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FEDERAL

RESERVE

statistical

release

••°f3»*''
rtDIKAl RESERVE Statistical Rataan H.6

T.bls 1

For Immediate Nettie*
OCt.

MONEY STOCK MEASURES

2» 1975

IN IILUON1 OF DOLLARS

|

"a

»i

"a 1

"4

|

~TI T"

«»

Mj Plus Time!
Ma Plus
Ma Plus
M3Plus
Currency Deposits ati Deposits at
Currency
Large
Large
Commercial' Nonbank
Plus^
Plus
Negotiable. Negotiable
Demand
Banks
Demand
Thrift
I
Deposited Other than institutions^
CD's!/
CD'stf I Deposits!/
Large CD's? 1

Date

200.3

OCT,
NOV*
DEC.

281.6
263*6
284*4

i*n—JAN.

281.6
262.4
285*0
205*8
288.3
293.0
293.5
294,2

FEB*
MAR,
APR*
MAY
JUNE
JULY
AUG*

|

1

!

962**
965.0
970*7
976.9
981*7

601*0
603*4
607.6
611*6
613*3
614 *B
619.1
*25*1
628.9
635.9
646.1
650.5
653.7

1

986*3
994.4
1005.9
1013*7
1028.3
1045.3
1035*9
r 1064.2

m*7
693.6
697.1
703.7
707.6

tll.2

714.8
717.3
721*5
730*1
732*6
731*7

1
-BT- — » u —

M5

M| Plus Time
1 M2 Plus
M3Plus
Deposits at
Ma Plus
Deposits at
Large
Commercial Nonbank
Large
Banks
Negotiable . Negotiable
thrift
Other Than Institutions*v
CD's* |
CD's^
Large CP's#
Not Seasonally Adjusted

Seasonally Ad|u sled
ien—Aue*

r

1046.%
1049,9
1056*9
1062.4
1072*0
1079*1
1066.3
1093.7
1104.1
1113.9
1129.4
1138*0
r1142.2

nna
270.9
!!
1

I

9*8*7

«$**

281*2
285*1
292*3

600*3
60$ *7
609.7
616.6

960.8
967.4
972.6
9D5.0

689*0
*94.5
696*8
709*0

1043*8
1049*5
10*6.2
1059.9
1073,3

268.6
279*4
262.2
287*3
263*7
291*1
293*1
290*9

620.7
616*7
624.6
633.3
634.1
645*5
650.1
650*0

991.7
992*1
1007.3
1022*4
„ 1028.2
1047.1
1057.3
r1060*2

712.7
705*9
712.7
719*1
718.2
727*9
731*4
731*1

1083.6
1WB1.4
1093.4
1108*2
1112.3
11-29.4
1138.8
r 1141.4

59M

WEEK ENDING!
19TS~»JULY J O
AUG.

SEPT.

6
13
20
27
3
10
17 P
24 P

\r

292.4

650.5

731.0

288.9

646*9

728.2

294.6
293.1
293.9
295.9

653.0
652.5
653.2
1 633.5

732.4
731.1
731.1
732.3

292.6
291*3
291.0
289.1

630.9
650.7
650.0
648.2

731.9
731.8
731.1
729.2

295.4
295.5
295.4
293.5

656.0
\r 656.5
r 656.8
634.9

733.1
r 734.6
r 735.5
734.5

292.2
t294.5
296.3
289.5

651.8
r 634.4
f 656.0
649,1

733.3
73ft.3
738,2
732.2

1

1/

"\ '

INCLUDES t l ) OENANO DEPOSITS AT ACL^COMTISRCIAL 8ANK5 OTHER THAN THOSE DUE TO DOMESTIC COMMERCIAL BANKS AND THE U.5 .GOVERNMENT,
LESS CASH ITEMS I N THE PROCESS OP COLLECTION AND F.R.FLOATf ( 2 ) FOREIGN DEMAND BALANCES AT F.R.BANKS* AND ( 3 ) CURRENCY OUUIOE
THE TREASURY, F.R.8ANXS AND VAULTS OP ALL COMMERCIAL BANKS.
2 / INCLUDES* IN AOOITION TO CURRENCY ANO DEMAND DEPOSITS, SAVINGS OEPOSITSi TIME DEPOSITS OPEN ACCOUNT, AND TIME CER1 I F 1C ATE !> OF
DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUEO IN DENOMINATIONS OF 1 1 0 0 , 0 0 0 OR MORE 8Y LAftGfc WEEKLY REPORT*
1NG COMMERCIAL BANKS.
3 / INCLUDES N2 9 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 M2, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF 1 1 0 0 , 0 0 0 OR MORE*
 3 / INCLUDES H 3 . PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF 1 1 0 0 , 0 0 0 OR MORE.
P - PRELIMINARY!
R - REVISED
http://fraser.stlouisfed.org/

