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FEDERAL

RESERVE

statistical

release

Table l

MONEY STOCK MEASURES

H6

For Immediate Release
March 14, 1974

»* 8* LIONS OF DOLLARS

• H H n p M H M I ^ ^ ^ ^

M2
W*
M3 * ~
1
»1 "1
*1
M1 plus time deposits! Ma plus deposits
M| plus time deposits M2 plus deposits
Currency plus 1
1
Currency plus
at commercial banks
at commercial banks
at nonbank
demand
deposits ' i other than large
a\ tiunualrn
3
other than large
demand deposits^
thrift institutions '
CD's**
thrift institutions^
CP't*'
1
Seasonally Adjusted
]
Not Seasonally Adjusted "
532.3
I
836.7
255.2
257.9
1
I
529.8
833.6
258.1
534.6
841.7
255.5
534.0
1
841.5
259.4
538.3
847.7
260.9
542.3
852.6
543.6
855.0
257.9
262.4
541.7
853.6
863.5
263.6
265.5
549.4
548.8
864.0
552.0
867.9
265.7
266.4
1
551.0
868.0
266.2
554.9
870.9
262.9
551.1
867.0
265,4
556.6
873.2
263.9
554.2
870.4
266.5
561.6
879.8
266.0
559.9
877.5
268.8
566.7
886.9270.5
565.1
884.0
270.4
570.7
893.2
278.1
!
575.8
897.5
[• uii IILJ H M W 1

Date

1973—February

March
April
May
June
July
September
October
November
December
1974—January
February p
Week ending
1974--February

March

6
13
20
27 p
6 p

269.6
272.6

573.7
580.1

270.9
271.8
r 274.6
272.2

577.3
r 579.1
r 582.6
r 581.0

275.9

584.7

r 898.3
906.8

I

276.8
269.7

j
1

j
j

579.7
577.5

270.6
269.8
r 270.9
267.1

576.4
r 577.1
579.2
r 576.6

272.9

583.0

i . i J n r . . i i munmtmm,,

MMI

904.6
904.7

1
includes

(1) demaind deposits at alt commercief banks other than those due to domestic commercial banks and the u S Government lea & cash Items in the process ot collect on and F R float
(2) foreign demand balances at F R Banks and
(3) currency outside the Treasury F R Banks and vaults of a l l commercial banks
V Includes in addtt on to currency and demand deposits sav ngs deposits time deposits open account and time certificates of deposits other than
negotiable time cert t cates of deposit issued n denominations of $100 000 or more by large weekly reporting commercial banks
P " P r e l tmlnary

includes Mg plus the average of the beg nn ng and end of month deposits of mutual savings banks and savings and loan shares
r Revised



FEDERAL RESERVE Statistical Release H 6
Tiblf 2

MONEY STOCK MEASURES
PER CENT CHANGE AT SEASONALLY AOJUSTED ANNUAL RATES

|

HI
Currency plus
demand deposits^

Period

|

'' '

M3
M2 plus deposits
at nonbank
thrift institutions'^

mn

M i plus time deposits
at commercial banks
other than large
C0S2/

February from
November 1973
August 1973
February 1973

(3 months previous)
(6 months previous)
(12 months previous)

Four weeks ending March 6,
from four weeks ending

9.5
9.1
9.0

6.5
5.6
5.9

10,2
9.5
9,1

9.0
8.2
8.4

1974

December 5, 1973 (13 weeks previoi Is)
September 5, 1973 (26 weeks previoi
March 7, 1973 (52 weeks previous)

n

w^—wm

1/

5.7
4.8
5.7

mimmmmmmmmmmmmmm

i

b——MMWmmmmmtmm—

inc ludes (1) demand di posns at all commercial banks other than those due to domestic commercial banks and the U S government less cash items fn the
process of collection and F R float
{2} lore gn demand balances at F R Banks and
(3) currency outside the Treasury F R Banks and vaults of all commercial banks
includes n add won to currency and demand deposits savings deposits time deposits open account and time certificates of deposits other than
negotiable ttme certiftcates of deposit issued in denominations of $lO0J$OOor more by large weekly reportifttf commercfaI banks
y inc tudes Mj plus ihc avenge of the beginning and er\4 of month deposits of mutual savings banks and savings and loan shares
Note All rates of change are based on daily average data rates of change are not compounded

a/




i

i

mi

FEDERAL RESERVE Statistical Reltatt H S
T«bU 3

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS

^'^^^^^^j^SnmmmrStfMM^^^^^^^^
Other

60,4
60.9
61.6

200.4
200.1
200.8
203.4
206,2
207.0
206.4
205,2
206.1
207,9
208.8

CD's^
49,1
54,6
58.4
61,3
62,0
63.9
66.3
66.7
63.8
62.0
62.8

274.4
276,6
278.9
281.3
283.8
285.6
288.7
291,2
295.1
297.8
300.3

323.5
331.1
337.3
342,6
345.8
349.4
355,0
357.9
358.9
359,9
363.1

Nonbank
thrift institutions ^
304.4
307,0
309.4
311.4
314.2
315.y
315.9
316.6
318.3
320.2
322.5

