Full text of H.6 Money Stock Measures : May 29, 1975
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#***•., <£££&' FEDERAL RESERVE FEDERAL RESERVE St*tl»tle»i R,l««i» H i $tati4tUal release For Immediate Release Tlbl« 1 MAY 29» MONEY STOCK MEASURES 1975 IN BILLIONS OF DOLL AW M2 Mi Currency Plus Demand Deposits!/ Date I! 276.6 277*6 280*0 \ 2ao*4 | i ms—JAN. FEB. MAR. APR. l?7^ *4 Mg | r^r- M) Pius Time MaPius Deposits at M2Plus ! M3Plus Deposits at Commercial -Nonbarik large Large Negotiable ~~ BdfikT~~ Negotiable Thrift i CD's*/ CD*a# Other Than Institutions^ Large CD'aff ** HAV JUNE JULY AUG. SEPT. OCT. NOV. DEC. | 280.5 280*7 281.6 263.6 284.4 589*4 591 .6 **7.1 599.6 601.9 603.4 607*6 611.6 613.5 948, d 955*9 959*8 962*7 965*0 970*7 976.9 981.7 262.2 263. 5 286.1 287.1 615*5 620.3 626.4 630.4 987*0 995.6 1007*2 R1017*1 266.7 627.2 711.4 286.2 287.4 287.1 266.4 286.5 628.2 629.9 630*4 629.9 631*0 718.4 719.3 719.0 717*7 718.2 j *»' | M4 Mt PlusTima j M2Plus M2Plus Currency Deposits at Deposits at Largi Commercial Non bank Plus Banks Negotiable Demand Thrift _, Deposits^ Other Than Institutions^ CD's* ! Large CO'sff r Seasonally Adjusted Ma M5 M3P1W. Large ( Negotiable CD'aJtf Not Seasonally Ad uated 665.3 666*9 676*2 681*9 685.5 689.0 694.5 696.8 709.1 1024.0 1025*5 1037*0 1M43.8 1045*8 1049.5 1056*2 1059.9 1075.5 713.4 707.1 714.0 720.6 1084.4 1082.5 ! 1096.7 ! 1109.5 663*3^ 670.2 678*4 683.2 665*7 666.2 693*6 697*1 703*8 1019*8 1027*3 1037*2 1043.4 1046.4 1049*9 1056*9 1062.4 1072.0 279*2 272.9 276*2 280,0 277*3 278.9 261.2 265.1 292.3 593.5 589*7 596*5. 599.2 596.4 600*3 605*7 609*8 618*6 708*3 712*4 716.2 718*6 1079.6 1087.6 1097*0 1105*4 289.3 280.4 283.3 288.7 621*5 617*9 625*9 634*6 1 28U6 J624.% 713.2 ! I 284.7 290.5 292.4 288.5 283.3 629.6 636*1 638*5 634.8 630.4 717.9 72 3 . 4 724*4 719.9 715.0 R 264.4 285.3 284.6 R 632*5 R 635.2 635.4 R 716.4 719.5 720.0 | 1 952*2 948*3 957.4 961*1 958.7 960*8 967*4 972*8 985.1 992*4 993.3 1008.6 ft 1 0 2 3 . 7 1 WEEK ENDING! 1975—MAR. 26 APR. NAY 2 9 16 23 10 T 1* P 21 P i j i R 286.0 289.0 289.9 m W C C W K 111 oEHA «njp?B5TTs 2/ 3/ 4/ & 633.3 P 636.1 637.7 |R T 1 9 . 6 |R 7 2 2 . 3 723.7 1 AT ALL COW !5 STUB TH IN THOSE DU \ Tfl BBBHTIC COMMERCIAL BANKS AMI 1HI U.S.KOVERNHfeNf, LESS CASH ITEMS I N THE PROCESS OF COLLECTION ANO F.R.FLOATf 12) FOREIGN DEMAND BALANCES AT F.R.BANKS* AND 13) CURRENCY OUTSIDE TH1^T*¥ASURY. F.R.BANKS ANO VAULTS OF ALL COMMERCIAL BANKS. INCLUDES* I N ADDITION TO CURRENCY ANO DEMAND DEPOSITS* SAVINGS DEPOSITS* TIME DEPOSITS OPEN ACCOUNT, ANO TIME CER7IF2CATES OF DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF 1 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS. INCLUDES M2t PLUS THE AVERAGE OF THE BEGINNING ANO END OF MONTH DEPOSITS OF MUTUAL SAVINGS BANK, SAVINGS AND LOAN SHARES, AND 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. INCLINES M3» PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATION OF S 1 0 0 , 0 0 0 OR MORE. - PRELIMINARY* R - REVISEO 5 / http://fraser.stlouisfed.org/ P Federal Reserve Bank of St. Louis imm %m riOSSAL 8I8IRVE Statistical » • ! • • • • H S Tab!