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J*3

For immediate release
June 29i 1964
DEMAND DEPOSITS, CURRENCY, AND RELATED ITEMS
(Revised series)

Seasonally adjusted money supply is estimated at S155*2 billion in
the ^irst half of June,.$700 million higher than in the' month of May! " Tim^
deposits adjusted increased in the same period to a level $1.0 billion higher
than Ithe average in May.
MONEY SDPPlY AND TIME DEPOSITS
Averages of daily figures, in billions of dollars
Seasonally adjusted
I

Money Supply

Period

Time deposits
adjusted
Demand deposit (All commercomponent
I c i a l banks)

Total

Currency
component

1963— April
May
June
July
August
September
October
November
December

149.2
149.6'
150.2
151.0
151V2
151.6
152.3
153-5
153J.2

31.2
31.3
31.5,
31.6
31.8
31.9
32.0
32.3
32.4

118.1
118.3
118.6
119.4
119.5
119.7
120.3
121.2
120.7

1964--January
February
March
April
May

153.8
153.8
154.2
154.7 V
154.5

32.6
32.7
32.9 33.0
33.3

121.2
121.1
121.3
121.7
121.3

113.9
115.1
115-7
116.4
117.4

Semi-monthly:
1964~Apr. ( 1 )
(2)
Msv (1)
(2)
June (1) p

154.6
154.8
154.4
154.6
155.2

121.7
121.7
121.3
121.3
121.7

116.2
116.6
117.0
117.7
118.4

j

!

32.9
33.1
33.2
33.4
33.5

|

1

|

102.8
103.6
104.6
105.6
107.1
108.1
109.3
111.1
112.3

p - Preliminary*
NOTE—Components may not add to totals due to rounding* See reverse side
for data without seasonal adjustment and for description of series•
Data shown in this release reflect adjustments to new benchmarks and
revision of seasonal factors. Back data and a description of the revision are
available in the June 196*f Federal Reserve Bulletin»



DEMAND -DEPOSITS, CURRENCY. AND RELATED! ITEMS
(Averages of daily figures, in billions of dollars. Not seasonally adjusted)
"
"

Period

j R e l a t e d deposits
Money Supply
( A l l_ commercial banks)
_
I Demand d e p o s i t
|U. S . Govt.
jCurrency
component
component ,
adjusted
demand

TStal

I

30.9

1963— April
Hay •
June
July
August
September
October
November
December

149-8
14?.5
148.3
149.5
149.2
150.6
152.5
15^.8
157.2

1964—Jaituary
February
March
April
May

157.8
153.8
152.9
155.3
152, 4

Semi-monthly;
1964--Apr. ( 1 )
(2)
May ( 1 )
(2)
June ( 1 ) p

154.5
156.0
153.8
151.2
153.8

weeK ending:
1963—May
1
8
15
22
29
June

5
12
19
26

June

!

148.5

I

146.1
146.4

30.6
31.231.1
31.1
30.9

I
|
1

4.2
4.8
6.1
4.2
6.9

116.5
116.9
117.7
118.5
119.i

5-7
2.8
6.1
7-6
6.3

103.j+
103^7
104. jl
104 j .4
104.7

j
j
j

4.7
6.7
6.3
8.2
7.6

119.2
117.1
117.4
115.0
115.5

,

:

|
I

147.5
148.9
149.4
147.1

31.3
31.5
31.4
-31 i 2

116.2
117.3
118.0
115.9

104.9
105.1
105.2
105.3

|

6.8
4.7
5.9
10.5

3

148.1

31.6

116,6

105.8

i

10.9

6
13
20
2?

15?t.4
153.5
151.5
150.6

32.9
33.1
33.0
32.8

121.5
12014
1118^6
11718

117.4
117.§
118.1
118.5

5.6
6.1
7.6
7.7

3
10
17 P

152.5
153.2
155.3

33.1
33.5
33.4

119.3
119i7
121.9

118.9
118.8
118.9

7.2

July
1964—May

149.8
148.3

113.2
114.6
115.7
116.7
118.1

121.7
123.4
120.8
118.2
120.4

32*8
32.6
33.0
33.0
33.4

[

4.2
7.1
7.5
7.8
6.3
6.6
5.3
4.4
5*2

125.4
121.5
120.3
122.6
119.4

32,4
3,2.3
32.6
32.7
33.0

31.0
31.4
31.8
31.9
31.9'
32.1
32.6
33.1 -

1 0 3 . jl.
104.3
105.2
106.2
107.5
108.3
109.5
110.2
111.0

118.9
116.5
116.9
117.7
117.3
118.6
120.4
122.1
124.1

1

6.I2
6.3

p - Preliminary.
-Money supply consists of ( U demand deposits at ali| commercial banks, other
than jthose due ! o domestic commercial banks and the![ U, S. Government, less
t
cash' items in pjrocess of coaiection and Federal Be^ferve float; (2) foreign
demand balances! at Federal Reserve Banks;; and (3) Currency outside the
Treasury, the federal Reserve, and the vaults of ail commercial banks.
 Time deposits adjusted are time deposits at all'commercial banks other
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than those duejto domestic commercial banks and the! U. S. Government/
Federal Reserve Bank of St. Louis