Full text of H.6 Money Stock Measures : May 15, 1975
The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
FEDERAL RESERVE FIDMAL RISIHVf ttrtletlcet IMeeJw H.e statistical release Teste 1 For Immediate Releaie HAY 15* 1973 MONEY STOCK MEASURES »N.ILUOMWDOUA*l Ml 1 Date "4 Mf "2 ! «» M) Plus Time MftPiU* Currency Deposits at Deposits at Plus Commarclal Hon bank Demand Bank* Thrift ; Daposit.U/ Other Than Inatttuttone^ liege CD'a* [" i Mg 1| M3Plu§ Large Negotiable CD'aS/ [ 1 *8 »3 1 *4 M2 Mi Pius Time M2Plue MjPius MiPlui Currency Deposits at Deposit! at Piut l»rg. Large Commercial Nonbank Bank* Negotiable Negotiable Demand, Thrift Deposit*!/ Other Than, CD'tV CD'stf 1 large CD'eff InetltUtton** "1 , leM*H*iB*.e*e*je*M*M Not laaionally Ad uited Seeaenelly Adjutted 276.6 277.6 280.0 280.5 280.7 281.1 282*2 263*6 264.3 1974—APR t MAY JUNE JULY AUG. SEPT. OCT. NOV* DEC. 589.4 ! 991.6 597*1 599*7 602*2 603*8 608*1 613.0 614.3 616.2 621.1 627.4 & 631*6 262.2 263.8 286.6 ft 288.2 1975—JAN. FEB. MAR. APR. P 945.9 955*9 939*9 963*0 965.5 971.2 976*3 962.5 663*3 670.2 679*5 683.3 686*0 688*7 694*3 696*5 704*6 987.7 8 .996*4 a 1006*2 R 1018.2 708.9 713.2 717.1 H 720.0 •±#.0 > 1 1 1019*6 276.2 593*5 952*2 1027.3 1037*;? 272.9 278.2 909*7 940#3 596.6 599*3 698.7 600*7 606.3 611*1 619*4 957*4 961*2 958*9 961*2 96B.0 974*2 985*6 622*1 616.7 626.9 & 636*0 993.1 994*1 R 1009.6 1024*6 R 1043.5 1046*7 1050*3 1097*4 1063.6 1072*8 280*1 277.5 279*4 281*7 265*3 292*2 1080.4 1088*4 R 1098*0 ft 1106.6 289*3 260*8 264*0 289*7 ! i 665*3 666*9 676*2 682*1 683*8 689*4 695.1 696.2 709.6 1024.0 1023*5 1037*0 1044*0 1046*0 1049.9 1056*7 1061.2 1076.3 714.0 707.9 715.0 R 721.8 1085.0 1083*3 R 1097.6 R 1110.6 t WEEK ENDING! 1975—MAR. APR* MAY 1/ 2/ 3/ 4/ 12 19 26 288.1 286.2 267.3 2 9 16 23 30 P 267.5 268.3 288 . 4 ft 287.4 R 287.5 7 P 269.3 | j ; 628.0° 627*2 628,2 717*2 716.7 718.3 629,7 631.0 631.8 631.0 & 632.0 719.9 720*4 720.4 718*8 R 719.2 634.3 720.8 I ! 1 265.4 284*2 262.3 627.5 627*2 623.7 286*0 291.5 293*7 269.6 284*3 631.2 637.2 ! 639.9 I 633.9 i R 631.4 285.6 633. 5* 715.4 713.3 714.2 719.3 724.2 725*9 721.0 R 716.0 717.5 INCLUDES ( 1 ) DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN TMOSE OUE TO DOMESTIC COMMERCIAL RANKS AND THE U*S>GOVERNHENT, LES^CASH JITENS I N THE PROCESS OF COLLECTION ANO F.ft.FLOAT I 12) FOREIGN OEMANO BALANCES AT F.R.BANKSj AND 1 3 ) CURRENCY OUTSlt)E THE TREASURY, f . R . B A N K ^ A N D VTCOLYS OP AtL COMMERCIAL BANKS. INCLUDES, I N ADDITION TO CURRENCY AND DEMAND DEPOSITS, SAVINGS DEPOSITS* TIME DEPOSITS OPEN ACCOUNT, AND TIME CERTIFICATES OF DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUEO I N DENOMINATIONS QF $ 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS. INCLUDES M2, PLUS THE AVERAGE OF THE BEGINNING AND ENO OF MONTH DEPOSITS OF MUTUAL SAVINGS BANK, SAVINGS ANO LOAN SHARES, ANO CREDIT UNION SHARES. INCLUDES M 2 , PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE. INCLUDES M3, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE. - PRELIMINARY! R - REVISED 5/ P MOIMt MBIftVE Itttlitlcil *•!