Full text of H.6 Money Stock Measures : March 5, 1982
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FEDERAL RESERVE statistical release For Release at 4:10 p.m. EST H.6 (508) Table 1 MONEY STOCK MEASURES AND LIQUID ASSETS Bi ons of dollars, seasonally adjusted unless otherwise noted M1 Date Sum of currency, travelers checks, demand deposits and other checkable deposits1 MAR. Addenda: Overnight RPs at commercial banks plus overnight Eurodollars2 Money market mutual fund balances (general purpose and broker/dealer) NSA NSA M2 M1 plus overnight RPs and Eurodollars, MMMF balances (gen. pur. and broker/dealer), and savings and small time deposits3 M3 M2 plus large time deposits, term RPs and institution —only MMMF balances4 5 , 1982 L M3 plus other liquid assets5 1981-JAN. FEB. MAR. 417.9 419-4 424.4 35.8 35.2 36.5 65.8 75. 1 85.3 1665.6 1678.1 1701.0 1984.1 2001.8 2023.9 2397.3 2418.2 2437.9 APR. MAY JUNE 433.3 429.2 428.4 36.8 40.9 42.9 95.8 98.6 102.8 1723.1 1732.3 1740.7 2046.2 2065.1 2082.0 2455.5 2483.1 2506.6 J0LY AUG. SEPT. 429.4 431.1 431.2 42.3 43.1 39.6 112-7 122.1 130.4 1753.6 1772.2 1778.1 2102.4 2125.8 2138.0 2530.4 2559.7 2577.2 OCT. NOV. 36.2 37.0 38.1 137.1 144.6 150.8 1785.3 1809.7 1822.4 2151.0 2174.5 2187.8 2599.4 2625.3 DJSC. 432.9 436.4 440.9 1982-JAN. 448.6 43.3 154.4 1840.2 2203.9 6 13 20 27 447.8 450.6 449.0 447.2 40.8 42.7 42.9 45.4 151.2 154.1 155.2 155.9 3 10 17 P 24 P 449.4 446.3 447.8 444.8 45.0 43.3 42.0 43.6 155.7 155.5 155.2 155.1 WEEK ENDING: 1982-JAN. FEB. 1/ AVERAGES OF DAILY FIGURES FOR (1) CURRENCY OUTSIDE THE TREASURY, FEDERAL RESERVE BANKS, AND THE VAULTS OF COMMERCIAL BANKS; (2) TRAVELERS CHECKS OF NONBANK ISSUERS; (3) DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC BANKS, THE U.S. GOVERNMENT, AND FOREIGN BANKS AND OFFICIAL INSTITUTIONS LESS CASH ITEMS IN THE PROCESS OF COLLECTION AND FEDERAL RESERVE FLOAT; AND (4) OTHER CHECKABLE DEPOSITS (OCD) CONSISTING OF NEGOTIABLE ORDER OF WITHDRAWAL (NOW) AND AUTOMATIC TRANSFER SERVICE (ATS) ACCOUNTS AT BANKS AND THRIFT INSTITUTIONS, CREDIT UNION SHARE DRAFT ACCOUNTS (CUSD) # AND DEMAND DEPOSITS AT THRIFT INSTITUTIONS. THE CURRENCY AND DEMAND DEPOSIT COMPONENTS EXCLUDE THE ESTIMATED AMOUNT OF VAULT CASH AND DEMAND DEPOSITS, RESPECTIVELY, HELD BY THRIFT INSTITUTIONS TO SERVICE THEIR OCD LIABILITIES. 