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FEDERAL

RESERVE

statistical

release

^rsi**"
FEDERAL RESERVE Statistical Releatfe H 6

For Immediate Release

Tabid 1

NOV,

MONEY STOCK MEASURES

1 3 . 19 7 5

IN BILLIONS OF ODLLARS
mmnmummmmmmmmmmmm

I

'rfh"

!
M*
|
*2
Mi Plus tin »j
MJPIUS
Currency Deposits at
Deposits at
Plus
ICommerual Nonbank
Demand ! Banks I Thrift
Deposits-!/ Other Than Institutions^/
Large CD's V

Date

|

*4

Mg"

1

1 M2Plus
M3Plus
Large
1 targe
Negotiable Negotiable
00*84/
CD'S*

M5
j"
M4 '
Ms'
Ml . i _M2
Mj Plus Time
M2Plus
M3PIUS
M? Plus
Currency Deposits at Deposits
at
Plus
Large
Large
[Commercial ! Nonbank
Banks
Negotiable
Negotiable
Demand
i Thrift
Deposits!/ Other Than Institutions*
CD's*/
CD's,*/
Large CD's#
Not Seasonally Ad usted

Seasonally Adjuited
IS / ,

|y

t -

ucn

Z61a*

607*6

970*7

693*8

1056*9

281.2

605#7

NOV.
DEC.

263*6
284*4

611*6

976*9

697*1

613,5

9m*t

703. r

106244
1072*0

285*1
292.3

609*7
61 A . 6

JAN*
FEB*
MAP,
APR ,

2B1.6
282*4
'285.0
?85*B
288.5
293*0
293.5
294.2
^294*7
294.0

614.6
619*1
625,1
623*9
635.9
646*1
650.5
653*7
656*3
658*5

986*3
994*4
1005*9
1015*7
1028.3
104**3
1055.9
1064.2
1070.7
1076.9

70/.6
711*2
714*6
717.3

1079*1
1086*5
1095*7
1104*1
1113*9
1129*4
1136.0
1142*2
1149*8
1156*1

288*6
279.4
282,2
287*3
2$3*7
291*1
293*1
290*9
292*B
293*5

620.7
616.7
624.6
633*3
634.1
645.5
650*1
650.0
652*7
656*5

295.5
295.4
293.5

656*5
6 56*8
654.B

734*6
735.5
734.5

294*5
296.3
289*4

654*4
655*9
649*1

736.5
738.2
732.2

293.7
293.4
294.7
294.3
r 292.5

655.8
656.3
659.1
659.0
658.0

736.7
737.9
740.5
740.0
r 739.3

290.5
293.0
295.7
293.9
r 290.4

651*3
654.8
659.0
657.1
r 654.1

735.4
739.1
742*9
740*6
r 737*6

295.7

661.9

74 3 * 0

298.0

MAV

JUNfr
JUIV
AUG*
VPt.
nr 1 % p

m»*

730.1
732.6
731.7
735.4
739*8

967*4
I

1056.2

972.B
985.0

694.5
696*8
709.0

1059.9
1075.5

991.7
992.1
1007.3
1022*4
1028,2
1047.1
1057.5
1060.2
1066 . 0
1073*5

712.7
705*9
712.7
719.1
718.2
727.9
731.4
731.1
735.4
740.2

1083.6
1081*4
1095.4
1108*2
1112.3
1129*4
11 38 . 8
1141.3
11*8.7
1157.3

WlFK fNOINGi
19?}- • - ^ t P l . 1 0
17
24

OCT.

1
P
l

"

22 P
29 p
NOV.

«1 1 H

l /

2 /

3 /

H

1

1 ••

*> P

•

1

*

.

