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FEDERAL

RESERVE

FEDERAL RESERVE Statistical Release H.6

statistical

release

Table 1

For Immediate Release

MONEY STOCK MEASURES

OCT.

5, 1978

IN BILLIONS OF DOLLARS
M!

M2

M4

M3

M] PI us Time
M2Plus
Currency
Deposits at
M 2 Plus
Deposits at
Commercial
Plus
Large
Nonbank
Banks
Demand
Negotiable
Thrift
CD's*/
Deposits^/ Other Than
Institutions^/
Large CD's2/

Date

M5
M3 Plus
Large
Negotiable
CD's5/

M

l

Currency
Plus
Demand
Deposits^

OCT.
NOV.
DEC.
1976 — JAN.
FEB.
MAR.
APR.
MAY

JUNE
JULY
AUG.

M3

M4

M5

M 3 Plus
Large
Negotiable
CD's-5/

Not Seasonally Adjusted

Seasonally Adjusted
1977— AUG.
SEPT.

M2

MI Plus Time
M2Plus
Deposits at
M2Plus
Deposits at
Commercial
Large
Nonbank
Banks
Negotiable
T
h
r
i
f
t
O t h e r Than
CD's*/
Institutions^
Large CD's^

330.5
333.0
335.9
336.2
338.5

789.2
795.1
801. 4
805.4
809.5

1331.3
1344.9
1357.9
1367.1
1376.1

852.4
858.9
867.8
876.3
883.5

1394.5
1408.7
1424.3
1438.0
1450.1

328.2
331.1
335.2
338.4
348.2

786.7
791.3
798.7
802.8
814.9

1329.2
1339.7
1353.0
1360.1
1377.5

851.2
o56.7
667. 1
874.4
690.9

1393.7
1405. 1
1421.3
1431.7
1453.4

341.7
341.6
342.9
348.5
350.6
352.6
354.2
356.7

815.9
819.1
822.6
830.3
835.2
840.6
846.2
853.5

1386.6
1393. i
1400.3
1411 .4
1419.9
1429.8
1440.9
1455.1

892.2
898.5
904.7
913.7
922.2
927.3
933.6
939.8

1462.9
1472.5
i4ti2.3
1494.9
1506.9
1516.5
1528.3
1541.4

347. b

335.9
338.2
350.9
345.3
351.7
356.0
354.2

820.6
813.9
821.1
836.6
833.6
842.0
848.7
850.8

1389.0
1386.0
1400.2
1421.2
1420.3
1435.2
1447.9
1453.1

897.0
890.8
901.4
917.9
918.2
928.3
936.0
938.8

1465.4
1462.9
1480.5
1502.6
1505.0
1521.5
1535.2
1541.1

355.2
356.7
357.5
357.4
355.5

849.2
852.0
853.8
654.9
854.3

936.0
936.3
939.8
941.0
940.9

354.1
356.0
356.9
352.8
350.0

848.3
851.5
853.2
849.6
846.0

935.6
939.0
941.0
937.8
936.6

361.4
360.5
361.1
361.8

861.3
r 861.7
r 862.7
864.2

948.8
r 950.3
951.8
951.7

360.3
r 362.4
360.3
353.0

859.4
r 861.9
v 858.8
852.6

948.7
r 952.1
r 949.5
943.3

WEEK ENDING:
1978-AUG.

2
9
16
23
30

SEPT.

