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FEDERAL

RESERVE

itati stical

release

IMMH

FEDERAL RESERVE Btatlitlcil R«l»*i« H,6

Tibll i

For Immediate Relem
OCT* 23* 1975

MONEY STOCK MEASURES
\H BIUIONB Of DOLLARS
fi^nMHMWWiNMHMWWia

BWW*V*M**|

Ml

>i " J

1

—XT'

*2
1
4
Mt Plus Time
M2P!us
Currency Deposits at| Deposits
at •. M^Pius I M*Plu§ ! Currency
Pius
Large
Commercial Nonbdnk !
Urge
PIUS
Demand
Negotiable NetotTetile
Banks
Demand
Thrift
Deposits-^] Other Than!
; Deposits^
cb'ai/
Institutions^
„Uirg»CD>yl

Date

M2

Beaks
Thrift
Other Than
large CD's* Institutions^

ott*
NOV* *
DEC.
1975—JAN.
PE6.
MAR.
APR.
MAY
JUNE
JULY
AUG.
SEPT.

1
|

r

260#1
291.6
263*6
284.4

6 0 3 #4
601.6
6ii#6
$13*5

*16*9
981*7

261*6
262.4
285.0
285*8
250.5
293*0
293*5
294.2
294*6

6t4*fc
619*1
625.1
626*9
635*9
646.1
650*5
653.7
656.3

986*3
994*4
1005*9
1015*7
1020*3
1045*3
1055.9
1064*2
1070.7

r

j*

"4

Mg

Mi Plus
Large
Negotiable
CD>S*

MjPlus
Large
Negotiable
CD'sltf

Not Seasonally Adjusted

Seasonally Adjusted
1974—SEPT*

—*r~

Mt PlusTfme
MjPius
Deposits at Deposits at
Commercial Nonbenk

965*0

686*2

1049*^

218.9

600*3

960*6

689.0

910*1

693.fi
6^t*i

1056.V
id62*U

28U?

AOfcet

96T.4

694#>

103*1

107240

285,1
292*3

609*1
616.6

972.B
965*0

696*6
10$.O

1049*5
1056*2
1059*9
1015*5

707.6
111.2
7t4*8
717*3
121.5
730*1
132*6
731.7
735*4

1679iil
1086*5
1095.1
1104*1
1113*9
112944
1*38*0
1142*2
1149*8

288*6
219*4
202.2
281*3
283*7
2<H*1
293.1
2^0*9
292*8

620*7
616*7
624*6
633*3
634*1
645*5
650*1
650.0
652.7

991*7
$92.1
1001.3
1022*4
10 2 6 * 2
1041*1
1057*5
1060*2
r 1066*0

712.t
705*9
112*7
719*1
718.2
121.9
131*4
131*1
733*4

1083.6
1061*4
1095.4
1108*2
1112*3
1129*4
1138.8
1141*3
1148.7

j t

t

r

t

t

r
r

WEEK ENDING!
1975--AUG.

20
21

293.9
295.9

SEPT.

3
10
17
24

295*4
29b.5
29 5 . 4
293.5

OCT.

1/

2/

3/
4/

1
8 P
15 P

r

293.7
292.9
,294.6

!
'
r

653.1?
655.5

731*1
132*5

291*0
269*1

650*0
646*2

731*1
729.2

656.0
656.5
656.8
654 *6

733.1
734*6
735.5
734.5

292.2
294*5
296.3
289.4

651*6
654*4
655.9
649.1

733.3
136.5
738.2
732.2

655*8
655*8
658*9

£

736.7
73 7*4
740.5

r

290.5
292*5
295.6

i r

651.3
654*3
656.6

r

735.4
736.6
742*9

INCLUDES ( 1 ) DEMAND DEPOSITS AT ALL COMMERCIAL BAfiKS OTHER THAN THOSE DUE TO DOMESTIC COMMERCIAL BANKS ANO THE U *S .GOVERNMENT»
LESS CASH ITEMS I N THE PROCESS OF COLLECTION AND F . R . F L O A T t iZ) EOREIGN DEMAND BALANCES AT E.R.BANKSt AND ( 3 ) CURRENCY OUTSIDE
TRT TREASURY* F.R.BANKS AND VXOLTS OF ALL COMMERCIAL 8 A N K 5 .
INCLUDES, IN ADDITION TO CURRENCY AND DEMAND DEPOSITS* SAVINGS DEPOSITS* TIME DEPOSITS OPEN ACCOUNT, AND TIME CERTIFICATES OE
DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF 1 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORT*
ING COMMERCIAL BANKS.
INCLUDES M2, PLUS THE AVERAGE OE THE BEGINNING AND END OF MONTH DEPOSITS OF MUTUAL SAVINGS BANK* SAVINGS AND LOAN SHARES* ANO
CREUTT UNION SHARES.
INCLUDES M 2 , PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT I5SUEO I N DENOMINATIONS OF > 1 0 0 , 0 0 0 OR MORE*
INCLUDES M3* PLUS NEGOTIABLE TIME CERTlFICATtS 0*F DEPOSIT ISSUED I N DENOMINATIONS OF S 1 0 0 , 0 0 0 OR MORE*
* PRELIMINARY*
R - REVISEO