1

if

••ini.i

„, r

,.i ,

,i

I MnM ,f M M M, B, M• H• H• B• B f k^ B B M
11 ^ ^ * M II* ^- * T
^ « 1ir 11111 m i - IT

•••!•

661.5

I

11

744.4

>

it

1

1

^ c r ^ / c C 1 ! O E M * N C , " P O S n S At A l l COMMERCIAL BANKS OTHER THAN THOSC DUE 10 DOMESTIC C0MM6RCIAL 8ANKS AND T n t U.S
j.GOVtRNMENT,
k P R C f e S S 0h
t l : Kit
?
P
COLLECTION *Hpf#.
FLOAT, ( 2 ) FOR* 1GN DEMAND BALANCES AT F . A . BANKS J ANO ( 3 ) CUkft]
CUkftfcNCY OUTSlUt
i H f IfttASU^Y, f.K.BANKS m t ) - V * U c n " O F - A r t tOMMr«CTAL BANKS*
n ^ ^ ? l c ' I N * 0 C , n C N 1 0 tURRfNCY ANC OEMANO DEPOSITS, SAVINGS DEPOSITS, TIME DEPOSITS OP£N ACCOUNT, AND TIME CESTJ FIC A l t S OF
1
i l ^ l THAN NtGOTlABLt TIM? CERTIFICATES OF DEPOSIT ISSUEO I N DENOMINATIONS OF HOC, , 0 0 0 OR MORE BY LAR&Tf WEEKLY REPORT1'iv. LUHHtKLlAL ftANKS*
J^rV^M^ri

twUhIHf

AVtRAGt

0F

l H f

BEGINNING ANO ENC OF MONTH DEPOSITS Of MUTUAL SAVINGS BANK, SAVINGS AND LOAN SHARfci, ANO

t / IJEf'JEic 11' l\?\ ! ! ! ^ l l * B " I 1 " « R T I F I f » T l S ° F 06P0SIT ISSUtD IN C ENOHINAt IONS OF .100.000 OR MOR t .

I
»o ? ^ .
NECGTIABLfc T l * l CfcRT 1F1CAU S Of OfPHSIT I S i U t D I N D£ N0MIN4T I ONS OF 1 1 0 0 . 0 0 0 OR MORE.
http://fraser.stlouisfed.org/ r - PR E L I Ml N AP Y , R - R E V I S E D
Federal Reserve Bank of St. Louis

r C O C R A l RESEfiVf

SU\\%\\t»\

P P U ,«,*> M '

MONEY STOCK MEASURES
Pi R f ENT CHANGE AT SEASONALLY ADJUSTED ANNUAL KATES

]

Mj

f-

o
Mi P l u

DATE

\m~—m

)(T#

III!

•••MIIL-L-JL

I

«—

IIUlltfllllAill Mil

1

M

3

I

M5

I i pp

D e p o r t - , at
M, F J S Deposits
Commercial
at N o n b a n k ' T h r i f t
7
Demand Of posits- ! Banks Other A ban |
Institutions-^
Large C D ' ^ / _ |
Currency

M4

f

Plus

M 2 Plus Large ^ 1
Negotiable CD's

Mg P l u s L a r g e
Negotiable CD s v

—•—Wi^**«*a*ILlWfJ

MUMJ

J

PP#

1V7^

U MONTHS

)C7«

$S7A

(1?

(tun

|

r

MONTHS

WfcfKS LNLINGJ

NOV,

nttVuU

1

)

PktVIGUS)

5

f

<*.9

8*0

I #9

i a

5.7

9.t*

12.1

6»3

9.8

4,4

B#<*

10.9

e»6

9*6

1<*7*>

Ur .

(*, ] < r 7 M M

WHK^

PREVIOUS)

OoT

AY

7 , l<4lbi2t

WEEKS

PkfcVlDUS)

6,0

GVe

6 , 1<=7M<>2

WEEKS

PkfcVlOUb)

t#4

4*8
!

