
663.3
670*2
678**
663*2
685.7
688.2
693.8
697.1
703.6

282*2
283*5
286* l
2S7.1
28**7

615.5
620*3
626*4
630*4
r637»3

967.0
995* t
1007.2
10U.2
r1029.5

708.3
712.4
716.1
718.8
r 722.8

287.1
286*3
286.5

630*4
629.8
630**

719.0
717.7
718.2

292.4
288*5
2H3.3

638*5
6 3 * . fl
630*4

724.4
"719.9
719*0

288.0
289.0
289.9
2*2.0

633.2
636 .w
r 637.6
6*1.5

719.6
7,2.3
723.5
72*.9

284.*
285.2
284.5
284.3

632.4
r635.1
635.3
r 636.8

716*4
719.5
719.8
720*7

r292.4
t 2***2
293>9

U 4 M
r 646*2
1
6*7.5

<>ft9.5
292.5
2 94. 0

r 642.6
r 646*8
648.7

r T25*7
r T29.7
730 .9

1 m%6

1 9 7 5 - - JAN.
FEB*
MAR,
APR*
MAY

m»»

M,

Not Seasonally Ad uited

Seasonally Adji itad
1974 — JAN.
FE*.
MAR,
APR*
MAY
JUNE
JULY
AUG.
SEPT*
net*
NOV.
DEC.

[T" pr

mmmmmmmmm

*4

*3

'

"

1079,8
10B7.6
1097.0
1105.6
r 111*.1

!

1
j
|
|
1

269.3
28U»*
283.3
288.7
r 284*9

j

621*5
617*9
625*9
634*8
r635.3

i

WIFK ENDING*
1 9 7 5 - - A P R . 16
23
30
MAY

JUNE

7
14
21
28
11 P
18 p

1/

i

tj

r 727*0
r 730.3
731 . 6

r
r

<

INCLUDES < U OfcHANO OtPOSlTS AT ALL COMMERCIAL BANKS OTHER TrtAN THOSE DUE TO DOMESTIC COMMERCIAL BANKS ANO THE U. S .GOVERNMENT t
LESS CASH lTtMS I N IMC PRCCESS OF COLLECTION ANO F.R.FLOAT* «2) FOREIGN OEMAND BALANCES AT F.R.BANKSl ANO ( 3 1 CURRENCY OUT* I OF.
THE TREASURY-. F.R.BANKS ANO VAULTS OF ALL COMMERCIAL BANKS.
2 / INCLUDES, IN A001TFON TO CURRENCY ANO DEMAND OtPOSlTS* SAVINGS DEPOSITS. U * £ DEPOSITS OPEN ACCOUNT, ANO 7IME CERTIFICATES OF
DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUEu IN 06N0M1NATIONS OF 4 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS.
V
I ? C i ¥ 5 * * * * * f U , S * H t AVERA4E OF THt BEGINNING ANO END Of MONTH DLP0S1TS OF MUTUAL SAVINGS BANK, SAVINGS ANO LOAN SHARES, ANO
CREDIT UNION SHARES.
>
4 / INCLUDES M2, *LUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUtO I N DENOMINATIONS OF t 1 0 0 , 0 0 0 OR MORE.

5/ INCLUDfS M3, PLUS NEGOTIABLE TINk CERTIFICATES Of-tfEPOriT IS^UEu I N Ofc NOMINATIONS OF M 0 0 . 0 0 0 OR MORE.
http://fraser.stlouisfed.org/
P - PRELIMINARY*
R * REVISED

Federal Reserve Bank of St. Louis

FEOtRAL RtSERVf «».<litlcil R . I . M . H 6
Table 2

MONEY STOCK MEASURES
PE8 CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL BATES

DATE

M<

M,

M-

Currency Plus
Demand Deposits ^

Mt F l u * Ttme
Deposits at
Commercial
Banks Other Than
Large C P ' s ^

M$f*lus Deposits
at Nirtbartk»Thrm

Inshutlon^i/

M,

M4
M*Ptus Large .;
Negotiable CD's 7

M$Pius Large
Negotiable CD's V

KAY FROM*
PES.

1*75

(3 MONTHS PREVIOUS!

8i7

NOV.