2/ OVERNIGHT (AND CONTINUING CONTRACT) RPS ARE THOSE ISSUED BY COMMERCIAL BANKS TO OTHER THAN DEPOSITORY INSTITUTIONS AND MONEY MARKET MUTUAL FUNDS (GENERAL PURPOSE AND BROKER/DEALER), AND OVERNIGHT EURODOLLARS ARE THOSE ISSUED BY CARIBBEAN BRANCHES OF MEMBER BANKS TO U.S. RESIDENTS OTHER THAN DEPOSITORY INSTITUTIONS AND MONEY MARKET MUTUAL FUNDS (GENERAL PURPOSE AND BROKER/DEALER). 3/ INCLUDES SAVINGS AND SMALL DENOMINATION TIME DEPOSITS (TIME DEPOSITS — INCLUDING RETAIL RPS — IN AMOUNTS OF LESS THAN $100,000) ISSUED BY COMMERCIAL BANKS AND THRIFT INSTITUTIONS. M2 WILL DIFFER FROM THE SUM OF COMPONENTS PRESENTED IN SUBSEQUENT TABLES BY A CONSOLIDATION ADJUSTMENT THAT REPRESENTS THE ESTIMATED AMOUNT OF DEMAND DEPOSITS AND VAULT CASH HELD BY THRIFT INSTITUTIONS TO SERVICE TIME AND SAVINGS DEPOSITS. 4/ INCLUDES LARGE DENOMINATION TIME DEPOSITS ISSUED BY COMMERCIAL BANKS AND THRIFT INSTITUTIONS IN AMOUNTS OF $100,000 OR MORE, LESS HOLDINGS OF DOMESTIC BANKS, THRIFT INSTITUTIONS, THE U.S. GOVERNMENT, MONEY MARKET MU'iUAL FUNDS AND FOREIGN BANKS AND OFFICIAL INSTITUTIONS. M3 WILL DIFFER FROM THE SUM OF COMPONENTS PRESENTED IN SUBSEQUENT TABLES BY A CONSOLIDATION ADJUSTMENT THAT REPRESENTS THE ESTIMATED AMOUNT OF OVERNIGHT RPS HELD BY INSTITUTION-ONLY MONEY MARKET MUTUAL FUNDS. 5/ OTHER LIQUID ASSETS INCLUDE THE NONBANK PUBLIC'S HOLDINGS OF U.S. SAVINGS'BONDS, SHORT-TERM TREASURY SECURITIES, COMMERCIAL PAPER, BANKERS ACCEPTANCES AND TERM EURODOLLARS NET OF MONEY MARKET MUTUAL FUND HOLDINGS OF THESE ASSETS. NOTE: P INDICATES PRELIMINARY DATA. SPECIAL CAUTION SHOULD BE TAKEN IN INTERPRETING WEEK-TO-HEEK CHANGES IN MONEY SUPPLY DATA, WHICH ARE OFTEN HIGHLY VOLATILE AND SUBJECT TO REVISION IN SUBSEQUENT WEEKS AND http://fraser.stlouisfed.org/ MONTHS. PRELIMINARY DATA ARE SUBJECT TO WEEKLY REVISIONS UNTIL THEY ARE FINAL. Federal Reserve Bank of St. Louis H.6(508) Table 1A MONEY STOCK MEASURES AND LIQUID ASSETS Billions of dollars, not seasonally adjusted M1 Date Sum of currency, travelers checks, demand deposits and other checkable deposits1 Addenda: Overnight RPs at commercial banks plus overnight Eurodollars2 NSA M2 M1 plus overnight RPs and Money market Eurodollars, MMMF mutual fund balances (gen. pur. balances (general purpose and broker/dealer), and savings and broker/dealer) and small NSA time deposits3 M3 M2 plus large time deposits, term RPs and institution -only MMMF balances4 L M3 plus other liquid assets5 1981-JAN.. FEB. HAL. 422.0 410.1 416.7 35.8 35.2 36.5 65.8 75.1 85.3 1672.1 1672.3 1696.8 1994.8 2001.2 2023.9 2409.1 2423.5 2441.5 APR. JUNE 436.0 423.2 427.6 36.8 40.9 42.9 95.8 98.6 102.8 1729.1 1723.8 1739.0 2052.7 2055.6 2076.3 2464.2 2476.3 2501.8 