Full text of H.6 Money Stock Measures : June 3, 1983
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FEDERAL RESERVE statistical release Fcr Release at 4 15 p.m. Eastern Time Table 1 MONEY STOCK MEASURES AND LIQUID ASSETS JUIB 3 , 1983 3'HJons of dollars M1 sum of currency. travelers checks, demand deposits and other checkable deposits1 Date 1982--APE. SAY JO I E JULX AUG. S2PT. OCT. M2 M3 Seasonally adjusted M1 plus overnight RPs and Eurodollars, M2 plus large time deposits, MMMF term RPs and balances (gen. institution-only pur. and MMMF broker/dealer), balances3 MMDAs, and savings and small time deposits2 449.3 452.4 453.4 454.4 458.3 «63.2 468.7 #74.0 478.2 soy. D£C. 482.1 491. I 497.6 i 16.1—JAM. FSB. JlAfi. APR.. 496.5 1835.2 1850.6 1864.5 1880.9 1903.6 1917.1) 1929., 1 194 5 9 1959.5 5 / 2224.1 2240.7 2260.2 2283.4 2317.8 2333.9 2352.0 2370.2 2377.6 2008.1 2048.2 2067.3 207 2.7 2401.4 2428.1 2444.6 24 53.3 5/ 5/ 5/ 5/ M1 L M3 plus other liquid assets4 sum of currency, travelers checks. demand deposits and oiher checkable deposits1 M2 M3 Not seasonally adjusted M1 plus I overnight RPs 456.3 445.8 450.8 454.3 454.3 461.0 470.6 479.0 491.0 2710.3 2737.6 2767.0 2798.2 2823.6 2840.5 2866.0 2882.4 2896.8 L 489.7 480.6 489.2 504.4 and Eurodollars, M2 plus large time deposits, MMMF term RPs and balances (gen. institution-only pur. and MMMF broker/dealer), balances3 MMDAs, and savings and small time deposits2 1365.4 1883.0 1896.5 1908.7 1928.6 1943.6 1964.5 5/ 2235.3 2237.3 2257.2 2280.8 2308.8 2324.4 2350.4 2369.2 2385.3 2016.4 2039.9 2063.3 2086.4 2413.3 2424.5 2443.3 2465.3 1848.6 1848.7 5/ 5/ 5/ 5/ M3 plus other liquid assets4 2724.8 2737. / 2763.8 2790.0 281 1.3 2825.5 2860.9 2881.3 2904.7 M1 _ For period ended 1983— APIU 6 13 20 27 HAT 4 25 P ! MOTE: 13-week average Seasonally adjusted 4-week average Not seasonally adjusted week average 13-week average 4-week average week average 49K6 492.6 493.5 494.6 497.8 497.6 4 96.8 496.4 499,5 496.2 494.2 495.5 487.2 487.9 489.2 490.7 492-9 497.4 502.8 505.4 510.7 509.6 507.5 493.8 495.5 496.8 498.3 499.5 496.5 499.2 502.9 506.3 500.0 507.0 509.2 508.8 492.2 493.7 495.2 496.6 502.3 500.6 499.3 499.6 498.4 502.8 502.2 494.8 SPECIAL CiUTIOK SHO0LD BE TAKE* I I IMTEBPIBTIMG 1EBK-TO-WBEK CHAIGBS I I HOIST S0PPLI DATA, WHICH ABB HIGHLT VOLATILE AMD S0BJBCT TO B E V I S I O I . P—IBDICATES PfiBLIHIMAiT DATA. POOTVOTBS APPEAR OI THB POLLOlIiG PAGE H.6(508) Table 2 MONEY STOCK MEASURES AND LIQUID ASSETS Percent change at seasonally adjusted annual rates M1 M2 M3 3 SOUTHS FBOH JAN. 1983 TO APB. 1983 11.9 12.9 8.7 6 HOITHS FBOH OCT. 11.9 14.8 8.7 10.S 12.9 10.3 Date 1982 TO APB. 1983 \2 SOUTHS FBOH APB. 1982 TO APB. 1983 THIBTEBH iBEKS ENDING HAY 25, 1983 FBOH THIfiTEEI WEEKS SIDING: 