V#5
8#«

4 »M
6*6
6*7

.
. . . . . . .
._.__|J_
... - .
— •
•
• •L M n M H• M M H M M
^^z^zzM**^****^^^^^^
.
fc^^.^—.
_
__
i i M B l tmmmmmmmmmoutmmsmKm
•MMWIWmnM^PMMMMMMMMHi
INCLUDES ( U LEtfANU D l P U b l T S *T ALL COMMERCIAL dANKS OIHfcR THAN THOSE DUE TP JpOMfe&tJC COMMERCIAL &ANKS ANU THE U*S.GOVfcRNMENT»
L T S ^ C A S H ITEMS I N T H E p p f J C f S j OF L U L L E C T i n N AND F . R . F L 0 A T *
< 2 I FOREIGN DEMIAND BAkANCiS, A t F . R . B A N K S I AND < 3 ) CURRENCY U U T M U E
THF TEASUKYt f - ; R , B A N K o AND V A U t l ^ Or ALL COMMERCIAL BANKS*
2/
I N C L U D E S * I N A D D I T I O N To CURRENCY AND Db HAND Dt PO$ I T S t SAVINGS D E P O S I T S t , t IjMg D f i P D S l f S OPEN ACCOLftfTt AND TIMfc CERTTFjICATE 5 OF
D E P O S I T S OTHER THAN NEGOTIABLE TlM_t CERT I F J e m s J3JL_BEPJQUT I S S U E D < I N DfcNOWMAtrONS OF U O O t O O O OR MORE BY; LARGE WEEKLY R E P O k T ING COMHEPCIAL B A N K S .
U
INCLUDES M ^ PLUS 1HE AVERAGE OF 1HE & * G I N N J N t AND END OF MONTH D E P O S I T S OF| JfUTDAL S A V I N G S B A N K S , S A V I N G S AND LOAN SHARES, AND
C R E D I T UNION :>l-ARES»
f/
INCLUDES M 2 i PLUS N E G O T I A B L E T I M E C F j n J F K A T E S OF DEPOSIT I S S U E D I N D E N O M I N A T I O N S OF 1 1 6 6 * 0 0 0 OR , M U R E *
b / INCLUDES M3» PLUS Nfc&OTlAbLF T1MF C t M J f l C A T E S OFv D E P O S I T I S S U E D I N D F N n M l N A T l Q N S OF $ 1 0 0 * 0 0 0 OR M O R E .
NOTt:
ALL RATES OF CHANCT- ARE E'ASEO ON D A I L Y AVERAGE D A 1 A ; RATES OF CHANCE AHE NOT COMPOUNDED.
|

1/




1

FEDERAL RESERVE Statistical Release H 6

Table 3

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

|
Date

Currency

Time and Saving* Oepoilts

Demand Deposits
CD'fi^

Other

Total

Nonbank
Thrift Institutions 27

1974—OCT.
NOV.
DEC.

66.5
67. 4
67.9

215.2
216.2
216.*

86.2
85*5
90.i

32f>.9
32ft . 0
329..1

4|2.|
413.5
419.3

363.2
365.3
360.2

1975--JAN.
FEB*
MAR.
APR.
MAY
JUNE
JULY
AUG.
SEPT.
OCT. P

66*2
68.7
69.4
69.5
70*2
?t-.i
71.4
71.9
72.0
72.6

213.4
213.7
219.6
216.3
218.3
221.9
222.1
222.3
212ml
221.4

9**T
92*1
89.8
88.4
8**5
84.1
82*1
78*0
79„1
61.3

333.2
336.7
340.1
343.1
347.4
353.1
337.0
359.4
361.7
364.5

426*0
428.8
429.9
431.5
432*9
43t*l
439*1
437.4
440.T
445 . 8

371*5
373.3
380.8
366*6
392 . 4
399.2
405.4
410.5
414.4
418*4

71.9
72*1
72.1

223.6
223.4
221.4

76.1
78.7
?9.7

361.0
361.3
361.3

439.1
440 *0
441.0

22U7
22WO
222.1
221.9
t 219.9

80.9
81.6
61.4
81.0
81.3

362.1
362.9
364.4
r 364.6
t 365.3

443.0
444*3
443.6
445.7
t 446.7

|

|

j

I

WEEK ENDING*
1975~SEPT»1G
17
24
OCT.

1
e
15
22 P
29 P

NOV.

1/

$ P

72*0
72.5
72.6
72.5
72.7
7*.B

E
i

222.9

61.1

366.2

447.3

INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF 1 1 0 0 , 0 0 0 OR MORE BY LARGE MEEKLY REPORT-*
1NG COMMERCIAL BANKS.
2 / AVERAGE OF BEGINNING AND END OP NONtH DEPOSITS AT MUTUAL SAVINGS 8ANKS, SAVINGS AND LOAN SHARES, A t t CREDIT UNION SHARES.
P - PRELIMINARY;
R - REVISED




rrmnki msrm statural R****^

H

*

Table 4

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
NOT 5EASONAILY ADJUSTED IN BILLIONS OF DOLLARS
f =

•

TT

l l l i T l H i l B M l l U l l nllillB

I l l Will 11 III

••

1 '"I

"Ill

Demand Deposits
Oat*

!