JULY AUG. SEPT. 432.1 430.4 431.5 42.3 43.1 39.6 112.7 122.1 130,4 1756.0 1766.7 1775.6 2098.3 2115.3 2^32.2 2522.0 2544.1 2568.3 OCT. NOV. DEC. 434.5 439.7 451.2 36.2 37.0 38.1 137.1 144.6 150.8 1793.1 1809.3 1829.1 2152.4 2175.4 2199.6 2597.8 2624.5 1982-JAN. 453.4 43,3 154.4 1848.1 2216.7 27 473.2 462.7 452.7 436.3 40.8 42.7 42.9 45.4 151.2 154.1 155.2 155.9 3 10 17 P 24 P 441.2 439.8 439.7 428.8 45.0 43.3 42.0 43.6 155.7 155.5 155.2 155.1 HAY WEEK ENDING; 1982-JAN. 6 13 20 FEB. NOTE: SEE TABLE 1 FOR FOOTNOTES. H.6(508) Table 2 MONEY STOCK MEASURES AND LIQUID ASSETS Percent change at seasonally adjusted annual rat— Date Ml M2 M3 JAN. FROM: OCT. 1981 (3 MONTHS PREVIOUS) 14.5 11.4 9.8 JULY 1981 (6 MONIHS PREVIOUS) 8.9 9.9 9.7 JAN. 1981 (12 MONTHS PREVIOUS) 7.3 10.5 11.1 FOUR WEEKS ENDING: FEB. 24, 1982 FROM FOUR WEEKS ENDING: NOV. 25, 1981 (13 WEEKS PREVIOUS) 10.6 AUG. 26, 1981 (26 WEEKS PREVIOUS) 7.5 FEB. 25, 1S81 (52 WEEKS PREVIOUS) 6.7 H.6 (508) Table 3 COMPONENTS OF MONEY !STOCK MEASURES AND LIQUID ASSETS Billions of dollars, seasonally adjusted unless otherwise noted Savings deposits Currency1 Date Travelers checks2 Demand deposits3 Overnight Other checkable RPs5 deposits4 Overnight Eurodollars6 NSA NSA at commercial banks at thrift institutions total Small denomination time deposits7 at at total thrift commerinstitucial tions banks Money market mutual fund balances8 genera! purpose institution and broker/ only dealer 15.0 17.3 20.2 1981-JAN. FEB. MAR. 116.3 117.2 117.8 4. 2 4. 2 4. 2 254.1 244.8 243.0 53.3 59.5 30. 6 30. 4 31. 9 5.2 4.9 4.6 176.6 173.5 173.6 207.9 205.0 204.9 384.5 378.5 378.5 302.0 306.3 310.5 466.1 469.3 471.5 768.1 775.7 782.0 65.8 75.1 85.3 APR. MAY JUNE 119.1 119.4 119.7 4. 2 4. 2 4. 2 243.5 240.4 237.7 66.5 65.2 66.7 31. 8 34- 5 36. 5 5.0 6.5 6-4 173.3 1 70 . 9 168.0 205.5 202.6 198.8 378.8 373.5 366.8 313.5 318.5 324.2 470.6 477.3 481.3 784.1 795.8 805.5 95.8 98.6 102.8 21.3 19.5 20. 1 JULY AUG. SEPT. 120.5 120.7 121. 1 4. 2 4. 3 4. 3 236.7 236.6 234.7 68.1 69.5 71.2 35. 4 35. 3 32. 7 6.9 7.8 6.9 165.0 160.5 157.5 196.0 190.4 185.6 361.0 350.9 343.1 329.3 339.2 345.9 484.7 491.6 493.8 814.0 830.8 839.7 112.7 122.1 130.4 21.6 23.3 26.6 OCT. NOV. DEC. 121.3 121-8 123-1 4. 3 4. 3 4. 3 235.7 235.7 236.4 71.6 74.7 77.0 30. 2 30. 4 31. 4 5.9 6.5 6.7 155.3 156.4 157.0 184.3 184.5 186.6 339.6 340.9 343.6- 352.3 357.4 357.3 497.5 49.9.4 497.4 849.8 856.8 854.7 137.1 144.6 150.8 29.4 32.0 33.7 1982-JAN. 123.8 4. 3 239.3 81.1 35. 8 7.5 158.9 189.9 348.9 357.9 493. 