1/ 2/ 3/ V 5/ FEB. 23, 1983 (13 IBEKS PRIT10OS) 13.9 HOY. 2 4 , 1982 (26 WEEKS PBB7I00S) 13.6 HAT. 26, 1982 (52 WEEKS PBEflODS) 11.0 F0OT1OTBS TO TABLB 1 AVERAGES OF DAILY FIGOBBS FOB (1) COBBEICI OOTSIDB THE TBBASUHY, FBDBBAL BBSBBVB BANKS, AMD THE VAULTS OF COHfiBBCIAL BAIKS; (2) TBAfELBBS CHECKS OF IOHBAIK ISSOBBS; (3) DBHAND DEPOSITS AT ALL COHHEBCIAL BANKS OTHEB THAI THOSE DOE TO DOMESTIC BASKS, THE O.S. GOVEBNHEHT, AMD FOREIGN BANKS AMD OFFICIAL INSTITUTIONS LESS CASH ITSHS IV THE PBOCESS OF COLLECTION AND FEDEBAL BESEBTB FLOAT; AND (•) OTHER CHECKABLE DEPOSITS (OCD) CONSISTING OF NEGOTIABLE OBDEB OF WITHDRAilL (NOB) AND AOTOHATIC TBANSFEB SEBVICE (ATS) ACCOUNTS AT DEPOSITORY INSTITUTIONS OTHEB THAI CBBDIT UNIONS, CBBDIT UNION SHARE DBAFT ACCOUNTS, AND DEHAND DEPOSITS AT THRIFT INSTITUTIONS. THE CUBBENCT AND DEHAND DEPOSIT COHPONBNTS EZCLUDB THE ESTIHATED AHOUNT OF VAULT CASH AND DEHAND DEPOSITS, BESPECTI7BLI, HELD BI THRIFT INSTITUTIONS TO SEBYICB THEIB OCD LIABILITIES. INCLUDES 07EBNIGHT (AND CONTINUING CONTRACT) RPS ISSUBD BT ALL COHHBBCIAL BANKS AND EOHODOLLARS ISSUED BT FOBBIGN (PBINCIPALLT CABIBBEAN AND LONDON) BBANCHBS OF U.S. BANKS, HHDAS, SAVINGS AND SHALL DENOMINATION TIHB DEPOSITS (TIHB DEPOSITS—INCLUDING BETAIL B P S — I N AHOUNTS OF LESS THAN $100,000), AND BALANCES IN BOTH TAXABLE AND TAI-BIBHPT GBNBBAL PUBPOSE AND BBOKBB/DEALBB HONE! BASKET HUTUAL FUNDS. EXCLUDES IBA AND KSOG1 BALANCES AT DEPOSITORX INSTITUTIONS AND HONBT HABKET FUNDS. ALSO EXCLUDES ABOUNTS HELD BT U.S. COHHBBCIAL BANKS, HONBT HABKBT FUNDS (GENERAL PUBPOSB AND BBOKBB/DBALBB), FOREIGN GOTBBIHBBTS AND COHHBBCIAL BANKS, AID TIB U.S. GOVERNMENT. H2 NILL DIFFER FBOH THE SUH OF COMPONENTS PRESENTED II SUBSEQUENT TABLES BT A CONSOLIDATION ADJUSTHBIT THAT REPRESENTS THB ESTIMATED AMOUNT OF DBHAND DEPOSITS AID VAULT CASH HELD BT THRIFT INSTITUTIONS TO SBBVICS TIME AND SAVINGS DEPOSITS. INCLUDES LARGE DENOMINATION TIME DEPOSITS AID TERM BPS (II AHOUITS OF $100,000 OB HOBE) ISSUED BX COHHBBCIAL BANKS AND THBIFT INSTITUTIONS, EXCLUDING THOSE HELD BT DBPOSITOBX INSTITUTIONS, THE U.S. GOVEBNHENT, HOHBI HABKBT FUNDS, AID FOBBIGI BAIKS AID OFFICIAL INSTITUTIONS. H3 HILL DIFFEB FBOH THB SUH OF COMPONENTS PRESENTED II SUBSEQUENT TABLES BT A CONSOLIDATION ADJUSTMENT THAT REPRESENTS THE ESTIMATED AHOUIT OF OfBBNIGHT BPS HBLD BT INSTITUTION-ONLY HONEY MARKET HUTUAL FUNDS. OTHEB LIQUID ASS2TS INCLUDE THE IOIBAIK PUBLIC HOLDING OF O.S. SAVINGS BONDS, SHORT-TERM TREASURY SECURITIES, COHHBBCIAL PAPER, BANKERS ACCEPTANCES, AND TBRH EURODOLLARS HBLD BY U.S. RESIDENTS, NET OF HONEY HABKET MUTUAL FUND HOLDINGS OF THESE ASSETS. MONEY MARKET DEPOSIT ACCOUNTS ABB PBSSBNTLX INCLUDED IN BOTH fl2 AID H3; IHBTHER SOME OF TflBSE ACCOUNTS SHOULD ENTBB ONLI AT THB H3 