197*

(6 MONTH! PREVIOUS)

4 #3

MAY

1974

(|2 MONTHS PREVIOUS)

4*4

1UO

13.6
10.8

T.7

10*1

ft*

*#*

T.B

6*6

POUR WEEKS ENDING! JUNE 10» i9?*>
FROM POUR WEEKS ENDING*
MAR, 19. 1<?7*^ (13 WEEKS PREVIOUS)

10*5

10. i

DEC. 18, 1^74 (26 WEEKS PREVIOUS)
JUNt 19, 197* (5? WEEKS PREVIOUS)

7*6

5.0

8*3

1*4

•mwMNHMtti

1/ INCLUDES (1» OIMANO 0EP0S1TS AT ALL COMMERCIAL &ANK5 OTHER THAN THDfct fiUi 1 f l O T p f M ; tSffiftfttjAlt iANKS AND TH£ U*S.GOVERNMENT.
LESS CASH ITEMS IN THE PROCFSS OF COLLECTION AND F.R.FLOATt it) W R I t O N m U m f w k W g t l ' W f %IUiANKit AND ( ) ) CURRENCY OUTSIOE
THE TEASURY* F.R.BANKS AND VAULTS OF ALL COMMERCIAL BANKS.
,
[
1
2/ INCLUDES* IN ADDITION TO CURRENCY AND DEMAND DEPOSITS, SAVINGS DLPd$m> ! I M p T O & t t t W I N AftfeDiWt, AND T I N ! CERTIFICATES OF
DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN D I N W p f l W J l M lit>d,$6© 6A HOKfe &Y LARGE WEEKLY ^PORTING COMMERCIAL BANKS.
V INCLUDES M2i PLUS THE AVERAGE OF THE BEGINNING AND ENu OF MdNTH DfcPOSm dF (fUJUAfc SAVIN6I &ANK4* SAVIN8S AND LGAN SHARES, AND
CREDIT UNION SHARES*
4/ INCLUDES M2» PLUS NfcGOltA&Lfc TIME CERTIFICATES OF DEPOSIT ISSUED )lN DlNW*)HA|OTl W H%t%$t>t> D* NDM*
INCLUDES M3. PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DE^OMfHAflM B* | J l t | d * 5 Qfc MOM.
Digitized for 5/
FRASER
NOt'Er ALL RATES OF CHANGE ARE BASED ON DAILY AVERAGE DATA*- RATES OF CHANGE Atlftffif S W W U N M O *


FEDERAL RESERVE SUtlttlcil R e l t m H.6

Tabli $

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
SEASONALLY ADJUSTED, IN BILLIONS Of DOLLARS
*Mwm*MttOTwN«iMi»a«»«

1
Currency

Date
m4~jAN.
FEB*
MAR*
APR*
MAY
JIM
JULY
AUG*
SEPT.
OCT*
NOV*
DEC.

1

i

m*—JAN*
FEB •
MAR*
APR *
MAY

WEEK ENDING*
—-->««*_*..-«.
1975--APR* 16
23
30
MAY

7
14
21
28

JUNE

4

l /

!l!IrLro^c?5??Jl^BLE T t H f
ING LUPWEKCIAL BANKS*

V 4^f^L?!.^tG
P - PRELIMINARY*



62.0
62.7
63.3
63.9
64.3
64.6
64.6
65.5
65*9
66*3
67*4
6?*9

215.0
214.B
215.2
216.2
216.5

68*2
6B.e
69.5
69.6
70*3

20B.9
210*4
211.9
212.8
213*3
21&.4

I N N I H t AND

R -

t N 0

304.6
307*7
310.3
312.t
314.0

66.4
68*2
68.0
73.9
78.5

I

ma

371.0
3t5.9
378.3
386*7
392*5
398.4
402.8
405.2
407.5
412*1
413*6
419.4

90.3

214*0
214.7
216.6
217.5
r219.4

92.7
92.1
89.8
88.4
85.5

333*3
336.8
340*3
343*3
347.6

426.0
428.9
430.0
431.7
433.1

69.5
69.7
69*8

217.6
£L6*6
216.8

88.6
B7.9
87.2

343.3
343.5
344.4

431.8
431.4
431.6

69.8
70*2
10.5
70.8

218.2
218.8
219.4
221*2

66.4
86.3
85.9
84*4

345.1
347.0
t 347.7
349.5

431.6
433.3
433*7
433.9

350*7
r 352.1
353.6

434.6
436.1
437.7

r 221.8
223.0
222.7

0 f

mH

*H

NrmhAnk

83.8
84.8
86,2

i

**•*

r

83.9
84*1
84a

'

|
1

nUHWOiln

-J

Thrift Institutions**

Total

Other

CD'&tf

319.2
*21»5
322*7
325.9
326.0
329*1

""IHCATCS

REVISED

^
1

Demand Deposits

r 70. 6
71.1
71.2

IIP
18 p

Tim* and Sivlnjt Dapoilu

349.6
351*5
354*4
356*3
357*0
356.7
360.0
360.7
361.7
363.2
365 . 3
368.2

i

371.5
375.3
380.8
386.8
* 392.2

OF OEPOSIT ISSUED I N DENOMINATIONS OF S10O.O00 OR MORE BY LARGE WEEKLY REPORTDEPOSITS AT MUTUAL SAVINGS BANKS* SAVINGS AND LOAN SHARES* AND CREDIT UNION SHARES.