7 851.6 154.4 32.5 43.2 WEEK ENDING 1982-JAN. FEB. 1/ 2/ 3/ 4/ 5/ 6/ 7/ 8/ 6 13 20 27 123.9 123.4 123.8 124.2 243.8 241.3 237,7 236.4 75.7 81.5 83.2 82.3 33. 3 35. 2 35.8 37. 5 7.5 7.5 7.1 7.9 158^5 159.1 159.0 159.1 356.5 357.3 358.0 358.8 151.2 154.1 155.2 155.9 33.2 32.7 33.0 31.9 3 10 17 P 24 P 124.4 124.5 124.9 124.3 237.2 233.4 234.9 232.4 83.5 84.2 83.6 83.9 37. 35. 33. 36. 7.3 7.6 8.0 7.2 159-3 159.1 158.7 158.6 359.5 359.8 361.3 363.0 155-7 155.5 155.2 155.1 31.2 30.3 29.8 31.1 7 7 9 4 CURRENCY OUTSIDE THE U.S. TREASURY, F.R. BANKS AND VAULTS OF COMMERCIAL BANKS. EXCLUDES THE ESTIMATED AMOUNT OF VAULT CASH HELD BY THRIFT INSTITUTIONS TO SERVICE THEIR OCD LIABILITIES. OUTSTANDING AMOUNT OF U.S. DOLLAR-DENOMINATED TRAVELERS CHECKS OF NONBANK ISSUERS. DEMAND DEPOSITS AT COMMERCIAL BANKS AND FOREIGN RELATED INSTITUTIONS OTHER THAN THOSE DUE TO DOMESTIC BANKS, THE U.S. GOVERNMENT AND FOREIGN BANKS AND OFFICIAL INSTITUTIONS LESS CASH ITEMS IN THE PROCESS OF COLLECTION AND F.R. FLOAT. EXCLUDES THE ESTIMATED AMOUNT OF DEMAND DEPOSITS HELD AT COMMERCIAL BANKS BY THRIFT INSTITUTIONS 20 SERVICE THEIR OCD LIABILITIES. INCLUDES ATS AND NOW BALANCES AT ALL DEPOSITORY INSTITUTIONS, CREDIT UNION SHARE DRAFT BALANCES AND DEMAND DEPOSITS AT THRIFT INSTITUTIONS. OTHER CHECKABLE DEPOSITS SEASONALLY ADJUSTED EQUALS DEMAND DEPOSITS PLUS OCD SEASONALLY ADJUSTED LESS DEMAND DEPOSITS SEASONALLY ADJUSTED. INCLUDES OVERNIGHT AND CONTINUING CONTRACT RPS ISSUED BY COMMERCIAL BANKS TO OTHER THAN DEPOSITORY INSTITUTIONS AND MONEY MARKET MUTUAL FUNDS {GENERAL PURPOSE AND BROKER/DEALER). ISSUED BY CARIBBEAN BRANCHES OF U.S. MEMBER BANKS TO U.S. RESIDENTS OTHER THAN DEPOSITORY INSTITUTIONS AND MONEY MARKET MUTUAL FUNDS. SMALL DENOMINATION TIME DEPOSITS — INCLUDING RETAIL RPS — ARE THOSE ISSUED IN AMOUNTS OF LESS THAN $100/000. NOT SEASONALLY ADJUSTED. H.6 (508) Table 3-continued COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS Simons OT aouars, seasonally aa usiea unless otnerwise noiea Large denomination time deposits T Date at commercial at thrift banks2 institutions total at commercial banks NSA Term RPs3 at thrift institutions NSA Term 4 Eurodollars total NSA Savings bonds Bankers acciptancftflB Commercial paptr7 NSA 1981-JAN. FEB. MAE. 225.2 222.8 46.5 46.6 47.0 267.5 271.7 269.8 30.9 30.2 28.1 8.3 7.9 8.0 39.2 38.1 36.1 50.2 52.2 52.1 71.7 71.0 APR. MAY JUNE 220.2 229.3 236.2 47.4 49.1 49.4 267.6 278.4 285.6 28.2 29.1 30.0 8.5 8.6 8.8 36.7 37.7 38*8 JULY AUG. SEPT. 