LEVEL IILL BB CONSIDERED AS DATA ON THB CHA1ACTEBISTICS OF THE ACCOUNTS AND THEIB HOLDEBS BECOHE AVAILABLE. H.6 (508) Table 3 COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS Billions of dollars, seasonally adjusted unless otherwise noted Date Currency1 Travelers checks2 Overnight Other RPs5 Demand checkable 4 deposlts3 deposits NSA 1982-APB. BAT JUBB 126.3 127.4 128.2 4.4 4.5 4.5 Overnight Eurodollars6 NSA Money market deposit accounts 7 NSA Savings deposits8 at commercial banks —al— thrift Institutions total Small denomination time deposits 9 "aT aT thrift total commerinstitucial tions banks Money market mutual fund balancesiO general purpose Institution and broker/ only dealer 233.3 233.1 232.3 85.3 87.4 88.4 31.0 32.7 32.8 5.6 7.4 7.5 0.0 0.0 0.0 159.4 159.3 159.5 186.5 187.3 187.8 345.9 346.6 347.2 366.4 370.5 375.0 480.8 482.0 484.3 847.2 852.5 859.3 161.8 164.9 170.1 34.3 35.6 36.6 JULI AUG. SEPT. 12«. 8 129.6 130-5 232.1 232.5 234.0 89.1 91.8 94.3 33.3 34.0 34.1 8.5 8.4 7.4 0.0 0.0 0.0 158.2 158.4 159.6 186.8 188.3 190.4 345.0 346.7 350.0 383.8 388.6 391.4 489.2 491.2 491.8 872.9 879.8 883.2 172.9 182.3 185.1 40.4 47.1 48.2 OCT. BOY. DEC 131.3 131.9 132.8 236.0 237.6 239.8 97.0 100.1 101.3 37.4 36.5 38.5 6.5 6.7 5.8 0.0 .0.0 43.2 162.3 166.2 163.2 195.7 200. 1 195.5 358.0 366.4 358.7 389.9 389.2 383.3 488.1 485.8 476.5 678.0 874.9 859.7 187.6 191.1 182.2 49.3 49.9 47.6 1983-JAB. FEB. BAB. APB. 134.2 135.6 137.0 138.0 239.4 238.7 240.1 238.9 104.5 112.5 116.0 115.0 40.1 41.0 40.6 42.3 7.2 7.8 7.8 8.1 189.1 277,7 320.5 341.2 151.2 144.1 141.9 140.5 181.3 178.1 177.0 178.1 332.5 322.1 319.0 318.7 356.7 337.7 326.8 321.4 441.4 418.4 408.2 405.4 798.1 756.1 735.0 726.8 166.7 159.6 154.0 146.7 46.1 45.2 43.5 41.0 137.3 137.3 137.9 138.5 242.9 239.7 237. 1 236.9 114.6 114.6 114.6 115.4 36.8 44.0 40.7 45.5 7.7 7.3 6.0 8.7 334.9 340.6 342.3 343.4 141.1 140.8 140.5 141.0 323.1 321.5 321.2 320.5 150.7 149.2 146.0 143.4 41.8 41.3 40.6 40.4 138.7 138.9 139.3 139.5 238.8 243.3 244.1 243. I 117.6 120.2 121.2 121.7 45.7 46.0 45.8 49.6 9.3 7.7 8.8 10.1 347.5 352.7 357.1 360.3 N.A. N.A. N.A. N.A. N.A. N.A. N.A. N.A. 141.7 140.7 140.6 140.7 40.5 40.5 40.4 40.4 BBBK 1BDIBC BAT 1/ 2/ 3/ 4/ 5/ 6/ 7/ CUBBBBCT OUTSIDB TBB U.S. THEISORI, F.R. BABKS ABD IA0LTS OP COMMERCIAL BABKS. TBB BSTIBATBD AMOUNT OF fAULT HELD BT TBBIPT IBSTITUTIOBS TG SEBYICB THEIR OCD LIABILITIES. OUTSTABDIBG AMOUNT OP U.S. DOLLAR-DENOMINATED TBAIBLBBS CHECKS OP BOBBABK ISSUERS. DEMAND DBPOSITS AT COMMERCIAL BABKS ABD POBEIGB BELATED IBSTITUTIOBS OTBBB TBAB TBOSB DUB TO DOBBSTIC BANKS, THE U.S. GOYBBBBEBT ABD POBBIGB BABKS ABD OFFICIAL IBSTITUTIOBS LBSS CASB ITEMS IB TBB PBOCBSS OF COLLECTION ABD F.B. FLOAT. EXCLUDES TBB BSTIBATBD ABOUBT OP DBBABD DBPOSITS