Federal Reserve Bank of St. Louis

FtDfffAi KfffftVr ttfiHitkfl R « l i n i H %
fftbl« 2

MONEY STOCK MEASURES
PER CENT CHANGE AT SEASONALl Y A D J U S t f 0 ANNUAL RATFS
MJ«

*1

M,

Mi fMus Time
DA f f

AUG,

f

uff^nry Plus
Oem#r d Deposits-'

Commercial
Banks Other Th&h
Largp C D ' s ^

f*2 ' " u * Deposit*
at N o n b a n k ' T h r m
'iftilMotlOflS 1 */

M 2 Plus Large A
Negotiable CO s r

M3 Plus I arge f
Negotiable CD 5J

r&OMt

H*V

19?^

n

HONTH^

PREVIOUS)

MR#

197*

(6 H0N1MS PREVIOUS!

AUG*

197*

( l a HONtMS PfctVfOUl)

PDUA wrEKS ENDING* SfcPt* ?At
rnoH rouft wtfK5 tNMNG*

7,9

4 #9

11*2

14,0

10*2

11*2

*A*0

10.3

8 #6

10.6

6.7

V#2

|9?S

JUNC

2*M 191*111 MttHS PREVIOUS!

no

6.r

HAR.

?6,

|9?M?fc WEEKS PREVIOUS*

t.Q

lfel

SCPT. 2*»

| 9 7 * < V WEEKS PREVIOUS)

5*8

tft Mil f t i B i r W W ^

6.6

W4?
WrUJ,BflVMMHtN!,

tfSS CASH l t t H S IN tHfe PROCESS Of COLLATION AND r.R.PLOAt)
4 t P0RM6N
*OR*
CURRENCY dUtSIOt
At) I12)
D P I feVLANCU At M i l A N K S t AND {l\
THE ttASUftVt F«R.|IANKS_ AND VAULTS OP All COHNfeRClAl BANKS*
2/ INCLUDE!* IN ADDlYlON~10 CUftPtNtY AND DEMAND DEfrOSitSf SAVINGS OfPOSHS* ^ftSl B t $ 8 l H | SPIN ACCt)UN±MNO ftMfc CEfttlPlCAteS OF
OEPOSHS OtMfcR tHAN NEMIlABLt UHfc C t R T l M U U * Or DFP051T I S S U E M N B I N ^ W A W S ^ O ^ '4l9f>lttK> OR.HdAS BY LARGE WEEKLY SPORTING COMMERCIAL BANKS.
3 / INCLUDES HZ* PLUS 1W^V«AGF-0F—THE-BEGINNING AND END OP MbNtH DtPOSJtr ^ f S U l U A t " SAVINGS &ANkfi> SAVINGS ANO LOAN SHARESi AND
CREDll UNION SMARTS.
« / INCLUDES M?» PLUS NEGOTIABLE t t M t U R T l P U A t E S Of DEPOSIT HSUSO I N DENDMljNIMJBNB,0P M0O»t»O OR HOREi
5 / JNCLUDIS M3t PLUS NEGOTIABLE TIHt CERTIFICATE* OP OEPOsIt ISSUEOJN BiNBBfgfnJra£ 8 1 1 1 5 0 ) 0 6 0 OR MORfe*'
NOTE*
ALL RATES OP CHANGE ARE BASED ON OAItV AVERAGE OAtAf RATtS GKlMmt
MrW5TldNPf)l)Nt)feD#



FEDERAL RESERVE Statistical Ret*ate H,t

tlbll 3

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
SEASONALLY ADJUSTED, IN BILLIONS OP DOLLARS
Timt «nd 8*vingi Dapoitu

Demand Deposits

Currency

Date

^

|

g

^

—

l

• j^gtLJli^^JUX

' '

CD's^

'

-----

»•

i

Tmim-

•••

" -

Otter

*

'•"•'

-

••--•'—

Total

!

JaKwaw—i^BgBHft-.] jirn-miiintM—iwW

1974 — AUG.
SEPT*
OCT 4
NOV*

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

|

65*5
65.9

ns.o

83*8

1

214.6

j

66*5

215.2

67.4

216#2

84*8
B6.2
85*5
90.3

213*4
213*7

66.2
68.7
69.4
69.5
70.2

1

321.^
322*1
3S5.9
326.0
329.1

405*2
401*5
412.1
413.*

i

333*2

|

336*1
340.1

1
!