243.1 248.6 249.9 50.0 51.3 52.5 293.1 299,9 302.3 28.4 25.8 26.2 8.8 7.5 7.6 OCT. NOV.. DEC. 249.0 246.9 246.0 53.3 53.7 54.4 302.2 300.6 300.4 25.6 27.8 27.1 1982-JAN. 247.6 55.5 303.1 24.0 221.0 Short-term Treasury •acuritMfB 70.6 163.6 161.9 32.4 32.6 33.3 97.7 97.0 96.1 52.6 57.0 57.9 70.3 70.0 69.7 157.6 158.2 160.3 34.6 35.6 36.4 94.2 97.2 100.3 37.2 33.4 33.8 58.7 61.0 61.2 69.4 68.9 68.4 161.8 164*1 168.1 37.2 37.4 37.6 100.9 102.5 103.9 7.8 7.8 8.3 33.4 35.6 35.4 62.8 62.5 67.9 67.7 176.0 179.5 37.2 37.5 104.4 103.7 8.7 32.7 161.1 WEEK ENDING: 1982-JAN. FEB. 1/ 2/ 3/ 4/ 5/ 6/ 7/ 6 13 20 27 248.9 247.3 247.0 247.6 25.6 23.9 3 10 17 P 24 P 249.0 251.9 253.0 251.2 23.5 22.9 27.2 23.3 23.2 23.8 LABGE DENOMINATION TIME DEPOSITS ABE THOSE ISSUED IN AMOUNTS OI $100,000 OB MOBE, EXCLUDING THOSE BOOKED AT INlEfiNATIONikl BANKING FACILITIES (IBFS). LABGE DENOMINATION TIME DEPOSITS AT COMMEBCIAL BANKS LESS LABGE TIME HELD BY MONEY MABKE1 MUTUAL FUNDS AND THBIFT INSTITUTIONS. TERM RPS ABE THOSE WITH ORIGINAL MATUBITY GREATER THAN ONE DAY, EXCLUDING CONTINUING CONTRACTS AND BEIAIL BPS.. TERM EURODOLLARS ARE THOSE WITH ORIGINAL MATURITY GREATER THAN ONE DAY NET OF TERM EUBODOLLABS HELD BY U.. £. BESIDENTS OTHEB THAN DEPOSITORY INSTITUTIONS AND MONEY MARKET MUTUAL FUNDS. INCLUDES U.S. TREASURY BILLS AND COUPONS WITH REMAINING MATURITY OF LESS THAN 18 MONTHS HELD BY OIHEB THAN DEPOSITORY INSTITUTIONS, F.R. BANKS, AND MONEY MARKET MUTUAL FUhDS. NET OF BANKERS ACCEPTANCES HELD BY ACCEPTING BANKS, F.R. BANKS, FOREIGN QiFlCIAL INSTITUTIONS, 1HE FEDEBAL HOME LOAN BANK SYSTEM, AND MONEY MARKET MUTUAL FUNDS. TOTAL COMMERCIAL PAPER LESS COMMERCIAL PAPER HELD BY MONEY MARKET MUTUAL iUND-». H.6 (508) Table 3A COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS Billions of dollars, not seasonally adjusted Demand deposits Date 1 Currency Travelers checks2 at member banks3 at domestic nonmembw banks4 Other checkable deposits at foreignrelated banking offices in the U.S.5 total6 at commercial banks 7 at thrift institutions8 total Overnight RPs (net) 9 Overnight Eurodollars10 1981-JAN. FEB. MAR. 115.6 115.7 116.7 *.O 4.0 4.0 162.7 147.6 146.8 87.8 82.5 82.1 8.5 8.5 9.2 258.8 238.5 237.9 35.7 43.0 48.0 8.0 9.0 10.0 43.6 52.0 58.1 30.6 30.4 31.9 5-2 4.9 4.6 APR. NAY JUNE 118.3 119.2 119.7 4.0 4.1 4.3 152.9 144.6 145.8 85.8 82.8 82.7 8.4 8.7 8.8 246.8 235.9 237.0 54.9 52.5 54.3 11.9 11.6 12.2 66.8 64.1 66.4 31.8 34.5 36.5 5.0 6.5 6.4 JULY AUG. SEPT. 121.3 121.3 120.8 4.7 4.7 4.5 147.6 145.4 145.6 82.1 81.0 81.1 8.1 8.5 8.2 237.6 234.7 234.6 55.7 56.5 58.1 12.9 13.2 13.6 6 a. 6 69.7 71.7 35.4 35.3 32.7 6.9 7-8 6.9 OCT. NOV. DEC. 121.2 122.9 125.4 4.3 4,1 4.1 151.9 152.4 156.8 80.8 81.4 82.7 4.2 4,.O 4. 