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FEDERAL

RESERVE

FEDERAL RESERVE Statistical Releaye H 6

statistical

release

Per Immediate Release

Table 1

OCT* 16# 1975

MONEY STOCK MEASURES
IN BILLIONS OP DOLLARS
M p M N M M i t e M H M i h M mmmmm*mm

",

M

a "j

M3

T-|

Mj Plus Time
M?Plu*
Ma Plus
Currency Deposits at!
Ma Plus
Deposits M
Pius
Commercial Nonbank
Large
Large
Negotiable Negotiable
Demand
Banks
Thrift
j
Deposits^/ Other Than
CD***/
CD't#
Large CD's a/ Institution^

Date

nr"]

My 7 1

Ma

NOV.
DEC.
1975—JAN.
FEfc.
MAR*
APR*
MAY
JUNE
JULY
AUG*
SEPT. P

;
|

2B0*t

603.4

965i0

606.2

263*6
2B4.4

611.6
613.5

976.9
9B1.7

6^7.r
t03.7

966*3
994.4
1005.9
1015.7
1028*3
1045.3
1055.9
1064.2
1070.6

707.6
711.2
714.B
717.3

27B.9
2 6 1 *?
2B5.1
292.3

1049#9
1056.V
1062.4
1072.0
1079,1
1066.5
1095.7
1104.1
1113*9
1129.4
1138.0
1142.2
1149.9

i

266*6
279*4
262.2
2B7.3
263*7
291.1
293*1
290.9
r 2*2.9

620*7
616*7
I
624.6
633.3
634.1
'
645.3
650.1
650.0
| r 652.*

293.1
293.*
29*.9

652.5
653.2
665.6

731.1
731.1
732 . 5

291.3
291.0
269.1

295.4
295.5
295.4
* 293.5

656.0
656.5
656.B
654 . 6

733.1
734,6
735*6
t* 7 3 4 . 5

292.2
294.5
296.3
269.4

651.B
654*4
655.9
r 649.1

655.B
655.5

r 736.7
737.2

290.3
292 . 4

r

m *5

960*6
96f*4
972*8
965*0

600*3
60?*?
6 0 9 #7
616*6

614*6
619.1
625.1
620,9
635.9
646.1
fc50.5
653.7
r 656.4

730.1
732.6
731.7
r 735*5

M*

Not Seasonally Ad ueted

2B1.6
282.4
285-0
265.8
2BB.S
<!93.0
293.*
294*2
t 294*7

j

-HSTH

M, Plus Time
M2 Plus
M 3 Plus
MaPlus
Currency ! Deposits at Deposits at
Plus
Commercial Nonbank
Large
i
Large
Banks
Negotiable | Negotiable
Demand
Thrift
„
Deposits^ Other Than; taatttutlons*
CD'*0
CD'stf
Large CD's*

8«aienally Adjusted
nn—stpi*

M*

1

i
i

991*7
992.1
1007.3
1022*4
1026*2
1047.1
1057.5
1060.2
1066.1

669*0
694*6
696*8
169*0

1049.3
1066.2
10&9.9
1076.3

712*7
703.9
712*1
719.1
716*2
727*9
731*4
731*1
r 735.6

1063.6
1081*4
1095*4
1106*2
1112*3
1129*4
1136*6
1141.4
1148*6

[

1

WEEK ENDlNGt
1 9 7 3 — A U G . 13
20
27
SEPT.

OCT.

3
10
17
24
I P
B P

*

293.7
292*8

r

i
1/

r

650*7
650.0
646*2

651.3
654*0

731*8
731.1
729*2
733*3
736*5
736*2
t
Jhl*Z
1 * 733*4
736.4

r

INCLUDES ( 1 1 DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE OUE TO DOMESTIC COMMERCIAL BANKS AND TMt U.8.GOVERNMENTt
LESS CASH ITEMS I N THE PROCESS Of COLLECT 10IT AND P*R.PLOAT| t2> FOREIGN DEMAND BALANCES AT P.R.BANKSt AND 13 3 CURRENCY 0VTS106
THE TREASURY, P.R.BANKS AND VAULTS OP ALL COMMERCIAL BANKS,
2 / INCLUDES* I N ADDITION TO CURRENCY AND OEMANO DEPOSITS, SAVINGS OEPOSITS* TIME DEPOSITS OPEN ACCOUNT. A W TIME CERTIFICATES OP
DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUEO I N DENOMINATIONS OF SlOOeOOO OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS.
3 / INCLUDES M 2 . PLUS THE AVERAGE OF TMt BEGINNING AND END OF MONTH DEPOSITS OP MUTUAL SAVINGS BANK* SAVINGS AND LOAN SHARESi AND
CREDIT UNION SHARES.
 4 / INCLUDES M 2 . PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUEO I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE.
5 / INCLUDES M3t PLUS NEGOTIABLE TIME C E R T I F K A T e S OF DEPOSIT ISSUED I N DENOMINATIONS' OF S 1 0 0 . 0 0 0 OR MORE.
http://fraser.stlouisfed.org/
P - PRELIMINARY*
R - REVISED