•««» M » Tiblt 2 MONEY STOCK MEASURES K i t CENT CHANat AT SEASONALLY ADJOSTtD ANNUAL RATES l " OAtt iiiiim iimi iniy BI i ~ fi TIT- f*T^^ , t"^ , T~T"^TTnTfrmTnTrrTiimrf 1 Currency Plus Demand D^dsits-^1 M M M Mi Plus Time Deposit* it Commercial Banfcs Othe* Than Urg<CD,t^ — — i w ^ — ^ — J 3 ] M4 1 M ft 1 M? Plus Deposits at Nonb§nk*fhH?t Institution 1 ^ M 2 Plus Large Negotiable CD's 5 ' Mj Plus Large Negotiable C D 1 * * mmtmmmBimmmmmmmmmmmmm mmmmmmmmmmmmmmmimaJ APRIL f^ftdWi JAN* 197* 13 MMitHS PREVIOUS! &*5 I0«0 12.4 6.3 9.7 Ott* *9t4 16 HdNTHS PREVIOUS 1 4»S 7.7 9«t 7.4 9.3 APR* 1974 112 MONtH* MfeVIHUftl 4.2 7*2 7.6 8*5 0*6 0*3 6*0 *dUR WfelHS fNDlHOt MAV M d * P&JR WfcEkS tNDXNG* t * 197* *fc&. »» 1975 US WfeftkS PRIVtOUS) 6.1 NOV* 6» 1974 (26 WEEKS PREVIOUS) 4.0 j 7*6 7*1 NAV §• 1*74 ! U MkfekB l>RiVIOUS» 4*0 1 T.f 6*2 l^iiBamtfiTrr^nnvrv.i^iiah^^iQ^r^^^-^M^^, m» W N li»£litf PMSiWe c&iftIRcflOJiMTBr TtrtrxiWBnwwri 1 / INtLUtt** t i l btttAfrm ftfe»6m& AT ALL t OMiftCtM. 6AMKS dl E/ S S t J I l t f IN U5ltlS! 8 W N ?u!!wllIv V i t l V M t t T I ^ V l N n H f t l f l f b P « M W I U OPEN ACCOUNT, AND TINE CERTIFICATES OP DIPOBITI OtHW TWANNEODttAlU TlMfe CERTIFICATES DP DEPOSIT tiSUiji )N BfellMtRtf l t t » DP »100,000 OR MORE BV LARjOE WEEKLY REPORTB/ SRcLUOIIB^H t ! ^ L o t H T H E AVEftAOE OP TMI 6 WINN I NO ANJ^END DP MfNfH ft|t»jfrltt OF MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARES, AND 4 / INCLlJtrit? HJSBKNIBOTIABLI TtMl ClRttPtCATEi DP DEPOSIT iSlUlb IN)$f|p$NA£lBN& OP 1100,000 OR HORE. 1/ NcLUOtS S i ! HUB NlftOtlABLl TtHI C6RTIFICATES DP DEPOSIT-'UfOlftJKM&HWAtlWtS OP »100,000 Oft MORE* NOTtl AUfcATtS OP CHANOI ARE BAUD OH DAILY AVERAOt DATA! RAtll Qfrf ftMttl. ARE NOT COMPOUNDED. • FEDERAL RESERVE Statistical R«I«M« H.6 tttbit a COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS 8IABONAUY ADJUSTED, IN IILUON* OP DOLLAH& ^mmmmmmmmmmmmmmmm*mmmm*m*mmmmm | Oemiftd Deposit* Currency Date 1974—-APR* MAY JUNE JULV AUG. SEPT. 63*9 64*3 64*6 64.8 63*5 2l&»* 21*.» 215*3 67.3 67.8 219.3 21S.T 216.9 216.6 19?*—JAN. FEB. MAR. APR* P ! 1 66.1 88*6 69*4 69*5 CD !** i ' | i ! Other Total 312.7 314.0 317.1 319*2 ! 1 426.7 429.4 430.3 431.8 371.5 375.3 380.8 R 386*6 314.0 337.3 340.5 34^.4 J18.T 216.. 217.9 89*2 89.3 96.1 339.9 341.0 340.8 429.1 430.3 431.0 342.2 342.7 343.4 343.6 R 344.4 432.4 432.1 432.0 ft 4 3 1 . 5 R 431.6 ! | WEEK ENDING! 1975—MAR, 12 19 26 69 , 4 69.4 69.4 | APR* 2 9 16 23 30 P 69.5 69.4 69.4 69,6 69.6 217.9 21..9 219.0 21T.6 * 2 I t .9 90*2 69.4 66.6 ST.9 ft 8 7 . 2 NAY 7 P 69.7 219.6 86.3 j 345.1 431.5 i_ 1/ . Thrift Institutions-7 356. 5 357.1 356.8 360.2 360.7 361.6 363.1 365.3 368.3 3»»* 322*7 325..9 329.2 330*0 Mrtrthfink n y l l l/cm i\ 386.7 392.5 396*4 402.8 405*2 407.5 412.1 414.7 420.3 92*7 92.1 69*6 88*4 214.1 218.1 217.S * 21..T 1 1 i 1 73.9 I S .5 « • * 63.6 B&ftB 84.8 66.2 §5.3 90.3 212.* 218.8 &*•? NOV. DEC. 1 Tito, mi) Bivlnn Dtpoiltt INCLUDES NEGOTIABLE TINE CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF $ t 0 0 » 0 0 0 OR MORE 8Y LARGE WEEKLY REPORTING COMMERCIAL BANKS. 