 5 /
http://fraser.stlouisfed.org/
P
Federal Reserve Bank of St. Louis

miFRAl REStRVt l u t l t l l c i l R«l«lt« H 6
Tabl« 2

MONEY STOCK MEASURES
PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES
tawwfaasJ-

»w<*MwwwiB««lM«wMMMMWPWWWWW^MMWi ^

DATE

_

MM

M

3

1

M I Plus Time
1
Mi Plus Deposits
Deposits at
Currency Plus
Commercial
at Nonbank'Thrlft
Demand Deposits-^ Batiks Other Than
Institutions'^
Large Q O ' s ^

M4

NWHSUBBBSiBBMiiilHI

1

MjPlus Large

M 3 Plus Large
Negotiable CD's^

Negotiable CD's3'

SEPIt FROHt
2*2
MAR*

1975

SEPt. 197*

6.3

9.T

2.9

7.2

(6 MONTHS DEVIOUS)

6

*?

10*0

12.9

5.B

9.9

112 WONTHS PREVIOUS)

5*0

B*B

11 »0

6.9

9.5

FOUR WEEKS ENDINGJ OCT. 15. 1975
FROH FOUR WEEKS ENDING*
JULY

16* 1975U3 WEEKS PREVIOUS)

O.A

4*6

2.6

APR.

16* 1975(26 WEEKS PREVIOUS)

5*7

9.2

$.6

OCT.

16, 1975*32 WEEKS PREVIOUS)

4*5

S.4

6.7

\) fWcLUbks I I I DEWIND DEPOSITS AT ALL CO*L R C I I L BANKi OIH

•W'^bMEiM't CbMHfeftClAL BANKS AND THE U.S .GOVERNMENT»
LESS CASH ITEHS IN THE PRQCkSS^OP—COLLI•CTI0N AND_£**W&Ld AXt-(2t PO^ItdN 6l%m M U M i S At F.R.BANK5J ANO (St CURRENCY OUTSIDE
TME TEASURY, F.R.BANKS AND VAULTS OP ALL COMMERCIAL BANKS.
2 / INCLUDES* IN ADDITION TO CURRENCY AND DEMAND DEPOSITS* SAVINGS DEPOSI!**, , HE DEPOSITS OPEN ACCOUNT, AND TIME CERTIFICATED OP
DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OP DEPOSIT ISSUED I N WHt IHAtiONS OF U 0 0 * 0 0 0 OR MORE BY LARGE MEEKLY REPORT3 / INCLUDES M2, PLUS THF AVERAGE OP THE BEGINNING AND END OP MONTH DEPOSITS fa MUTUAL SAVINGS.BANKS, SAVINGS AND LOAN SHARES, AND
CREDIT UNION SHARES^
^mm
t i
4/ INCLUDES M2» PLUS NEGOTIABLE TIME CERTIFICATES OP DEPOSIT ISSUED I N B | j j 6 | j flQNS OP »100,000 OR MORE*
TiBNB OP *100*006 OR MORE.
TIME CERTIFICATES OP DEPOSIT ISSUED
»/ INCLUDES M3»
-. PLUS NEGOTIABLE
..
.
, .

NOTE! ALL RATES



Op CHANGE ARE BASED ON DAILY AVERAGE DATA! RATES OP & H M

Hm COMPOUNDED.

FIOtRAl RtttRVC fttttiitlcit R«l«ckt H.6

Tlblft 3

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
JEMONAllY AOJUJTED, IN I I U I 0 N I 6 F DBLLAPtl
*mmmmmmmimiil^^

[
Demand Deposits

Currency

Date

m * ~ S*PT*

CD's^

65*9

214*8

84.8

OCT,

65*5

86 #2

MOV.

67.4

219*2
216.2
216*5

1975—JAN.

FEB.
MAR.
APR.
HAY
JUNE
JULY
AUG.
SEPT.

1
1

68*2
66.7
69.4
69.5
70.2
71.1
71.4
71.9
72.0

!

213*4
213*7
215.6
216.3
218.3
221.9
222.1
222.3
t 222,7

„ M . i , ••

Tjffijj iftd Saving* Depotltt

I

i

Other

Total

322*7

407*5

325*9

412tl

89*9
90.3

328*0
329*1

413*9
419*3

92.7
92*1
89.8
88.4
89*9
84.1
82.1
78*0
79 . 1

333*2
336.7
340*1
343 »1
347.4
353.1
397.0
359.4
361.7

426*0
426*6
429*9
43U5
432*9
437.1
439*1
437.4
440*7

1

Nonbartk
,
Thrift Institutions*

361.7
363*2
365*3
368*2
!
J
j
J
|i
i

371.5
375.3
380.6
386.8
392.4
399.2
405.4
410.5
414.4

WtEK ENDlNGt
1 9 7 5 - - A U G . 20
2?
SEPT.

OCT.