61.8
62.6

207.8
210.0

65.5
66.6

304.1
307.5

369.6
374.1

t 324.7
326.7

27 p

62.4
62.6
62.7
62.5

208,5
r 209.3
t 211,9
209.7

t 66.8
67.0
66,4
r 66,2

306.4
307.2
308,0
r 308.8

373.2
374.2
374.4
375.0

6 p

63.0

212,8

308.8

374.8

Date

Currency

1973—February
March
April

July
August

57.5
58.0
58,6
58.9
59.4
59.5
59.8

September

60,2

October
Noveuaber
December

May
June

1974—January
February p
Week ending
1974—February

|

6

13
20
March

&
£/

Demand deposit!

ii

!

66,0

i

include negot able time ceMHtcates of deposit issued in denominations Of $100 000 or mOrt by targe weekly reporting commere a I banks
Average 01 beg nn ng and eno of month deposits at mutuat savings banks and savings and loans shares




Total

p - Preliminary
r - Revised

FEDERAL RESERVE Statistical Release H 6
Table 4

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
NOT SEASONALLY ADJUSTED IN BILLIONS OF DOLLARS

Dem and deposits

Currency

Date

1/

Total

Member

198.4
198.1
202.6
199.2
204.1
205.7
202.9
203.8
205.6 i
'209.1 1
215.5

J

TJrne and savings de posit

nonmember -'

CO s V

146.2
145.6
148.9
145.8
149.1
149.7
147.8
148.2
149.7
151.8
156.9

49.8
50.1
51.6
51.1
52.4
53.3
52.7
53.3
53.7
54.9
56.2

!
|
1
!

48.6
54.0
56.1
58.8
59.3
62.3
68.4
68.8
66.3

I

64.1

215.3
207.9

156.3
151.0

Other
—

5678

1973—February
March
April
May
June
July
August
September
October
November
December

57.4
58.3
58.7
59.4
59.9
60.0
60.1
60.4
61.4
62.6

1974~-January
February

P

61,5
61.8

6
13 |
20 |
27p |

61.7
62.1
62.0
61.3

208.9
207.7
209.0
205.8

6p

62.4

210.4

Week ending
1974—February

March

j

i
!
!
j
i
|
l

j

|

Total

Nonbank
thrift
institutions- |

US Govt
demand 6.'

—

64.1

294.6
297.7

323.3
332.6
337.6
342.6
344.5
347.6
356.6
359.2
360.2
358.7
361.8

56.6
54.5

66.1
65.9

302.9
307.9

368.9
373.8

152.0
150*7
152.0
149.6

54.6
54.8
54.7
54.0

66.2
66.2
65.7
65.8

r 305.9
r 307.3
r 308.3

372.1

153.3

54.8

65.9

i
|

I

278.5
281.4
283.8
285.2
285.3
288.2
290.3
293.9

1

j

1

303.8
307,4
310.3
312.0
315.3
317.0 j
315.9 i
316.1 1
317.6
318.9
321.7
325.0
327.2

9.9
10.4
8.3
8.7
7.1
6.5
4.1
5.3
6.0
4.3
6.3
8.0
6.5

if 3 0 9 . 5

373.4
r 373.9
r 375.3

8.7
6.0
r 5.1
6.6

310.1

376.0

6.6

1 / Total deposits include In eddttton to the member and domestic nonmember deposit* shown deposits due to foreign wd International tnititutloni
at F H Banks and M j type balances at agencies and branches of foreign banks
2 / Bawd on most recent call report tingle day observations
3 / Includes negotiable time certificates of deposits issued in denominations of $100 0 0 0 or more by large weekly reporting commercial banks
4 / Average of beginning and end of month deposits at mutual saving* banks and savings and loan shares
§ / U S Government de nand dpoosits at all commercial banks




Rev

2 / 7 4