1 236.6 237.5 243.3 58.5 60.6 63.4 13.9 14.6 15.1 72.4 75.2 78.4 30.2 30. 4 31.4 5.9 6-5 6-7 1982-JAN. 123.2 4.1 157.7 82.4 3.9 243.6 66.9 15.6 82.. 5 35.8 7.5 WEEK ENDING: 1982-JAN. FEB. 1/ 2/ 3/ 4/ 5/ 6/ 7/ 8/ 9/ 10/ 6 13 20 27 125.3 123.8 122.9 121.8 170.1 162.2 155.8 148.8 87.5 84.8 82.9 77.7 4.2 3.7 3.6 3.8 261.3 250.2 242.0 230.0 66.7 68.5 68.0 65.3 15.8 16.0 15.7 15.1 82.5 84.6 83.7 80.4 33..3 35.2 35.8 37.5 7.5 7.5 7.1 7.9 3 10 17 P 24 P 122.2 123.9 123.8 122.1 151.3 148.0 148.8 143.4 78.7 78.2 78.0 75.5 4.2 3.6 3.9 233.8 229.4 230.4 222.4 65.5 66.5 65.8 64.9 15.5 15.9 15.6 1S.4 81.0 82.4 81.4 80.2 37.7 35.7 33.9 36.4 7.3 7.6 8.0 7.2 a. 8 CURRENCY OUTSIDE THE U.S. TREASURY, F.R. BANKS AND THE VAULTS OF COMMERCIAL BANKS. EXCLUDES THE ESTIMATED AMOUNT OF VAULT CASH HELD BY THRIFT INSTITUTIONS TO SERVICE THEIR OCD LIABILITIES. OUTSTANDING AMOUNT OF U.S. DOLLAB-DENOMINATED TRAVELEBS CHECKS CF NONBANK ISSUEBi*. DEMAND DEPOSITS OTHER THAN THOSE DUE TO DOMESTIC BANKS, THE U.S. GOVERNMENT AND FOREIGN BANKS AND OFFICIAL INSTITUTIONS LESS CASH ITEMS IN THE PROCESS OF COLLECTION AND F.R. FLOAT AI MEMBER BANKS OF THE FEDERAL BESERVE SYSTEM. DEMAND DEPOSITS OTHER THAN THOSE DUE TO DOMESTIC BANKS, THE U.S. GOVERNMENT AND FOREIGN EANKS AND OFFICIAL INSTITUTIONS LESS CASH ITEMS IN THE PROCESS OF COLLECTION AT NONMEMBER BANKS. DEPOSITS AS DESCRIBED IN FOOTNOTE 4 AT AGENCIES AND BRANCHES OF FOREIGN BANKS, EDGE ACT CORPORATIONS AND FOBEIGN INVESTMENT COMPANIES. EQUALS SUM OF THfvEE PREVIOUS COMPONENTS LESS THE ESTIMATED AMOUNT OF DEMAND DEPOSITS HELD AT COMMERCIAL BANKS BY THRIFT INSTITUTIONS TO SERVICE THEIR OCD LIABILITIES. NOW AND ATS BALANCES AT COMMERCIAL BANKS., NOW AND ATS BALANCES AT SAVINGS AND LOAN ASSOCIATIONS AND MUTUAL SAVINGS BANKS* CfiSDIT U&3IGN SHARE DRAFT BALANCES, AMD DEMAND DEPOSITS Al THRIFTS. INCLUDES OVERNl^lii AND CONTINUING CONTRACT RPS ISSUED BY COMMERCIAL BAC1K5 TO GTHEH THAN DEPOSITORY INSTITUTIONS AMD MONEY MARKET MUTUAL FUNDS (GENERAL PURPOSE AND BROKER/DEALER) . ISSUED BY CARIBBEAN BRANCHES OF MEMBER BANKS TO U.S. RESIDENTS OTHER THAN DEPOSITORY INSTITUTIONS AND MONSY SAflKEl MUTUAL FUNDS (GENERAL PURPOSE AND BROKER/DEALER). H.6 (506) Table 3A—continued COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS Billions OT aonars, noi seasonali