343*1
34?#4
353.1
357.0
359*4

426.0
428.8
429.9
431*5
432.9
437.1
439.1
437.4

i
i

71.4
71.9

222.3

71.4

220*9

80.5

358.2

438.6

j

TUB
71.9

i

71.e

222.6
221 . 2
222.1
223.9

79.4
78.7
77.9
77.0

3 58.4
359.4
359.3
3 59 . 6

437.8
436.0
437.3
436.5

223.4
223.6
223.3
221.5

77.1
7ft.1
78.7
79.6

360.6
361.0
361.4
361.3

437.7
439.1
440.1
441.6

1
1

215*6
216.3
218.3
221.9
222.1

twi

1
]|
j

•••11

• m i l —

;
1
I

371.5
375*3
380*8
366.8
392.4
399*2
405.4
410.5

WEEK ENDING!
1975 —JULY

30

AUG*

6
13
20
c'7

SEPT.

3
10
17 P
24 P

1/

72.0

|
>

72.0
71.9
72.1
72.1

!
j
!

1

:

INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS.
2 / AVERAGE OF BEGINNING AND END OF MONiH DEPOSITS AT MUTUAL SAVINCS BANKS, SAVINGS AND LOAN SHARES. AND CREDIT UNION SHARES.
P - PRELIMINARY;
R - REVISED



'

360*7
361*7
363*2
365.3
368.2

419.3

92>7
92*1
89*8
8B.4
85*5
04.1
82.1
76.0

1

Nonbank
,
Thrift Institutions^

.... i . . ^

'

'

• — — * - "

FEDERAL RESERVE SUtlitlCftl R«loti« H 6

T*bl« 4

COMPONENTS OF MONEY STOCK MEASURES AND REtATED ITEMS
NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS
tmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmMmmmmamm

J
Currency

Date

65*7
6*>*e
66,4
67.9
69.U

1974--AUG,
SEPT.

act,
NOV,
DEC*

Demand Deposit!
Member

Domestic 1
Nonmember2l

CD's**/

Other

Total

j Nonbank
Thrift
Institutions4/

211.6
213.1
214*7
217*3
223*3

152*3
153*3
154*4
156*0
160.4

56.1
56.6
57.1
57.7
58*9

87.1
88.7
88*6
87*1
90.5

321.1
321*3
324*6
324*6
326*3

408*2
410.1
413.3
411*7
416*7

360.3
360*5
361*7
363*0
366.5

4.0
5.5
3.7
3 .A
4*9

2it*6

152.3
153.9
157.5
154*0
157*7
158.3
156.3

56.5
56.1
56.2
57*7
56*9
59.2
59.8
59*5

91*9
89.2
88.1
85.B
84.1
82.3
81*3
81*1

332*1
337.3
342.4
345*9
350*4
354*4
357*6
359.1

424.0
426*5
430*5
431*6
434*5
436*7
436.3
4*0*2

371.0
375*4
382*7
389*1
394*1
401*5
407*4
410*3

4*0
3*3

Total^

1

197S — J A N *

Fee,
MAR,
APR »

MAY
1

JUNE
JULY
AUG*

WFEK

!

1 213.4

• i 218*2
i 1 213.7
j! 2 1 9 . 9
! 221*1
218*7

,

Time and Savingi Deposit

!
j

U S Gov't
Demand-^

3*&

!

!

4*0
4*1
4.1
3*3
2*6

ENOINCJ

1 « 7 $ — JULY
AUG,

30

71.1

217*8

156*5

56.4

81*4

356*0

439*3

2*6

6

7Z.3
72*6
72*2
71*5

220*3
216.7
218.7
217.6

157*9
155.9

ei.o

155*7

5 9 .b
59*9
$9 . 5
£8.$

61*1
61*1
61.0

358*3
S&9.4
359*0
359*0

439*3
440.&
440.1
440*1

3*0
2*2
2*4
2*9

72*0
72.7
72.JL
71.6

220*3
221.P
224 #2
217.9

157*3
157.5
160.1
155.3

59*8
61*2
61*1
59*5

81. 5
82#1
F2#2
83*1

359.6
3&9»9
3S**7
359.7

441.1
442*0
441*9
442*8

2*7
3*2
4.3
4*6

13
nG

21
SEPT.

3

10
W
24

1/

67.8
68*0
69.1
70.0
71.2
71.9
72.2

]

P
P

1H*1

|

!

,
i

TOTAL DfcPOSITS INCLUDE, . . , r
._ . . . .
.„.
.
._
._
INTERNATIONAL INSTITUTIONS AT F.R.BANKS AND H I TYPE BALANCES AT AQMtCl&S AND 8?tANGHtS 6 * FOREIGN BANKS*
2 / BASED ON MOST RECENT CALL REPORT SINGLE-DAY OBSERVATIONS*
3 / INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF $ 1 0 0 * p 0 0 OR MORE BY LARGE WEEKLY
REPORTING COMMERCIAL BANKS.
4 / AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS* SAVINGS AND LOAN SHARES* AND CREDIT UNION SHARES*
5 / U.S.GOVERNMENT DEMAND DEPOSITS AT ALL COMMERCIAL BANKS*
Digitized
P for
- FRASER
PRELIMINARY;
R - REVISED