HELD AT COBBBBCIAL BABKS BT THRIFT IBSTITUTIOBS TO SBBYICB TBBIB OCD LIABILITIES. INCLUDES ATS ABD BOB BALABCBS AT ALL OBPOSITOBT INSTITBTIONS EXCEPT CBBDIT UNIONS, CBEDIT UNION SHARE DRAFT BALABCBS ABD DEMAND DBPdSITS AT THRIFT IBSTITUTIOBS. OTBBB CHECKABLE DBPOSITS SBASOBALLT ADJUSTED EQUALS DBBABD DBPOSITS PLUS OCD SBASOBALLT ADJUSTBD LBSS DBBABD DBPOSITS SBASOBALLT ADJUSTED. BOB ACCOOBTS INCLUDE CELLING FREE -SUPER BOBS," AUTHORIXBD BT THB DBPOSITOBI IBSTITUTIOBS DEBBGULATIOB COMMITTEE TO BE OPFBBBD BEGINNING JABUABT 5, 1983. PRELIMINARY DATA INDICATE THAT BALABCBS IB -SUPER BOBS" 9EUM ABOUT $30.1 BILLIOB IB THE BBBK ENDED BAT 11, ABOUT $30.2 BILLIOB IN THE WEEK BBDBD BAT 18, ABD ABOUT $30.3 BILLIOB IB TBB BBBK BBDBD BAT 25. THESE FIGURES INCLUDE BALABCBS IB "SUPBB BOBS* AT COBBBBCIAL BANKS OP ABOUT $20.9 BILLION IB TBB BBBK BBDBD BAT 11 ABD ABOUT $21.0 BILLIOB IB THE HEEK EBDED BAT 18. FIGURES FOB TBB LATEST BEBK ABB BOT TBT AVAILABLE BT TTPB OF INSTITUTION. IVCLUDBS QYEBBIGHT AND CONTINUING COBTBACT BPS ISSUED BI COBBBBCIAL BABKS TO OTHER THAN DEPOSITORI IBSTITUTIOBS ABD BOBBT BABKET MUTUAL FUNDS (GENERAL POBPOSE ABD BBOKEB/DEALBB). ISSUED BT FOREIGN (PRINCIPALLY CARIBBEAN AND LOBDOB) BBABCBBS OF O.S. BABKS TO U.S. RESIDENTS OTHER THAN DEPOSITOBT IBSTITUTIOBS ABD BOBBT BABKET MUTUAL FUBDS. BOMBI MARKET DEPOSIT ACCOUBTS (MHDAS) 1ERE AUTHORIZED BI THE DBPOSITOBT IBSTITUTIOBS DEBBGULATIOB COMMITTEE TO BE OPFBBBD 8/ 9/ SAVIBGS DBPOSITS EXCLUDE MMDAS. SMALL DENOMINATION TIBE DBPOSITS — INCLUDING BBTAIL BPS — ABB TBOSB ISSUED IB ABOUBTS OF LBSS TBAB $100,000. ALL IBDIWIDUAL RETIREMENT ACCOUBTS (IRA) ABD KBOGB ACCOOBTS AT COMMERCIAL BABKS ABD THRIFTS ABB SUBTRACTED FROM SBALL TIMS DBPOSITS. 10/ NOT SBASOBALLT ADJUSTBD, INCLUDES BALABCBS IB BOTH TAXABLB ABD TAI-BXEBPT FUNDS. ALL INDIVIDUAL RETIREMENT ACCOUBTS AMD KBOGH ACCOUNTS AT HOMEY FUNDS ABE EXCLUDED. N.A. Not Available H.6 (508) Table 3—continued COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS Jimons OT dollars, seasonally aa ustea uniess ot lerwise noted Large denomination time deposits1 at commercial at thrift Date banks2 total institutions at commercial banks NSA Term RPs3 at thrift institutions NSA Term 4 Eurodollars total NSA NSA Savings bonds Short-term Treasury securities^ Banker^. acceptances^ Commercial paper? JOIE 262.8 263.2 267.4 58.4 58.9 60.0 321.2 322.1 327.4 27.2 25.6 24.6 11.0 11.3 11.7 38.1 37.0 36.3 77.9 83.8 84.7 67.7 67.7 67.7 190.7 192. 1 197.2 40.2 41.3 41.6 109.7 112. 