71.6
72.0

222.1
223*9

77.9
77.0

359.3
359.6

3
10
17
24

72.0
71.9
72.1
72.1

223.4
223.6
223.4
221.4

77.1
78.1
78.7
79.7

360.6
361.0
361.3
361.3

1
B P
15 P

72.0
72.4
72.6

221.7
220.&
222.0

80.9
r 61.6
81.6

r 362.1
r 362.9
364.3

r

437.3
436.5

,

437.7
439.1
440 # 0
441.0
t

*43.0
444.5
445.9

1/ INCLUDES NEGOTIABLE TIME CERTIFICATES Of- DEPOSIT ISSUED IN DENOMINATIONS OF *100,000 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS.
If AVERAGE OF BEtlNNING AND END OF MONTH DEPOSITS AT MUtUAL SAVINGS BANKS* SAVINGS AND LOAN SHARESt ANT* CREDIT UNION SHARES.
P - PRELIMINARY; R - REVISED



riOtRAL RESERVE f t i t U t l c t l R«tMie M 6

Tftbt* 4

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
NOT fIASONALLY ADJUSTED, INftlLL^ONSOf DOLORS
•

m&mmimmm^mmm—*^

- ii •

'

\mmmmmmmmmmmmmm.uL~~: i n a w J mtmmmmmmBU

Date

Currency

1974—SEPT.
OCT.
NOV.
DSC*

\~U\i\*

65.8
66*4
67*9
69*0

213*1
214*7
217*3
223.3

1
i
1
1

218*7

156.3

|r

220*9

71.9

!

*2

71*9

154*4 1
156.0 i
160. A |

I

!I
j
j
1
!

72

193*3

213.A
216*2
213*7
219*9
22U1

67*a
68*8
69*1
70*0
tl.2

211*6

Domestic 1
Nonmemberj*]

Member

198*8
152*3
1*3*9
157*5
154*0
157*7
158*3

67*8
FEB*
HAR.
APR.
MAY
JUNE
JULY
AUG*
SEPT,

"i unnr-nnrTf-p r m \

time and Sivlot* P*0$ilt

Dtffitftd Dipoiill

!

!
i

56*6
57*1
57*7
58.9

dther

I
!

80»7
88.6
87.1
90.S

!

58*5
56*1
56*2

* i . *>
69*2

86*1
8S.8
B4.1

5T.T
!

!
:

56*9

tut
81*?

157*5

59*2
59*6
59*5
66*3

218*7
217.6

156*1
155*7

59*5

58*9

220*3
221*8
224*3
217*9

157*3

59*8

157*5

hUi
61*1

'

J2l*3
324*6
i?4*6

!

410*1
413*3
41U7

326*3

416*7

^2*1
337*3
342 *4
345*9

424*0
426*5
4*0*5

*3d*4
4*4*4

431*0
4*4*5

*

J Nohbank
thrift 1 U 5 Gov't
instHutlonsM Demand^

360*5
361.7
*63#0*
366.5

5*5
3.7
3*4
4.9

37l.O>

4.0
3*3
3*8
4*0
4*1
4*1
3*3
2*6

375.4

30? .1
£89.1
£94*1
I|
401*5
|
407*4
I | t* 410*2
413*3

I

a>9*9

436.1
438*3
440*2
442»6

61.1
ftl.rt

359.0
S*9*0

440*1
440.1

2*4
2*9

ei»5
e2.1

359,6
359*9
359,6
359,6

44 1*1
442*0
441*8
442.8

2*7

r 360*9
y J6l*9
36S*2

444*9
446.1
447*2

fiUl
B2»t

»
no
$59*1

!
I

a*8

WEEK ENDING*
1975—AUG* 20
2?
SEPT*

1

3

to

**
24
OCT*

1
8 P
15 P

11
I

72*2

1

ttiS

I

T2*0
72*7
72*1
71*6

|
1

71*2

72*9
72*9

|

160*2
155*3

219*2

156*7

1 It 219.6
222*7

* 155*8
158*1

!

02*2

59*5
59*3
60 IB
61*7

fti.l
e^.i
i-

b\%i

BAfcl

ut

4*3
4*6

3.5
4*6
3*1

HHBaiWJH*j*Cj|K|i*aHAi*Sfli*l***;

1 / TOTAL DEPOSITS INCLUDEf » 1 ADDITION TO THE MEMBER AND D8MIS1^ N O N I M iristraim mmftt %mmn wit nt ¥mm ** ID
INTERNATIONAL INSTITUTIONS AT F.R.BANKS AND Ml TYPE BALANCES AT ACENctfeS ANt) MANCHfeS OP FiiREtGN BANKS*
2 / BASED ON MOST RECENT CALL REPORT SINGLE-DAY OBSERVATItiNSi
i/ INCLUDES NEGOTIABLE TINE CERTIFICATES OF DEPOSIT ISSUED tH'dWWUHWIUWB W W » M « 0 OR MORS BY LARGE WEEKLY
REPORTING COMMERCIAL §ANkS.
* / AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS J'ANJif * SAVINM AND LOAN SHARES* AND CREDIT UNION SHARES.
5 / U.S.GOVERNMENT DEMAND DEPOSITS AT ALL COMMERCIAL BANKS*

P - PRELIMINARY! R - REVISED