Full text of H.6 Money Stock Measures : October 5, 1972
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FEDERAL RESERVE s t ai i s t i c a I release Tiw§ 1 For Immediate Release MONEY STOCK MIASURES H6 ^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^« Date »i 1 Mg M i plus time deposits at commercial banks other than large Currency plus demand deposits^ CD's^ 1 *3 1 -1 1 i M2 plus, deposits Currency plus at nonbank demand deposits^ thrift institutions^ 228.0 227.6 227.7 227.7 228.2 1972--January February March April May June July August ! ! Week ending: 1972—Aug. 2 9 16 23 30 Sept. 6 13 20 p 27 p r 1 CD'sfr 694.5 699.5 705.9 711.4 723.4 235.3 229.0 23T73 236.1 231.3 234.7 237.9 237.2 475.3 4*72.7 478.7 485.4 483.2 488.9 493.6 495.4 732.8 734.1 744.9 755. b 755.9 765.5 774.0 778.4 496.2 497.1 498.6 498.3 .499.8 237.4 •237.4 238,2 235.9 236.4 494.1 494.9 496.4 494.2 495.4 502.2 501.2 501.6 501.6 240.8 241.1 240.8 237.3 697.6 701.2 706.5 711.6 718.1 228.8 231.2 233.5 235.0 235.5 236.6 239.4 240.5 469.9 475.5 480.1 483.0 486.1 490.4 495.0 498.3 727.3 737.4 745T9 752.7 758.8 766.1 774.8 781.6 239.7 240.1 240.9 240.5 241.2 242.6 241.5 241.6 241.3 r | M3 "" 1 2 |M| plus time deposits ] M2 plus deposits at commercial banks at nonbank other than large thrift institutions "^ 451.7 454.3 458.0 461.4 470.2 454.5 455.6 458.3 460.8 464.7 ! 1972 Not Seasonally Adjusted Seasonally Adjusted 197l--August September October November December October 5, IN BILLIONS OF DOLLARS ^^^^^^^^^^^^^^^^^^^^ r 224.9 226.2 227,5 229.6 235.1 1 | 1 r r r 500.6 501.2 500.9 497.8 Include! (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 of all commercial banks V includes in addition to currency and demand deposits savings deposits time deposits open account and time certificates of deposits other than - . , negotiable time certificates of deposit issued in denominations of $100 000 or more by large weekly reporting commercial banks P * ^ r e i lmmary Includes M 2 plus the average of the beginning and end of month deposits of mutual savings banks and savings and loan shares r Revised http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis nm*Mi t i f f 1 * 1 l<ft*n^*t Pjf#**# H i T»W« ; MONEY STOCK MEASURES f i l l CINT CHAHQi AT ItAIONAUV ADJUtTfO ANNUAL HAT€$ •MMMMOTHNI fl UL • • U S ' ITBL'HUSll*" 'UK g ' l a VYiffii • U j u M i i i l j m m ^ j M g i J W i i . B i i i i m l t a f c j f5er»rj'f August "&7 Cufrincy ply* M| pfyf fimtdtpofifi itkommtrcul feiftki other thin large M3 ptyi dipostf^ at nonbank thrift institution!37 8*5 10.0 12.0 8,0 9,6 12.0 5*5 9*6 12,0 8,6 9a 7.2 9,1 6*1 10,4 1972 Froftit Hsy 1972 {3 mon£h§ prtviotif) February 197f (6 flonth* previous) August 1971 (12 monthi provicmi) Four w e t k i ending S«pt* 2J t 1972 From four weeki griding: June 28^1972 (13 w€S€ks previous) March 29, 1972 (26 w«k« prevlot^) Sept. 2 9 , 1971 (52 weeks previous) JiffmrrrnTTOiriirOTWnniT me tudt* M} demand depot 11% at aft commercial banks other than those due to domestic cOffimerCiSi £HH{f dtfj p l j i {J# dqytrrtfflftM less cash Hems in the process of collection attf P ft float (2i foreign demand balances at P ft Banks and 13) Cheney oyUtdt the treasury P ft Qank* and vaults Of all commercial oanxs includes m addition to currency «nd demand depottts savings deposits 11me defXJSlis open account, aj^iV) c'ertihcatM of deposits other than negotiable time certificates of deposit issued in