2 / AVERAGE OF BEGINNING AND ENO OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS. SAVINGS AND LOAN SHARES* AND CREDIT UNION SHARES. P - PRELIMINARY\ R - REVISED FEDERAL RESERVE Statlttlcal ReleMA H 6 T.tM. 4 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS •pmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmm OJULUUI J U M Date I I 1974--APR. HAY JUNE JULY SEPT. OCT. NOV. DEC. 1 | 1975—JAN. FEB. MAR. APR. P L Currency j | ^ lotal^ 63*5 64.1 64.fi 65.3 1 Mimb4r TIm# slid Suvingi Pftpotft , , [ Domestic !1 1 I 71*8 1 77.2 79*6 82*6 87.t 88.7 66.8 37*1 90*5 213*6 215*3 217.5 223.3 56*2 54*8 56*1 56*6 56*3 5t#0 57.7 58.4 59.7 221*6 213*0 215.3 ft 2 2 0 * 7 158*T 152*2 133*9 ft 1 3 7 * 5 5**7 57.6 38*2 60*0 216*3 215*3 213*8 154*4 152*9 if** 217.3 221*6 224*3 ft 2 2 0 . 6 ft 2 1 6 * 0 138*3 18*4 60.3 137.3 ft 1 5 4 . 5 60*2 38*4 iftsl 37*0 iftf '83*1 ft 8 4 . 6 2t*** 154.1 38*7 84*0 65.8 66.4 67.8 68.9 1 ! Oth«r CD's* 155.8 151*3 153.6 154*4 152.3 153.3 154*4 155*9 160*3 214.7 208.8 213.5 214.6 ! 67.7 67.8 68*8 69.1 Dflmtnd D t p o t l t f *. .. . — * - I | |I total 319*3 316,7 316.3 31*.2 321*1 321.3 324*6 323.* 327.2 387,1 393*9 397*9 402*0 408*2 410*1 413.3 412.9 Alt.6 | | M*4 88 a 85.3 332*8 331*9 342*9 ft 3 4 6 * 3 3ft *8 1 S1U3 B7»$ Bft.0 88*4 34^*1 343*0 343.4 430.0 431.1 431*9 1 343.2 141*8 433*3 432.8 i 44*»3 91*9 424.7 42 V . 1 430.9 R 432.1 i , I M I , I » I ini, M U L H IM H I M M I M M M Nonbank 1 Thrift 1 j Institutions^! 338.7 ! < i i 338,1 360.8 361,9, 360.3 360.3 361.1 £63.0 366.3 371.0 316.4 R382,7 ft 3 8 8 . 8 J I I 1 1 U 8 QOVt Demand^ b*0 7.6 6.1 b*^ 4*0 S*ii 3.1 3.3 4*e 4.0 3.3 3*8 4.1 WEEK ENDINGS I 9 7 5 - - - M A R . 12 19 26 APR. MAY | 1 69.1 68*8 68.S 2 9 16 23 30 P 68*7 69*9 69*4 68*9 68*4 7 P 69*7 1 | I W T O tSI*i Jit.t *l.l — — I4..J » 141.1 347.9 ifiinn 2.8 4.4 4.4 j R 431*3 It 4 * 1 * . 4*2 3.3 3.3 ft 4 * $ 3.1 431.9 6*9 1 432.2 mmmmmammmmmt. mmmmmt 1 / INCLUDES 111 DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC dOMMFRClAL 8ANKS AND THE U.S.GOVERNMENT, LESS CASH ITEMS IN THE PROCESS OF COLLECTION AND F.R.FLOATt <2l FORE ION DEMAND &ALANGES AT e.ft.BANKS* AND ( 3 ) CURRENCY OUTSIDE THE TEASUftY, F.R.BANKS AND VAULTS OP ALL COMMERCIAL RANKS* 2 / INCLUDES. IN ADDITION TO CURRENCY AND DEMAND DEPOSITS. SAVINGS DEPOSITS. tlME DEPOSITS, OPEN ACCOUNT. >ND TIME CERTIFICATES OF DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OP $100,000 OR MORE BY LARGE WEEKLY REPORTINO COMMERCIAL 3ANKS* 1 / INCLUDES M2. PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH WttOSITS OF MUTUAL SAVINGS BANKS. SAVINGS AND LOAN SHARES. AND CREDIT UNION $Hm&* 4 / INCLUDES H2t PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF $100*000 OR MORE* 3 / INCLUDES M3# PLUS NEGOTIABLE flME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINAtlONS OF $100,000 OR MORE* *0Tft ALL RATES OP CHANGE ARE BASED ON DAILY AVERAGE DATA! RATES OF CHANGE ARE NOT COMPOUNDED. http://fraser.stlouisfed.org/ c - oomcno Federal Reserve Bank of St. Louis