* 2 MONEY STOCK MEASURES PER CENT CHANG* AT SEASONALLY ADJUSTED ANNUAL RATES fr—— i Ljmjunm.miMurtjs.il. lull I I DATE . I . mm-**mmmmmmmmmmwmmmmmmm I Mi Plus Time Deposits at Currency Plus Commercial Demfhd Deposits^ Banks Other Than LargeCD's^ ii••Minimi in I I I . I I I I I I I I I W 3 M? Plus Deposits at Nonbank^Thrift Institutions^ i 1 M4 | MM Plus Large J Negotiable CD'§^ JAN* 1975 (3 MONTHS PREVIOUS! 6*9 9*t 12*2 OCT. 197* (6 MONTHS PREVIOUS) S*9 7,5 APR. 1974 (12 MONTHS PREVIOUS) s*s t.6 FES* 19* 1975 113 WEEKS PREVIOUS! 9*2 10 .5 S*t NOV. 2 0 , 1974 (26 WEEKS PREVIOUS! 4a ftftO tiS MAY 4*0 t.4 tiS M s Mj Plu$ U r g e Negotiable CD'*, 5*9 9^ 9.6 i.i 9.2 *•* 9.4 a»4 FOUR WEEKS ENDING* MtfY 2 1 * 1975 PROM POOR WEEKS ENDINGt 22i 1974 (52 WEEKS PREVIOUS! \mmmmmmimmmmmammm LttMMM^iMMiMMi«iHiMW«i^M«i 1 / INCLUDES I t ) DEMAND DEPOSITS AT ALL, COMMERCIAL BANKS OTHER THAN THOSE DUE TO 00MESTI6 eeNhtRfciAL BANKS ANb THE U.&.GOVERNMENT* LESS CASH ITEMS IN THE PROCESS OP COLLECTION AND P.R.PLOATl 12) PORE ION DEMAND lAUtN&ll A<T FtRtBANKSt AND ( 3 ) CURRENCY OUTSIDE THE TSASURV, P.R.BANKS AND VAULTS OP ALL COMMERCIAL BANKS. 2 / INCLUDES, IN ADDITION TO CURRENCV AND DEMAND DEPOStTSt SAVINGS DEPOSITS* TIME DEPOSITS OPEN ACCOUNT* AND TIME CERTIPlcAttS OF ? E 0 ! E I L 2 J ? f ? B 8 * " • • » « * • « • • * « « CERTIPICATES OP DEPOSIT t|j|UED IN DENOMINATIONS 9 > » l § d » 0 0 d Oft MORE BV LARGE WEEKLV REPORT8/ INO COMMERCIAL BANKS* I 5 S ! : S 5 H » 5 2 i ZHVJLI M6 * V e * * « 6 w ™ e MANNING AND END OP MONTH DEPOSITS OP MUTUAL SAVING* ft ANUS, SAVINGS AND LbAN SHARES* ANO CREDIT UNION SHARES. • / INCLUDES M2, PLUS NEGOTIABLE TIME CERTIPICATIS 8 * DEPOSIT ISSUED IN DENONtNATttMit W *166*Oft6 OR MORI. 5 / INCLUDES MS, PLUS NEGOTIABLE TIME CERTIPICATES OP DEPOSIT ISSUED IN DeN0MtNATtONi » 1 1 6 0 WO Oft HOftE http://fraser.stlouisfed.org/ NOTEt ALL RATES OP CHANGE ARE BASED ON DAILV AVERAGE DATA* RATES OP CHANGE A*E NOT CO^BUNDlbi* Federal Reserve Bank of St. Louis FEDERAL RESERVE Statistic*! R.I.M* H.S Tlblt I COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY ADJUSTED, IN BILLIONS OP DOLLARS [ Date Currency 1974--APR. MAY JUNE 63*9 64.3 64.6 JULY 64.6 AUG. 65.5 6**9 66.5 6? . 4 67.9 OCT. i J NOV. | DEC* 1975—JAN. FEB* MAR. APR. 1 ! [ 212*8 213*3 218*4 219*8 1 Other Total *3.9 312.1 314*0 311*1 319.2 321.5 322*1 386.7 392*5 396*4 402*8 63*6 81*8 64*6 86.2 65*9 90*3 426*0 426*9 430.0 431*1 371*5 375.3 380.8 386.6 i 214.0 JI 92*1 | 92*1 89*8 88*4 333.3 336*8 340*3 343.3 90*1 340.6 2 9 16 23 30 69.7 69*5 69*5 69.7 69.8 216.5 217*6 211.6 216*7 216*8 ? 14 P 21 P 69.8 70.2 70,4 R 218*2 218.6 219*5 360.7 325*9 328#0 329*1 ! 211*1 356.5 351.1 356*6 360*2 361*6 363.1 365.3 368*3 215.2 69 »5 409*2 & rin hank fiufTLfOFfn I WEEK ENDING! 