FEDERAL RESERVE Statistical Ralaaia H 6

Tabla 4

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS
PiHHHMW#«•.•••BBBB^iBBBBB^waMBMBBBBBMaB.

j
Date

Currency

1974 — J A N ,
FEB.
MAR.
APR.

HAY
JUNE
JULY
AUG.
SEPT.
OCT.
NOV,
OtC.

j
|
I

1975—JAN.
FEB.
MAP*
APR.
MAY

WtfcK

i
J
I

Demand Deposit!
1

Total '

Member

]

Domestic 1
Nonmember^

61.6
61*9
62.7
63,5
64,1
64*6
65.3
60,7
65.8
66,4
67.9
6V . 6

216.2
208.3
Z09.6
214.7
<?08.8
213.5
214.7
211.6
213,1
214.7
217.3
22**3

153.3
1*4.4
156.0
160.4

56,9
54.6
54.7
56*2
5 4 .8
56.1
56*%
56.1
56.6
57,1
57*7
**8.9

67.8
67.*
66.9
69.2
70.1

221.5
212.6
214.4
219.&
r 214.8

158*9
15<>*4
154*0
157.6
t 154.1

58*7
56*6
§7*1
58.8
r 57*8

156.4
151.1
152.3
155.8
151.3
153,6
1*4.4

!
1
1

!

I
!j

Time and Saving! Deposit
DD's<*

|

Other

Total

Nonbank
Thrift
Institutions47

U S Gov't
Demand**/

348*9
351*6
356.1
358*6
358*5
360.7
361*7
360.3
36U.5
361.7
363.0
366*5

8.1
6.6
6.4
6.0
7.6
6.1
5*4
4.0
5.5
3.7
3.4
4.9

65.8
66.1
66*7
71.8
77.2
79.6
82.fi
87.1
88.7
08.8
87.1
90.5

303,6
308.3
312.4
315.^
316.7
310.3
319*2
321.1
321.3
324.6
22 4*6
326.3

91*9
89.2
88.1
65*8
84.1

332.2
337*4
342.6
346.1
350,6

424.1
426*6
430.6
432*0
434.7

85#9
05.1
84*6

346*1
346*2
347.0

432.0
431.4
431.7

3.6
4.9
5.1

348*0

432.0
434.3
435*3
436.4

7.1
3.7
3.9
2.9.

436.2
t 437.2

3*1
t 3.4
5.7

1
|

i
j

369.4
374,3
379*1
387.1
393*9
397.9
402*0
40B.2
410.1
413*3
411*7
416.8

1
|
!
i

371.0
375*4
382*7
389.1
393.8

|

4.0
3.4
3.9
4.2
r 4.2

fcNDING?

1975—APR,

16

23
30
MAY

7

14
21
28
JUNE

4
11 p
1 8 p

222.9
219.!.
214.8

160.1
157.5
154.6

59*0
57.1

69*9
70*2
70.1
70. 1

214.5
215.0
214#4
214.2

154.3
154*1
153*8
153.7

57*4
56.2
57.8
57*5

r70.6
71.7
71,4

r219.0
r 22U.8
22 2 . 6

156.8
157.6
159al

69.5
69.1
68.5

j

60 #0 1

r

59.0
60.3
60 ad

84,6
|

rB4,4
*r84*6

|

8£#9

M9*$
s?350#7
!
35£#£

83.1

353.1

£82*9

t 354.3

n%%

354*7

436.9

LaMBHMBMBl^iMB»MaBaB|

1 / T07AL DEPOSITS INCLUDE;, IN ADDITION TO THE MEMBER AND DOMESTIC NdNMEMSER DEPOSITS' SHDWN. DEPOSITS DUE TO FOREIGN AND
INTfcRNATlONAL INSTITUTIONS AT F.R.BANKS AND Ml TYPL BALAN<Tfe AT A & E N t m AND ^RANCHES OF FOREIGN BANKS*
2/ BASED ON MOST RECENT CALL REPORT SINGLfc-DAY OBSERVATIONS.
3/ INCLUDFS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF fld&fObO DR MORE BY LARGE WEEKLY
REPORTING COMMERCIAL BANKS.
4 / AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS* HViNGS AND LOAN SHARES* AND CREDIT UNION SHARES

5/ U.S.GOVERNMENT DEMAND DEPOSITS AT ALL COMMERCIAL BANKS.
http://fraser.stlouisfed.org/
P ~ PRELIMINARY; R - REVISED
Federal Reserve Bank of St. Louis