Y aajuiwa Date Savings deposits at mutual at commercial banks at savings and loans 1981-JAN. FEB. MAR. 176.3 171.9 171.3 108.1 106.2 106.0 53.0 51.9 51.8 APR. MAY JUNE 172.3 169.4 166.9 106..7 104.3 102.4 JULY AUG. SEPT. 166.5 162.4 159.0 OCT. NOV. DEC. 1982-JAN. Small denomination time deposits1 at mutual at savings banks credit unions total at commercial banks at savings and loans 44.9 44.2 44.7 382.2 374.2 373.9 302.9 309.5 313.9 363.4 366.2 367.7 93.0 93.8 94.4 13.4 13.9 14.3 772.7 783.5 790.2 52.1 51.1 50.4 45.4 45.2 45.2 376.4 369.9 365.0 314.7 319.5 325-2 366.7 367.9 370.5 94.2 94.8 95.8 14.3 14.6 14.9 790.0 796.9 806.4 102.7 99.4 97.2 50.6 49.1 48.2 45.4 44.1 43.6 365.2 355.0 347.9 328.1 336.4 342.9 370.6 373.5 375.9 96.0 96.7 97.4 14.9 15.4 15. 9 809.5 822.0 832.1 157.3 156.9 157.2 95.9 95.3 95.4 47.7 47.2 47.5 43.1 42.7 42.8 343.9 342.2 343.0 351.3 354,9 355.8 380.6 380.7 379.5 99.0 99.0 99.0 16.8 17.4 17.3 847.6 851.9 851.7 158.7 96.7 47.9 43.5 346.8 359.0 381.0 99.4 savings banks at credit unions WEEK ENDING: 1982-JAN. FEB. 1/ 27 158.8 159.4 158.8 158.1 356.4 357.9 359.2 360.6 3 10 17 P 24 P 157.8 157.6 157.3 156.9 362.2 363.4 365.0 366.8 6 13 20 SMALL DENOMINATION TIME DEPOSITS — INCLUDING RETAIL RPS — . AflE THOSE ISSUED IN AMOUNTS OF LESS THAN $100,000. 17.4 total 856.8 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 total 3 commercial at savings savings banks2 banks and loans Term RPs4 at commercial banks at thrift institutions total Term Eurodollars5 Savings bonds Short-term • Bankers Commercial Treasury acceptance*7 papers 6 securities 1981-JAN. FEB. MAR. 225.3 229.9 227.1 40.9 41.2 41.1 5.0 5.1 5.1 276.9 273.9 30.9 30.2 28.1 8.3 7.9 8.0 39.2 38.1 36.1 50.2 52.2 52.1 71.9 71.1 70.6 161.7 167.5 165.1 33.3 3a. 9 98.3 98.3 96.0 APE. MAY JUNE 221.4 228.3 232.5 40.9 43.0 43.1 5.3 5.5 5.6 268.1 277.3 281.7 28.2 29.1 30.0 8.5 8.6 8.6 36.7 37.7 38.8 52.6 57.0 57.9 70.1 69.7 69.4 159.6 160.8 161.3 34.7 35.4 36.2 94.4 97.8 100.7 JULY AUG. SEPT, 236.6 243.3 246.3 43.9 45.2 46.1 5.5 5.7 6.2 286.6 294.8 299.1 28.4 25.8 26.2 8.8 7.5 7.6 37.2 33.. 4 33.8 sa. 7 61.0 61.2 69.1 68.8 68.5 159.1 161.5 166.6 36.5 36.8 37.4 100.3 100-7 102.3 OCT. NOV. DEC. 246.2 248.2 251.3 46.8 47.1 47.8 6.3 6.2 6.0 299.8 301.8 305.5 25.6 27.8 27.1 7.8 7.8 8.3 33.4 35.6 35.4 62.8 62.5 68.1 68.0 173.2 176.1 37-/7 38.0 103.7 104.5 1982-JAN. 252.4 49.2 6.0 308.1 24.0 8.7 32.7 271.7 32.1 WEEK ENDING: 1982-JAN. FEB. 1/ 2/ 3/ 4/ 5/ 6/ 7/ 8/ 6 13 20 27 253.6 251.8 251.0 252.7 25.6 23.9 23.2 