1975—MAR • 26 APR. MAY 342*0 342*6 343.3 343.5 344.4 90*2 11 1 89*4 86.6 1 ! i 1 87.9 87*2 R 86.3 86.2 86*0 j R 345.2 347*0 347*6 430.7 432.2 432.0 431.8 431.4 431.6 ! 1 H 431.6 433.3 433.7 1 / INCLUDES NEGOTIABLE TIME CERTIFICATES OF OEPOSIT ISSUED IN DENOMINATIONS OP $ 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REP0R11NG COMMERCIAL BANKS. 2 / AVERAGE OP BEGINNING AND END OP MONTH DEPOSITS AT MUTUAL SAVINGS BANKSt SAVINGS AND LOAN SHARES* AND CREDIT UNION SHARES. P - PRELIMINARY* R - REVISED . Thrift Institutions17 401*5 412*1 413*6 419.4 216*2 216.5 214.7 216.6 211.5 1 CD^B^ 16*8 81*3 215.0 214.8 68.2 68.6 69*5 69.6 !I Tlmt irtd Savings Dapoiiu 1 Demand Deposits FEDERAL RESERVE Stitlltleif RtlMtl H 6 T.bl« 4 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED, IN BILLIONS OP DOLLARS M M ^ i ^ M » n n ^ n s H « P W i i M Date Dtmand D.potitt Currency 1974 — A H * , MAY JUNE JULY AUG. 63*5 64*1 64.6 65.3 65*7 OCT. NOV. DEC* 66*4 67*9 69.0 1975—JAN. FEB* MAR, APR. 61*8 67.9 66*9 69*2 Total1' Member 214*7 206.8 213*5 214*7 211*6 213*1 2lAiT 217.3 223*3 155. B 151.3 153.6 154*4 152.3 153*3 154*4 156*0 160.4 221.9 212.6 214.3 219.9 15B.9 132.4 154.1 157.6 66.6 213*0 68*8 70*0 69*5 69*1 68*5 213.9 220.6 222.9 219*3 214.B 69*9 70*2 70*1 i R214.3 J 1 j Time and Saving* Deposit Domestic 1 Nonmembwl] GD's# 56.2 54 .a 56.1 56*5 ! ! ! ti.B 77*2 19*6 82.B 87*1 86*7 86*8 87*1 90.5 56*1 56*6 57*1 37.7 58.9 5B.7 56*6 Other 315a 316*1 318*3 319^2 321*1 321*3 324*6 324*6 326*3 1 91*9 89*2 Total J Nonbank j U S Gov't Thrift I Demand^/ j Institutions^/] 387.1 393.9 391*9 402.0 408*2 410*1 413*3 4U.7 416*8 358*7 358.7 360*8 424*1 426*6 430*6 371*0 375*4 382*1 388*9 6.0 7.6 6*1 5*4 **0 5.5 3.7 3*4 4*9 ?*>»9# 360*3 360*5 361*1 363 #0 366*5 4.0 3*4 3*9 4*2 57.1 i M.e ; 8&a 85.8 332*2 337*4 342*6 346.1 153.1 56.5 88*4 343*2 43U6 4*5 155*6 19S.2 160*1 157*5 154*6 57.3 BtUl 59.1 60*6 j 59.0 57.1 •no S*.9 845 #0 345.6 346.1 346.2 347*1 433a 432*6 432.0 4*3 3*4 3.6 4*9 5*1 348.1 432*0 43**2 439*4 | | 1 432.0 JR 1 j WEEK ENDINGt 1975—MAft. 26 APR. MAY 2 9 16 23 30 7 14 P 21 P * 219*1 21*.5 R 194*3 154.1 153.* 37*4 5B.2 ft eft as a Hi6 * 8.^9 **** 84*6 a mwEkw* i*m 350.6 431*4 431.7 R l 7*1 3*1 3*9 1> \6Ui b ^ o i t r s IkLuoE, k! 1 AbPmoM WI H E MEHBE* WDDHW fl'c N O N M I 'SH0NN7 OEPC ISITS DUE Tl 3 FOREIGN AND INTERNATIONAL INSTITUTIONS AT F.A.BANKS AND HI t Y « BALANCE AT AGENGIBS AND BRANCHES OP FOREIGN BANKS. 2/ BASED ON MOST RECENT CALL REPORT SIN6LE-DAY OBSERVATIONS* 3/ INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS 3? M6O»600 OR MORE EY U R G E WEEKLY REPORTING COMMERCIAL BANKS. 4/ AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS* SAVINGS AND LOAN SNARES* AND CREDIT UNION SHARES. 9/ U.S.GOVERNMENT DEMAND DEPOSITS AT ALL COMMERCIAL BANKS. http://fraser.stlouisfed.org/ P - PRELIMINARY! R - REVISED Federal Reserve Bank ,^\~ of St. Louis