Full text of H.6 Money Stock Measures : November 6, 1975
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FEDERAL RESERVE statistical release FEDERAL RESERVE SUtlitlcal Releata M.6 For Immediate Releaie HMm 6* 1975 MONEY STOCK MEASURES IN BILLIONS OF DOLLAM *1 1 «t 1 M3 1 *4 M8 1 M| Plus Time] MaPlus Currency Deposits at MaPlus M3Pius Deposits at Plus Commercial Large Large Nonbank Demand Banks Negotiable Negotiable J Thrift Deposits.!/ Other Than CD>*# CO'ii/ Large CD's 2/ Institutions^ Date mmmmmmmm »l 2*0*7 201*6 283.6 264.4 NOV. DEC* 197 5 — J A N . FEB. MAR. APR, MAY JUNE JULY AUG. SEPT. 281*6 282.4 265*0 285*6 268.5 293,0 293*5 294.2 294*6 j j 601.4 607*6 611.6 613*5 • 614*8 | j j 619*1 625*1 626*9 635*9 646*1 650*5 653.7 656*3 1 1 WQ 1 *•» M) PlusTima MJPIUS M2Plus Currency Deposit! at Deposits at Large Commarelii Nonbank Plus Banks Dtmand thrift ._, Negotiable CD's* DeposltsV Other Than, Institution^ Large CD'»# MjPlus Large Negotiable CD'si* Not leasonaliy Ad usted Si atonally Adjusted im«$|PT. -nr" «66.0 666.2 1049*9 278.9 600*3 960*6 970 VT 976 • ? 96l*t 693*6 697*1 703.7 1056*9 1062*4 1072*0 281.2 285tl 292*3 605.7 609.7 618.6 967.4 972*6 965*0 669*0 694*5 696*6 709*0 986*3 994*4 1005*9 1015*7 1020*3 1045*3 1055*9 1064.2 1070.7 707*6 711.2 714*8 717*3 721*5 730.1 732*6 731*7 735*4 I0t9*l 266.6 279.4 262.2 267*3 2^3*7 291.1 293.1 290*9 292.8 620*7 616,7 624*6 633.3 654*1 645.* 660.1 650.0 652.7 991*7 992 * t 1007*3 1022*4 1028*2 1047*1 1057*5 1060*2 1066*0 712*7 705*9 712*7 719*1 718*2 727*9 731.4 731*1 735.4 292*2 294*5 296*3 269*4 651*6 664*4 655.9 649.1 733*3 736*5 738.2 732*2 290.5 293*0 r 295.7 | 293.9 290.8 651.3 654.8 659*0 t 657.1 653.7 735.4 739.1 r 742*9 r 740.6 737.3 1086*5 1095.7 1104*1 1113*9 1129*4 1136*0 1142*2 1149.8 j 1049 *5 1056*2 1059*9 1 1075*5 1 1 1083*6 1081.4 1095*4 1106.2 1112*3 1129*4 1136.8 1141.3 1148*7 WEEK ENDINGt 1975—SEPT. 3 10 17 24 OCT. i 8 1* 22 P 29 P 295*4 295.5 295.4 293.5 293.7 293*4 r 294.7 294.3 292.9 I 656.0 656*5 656.8 654*6 733.1 734*6 735*5 734.5 655.8 656*3 r 659.1 r 659.0 657.6 736.7 737.9 r 740*5 r 740.0 738.9 i 1 OEPO 1 AT AIL tflJ I W - d M K T^ IAN THOSE ~B ;E T O D O M E y fit MHMiBEfAL BAMKS AN5 TH6 U*8»RW«N«»II» LESS CASH 1TEHS I N THE PROCESS OF COLLECTION AND F.ft.FLOATt (2» FOREIGN DEMAND BALANCES AT F .R.BANKS I AND 13) CURRENCY OUTSIOE THE TREASURY* F*R.BANKS AND VAULTS OF ArCt COMMERCIAL * A N * t S . 2 / INCLUDES* I N AOOITION TO CURRENCY AND DEMAND OfcPOSITS* SAVINGS DEPOSITS, TIME DEPOSITS OPEN ACCOUNT, ANO TIME CERTIFICATES OF DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUEO I N DENOMINATIONS OF 6 1 0 0 * 0 0 0 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS* 3 / INCLUDES M2» PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH DEPOSITS OF MUTUAL SAVINGS BANK, SAVINGS AND LOAN SHARES, AND CREDIT UNION SHARES* 4 / INCLUDES H 2 , PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUEO I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE. 5 / INCLUDES M3, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE, P - PRELIMINARYt R - REVISED http://fraser.stlouisfed.org/ 1 / TNCLuBtS t \ \ BSH IND Federal Reserve Bank of St. Louis ta«e»t-ftti FtOESAl RESERVE gtaiistici! R t i f i M H 6 T#bt* 2 MONEY STOCK MEASURES PEH CENT CHANGE AT SEASONALLY ADJUSTED ANNUAi RATES P ——^^* M • ' — • ^ ^ ^ » — — • mmmmm—m—mmmmmmUmmmmmmmmmt _ M2 Mt Plus Time Deposits at Currency Plus Commercial Demand Deposits*^ !Banks Other Than Large C D ' s ^ DATE " * 3 ]' M? Plus Deposits at N o n b a n k ' T h n H institutions^ M^ M M 2 Plus Large A\ Negotiable CD's ' 5 Ma Plus Large Negotiable C D ' s ^ L—^.J-L .ijiiiniL— - -i '-i.nnnrrni.wrr SEPT* FROM! JUNE 1975 (3 MONTHS PREVIOUS) 2*2 6*3 9.7 2*9 7*2 MAR, 1975 (6 MONTHS PREVIOUS) 6.7 10*0 12#9 $.B 9*9 6.8 11*0 6t9 9,5 SEPT* 1974 (12 MONTHS PREVIOUS) FOUR WEEKS ENDING* OCT. 29* FROM FOUR WEEKS ENDING* 1 5,0 197$ JULY 3 0 , 1975(13 WEEKS PREVIOUS) 0*7 4.6 3*6 APR. 3 0 , 1975(26 WEEKS PREVIOUS) 5.8 9.3 6.2 OCT. 3 0 , 1974(52 WEEKS PREVIOUS) A*3 8.9 6.6 mma^mmmmmmmmmmmmimm \mmmm**mmmm*mmtmmmmmmi 1/ INCLUDES ( 1 ) DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC COHHiKfilAL BANKS AND THE U#S#G0VERNMEN7» LESS CASH ITEMS IN THE PROCESS OF COLLECTION AND F.R.FLOAT; 12) FOREIGN DEMAND BAMNGBS AT F.R.BANKSt AND ( 3 ) CURRENCY OUTSIDE THE TEASURVt F.R.BANKS AND VAULTS OF ALL COMMERCIAL BANKS. ,,,.2 / INCLUDES, IN A D D I T I O N S CURRENCY AND DEMAND DEPOSITS* SAVINGS DEPOSITS* TIME OiPOMTS OPEN ACCOUNT* AND TIME CERTIFICATES OF DEPOSITS OTHER THAN NEGOTIABLE TIME-CERTIFICATES-0FDEP05IT-ISSUED JN DENOMINATIONS OF SlOOfOdO ORLMORE-BV-LARGE WEEKLY REPORT ING COMMERCIAL BANKS. 3 / INCLUDES M2f PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH DEPOSITS OF MUTUAL SAVINGS BANKSt SAVINGS AND LOAN SHARES* AND CREDIT UNION SHARES* 4 / INCLUDES M2. PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT I S * * Q I N DENPMfNATildNS OF SIOOJOOO OR MORE. W INCLUDES H3* PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT t$&Bt> I N DENOMINATIONS OF S i d M O O OR MORE. NOTE! ALL RATES OF CHANGE ARE BASEO ON DAILY AVERAGE DATAl RATES OF CHANGS ARE NOT COMPOUNDED* FEDERAL RESERVE Statistical Release H.6 Table 3 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS 1 Nonbank . Thrift Institutions^ Demand Deposits Currency Date Time and Saving! Deposits CD's^ Othsr Total 1974--SEPT. OCT* NOV* OEC* 65*9 66*5 i 67*9 | 216*5 64*8 86*2 85.5 90*3 1 9 7 5 — JAN* FEB. MAR. >PR. MAY JUNE . JULY* AUG, SEPT. 68*2 68*7 69*4 69*5 70*2 71*1 71.4 71.9 72*0 { ! ! 213*4 213*7 215*6 216*3 210*3 221*9 222*1 222*3 222*7 92*7 .92*1 89*8 88*4 85*5 84*1 82*1 78*0 79*1 333*2 336*7 340*1 343*1 347.4 353*1 357.0 359*4 361*7 223*4 223*6 223*4 221*4 77.1 78*1 78.7 79*7 360*6 361*0 361*3 361*3 437.7 439.1 440*0 441 . 