C u? f P i< y

y

U)\M

66*4
67.9
69,0

1974--UCT*
NOV*
nil*
1<?|S--JAN#
f- t « .

!

APR*
MAY
JUNt
JULY
AUG.
5FP7.

oci,

WfFK

j

p

!

1

i

!

I
1

Total

j institutions47!

U S

Gov't

Demand-^

| H I - 1.IIJ •..l.llll"ITlll

Bft.fc
H7.1
9 0 . ft

3*4*6
324*6
326*3

413.3
411.7
416.7

361.7
363*0
366.5

i.J
3.4
4.9

50.5
56.1
56.2
57*7
56*9
59*2
59*0
59.5
60*3
60*9

9i *9
89.2
08*1
B5.6
84*1
&2*3
61*3
BUI
fc»2*7
83*T

332.1
337*3
342.4
345.9
350*4
354*4
357*0
359*1
359*9
363*0

424.0
426.5
430.5
431.8
434.5
436*7
438*3
440.2
442.6
446.7

371.0
375.4
382.7
389.1
394.1
401.5
407.4
410*2
413.3
417*1

4.0
3.3

220.9
«?21.0

15B.0
152*3
153*9
157.5
154.0
157.7
158.3
156*3
157.5
157*1

61*2
6 h l
99*5

82*1
32*2
83*1

359*9
359*6
3 59*6

442*0
441.8
442*8

&9*a

84*1
84*2
03*9
tJ3.5

444,9
446*1
44**2

c ai*5

360*0
361*8
£63*3
363*2
t363*7

446.7
r 447*2

£2*8

363*6

446*4

ai*o

71*9
72.2
71.9
72. 5

{

Nonbank
Thrift

57.1
57.7
58.9

220.9

69.1
70.0

Other

I

i54.4
156.0
160*4

21*.7

?n*3
223.3

6 7 • ft
67.0

71*2
!

j
!

Domestic
NonmerobeM

Member

Time and Savings Deposit

I

213. 4
2ie.2
213.7
2 19.9
221.1

2ie. 7

!
|
'

!
|
I
j

!
1

j

3*a
4.0
4.1
4*1
3.3
2.6
3*8
3.3

|

£ND!N(>1

i97*--sm.io

1

n0i

n

1

72.1
71.6

221.L
224*3
217.9

15?.»>
160.2
155*3

22 P
29 P

71.?
7?.9
72.9
72.5
71.9

219.2
220.1
222.6
221*4
r 218.6

136.7
156*2
150*1
157*3
; r 155.5

5 P

72.9

?A
OCT.

i
0
15

NOV*

225.1

160.3

60*8
61*7
61.2
t 60*1
61.5

mmmmmmmmiwr\ i••jriTinmiiriTWTBmon) LLIIIJ-U!1.

•

3.2
4.3
4.6
3.5
4*0
3.0
3.6

I
1
|

1

1

r

^.8

3.3

S t l t NONMfcM?MIf< D * P t i W t 8 S^OWNi DfcP05J7S DUE 7 0 FOREIGN AND
1N7ERNA110NAL INSTITUTIONS AT F.R.BANKS AND Ml TYPfc BALANCES
ES At AGSNCl&S AND &KANfcH£$ OP FORfclGN BANKS.
1/ BASED ON MOST REUNT CALL REPORT SINGLF-OAY OBSERVATIONS,
3 / INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED
DENOMINATIONS 0> 1 1 0 6 * 0 0 0 OK Mt)R6 BY LARGE WEEKLY
REPORTING COMMERCIAL BANKS.
A/ AVERAGE OF BIG1NN1NG AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS* SAVINGS hH\> LOAN SHARBSt AND CREDIT UNION SHARES*
V U.S.GOVERNMENT DEMAND DEPOSITS A! ALL COMMERCIAL BANKS*
P - PRELIMINARY;
R - REVlSLt