23.8 3 10 17 P 24 P 254.6 257,3 257.6 256.6 23.5 22.9 27.2 23.3 LARGE DENOMINATION TINE DEPOSITS ARE THOSE ISSUED IN AMOUNTS OF $100,000 OB MOBE, EXCLUDING THOSE BOOKED AT INTERNATIONAL BANKING FACILITIES (IBFS) . LARGE DENOMINATION TIME DEPOSITS AT COMMERCIAL BANKS LESS LARGE TIME HELD BY MONEY MARKET MUTUAL FUNDS AND THRIFT INSTITUTIONS. TOTAL LARGE DENOMINATION TIME DEPOSITS EXCEEDS SUM OF THREE PREVIOUS COLUMNS BY SUCH DEPOSITS AT CREDIT UNIONS. TEAM RPS ARE THOSE WITH ORIGINAL MATURITY GREATER THAN OhTE DAY, EXCLUDING CONTINUING CONTACTS AND REIAIL RPS. TERM EURODOLLARS ARE THOSE WITH ORIGINAL MATURITY GREATER THAN ONE DAY NET OF TEBM EURODOLLARS HELD BY U,. S. RESIDENTS OTHER THAN DEPOSITORY INSTITUTIONS AND MONEY MARKET MUTUAL FUNDS. INCLUDES U.S. TREASURY BILLS AND COUPONS WITH REMAINING MATURITY OF LESS THAN 18 MONTHS HELD BY OIHEB THAN DEPOSITORY INSTITUTIONS, F.R. BANKS, AND MONEY MARKET MUTUAL FUNDS. NET OF BANKERS ACCEPTANCES HELD BY ACCEPTING BANKS, F.fi. BANKS, FOREIGN OFFICIAL INSTITUTIONS, THE FEDERAL HOME LOAN BANK SYSTEM, AND MONEY MARKET MUTUAL FUNDS. TOTAL COMMERCIAL PAPER LESS COMMERCIAL PAPER HELD BY MONEY MARKET MUTUAL FUNDS. H.6 (508) Table 4 MEMORANDA ITEMS Billions of dollars, not seasonally adjusted Demand deposits at banks due to Date Time and savings deposits due to foreign commercial banks and foreign official institutions demand deposits at Federal Reserve commercial banks Banks U.S. government deposits note balances at commercial banks and thrift institutions total demand deposits and note balances time and savings deposits at commercial banks foreign commercial banks foreign official institutions 1981-JAN. FEB. MAR. 12.0 12.8 11.9 3.4 3.3 3.0 11.8 11.6 11.3 2.9 2.9 2.9 3.2 3.3 3.0 5.1 5.4 7.5 11.2 11.6 13.4 0.6 0..8 0.8 APR. MAY JUNE 12.2 12.2 12.9 3.3 2.8 3.0 10.9 10.9 10.6 3.9 3.0 3.5 3.4 3.3 3.0 8.3 9.5 9.1 15.6 15.8 15.5 0.8 0.8 0.8 JULY AUG. SEPi. 12.6 12.9 13.5 2.8 2.8 3.0 9.8 9.4 9.4 2.9 2.8 3.5 3.1 3.2 3.2 7,9 4.7 7.5 13.9 10.7 14.1 0.8 0.7 0.7 OCT. NOV. DEC. 12.8 12.6 12.9 2.2 2.4 2.6 9.2 9.0 9-1 2.7 2.8 3.1 3.3 3.1 2.9 10.7 6.9 8.1 16.7 12.8 14.2 0.7 0.7 0.7 1982-JAN. 11.8 2.5 8.8 3.0 4.7 11.5 19.2 0.7 6 13 20 27 12.1 11.7 12.1 11.7 2.5 2.6 2.6 2.2 9.0 8.9 8.8 8.7 3.0 2.4 3.9 2.9 3.7 3.1 3.7 6.1 7.4 6.7 12.1 16.1 14.2 12.1 19.7 25.2 0.7 0.7 0.7 0.7 3 10 17 P 24 P 11.2 11.0 11.8 11.7 2.7 2.3 2.3 2.3 8.6 8.6 8.5 8.5 3.4 2.6 3.0 2.8 7.9 5.3 4.6 6.7 17.2 16.6 15.7 13.1 28.5 24.4 23.2 22.6 0.8 0.8 0.8 0.8 WEEK ENDING: 1982-JAN. FEB.