0 221*7 22U0 222*1 221*9 220*2 60*9 81*6 81*4 r 81*0 81*3 362*1 362*9 364.4 r 364*6 364.7 443*0 444.5 445*8 r 445*7 446*0 2i4*a 2Tra 1 || | ! | 1 322*7 325.9 328*0 329*1 > 1 407.5 412*1 413*5 419*3 361*7 363*2 365*3 368*2 426*0 428*8 429*9 431*5 432.9 437*1 439*1 437*4 440 . 7 371*5 375*3 380*8 386*8 392 * 4 399*2 405*4 410*5 414*4 | i! ; WEEK ENDING: 1975—SEPT. 3 10 17 2* OCT* | 1 8 15 22 P 29 P 72*0 71*9 72*1 72.1 72*0 72*5 72*6 r 72*5 72.7 1 i j INtLUBES NJ&ATMBLE TIME C E R t l F l d l t k S ' 3F DEPOSIT ISSUED I N DENOMINATIONS 0 F $ 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS. 2/ AVERAGE OP BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKSt SAVINGS ANO LOAN SHARES* AND CREDIT UNION SHARES. p - PRELIMINARY; R - REVISED V rtbtRAL RHEftVi Ittttitlctl Rtl»w» H « Tiblt 4 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS >w^< n u L mm miun JIII i 1.1 mi ii ii in .it J i i n i| Dtmind Depoiltt Currency Date 1974—SEPT. act* i NOV. DFC. FEB. MAR. APR. ! jum JULY AUG* SEPT. WEEK 65*8 66.4 67*9 69.0 ! 1 67*8 67.6 68.B 69.1 70*0 71*2 71*9 72.2 71*9 MAY Total [ j 17 Member 213.1 214*7 217*3 223*3 153,3 154*4 1*6*0 160*4 211*6 213.4 218.2 213*7 218*7 220.9 152*3 153.9 157*5 154*0 157.7 158*3 156*3 157.5, 220*3 221.8 224*3 217*9 157.3 157»5 160*2 155*3 Vl9*9 ^ai*l Time and Saving* Deposit 1 Domestic | Nonmembet** 56.6 57*1 57.7 58*9 Other CD's^ 1 58*5 56*1 56.2 57.7 56*9 59*2 §9#fc 59*5 1 i 60*3 | J Nonbank 1 U S Gov't Demand^/ Thrift Institutions^! Total 88.7 88*8 87*1 90*5 321*3 324.6 324.6 326*3 410.1 413.3 411*7 416.7 360.5 36U7 363*0 366.5 5.5 3.7 3*4 4.9 91*9 89*2 88.1 85.8 84*1 82.3 81*3 332.1 337*3 342*4, 424.0 426*5 430*5 431.8 434.5 37L0 375.4 382*7 389.1 4.0 3.3 3.8 4.0 4.1 4*1 3.3 2.6 3.8 345.9 350.4 354*4 357*0 359*1 359.9 61.1 62*7 436.7 438*3 440.2 442.6 j | j 394*1 401*5 407*4 410.2 413*3 1 > ENDING! 1975—SEPT* 72*0 72*7 3 10 oci. 24 n 72*1 71*6 i 71*2 219*2 1*6.? e 72.9 T2.9 ^72*5 220.1 | j r222.ft i 221*4 1 218.9 156*2 t158*1 157.3 155.7 15 22 P 29 P [ 71*9 1 . . . i. 1 59.8 61.2 j 61*1 59*S 59.3 j 60*$ 61.7 6U2 60.3 81.5 §2*1 B2*2 83.1 64.1 84.2 *f** f tips 83*6 | 1 359*6 359*9 359*6 359.6 441*1 442.0 441.8 442*8 2.7 3*2 4*3 4*6 360*9 361*8 363*3 f363.2 362.9 444.9 446.1 447.2 r446*7 446.5 3*5 4*0 3.0 3*6 2.9 1/ TOTAL OEPOSITS INCLUDE, IN ADDITION TO THE MEMBER AND DOMESTIC NONMIMi DEPOSITS SHOWN, DEPOSITS DUE TO FOREIGN AND INTERNATIONAL INSTITUTIONS AT F.R.BANKS AND Hi TYPE BALANCES AT AGENtit AND B&ANtH&S OP FOREIGN BANKS. 2/ BASED ON MOST RECENT CALL REPORT SINGLE-DAY OBSERVATION* 3/ INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DINDMXNfctttWi W W(»0tOOO OR MORE BY LARGE MEEKLY REPORTING COMMERCIAL BANKS* 4/ AVERAGE OE BEGINNING AND END 0^ MONTH DEPOSITS AT MUTUAL SAVINGS BANKS. SAVIN6S AND LOAN SHARESt AND CREDIT UNION SHARES. 5/ U.S.GOVERNMENT DEMAND DEPOSITS AT ALL COMMERCIAL BANKS* P - PRELIMINARY; R - REVISED