6
13

20 P
27 P

r
r

I/ INCLUDES (1) D E M A N D DEPOSITS AT ALL C O M M E R C I A L 8 A N K S OTHER T H A N THOSE DUE TO D O M E S T I C C O M M E R C I A L B A N K S AND THE U.S.GOVERNMENT,
L E S S CASH ITEMS IN THE PROCESS OF COLLECTION AND F.k.FLOAT; (2) F O R E I G N D E M A N D B A L A N C E S AT F.R.BANKS; AND (3) CURRENCY OUTSIDE
THE T R E A S U R Y , F.R.BANKS AND VAULTS OF ALL C O M M E R C I A L BANKS.
*/ INCLUDES, IN ADDITION TO CURRENCY AND DEMAND DEPOSITS, SAVINGS DEPOSITS, TIME DEPOSITS OPEN ACCOUNT, AND T I M E CERTIFICATES OF
DEPOSITS OTHER THAN N E G O T I A B L E TIME C E R T I F I C A T E S OF DEPOSIT ISSUED IN D E N O M I N A T I O N S OF $100,000 OR MORE BY L A R G E W E E K L Y REPORTING C O M M E R C I A L BANKS.
3/ INCLUDES M2, PLUS THE A V E R A G E OF THE BEGINNING AND END OF MONTH D E P O S I T S OF M U T U A L SAVINGS BANK, SAVINGS AND LOAN SHARES, A M D
CREDIT UNION SHARES.
4/ INCLUDES M2» PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE.
5/ INCLUDES M3, PLUS N E G O T I A B L E TIME C E R T I F I C A T E S OF DEPOSIT ISSUED IN D E N O M I N A T I O N S OF $100,000 OR MORE.
P - PRELIMINARY; R - R E V I S E D




FEDERAL RESERVE Statistical Release H.6
Table 2

MONEY STOCK MEASURES
PER CENT CHANGE AT SEASONALLY ADJUSTED A N N U A L RATES

M

M2

M3

Currency Plus
Demand Deposits-^/

Mi Plus Time
Deposits at
Commercial
Banks Other Than
Large CD's- 2 /

M2 Plus Deposits
at Nonbank Thrift
Institutions^/

i

DATE

M^.

M 2 Plus Large
Negotiable CD's5'

M

5

MaPlus Large
Negotiable CD's"7

JG.

FROM:

*Y

1978

(3 MONTHS PREVIOUS)

7.0

6.8

9.9

7.6

9.2

EB.

1978

(6 MONTHS PREVIOUS)

8.7

8.4

8.9

9.2

9.4

JG.

1977

(12 MONTHS PREVIOUS)

7.9

8.1

9.3

10.3

10.5

3UR WEEKS ENDING: SEPT. 27, 1978
:
ROM FOUR WEEKS ENDING:
JNE

26, 1978(13 WEEKS PREVIOUS)

kR.

29, 1978(26 WEEKS PREVIOUS)

• P T * 28,

1977(52 WEEKS PREVIOUS)

9.3

10.7
8.4

10.3

10.0

9.7

10.2

8.5

10.7

I/ INCLUDES (1) DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE DUE 10 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 TEASURY, F.R.BANKS AND VAULTS OF ALL COMMERCIAL BANKS.
2/ 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 1100,000 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS.
3/ INCLUDES M2, PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH DEPOSITS OF MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARES, AND
CREDIT UNION SHARES.
4/ INCLUDES M2, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE.
5/ INCLUDES M3, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE.
NOTE: ALL KATES OF CHANGE ARE BASED ON DAILY AVERAGE DATA; RATES OF CHANGE ARE NOT COMPOUNDED.




FCOUAL Wf SERVE Statistical Release H.6

Table 3

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

Time and Savings Deposits
Data

Currency

Demand Deposits
CD's-^

1977 — AUG.
SEPT.
OCT.
NOV.
DEC.

458.7
462.1
465.5
469.2
471.0

521.9
525.9
531.9
540.1
545.0

542.1
549.8
556.5
561.7
566.6

94.0

252.2
251.7
252.3
257.3
258.5
259.9
260.9
262.8

76.3
79.4
62.0
83.4
87.1
66.7
87.4
86.3

474.3
477.3
479.7
481.8
484.5
487.8
492.0
496.7

550.6
556.7
561.7
565.2
571.6
574.5
579.4
583.0

570.7
574.0
577.7
581.2
584.7
589.2
594.7
601.6

93.6
93.8
93.9
94.2
94.4

261.6
262.8
263.5
263.2
261.1

86.8
86.3
86.0
86.1
86.6

494*0
495.3
496.3
497.5
498.7

580.8
581.6
582.3
583.6
585.3

95.1
95.0
95.1
95.4

266.3
265.5
r 266.0
266.4

87.5
88.6
r 89*1
87.5

499.9
501.2
r 501.5
502.3

587.4
589.8
590.7
589.8

89.4
90.1
90.7
91.2
92.1
92.8

9*. 3

AUG.