1 115.7 JOLT AOG. SEPT. 271.7 273.6 273.6 60.4 61.3 62.5 332.1 334.9 336.1 22.7 25.4 24.6 11.8 11.6 11.8 34.5 37.0 36.4 83.7 80.9 80.6 67.6 67,5 67.5 202.9 204.1 203.6 42.0 41.3 41.4 118.7 112.0 113.7 OCT. NOV. DBC. 275.3 273.7 267.0 64.3 66.8 66.7 339.6 340.4 333.8 26.0 27.8 28.2 11.7 11.6 12.1 37.7 39.4 40.3 81.1 79.5 80.1 67.6 67.8 67.9 210.3 214.5 217.6 42.8 43.1 44.9 112.3 107.3 108.8 1983-JAN. FBBBAB. API. 247.6 235.2 231.7 231.6 63.1 62.7 64.6 69.3 310.7 297.9 296.3 300.8 27.9 28.6 29.4 30.7 12.6 12.2 12.3 12.4 40.6 40.8 41.7 43.1 1982-APR. HAT NBBK ENDING: 1983-APB. 6 13 20 27 HAT 4 11 18 P 25 P 232.1 231.4 231*6 230.7 33.7 27.7 31.0 30.6 230.0 228.8 227.4 223.9 31.2 32.2 33.4 33.2 1/ LARGE DENOHINATIOH TIBE DEPOSITS AXE THOSE ISSUED IN AHOOITS OF $100,000 OK HORE, EXCLUDIIG THOSE BOOKED AT INTERNATIONAL 2/ 3/ 4/ LARGB'DBHOHINATIOH TIME DEPOSITS AT COHHBRCIAL BABKS LESS LABGE TIRE HELD BI HOBET «ARKET HUTUAL FOBDS AffD THRIFT INSTITUTIONS. TEHfl BPS ABfi THOSE BITH ORIGINAL HATOHITT GBEATEB THAH ORE DAT, EZCLODIHG COBTIBDIBG CONTRACTS AND RETAIL RPS. TERfl EURODOLLARS ABE THOSE WITH ORIGINAL HATURITT GREATBR THAN ONE DAT EXCLUDING THOSB HELD BT DEPOSITORY INSTITUTIONS AND BONET BABKBT HOTOAL FOBDS. INCLUDES U.S. TBBASURT BILLS AND COUPONS BITH RBBAIBIBG HAT4JBITT OF LESS THAN 18 HONTHS HELD BT OTHEB THAN DEPOSITOBT INSTITUTIONS, F.H. BANKS, AND HONEI (IABKET BOTDAL FUBDS. NET OF BANKERS ACCEPTANCES HELD BT ACCEPTING BANKS, F.B. BANKS, FOBBIGB OFFICIAL INSTITUTIONS, THE FBDBRAL HOBB LOAN BANK STSTBH, AND BONBT BASKET MUTUAL FUNDS. TOTAL COBflSBCIAL PAPER LESS COHHEBCIAL PAPEB HELD BT BONET HARKET HUTUAL FUNDS. 5/ 6/ 7/ lable 3A COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS Billions of dollars, not seasonally adjusted Other checkable deposits Demand deposits Date 1 Currency Travelers checks2 at member banks3 at domestic non member banks4 at foreignrelated banking offices in the U.S.5 total 6 at commercial banks 7 at thrift institutions8 total Overnight RPs9 Overnight i Eurodollars 125.7 127.2 128.3 1.2 1.3 ».7 152.7 147.7 149.2 80.3 77.5 78.1 4.3 4.0 3.7 236.9 228.8 230.7 71.4 67.9 69.2 18.1 17.5 18.0 89.5 85.4 87.2 31.0 32-7 32.8 5.8 7.4 7.5 JULY AUG. SEPT. 129.8 130.1 130.2 1.9 1.9 11.7 151.0 150.1 152.5 77.4 76.2 77.0 3.7 3.7 3.9 231.7 229.6 232.9 69.3 70.7 73.4 18.5 19.1 19.9 87.9 89.8 93.3 33.3 34.0 34.1 8.5 8.4 7.4 OCT. NOW. DEC. 131.3 132.7 135.2 1.4 1.2 (1.0 155.7 158.0 163.3 78.3 79.3 81.0 4.0 3.9 3.9 237.6 240.6 247.7 76.1 79.2 81.0 21.2 22.3 23.1 97.3 101.5 104.0 37.4 38.5 38.5 6.5 6.7 5.8 1983-JAN. FEB. MAR. APB. 133.2 133.7 135.4 137.4 1.9 1. 