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FEDERAL

RESERVE

statistical

release

Table 1

For Immediate Release
March 27» 1975

MONEY STOCK MEASURES

H6

,

IN BILLIONS OF DOLLARS
^^^^^^H^^g|fM|0gaj0pjgM||HHBi
I
Ma
|
M3
Ma
1}
Hi
M)
plus
time
deposits
M
i
plus
time
deposits
M
plus
deposits
Ml
plus
deposits
2
r\<*tn
1
i Currency plus
uate
Currency plus
at commercial banks
at commercial banks
at nonbank
at nonbank
, other than large
demand deposits^
other than large
demand deposits^
thrift institutions^
thrift institutions^
CD's^
I
hMrJW^ ' *' WifctfiiflBiBMBffflfR'PPM
. _ _. _
„-—
'
CD'sfr •
1
^^^^—^^—^—^^^^^^^^^^^^^^^^^^^^M
Not Seasonally Adjusted
Seasonally Adjusted
270.2
!
578.5
905.1
1974—Feb.
273.1
1
580.9
[
907.5
584.9
272.5
915.4
Mar.
914.6
275.2
585.5
278.2
593.5
Apr.
920.2
I
926.3
276.6
589.4
272.9
589.7
May
591.6
922.8
922.0
277,6
596.6
930.6
278.2
929.6
597.1
June
280.0
280.1
599.3
July
934.5
280.5
599.7
933.4
277.5
598.7
Aug.
280.7
602.2
936.4
932.5
279.4
600.7
934.5
Sept.
|
281.1
603.8
938.8
606.3
281.7
Oct.
608,1
941.1
282.2
944.4
i
611.1
285.3
Nov.
283.8
613.0
951.1
!
947.0
292.2
619.4
Dec.
614.3
955.0
j
958.3
284.3

"I

1

Wj

5

a aMB

1975--Jan.
Feb.
Week Ending:
19 75—Feb. 5
.12
19
26
Mar.

5
12 p
19 p

includes

959.6
r 967.9

a

616.0
r 621.0

281.8
284.2
283.6
284.7

616.8
621.2
621.0
623.4

282.0
281.8
281.1
278.0

r 285.3
288.1
2S6.3

r 624.0
627.9
627.0

r 283.3
285.4
284.2

964.9
x 965.5

621.9
r 618.5

289.3
r 280.8

282.2
r 283.8

;
!

616.5
619.0
619.1
617.7

j

r 623.6
627.4
627.0

{\\ demand deposits at allicommerctal banks other than those due to domestic commercial banks and the u S Government less cash items m (he process of collection and F R float
(2) loreign demand balances at F R Banks and
(3) currency outside the Treasury F R Banks and vaults of all commercial banks
includes m addition to currency and demand deposits savings deposits time deposits open account and time certificates of deposiis other than
p - Preliminary
cates of deposit iss
negotiable time certificates
issued in denominations of Si 00 000 pr more by targe weekly reporting commercial banks
includes M2 plus ihe average of the beg»
beginning and end of month deposits ofimutual savings banks and savings and loan shares
r - Revised




nofnAt nrsfflv* 4i*tt«t«r*i n#i«*M M «

MONEY STOCK MEASURES
W l ! f ^ N f CMANOf AT SFASONAt| + Y ADJUSTED ANNUAL K/HE3

fr*MO(J

Ctftrwicy plus

M i plus tmig depu&iH
a! c o m m e r c e ' b a n H
oth«f than large

5j
M ? plus d e p o r t s
at nonbank
(drift institutions^

I'abrudiy

Nov. 1974 (J inontliH |irt'Vioii»)
Auf>. J974 (6 trtoHlllBjJl'CVloufl)
Peb. 19 74 (12 months prcvimw)

3,9

5,2,
6,2
6,9

t.7

7,2

4,2

7,1

0,0
2,2

Fruit weeks eliding! Md»« 19 < 1979
from four- wcekfl C!IU!IHB«
Dor. 18, 19 74 (11 WfekH |) re vidua)
Sept. 18, 1974 (26 woekH uravluiJfl)
Mar. 20, 19 74 (32 weekfl p^vloufj)

m*+tmm&a*litist±Liim

m. hirjp , (1) (jpm.Huj rjppo* Ms /H ,HI' Mmhmcifil bmiM ollim I him I bow ili/t? io domoQhc sotfJfflefljjgf jt)£fik$ #ftd ibe U S Qovgrrifmmi tte*$ cash Me«i$ m the
D'on s*i ol rallm lion HMfl T tt florif
iVi louMfjn ipmiind brttmiLtn ill f M tirtflkft rtrtd
0) cKMPnry ouloirfp- IMP tf^iinuf / r fl fiflriM itnd vaults 0l ifPfeomnwrcjfli WMKU
«•» turtrs in nridiiion to r tiMPMt y ttiirt dwrtwrttJ rji/po^Hft srtyimjH cJ»?po&)U luno *Jep09)i$ open eeiiooni a/jd lime certificates df d f o u i i s oihef tbaa
oohiibip bmp f PMitifrtlPHol dPpimi tuund irt dwWitiwHiort* OT^IOO 000 Of #9f9 by Jflfgfc *5Bk[y ftpfiTHflJ cOMftefcfclfbarifcs
u ludo * M ? o u * iMIrtvor.i(|oof Urn bwjiwiwg ami Ami oi mutfib d»jK»itt oi mutual w v i f i j i bflHKft'a/td l e v i e s and loan $ha>es
AM u u oi ( hrtrujo MIP btlgwf ')M drill y rivmrtije driM frttfeft of cbdrtgb me no I qompOMd&d



1.1
0,7
6.7

FGOERAl RfctitHVE Btitlfttlcil Helen* H.S

TibU f

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
IIAIONAUY ADJUSTED, IN IlilMONS Of 00LUM
^^^mmm*m*mmmmmmmmmmmsmm^m wmmmmtmmmmmmmm,

1
DMMd dspoilli

Date

62,7

1974—Feb,
Mar.
Apr.