Federal Reserve Bank of St. Louis

FEDERAL RESERVE Statlitlci! R e l e n t H 6
Table 2

MONEY STOCK MEASURES
PEft CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES

M3

Mi
Mi Plus Time
DATE

Currency Plus
Demand Deposits^

Deposits at
Commercial
Banks Other Than
Large CD's^

Ms Plui Deposits
at Honlank'Th ift
Institutions'^

M4
M* Plus Large J
Negotiable CD's5'1

M.
MjPfurs Large
Negotiable CD's W

SEPT. FROM*
JUNE

1975

13 MONTHS PREVIOUS)

2»S

6*4

9.8

3.0

7»3

MAR.

ms

16 MONTHS PREVIOUS)

6*8

10.0

12.9

5.8

9*9

<12 MONTHS PREVIOUS)

5«0

8.8

11*0

6.9

V#5

SEPT,

m *

FOUR WEEKS ENDlNGt OCT* 8t 1975
FROM FOUR WEEKS ENDINGt
JULY

9,

1975(13 WEEKS PREVIOUS!

5.0

2*4

APR.

9* 1975*26 WEEKS PREVIOUS)

6. 0

9,3

5.5

OCT.

9» 1975(52 WEEKS PREVIOUS!

4. 1

8*6

6.8

i.i

1/

INCLUDES (1) DEMAND DEPOSITS AT ALl COMMERCIAL BANKS OtHER THAN THOSE 5Uf ?0 _
LESS LASH ITEMS IN THE PROCESS OF COLLECTION AND F#A.PLOATt 12) FOREIGN DENANft 8
p
THE TEASURY, ^ ^ N K I r ^ n ^ A U L ^ S O p - A L L ^ O H M E R C I A ^ T I N K S * - "
~
V, I
2 / INCLUDES* IN ADDITION 70 CURRENCY_AND DEMAND DEPOSITS»-SAVlNG$ DEPORTSf-~TIHfe"Bip8
DEPOSITS OTHER
NEGOTIABLE TIME CERTIFICATES
OF DEPOSIT ISSUED I N DENtifetNAt!
' • " THAN
"
^
*tifctNAtIpN
>5 0 * HOfti BV LARGfc WHKLY REPORTING COMMERCIAL BANKS.
_
—
^
— |t
3 / INCLUDES Mo PIUS THE AVERAGF OF THE BEGINNING AND END OF MGNTHnitfPOSltS Ol^ ftUTUW
L'SAVINGS BANKS* SAVINGS AND LOAN tHAftES* AND
CREDIT UN1UN SHARES.
* / INCLUDES M2, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSit ISSUED I N DENOMtNAflON
5/ INCLUDES M3, Pius NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DlNONtNATlSS
NOTtt
A l l RATfS Of CHANGE ARE BASED ON DAILY AVERAGE DATA* RATES OF CHAN8E "Afct Not




PtfftS^

FEDERAL RESERVE Statistical Release H.6

Table 3

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

19H--&EPU
Od.
NOV*
DEC.

|

1975—JAN*
FEB.
MAR.
APR*
MAY
JUNE
JULY
AUG a
SEPT* P

!

I

65*9

!

**%5
67*4
67*9

71*9
t 72.0

71.9
7i#8
72 aO

221.2
222.1
223*9

72 aO
71 . 9
72.1
72.1

223a*
223.6
223.4
221.4

|
1

tl.i

n**

1

Nnnhank

Thrift Institutions^

CD's^

Other

Total

1

8*#8

|1

86.2
65*5
90.3

322*7
325.9
3***0
329*1

407*5
412*1
413*5
419*3

365*3
368*2

92*7
92.1
89.6
88*4
65*5
64.1
62*1
76*0
79.1

333*2
336*7
340*1
343*1
347*4
353*1
357*0
359*4
* 361*7

426*0
428 *8
429.9
431*5
432*9
437.1
439.1
437.4
440.7

371*5
375*3
380*8
366.6
392*4
399.2
405.4
410.5
414.4

78.7
77*9
77*0

359.4
359.3
359*6

438.0
437.3
436*5

77.1

360.6
361.0
361.3
361*3

437.7
439al
440 aO
441 .0

n*t8
215.2
216*2
216.9
213 a*
213*7
215*6
216*3
218*3
221.9
222.1
222.3
r 222.6

68*2
66 a?
69 a4
69.5
70*2

Time ind Savfngt Depotlts

Demand Deposits

Currency

Date

1

1
j
ij
j1
|

j
!
1

361.7

3W.2

|
|
!