1 1.3 1.4 161.9 153.4 155.4 160.1 80.1 76.2 76.5 79.0 3.7 3.6 3.7 3.8 245.1 232.8 235.2 242.4 82.4 83.6 86.7 90.7 25.1 26.4 27.7 29.5 107.5 110.0 114.3 120.3 40.1 41.0 40.8 42.3 7.2 7.8 7.8 8.1 1982-APB. HAY JUMB BEBK BBDING: 1982-APB. HAT 1/ 2/ 3/ 4/ 5/ 6/ 7/ 8/ 9/ 10/ 6 13 20 27 137.7 137.8 137.1 136.4 165.1 162.3 160.1 155.6 80.2 80.0 80.0 76.6 3.7 3.7 3.6 3.8 248.5 245.5 243.3 235.5 90.6 92.1 93.0 88.7 29.5 29.9 29.9 28.8 120.1 122.0 122.8 117.5 36.8 44.0 40.7 45.5 7.7 7.3 8.0 8.7 4 11 18 P 25 P 137.8 139.6 139.0 138.3 156.9 157.8 159.1 155.7 78.3 78.7 78.0 75.9 4.1 3.6 3.8 3.6 238.8 239.6 240.5 234.8 87.9 89.3 88.8 88.1 29.5 29.8 29.5 29.1 117.5 119.2 118.3 117.2 45.7 46.0 45.8 49.6 9.3 7.7 8.8 10.1 C0BBBICT OUTSIDE THE U.S. THBASUBY, F. B. BANKS AMD THE fAOLTS OF COMMERCIAL BAIKS. EXPLODES THE ESTIMATED ABOONT OF TAULT CASH HELD BT THRIFT INSTITUTIONS TO SEBflCB THEIR OCD LIABILITIES. OUTSTANDING AH00NT OF 0.S. DOLLAR-DENOMINATED TRAfBLBRS CHECKS OF NOBBAIK ISSUEBS. DBHAND DEPOSITS OTHBB THAN TBOSE DOB TO OOHBSTIC BANKS, THE U.S. GOTEHIBENT AND F0BBI6N BANKS AND OFFICIAL INSTITUTIONS LESS CASH ITEHS IN THE PROCESS OF COLLECTION AND F.B. FLOAT AT HBHBBB BANKS OF THE FEDERAL BBSEBTE SYSTEM. DEBAND DEPOSITS OTHBB THAN THOSE DUB TO DOBESTIC BANKS, THE U.S. GOTEBNBBNT AND FOREIGN BASKS AND OFFICIAL INSTITUTIONS LESS •CASH ITEHS IN THB PROCESS OF COLLECTION AT NONHBHBER BANKS. DEPOSITS AS DESCRIBED IN FOOTNOTE 4 AT AGENCIES AND BRANCHES OF FOBBIGN BANKS, EDGE ACT CORPORATIONS AND FOREIGN IHTBSTHEHT COMPANIES. BQUALS SUB OF THREE PRBTIOUS COMPONENTS LESS THE ESTIMATED AMOUNT OF DBHAND DEPOSITS HELD AT COMMERCIAL BANKS BT THRIFT INSTITUTIONS TO SEBflCB THEIR OCD LIABILITIES. NOH AND ATS BALANCES AT COMMERCIAL BANKS, BRANCHES AND AGENCIES OF FOREIGN BANKS, AND EDGE ACT CORPORATIONS. NOH AND ATS BALANCES AT SAflNGS AND LOAN ASSOCIATIONS AND MUTUAL SATINGS BANKS, CRBDIT UNION SHARE DRAFT BALANCES, AND DEMAND DEPOSITS AT THRIFTS. INCLUDES OIBBNIGHT AND CONTINUING CONTRACT BPS ISSUED BT COMMERCIAL BANKS TO OTHER THAN DEPOSITORY INSTITUTIONS AND MONEY MABKET HOT0AL FUNDS (GENERAL PURPOSE AND BROKEB/DBALBR)• ISSUED BT FOREIGN (PRINCIPALLY CARIBBEAN AND LONDON) BRANCHES OF U.S. BANKS TO U.S. RESIDENTS OTHBR THAN DEPOSITORY INSTITUTIONS AND MONEY MARKET MUTUAL FUNDS (GENERAL PURPOSE AND BROKER/DEALER). H.6<508) Table 3A—continued COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS 6 Billions of dollars, not seasonally adjusted Savings deposits1 Money market deposi t accounts at commercial banks at at mutual at credit savings banks unions 96.0 95.7 95.8 47.1 46.8 46.9 44.8 45.3 45.9 348.5 347.9 348.6 368.0 372.7 376.9 370.6 370.0 370.8 94.6 95.0 95.3 17.9 18.2 18.4 851.1 855.9 861.4 159.9 159.3 159.7 95.6 94.9 95.3 46.9 46.6 16.8 46.2 45.9 46.4 348.6 346.8 348.2 383.0 387.4 389.7 374.0 374.5 374.9 95.9 95.8 95.5 18.8 18.9 19.0 871.6 876.6 879.0 0.0 0.0 43.2 863.0 165.0 161.6 98.2 99.5 96.2 47.7 48.3 47.3 48.8 50.5 51. 1 357.8 363.4 356.2 388.3 387.1 380.3 374.5 373.7 366.0 94.2 92.9 90.6 18.2 17.8 17.5 875.3 871.6 854. 