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*"°

For immediate release
March 13, 1969.

The Seasonally adjusted money supply averaged $193.8 billion in the
week ending March 5, the «ame as the average level for February. Time and savings
deposits declined $200 million further in the latest week tc a level about $300
million below the February average*

MONEY SUPPLY AMD TIME DEPOSITS
(Averages o f daily figures, i$ billions of dollars)
Seasonally adjusted

Money Supply
Period

1967—December

181-3

1968--January
February
March
April
May
June
July
August
September
October
November
December

182.3
182-7
183.4
184.3
186.1
187.4
189.4
190.3
189.5
190.2
191.9
193.1

j
!
1
l

1969--January
February p
Week ending:
1969--February

5
12
19
26 p

March
5 p
Average of last 4 weeks •
p - Preliminary.




Currency
component

Total

Time deposits
adjusted
(All commercial
banks)

Demand deposit
component

40.4

140.9

40.6
40.7
41.1
41.4
-41.6
42.0
142.6
42.7
42.8
43.2
43.4

141.7
141.9
142.2
143.0
144.5
145.4
147.2
147.6
.146.7
147.4
148.7
149.6

193.6
193.8

. 43.6
43.9

150.1
149.9

202.5
201.0

192.8
192.9
r 194.8
194.4

43.7
43.9
44.0
43.8

149.1
149.0
150.9
150.6

201.0
201.0
201.0
200.9

43.8
43.9

150.0
150.1

193.8

1
j

142.2

•

194.0
r - Revised.

r

j

183.5
184.1
185.2
186.7
187.1
187.6
188.2
190.4
193.8
196.6
199'. 5
201.9
204.3

I

200.7
200.9

DEMAND DEPOSITS, CURRENCY, AND RELATED ITEMS
(Averages of dally figures, in billions of dollars.

Not seasonally adjusted.)

Money Supply
Period

l
Total

Currency
component

Demand deposit
component

Related deposits
(All commercial banks)
Time
U.S. Gov't,
adjusted
demand

1967—Deceinber

187.1

41.2

145.9

182.0

!

5.0

1968*-January
February
March
April

187.6.
181.4
182.0
185.6
182.5
185.6
187.2
^.86.9
188.6
190.6
193.4

147.1
141-.1
141.2
144.5
141.1
143.6
144.8
144.2
145.8
147.7
149. 7
154.9

183.7
185.8
187.7
187.9
188.4
188.6
190.8
194.4
196.2
199.1
200.7
202.5

i

199.2

40.5
40.3
40.7
41.1
41.3
41.9
42.4
42.7
42.7
42.9
43.7
44.3

5.0
7.2
6.6
4.2
6.4
5.4
5.7
5.5
5.9
6.1
4.2
4.8

199.4
192.5

43.5
43.4

155.9
r 149.0

202.1
201.6

4.7
6.6

43.4

26 p

; 195.2
193.0
r192.3
r 190.1

43.2

151.9
149.4
148.9
147.0

201.4
201.6
201.6
201.7

7.3
7.0
6.5
6.4

5 p

192.5

43.6

148.9

201.7

5.0

,
,
!

May
June
Ju 1 v
August
September
October
November
December

,
:

1 969--January
February p

W e e k ending:
1969--February

5

12
19
March

43". 6
43.5

p - Preliminary.
r - Revised.
NOTE: Money supply consists of (1) demand deposits at all commercial banks, other than
those due to domestic commercial banks and the U.S. Government, less cash items
in process of collection and Federal Reserve float; (2) foreign detaand balances at
Federal Reserve Banks; and (3) currency outside the Treasury, the Federal Reserve
and the vaults of all commercial banks. Time deposits adjusted are time deposits
at all commercial banks other than those due to domestic commercial banks and the
U.S. Government.