*

WEEK ENDING:
1975—AUG. 13
20
27
SEPT,

OCT a

3
10
17
2*
I P
8 P

1/

t 72.0
72.4

i

r 221a7
220.4

1

1

i

76.1

78 a7
79.7
80.9
81.7

r

362*1
362.7

r

443.0
444.4

INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OP ft100,000 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS*
2 / AVERAGE OP BEGINNING AND END OP MONTH DEPOSITS AT MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARES, ANO CREDIT UNION SHARESa
P - PRELIMINARY*
R - REVISED



Tablt 4

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
NOT SEASONALLY ADJUSTED. IN BILLIONS Of DOLLARS
Time and Saving! Deposit

Demand Deposit*
Oato

( urrency

lota*

37

Member

Domestic
Nonmembet^i

CD'S^

Other

Total

Nonbank
Thrift
institutions^!

U S Gov t
Demand^

I * K.

SIPt*
Ot 1 *
NOV.
ni r •

61* H
66*4
67*9
69*0

213*1
214.7
21**3
223.3

153*3
154.4
156*0
160.A

56*6
57.1
57.7
58.9

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
361.7
363.0
366.5

5#5
3*7
3*4
4.9

197 f >

MN,
Ml",
MAf» N
APP •
MAY
I UN*
JUl v
AU«».
UPT.

67.8
67.8
6848
69*1
70*0
71*2
71*9
72*2

220*9

58.5
56.1
56.2
5t.7
56*9
59.2
59.8
59*5
60*3

91*9
89.2
88*1
85*8
84*1
02*3
81.3
81*1

332*1
337*3
342.4
345.9
350*'4
354*4
35T*0
559*1
359*9

4*4*0
426*5
430*5
431 *8
434.5
436.7
430*3
440*2
442.6

37i.a

213.4
218*2
213.7
219*9
221*1
218*7
220*9

158.6
152*3
153*9
157*5
154,0
157*7
150*3
156.3
157*5

375.4
382.7
389.1
3^94.1
401*5
407.4
410*3
413*4

4.0
3.3
3*8
4*0
4.1
4.1
3.3
2*6
3.0

220*3
218.7
218.7
217*6

J57*9
155.9
156*1
155*7

59.5

8i*0
01*1
61*1
81*0

358*3
359*4
359*0
359*0

439*3
440.5

59*8
61*2
61.1
59*5

81.5
02*2
83.1

359*6
3$9*9
t 359*6
if 359*6

440.1
441*1
442*0
r441*0
t 442 # ?

59*2

04*2

360*7

444.9

Wtl^K

rNO!N(»t

19?S--AUG*

f

13
20
27

OCT,

72*3
72*6

71.5

10
17
24 P

72.0
7?.7
72.1
71*6

f 217.8

157*3
157*5
160*2
155.2

I P

70. 8

219*1

156*6

220*3
221.B
t 224.3

.. . * « m i t t l l l l i i H t t i i l « M 4 M U * % M M M « ^ ^

59*5

»JU»

02*1

Uo#l

3*0
2*2
2*4
2*9
2*7
3*2
4*3
4*6

3*5

1 / TOTAL DEPOSITS INCLUDE, IN ADDITION TO tHE MEMBER AND DOMESTIC NBN
, _ „.
_ ., . .
._ TO EDREIGN AND
l c „ „ „ M^M^^H^^^ilt^Oilt
INTRANATIONAL INSllTUtloNS A1 E.R.BANkS AND Ml TYPE BALANCES At A0HM»]||t AND BRANCHES OF FOREIGN BANKS.
?/ BASED ON MOST RECENT CAtL REPORT SlNGLE-DAY OBSERVATIONS
V INCLUDES NEGOTIABLE U M t CERTIFICATES OE DEPOSIT ISSUED IN DENOMINATION! OP 1100*66$ OR MORE BY LARGE WEEKLY
krPORTINO COMMERCIAL BANKS.
4 / AVERAGE OE BEGINNING AND END DP MONTH DEPOSITS AT MUTUAL SAVINGS BANKSj• SAVJNSS AW LOAfl SHARES* AND CREDIT UNION SHARES*
5/ U*S.GOVERNMENT DEMAND DEPOSITS AT ALL COMMERCIAL BANKS*
P * PRELIMINARY* ft -REVISED