5 0.9 1.6 2.0 2.2 189.1 277.7 320.5 341.2 149.8 142.9 141.7 141.7 86.6 83.4 81.5 81.8 44.0 42.1 41.7 41.5 51.7 52.6 54.6 56.5 332.1 321.0 319.5 321.5 356.3 339.3 329.1 322.6 341.4 323.5 315.4 313.8 84.7 80.3 78.4 77.3 16.9 16.3 16.0 16.0 799.3 759.5 738.9 729.7 30.9 31.7 32.0 32.4 2.1 2.2 2.2 2.2 334.9 340.6 342.3 343.4 142.8 142.6 141.1 141.1 32.1 32.6 33.1 33.3 2.2 2.2 2.2 2.2 347.5 352.7 357.1 360.3 N.A N.A. N.A. N.A. at savings and loans mutual savings banks 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 OCT. SGVDEC. 0.0 0.0 26.5 0.0 0.0 12.7 1983-JAB. FEB. BAR. APR. 114.2 163-3 185.8 198.0 6 13 20 27 4 11 18 P 25 P Date 1982-APR. BAI JO SB JULI &0G. SEPT. Small denomination time deposits2 at at at at savings commermutual credit and cial savings unions loans banks banks at credit unions at at commercial banks savings and loans 0.0 0.0 0.0 160.5 160.1 160.1 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 3.8 0.0 0.0 0.3 57.9 88.6 103.7 109.3 16.0 24.3 28.9 31.8 194.2 197.6 198.8 199.3 107.8 109.2 109.3 109.6 201.4 204.8 207.8 210.0 111.9 113.0 114. 1 114.8 total total HBBK EMDIIG 1983 A PH. BAT 324.5 322.8 322.5 321-8 N.A. N.A. N.A. N.A. SBALLGDBIIOBIMATIOI TIHB DEPOSITS — HCLDDIMG RETAIL I P S — ARE THOSE ISSUED I I AHOOMTS OF LESS THAM $ 1 0 0 , 0 0 0 . ALL IBDIflDOAL RBTIRBflEIT ACCOUNTS (IRA) AHD KEOGH ACCO0ITS AT COHHERCIAL BAHKS AID THRIFTS ARE SUBTRACTED FROH SHALL TIHB DEPOSITS. N.A. Not Available 2/ total H.6 (508) Table 3A—continued COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS Billions of dollars, not seasonally adjusted Date Large denomination time deposits1 at at mutual at savings commercial savings total 3 banks2 and loans banks Term RPs4 at commercial banks at thrift institutions total Term Eurodollars5 Savings bonds Short-term Treasury securities6 Bankers acceptances 7 Commercial paper 260.8 261.7 263.8 51.6 52.5 53.2 6.1 6.0 6.0 319.0 320.6 323.5 27.2 25.6 24.6 11.0 11.3 11.7 38.1 37.0 36.3 77.9 83.8 84.7 67.4 67.4 67.4 194.4 195.6 197.0 39.8 40.9 41.4 110.0 112.8 116.1 JOLT ADC. SEPT. 267.5 271.9 272.7 53.4 54.3 55.1 6.0 6.2 6.5 327.4 332.9 334.9 22.7 25.4 24.6 11.8 11.6 11.8 34.5 37.0 36.4 83.7 80.9 80.6 67.4 67.5 67.5 198.7 199.1 199.2 41.3 40.9 41.8 118.0 114.7 112.0 OCT. 57.0 59.1 59.5 6.6 6.6 6.4 339.1 340.8 336.5 26.0 27.8 28.2 11.7 11.6 12.1 37.7 39.4 40.3 81.1 79.5 80.1 67.7 68.0 68.2 206.8 212.5 216.8 43.4 43.9 DEC. 275.0 27*.6 270.0 111.5 108.2 109.2 1983-JAI. FEB. BAB. APB. 250.4 238.7 233.5 229.6 57.7 58.0 59.6 63.0 5.6 5.4 5.4 5.5 314.2 302.6 299.0 298.6 27.9 28.6 29.4 30-7 12.6 12.2 12.3 12.4 40.6 40.8 41.7 43.1 1982-APR. HAT JOMB •Of. 45. 1 WBBI BBDIIC: 1983-APB. •AT 1/ 2/ 3/ 4/ 5/ 6/ 7/ 8/ 6 13 20 27 232. 