N on bank
Thrift Institutions2'

63.2
63.8
66.4
70.9
74.0

88*6

MAY
JUNE
JULY

Total

245.0
246.6
248.7
248.5
249.9

85.5
86.3
87.1
87.7

1978 —JAN.
FEB.
MAR.
APR.

Other

WEEK ENDING:

1978 -AUG.

2
9
16
23
30

SEPT.

6
13

20 P
27 P

I/ INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS.
2/ AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARES, AND CREDIT UNION SHARES.
P - PRELIMINARY; R - REVISED




FEDERAL RESERVE Statistical Release H.6

Table 4

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS
Demand Deposits
Date

1977 — AUG.

SEPT.
OCT.
NOV.
DEC.
1978 — JAN.
FEB.

MAR*
APR.
MAY

JUNE
JULY
AUG.

Currency

Total^

Member

Time and Savings Deposit

Domestic
Nonmember^

CD's^

Other

Total

Nonbank
Thrift
Institutions4/

U.S. Gov't.
Demand-S/

85.9
86.2
86.9
88.4
90.1

242.3
244.9
248.2
250.0
258.1

167.6
168.8
171.2
171.5
177.5

70.8
71.8
72.8
74.1
76.2

64.5
65.4
68.3
71.6
75.9

458.6
460.2
463.5
464.4
466.7

523.0
525.7
531.9
536.0
542.6

542.5
548.4
554.2
557.3
562.5

3.4
5.0
3.7
3.3
5.1

88.7
89.0
89.9
91.0
91.9
92.9
94.1
94.3

258.8
247.0
248.2
259.9
253.3
258.8
262.0
259.9

177.3
169.0
170.0
177.3
172.6
175.7
177.7
176.1

77.0
73.8
74.3
78.5
76.9
79.1
80.3
79.9

76.4
76.9
80.2
81.4
84.6
86.3
87.3
88.0

473.1
478.0
483.0
485.7
488.3
490.3
492.6
496.6

549.5
554.9
563.2
567.1
572.9
576.6
579.9
584.6

568.4
572.1
579.1
584.6
586.7
593.2
599.2
602.2

4.3
4.3
4.8
b.O
4.0
6.2
4.5
3.6

93.5
95.3
94.7
94.3
93.5

260.6
260.7
262.2
258.4
256.4

177.4
176.3
177.5
175.2
173.9

79.3
80.4
80.8
79.3
78.8

87.3
87.6
67.7
88.0
88.8

494.2
495.5
496.3
497.0
498.0

581.6
583.1
584.1
585.0
586.9

3.8
3.5
3.1
4.3
3.6

95.9
95.2
94.8
94*1

264.4
267.1
265.5
259.0

179.0
r 179.7
r 179.2
175.0

81.4
83.5
82.3
80.2

89.3
90.1
r 90.7
90.8

499.1
r 499.6
r 498.5
499.5

588.4
589.7
589.3
590.3

3.2
3.5
9.0
7.8

WEEK ENDING:
1973-AUG.

2
9
16
23
30

SEPT.

6
13

20 P
27 P

I/ TOTAL DEPOSITS INCLUDE* IN ADDITION TO THE M E M B E R AND DOMESTIC NONMEMBER DEPOSITS SHOWN, DEPOSITS DUE TO FOREIGN AND
INTERNATIONAL INSTITUTIONS AT F.R.BANKS AND Ml TYPE BALANCES AT AGENCIES AND BRANCHES OF FOREIGN BANKS.
2/ BASED ON MOST RECENT CALL REPORT SINGLE-DAY OBSERVATIONS.
3/ INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 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.

p - PRELIMINARY; R - REVISED