63.3
63.9

May

644

Nov.
Dec.
1975—Jan,
Feb.

68,1
r 68, 6

214.1
v 215,1

68.2
68.6
68,8
68,8

213.6
215.6
214.8
215,9

68,9
69,4
69.3

r 216.4
218.7
216.9

Oct,

Week FtidlnRt
1975— Feb, 5

12
19
26
1975—Mar.

5
12 p
19 p

!

I 215,7
216,3
216,6

|

i
|

323,9

412,1

329,2
330.0

414.7
420.3

1
Nonbank
1 thrift institutions^
326.6
329.2
330.8
331.2
332.4
333.7
334.2
335.0
336,2
338.2
340.6

426.7
429.4

343.6
346.9

OtHif
307/8
310,3
312,7
314*0
317.1
319.2
321.5
322,7

CD's^
68,2
68,0
73,9
78.5
81.3
83,6
83,8
84. B
86,?.
85,5
90,3

210r4
211,9
212,8
213', 3
215.4
213,7
213,3
215,3

64.6
64.8'
63,3
63,9
66,3
67.3
67,8

June
July
Aug.
Sept,

' ft

!

Total
&376.0

378.3
386.7
392,5
39M
402.8
405.2
407.5

92.9
92.2

333.8
337.2

93.0
92.9
92.3
91,3

335.0
337.1
337.4
338, 7

427.9
430.0
429.7
430.0

338.7
339.8
340.8

428.9
429.1
430,4

90.2
89.3
89.7

j

|

;

1
in luocs npgonabte time certificates of deposit issued In denominations o( $*00 000 or more by large weekly reporting commercial banks
^ \ ^ f ? i ^ c beqmning and end ot month deposits at mutual savings banka and savings and loans shares




p

.

Prelimt
„
,
,

FEDERAL RESERVE Statistical Release H 6
Tablo 4

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

Demand deposits
Currency

Date

1«J7/. — F t - b .
M/ir.
Ap r .
May
June
July
Aug.
Sept.
Oct.
Nov.
Dec.

01.9
62.7
63.5
64.1
64.8
65.3
65.7
65.8
66.4
67.8
68.9

1975—Jan.
Feb.

67.7
67.8

Week
finding:
1975—Feb.
5
12
19
26
Mar.

5
12 p
19 p

i

Total''

j

r

221.6
213.0

67.4
68.2
68.0
67.3

214.7
213.7
213.1
210.7

68.2
69.1
68.8

r 215.1
216.3
215.4

t

r

Time and savings deposit

Domestic
nonmember --'

CD's ?'

151.1
L52.3
155.8
151.3
153.6
154.4
152.3
153.3
154.4
155.9
160.3

54.6
54.7
56.2
54.8
56.1
56.6
56.3
57.0
57.7
58.4
59.7

66.1
66.7
71.8
77.2
79.6
82.8
87.1
88.7
88.8
87.1
90.5

158.7
152.2

59.7
57.6

92.1
89.4.

153.8
152.6
152.1
150.6

51\1

57.9
57.8
57.0

90.8
90.1
89.2
88.1

57.9
58.8
58.3

87.8
87.9
88.2

Member

208. 3
209.8
214. 7
208.8
213.5
214.8
211.9
213.6
2.15.3
217.5
223.3

|

154.1
154.4
153.9

r

bMMMMMWiUIH
) / Total deposits include ift addition to the member any; domestic nonmembor deposits shown, deposits duo to foreign alid Ihtornutional Institutions
at F R Hanks and M^ type balances at ayencics and branches of foreign banks
? / Hasuil on most recent call report single day observation",
3/ Includes negotiable time r n t i l i m t f ^ ol deposits issued m denominations of £100,000 or mon 1 by largr* wi'i'kly ropofitlng commercial banks
4 / Average <jf beginning and end ot month deposit* ;it mwhj.il savings banks and savings and loan sharps
5 / U S Government demand dm>o&its <il ,-ilt rommmcwl banks




'

Nonhank

1

thrill

l) S Gov t
demand 5

Other

lotal

308.3
312.4
315.3
316.7
3.18. 3
319.2
321.1
321.3
324.6
325.8
327.2

374.4
379.1
387.1
39 3.9
39 7.9
402.0
408.2
410.1
413.3
412.9
417.6

326.6
330.5
332.8
332.4
334.0
335.3
333.8
333.8
334.8
335.9
338.9

0~6
6.4
6.0
7. ft
6. 1.
5.4
4.0
5.5
3. /
J. 3
4. 8

424.7
427.1

343.0
347.0

4.0
3. 3

!

332.7
337.8

|

|

334.5
337.2
338.0
339.8
340.3
342.0
342.8

i

institutions" |

425.3
427.3
427.2
427.9

4.3
3.0
3.1
3.4

428.1
429.9
431.1

2. 7
2.8
4.4

1

J

p - Preliminary
r - Revised
Rev 2 / 7 4