1 230.2 228.6 229.1 33.7 27.7 31.0 30.6 4 11 18 P 25 P 226.9 226.7 225.7 223.7 31.2 32.2 33.4 33.2 LABGB DBIOBIIATIOI TIBB DEPOSITS ABB THOSE ISSUED IH AHOOBTS OP $ 1 0 0 , 0 0 0 OB HORE, BICLODIBG THOSE BOOKED AT IRTBRIATIOIAL BAIKIIG FACILITIES ( I B P S ) . LABGB DBHOBIIATIO* TIBB DEPOSITS AT COflBBBCIAL BABKS LBSS LABGB TIBB HELD BT BOIBT J1ABKBT BDTOAL FUBDS ABD THBIPT IISTIT0TIOIS. TOTAL LABGB DBBOBIIATIOI TIBB DEPOSITS BZCBBDS SOB OP TBBBB PBBVIOOS COL0BBS BT SUCH DEPOSITS AT CBBDIT OHIO MS. TBBB BPS ABB TBOSB flITH OBIGIIAL BATORITI GBBATBB TBAI OBB DAT, BXCLODIBG COBTIBUIIG COITRACTS AID BETAIL RPS. TBBN EURODOLLARS ABB THOSE BITH ORIGINAL BATURITT GBEATEB THAB OMB DAT EXCLODIBG THOSE HELD BT DEPOSITOBT I I S T I T 0 T I O I S AID BOHEl BABKBT BOTOAL FOIDS. IICLODBS U . S . TBBASORI BILLS AID COOPOBS IITH BBBAIIIBG BATOBITI OF LBSS THAI 18 flOBTHS HBLD BT OTHEB THAI DEPOSITOBT I N S T I TUTIONS, F . B . BAIKS, AID BOIBT BABKBT BOTOAL FOIDS. BET OF BAIKBBS ACCBPTAICBS HELD BT ACCEPTING BAIKS, F . B . BAIKS, FOBBIGI OFFICIAL I I S T I T U T I O I S , THE FEDERAL HOHE LOAI BANK STSTBfl, AID HOIBT BABKBT BOTOAL FOIDS. TOTAL COflfiEBCIAL PAPEB LBSS COflBBRCIAL PAPEB HELD BT HOIBT BARKET BOTOAL FOIDS. H.6 (508) Table 4 MEMORANDA ITEMS Billions of dollars, not seasonally adjusted Demand deposits at banks due to Date foreign commercial banks foreign official Institutions Time and savings deposits duo to fordion commerical banks and foreign official institutions VWlllMlwl IWWI U.S. government deposits demand deposits at commercial banks balances at Federal Reserve Banks IRA and Keogh Accounts note balances total demand time and savings at commercial deposits and deposits at banks and thrift note and commercial institutions FR balances banks commerical banks thrift institutions money market mutual funds total 1982-APfi. BAT. JUNE 8.8 9.4 9.4 2.0 2.1 2.4 8.4 9.1 9.6 3.6 2.6 3.2 4.5 4.5 3.3 10.1 12.7 7.5 18.2 19.8 14.0 0.9 0.9 1.0 12.6 14.0 14.7 22.5 23.3 23.8 3.4 3.7 3.9 38.5 41.0 42.5 JOLT AUG. SEPT. 9.6 8.6 8.4 2.5 2.3 2.0 9.9 9.7 9.4 2.5 2.3 3.3 3.3 3.3 3.8 5.7 5.8 9.0 11.6 11.4 16.1 0.9 1.0 1. 1 15.2 15.6 16.0 24.5 25.1 25.8 l 1.1 1.2 I1.3 43.8 44.9 46.2 OCT. HO?. DEC. 8.4 8.4 8.6 2.2 1.9 2.1 9.2 9.2 9.0 2.5 2.6 2.9 3.2 3.1 3.2 13.8 5.3 7.9 19.5 10.9 14.0 1.1 1.1 1.1 16.6 17.2 17.9 26.6 27. 1 27.7 I1.4 i1.5 1 47.6 48. 8 50.1 1983-JAB. FEB. BAB. APfi. 7.8 7.9 8.1 7.9 2.1 2.0 1.9 2.0 8.7 8.3 8.1 7.9 2.8 2.8 2.7 3.9 3.3 3.2 3.3 3.8 13.5 7.4 10.4 10.3 19.6 13.4 16.5 18.0 1.0 0.9 1.0 1.1 19.3 20.7 22.8 26.3 28.8 29.7 31.3 33.6 11.7 11.8 52.8 55.2 59.0 65. 2 e 8.0 8.0 7.6 7.8 1.9 2.0 2.0 2.1 7.9 8.0 7.8 7.8 2.9 2.2 6.6 4.0 3.9 3.0 3.3 4.2 6.6 5.3 10.0 15.3 13.4 10.6 19.8 23.5 1.0 1.1 1.1 1.1 8.0 8.0 7.7 7.9 2.0 2.0 2.0 1.9 7.8 7.8 7.7 7.7 3.6 2.3 2.8 2.2 5.9 3.8 3.1 3.0 17.9 15.0 10.8 5.6 27.3 21.1 16.7 10.7 1.0 0.8 0.8 0.8 ISBK BBOIBG: 1983 APB. 6 13 20 27 BAT 4 11 18 P 25 P E*Estimated