denominations of $100 000 or more by large w#ekfy| Ipmj^foial banks V inc ludea M2 plus the averse of the beginning Bn6 end of month deposits of mutual savings bdrVks'/ ^ftfefban shares Noie AM rates of change are bated on daily average data rates of chan^raTTnOXcompounded FEDERAL RESERVE Statistical Release H 6 TtWi 3 COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY ADJUSTED, IN IILUONS OF DOLLARS :;;; Dale Currency Demand deposits mmmm^m^mmmmmmmmm^mmmm """"Til muwd'liaTifttTd'a^^ CO's^ Other 1 Total 1 Nonbank [ thrift institutions2^ L^mmmmmmmmmmmmmmammmmmmmmmm 5l77 1971--August September October November December 1972—January February March April May June July August Week ending: 1972—Aug. 2 9 16 23 30 Sept. 6 13 20 p 27 p ! r 226.5 228.0 230.6 233.1 236.4 31.6 32.7 32.2 33.4 1 I 176.0 178.0 179.9 180,9 33.2 33.8 241.2 244.3 246.5 248.1 250.7 253.8 255.6 257.7 257.3 259.6 263.3 265.3 269.9 243.1 245.6 248.3 250.8 253.4 274.4 278.1 279.9 282.8 287.0 257.4 261.8 265.8 269.7 272.6 275.7 279.7 283.3 Tj 1 52.8 53.2 53.7 , 54.0 3o7e 176.3 175.7 175.5 175.5 175.7 51.9 52.2 52.2 52.5 54.4 54.7 54.9 55.0 181.9 184.5 185.5 33.4 34.7 36.3 37.1 38.1 39.3 54.9 55.2 55.0 55.2 55.1 184.8 185.0 185.9 185.3 186.1 38.6 38.6 38.8 39.7 40.4 256.5 257.0 257.7 257.8 258.5 295.1 295.6 296.5 297.6 298.9 55.3 55.4 55.5 55.6 187.3 186.0 186.2 185.7 39.7 40.4 40.3 40.8 259.6 259.7 2$9T9 260.3 299.4 300.1 300.3 301.1 m^a r r Includes negotiable time certificates Of deposit issued In denominations of $100 000 or more by large weekly reporting commercial banks http://fraser.stlouisfed.org/ Average of beginning and end of month deposits at mutual savings banks and savings and loans shares Federal Reserve Bank of St. Louis 1 1 290.9 293.7 297.1 r r n _ p Preliminary . • COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS MM $!*s0N*iiy mimnn mmutOHt or &OUASS mammmmmtmmmmmmmmmmmmmmmmtmmmmmmmmmmmm T m § i ^ d ftAtftfifft rftjii (>*'-> a-itf 't*U'A\% f 1* Z fri iniifir iiiimiwiiiinii t/*H--*VlfcH**t *^pC*^M*r Vovr'fth^r f)**<*e**n|*cr J ! | Week Ending: 1972*-Aug. 2 9 16 1 23 1 30 Sept. 6 13 20 p 27 P 171.0 174,? j *> 1. 9 »,2,2 52.8 53,5 52,6 52,6 53,2 53,6 54.0 54.6 55.3 55.3 [ cb-y !' *l,*> ! 0^tiT?»Jl t^J^-January February March April May June July August i—ITTW m,3 i 176.9 181J5 182.7 176.4 178.1 182,6 177.3 180,1 182.6 182.0 ! ' j 54.9 55.8 55.5 55.2 54.8 182.6 181.7 182.7 180.7 181.6 55.8 55.6 55.4 54.9 185.0 185.5 185.4 182.4 r i '• 'i 31.2 32.1 33.6 33,7 33.9 J ; 33.7 33.6 33.3 33.8 35.1 S5.8 37.0 39.9 - IJJI u . fi- . Q\h»s j ions 226,9 228.1 230.5 231.8 235,1 ! 258,1 260,1 264.1 265.5 269.0 ! j | j j 242.8 245.2 247.9 250.0 253.2 6.8 7.5 5.3 3.9 6.7 257.5 261.4 266,2 270.2 272.7 276.6 280.4 t 283.0 7.2 7.2 7.7 7.6 10.4 6.8 7.2 5.3 240,0 243.7 247.5 249.3 251.9 254.2 255.7 258.2 273.7 277,3 280,8 283,1 286,9 290.0 292,7 298.1 38.2 38.9 39.4 40.3 41.2 256.7 257.5 258.2 258,3 259.0 294.9 296.4 297.6 298.6 300.2 7.8 6.4 5.3 4.6 4.3 40.9 41.2 1 r40.S 41,2 259.8 260.1 260,1 260.5 300.7 301,2 300.6 301.7 3,4 3.1 6.5 8.5 j ! ! ll I LI r 1 j I " ' 1 £ includes negotiable lime certificates Of deposit issued in rienominflUon * of $100 000 of more by large WcoKlv reporting lorwwrcwl binks *^ Average ot beginmnq and find of month deposits at mutual savings banks antf savmtjs and loan shores ^ U S Government demand rtnoosits at all commercial banks d e n t !'i<J *• I . Pro l i n n Rrvi<H*\l D P f " -