Full text of H.6 Money Stock Measures : October 2, 1975
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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