Full text of H.6 Money Stock Measures : November 9, 1972
The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
ifik FEDERAL RESERVE statistical release Table 1 For Immediate Release MONEY STOCK MEASURES UUVBIIIUBl IN Bll•LIONS OF DOLLARS Mo Date ^4»Wenqy)iut*> dej9**KfTJeposits1' I** I971--October 1 November December 1 227.7 227.7 228.2 1 458.3 460.8 464.7 711.6 718.1 727.3 737.4 745.9 752.7 758.8 766.1 774.7 781.6 788.4 n.a. Currency plus demand deposits1' 1 706.5 j 227,5 229.6 235.1 CD'sfr Not Seasonally Adjusted I I 458.0 461.4 470.2 504.0 504.8 504.9 505.4 241.5 242.2 242.9 240.8 503.7 504.4 505.6 503.8 505.5 243.1 506.4 469.9 475.5 480.1 483.0 486.1 490.4 495.0 498.3 501.8 505.2 Week ending: 1972--Oct. 4 11 18 25 p 241.8 242.7 242.2 242.3 242.0 ! j | i.Z> 1 "3 " 1 2 |M| plus time deposits 1 M 2 plus deposits at commercial banks 1 at nonbank, other than large j thrift institutions3'' 475.3 472.7 478.7 485.4 483.2 488.9 493.6 495.5 500.4 505.0 228.8 231.2 233.5 235.0 235.5 236.6 239.4 240.5 241.6 242.5 1 p "l 235.3 229.0 231.3 236.1 231.3 234.7 237.9 237.2 240.0 242.3 1972--January February March April May June July August September October p Nov. •i M i plus time deposits M 2 plus deports at commercial banks at nonbank other than large thrift institutions2/ - - CD's 8/ Seasonally Adjusted 7, 705.9 711.4 723.4 732.8 734.1 744.9 755.6 755.9 765.5 774.0 778.4 786.6 n.a. v includes {1) demand deposits at all commercial banks other than those due to domestic commercial banks and the U S Government less cash items in the process of collection and F R float (2) foreign demand balances at F R Banks and (3) currency outside the Treasury F R Banks and vaults ot all commercial banks 2/ Includes in addition to currency and demand deposits savings deposits time deposits open account and time certificates of deposits other than p - Preliminary negotiable time certificates of deposit issued m denominations of SiOO 000 or more by large weekly reporting commercial banks y includes M2 plus the average of the beginning and end of month deposits of mutual savings banks and savings and loan shares . - Not available n.a f | 9 t * M » # f # r * f | i « i t» m t * f # M i « t T«W.2 MONEY STOCK MEASURES Pffi f f H I CHAN6C AT i f A SON At IY AQJUSfEO ANNUAL RATES TJL •ST" Pffitftf M, M$ plui lifflt deposit £ufrt rtcy pint d i c i n g cJtpo^li^ othtr tMft large M? plus deposits at nonbank Ihriff institutions 2/ Cktobtr 1972 From: July 1972 (3 months previous) April 1972 (6 months previous) October 1971 <12 months previous) 5.2 6.5 8,2 9-2 n#a * 10i2 n.a. four weeks ending Nov* lf 1972 From four weeks ending* Aug, 2, 1972 (13 weeks previous) May 3, 1972 (26 weeks previous) Nov. 3, 1971 (52 weeks previous) 3.8 6.4 10,* I 6.3 i t < MMtfttttliitttti ^ »nc»udes (1) demand deposits at all commercial banks otherJhanthose due tojtfflfflttliau process of collection and F R float (2} foreign demand balances al F R Banks and O) currency oyfstde the '"Treasury F R Banks and vaults of aft commercial bfln|iB V includes m addition to currency and demand deposits savings deposits time deposit$#i negohabte time certificates of deposil issued in denominations of $100 000 Of ffloTl " includes M2 plus the avenge of the beginning and end of month deposits of muitfffl Note Ail rates of change are based on daily average dat$ r«tt^>f*«l||n^6 ar^ hot dompoi s j I ! w # i lififiLllSUlH^U^ GO^rnmenl—less cash Hems in The I p t m * oariif 190101,tirdeposiupther than fl^pfijercfa! banks rlngMnd loah Shares, '' n»a, Not a v a i l a b l e TO FEDERAL COMPONENTS OF MONEY STOCK? MEASURES AND RELATED ITEMS t SEASONALLY ADJUSTED, IN Bl|Llfl0N8*0F DOLLARS _ •„._„_JL.m..s_CT„J Currency Demand deposits H 5272 1 52.2 52.5 175.5 175.5 175.7 Date r ' I 52.8 53.2 53,7 54.0 54.4 . 54.7 54,9 • 55.0 55.5 % 55.9 176.0 178.0 Week endingii 1972--Oct. 4 11 18 25 p 55.5 56.0 55.8 56.0 186.3 186 8 186.3 186.3 Nov. 55.8 186.2 September October p / M J I j i » 1 j L 32".: i '33.^ > *, J 1 f ~* ' • 33.1; 334 179,9 " 1 33,4- 180.9 181.1 181.9 184.5 185.5 186". 1 186.6 1 34. f . ! 36.3 37.1 1 Other Total 230.6 233.1 236.4 263.3 265.3 269.9 241.2 244.3 , 274.4 278% 1 - 39.3 40,3 40.7 248.1 250.7 ~ 253.8 255.6 25.7.7 260.2 262.7 40.4 40.5 41.0 41.0 262.2 262.1 262.7 263.1 40.6. 263.5 38.1 ' J ' it' -.-32.1 I , j J Ttrrte and savings deposits -: CD's i1 1972—January February M l March April May June July i ;^ /I i 1971 — Oetober November December^ [ ~ 279.9 282.8 287.0 290.9 293.7 297.1 300.5 303.5 "^ 1 Nonbank 1 thrift institutions2^ 1 248.3 250.8 253.4 257.4 261.8 265.8 269.7 272.6 275.7 279.7 283.3 286.6 n . a. j 1 p r r j 302.6 302.6 303.8 304.1 304.1 L-Ut ^ J 1 ** & includes negotiable time certificates of deposit issued in denominations of $100 000 or more by large weekly reporting commercial banks ** f ?T> of beginning and end of month deposits at mutual savings banks and savings and ioans shares -* p - Preliminary r - Revised n.a. - Not available, t i O t * J U *t%A*4i »t#* t M r #* M M H t T*fc»t 4 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NO? ftCAfOfeAU* AOJuHtO *S includes negotiable ttme'certificates of deposit issuedTndenoS?!Rations of $100Ml ^ Average of beginning and end of montlji deposits at mutual savings banks and saving ^ US Government demand deposits at all commercial banks. _ t*f frlUiOHS Of UGlUftS p -''Preliminary r - Revised